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Public Act 103-0651 |
SB1289 Enrolled | LRB103 05989 BMS 51011 b |
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AN ACT concerning regulation. |
Be it enacted by the People of the State of Illinois, |
represented in the General Assembly: |
Section 1. Short title; references to Act. |
(a) This Act may be cited as the Safety and Aid for the |
Environment in Carbon Capture and Sequestration Act. |
(b) This Act may be referred to as the SAFE CCS Act. |
Section 5. Definitions. As used in this Act: |
"Carbon dioxide sequestration reservoir" means a portion |
of a sedimentary geologic stratum or formation containing pore |
space, including, but not limited to, depleted reservoirs and |
saline formations, that is suitable for the injection and |
permanent storage of carbon dioxide. |
"Nonconsenting pore space owner" means a titleholder, as |
identified in the deed, of any surface estate that overlies |
pore space proposed to be used for sequestration of carbon |
dioxide, who does not consent to the use of their pore space |
for the sequestration of carbon dioxide. |
"Pore space" means the portion of geologic media that |
contains gas or fluid, including, but not limited to, oil or |
water, and that can be used to store carbon dioxide. "Pore |
space" also includes solution-mined cavities. |
"Pore space owner" means the person who has title to a pore |
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space. |
"Sequestration facility" means the carbon dioxide |
sequestration reservoir, underground equipment, including, but |
not limited to, well penetrations, and surface facilities and |
equipment used or proposed to be used in a geologic storage |
operation. "Sequestration facility" includes each injection |
well and equipment used to connect the surface facility and |
equipment to the carbon dioxide sequestration reservoir and |
underground equipment. "Sequestration facility" does not |
include pipelines used to transport carbon dioxide to a |
sequestration facility. |
Section 10. Ownership and conveyance of pore space. |
(a) Title to pore space belongs to and is vested in the |
surface owner of the surface estate. |
(b) A conveyance of title to a surface estate conveys |
title to the pore space in all strata underlying the surface |
estate. |
(c) Title to pore space may not be severed from title to |
the surface estate. A grant of easement or lease for use of |
pore space is not a severance prohibited under this |
subsection. |
(d) A grant of easement or lease for use of pore space |
shall not confer any right to enter upon or otherwise use the |
surface of the land unless the grant of easement or lease |
expressly so provides that right. |
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(e) Any grant of easement for use of pore space or pore |
space lease abstract shall be recorded in the same manner as |
easements of real estate. If the holder of an easement or lease |
of pore space withdraws or is denied a permit for |
sequestration of carbon dioxide under Section 59.6 of the |
Environmental Protection Act, including, but not limited to, |
the disapproval of financial assurance under subsection (e) of |
Section 22.64 of the Environmental Protection Act, the owner |
of the surface estate shall have the right to have the title or |
interest returned for any amounts paid to the holder of the |
easement or lease. |
(f) Nothing in this Section shall be construed to change |
or alter the common law existing as of the effective date of |
this Act as it relates to the rights belonging to, or the |
dominance of, the mineral estate. |
Section 15. Integration and unitization of ownership |
interests. |
(a) If at least 2 pore space owners own pore space located |
within a proposed sequestration facility, the owners may agree |
to integrate the owners' interests to develop the pore space |
as a proposed sequestration facility for the underground |
sequestration of carbon dioxide. |
(b) If all of the pore space owners within a proposed or |
permitted sequestration facility do not agree to integrate the |
pore space owners' interests, the sequestration operator may |
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petition the Department of Natural Resources to issue an order |
requiring the pore space owners to integrate their interests |
and authorizing the sequestration operator or sequestration |
facility permit holder to develop and use the integrated pore |
space as a sequestration facility for carbon sequestration. |
Such an order for unitization and integration of pore space |
may only be issued if the sequestration operator has obtained |
the rights from pore space owners of pore space underlying at |
least 75% of the surface area above the proposed sequestration |
facility. The petition shall include, but is not limited to: |
(1) the name and address of the petitioners; |
(2) the property index numbers or legal descriptions |
for the parcels of property and a geologic description of |
the pore space within the proposed or permitted |
sequestration facility; |
(3) a disclosure of any parcels of property overlying |
the pore space to be integrated, identified by property |
index numbers or legal descriptions, in which the |
applicant, any of its owners, officers, corporate |
subsidiaries, or parents, sister companies, or affiliates, |
at the time of submission of the application or within 10 |
years prior to the submission of the application, have or |
had any real or personal interest, whether direct or |
indirect; |
(4) the names and addresses of all pore space owners |
owning property within the proposed or permitted |
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sequestration facility as disclosed by the records of the |
office of the recorder for the county or counties in which |
the proposed or permitted sequestration facility is |
situated and a list of consenting and nonconsenting pore |
space owners, as well as a list of all properties for which |
a pore space owner is unknown or nonlocatable; |
(5) a statement that the petitioner has exercised due |
diligence to locate each pore space owner and to seek an |
agreement with each for pore space rights for the |
sequestration facility, including a description of the |
good faith efforts taken to identify, contact, and |
negotiate with each nonconsenting pore space owner; |
(6) a statement of the type of operations for the |
proposed or permitted sequestration facility; |
(7) a plan for determining the quantity of pore space |
sequestration capacity to be assigned to each separately |
owned parcel of property based on the surface area acreage |
overlying the proposed or permitted sequestration facility |
and for using the surface for Class VI well permit |
required activities under Section 35; |
(8) the method by which pore space owners will be |
compensated for use of the pore space, and a copy of all |
agreements entered into with consenting pore space owners |
regarding the compensation paid to a consenting pore space |
owner; |
(9) the method by which nonconsenting pore space |
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owners will receive just compensation; and |
(10) a nonrefundable application fee of $250,000. |
The application fee shall be deposited into the Oil and |
Gas Resource Management Fund for the Department of Natural |
Resources' costs related to administration of this Act. |
(c) If the petition for a unitization order concerns |
unknown or nonlocatable pore space owners, the applicant shall |
provide public notice once a week for 2 consecutive weeks in |
the newspaper of the largest circulation in each county in |
which the proposed sequestration facility is located within 30 |
days prior to submission of the petition for a unitization and |
integration order. The petitioner shall file proof of such |
notice with the Department of Natural Resources with the |
petition. The petitioner shall also provide public notice of |
the public hearing described in subsection (d) in the same |
manner within 30 days prior to the hearing on the petition for |
a unitization order. The petitioner shall also send notice of |
the filing of the petition and the notice of the public hearing |
via certified mail to the last known address of each |
nonlocatable pore space owner and provide copies of those |
notices to the Department of Natural Resources. The notice |
shall: |
(1) state that a petition for a unitization and |
integration order has been filed with the Department of |
Natural Resources; |
(2) describe the formation or formations and pore |
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space proposed to be unitized; |
(3) in the case of an unknown pore space owner, |
indicate the name of the last known pore space owner; |
(4) in the case of a nonlocatable pore space owner, |
identify the pore space owner and the owner's last known |
address; and |
(5) state that any person claiming an interest in the |
properties proposed to be unitized should notify the |
operator of the proposed sequestration facility at the |
published address within 20 days of the publication date. |
Unknown or nonlocatable pore space owners that have not |
claimed an interest by the time of the Department of Natural |
Resources' public notice in subsection (d) shall be deemed to |
have consented to unitization and integration of their pore |
space. |
(d) Prior to issuing an order to unitize and integrate |
pore space, the Department of Natural Resources shall issue a |
public notice of the petition and shall hold a public hearing |
on the petition. The public notice shall include copies of the |
petition and all included attachments that are not protected |
under the Freedom of Information Act. The public notice shall |
include an opportunity for public comments and shall contain |
the date, time, and location of the public hearing as decided |
by the Department. At the public hearing, the Department shall |
allow interested persons to present views and comments on the |
petition. The hearings must be open to the public and recorded |
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by stenographic or mechanical means. The Department of Natural |
Resources will make available on its website copies of all |
comments received. |
(e) The Department of Natural Resources shall issue an |
order unitizing and integrating pore space under subsection |
(b) within 60 days after the hearing upon a showing that: |
(1) the petitioner has obtained a Class VI well permit |
or, if the well permit application is still pending at |
least one year from the date the petition has been filed, |
that the petitioner has received a Finding of |
Administrative Completeness from the United States |
Environmental Protection Agency; |
(2) the petitioner has made a good faith effort to |
seek an agreement with all pore space owners located |
within the proposed or permitted sequestration facility; |
(3) the petitioner has obtained the rights from pore |
space owners of at least 75% of the surface area above the |
proposed sequestration facility; and |
(4) all nonconsenting pore space owners have received |
or will receive just compensation for use of the pore |
space and use of the surface for Class VI well permit |
required activities. Additionally, such compensation shall |
be no less than the average total payment package, |
considered as a whole with respect to an individual owner, |
provided in agreements during the previous 365 days to |
similarly situated consenting pore space owners. Such |
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compensation shall exclude any incentives, such as signing |
bonuses, provided to consenting pore space owners prior to |
the initiation of injection. Such compensation shall |
include any operations term or injection term payments |
made upon or after the initiation of injection provided to |
consenting pore space owners in consideration of allowing |
use of their pore space for sequestration of carbon |
dioxide. In determining if pore space owners are similarly |
situated, the Department of Natural Resources shall take |
into account: the size, location, and proximity of the |
pore space; the geologic characteristics of the pore |
space; the restrictions on the use of the surface; the |
actual use of the surface; the relevant law applicable at |
the time the consenting pore space agreement was signed; |
title defects and title warranties; the proximity of the |
pore space owners' property to any carbon sequestration |
infrastructure on the surface; whether the injection |
interferes with any known mineral rights; and the fair |
market value of pore space when entering into a commercial |
contract. When evaluating the compensation provided to a |
similarly situated pore space owner, the Department of |
Natural Resources shall exclude any compensation provided |
to a pore space owner of a property identified by the |
applicant in paragraph (3) of subsection (b) and any |
compensation that was not provided as part of an arm's |
length transaction. |
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Unknown or nonlocatable pore space owners shall also |
receive just compensation in the same manner as provided |
to the other nonconsenting pore space owners that must be |
held in a separate escrow account for 20 years for future |
payment to the previously unknown or nonlocatable pore |
space owner upon discovery of that owner. After 20 years, |
the compensation shall be transferred to the State |
Treasurer under the Revised Uniform Unclaimed Property |
Act. |
(f) The Department of Natural Resources' order for |
unitization and integration of pore space under this Section |
is not effective until the petitioner has been issued a Class |
VI well permit from the United States Environmental Protection |
Agency and the carbon sequestration permit from the Illinois |
Environmental Protection Agency. |
(g) An order for integration and unitization under this |
Section shall: provide for the unitization of the pore space |
identified in the petition; authorize the integration of pore |
space of nonconsenting pore space owners in the pore space |
identified; provide for who may unitize the pore space to |
establish a sequestration facility to be permitted by the |
Illinois Environmental Protection Agency; and make provision |
for payment of just compensation to nonconsenting pore space |
owner under the integration order. |
(h) A petitioner shall provide a copy of any order for |
unitization and integration of pore space to the Illinois |
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Environmental Protection Agency. |
(i) If groundwater monitoring required by a Class VI |
permit indicates that the source of drinking water has been |
rendered unsafe to drink or to provide to livestock, the |
sequestration operator shall provide an alternate supply of |
potable drinking water within 24 hours of the monitoring |
results becoming available and an alternate supply of water |
that is safe for other uses necessary within 30 days of the |
monitoring results becoming available. The alternate supplies |
of both potable water and water that is safe for other uses |
shall continue until additional monitoring by the |
sequestration operator shows that the water is safe for |
drinking and other uses. |
(j) After an order for unitization and integration of pore |
space is issued, the petitioner shall request that the |
Department of Natural Resources issue separate orders |
establishing the amount of just compensation to be provided to |
each nonconsenting pore space owner. When submitting this |
request, the petitioner shall provide information |
demonstrating the good faith efforts taken to negotiate an |
agreement with the nonconsenting pore space owner, including, |
but not limited to, the number and extent of the petitioner's |
contacts with the pore space owner, whether the petitioner |
explained the compensation offer to the pore space owner, |
whether the compensation offer was comparable to similarly |
situated pore space owners, what efforts were made to address |
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the pore space owner's concerns, and the likelihood that |
further negotiations would be successful. All orders requiring |
the provision of just compensation shall be made after notice |
and hearing in which the Department of Natural Resources shall |
determine the appropriate amount of just compensation to be |
provided to each nonconsenting pore space owner as described |
in this Section. The Department shall adopt reasonable rules |
governing such hearings as may be necessary. In such a |
hearing, the burden shall be on the petitioner to prove the |
appropriate amount of just compensation consistent with this |
Section. Both the petitioner and the pore space owner shall be |
permitted to provide testimony and evidence regarding the |
appropriateness of the amount of just compensation proposed by |
the sequestration operator. An order by the Department of |
Natural Resources establishing the appropriate amount of just |
compensation to be provided to a nonconsenting pore space |
owner shall be a final agency decision subject to judicial |
review under the Administrative Review Law. Such proceedings |
for judicial review may be commenced in the circuit court of |
the county in which any part of the pore space is situated. The |
Department of Natural Resources shall not be required to |
certify any record to the court or file any answer in court or |
otherwise appear in any court in a judicial review proceeding, |
unless there is filed in the court with the complaint a receipt |
from the Department of Natural Resources acknowledging payment |
of the costs of furnishing and certifying the record. Failure |
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on the part of the plaintiff to file such receipt in court |
shall be grounds for dismissal of the action. |
Section 20. Surface access for pore space owners. |
(a) If a sequestration operator must enter upon the |
surface property of an affected pore space owner to comply |
with Class VI well permit requirements or carbon sequestration |
activity permit requirements for the purposes of monitoring a |
sequestration facility or to respond to an emergency causing |
immediate risk to human health, environmental resources, or |
infrastructure, the sequestration operator must undertake such |
activities in such a way as to minimize the impact to the |
surface of the parcel of property and to ensure that the |
following requirements are met: |
(1) The required actions under the Class VI well |
permit or carbon sequestration activity permit shall be |
limited to surface monitoring activities, such as |
geophysical surveys, but does not include the installation |
of surface infrastructure except as provided in paragraphs |
(2) and (3). |
(2) Shallow groundwater monitoring wells shall be |
allowed to be installed on such property only if the |
carbon dioxide plume may have unexpectedly migrated and |
the United States Environmental Protection Agency or the |
Illinois Environmental Protection Agency requires |
monitoring of groundwater for potential carbon dioxide |
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impact. |
(3) Injection wells, deep monitoring wells, and |
surface infrastructure other than shallow groundwater |
monitoring wells as allowed by paragraph (2) will not be |
located on the parcel of property of an affected pore |
space owner without the express written consent of such |
owner. |
(b) Except in an emergency causing immediate risk to human |
health, environmental resources, or infrastructure, a |
sequestration operator shall not enter upon the surface |
property for purposes of undertaking required activities under |
a Class VI well permit or carbon sequestration permit of any |
affected pore space owner until 30 days after providing |
written notice to the affected pore space owner by registered |
mail and after providing a second notice to the pore space |
owner of record, as identified in the records of the relevant |
county tax assessor, by telephone or email or by registered |
mail in the event the property owner has not been notified by |
other means, at least 3 days, but not more than 15 days, prior |
to the stated date in the notice, identifying the date when |
access will first begin on the owner's property and informing |
the affected pore space owner that the owner or the owner's |
agent may be present when the access occurs. |
Section 25. Compensation for damages to the surface. |
(a) An affected pore space owner is entitled to reasonable |
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compensation from the sequestration operator for damages |
resulting from surface access to the affected pore space |
owner's property for required activities taken under a Class |
VI well permit or carbon sequestration activity permit, |
including: |
(1) compensation for damage to growing crops, trees, |
shrubs, fences, roads, structures, improvements, personal |
property, and livestock thereon and compensation for the |
loss of the value of a commercial crop impacted by |
required activities taken by a sequestration operator |
under a Class VI well permit or carbon sequestration |
activity permit; the value of the crop shall be calculated |
based on local market price by: |
(A) determining the average per acre yield for the |
same crop on comparable adjacent acreage; |
(B) determining the price received for the sale of |
the same crop on comparable adjacent acreage; |
(C) determining the acreage of the area impacted |
by Class VI well permit activities and applying the |
determined price; and |
(D) the initial determination of the value of the |
crop shall be determined by the affected pore space |
owner and submitted to the sequestration operator; |
(2) compensation to return the surface estate, |
including soil conservation practices, such as terraces, |
grassed waterways, and other conservation practices, to a |
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condition as near as practicable to the condition of the |
surface prior to accessing the property; |
(3) compensation for damage to the productive |
capability of the soil resulting from compaction or |
rutting, including, but not limited to, compensation for |
when a sequestration operator accesses a property where |
excessively wet soil conditions would not allow normal |
farming operations due to increased risk of soil erosion, |
rutting, or compaction; if there is a dispute between the |
sequestration operator and the affected pore space owner |
regarding the value of the damage to the productive |
capability of the soil, the sequestration operator shall |
consult with a representative of the soil and water |
conservation district in the respective county where the |
parcel of property is located for recommendations to |
restore the productive capability of the soil; and |
(4) compensation for damage to surface and subsurface |
drainage, including, but not limited to: |
(A) compensation in that the sequestration |
operator shall perform immediate and temporary repairs |
for damage that occurs to subsurface drainage tiles |
that have water actively flowing through them at the |
time of damage; and |
(B) compensation such that the sequestration |
operator shall compensate the affected pore space |
owner to permanently restore drainage to a condition |
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as near as practicable to the condition of the |
drainage prior to accessing the property. |
(b) The compensation for damages required by subsection |
(a) shall be paid in any manner mutually agreed upon by the |
sequestration operator and the affected pore space owners. |
Unless otherwise agreed, the sequestration operator shall |
tender to the surface owner payment by check or draft in |
accordance with this Section 45 no later than 60 days after |
completing the required activities under a Class VI well |
permit or carbon sequestration permit if the occurrence or |
value of damages is not disputed. The pore space owner's |
remedy for unpaid or disputed compensation shall be an action |
for damages in any court of competent jurisdiction for the |
parcel of property or the greater part thereof on which the |
activities were conducted and shall be entitled to recover |
reasonable damages and attorney's fees if the pore space owner |
prevails. |
Section 30. Additional landowner rights. |
(a) Any carbon dioxide injection well or deep monitoring |
well authorized by the United States Environmental Protection |
Agency through a valid UIC Class VI permit must adhere to the |
new well set back requirements of 62 Ill. Adm. Code |
240.410(f). |
(b) If there is a significant leak of carbon dioxide from |
an injection well, monitoring well, or other point on the |
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surface, which is associated with carbon sequestration |
activity, all landowners shall be entitled to medical |
monitoring of a scope and duration to be determined by the |
Department of Public Health at the expense of the carbon |
dioxide sequestration facility operator. |
(c) Prior to the commencement of carbon dioxide injection, |
the sequestration operator shall inform, via certified mail, |
each property owner overlying the carbon sequestration |
facility of the opportunity to request from the sequestration |
operator an accurate, well-functioning carbon dioxide monitor, |
which the sequestration operator shall provide to the property |
owner within 30 days of receiving a written request. |
(d) If monitoring conducted pursuant to United States |
Environmental Protection Agency or Illinois Environmental |
Protection Agency requirements shows that carbon dioxide has |
migrated into the pore space of a pore space owner not |
previously included within an application or order integrating |
pore space, the sequestration operator shall, within 14 days, |
notify that pore space owner of the migration and of the |
opportunity to petition the Department of Natural Resources |
for inclusion in the integrated area. If the pore space owner |
submits such a petition, the sequestration operator shall |
provide to the Department of Natural Resources, for its |
consideration of the petition, the monitoring information |
showing the migration of the carbon dioxide into the pore |
space of the pore space owner at issue. The Department of |
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Natural Resources shall grant such a petition if it determines |
that stored carbon dioxide from a permitted sequestration |
facility is physically present in the pore space owned by the |
pore space owner. If the Department of Natural Resources |
grants the petition for inclusion in the integrated area and |
the pore space owner has not entered into an agreement with the |
sequestration operator for use of the pore space, the pore |
space owner shall be considered a nonconsenting pore space |
owner entitled to just compensation. |
Section 35. The Illinois Emergency Management Agency Act |
is amended by changing Section 5 as follows: |
(20 ILCS 3305/5) (from Ch. 127, par. 1055) |
Sec. 5. Illinois Emergency Management Agency. |
(a) There is created within the executive branch of the |
State Government an Illinois Emergency Management Agency and a |
Director of the Illinois Emergency Management Agency, herein |
called the "Director" who shall be the head thereof. The |
Director shall be appointed by the Governor, with the advice |
and consent of the Senate, and shall serve for a term of 2 |
years beginning on the third Monday in January of the |
odd-numbered year, and until a successor is appointed and has |
qualified; except that the term of the first Director |
appointed under this Act shall expire on the third Monday in |
January, 1989. The Director shall not hold any other |
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remunerative public office. For terms beginning after January |
18, 2019 (the effective date of Public Act 100-1179) and |
before January 16, 2023, the annual salary of the Director |
shall be as provided in Section 5-300 of the Civil |
Administrative Code of Illinois. Notwithstanding any other |
provision of law, for terms beginning on or after January 16, |
2023, the Director shall receive an annual salary of $180,000 |
or as set by the Governor, whichever is higher. On July 1, |
2023, and on each July 1 thereafter, the Director shall |
receive an increase in salary based on a cost of living |
adjustment as authorized by Senate Joint Resolution 192 of the |
86th General Assembly. |
For terms beginning on or after January 16, 2023, the |
Assistant Director of the Illinois Emergency Management Agency |
shall receive an annual salary of $156,600 or as set by the |
Governor, whichever is higher. On July 1, 2023, and on each |
July 1 thereafter, the Assistant Director shall receive an |
increase in salary based on a cost of living adjustment as |
authorized by Senate Joint Resolution 192 of the 86th General |
Assembly. |
(b) The Illinois Emergency Management Agency shall obtain, |
under the provisions of the Personnel Code, technical, |
clerical, stenographic and other administrative personnel, and |
may make expenditures within the appropriation therefor as may |
be necessary to carry out the purpose of this Act. The agency |
created by this Act is intended to be a successor to the agency |
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created under the Illinois Emergency Services and Disaster |
Agency Act of 1975 and the personnel, equipment, records, and |
appropriations of that agency are transferred to the successor |
agency as of June 30, 1988 (the effective date of this Act). |
(c) The Director, subject to the direction and control of |
the Governor, shall be the executive head of the Illinois |
Emergency Management Agency and the State Emergency Response |
Commission and shall be responsible under the direction of the |
Governor, for carrying out the program for emergency |
management of this State. The Director shall also maintain |
liaison and cooperate with the emergency management |
organizations of this State and other states and of the |
federal government. |
(d) The Illinois Emergency Management Agency shall take an |
integral part in the development and revision of political |
subdivision emergency operations plans prepared under |
paragraph (f) of Section 10. To this end it shall employ or |
otherwise secure the services of professional and technical |
personnel capable of providing expert assistance to the |
emergency services and disaster agencies. These personnel |
shall consult with emergency services and disaster agencies on |
a regular basis and shall make field examinations of the |
areas, circumstances, and conditions that particular political |
subdivision emergency operations plans are intended to apply. |
(e) The Illinois Emergency Management Agency and political |
subdivisions shall be encouraged to form an emergency |
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management advisory committee composed of private and public |
personnel representing the emergency management phases of |
mitigation, preparedness, response, and recovery. The Local |
Emergency Planning Committee, as created under the Illinois |
Emergency Planning and Community Right to Know Act, shall |
serve as an advisory committee to the emergency services and |
disaster agency or agencies serving within the boundaries of |
that Local Emergency Planning Committee planning district for: |
(1) the development of emergency operations plan |
provisions for hazardous chemical emergencies; and |
(2) the assessment of emergency response capabilities |
related to hazardous chemical emergencies. |
(f) The Illinois Emergency Management Agency shall: |
(1) Coordinate the overall emergency management |
program of the State. |
(2) Cooperate with local governments, the federal |
government, and any public or private agency or entity in |
achieving any purpose of this Act and in implementing |
emergency management programs for mitigation, |
preparedness, response, and recovery. |
(2.5) Develop a comprehensive emergency preparedness |
and response plan for any nuclear accident in accordance |
with Section 65 of the Nuclear Safety Law of 2004 and in |
development of the Illinois Nuclear Safety Preparedness |
program in accordance with Section 8 of the Illinois |
Nuclear Safety Preparedness Act. |
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(2.6) Coordinate with the Department of Public Health |
with respect to planning for and responding to public |
health emergencies. |
(3) Prepare, for issuance by the Governor, executive |
orders, proclamations, and regulations as necessary or |
appropriate in coping with disasters. |
(4) Promulgate rules and requirements for political |
subdivision emergency operations plans that are not |
inconsistent with and are at least as stringent as |
applicable federal laws and regulations. |
(5) Review and approve, in accordance with Illinois |
Emergency Management Agency rules, emergency operations |
plans for those political subdivisions required to have an |
emergency services and disaster agency pursuant to this |
Act. |
(5.5) Promulgate rules and requirements for the |
political subdivision emergency management exercises, |
including, but not limited to, exercises of the emergency |
operations plans. |
(5.10) Review, evaluate, and approve, in accordance |
with Illinois Emergency Management Agency rules, political |
subdivision emergency management exercises for those |
political subdivisions required to have an emergency |
services and disaster agency pursuant to this Act. |
(6) Determine requirements of the State and its |
political subdivisions for food, clothing, and other |
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necessities in event of a disaster. |
(7) Establish a register of persons with types of |
emergency management training and skills in mitigation, |
preparedness, response, and recovery. |
(8) Establish a register of government and private |
response resources available for use in a disaster. |
(9) Expand the Earthquake Awareness Program and its |
efforts to distribute earthquake preparedness materials to |
schools, political subdivisions, community groups, civic |
organizations, and the media. Emphasis will be placed on |
those areas of the State most at risk from an earthquake. |
Maintain the list of all school districts, hospitals, |
airports, power plants, including nuclear power plants, |
lakes, dams, emergency response facilities of all types, |
and all other major public or private structures which are |
at the greatest risk of damage from earthquakes under |
circumstances where the damage would cause subsequent harm |
to the surrounding communities and residents. |
(10) Disseminate all information, completely and |
without delay, on water levels for rivers and streams and |
any other data pertaining to potential flooding supplied |
by the Division of Water Resources within the Department |
of Natural Resources to all political subdivisions to the |
maximum extent possible. |
(11) Develop agreements, if feasible, with medical |
supply and equipment firms to supply resources as are |
|
necessary to respond to an earthquake or any other |
disaster as defined in this Act. These resources will be |
made available upon notifying the vendor of the disaster. |
Payment for the resources will be in accordance with |
Section 7 of this Act. The Illinois Department of Public |
Health shall determine which resources will be required |
and requested. |
(11.5) In coordination with the Illinois State Police, |
develop and implement a community outreach program to |
promote awareness among the State's parents and children |
of child abduction prevention and response. |
(12) Out of funds appropriated for these purposes, |
award capital and non-capital grants to Illinois hospitals |
or health care facilities located outside of a city with a |
population in excess of 1,000,000 to be used for purposes |
that include, but are not limited to, preparing to respond |
to mass casualties and disasters, maintaining and |
improving patient safety and quality of care, and |
protecting the confidentiality of patient information. No |
single grant for a capital expenditure shall exceed |
$300,000. No single grant for a non-capital expenditure |
shall exceed $100,000. In awarding such grants, preference |
shall be given to hospitals that serve a significant |
number of Medicaid recipients, but do not qualify for |
disproportionate share hospital adjustment payments under |
the Illinois Public Aid Code. To receive such a grant, a |
|
hospital or health care facility must provide funding of |
at least 50% of the cost of the project for which the grant |
is being requested. In awarding such grants the Illinois |
Emergency Management Agency shall consider the |
recommendations of the Illinois Hospital Association. |
(13) Do all other things necessary, incidental or |
appropriate for the implementation of this Act. |
(g) The Illinois Emergency Management Agency is authorized |
to make grants to various higher education institutions, |
public K-12 school districts, area vocational centers as |
designated by the State Board of Education, inter-district |
special education cooperatives, regional safe schools, and |
nonpublic K-12 schools for safety and security improvements. |
For the purpose of this subsection (g), "higher education |
institution" means a public university, a public community |
college, or an independent, not-for-profit or for-profit |
higher education institution located in this State. Grants |
made under this subsection (g) shall be paid out of moneys |
appropriated for that purpose from the Build Illinois Bond |
Fund. The Illinois Emergency Management Agency shall adopt |
rules to implement this subsection (g). These rules may |
specify: (i) the manner of applying for grants; (ii) project |
eligibility requirements; (iii) restrictions on the use of |
grant moneys; (iv) the manner in which the various higher |
education institutions must account for the use of grant |
moneys; and (v) any other provision that the Illinois |
|
Emergency Management Agency determines to be necessary or |
useful for the administration of this subsection (g). |
(g-5) The Illinois Emergency Management Agency is |
authorized to make grants to not-for-profit organizations |
which are exempt from federal income taxation under section |
501(c)(3) of the Federal Internal Revenue Code for eligible |
security improvements that assist the organization in |
preventing, preparing for, or responding to threats, attacks, |
or acts of terrorism. To be eligible for a grant under the |
program, the Agency must determine that the organization is at |
a high risk of being subject to threats, attacks, or acts of |
terrorism based on the organization's profile, ideology, |
mission, or beliefs. Eligible security improvements shall |
include all eligible preparedness activities under the federal |
Nonprofit Security Grant Program, including, but not limited |
to, physical security upgrades, security training exercises, |
preparedness training exercises, contracting with security |
personnel, and any other security upgrades deemed eligible by |
the Director. Eligible security improvements shall not |
duplicate, in part or in whole, a project included under any |
awarded federal grant or in a pending federal application. The |
Director shall establish procedures and forms by which |
applicants may apply for a grant and procedures for |
distributing grants to recipients. Any security improvements |
awarded shall remain at the physical property listed in the |
grant application, unless authorized by Agency rule or |
|
approved by the Agency in writing. The procedures shall |
require each applicant to do the following: |
(1) identify and substantiate prior or current |
threats, attacks, or acts of terrorism against the |
not-for-profit organization; |
(2) indicate the symbolic or strategic value of one or |
more sites that renders the site a possible target of a |
threat, attack, or act of terrorism; |
(3) discuss potential consequences to the organization |
if the site is damaged, destroyed, or disrupted by a |
threat, attack, or act of terrorism; |
(4) describe how the grant will be used to integrate |
organizational preparedness with broader State and local |
preparedness efforts, as described by the Agency in each |
Notice of Opportunity for Funding; |
(5) submit (i) a vulnerability assessment conducted by |
experienced security, law enforcement, or military |
personnel, or conducted using an Agency-approved or |
federal Nonprofit Security Grant Program self-assessment |
tool, and (ii) a description of how the grant award will be |
used to address the vulnerabilities identified in the |
assessment; and |
(6) submit any other relevant information as may be |
required by the Director. |
The Agency is authorized to use funds appropriated for the |
grant program described in this subsection (g-5) to administer |
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the program. Any Agency Notice of Opportunity for Funding, |
proposed or final rulemaking, guidance, training opportunity, |
or other resource related to the grant program must be |
published on the Agency's publicly available website, and any |
announcements related to funding shall be shared with all |
State legislative offices, the Governor's office, emergency |
services and disaster agencies mandated or required pursuant |
to subsections (b) through (d) of Section 10, and any other |
State agencies as determined by the Agency. Subject to |
appropriation, the grant application period shall be open for |
no less than 45 calendar days during the first application |
cycle each fiscal year, unless the Agency determines that a |
shorter period is necessary to avoid conflicts with the annual |
federal Nonprofit Security Grant Program funding cycle. |
Additional application cycles may be conducted during the same |
fiscal year, subject to availability of funds. Upon request, |
Agency staff shall provide reasonable assistance to any |
applicant in completing a grant application or meeting a |
post-award requirement. |
(h) Except as provided in Section 17.5 of this Act, any |
moneys received by the Agency from donations or sponsorships |
unrelated to a disaster shall be deposited in the Emergency |
Planning and Training Fund and used by the Agency, subject to |
appropriation, to effectuate planning and training activities. |
Any moneys received by the Agency from donations during a |
disaster and intended for disaster response or recovery shall |
|
be deposited into the Disaster Response and Recovery Fund and |
used for disaster response and recovery pursuant to the |
Disaster Relief Act. |
(i) The Illinois Emergency Management Agency may by rule |
assess and collect reasonable fees for attendance at |
Agency-sponsored conferences to enable the Agency to carry out |
the requirements of this Act. Any moneys received under this |
subsection shall be deposited in the Emergency Planning and |
Training Fund and used by the Agency, subject to |
appropriation, for planning and training activities. |
(j) The Illinois Emergency Management Agency is authorized |
to make grants to other State agencies, public universities, |
units of local government, and statewide mutual aid |
organizations to enhance statewide emergency preparedness and |
response. |
(k) Subject to appropriation from the Emergency Planning |
and Training Fund, the Illinois Emergency Management Agency |
and Office of Homeland Security shall obtain training services |
and support for local emergency services and support for local |
emergency services and disaster agencies for training, |
exercises, and equipment related to carbon dioxide pipelines |
and sequestration, and, subject to the availability of |
funding, shall provide $5,000 per year to the Illinois Fire |
Service Institute for first responder training required under |
Section 4-615 of the Public Utilities Act. Amounts in the |
Emergency Planning and Training Fund will be used by the |
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Illinois Emergency Management Agency and Office of Homeland |
Security for administrative costs incurred in carrying out the |
requirements of this subsection. To carry out the purposes of |
this subsection, the Illinois Emergency Management Agency and |
Office of Homeland Security may accept moneys from all |
authorized sources into the Emergency Planning and Training |
Fund, including, but not limited to, transfers from the Carbon |
Dioxide Sequestration Administrative Fund and the Public |
Utility Fund. |
(Source: P.A. 102-16, eff. 6-17-21; 102-538, eff. 8-20-21; |
102-813, eff. 5-13-22; 102-1115, eff. 1-9-23; 103-418, eff. |
1-1-24 .) |
Section 40. The State Finance Act is amended by adding |
Sections 5.1015, 5.1016, and 5.1017 as follows: |
(30 ILCS 105/5.1015 new) |
Sec. 5.1015. The Carbon Dioxide Sequestration |
Administrative Fund. |
(30 ILCS 105/5.1016 new) |
Sec. 5.1016. The Environmental Justice Grant Fund. |
(30 ILCS 105/5.1017 new) |
Sec. 5.1017. The Water Resources Fund. |
|
Section 45. The Public Utilities Act is amended by |
changing Section 8-509 and by adding Sections 3-127, 4-615, |
and 15-103 as follows: |
(220 ILCS 5/3-127 new) |
Sec. 3-127. Carbon dioxide pipeline. "Carbon dioxide |
pipeline" has the same meaning given to that term in Section 10 |
of the Carbon Dioxide Transportation and Sequestration Act. |
(220 ILCS 5/4-615 new) |
Sec. 4-615. Training for carbon dioxide emergencies. |
(a) Prior to any pipeline for the transportation of carbon |
dioxide becoming operational, the Illinois Fire Service |
Institute, in coordination with the Office of the State Fire |
Marshal, an EMS System, the Department of Public Health, and |
the Illinois Emergency Management Agency and Office of |
Homeland Security, shall develop and offer at least one course |
for first responders who respond when carbon dioxide is |
released from a pipeline or a sequestration facility. At a |
minimum, the course shall cover: |
(1) how to identify a carbon dioxide release; |
(2) communications procedures to quickly share |
information about a carbon dioxide release, including |
alarms, sirens, text message alerts, and other means of |
alerting the public; |
(3) procedures for locating residents and others in |
|
the affected area and, when necessary, transporting |
residents and others in the affected area out of the area |
to health care facilities; and |
(4) signs and symptoms of exposure to a carbon dioxide |
release. |
(b) Each year thereafter, the Illinois Fire Service |
Institute, in coordination with the Office of the State Fire |
Marshal, an EMS System and the Department of Public Health, |
shall offer a training session at the Illinois Fire Service |
Institute's Regions for Training Delivery on emergency |
response procedures during carbon dioxide releases. These |
trainings shall be available to first responders in the State |
with priority participation given to counties in which carbon |
dioxide is proposed to be or is transported or sequestered. |
(c) Prior to a carbon dioxide pipeline becoming |
operational, the owner or operator of the pipeline shall |
develop, in coordination with the Illinois Emergency |
Management Agency and Office of Homeland Security and |
Department of Public Health, emergency preparedness materials |
for residents and local businesses in the counties within 2 |
miles of where the owner or operator is transporting or |
sequestering carbon dioxide. At a minimum, these materials |
shall include: |
(1) what to do in the event of a carbon dioxide |
release; |
(2) symptoms of exposure to a carbon dioxide release; |
|
and |
(3) recommendations for items residents and local |
businesses may want to acquire, including, but not limited |
to, carbon dioxide monitors and air supply respirators. |
The Illinois Emergency Management Agency and Office of |
Homeland Security and the Department of Public Health shall |
publish this information on their websites and provide these |
materials to local emergency management agencies and local |
public health departments in relevant counties. |
(d) For each carbon dioxide pipeline, the owner or |
operator of the pipeline shall use modeling that can handle |
non-flat terrain; obstacles, such as vegetation and buildings; |
time or spatial variations in wind, including direction and |
speed; ambient weather conditions, such as temperature and |
humidity; variations to the direction of release of CO 2 ; and |
concentrations and durations of CO 2 , in addition to the |
specifics related to the pipeline design, including, but not |
limited to, diameter, thickness, and shutoff valves, to |
develop a risk-based assessment and a chemical safety |
contingency plan. The Illinois Emergency Management Agency and |
Office of Homeland Security shall publish this information on |
its website and provide these materials to local emergency |
management agencies in relevant counties. |
(e) Each year, the owner or operator of a pipeline, in |
coordination with Department of Public Health and local |
emergency response personnel, shall offer at least 2 public |
|
training sessions for residents and local businesses in every |
county in which carbon dioxide is transported or sequestered. |
These trainings shall be offered in person and virtually. Each |
training shall be recorded and provided to Illinois Emergency |
Management Agency and Office of Homeland Security and the |
Department of Public Health to maintain a copy on their |
websites, as appropriate, with the emergency preparedness |
materials identified in subsection (c). |
(f) Each year, the owner or operator of the pipeline shall |
develop, in coordination with the Department of Public Health, |
and offer a training session for medical personnel in each |
county along the pipeline route, including staff in hospitals |
and emergency rooms, health clinics, and other health care |
facilities. These trainings shall be offered in person and |
virtually and be approved by the Department of Public Health. |
Each training shall be recorded and provided to the Department |
of Public Health to maintain a copy on its website, as |
appropriate, and distribute to staff in hospitals and |
emergency rooms, health clinics, and other health care |
facilities. |
(g) At least every 5 years, the Illinois Fire Service |
Institute shall review and, if appropriate, revise or add |
trainings developed under this Section to incorporate new best |
practices, technologies, developments, or information that |
improves emergency response and treatment for carbon dioxide |
releases. |
|
(h) At least every 5 years, the owner or operator, in |
coordination with local emergency response personnel, the |
Illinois Emergency Management Agency and Office of Homeland |
Security, and the Department of Public Health, shall review |
and, if appropriate, update emergency preparedness materials |
and trainings for residents and local businesses identified in |
subsections (c) and (d) to incorporate new best practices, |
technologies, developments, or information that may assist |
local residents and businesses to be prepared if a carbon |
dioxide release occurs. |
(220 ILCS 5/8-509) (from Ch. 111 2/3, par. 8-509) |
Sec. 8-509. When necessary for the construction of any |
alterations, additions, extensions or improvements ordered or |
authorized under Section 8-406.1 or 8-503 of this Act, any |
public utility may enter upon, take or damage private property |
in the manner provided for by the law of eminent domain. If a |
public utility seeks relief under this Section in the same |
proceeding in which it seeks a certificate of public |
convenience and necessity under Section 8-406.1 of this Act, |
the Commission shall enter its order under this Section either |
as part of the Section 8-406.1 order or at the same time it |
enters the Section 8-406.1 order. If a public utility seeks |
relief under this Section after the Commission enters its |
order in the Section 8-406.1 proceeding, the Commission shall |
issue its order under this Section within 45 days after the |
|
utility files its petition under this Section. |
This Section applies to the exercise of eminent domain |
powers by telephone companies or telecommunications carriers |
only when the facilities to be constructed are intended to be |
used in whole or in part for providing one or more intrastate |
telecommunications services classified as "noncompetitive" |
under Section 13-502 in a tariff filed by the condemnor. The |
exercise of eminent domain powers by telephone companies or |
telecommunications carriers in all other cases shall be |
governed solely by "An Act relating to the powers, duties and |
property of telephone companies", approved May 16, 1903, as |
now or hereafter amended. |
This Section applies to the exercise of eminent domain |
powers by an owner or operator of a pipeline designed, |
constructed, and operated to transport carbon dioxide to which |
the Commission has granted a certificate under Section 20 of |
the Carbon Dioxide Transportation and Sequestration Act and |
may seek eminent domain authority from the Commission under |
this Section. If the applicant of such a certificate of |
authority for a new carbon dioxide pipeline seeks relief under |
this Section in the same proceeding in which it seeks a |
certificate of authority for a new carbon dioxide pipeline |
under Section 20 of the Carbon Dioxide Transportation and |
Sequestration Act, the Commission shall enter its order under |
this Section either as part of or at the same time as its order |
under the Carbon Dioxide Transportation and Sequestration Act. |
|
Notwithstanding anything to the contrary in this Section, the |
owner or operator of such a pipeline shall not be considered to |
be a public utility for any other provisions of this Act. |
(Source: P.A. 100-840, eff. 8-13-18.) |
(220 ILCS 5/15-103 new) |
Sec. 15-103. Application of carbon dioxide pipelines. This |
Article does not apply to a new carbon dioxide pipeline as |
defined in Section 10 of the Carbon Dioxide Transportation and |
Sequestration Act. |
Section 50. The Carbon Dioxide Transportation and |
Sequestration Act is amended by changing Sections 5, 10, 15, |
and 20 and by adding Sections 35 and 40 as follows: |
(220 ILCS 75/5) |
Sec. 5. Legislative purpose. Pipeline transportation of |
carbon dioxide for sequestration , enhanced oil recovery, and |
other carbon management purposes other than enhanced oil |
recovery is declared to be a public use and service, in the |
public interest, and a benefit to the welfare of Illinois and |
the people of Illinois because pipeline transportation is |
necessary for sequestration , enhanced oil recovery, or other |
carbon management purposes other than enhanced oil recovery |
and thus is an essential component to compliance with required |
or voluntary plans to reduce carbon dioxide emissions from |
|
"clean coal" facilities and other sources . Carbon dioxide |
pipelines are critical to the promotion and use of Illinois |
coal and also advance economic development, environmental |
protection, and energy security in the State. |
(Source: P.A. 97-534, eff. 8-23-11.) |
(220 ILCS 75/10) |
Sec. 10. Definitions. As used in this Act: |
"Carbon dioxide pipeline" or "pipeline" means the in-state |
portion of a pipeline, including appurtenant facilities, |
property rights, and easements, that are used exclusively for |
the purpose of transporting carbon dioxide to a point of sale, |
storage , enhanced oil recovery, or other carbon management |
application. "Carbon dioxide pipeline" or "pipeline" does not |
include the portion of pipelines sold or used for enhanced oil |
recovery in this State. |
"Clean coal facility" has the meaning ascribed to that |
term in Section 1-10 of the Illinois Power Agency Act. |
"Clean coal SNG facility" has the meaning ascribed to that |
term in Section 1-10 of the Illinois Power Agency Act. |
"Commission" means the Illinois Commerce Commission. |
"Legacy carbon dioxide pipeline" includes any carbon |
dioxide pipeline constructed before July 1, 2024 that is less |
than one mile in length, is located on property entirely owned |
by the pipeline operator, and is used to transport carbon |
dioxide to an injection well. |
|
"New carbon dioxide pipeline" means any carbon dioxide |
pipeline constructed after July 1, 2024. |
"Sequester" has the meaning ascribed to that term in |
Section 1-10 of the Illinois Power Agency Act. "Sequester" |
does not include the sale or use of carbon dioxide for enhanced |
oil recovery in Illinois. |
"Transportation" means the physical movement of carbon |
dioxide by pipeline conducted for a person's own use or |
account or the use or account of another person or persons. |
(Source: P.A. 97-534, eff. 8-23-11.) |
(220 ILCS 75/15) |
Sec. 15. Scope. This Act applies to the application |
process for the issuance of a certificate of authority by an |
owner or operator of a pipeline designed, constructed, and |
operated to transport and to sequester carbon dioxide produced |
by a clean coal facility, by a clean coal SNG facility, or by |
any other source that will result in the reduction of carbon |
dioxide emissions from that source . |
(Source: P.A. 97-534, eff. 8-23-11.) |
(220 ILCS 75/20) |
Sec. 20. Application. |
(a) No person or entity may construct, operate, or repair |
a carbon dioxide pipeline unless the person or entity |
possesses a certificate of authority. Nothing in this Act |
|
requires a legacy carbon dioxide pipeline to obtain a |
certificate of authority. |
(b) The Commission, after a hearing, may grant an |
application for a certificate of authority authorizing the |
construction and operation of a carbon dioxide pipeline if it |
makes a specific written finding as to each of the following: |
(1) the application was properly filed; |
(2) the applicant is fit, willing, and able to |
construct and operate the pipeline in compliance with this |
Act and with Commission regulations and orders of the |
Commission or any applicable federal agencies; |
(3) the applicant has entered into one or more |
agreements an agreement with a clean coal facility, a |
clean coal SNG facility, or any other source or sources |
that will result in the reduction of carbon dioxide |
emissions from that source or sources and the applicant |
has filed such agreement or agreements as part of its |
application ; |
(4) the applicant has filed with the Pipeline and |
Hazardous Materials Safety Administration of the U.S. |
Department of Transportation all forms required by that |
agency in advance of constructing a carbon dioxide |
pipeline; |
(5) the applicant has filed with the U.S. Army Corps |
of Engineers all applications for permits required by that |
agency in advance of constructing a carbon dioxide |
|
pipeline; |
(6) the applicant has entered into an agreement with |
the Illinois Department of Agriculture that governs the |
mitigation of agricultural impacts associated with the |
construction of the proposed pipeline; |
(6.1) the applicant has applied for any and all other |
federal permits necessary to construct and operate a |
carbon dioxide pipeline; |
(6.2) the applicant has held at least 2 prefiling |
public meetings to receive public comment concerning the |
proposed carbon dioxide pipeline in each county where the |
pipeline is to be located, no earlier than 6 months prior |
to the filing of the application. Notice of the public |
meeting shall be published in a newspaper of general |
circulation within the affected county once a week for 3 |
consecutive weeks, beginning no earlier than one month |
prior to the first public meeting. Notice of each public |
meeting, including a description of the carbon dioxide |
pipeline, must be provided in writing to the clerk of each |
county where the project is to be located and to the chief |
clerk of the Commission. A representative of the |
Commission shall be invited to each prefiling public |
meeting. The applicant shall maintain a dedicated public |
website which provides details regarding the proposed |
route of the pipeline, plans for construction, status of |
the application, and the manner in which members of the |
|
public may offer their opinions regarding the pipeline; |
(6.3) the applicant has directly contacted the owner |
of each parcel of land located within 2 miles of the |
proposed pipeline route by certified mail, or made good |
faith efforts if the owner of record cannot be located, |
advising them of the proposed pipeline route and of the |
date and time of each public meeting to be held in the |
county in which each landowner's property is located; |
(6.4) the applicant has prepared and submitted a |
detailed emergency operations plan, which addresses at a |
minimum, emergency operations plan requirements adopted by |
the Illinois Emergency Management Agency and Office of |
Homeland Security under paragraph (4) of subsection (f) of |
Section 5 of the Illinois Emergency Management Agency Act. |
The submitted emergency operations plan shall also provide |
for post-emergency analysis and controller actions. In |
addition, the applicant shall demonstrate that it has |
communicated with the county emergency services and |
disaster agency (ESDA), or other relevant mandated ESDA, |
to coordinate its emergency operations plan for the |
pipeline with the county ESDA's, or other relevant |
mandated ESDA's, emergency operations plan; |
(7) the applicant possesses the financial, managerial, |
legal, and technical qualifications necessary to construct |
and operate the proposed carbon dioxide pipeline; and |
(8) the proposed pipeline is consistent with the |
|
public interest, public benefit, and legislative purpose |
as set forth in this Act. In addition to any other evidence |
the Commission may consider on this specific finding, the |
Commission shall consider the following: |
(A) any evidence of the effect of the pipeline |
upon the economy, infrastructure, and public safety |
presented by local governmental units that will be |
affected by the proposed pipeline route; |
(B) any evidence of the effect of the pipeline |
upon property values presented by property owners who |
will be affected by the proposed pipeline or facility, |
provided that the Commission need not hear evidence as |
to the actual valuation of property such as that as |
would be presented to and determined by the courts |
under the Eminent Domain Act; |
(C) any evidence presented by the Department of |
Commerce and Economic Opportunity regarding the |
current and future local, State-wide, or regional |
economic effect, direct or indirect, of the proposed |
pipeline or facility including, but not limited to, |
ability of the State to attract economic growth, meet |
future energy requirements, and ensure compliance with |
environmental requirements and goals; |
(D) any evidence addressing the factors described |
in items (1) through (8) of this subsection (b) or |
other relevant factors that is presented by any other |
|
State agency, unit of local government, the applicant, |
a party, or other entity that participates in the |
proceeding, including evidence presented by the |
Commission's staff; and |
(E) any evidence presented by any State or federal |
governmental entity as to how the proposed pipeline |
will affect the security, stability, and reliability |
of public infrastructure energy . |
In its written order, the Commission shall address all of |
the evidence presented, and if the order is contrary to any of |
the evidence, the Commission shall state the reasons for its |
determination with regard to that evidence. |
(c) When an applicant files its application for a |
certificate of authority with the Commission, it shall provide |
notice to each unit of local government where the proposed |
pipeline will be located and include a map of the proposed |
pipeline route. The applicant shall also publish notice in a |
newspaper of general circulation in each county where the |
proposed pipeline is located. |
(d) An application for a certificate of authority filed |
pursuant to this Section shall request either that the |
Commission review and approve a specific route for a carbon |
dioxide pipeline, or that the Commission review and approve a |
project route width that identifies the areas in which the |
pipeline would be located, with such width ranging from the |
minimum width required for a pipeline right-of-way up to 200 |
|
feet in width. A map of the route or route width shall be |
included in the application. The purpose for allowing the |
option of review and approval of a project route width is to |
provide increased flexibility during the construction process |
to accommodate specific landowner requests, avoid |
environmentally sensitive areas, or address special |
environmental permitting requirements. |
(e) The Commission's rules shall ensure that notice of an |
application for a certificate of authority is provided within |
30 days after filing to the landowners along a proposed |
project route, or to the potentially affected landowners |
within a proposed project route width, using the notification |
procedures set forth in the Commission's rules. If the |
Commission grants approval of a project route width as opposed |
to a specific project route, then the applicant must, as it |
finalizes the actual pipeline alignment within the project |
route width, file its final list of affected landowners with |
the Commission at least 14 days in advance of beginning |
construction on any tract within the project route width and |
also provide the Commission with at least 14 days' notice |
before filing a complaint for eminent domain in the circuit |
court with regard to any tract within the project route width. |
(f) If an applicant has obtained all necessary federal |
licenses, permits, and authority necessary to construct and |
operate a carbon dioxide pipeline before it files an |
application pursuant to this Section, then the The Commission |
|
shall make its determination on any application for a |
certificate of authority filed pursuant to this Section and |
issue its final order within 11 months after the date that the |
application is filed. The Commission's failure to act within |
this time period shall not be deemed an approval or denial of |
the application. |
(g) A final order of the Commission granting a certificate |
of authority pursuant to this Act shall be conditioned upon |
the applicant obtaining all required permits or approvals from |
the Pipeline and Hazardous Materials Safety Administration of |
the U.S. Department of Transportation, U.S. Army Corps of |
Engineers, and Illinois Department of Agriculture, in addition |
to all other permits and approvals necessary for the |
construction and operation of the pipeline prior to the start |
of any construction. The final order must specifically |
prohibit the start of any construction until all such permits |
and approvals have been obtained. The Commission shall not |
issue any certificate of authority under this Act until (i) |
the Pipeline and Hazardous Materials Safety Administration has |
adopted final revisions to its pipeline safety rules intended |
to enhance the safe transportation of carbon dioxide by |
pipelines to accommodate an anticipated increase in the number |
of carbon dioxide pipelines and volume of carbon dioxide |
transported in the proposed rulemaking designated Regulatory |
Information Number 2137-AF60, and (ii) the Commission has |
verified that the submitted application complies with those |
|
finalized rules. If, after July 1, 2026, the Pipeline and |
Hazardous Materials Safety Administration has not adopted |
final revisions to its pipeline safety rules under the |
proposed rulemaking designated Regulatory Information Number |
2137-AF60, the Commission may only approve a certificate of |
authority under this Section if it finds that the applicant |
has met all of the requirements of this Act, has already |
acquired all of its other necessary approvals, and is |
compliant with any requirements or conditions adopted by the |
Commission subsection (g-5). |
(g-5) In granting a certificate under this Act, the |
Commission shall adopt such requirements or impose such |
conditions upon a certificate as in its opinion are necessary |
to preserve public safety, as long as such requirements are |
compatible with the minimum standards prescribed by the |
Pipeline and Hazardous Material Safety Administration. |
(h) Within 6 months after the Commission's entry of an |
order approving either a specific route or a project route |
width under this Section, the owner or operator of the carbon |
dioxide pipeline that receives that order may file |
supplemental applications for minor route deviations outside |
the approved project route width, allowing for additions or |
changes to the approved route to address environmental |
concerns encountered during construction or to accommodate |
landowner requests. The supplemental application shall |
specifically detail the environmental concerns or landowner |
|
requests prompting the route changes, including the names of |
any landowners or entities involved. Notice of a supplemental |
application shall be provided to any State agency or unit of |
local government that appeared in the original proceeding and |
to any landowner affected by the proposed route deviation at |
the time that supplemental application is filed. The route |
deviations shall be approved by the Commission no sooner than |
90 days after all interested parties receive notice of the |
supplemental application, unless a written objection is filed |
to the supplemental application within 45 days after such |
notice is received. If a written objection is filed, then the |
Commission shall issue an order either granting or denying the |
route deviation within 90 days after the filing of the |
objection. Hearings on any such supplemental application shall |
be limited to the reasonableness of the specific variance |
proposed, and the issues of the public interest and benefit of |
the project or fitness of the applicant shall be considered |
only to the extent that the route deviation has raised new |
concerns with regard to those issues. |
(i) A certificate of authority to construct and operate a |
carbon dioxide pipeline issued by the Commission shall contain |
and include all of the following: |
(1) a grant of authority to construct and operate a |
carbon dioxide pipeline as requested in the application, |
subject to the laws of this State; and |
(2) the right to seek eminent domain authority from |
|
the Commission under Section 8-509 of the Public Utilities |
Act. a limited grant of authority to take and acquire an |
easement in any property or interest in property for the |
construction, maintenance, or operation of a carbon |
dioxide pipeline in the manner provided for the exercise |
of the power of eminent domain under the Eminent Domain |
Act. The limited grant of authority shall be restricted |
to, and exercised solely for, the purpose of siting, |
rights-of-way, and easements appurtenant, including |
construction and maintenance. The applicant shall not |
exercise this power until it has used reasonable and good |
faith efforts to acquire the property or easement thereto. |
The applicant may thereafter use this power when the |
applicant determines that the easement is necessary to |
avoid unreasonable delay or economic hardship to the |
progress of activities carried out pursuant to the |
certificate of authority. |
(j) All applications under this Act pending before the |
Commission on the effective date of this amendatory Act of the |
103rd General Assembly shall be dismissed without prejudice. |
(Source: P.A. 97-534, eff. 8-23-11.) |
(220 ILCS 75/35 new) |
Sec. 35. Land surveys and land use studies. For the |
purpose of making land surveys and land use studies, any |
applicant that has been granted a certificate of authority |
|
under this Section may, 30 days after providing written notice |
to the landowner thereof by registered mail and after |
providing a second notice to the owner of record, as |
identified in the records of the relevant county tax assessor, |
by telephone or email or by registered mail if the landowner |
has not been notified by other means, at least 3 days, but not |
more than 15 days, prior to the stated date in the notice, |
identifying the date when land surveys and land use studies |
will first begin on the landowner's property and informing the |
landowner that the landowner or the landowner's agent may be |
present when the land surveys or land use studies occur, enter |
upon the property of any landowner who has refused permission |
for entrance upon that property, but subject to responsibility |
for all damages which may be inflicted thereby. |
(220 ILCS 75/40 new) |
Sec. 40. Pipeline operator fees. Any person or entity that |
has been granted a certificate of authority authorizing the |
construction and operation of a carbon dioxide pipeline |
pursuant to this Section or any person or entity operating a |
legacy carbon dioxide pipeline shall be assessed an annual fee |
per pipeline system operated in the State, plus an additional |
fee per mile of carbon dioxide pipeline in length that is |
physically operated or proposed to be operated in the State. |
The Commission may adopt any rules and procedures |
necessary to enforce and administer the provisions of this |
|
Act. The Commission may, by administrative rule, modify any |
rules or procedures or adjust any Commission fees necessary to |
regulate and enforce the provisions of this Act. The |
Commission shall adopt such rules in consultation with the |
Illinois Emergency Management Agency and Office of Homeland |
Security in order to establish the total amount necessary to |
cover the Commission's and Illinois Emergency Management |
Agency and Office of Homeland Security's administrative costs |
plus the amount necessary to fund the needs of emergency |
responders as determined by the Illinois Emergency Management |
Agency and Office of Homeland Security. The Commission rules |
shall include, but shall not be limited to, the following |
provisions: |
(1) a provision requiring a portion of the fee to be |
allocated to the Commission for purposes of assessing the |
permit application and regulating the operating pipeline; |
(2) a provision requiring the balance of the fee to be |
allocated and transferred to the Illinois Emergency |
Management Agency and Office of Homeland Security for |
compiling and maintaining emergency response plans and |
coordinating and funding training, exercises, and |
equipment of first responders along the pipeline route |
through agreements and grants to county emergency services |
and disaster agencies; |
(3) a provision requiring the fee to be payable to the |
Commission and due 30 days after the certificate of |
|
authority is granted by the Commission, and at the |
conclusion of each State fiscal year. The Commission shall |
transfer to the Illinois Emergency Management Agency and |
Office of Homeland Security's Emergency Planning and |
Training Fund its allocable share within 30 days following |
the end of each fiscal year to be utilized as indicated in |
paragraph (2); |
(4) a provision requiring the fee to be assessed with |
a flat fee per pipeline system, plus an additional fee |
assessed per each mile of a pipeline, based on the actual |
length of carbon dioxide pipeline that has been used to |
transport carbon dioxide in the State in the State fiscal |
year during which the fee is imposed; |
(5) a provision requiring the fee structure to be |
designed to collect the funds necessary for emergency |
responders in a manner that facilitates the safe and |
reliable development of new carbon dioxide pipelines |
within the State; and |
(6) a provision requiring the fee to be adjusted with |
inflation. |
Section 55. The Environmental Protection Act is amended by |
changing Section 21 and by adding Title XVIII as follows: |
(415 ILCS 5/21) (from Ch. 111 1/2, par. 1021) |
Sec. 21. Prohibited acts. No person shall: |
|
(a) Cause or allow the open dumping of any waste. |
(b) Abandon, dump, or deposit any waste upon the public |
highways or other public property, except in a sanitary |
landfill approved by the Agency pursuant to regulations |
adopted by the Board. |
(c) Abandon any vehicle in violation of the "Abandoned |
Vehicles Amendment to the Illinois Vehicle Code", as enacted |
by the 76th General Assembly. |
(d) Conduct any waste-storage, waste-treatment, or |
waste-disposal operation: |
(1) without a permit granted by the Agency or in |
violation of any conditions imposed by such permit, |
including periodic reports and full access to adequate |
records and the inspection of facilities, as may be |
necessary to assure compliance with this Act and with |
regulations and standards adopted thereunder; provided, |
however, that, except for municipal solid waste landfill |
units that receive waste on or after October 9, 1993, and |
CCR surface impoundments, no permit shall be required for |
(i) any person conducting a waste-storage, |
waste-treatment, or waste-disposal operation for wastes |
generated by such person's own activities which are |
stored, treated, or disposed within the site where such |
wastes are generated, (ii) until one year after the |
effective date of rules adopted by the Board under |
subsection (n) of Section 22.38, a facility located in a |
|
county with a population over 700,000 as of January 1, |
2000, operated and located in accordance with Section |
22.38 of this Act, and used exclusively for the transfer, |
storage, or treatment of general construction or |
demolition debris, provided that the facility was |
receiving construction or demolition debris on August 24, |
2009 (the effective date of Public Act 96-611), or (iii) |
any person conducting a waste transfer, storage, |
treatment, or disposal operation, including, but not |
limited to, a waste transfer or waste composting |
operation, under a mass animal mortality event plan |
created by the Department of Agriculture; |
(2) in violation of any regulations or standards |
adopted by the Board under this Act; |
(3) which receives waste after August 31, 1988, does |
not have a permit issued by the Agency, and is (i) a |
landfill used exclusively for the disposal of waste |
generated at the site, (ii) a surface impoundment |
receiving special waste not listed in an NPDES permit, |
(iii) a waste pile in which the total volume of waste is |
greater than 100 cubic yards or the waste is stored for |
over one year, or (iv) a land treatment facility receiving |
special waste generated at the site; without giving notice |
of the operation to the Agency by January 1, 1989, or 30 |
days after the date on which the operation commences, |
whichever is later, and every 3 years thereafter. The form |
|
for such notification shall be specified by the Agency, |
and shall be limited to information regarding: the name |
and address of the location of the operation; the type of |
operation; the types and amounts of waste stored, treated |
or disposed of on an annual basis; the remaining capacity |
of the operation; and the remaining expected life of the |
operation. |
Item (3) of this subsection (d) shall not apply to any |
person engaged in agricultural activity who is disposing of a |
substance that constitutes solid waste, if the substance was |
acquired for use by that person on his own property, and the |
substance is disposed of on his own property in accordance |
with regulations or standards adopted by the Board. |
This subsection (d) shall not apply to hazardous waste. |
(e) Dispose, treat, store or abandon any waste, or |
transport any waste into this State for disposal, treatment, |
storage or abandonment, except at a site or facility which |
meets the requirements of this Act and of regulations and |
standards thereunder. |
(f) Conduct any hazardous waste-storage, hazardous |
waste-treatment or hazardous waste-disposal operation: |
(1) without a RCRA permit for the site issued by the |
Agency under subsection (d) of Section 39 of this Act, or |
in violation of any condition imposed by such permit, |
including periodic reports and full access to adequate |
records and the inspection of facilities, as may be |
|
necessary to assure compliance with this Act and with |
regulations and standards adopted thereunder; or |
(2) in violation of any regulations or standards |
adopted by the Board under this Act; or |
(3) in violation of any RCRA permit filing requirement |
established under standards adopted by the Board under |
this Act; or |
(4) in violation of any order adopted by the Board |
under this Act. |
Notwithstanding the above, no RCRA permit shall be |
required under this subsection or subsection (d) of Section 39 |
of this Act for any person engaged in agricultural activity |
who is disposing of a substance which has been identified as a |
hazardous waste, and which has been designated by Board |
regulations as being subject to this exception, if the |
substance was acquired for use by that person on his own |
property and the substance is disposed of on his own property |
in accordance with regulations or standards adopted by the |
Board. |
(g) Conduct any hazardous waste-transportation operation: |
(1) without registering with and obtaining a special |
waste hauling permit from the Agency in accordance with |
the regulations adopted by the Board under this Act; or |
(2) in violation of any regulations or standards |
adopted by the Board under this Act. |
(h) Conduct any hazardous waste-recycling or hazardous |
|
waste-reclamation or hazardous waste-reuse operation in |
violation of any regulations, standards or permit requirements |
adopted by the Board under this Act. |
(i) Conduct any process or engage in any act which |
produces hazardous waste in violation of any regulations or |
standards adopted by the Board under subsections (a) and (c) |
of Section 22.4 of this Act. |
(j) Conduct any special waste-transportation operation in |
violation of any regulations, standards or permit requirements |
adopted by the Board under this Act. However, sludge from a |
water or sewage treatment plant owned and operated by a unit of |
local government which (1) is subject to a sludge management |
plan approved by the Agency or a permit granted by the Agency, |
and (2) has been tested and determined not to be a hazardous |
waste as required by applicable State and federal laws and |
regulations, may be transported in this State without a |
special waste hauling permit, and the preparation and carrying |
of a manifest shall not be required for such sludge under the |
rules of the Pollution Control Board. The unit of local |
government which operates the treatment plant producing such |
sludge shall file an annual report with the Agency identifying |
the volume of such sludge transported during the reporting |
period, the hauler of the sludge, and the disposal sites to |
which it was transported. This subsection (j) shall not apply |
to hazardous waste. |
(k) Fail or refuse to pay any fee imposed under this Act. |
|
(l) Locate a hazardous waste disposal site above an active |
or inactive shaft or tunneled mine or within 2 miles of an |
active fault in the earth's crust. In counties of population |
less than 225,000 no hazardous waste disposal site shall be |
located (1) within 1 1/2 miles of the corporate limits as |
defined on June 30, 1978, of any municipality without the |
approval of the governing body of the municipality in an |
official action; or (2) within 1000 feet of an existing |
private well or the existing source of a public water supply |
measured from the boundary of the actual active permitted site |
and excluding existing private wells on the property of the |
permit applicant. The provisions of this subsection do not |
apply to publicly owned sewage works or the disposal or |
utilization of sludge from publicly owned sewage works. |
(m) Transfer interest in any land which has been used as a |
hazardous waste disposal site without written notification to |
the Agency of the transfer and to the transferee of the |
conditions imposed by the Agency upon its use under subsection |
(g) of Section 39. |
(n) Use any land which has been used as a hazardous waste |
disposal site except in compliance with conditions imposed by |
the Agency under subsection (g) of Section 39. |
(o) Conduct a sanitary landfill operation which is |
required to have a permit under subsection (d) of this |
Section, in a manner which results in any of the following |
conditions: |
|
(1) refuse in standing or flowing waters; |
(2) leachate flows entering waters of the State; |
(3) leachate flows exiting the landfill confines (as |
determined by the boundaries established for the landfill |
by a permit issued by the Agency); |
(4) open burning of refuse in violation of Section 9 |
of this Act; |
(5) uncovered refuse remaining from any previous |
operating day or at the conclusion of any operating day, |
unless authorized by permit; |
(6) failure to provide final cover within time limits |
established by Board regulations; |
(7) acceptance of wastes without necessary permits; |
(8) scavenging as defined by Board regulations; |
(9) deposition of refuse in any unpermitted portion of |
the landfill; |
(10) acceptance of a special waste without a required |
manifest; |
(11) failure to submit reports required by permits or |
Board regulations; |
(12) failure to collect and contain litter from the |
site by the end of each operating day; |
(13) failure to submit any cost estimate for the site |
or any performance bond or other security for the site as |
required by this Act or Board rules. |
The prohibitions specified in this subsection (o) shall be |
|
enforceable by the Agency either by administrative citation |
under Section 31.1 of this Act or as otherwise provided by this |
Act. The specific prohibitions in this subsection do not limit |
the power of the Board to establish regulations or standards |
applicable to sanitary landfills. |
(p) In violation of subdivision (a) of this Section, cause |
or allow the open dumping of any waste in a manner which |
results in any of the following occurrences at the dump site: |
(1) litter; |
(2) scavenging; |
(3) open burning; |
(4) deposition of waste in standing or flowing waters; |
(5) proliferation of disease vectors; |
(6) standing or flowing liquid discharge from the dump |
site; |
(7) deposition of: |
(i) general construction or demolition debris as |
defined in Section 3.160(a) of this Act; or |
(ii) clean construction or demolition debris as |
defined in Section 3.160(b) of this Act. |
The prohibitions specified in this subsection (p) shall be |
enforceable by the Agency either by administrative citation |
under Section 31.1 of this Act or as otherwise provided by this |
Act. The specific prohibitions in this subsection do not limit |
the power of the Board to establish regulations or standards |
applicable to open dumping. |
|
(q) Conduct a landscape waste composting operation without |
an Agency permit, provided, however, that no permit shall be |
required for any person: |
(1) conducting a landscape waste composting operation |
for landscape wastes generated by such person's own |
activities which are stored, treated, or disposed of |
within the site where such wastes are generated; or |
(1.5) conducting a landscape waste composting |
operation that (i) has no more than 25 cubic yards of |
landscape waste, composting additives, composting |
material, or end-product compost on-site at any one time |
and (ii) is not engaging in commercial activity; or |
(2) applying landscape waste or composted landscape |
waste at agronomic rates; or |
(2.5) operating a landscape waste composting facility |
at a site having 10 or more occupied non-farm residences |
within 1/2 mile of its boundaries, if the facility meets |
all of the following criteria: |
(A) the composting facility is operated by the |
farmer on property on which the composting material is |
utilized, and the composting facility constitutes no |
more than 2% of the site's total acreage; |
(A-5) any composting additives that the composting |
facility accepts and uses at the facility are |
necessary to provide proper conditions for composting |
and do not exceed 10% of the total composting material |
|
at the facility at any one time; |
(B) the property on which the composting facility |
is located, and any associated property on which the |
compost is used, is principally and diligently devoted |
to the production of agricultural crops and is not |
owned, leased, or otherwise controlled by any waste |
hauler or generator of nonagricultural compost |
materials, and the operator of the composting facility |
is not an employee, partner, shareholder, or in any |
way connected with or controlled by any such waste |
hauler or generator; |
(C) all compost generated by the composting |
facility, except incidental sales of finished compost, |
is applied at agronomic rates and used as mulch, |
fertilizer, or soil conditioner on land actually |
farmed by the person operating the composting |
facility, and the finished compost is not stored at |
the composting site for a period longer than 18 months |
prior to its application as mulch, fertilizer, or soil |
conditioner; |
(D) no fee is charged for the acceptance of |
materials to be composted at the facility; and |
(E) the owner or operator, by January 1, 2014 (or |
the January 1 following commencement of operation, |
whichever is later) and January 1 of each year |
thereafter, registers the site with the Agency, (ii) |
|
reports to the Agency on the volume of composting |
material received and used at the site; (iii) |
certifies to the Agency that the site complies with |
the requirements set forth in subparagraphs (A), |
(A-5), (B), (C), and (D) of this paragraph (2.5); and |
(iv) certifies to the Agency that all composting |
material was placed more than 200 feet from the |
nearest potable water supply well, was placed outside |
the boundary of the 10-year floodplain or on a part of |
the site that is floodproofed, was placed at least 1/4 |
mile from the nearest residence (other than a |
residence located on the same property as the |
facility) or a lesser distance from the nearest |
residence (other than a residence located on the same |
property as the facility) if the municipality in which |
the facility is located has by ordinance approved a |
lesser distance than 1/4 mile, and was placed more |
than 5 feet above the water table; any ordinance |
approving a residential setback of less than 1/4 mile |
that is used to meet the requirements of this |
subparagraph (E) of paragraph (2.5) of this subsection |
must specifically reference this paragraph; or |
(3) operating a landscape waste composting facility on |
a farm, if the facility meets all of the following |
criteria: |
(A) the composting facility is operated by the |
|
farmer on property on which the composting material is |
utilized, and the composting facility constitutes no |
more than 2% of the property's total acreage, except |
that the Board may allow a higher percentage for |
individual sites where the owner or operator has |
demonstrated to the Board that the site's soil |
characteristics or crop needs require a higher rate; |
(A-1) the composting facility accepts from other |
agricultural operations for composting with landscape |
waste no materials other than uncontaminated and |
source-separated (i) crop residue and other |
agricultural plant residue generated from the |
production and harvesting of crops and other customary |
farm practices, including, but not limited to, stalks, |
leaves, seed pods, husks, bagasse, and roots and (ii) |
plant-derived animal bedding, such as straw or |
sawdust, that is free of manure and was not made from |
painted or treated wood; |
(A-2) any composting additives that the composting |
facility accepts and uses at the facility are |
necessary to provide proper conditions for composting |
and do not exceed 10% of the total composting material |
at the facility at any one time; |
(B) the property on which the composting facility |
is located, and any associated property on which the |
compost is used, is principally and diligently devoted |
|
to the production of agricultural crops and is not |
owned, leased or otherwise controlled by any waste |
hauler or generator of nonagricultural compost |
materials, and the operator of the composting facility |
is not an employee, partner, shareholder, or in any |
way connected with or controlled by any such waste |
hauler or generator; |
(C) all compost generated by the composting |
facility, except incidental sales of finished compost, |
is applied at agronomic rates and used as mulch, |
fertilizer or soil conditioner on land actually farmed |
by the person operating the composting facility, and |
the finished compost is not stored at the composting |
site for a period longer than 18 months prior to its |
application as mulch, fertilizer, or soil conditioner; |
(D) the owner or operator, by January 1 of each |
year, (i) registers the site with the Agency, (ii) |
reports to the Agency on the volume of composting |
material received and used at the site and the volume |
of material comprising the incidental sale of finished |
compost under this subsection (q), (iii) certifies to |
the Agency that the site complies with the |
requirements set forth in subparagraphs (A), (A-1), |
(A-2), (B), and (C) of this paragraph (q)(3), and (iv) |
certifies to the Agency that all composting material: |
(I) was placed more than 200 feet from the |
|
nearest potable water supply well; |
(II) was placed outside the boundary of the |
10-year floodplain or on a part of the site that is |
floodproofed; |
(III) was placed either (aa) at least 1/4 mile |
from the nearest residence (other than a residence |
located on the same property as the facility) and |
there are not more than 10 occupied non-farm |
residences within 1/2 mile of the boundaries of |
the site on the date of application or (bb) a |
lesser distance from the nearest residence (other |
than a residence located on the same property as |
the facility) provided that the municipality or |
county in which the facility is located has by |
ordinance approved a lesser distance than 1/4 mile |
and there are not more than 10 occupied non-farm |
residences within 1/2 mile of the boundaries of |
the site on the date of application; and |
(IV) was placed more than 5 feet above the |
water table. |
Any ordinance approving a residential setback of |
less than 1/4 mile that is used to meet the |
requirements of this subparagraph (D) must |
specifically reference this subparagraph. |
For the purposes of this subsection (q), "agronomic rates" |
means the application of not more than 20 tons per acre per |
|
year, except that the Board may allow a higher rate for |
individual sites where the owner or operator has demonstrated |
to the Board that the site's soil characteristics or crop |
needs require a higher rate. |
For the purposes of this subsection (q), "incidental sale |
of finished compost" means the sale of finished compost that |
meets general use compost standards and is no more than 20% or |
300 cubic yards, whichever is less, of the total compost |
created annually by a private landowner for the landowner's |
own use. |
(r) Cause or allow the storage or disposal of coal |
combustion waste unless: |
(1) such waste is stored or disposed of at a site or |
facility for which a permit has been obtained or is not |
otherwise required under subsection (d) of this Section; |
or |
(2) such waste is stored or disposed of as a part of |
the design and reclamation of a site or facility which is |
an abandoned mine site in accordance with the Abandoned |
Mined Lands and Water Reclamation Act; or |
(3) such waste is stored or disposed of at a site or |
facility which is operating under NPDES and Subtitle D |
permits issued by the Agency pursuant to regulations |
adopted by the Board for mine-related water pollution and |
permits issued pursuant to the federal Surface Mining |
Control and Reclamation Act of 1977 (P.L. 95-87) or the |
|
rules and regulations thereunder or any law or rule or |
regulation adopted by the State of Illinois pursuant |
thereto, and the owner or operator of the facility agrees |
to accept the waste; and either: |
(i) such waste is stored or disposed of in |
accordance with requirements applicable to refuse |
disposal under regulations adopted by the Board for |
mine-related water pollution and pursuant to NPDES and |
Subtitle D permits issued by the Agency under such |
regulations; or |
(ii) the owner or operator of the facility |
demonstrates all of the following to the Agency, and |
the facility is operated in accordance with the |
demonstration as approved by the Agency: (1) the |
disposal area will be covered in a manner that will |
support continuous vegetation, (2) the facility will |
be adequately protected from wind and water erosion, |
(3) the pH will be maintained so as to prevent |
excessive leaching of metal ions, and (4) adequate |
containment or other measures will be provided to |
protect surface water and groundwater from |
contamination at levels prohibited by this Act, the |
Illinois Groundwater Protection Act, or regulations |
adopted pursuant thereto. |
Notwithstanding any other provision of this Title, the |
disposal of coal combustion waste pursuant to item (2) or (3) |
|
of this subdivision (r) shall be exempt from the other |
provisions of this Title V, and notwithstanding the provisions |
of Title X of this Act, the Agency is authorized to grant |
experimental permits which include provision for the disposal |
of wastes from the combustion of coal and other materials |
pursuant to items (2) and (3) of this subdivision (r). |
(s) After April 1, 1989, offer for transportation, |
transport, deliver, receive or accept special waste for which |
a manifest is required, unless the manifest indicates that the |
fee required under Section 22.8 of this Act has been paid. |
(t) Cause or allow a lateral expansion of a municipal |
solid waste landfill unit on or after October 9, 1993, without |
a permit modification, granted by the Agency, that authorizes |
the lateral expansion. |
(u) Conduct any vegetable by-product treatment, storage, |
disposal or transportation operation in violation of any |
regulation, standards or permit requirements adopted by the |
Board under this Act. However, no permit shall be required |
under this Title V for the land application of vegetable |
by-products conducted pursuant to Agency permit issued under |
Title III of this Act to the generator of the vegetable |
by-products. In addition, vegetable by-products may be |
transported in this State without a special waste hauling |
permit, and without the preparation and carrying of a |
manifest. |
(v) (Blank). |
|
(w) Conduct any generation, transportation, or recycling |
of construction or demolition debris, clean or general, or |
uncontaminated soil generated during construction, remodeling, |
repair, and demolition of utilities, structures, and roads |
that is not commingled with any waste, without the maintenance |
of documentation identifying the hauler, generator, place of |
origin of the debris or soil, the weight or volume of the |
debris or soil, and the location, owner, and operator of the |
facility where the debris or soil was transferred, disposed, |
recycled, or treated. This documentation must be maintained by |
the generator, transporter, or recycler for 3 years. This |
subsection (w) shall not apply to (1) a permitted pollution |
control facility that transfers or accepts construction or |
demolition debris, clean or general, or uncontaminated soil |
for final disposal, recycling, or treatment, (2) a public |
utility (as that term is defined in the Public Utilities Act) |
or a municipal utility, (3) the Illinois Department of |
Transportation, or (4) a municipality or a county highway |
department, with the exception of any municipality or county |
highway department located within a county having a population |
of over 3,000,000 inhabitants or located in a county that is |
contiguous to a county having a population of over 3,000,000 |
inhabitants; but it shall apply to an entity that contracts |
with a public utility, a municipal utility, the Illinois |
Department of Transportation, or a municipality or a county |
highway department. The terms "generation" and "recycling", as |
|
used in this subsection, do not apply to clean construction or |
demolition debris when (i) used as fill material below grade |
outside of a setback zone if covered by sufficient |
uncontaminated soil to support vegetation within 30 days of |
the completion of filling or if covered by a road or structure, |
(ii) solely broken concrete without protruding metal bars is |
used for erosion control, or (iii) milled asphalt or crushed |
concrete is used as aggregate in construction of the shoulder |
of a roadway. The terms "generation" and "recycling", as used |
in this subsection, do not apply to uncontaminated soil that |
is not commingled with any waste when (i) used as fill material |
below grade or contoured to grade, or (ii) used at the site of |
generation. |
(y) Inject any carbon dioxide stream produced by a carbon |
dioxide capture project into a Class II well, as defined by the |
Board under this Act, or a Class VI well converted from a Class |
II well, for purposes of enhanced oil or gas recovery, |
including, but not limited to, the facilitation of enhanced |
oil or gas recovery from another well. |
(z) Sell or transport concentrated carbon dioxide stream |
produced by a carbon dioxide capture project for use in |
enhanced oil or gas recovery. |
(aa) Operate a carbon sequestration activity in a manner |
that causes, threatens, or allows the release of carbon |
dioxide so as to tend to cause water pollution in this State. |
(Source: P.A. 102-216, eff. 1-1-22; 102-310, eff. 8-6-21; |
|
102-558, eff. 8-20-21; 102-813, eff. 5-13-22; 103-342, eff. |
1-1-24 .) |
(415 ILCS 5/Tit. XVIII heading new) |
TITLE XVIII: CARBON CAPTURE AND SEQUESTRATION |
(415 ILCS 5/59 new) |
Sec. 59. Definitions. As used in this Title: |
"Carbon dioxide capture project" mean a project or |
facility that: |
(1) uses equipment to capture a significant quantity |
of carbon dioxide directly from the ambient air or uses a |
process to separate carbon dioxide from industrial or |
energy-related sources, other than oil or gas production |
from a well; and |
(2) produces a concentrated fluid of carbon dioxide. |
"Carbon dioxide stream" means carbon dioxide, any |
incidental associated substances derived from the source |
materials and process of producing or capturing carbon |
dioxide, and any substance added to the stream to enable or |
improve the injection process or the detection of a leak or |
rupture. |
"Carbon sequestration activity" means the injection of one |
or more carbon dioxide streams into underground geologic |
formations under at least one Class VI well permit for |
long-term sequestration. |
|
"Criteria pollutants" means the 6 pollutants for which the |
United States Environmental Protection Agency has set National |
Ambient Air Quality Standards under Section 109 of the Clean |
Air Act, together with recognized precursors to those |
pollutants. |
"Project labor agreement" means a prehire collective |
bargaining agreement that covers all terms and conditions of |
employment on a specific construction project and must include |
the following: |
(1) provisions establishing the minimum hourly wage |
for each class of labor organization employee; |
(2) provisions establishing the benefits and other |
compensation for each class of labor organization |
employee; |
(3) provisions establishing that no strike or disputes |
will be engaged in by the labor organization employees; |
(4) provisions establishing that no lockout or |
disputes will be engaged in by the general contractor |
building the project; and |
(5) provisions for minorities and women, as defined |
under the Business Enterprise for Minorities, Women, and |
Persons with Disabilities Act, setting forth goals for |
apprenticeship hours to be performed by minorities and |
women and setting forth goals for total hours to be |
performed by underrepresented minorities and women. |
"Project labor agreement" includes other terms and conditions |
|
a labor organization or general contractor building the |
project deems necessary. |
"Sequestration facility" means the carbon dioxide |
sequestration reservoir, underground equipment, including, but |
not limited to, well penetrations, and surface facilities and |
equipment used or proposed to be used in a carbon |
sequestration activity. "Sequestration facility" includes each |
injection well and equipment used to connect surface |
activities to the carbon dioxide sequestration reservoir and |
underground equipment. "Sequestration facility" does not |
include pipelines used to transport carbon dioxide to a |
sequestration facility. |
(415 ILCS 5/59.1 new) |
Sec. 59.1. Carbon capture permit requirements. For air |
construction permit applications for carbon dioxide capture |
projects at existing sources submitted on or after the |
effective date of this amendatory Act of the 103rd General |
Assembly, no permit may be issued unless all of the following |
requirements are met: |
(1) The permit applicant demonstrates that there will |
be no net increase in the individual allowable potential |
annual criteria pollutant emissions at the source. If the |
Agency determines that it is technically infeasible for an |
applicant to demonstrate that there will be no net |
increase in the individual allowable potential annual |
|
criteria pollutant emissions at the source, the Agency |
shall allow an alternative demonstration. |
(2) The Agency has complied with the public |
participation requirements under 35 Ill. Adm. Code 252. |
(3) The permit applicant submits to the Agency in its |
permit application, a Greenhouse Gas Inventory Analysis, |
as set forth in guidance from the United States |
Environmental Protection Agency, that includes all |
emissions at the stack or emissions source from which |
carbon dioxide is captured and a demonstration that the |
total greenhouse gas emissions associated with capture, |
including, but not limited to, (i) the emissions at the |
stack or emissions source from which the carbon dioxide is |
captured, (ii) the additional emissions associated with |
additional electricity generated, whether on-site or |
off-site, used to power any capture equipment, and (iii) |
any increased emissions necessary for the operation of the |
capture facility as compared to before the installation |
and operation of the capture equipment at the facility, do |
not exceed the total amount of greenhouse gas emissions |
captured. This comparison shall be made on an annual |
basis, projected across the proposed life span of the |
capture project. |
(4) The permit applicant provides a water impact |
assessment report. The report must have been submitted to |
Department of Natural Resources and to the Soil and Water |
|
Conservation District in the county in which the project |
will be constructed. The report shall identify the |
following: |
(A) each water source to be used by the project; |
(B) the pumping method to be used by the project; |
(C) the maximum and expected average daily pumping |
rates for the pumps used by the project; |
(D) the impacts to each water source used by the |
project, such as aquifer drawdown or river reductions; |
and |
(E) a detailed assessment of the impact on water |
users near the area of impact. |
The water impact assessment shall consider the water |
impacts (i) immediately following the project's initial |
operations, (ii) at the end of the project's expected |
operational life, and (iii) during a drought or other |
similar event. |
The permit applicant shall submit a certification to the |
Agency that the applicant has submitted its initial water use |
impact study and the applicant's ongoing water usage to the |
Department of Natural Resources. This requirement may be |
satisfied by submitting to the Agency copies of documents |
provided to the United States Environmental Protection Agency |
in accordance with 40 CFR 146.82 if the applicant satisfies |
the requirements of this Section. |
|
(415 ILCS 5/59.2 new) |
Sec. 59.2. Report on minimum carbon capture standards and |
the deployment of carbon capture and sequestration technology. |
By December 1, 2028, the Agency, in consultation with Illinois |
Emergency Management Agency and Office of Homeland Security, |
the Illinois Commerce Commission, the Commission on |
Environmental Justice, and the Department of Natural |
Resources, shall submit to the Governor and General Assembly, |
a report that reviews the progress on the implementation of |
carbon dioxide capture, transport, and storage projects in |
this State. The Agency may also obtain outside consultants to |
assist with the report. The report shall include, at minimum: |
(1) a review of federal and other State statutory or |
regulatory actions to establish and implement a minimum |
carbon capture efficiency rate at the stack or emission |
point; |
(2) a review of active and proposed capture projects, |
including the types of technology and capture rates used |
by various industry subsectors to capture and store |
carbon; |
(3) an assessment of the technical and economic |
feasibility of carbon capture in various industries and |
various rates of capture; and |
(4) an environmental justice analysis which includes, |
but is not limited to: |
(A) an assessment of capture, transport, and |
|
sequestration projects that present potential impacts |
on environmental justice communities and economically |
disadvantaged rural communities; |
(B) how public participation processes associated |
with the permitting of carbon capture, transport, and |
storage projects provide transparency and meaningful |
participation for environmental justice communities, |
rural communities, minority populations, low-income |
populations, tribes, or indigenous peoples; and |
(C) options for State agencies and decision-makers |
to improve environmental, public health, and economic |
protections for environmental justice communities and |
economically disadvantaged rural communities in |
permitting and regulatory enforcement of permit |
provisions of carbon capture, transport, and |
sequestration proposals. |
(415 ILCS 5/59.3 new) |
Sec. 59.3. Minimum carbon dioxide capture efficiency |
rulemaking authority. The Agency may propose, and the Board |
may adopt, rules to establish a minimum carbon capture |
efficiency rate for carbon capture projects. The Agency may |
propose, and the Board may adopt, a minimum carbon capture |
efficiency rate that is applicable to all carbon capture |
projects or individual efficiencies applicable to distinct |
industries. |
|
(415 ILCS 5/59.4 new) |
Sec. 59.4. Report on the status and impact of carbon |
capture and sequestration. Beginning July 1, 2029, and every 5 |
years thereafter, the Agency shall submit a report to the |
Governor and General Assembly that includes, for each carbon |
dioxide capture project in this State: |
(1) the amount of carbon dioxide captured on an annual |
basis; |
(2) the means for transporting the carbon dioxide to a |
sequestration or utilization facility; |
(3) the location of the sequestration or utilization |
facility used; |
(4) the electrical power consumption of the carbon |
dioxide capture equipment; and |
(5) the generation source or sources providing |
electrical power for the carbon dioxide capture equipment |
and the emissions of CO 2 and criteria pollutants of the |
generation source or sources. |
(415 ILCS 5/59.5 new) |
Sec. 59.5. Prohibitions. |
(a) No person shall conduct a carbon sequestration |
activity without a permit issued by the Agency under Section |
59.6. This prohibition does not apply to any carbon |
sequestration activity in existence and permitted by the |
|
United States Environmental Protection Agency on or before the |
effective date of this amendatory Act of the 103rd General |
Assembly or to any Class VI well for which (1) a Class VI well |
permit has been filed with the United States Environmental |
Protection Agency and a completeness determination had been |
received prior to January 1, 2023, and (2) the sequestration |
activity will occur on a contiguous property with common |
ownership where the carbon dioxide is generated, captured, and |
injected. |
(b) No person shall conduct a carbon sequestration |
activity in violation of this Act. |
(c) No person shall conduct a carbon sequestration |
activity in violation of any applicable rules adopted by the |
Pollution Control Board. |
(d) No person shall conduct a carbon sequestration |
activity in violation of a permit issued by the Agency under |
this Act. |
(e) No person shall fail to submit reports required by |
this Act or required by a permit issued by the Agency under |
this Act. |
(f) No person shall conduct a carbon sequestration |
activity without obtaining an order for integration of pore |
space from the Department of Natural Resources, if applicable. |
(415 ILCS 5/59.6 new) |
Sec. 59.6. Sequestration permit; application contents. An |
|
application to obtain a carbon sequestration permit under this |
Act shall contain, at a minimum, the following: |
(1) A map and accompanying description that clearly |
identifies the location of all carbon sequestration |
activities for which a permit is sought. |
(2) A map and accompanying description that clearly |
identifies the properties overlaying the carbon |
sequestration activity. |
(3) Copies of any permit and related application |
materials submitted to or issued by the United States |
Environmental Protection Agency in accordance with 40 CFR |
146.82. |
(4) A report describing air and soil gas baseline |
conditions at properties potentially impacted by a release |
from the carbon sequestration activity to determine |
background levels of constituents of concern present |
before the commencement of the carbon sequestration |
activity for which a permit is sought. The report must: |
(A) contain sampling data generated within 180 |
calendar days prior to the submission of the permit |
application; |
(B) identify the constituents of concern for which |
monitoring was conducted and the method for selecting |
those constituents of concern; |
(C) use and describe the sampling methodology |
employed to collect and test air and soil samples in a |
|
manner consistent with standards established by a |
national laboratory accreditation body; |
(D) identify the accredited laboratory used to |
conduct necessary testing; and |
(E) include the sampling results for the |
identified constituents of concern. |
(5) The permit application must include an air |
monitoring plan containing, at a minimum, the following |
elements: |
(A) sufficient surface and near-surface monitoring |
points based on potential risks of atmospheric carbon |
dioxide and any other identified constituents of |
concern attributable to the carbon sequestration |
activity to identify the nature and extent any release |
of carbon dioxide or other constituents of concern, |
the source of the release, and the estimated volume of |
the release; |
(B) a monitoring frequency designed to evaluate |
the nature and extent of any release of carbon dioxide |
or other constituents of concern, the source of the |
release, and the estimated volume of the release; |
(C) a description of the monitoring network |
components and methods, including sampling and |
equipment quality assurance methods, that comply with |
applicable testing and laboratory standards, |
established by a national laboratory accreditation |
|
body; |
(D) confirmation monitoring protocols to address |
any monitoring results that reflect a statistically |
significant increase over background levels; and |
(E) development and submission of quarterly air |
monitoring reports to the Agency. |
This requirement may be satisfied by the submission of |
copies of documents provided to the United States |
Environmental Protection Agency in accordance with 40 CFR |
146.82 if the applicant satisfies the requirements of this |
Section. |
(6) The permit application must include a soil gas |
monitoring plan containing, at a minimum, the following |
elements: |
(A) sufficient soil sampling points and sampling |
depths to identify the nature and extent of any |
release of carbon dioxide or other constituents of |
concern, the source of the release, and the estimated |
volume of the release; |
(B) a monitoring frequency designed to identify |
the nature and extent of any release of carbon dioxide |
or other constituents of concern, the source of the |
release, and the estimated volume of the release; |
(C) a description of the monitoring network |
components and methods, including sampling and |
equipment quality assurance methods, that comply with |
|
applicable testing and laboratory standards, |
established by a national laboratory accreditation |
body; |
(D) confirmation monitoring protocols to address |
any monitoring results that reflect a statistically |
significant increase over background levels; and |
(E) development and submission of quarterly soil |
gas monitoring reports to the Agency. |
This requirement may be satisfied by the submission of |
copies of documents provided to the United States |
Environmental Protection Agency in accordance with 40 CFR |
146.82 if the applicant satisfies the requirements of this |
Section. |
(7) The permit application must include an emergency |
response plan designed to respond to and minimize the |
immediate threat to human health and the environment from |
a release from the carbon sequestration activity. The plan |
must have been submitted to the Illinois Emergency |
Management Agency and Office of Homeland Security for |
review and input on the emergency preparedness activities |
prior to submitting in a permit application to the Agency. |
Proof of this submission must be included with the permit |
application. The plan must: |
(A) identify the resources and infrastructure near |
carbon sequestration activity; |
(B) identify potential risk scenarios that would |
|
result in the need to trigger a response plan. |
Potential risk scenarios must include, at a minimum: |
(i) injection or monitoring well integrity |
failure; |
(ii) injection well monitoring equipment |
failure; |
(iii) fluid or carbon dioxide release; |
(iv) natural disaster; or |
(v) induced or natural seismic event; |
(C) describe response actions necessary to prepare |
for and address each risk scenario identified in the |
emergency response plan. These actions should include, |
but are not limited to, identification and maintenance |
of sensors and alarms to detect carbon dioxide leaks, |
an internal and external communications plan |
accounting for external communications to the public |
in the primary languages of potentially impacted |
populations, a training program that includes regular |
training for employees and emergency responders on how |
to handle carbon dioxide, public safety, and |
evacuation plans, and post-incident analysis and |
reporting procedures; |
(D) identify personnel and equipment necessary to |
comprehensively address the emergency; |
(E) describe emergency notification procedures, |
including notifications to and coordination with State |
|
and local emergency response agencies; |
(F) describe the process for determining the |
nature and extent of any injuries or private or public |
property damage attributable to the release of carbon |
dioxide; |
(G) include an air and soil gas monitoring plan |
designed to determine the nature and extent of any air |
or soil gas impacts attributable to a release from the |
permitted carbon sequestration activity; and |
(H) provide any additional information or action |
plans requested by the Agency or the Illinois |
Emergency Management Agency and Office of Homeland |
Security. |
This requirement may be satisfied by the submission of |
copies of documents provided to the United States |
Environmental Protection Agency in accordance with 40 CFR |
146.82 if the applicant satisfies the requirements of this |
Section. |
(8) The permit applicant must include a water impact |
assessment report. The report must have been submitted to |
the Department of Natural Resources and to the Soil and |
Water Conservation District in the county in which the |
project will be constructed. The report shall identify the |
following: |
(A) each water source to be used by the project; |
(B) the pumping method to be used by the project; |
|
(C) the maximum and expected average daily pumping |
rates for the pumps used by the project; |
(D) the impacts to each water source, such as |
aquifer drawdown or river reductions; and |
(E) a detailed assessment of the impact of the |
project on water users near the area of impact. |
The impact assessment shall consider the water impacts |
(i) immediately following the project's initial |
operations, (ii) at the end of the project's expected |
operational life, and (iii) during a drought or other |
similar event. |
The permit applicant shall submit a certification to |
the Agency from the Department of Natural Resources that |
the applicant has submitted its initial water use impact |
study and is submitting to the Department of Resources the |
applicant's ongoing water usage. This requirement may be |
satisfied by the submission of copies of documents |
provided to the United States Environmental Protection |
Agency in accordance with 40 CFR 146.82 if the applicant |
satisfies the requirements of this Section. |
(9) The permit application must include a remedial |
action plan designed to address the air and soil impacts |
of a release from the carbon sequestration activity. The |
remedial action plan must, at a minimum: |
(A) identify all necessary remedial actions to |
address air and soil impacts from a release from the |
|
sequestration activity, consistent with Title XVII. |
Soil impacts from a release of carbon dioxide must be |
addressed through (i) the installation of an |
appropriate treatment system designed to remove |
contaminants of concerns emplaced by, or the increase |
in any contaminants of concern that result from, the |
carbon sequestration activity or (ii) the removal of |
all impacted soils and transportation of those soils |
to an appropriately permitted facility for treatment, |
storage or disposal; |
(B) include a demonstration of the performance, |
reliability, ease of implementation, and potential |
impacts, including safety, cross-media impacts, and |
control of exposure of any residual contamination, of |
the selected corrective actions; and |
(C) identify a reasonable timeline and describe |
the procedure for implementation and completion of the |
remedial action plan, consistent with Title XVII, |
following a release attributable to the sequestration |
activity. |
(10) The permit application must include a closure |
plan that addresses the post-injection site care and |
closure. The closure plan must include: |
(A) the pressure differential between preinjection |
and predicted post-injection pressures at all |
injection zones; |
|
(B) the predicted position of the carbon dioxide |
plume and associated pressure front at site closure; |
(C) a description of post-injection monitoring |
locations, methods, and proposed frequency; |
(D) a proposed schedule for submitting |
post-injection site care monitoring results to the |
Agency; and |
(E) the duration of the post-injection site care |
period that ensures nonendangerment of groundwater, as |
specified in 35 Ill. Adm. Code 620, or to human health |
or the environment. The post-injection site care |
period shall be no less than 30 years from the last |
date of injection. |
This requirement may be satisfied by the submission of |
copies of documents provided to the United States |
Environmental Protection Agency in accordance with 40 CFR |
146.93 if the applicant satisfies the requirements of this |
Section. |
(11) The permit application must contain a written |
estimate of the cost of all air monitoring, soil gas |
monitoring, emergency response, remedial action, and |
closure activities required by this Section. |
The cost estimate must be calculated in terms of |
reasonable actual remedial, construction, maintenance, and |
labor costs that the Agency would bear if contracting to |
complete the actions set forth in an air monitoring, soil |
|
gas monitoring, emergency response, remedial action, and |
closure plans set forth in an Agency-approved permit. |
The owner or operator must revise the cost estimate |
whenever there is a change in the air monitoring, soil gas |
monitoring, emergency response, remedial action, or |
closure plans that would result in an increase to the cost |
estimate. |
The owner or operator must annually revise the cost |
estimate to adjust for inflation. |
Revisions to the cost estimate must be submitted to |
the Agency as a permit modification. |
(12) Proof that the applicant has financial assurance |
sufficient to satisfy the requirements set forth in |
Section 59.10. |
(13) Proof of insurance that complies with the |
requirements set forth in Section 59.11. |
(415 ILCS 5/59.7 new) |
Sec. 59.7. Sequestration permit application fee. Upon |
submission of a sequestration facility permit application, and |
in addition to any other fees required by law, the |
sequestration operator shall remit to the Agency an initial, |
one-time permit application fee of $60,000. One-third of each |
sequestration facility permit application fee shall be |
deposited into the Water Resources Fund, the Emergency |
Planning and Training Fund, and the Carbon Dioxide |
|
Sequestration Administrative Fund. |
(415 ILCS 5/59.8 new) |
Sec. 59.8. Public participation. Prior to issuing a permit |
for carbon sequestration activity, the Agency shall issue a |
public notice of the permit application and draft permit. The |
public notice shall include a link to a website where copies of |
the permit application or draft permit, and all included |
attachments that are not protected under the Freedom of |
Information Act are posted, and shall provide information |
concerning the comment period on the permit application or |
draft permit and instructions for how to request a hearing on |
the permit application or draft permit. The Agency shall |
provide an opportunity for public comments on the permit |
application or draft permit, and shall hold a public hearing |
upon request. The Agency will make copies of all comments |
received available on its website and consider those comments |
when rendering its permit decision. |
(415 ILCS 5/59.9 new) |
Sec. 59.9. Closure. The owner or operator of a carbon |
sequestration activity permitted in accordance with this Act |
shall monitor the site during the post-injection site care |
period, which shall be no less than 30 years after the last |
date of injection, as well as following certification of |
closure by United States Environmental Protection Act to show |
|
the position of the carbon dioxide and pressure front to |
ensure it does not pose an endangerment to groundwater, as |
specified in 35 Ill. Adm. Code 620, or to human health or the |
environment, unless and until the Agency certifies that a |
carbon sequestration facility is closed. Air and soil gas |
monitoring required by a carbon sequestration activity permit |
issued by the Agency must continue until the Agency certifies |
the carbon sequestration facility as closed. The Agency shall |
certify a carbon sequestration facility as closed if: |
(1) the owner or operator submits to the Agency a copy |
of a closure certification issued for the carbon |
sequestration facility in accordance with 40 CFR 146.93; |
and |
(2) the owner or operator demonstrates to the Agency |
that no additional air or soil gas monitoring is needed to |
ensure the carbon sequestration facility does not pose an |
endangerment to groundwater, as specified in 35 Ill. Adm. |
Code 620, or to human health or the environment. |
This demonstration must include location-specific |
monitoring data. The certification of closure does not relieve |
an operator of any liabilities from the carbon sequestration |
activity or carbon sequestration facility. |
(415 ILCS 5/59.10 new) |
Sec. 59.10. Financial assurance. |
(a) The owner or operator of a sequestration activity |
|
permitted in accordance with this Act shall maintain financial |
assurance in an amount equal to or greater than the cost |
estimate calculated in accordance with paragraph (11) of |
Section 59.6. |
(b) The owner or operator of the sequestration activity |
must use one or a combination of the following mechanisms as |
financial assurance: |
(1) a fully funded trust fund; |
(2) a surety bond guaranteeing payment; |
(3) a surety bond guaranteeing performance; or |
(4) an irrevocable letter of credit. |
(c) The financial assurance mechanism must identify the |
Agency as the sole beneficiary. |
(d) The financial assurance mechanism shall be on forms |
adopted by the Agency. The Agency must adopt these forms |
within 90 days of the date of the effective date of this |
amendatory Act of the 103rd General Assembly. |
(e) The Agency shall release a trustee, surety, or other |
financial institution holding a financial assurance mechanism |
when: |
(1) the owner or operator of a carbon sequestration |
activity substitutes alternative financial assurance such |
that the total financial assurance for the site is equal |
to or greater than the current cost estimate, without |
counting the amounts to be released; or |
(2) the Agency determines that the owner or operator |
|
is no longer required to maintain a permit. |
(f) The Agency may enter into contracts and agreements it |
deems necessary to carry out the purposes of this Section, |
including, but not limited to, interagency agreements with the |
Illinois State Geological Survey, the Department of Natural |
Resources, or other agencies of the State. Neither the State |
nor any State employee shall be liable for any damages or |
injuries arising out of or resulting from any action taken |
under paragraph (11) of Section 59.6. |
(g) The Agency may order that a permit holder modify the |
financial assurance or order that proceeds from financial |
assurance be applied to the remedial action at or closure of an |
injection site. The Agency may pursue legal action in any |
court of competent jurisdiction to enforce its rights under |
financial instruments used to provide the financial assurance |
required under Section 59.10. |
(h) An owner or operator of a carbon sequestration |
activity permitted in accordance with this Act that has a |
closure plan approved by United States Environmental |
Protection Agency in accordance with 40 CFR 146.93 may satisfy |
the financial assurance requirements for any portion of the |
cost estimates for closure costs required by the Agency by |
submitting to the Agency true copies of the financial |
assurance mechanism required by 40 CFR 146.85, if those |
mechanisms are compliant with Section 59.10. |
|
(415 ILCS 5/59.11 new) |
Sec. 59.11. Insurance. |
(a) The owner or operator of a carbon sequestration |
facility permitted in accordance with this Act shall maintain |
insurance to cover wrongful death, bodily injuries, property |
damages, and public or private losses related to a release |
from the carbon sequestration facility from an insurer holding |
at least an A- rating by an AM Best or equivalent credit rating |
agency. Such insurance shall be in an amount of at least |
$25,000,000. |
(b) The owner or operator of a carbon sequestration |
activity permitted in accordance with this Act must maintain |
insurance required by this Section throughout the period |
during which carbon dioxide is injected into the sequestration |
site, throughout the post-injection time frame, and until the |
Agency certifies that the carbon sequestration facility is |
closed. |
(c) The insurance policy must provide that the insurer may |
not cancel or terminate, except for failure to pay the |
premium. |
(d) The insurance policy must allow for assignment to a |
successor owner or operator. The insurer shall not |
unreasonably withhold consent to assignment of the insurance |
policy. |
(415 ILCS 5/59.12 new) |
|
Sec. 59.12. Ownership of carbon dioxide; liability. |
(a) The owner or operator of a sequestration activity |
permitted in accordance with this Act may be subject to |
liability for any and all damage, including, but not limited |
to, wrongful death, bodily injuries, or tangible property |
damages, caused by a release attributable to the sequestration |
activity, including, but not limited to, damage caused by |
carbon dioxide or other fluids released from the sequestration |
facility, regardless of who holds title to the carbon dioxide, |
the pore space, or the surface estate. |
Liability for damage caused by a release attributable to |
the sequestration activity that is within a sequestration |
facility or otherwise within a sequestration operator's |
control, including carbon dioxide being transferred from a |
pipeline to the injection well, may be joint and several with a |
third party adjudicated to have caused or contributed to such |
damage. |
A claim of subsurface trespass shall not be actionable |
against an owner of operator of a sequestration facility |
conducting carbon sequestration activity in accordance with a |
valid Class VI permit and a permit issued by the Agency for a |
sequestration facility, unless the claimant proves that |
injection or migration of carbon dioxide: |
(1) substantially interferes with the claimant's |
reasonable use and enjoyment of their real property; or |
(2) has caused wrongful death or direct physical |
|
injury to a person, an animal, or tangible property. |
The State shall not be liable for any damage caused by or |
attributable to the sequestration activity. |
(b) The owner or operator of a sequestration activity |
permitted in accordance with this Act is liable for any and all |
damage that may result from equipment associated with carbon |
sequestration, including, but not limited to, operation of the |
equipment. Liability for harms or damage resulting from |
equipment associated with carbon sequestration, including |
equipment used to transfer carbon dioxide from the pipeline to |
the injection well, may be joint and several with a third party |
adjudicated to have caused or contributed to such damage. |
(c) Title to carbon dioxide sequestered in this State |
shall be vested in the operator of the sequestration facility. |
Sequestered carbon dioxide is a separate property independent |
of the sequestration pore space. |
(415 ILCS 5/59.13 new) |
Sec. 59.13. Carbon Sequestration Long-Term Trust Fund. The |
Carbon Dioxide Sequestration Long-Term Trust Fund is hereby |
created as a State trust fund in the State treasury. The Fund |
may receive deposits of moneys made available from any source. |
All moneys in the Fund are to be invested and reinvested by the |
State Treasurer. All interest accruing from these investments |
shall be deposited into the Fund to be used under the |
provisions of this Section. Moneys in the Fund may be used by |
|
the Agency to cover costs incurred to: |
(1) take any remedial or corrective action necessary |
to protect human health and the environment from releases, |
or threatened releases, from a sequestration facility; |
(2) monitor, inspect, or take other action if the |
sequestration operator abandons a sequestration facility |
or injection site, or fails to maintain its obligations |
under this Act; |
(3) compensate any person suffering any damages or |
losses to a person or property caused by a release from a |
sequestration facility or carbon dioxide pipeline who is |
not otherwise compensated from the sequestration operator; |
or |
(4) any other applicable costs under the Act. |
Nothing in this Section relieves a sequestration operator |
from its obligations under this Act, from its liability under |
Section 59.12, or its obligations to maintain insurance and |
financial assurances under Sections 59.10 and 59.11. |
(415 ILCS 5/59.14 new) |
Sec. 59.14. Water Resources Fund. The Water Resources Fund |
is hereby created as a special fund in the State treasury to be |
administered by the Department of Natural Resources. The Fund |
shall be used by the Department of Natural Resources for |
administrative costs under obligations under the Water Use Act |
of 1983, the Environmental Protection Act, or related |
|
statutes, including, but not limited to, reviewing water use |
plans and providing technical assistance to entities for water |
resource planning. |
(415 ILCS 5/59.15 new) |
Sec. 59.15. Environmental Justice Grant Fund. The |
Environmental Justice Grant Fund is hereby created as a |
special fund in the State treasury to be administered by the |
Agency. The Fund shall be used by the Agency to make grants to |
eligible entities, including, but not limited to, units of |
local government, community-based nonprofits, and eligible |
organizations representing areas of environmental justice |
concern, to fund environmental projects benefiting areas of |
the State that are disproportionately burdened by |
environmental harms. Eligible projects include, but are not |
limited to, water infrastructure improvements, energy |
efficiency projects, and transportation decarbonization |
projects. |
(415 ILCS 5/59.16 new) |
Sec. 59.16. Carbon Dioxide Sequestration Administrative |
Fund. The Carbon Dioxide Sequestration Administrative Fund is |
hereby created as a special fund within the State treasury to |
be administered by the Agency. Moneys in the fund may be used: |
(1) for Agency administrative costs incurred for the |
regulation and oversight of sequestration facilities |
|
during their construction, operation, and post-injection |
phases; and |
(2) to transfer moneys to funds outlined in Sections |
59.13, 59.14, and 59.15 for the purpose of implementing |
and enforcing the Act. |
The Fund may receive deposits of moneys made available |
from any source, including, but not limited to, fees, fines, |
and penalties collected under this Act, investment income, and |
moneys deposited or transferred into the Fund. |
(415 ILCS 5/59.17 new) |
Sec. 59.17. Sequestration annual tonnage fee. |
(a) Beginning July 1, 2025, and each July 1 thereafter, |
each sequestration operator shall report to the Agency the |
tons of carbon dioxide injected in the prior 12 months. |
(b) If the sequestration operator does not possess a |
project labor agreement, the sequestration operator shall be |
assessed a per-ton sequestration fee of $0.62. |
(c) If the sequestration operator does possess a project |
labor agreement, the sequestration operator shall be assessed |
a per-ton sequestration fee of $0.31. |
(d) The fee assessed to the sequestration operator under |
subsection (b) shall be reduced to $0.31 for every ton of |
carbon dioxide injected into a sequestration facility in that |
fiscal year if the sequestration operator successfully |
demonstrates to the Department that the following types of |
|
construction and maintenance were conducted in the State |
during that fiscal year by the sequestration operator and were |
performed by contractors and subcontractors signatory to a |
project labor agreement used by the building and construction |
trades council with relevant geographic jurisdiction: |
(1) construction and maintenance of equipment |
associated with the capture of carbon dioxide, including, |
but not limited to, all clearing, site preparation, |
concrete, equipment, and appurtenance installation; |
(2) construction and maintenance of carbon dioxide |
pipelines used to transport carbon dioxide streams to the |
sequestration facility, including, but not limited to, all |
clearing, site preparation, and site remediation. For |
purposes of this paragraph (2), a national multi-craft |
project labor agreement governing pipeline construction |
and maintenance used in the performance of the work |
described in this subsection shall satisfy the project |
labor agreement requirement; |
(3) construction and maintenance of compressor |
stations used to assist in the transport of carbon dioxide |
streams via carbon dioxide pipeline, including, but not |
limited to, all clearing, site preparation, concrete, |
equipment, and appurtenance installation; and |
(4) construction of carbon dioxide injection wells |
used at the sequestration facility, including, but not |
limited to, all clearing, site preparation, drilling, |
|
distribution piping, concrete, equipment, and appurtenance |
installation. |
(e) Sequestration fees shall be deposited into the Carbon |
Dioxide Sequestration Administrative Fund. |
(f) The per-ton fee for carbon dioxide injected shall be |
increased by an amount equal to the percentage increase, if |
any, in the Consumer Price Index for All Urban Consumers for |
all items published by the United States Department of Labor |
for the 12 months ending in March of the year in which the |
increase takes place. The rate shall be rounded to the nearest |
one-hundredth of one cent. |
(g) For the fiscal year beginning July 1, 2025, and each |
fiscal year thereafter, at the direction of the Agency, in |
consultation with the Illinois Emergency Management Agency and |
Office of Homeland Security, and the Department of Natural |
Resources, the State Comptroller shall direct and the State |
Treasurer shall transfer from the Carbon Dioxide Sequestration |
Administrative Fund the following percentages of the amounts |
collected under this Act by the Agency during the previous |
fiscal year: |
(1) 2% to the Water Resources Fund; |
(2) 6% to the Oil and Gas Resource Management Fund; |
(3) 20% to the Emergency Planning and Training Fund; |
(4) 28% to the Carbon Dioxide Sequestration Long-Term |
Trust Fund; |
(5) 10% to the General Revenue Fund; and |