United States
 Environmentsil Protection
 Agency
Office of Emergency and
Remedial Response
Washington, DC 204BO
Publication 9200.2-14
PB92-963261
January 1992
Superfund
National Oil and Hazardous
Substances Pollution
Contingency Plan
(TheNCP)

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                             Publication 9200.2-14
                                 January 1992
National Oil and Hazardous Substances
     Pollution Contingency Plan

        (The NCP)

 With the Preambles of 1988 and 1990
   and the New Index of Key Terms
       Office of Emergency and Remedial Response
         U.S. Environmental Protection Agency
            Washington, DC 20460

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                     Notice
This document has been reviewed, in accordance with U.S.
Environmental Protection Agency policy and approved for publication.
Mention of trade names or commercial products does not consilitute
endorsement or recommendation for use. This publication may be
obtained from the National Technical Information Service (NTIS),
Springfield, VA 22161 (703) 487-4650.

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                                   A Note to thts Reader

This NCP document is divided into five parts as follows:

Parti:        Tables of Contents

       Part I of this document is a series of three Tables of Contents for the NCP proposed rule preamble
(SectionA), the NCP final rule preamble (Section B), and ihe NCP final rule (Section Q, respectively.
The tables provide specific Federal Register page references to the subpart and section discussions that
are included in the three sources.

Partn:       National Oil and Hazardous Substances Pollution Contingency Plan: Proposed Rule
              Preamble

       Part n contains a reproduction of the preamble to the National Oil and Hazardous Substances
Pollution Contingency Plan: Proposed Rule published in. 53 ER 51394 on December 21,1988. Unless
directly contradicted or superseded by the final rule and preamble, the preamble to the proposed rule
reflects EPA's intent in promulgating the final rule.

Part ffl:      National Oil and Hazardous Substances Pollution Contingency Plan: Final
              Rule Preamble

Part IV:      National Oil and Hazardous Substances Pollution Contingency Plan: Final
              Rule

       Parts HI and IV of this document contain the preamble to the final rule and the final rule itself,"
published in 55 FR. 8664 on March 8,1990. The preamble to the final rule consists primarily of responses
to comments received on the 1988 proposed revisions. As noted in the final rule preamble, the preambles
to both the proposed and final rules should be consulted when issues arise on the meaning or intent of the
final rule.

Part V:        Key Terms Index

      The Key Terms Index was developed based on experience and knowledge gained over the past
several years through the NCP revision project and seeks to be as comprehensive as possible. The
primary references included are the NCP final rule and the preamble to the final rule, as well as selected
references to the preamble to me proposed NCP. These latter references are more general and highlight
only certain sections of the preamble to the proposed rule and are not intended to be as comprehensive as
those for the final rule and preamble.

      The references contained in the Key Terms Index appear in three different ways, in the following
order, depending on the source referenced:

       •     References to the preamble of the final NCP appear in regular, non-bold type. For
             example, pages 8769-8770 always appear in regular type.

             References to the final NCP appear in bold type For exampki pages 8830-8831 always
              appear in bold.

       •      Refefleprag *»**"<• prBfltnhle of the proposed NCP appear with full Federal Register
              references. For example, 53 FR 51459 refers to the preamble to the proposed NCP.

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       The index makes extensive use of subheadings wherever appropriate in older to provide as
precise and detailed references as possible. It also makes fiee use of cross-references, which permit the
user to search for a reference under sevetal relevant main entries. la all cases, subheadings appear in
italics to assist the reader when searching for a cross-referenced term. If the cross reference includes
italics, it refers to a subheading under another main entry.

       Please direct any comments or suggestions regarding this document to Rhea Cohen, Office of
Emergency and Remedial Response, Office of Ptogram Management, Policy and Analysis Staff (OS-
240), 401M Street SW, Washington, DC 20460 (telephone (202) 260-2200 or FTS 260-2200).

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      Parti:
Tables of Contents

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              A.  NATIONAL CONTINGENCY PLAN PROPOSED RULE PREAMBLE


SUBPART/SECTION                                                             PR CITATION*

Subpart A - Introduction	     51397

Subpart B — Responsibility and Organization for Response	     51400

Subpart C - Planning and Preparedness	     51403

Subpart D — Operational Response Phases for OH Removal	     51403

Subpart E - Hazardous Substance Response	„	     51403

Section 300.400 General	     51405
Section 300.405 Discovery or notification	     51408
Section 300.410 Removal site evaluation	     51408
Section 300,415 Removal action	     51409
Section 300.420 Remedial site evaluation	     51411
Section 300.425 Establishing remedial priorities	,	     51414
Section 300.430 Remedial investigation/feasibility study (EJ/FS) and selection of remedy	     51422
               A. Program management principles	     51423
               B. Major revisions to the Rl/FS and selection of remedy process	     51424
               C. Alternative selection of remedy approaches  	     51430
               D. Special notice and moratoria	     51432
               £. EPA's approach for ground-water remediation under the Superfund
                  program	     51433
               F. Compliance with the applicable or relevant and appropriate
                  requirements of other laws	     51435
               G. Examples of potential federal and state ARARs and TBCs	     51447
               H. Community relations	     51450
Section 300.435 Remedial design/remedial action/operation and maintenance	     51458

Subpart F — State Involvement in Hazardous Substances Response	     51454

Subpart G — Trustees for Natural Resources	     51459

Sabpart H - Participation by Other Persons	     51461

Subpart I — Administrative Record for Selection  of Response Action	;....     51463

Snbpart J  - Use of Dispersants and Other Chemicals	     51471
' National Oil and Hazardous Substances Pollution Contingency Plan, Proposed Rule, 53 FR 51394,
  December 21,1988.

                                              1-1

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                    B. NATIONAL CONTINGENCY PLAN FINAL RULE PREAMBLE
    SUBPART/SECnON/TOPIC                                                     FR CITATION*

    Subpart A ~ Introduction ..................................................

    3003      Scope . . .............. , .............. .........................     8670
    300.4      Abbreviations ........................................... '.'.'.'.'"     8670
    300.5      Definitions ................ . ..........................           .


    Snbpart B — Responsibility and Organization for Response  .........................     8671
i  i               .                                          :                     ..   •         .
    300.105    General organization concepts .......................................     8671
    300.110    National Response Team ............... 1 ......................          gg72
    300.115    Regional Response Teams .................... •„ ................... *     8672
   300.120    On-scene coordinators and remedial project managers: general
              responsibilities  ............................................          8674
   300.125    Notification and communications ........... . ..................            8675
   300.130    Determinations to initiate, response and special conditions . . . . ...............     8676
   300.135    Response operations ...................................... .....'...     8677
   300.140    Multi-regional responses ............................. ............       8678
   300.145    Special teams and other assistance available to OSCs/RPMs  ........... ......     8678
   300.150    Worker health andsafety ........................... : ....... '.'.'.'.'.'.'.     8679
   300.155    Public information and community relations .............................     8680
   300.160    Documentation and cost recovery   ......................               "      868 j
i   300.165    QSC reports ...... ____ . .................. '.'.'.'.'.'.'.'.'.'.'.'.'.'.'.'.'.','.'.'.'     8681
   300.170    Federal agency participation ............................ ____ '...'..'.'.'.     8683
   300.175    Federal agencies: additional responsibilities and assistance ...................     8683
   300.180    State and local participation in response ................................     8684
   300.185    Nongovernmental participation ..............................               8684


  Subpart C — Planning and Preparedness .......................................    8684

  300.200    General .............................................               86g4
  300.205    Planning and coordination structure ........ . .........................      8685
  300.210    Federal contingency plans ...................... . ...............          8685
  300.215    Title HI local emergency response plans; Indian tribes under Title m  ...........     8685


  Subpart D ~ Operational Response Phases for OH Removal .........................     8686

  300300    Phase I — Discovery or notification  ............. . ___ .....                  8686
  300305    Phase n — Preliminary assessment and initiation of action  ...................     8686
,  300310    Phase HI — Containment, countermeasnres, cleanup and disposal ..............     8687
;  300315    Phase IV — Documentation and cost recovery .............. ..............     8687
  300320    General pattern of response .......                            ..........     0^07
  300330    Wildlife  conservation  .................... i!!!!!."!!!]!".."."."!!."]!."!!     8687
    National Oil and Hazardous Substances Pollution Contingency Plan, Final Rule 55 FR 8666
    March 8, 1990.                                                         —
                                                1-2

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 SUBPART/SECTION/TOPIC                                                        FR CITATION*

 Subpart E — Hazardous Substance Response	     8687

 300.400                 General

 300.400(d)(3);           Designating PRPs as access representatives; Administrative
 300.400(d)(4)0)          orders for entry and access	     8687
 300.5;                  Definition of on-site	1	     8688
 300.400(e)              TreatabiliEy testing and on-site permit exemption	   .  8691
 300.40001)              PRP oversight	     8692

 300.405                 Discovery or notification

 3QQ5                   Definition of "CERCLIS"	     8692
 300.405;                Listing sites in CERCLIS  ...,	;	     8693
 300.410(h)
 300.415(e)

 300.410;                Removal and remedial site evaluations
 300.420                                                    .                      •

 300.410                 Removal site evaluation	     8693
 300.410(c)(2);            Removal site evaluation; Remedial site evaluation	8693
 300.420(c)(5)                             .
 300.410(g)              Notification of natural resource trustee	     8694
 300.415(b)(4);            Sampling and analysis plans	!	:.	     8694
 300.420(cX4)

 300.415                 Removal action

 300.415(b)(5)(ii)          Removal action statutory exemption	     8694
 300.4150)               Removal action compliance with other laws	     8694
 300.5;                   State involvement in removal actions	     8696
 300.415(g)&(h);
 300.500(a);
 300.505;
 300.525(a)

300.425                 Establishing remedial priorities

 300-5;                   Definition of National Priorities List; Establishing remedial
 300.425                 priorities	      8698
 300.425(d)(6)            Construction Completion category on the National Priority List	      8699

300.430                 Remedial investigationffeasibility study and selection of remedy

                        Introduction  	      8700
 300.430(a)(l)            Program goals, program management principles and expectations  . —      8702
 300.430(a)(l)            Use of institutional controls	      8706
" National Oil and Hazardous Substances Pollution Contingency Plan, Final Role, 55 FR 8666,
  March 8,1990.

                                                1-3

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  SUBPART/SECnON/TOPIC
                                                                                    FR CITATION*
  300.430(b)              Scoping  .................................... . .......     878?
  300.430(d)              Remedial investigation ..... ............................      87Q8
  300.430(d)              Remedial investigation - baseline risk assessment                        8709
  300.430(e)              Feasibility study ..........................    ........     8711
  300.430(e)(2)            Use of risk range ........ ............. ',[[ ..............     8715
  300.430(e)(2)            Use of point of departure .................. !.!..!.!..!.!.     8718
  3Q0.430(e)(9)            Detailed analysis of alternatives ......                                8719
  300.430(0               Remedy selection ................ ....... ','. ....... ] ...'.'.'.     8723
  300.430(0(5)            Documenting the decision .............................. * .'     3731
                         Ground-water policy  ...................................     3732

 300.435                Remedial design/remedial action, operation and maintenance

 300.435(bXl)           Environmental samples during RD/RA .......................      3735
 300,435(d)              Contractor conflict of interest .............................      3735
 300.5;                  Operation and maintenance ................ ; ..............      8736
 300.435(0              Notification prior to the out-of-state transfer of CERCLA wastes .....      8740

                        Applicable or relevant and appropriate requirements

                        Introduction  ....... ........ ...... ..... ...... .....          8741
 300 .5;                  Definition of "applicable" ____
 3
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 SUBPART/SECHON/TOPIC
FR CITATION*
                        Community Relations                     •

 300.430(c);              Community relations during RI/FS and selection of remedy	     8766
 300.430(f)(2),(3),(6)
 300.415(mX2Xu);        Length of public comment period  	     8770
 300.430(f)(3)(i)(C);
 300.435(c)(2KiiXQ
 300.435(c)              Community relations during remedial design/remedial action	     8770
 300.435(cX2)            Changes to the ROD after its adciption	.>...     8771
                        Other community relations requirements	     8773

                        Enforcement

                        Superfund enforcement program strategy	     8774
                        Special notice and moratoria	     8774
                        Exemptions for federal facilities .	;	     8774
 300.420;             .  Early notification  and involvement	     8775
 300.430;
 300.435


 Subpart F — State Involvement in Hazardous Substance Response	     8775

 300.5                   Definitions of "cooperative agreement" and Superfund state contract ..     8775
 300.500;                EPA/State Superfund memorandum of agreement (SMOA);
 300.505;                Requirements for state involvement in absence of SMOA	8776
 300.51500
 300.510(c)(l),(2);         State assurances — operation and maintenance and waste capacity  ....     8777
 300.510(e)
 300.510(f)               State assurances — acquisition of real property  	     8778
 300.515(a)              Requirements for state involvement in remedial and enforcement
                        response	     8779
 300.515(b)              Indian tribe involvement during response -	     8780
 300.425(e)(2);            State involvement in PA/SI and NPL process; State review of
 300-515(c)(2);            EPA-lead documents	,	     8780
 300.515(c)(3);
 300.515(h)(3)
 300.505;                Resolution of disputes ...:	     8781
 300.515(d}
 300-515(e)(l),(2)          State involvement in selection of remedy	,	     8782
                        Whether stales should be authorized to select the remedy at NPL
                        sites	     8783
300.515(0               Enhancement  of remedy	     8783
300.515(g)              State involvement in remedial design/remedial action	     8785
300.520(a) and (c)        State involvement in EPA-lead enforcement negotiations 	     8785
                        Dual enforcement standards	     8785
  National Oil and Hazardous Substances Pollution Contingency Plan, Final Rule, 55 FR 8666,
  March 8,1990.

                                                1-5

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 SUBPART/SECTION/TOPIC
                                                                                   FR CITATION*
 Subpart G ~ Trustees for Natural Resources .
 300.600
 300.610
 300.615
 Designation of federal trustees	
 Indian tribes as trustees for natural resources under CERCLA
 Responsibilities of trustees	
 8786

 8787
 8788
 8789
 Snbpart H — Participation bv Other Persons
 300.700(c)
 300.700(c)
 300.700(e)
 Consistent with the NCP  	
 Actions under CERCLA section 107(a)  .
 Recovery under CERCLA section 106(b)
 8792

 8792
 8798
 8799
 Sabpart I — Administrative Record for Selection of Response Action
 300.800(3);
 300.810(a)
 300.800(b)
 300.800(c)
 300.800(d),(e)
 300.805
 300.810(aHd)
 300.815
 300.815;
 300.820(a)
 300.820(0)

 300.825
General comments	
Establishment of an administrative, record; Contents of the
administrative record	
Administrative record for federal facilities	
Administrative record for state-lead sites	
Applicability	,	,	
Location of the administrative record file	
Documents not included in the administrative record file	
Administrative record file for a remedial action		
Administrative record file for a remedial action; Administrative
record file for a removal action	
Administrative record file for a removal action — time-critical
and emergency
Record requirements after decision document is signed
8799

8800

8880
8802
8802
8802
8803
8804
8804

8805

8806
8807
Subpart J - Use of Dispersants and Other Chemicals
                       if'
300.900-300520         General  	
                                                                  8808

                                                                  8808
Appendix C — Revised Standard Dispersant Effectiveness and Toxicitv Tests
Appendix D — Appropriate Actions and Methods of Remedying Releases
                                                                  8810


                                                                  8810
  National Oil and Hazardous Substances Pollution Contingency Plan, Final Rule 55 FR 8666
  March 8,1990.
                                                1-6

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                         C. NATIONAL CONTINGENCY PLAN FINAL RULE


.  SUBPART/SECTION                                                               FR CITATION*

  Subpart A — Introduction	    8813

  300.1       Purpose and objectives	    8813
  300.2       Authority and applicability	„	    8813
  3003       Scope	    8814
  300.4       Abbreviations	;		    8814
  3005       Definitions	    8814
  300.6       Use of number and gender	    8819
  300.7       Computation of time	    8819
                                      i

  Subpart B - Responsibility and Organization for Response	    8819

  300.100     Duties of President delegated to federal agencies	    8819
  300.105     General organization concepts	  8819
  300.110     National Response Team	    8826
  300.115     Regional Response Teams  	    8826
  300.120     On-scene coordinators and remedial project mariagers: general responsibilities	    8827
 300.125     Notification and communications	     8828
 300.130     Determinations to initiate response and special conditions  	     8829
 300.135     Response operations	     8829
 300.140    Multi-regional responses	     8830
 300.145    Special teams and other assistance available to OSCs/RPMs	     8830
 300.150    Worker health and safety	     8831
 300.155    Public information and community relations	     8831
 300.160    Documentation and cost recovery  	     8831
 300.165    OSC reports	     8832
 300.170    Federal agency participation	     8832
 300.175    Federal agencies: additional responsibilities and assistance	     8832
 300.180    State and local participation in response	     8835
 300.185    Nongovernmental participation	     8835


 Subpart C — Planning and Preparedness	     8835

 300.200    General	     8835
 300.205    Planning and coordination structure	,.	     8836
 300.210    Federal contingency plans	     8836
 300.215    Title m local emergency response plans	„	     8836
 300.220    Related Title ffl issues	     8837
  National Oil and Hazardous Substances Pollution Contingency Plan, Final Rule, 55 FR 8666
  March 8, 1990.

                                                1-7

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      SUBPART/SECnON                                                             FT* CITATION*

      Subpart P — Operational Response Phases for OH Removal	    gg37

      300300    Phase I — Discovery or notification	         8837
      300305    Phase n — Preliminary assessment and initiation of action	    8837
      300310    Phase HI — Containment, countermeasures, cleanup, and disposal	..........    8838
      300315    Phase IV - Documentation and cost recovery	    8838
      300320    Genoa! pattern of response  	                                	
      300330    Wildlife conservation	           "	
     ,300335    Funding	"."."!.'.".".'!!.'."."!!!."."."."!.".'."!!."!"'!    8839


      Subpart E.— Hazardons Substance Response	             gg^o

      300X00     General	          gg39
      300.405     Discovery or notification 		!!!!!!!.'!!!!!!"     8841
      300.410     Removal site evaluation	                       	     OJMO
!      300.4J5     Removal action	].".""	     oTT
      300.420     Remedial site evaluation	'.'//.'.'.'.'.'.'.'.'.'.'.'.'.'.'.'.'"'•'     8844
      300.425    Establishing remedial priorities	!!!!!!!!!!!!!!     8845
      300.430    Remedial investigation/feasibility study and selection of remedy	.'...'...'.     8846
      300.435    Remedial design/remedial action, operation and maintenance  .,	      8852
      300.440    Procedures for planning and implementing off-site response actions [Reserved]  ..'.'.     8853


     SaBpart F - State Involvement in Hazardous Substance Response	     8853

     300.500    General	          8g53
     300505    EPA/State Superfund Memorandum of Agreement (SMOA)	     8853
     30051Q    Stale assurances  	  ]	     0054
     300515    Requirements for state involvement in remedial and enforcement response	      8855
     300520    State involvement in EPA-lead enforcement negotiations	'.'.'/.'.'.'.'.      8856
     300525    State involvement in removal actions	]	      8857


     Subpart G - Trustees for Natural Resources	             gg57

     300.600    Designation of federal trustees  ..
     300.605    State trustees	       	'	
     300.610    Indiantribes	-i."." 1."!.""!."!!."!]."!!!!"."."!!""     8857
     300.615    Responsibilities of trustees	..'.......	     8857
ii           I"               <                                                   '
     Subpart H - Participation by Other Persons	     gg5g

     300.700    Activities by otherpersons	
      National Oil and Hazardous Substances Pollution Contingency Plan, Final Rule, 55 FR 8666
      March 8,1990.                                                     '    —
                                                  1-8

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 SUBPART/SECTION                                                              FR CITATION*

 Subpart I.- Administrative Record for Selection of Response Action	     8859

 300.800     Establishment of an administrative record	     8859
 300.805     Location of the administrative record file	     8859
 300.810     Contents of the administrative record file	     8860
 300.815     Administrative record file for a remedial action	     8860
 300.820     Administrative record file for a removal action	     8860
 300.825     Record requirements after the decision document is signed	     8861

 Subpart J - Use of Dispersants and Other Chemicals	     8861

 300.900     General  	,.	     8861
 300.905     NCP Product Schedule	     8861 -
'300.910     Authorization of use	     8861
 300.915     Data requirements	     8862
 300.920     Addition of products to schedule	„	     8864


 Subpart K - Federal Facilities [Reserved!		    8864
 National Oil and Hazardous Substances Pollution Contingency Plan, Final Rule, 55 FR 8666,
 March 8,1990.

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       PartH:
Proposed Rule Preamble

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Wednesday
December 21, 1988
Part V


Einvironmental

Protection  Agency

40 CFR Part 300
Malifona! Oil and Hazardous Substances
Pollution Contingency Plan; Proposed
Rule

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  51394      Federal Register / Vol. 53. No. 245 / Wednesday. December 21. 1988 / Proposed Rules
 ENVIRONMENTAL PROTECTION
 AGENCY

 40 CFR Part 300

 IFHL-3381-4]

 National OB and Hazardous
 Substances Pollution Contingency
 Plan

 AGENCY: Environmental Protection
 Agency.
 ACTION: Proposed rule.

 SUMMARY: The Environmental Protection
 Agency (EPA) is proposing revisions to
 the National Oil and Hazardous
 Substances Pollution Contingency Plan
 (NCP). The Superfund Amendments and
 Reauthorization Act of 1986 (SARA)
 amends existing provisions of and adds
 major new authorities to the
 Comprehensive Environmental
 Response, Compensation, and Liability
 Act of 19SO (CERCLA). Furthermore.
 SARA mandates that the NCP be
 revised to reflect these amendments.
 The proposed NCP revisions are
 intended to implement regulatory
 changes necessitated by SARA, as well
 as to clarify existing NCP language and
 to reorganize the NCP to coincide more
 accurately with the sequence of
 response actions.
 DATES: Comments on the proposed
 revisions to the NCP must be submitted
 on or before February 21.1989.
 Elsewhere in this issue of the Federal
 Register, a separate notice is being
 published announcing the dates, times,
 and locations of public meetings
 regarding today's proposed revisions to
 the NCP to be held during the public
 comment period.
 ADDRESS: Written comments on the
 proposed revisions to the NCP should be
 submitted, in triplicate, to the Superfund
 Docket, located in Room LG at the U.S.
 Environmental Protection Agency. 401M
 Street SW, Washington. DC 20460. The
 record supporting ti-Hs rulemaking is
 contained in the Superfund Docket and
 is available for insp ection by
 appointment only between the hours of
• 9:00 «ja- and 4*0 p.m, Monday through
 Friday, excluding legal holidays. As
 provided in 40 CFR Part 2, a reasonable
 fee may be charged for copying services.
 FOR FURTHER INFORRAT1OH CONTACT:
 Tod Gold. Policy and Analysis Staff,
 Office of Emergency and Remedial
 Response [OS-240J, U.S. Environmental
 Protection Agency. 401 M Street SW.,
 Washington. DC 20460. at 1-202-382-
 2182. or the RCRA/Superfund Hotline at
 1-800-424-9346 (in Washington, DC, at
 1-202-382-3000).
 SUPPLEMENTARY INFORMATION: The
 contents of today's preamble are listed
 in the following outline:
 L Introduction
 H. Major Revisions in Each Subpart
 EL Summary of Supporting Analyses

 L Introduction

  Pursuant to section 105 of the
 Comprehensive Environmental  -
 Response, Compensation, and liability
 Act of 1980. Pub. L. No. 96-510, as
 •mended by section 105 of the
'Superfund Amendments and
 Reauthorization Act of 1986, Pub. L. No.
 99-499, (CERCLA or Superfund or the
 Act), and Executive Order (E.O.) No.
 12580 (52 FR 2923. January 29, 1987), the
 Environmental Protection Agency (EPA)
 is proposing revisions to the National
 Oil and Hazardous Substances Pollution
 Contingency Plan (NCP). Revisions to
 the NCP were last promulgated on
 November 20, 1985 (50 FR 47912). For the
 leader's convenience and because the
 section numbers are being changed, EPA
 is reprinting the entire NCP, except for
 Appendices A (Uncontrolled Hazardous
 Waste Site Ranking System: A Users
 Manual) and B (National Priorities List).
 which are or will be proposed
 separately, and C (Revised Standard
 Dispersant Effectiveness and Toxicity
 Tests), for which only minor technical
 corrections are being proposed. EPA is
 not reproposing those portions of the
 NCP that are unchanged and does not
 solicit comment on those provisions.
 Comment is requested only on new
 portions of, or substantive changes to,
 the NCP.  -
  All existing subparts of the NCP have
 proposed revisions and several new
 subparts are being added. Furthermore,
 because the NCP is being reorganized,
 many of the existing subparts have been
 redesignated with a different letter. The
 proposed reorganization of NCP
 subparts is as follows:'
 Subpart A— Introduction
 Subpart B — Responsibility and Organization
    for Response
 Subpart C— Planning and fteparedness
 Subpart D — Operational Response Phases for
    Oil Removal
 Subpart B— Hazardous Substance Response
 Subpart F— State Involvement in Hazardous
    Substance Response
 Sabpart G— Trustees for Natural Resources
 Subpart H— Participation by Other Persons
 Subpart I— Administrative Record for
    Selection of Response Action
 Subpart ] — Use of Di*persants and Other
Subpart K— Federal Facilities {Reserved]
  In today's revisions to the NCP, EPA
is proposing a broad and comprehensive
rulemaking to revise as well as
restructure the NCP. The primary
 .purpose of today's proposal is to
 Incorporate changes mandated by the
 Strpertund Amendments and
 Reanthorization Act of 1936 (SARA) and
 to set forth the EPA's proposed
 approach for implementing SARA.
 SARA extensively revised existing
 provision* of and added new authorities
 to CERCLA. These changes to CERCLA
 necessitate revision of (he NCP.
   The regulation and merest of the
 preamble use the lean "CERCLA" to
 mean CERCLA as amended by SARA;
' the term "SARA" ils used only to refer to
 Title DDL which is wot Act separate from
 CERCLA, and to other parts of SARA
 that did not amend CERCLA. The term
 '"SARA" is used in this overview portion
 of the preamble, however, to highlight
 the changes to CERCLA.
 A. Statutory Overview

   The following discussion summarizes
 the CERCLA legislative framework, with
 particular focus on the major revisions
 to CERCLA mandated by SARA as well
 as those mandated by E.O. No. 12580.
 which delegates certain functions vested
 in the President by CERCLA to EPA and
 other Federal agencies. In addition, this
 discussion gives reference to the specific
 preamble sections that detail how these
 changes to CERCLA are reflected in
 today's proposed rule.
   1. Reporting and Investigation.
 CERCLA section 103 requires that a
 release into the environment of a
 hazardous substance in an amount
 equal to or greater than its "reportable
 quantity" (established pursuant to
 section 102 of CERCLA} must be
 reported to the National Response
 Center. Tide ID of SARA establishes a
 new, separate program that requires
 releases of hazardous substances, as
 well as other "extremely hazardous
 substances," to be reported to State and
 local emergency planning officiate. The
 preamble discussion of Subpart C
, mmtmmirf* Title HI reporting
 requirements.
   CERCLA section 104 provides the
 Federal government with authority to
 investigate releases. SARA amends
 CERCLA section 104 to clarify EPA's
 investigatory and access authorities,
 explicitly empowering EPA to compel
 file release of information and to enter
 property for the purpose of undertaking
 response activities. Amended section
 104[e) also provides Federal courts with
 explicit authority to enjoin property
 owners from interfering with the
 conduct of response actions. SARA  -
 farther amends CERCLA section 104 to
 authorize EPA to allow potentially
 responsible parties (PRPs) to conduct
 investigations. The preamble discussion

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             Federal Register / VoL 53, No. 245 / Wednesday, December 21,. 1988 /. Ftaposed Rules      51335
 of Subpart E details how these revisions
 to CERCLA are reflected in today's   •
 proposed rule.
   2. Response Actions. CERCLA. section
 104 provides broad authority for a
 Federal program to respond to releases
 of hazardous substances and pollutants
 or contaminants. There are two major
 types of response actions: the first is.
 "removal action*" the second is
 "remedial action." CERCLA section 104
 is amended by SARA to increase the
 flexibility of removal actions-This •
 amendment increases the dollar and
 time limitations on removal actions, irom
 $1 million and six months to. $2' million
 and one year, and allows. 8 new
 exemption from either limit if
 continuation of the removal action is
 consistent with the remedial «^"n to be
 taken. fThe existing exemption for
 emergency actions remains in effect.)
 SARA also amends CERCLA section. 104
 to require removals to contribute, to the
 efficient performance of & long-term
 remedial action, where practicable.
   In addition.- SARA amends CERCLA
 section 104 to require that, for the
 purpose of remedial actions, primary
 attention be given to releases posing a
 threat to human health.  fTo this end.
 SARA also amends CERCLA section 104
 to expand hearth assessment
 requirements at sites and to allow
 individuals to petition ATSDR for health
 assessments.)
  Among the major new provisions
 added by SARA are .CERCLA sections "
 121{a] through 121(d), which supplement
 sections 104 and 106 by stipulating
 general rules for the selection of
 remedial actions, providing- for review of
 remedial actions, and describing
 requirements for the degree of cleanup.
 These new sections codify rigorous
 remedial action cleanup standards by
 mandating that remedial actions meet
 applicable or relevant and appropriate •
 Federal standards and more- stringent
 State standards. Where the remedial  -
 action involves transfer of hazardous
 substances off-site, this transfer may
 only be made to facilities in compliance
 with the Resource Conservatiotvand
 Recovery Act (RCRA) (or other
 applicable Federal laws) and applicable
 State requirements. (EPA has proposed
 separately the regulatory requirements
 for the off-site transfer of hazardous
 substances and codify these in the final
NCP. 53 FR 48218. November 29,1888.)
  Section 121 emphasizes a long-term.
 perspective on remedies by requiring
 that long-term effectiveness of remedies
 and permanent reduction of the threat
be considered and that the calculation
of the cost-effectiveness of a remedy
include the long-term costs, including
 ihc cost of operation and maintenance.
 The section mandates a preference for
 remedies that permanently reduce the
 •Volume, toxicity. or mobility" of the
 hazardous substance, and requires that
 remedies use permanent solutions and
 alternative technologies or resource
 recovery technologies to the maximum
 extent practicable. The preamble
 discussion of Snbpart E details how
 these revisions to CERCLA are reflected
• in today's proposed role.
   ^.Stat&taulPublic Participation. New
 CERCLAsBction 121{f) requires the
 involvement of fee States in the
 initiation, derelojMnent, «ad selection of
 remedial actions. States are to be
 involved in decisions on conducting
 preliminary assessments and site
 inspections. States win also have a role
 in long-term planning for remedial sites
 and negotiations 'Kith, potentially
 responsible parties. In addition. States
 are to- be given reasonable opportunity
 to review and comment on such
 documents, as rt"» remedial
 investigation/feasibility study (RI/FS)
 and the proposed plan for remedial
 action. CERCLA also provides in section
 121[e)(2) that a State is permitted to
 enforce any Federal or State standard.
 requirement criterion, or limitation to
 which the remedial action, is required to
 conform.
   CERCLA section 104(d) provides that
 a State may apply to carry out the
 response action. This section allows
 States to enter into cooperative
 agreements with the Federal government
 to conduct response actions. SARA
 amends CERCLA section 104 to make it
 easier for States to enter into such
 cooperative agreements. The preamble
 discussion, concerning Subpart F details
 how these revisions to CERCLA are
 reflected in today's proposed rule.
  SARA adds a new CERCLA section
 117 to codify public involvement in the
 Sapetfund response process. This
 section mandates public participation in
 the-selection of remedies and provides
 for grants allowing groups affected by a
 release to'obtain the technical expertise
 necessary to participate in
 decisiomnakmg. Proposed community
 relations' requirements are described in
 section- H of (the Snbpart E, § 300.430
 preamble discussion.
. 4. Enforcement. CERCLA sections 106
and 107 authorize EPA to take legal
action to recover from responsible
parties the cost of response already
anderway or to compel them to respond
to the problem themselves. SARA adds
 to CERCLA a number of provisions .that
are intended to facilitate responsible
party financing- of response actions.
CERCLA section 122. for example.
provides mechanisms by which
 settlements between'responsible parties
 and EPA can be made, and allows for
 "mixed funding" of response actions.
 with both EPA and responsible parties
 contributing to response costs,
   SARA creates a new CERCLA section
 310. which allows for citizen suits. Any
 person may commence a cnrS action on
 his/her own behalf against any person
 (including the United States and any
 other governmental kutramentality or
 agency, to- tie extent permitted by the
 eleventh ftmendme&t to frh^
 Constitution), alleged to be in violation
 of any standard, «yipHon, -gomUtfon,
 requirement, or order which has became
 effective pursuant to- CERCLA (including
 any provision of an agreement under
 section 120 relating to Federal faafitie*).
 A civil action may also- be commenced
 against the President or any other officer
 of the United States fi&chidi&g the
 Administrator of the Environmental
 Protection Agency and .the
 Administrator of tte Agency for Toxic
 Substances «""* Disease Registry} where
 there is- alleged a failure to perform any
 act or doty voder CERCLA. including- aa
 act or doty under section 120 {relating to
 Federal facilities), which is not
 discretionary with the President or sucn
 other Federal officer,  except for say act
 or duty under section 311 (relating to
 research, development, and
 demonstration), ftgftfnn 310 requires
 that citizen jwits be brought m a United
 States district coart
   SARA amends CERCLA section 113 to
 require the tead agency to establish an
 administrative record upon which the
 selection of a response action is based.
 This record must be available to the
 public at or near the site. Section 113Q)
 provides that judicial  review of any
 issues concerning the adequacy of any
 response-action is limited to the
 administrative record. The preamble
 discussion of new Subpart I includes the
 introduction of administrative record
 requirements into the  NCP.
  5. Federal facilities. Section 120(a)(2)
 of CERCLA provides that all guidelines.
 rules, regulations, and criteria for
preliminary assessments, site
 investigation. National Priorities List
 (NPL) listing, and remedial actions are
applicable to Federal facilities to the
same extent as they are applicable to
other fatalities. No Federal agency, may
adopt or utilize guidelines, rules.
regulations, or criteria that are
inconsistent with those established by
EPA under CERCLA. fFor purposes of
the NCP, the term "lead agency"
generally includes Federal agencies that
are conducting response actions at their
own facilities.)

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 , 51396   •  Federal Register '/ .VoL 53.- No. 245 / .Wednesday. December 21; 1988 •/ Proposed Rules
    Section 120 also defines the process
  that Federal agencies must use in
  undertaking remediation at their
  facilities. It requires EPA to establish a
  Federal agency hazardous waste
  compliance docket that includes a list of
  Federal facilities. EPA must assure that
  a preliminary assessment is conducted
  at each facility within 18 months of
  enactment and, where appropriate.
  evaluate these facilities forpotential
 •inclusion on the NFL within 30 months
  of enactment. Section IZOfd) clarifies  •
 ..that Federal facilities shall be evaluated
  for inclusion on the NPLby applying - ,'
  listing criteria in the same manner-as the •
  criteria are applied to private faculties^
  Requirements governing listing ate set-  .
 , forth in proposed Subpart E of the NCP , •
  and in Appendix A (the Hazard Ranking
  System). Federal agencies must
  commence the KI/FS within six months
  of listing on fee NPL and enter into an
  interagency agreement with EPA.
  Section 120{e) provides for joint EPA/
  Federal agency selection of the remedy.
  or selection by EPA if EPA and the
  Federal agency are unable to reach an
  agreement CERCLA section 120(f)   .
  makes dear that State officials shall
  have an opportunity to participate in the
  planning and selection of the remedial
  action, in accordance with section 121.
   The requirements of the NCP. - •
.  including the requirements related to RI/ •
  FS and selection of remedy and the
  administrative record, are applicable to
 Federal agency response actions under •
  CERCLA at NPLand non-NPL sites,  •
 except where specifically noted that the
 requirements apply only to Fund-
 financed activities. However, the
 deadlines in section 120{e) and the'
 requirement for joint selection of the
 remedy do not apply at non-NPL sites. A
 subpart specifically for Federal facilities
 (Subpart K) is reserved in this proposal.
 EPA plans to propose Subpart K after
 this proposal of the NCP. EPA is
 following its usual regulation
 development process for this subpart.
 including formation of a workgroup. The
 workgroup will be managed by EPA and
 will include membership of interested  '
 Federal agencies and States. EPA plans ;
 to finalize Subpart K as iexpeditiously as
 possible after consideration of public
 comment-
   Even in'instances where.NCP.-
 requirements do not appear strictly to
 apply to Federal agency response, de
 facto compliance may still be necessary.
 One such example is the statutory . .
 limitations of 12 months and $2 million
 on removal actions. When either of
 those limits is reached and no statutory
 exemption applies. Fund-financed
 activity must cease, unless appropriate
  remedial actions are planned. Thus, the
  limitations serve two purposes. In
  addition to their primary function of
  establishing the fanning limits on
  removals, the statutory time and dollar
  limits also serve as markers signaling
  the end point of removal authority. In '
  order for Fund-financed remediation
  activity to continue at. a site where a • .
  statutory limit has been reached and no
  exemption applies, it must be conducted
  as a remedial action. Thus, while' the
  limits have no real application to  .
 funding or duration of response at a  •••
 •Federal facility, they do mark the point
 •at-which applicable remedial  •••-  •  ••
 . requirements of the NCP must begin to
 .bemet. .-•.,-•: - -...-..-... -.-.. - •   .-    :

 B. Brief Summary of Proposed Changes.
 tpthe.NCP   ' .
   In addition to incorporating changes
 mandated by SARA and E.O.12580. the
 proposed revisions are intended to:.
   1. Reorganize the NCP to describe
 more accurately the sequence in which
 response actions are taken pursuant to
 theNCP;  •  -•  -                -
   2. Clarify existing language on roles,
 responsibilities, and activities of
 affected parties; and     :
   3. Incorporate change's suggested by
 program experience since the last
 revisions to the NCP.
  ' Major revisions in each subpart are
 summarized briefly ill the paragraphs
 that follow:  '       ;'
  • Proposed Subpart A is similar to
'•• existing Subpart A. but contains some .
 clarifying revisions. Proposed Subpart A
 also reflects new statutory definitions
 and authorities. Subpart B combines the
 existing NCP's Subparte B and C; and
 the letter designations of existing
 Subparts D thro ugh'F are changed
 accordingly. Proposed Subpart B of this
 regulation lists specific responsibilities
 that Federal agencies have as members
 of the National Response Team.
 Proposed Subpart C (existing Subpart D)
 includes the information from the
 current NCP regarding "Plans" and adds
 information on Title HI of SARA......
 However, it should be noted that
 regulations implementing Title IB of
 SARA are found at 40.CFR Part 355 et
•8evai action
 within hours of the lead agency's
 determination that a removal action is  •
 appropriate. This is consistent with the
 discussion in the preamble for removals
 (§ 300.415) and in the regulatory section
• on the administrative record for.  ••   •'
 removals (J 300.820). EPA will respond
 only to those public health or
 environmental emergencies that the
 Federal agency cannot respond to in a
 timely manner.
   EPA invites public comment on
 today's revisions, including comments
 on the proposed reorganization
 described above. Table I, which shows

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Federal Register./..Vol. S3, No. 245./...Wednesday, December-21, 1988 / .Eroposed Rules    -;51337:
the distribution of current NCP sections
into proposed new sections, has been
prepared to assist the reader in
identifying and tracking the reorganized
rule language. An asterisk (*) next to'a
new section number indicates that
substantial changes are proposed.
TABtE I.— NCPOtStHIBLOTpNTABLE .
Old aaction and title'
SOO.I^PurposeTtnd .
objective*,- ." V ":
300J!-iAa>ho*y__: — :_
3ooj(a): — :_ui-; 	 •


30Q.S-Abbre»«thni '
wffM 	 ! 	
300G DofWt^Tt
SutptrtB •_ • ... •
300.21— Duties of the.
President delegated to
'Federal agencies.
300.22— CconSnafon
among and by Federal
agencies.; | • .-- r. '
300??(h) 	 .. '
300.22(c) j
3C0.22(e) • 	 	
300 2?ff)
win 9^M^
300.23-Ottier '
• assistance by Federal
agencies. •;.:.-. : • •-•'
300.23(0) •
300-2*— Stasa and local
participation.
300.25—
participation.
%W9
300 ^1W) 	 !..!•

300.62— State rale 	
3O0.63— Discovery or
iNMiHcatiort. '.^ "_ .
5»0fi3(h) .-.;...-.. 	
^?'S(^
300.64 — PreSminary
assessnwnt for
igmoval actions.
3*X)$4{G)
3fV)Ci(^
%X> *W ft) '
300 £5 npmrvtilt
•WICl^.)
30065(n)
Newsectton.
300.140. .
300.125.' ....:...-... .
300:i15flKS)... "
Dewed. •••;-.-;;.-•:••' ..'• '
300.14S(e).' .:.., .
300.150...... .•„„-.: ... '
3oai65-. ':•• .: . . "
• (PrapOMd to become
.".".... Subpart Q .
300210.*... --. . '-..
Deleted. .. . - .
300.210(b).
DetetBd. .- ..-..•
; (Proposed to become
. . . SubpaitD) • .
300.3OO. . .
300J05. ' '• '
30031Q. " . '.
300^15.
300.320.
Deleted.
300.330.
300:335. ' .' -
• •• . -Subpart £) ••
300.400(a).-
Deleted.
300.400(c)..
300.400(h).
300.4OOO). ' '
Replaced by new -
SufapartK
3O0.4O5{a).
3OO.4O5(b).-
300.4O5(e).
300.405(1).
3O0.41O(b-cI).
300.410(e}.
300.410(9}.
3O0.41O(h).
300.415(a).* ' -..
300.41S(b).'
TABLE !.— NCP DISTRIBUTIPN TABLE — .
. Continued
CXd »ectkxi and title
5KX) fiWc) — • i
300 fi^ftfl . . "
*^1
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   51398     Federal Register / VoL 53. No! 245 /-Wednesday. December 21. 1988 / Proposed Rules
   "Superfund Memorandum of
   Agreement" {SMOA].
  *   The proposed definition of "lead
  . agency" states that the lead agency
   provides the OSC/RPM to plan and
   implement the response action under the
   NCR The terms "plan" and "implement"
   for purposes of a remedial action refer
   to the RI/ES and the remedial design/
  remedial action (RD/RA) activities,  .
  respectively. The "lead agency" .  -
  definition includes political subdivisions
  of States, as well as States themselves.
  and a reference to SMOAs. In addition.
  because Indian Tribes are afforded  . .
  substantially the same treatment as •'•. ••
  States are afforded during response
  actions, the proposed definition of1  •.
  "State" includes Federally recognized
  Indian Tribes, {See §300515 for .
•  requirements Indian Tribes must meet to
  be afforded the same treatment as
  States.] Thus, for example, EPA may
  enter into cooperative agreements with
  such Indian Tribes. The proposed "lead
  agency" definition also reflects E.O.
  12580. which delegates lead agency
  authorities to Department of Defense
  (DODJ. Department of Energy (DOE],
  and other'Federal agencies under
  certain specific conditions. The Federal
  agency will maintain its lead agency
  implementation responsibilities even'
  xvhen the remedy at an NPIl site is  •
  selected jointly with EPA. or when the
  remedy is selected by EPA alone in
  situations where the Federal agency and
  EPA are unable to reach agreement. The
  new definition of "support agency"
  clarifies the relationship between the
*  lead and support agencies described in
 proposed JNCP provisions. In the case of
 remedial actions taken at Federal
 facilities under CERCLA section 120.
 EPA and  the State will both be support'
 agencies to the lead Federal agency.
   The definitions for OSC and RPM are
 proposed to be simplified, with
 emphasis placed on the agency that
 designates the ofBcial.'The proposed
 definitions for OSC and RPM combined
with the definition for "lead agency"
allow an official from a State, political
subdivision, or Indian Tribe to be the
lead OSC or RPM where a cooperative
agreement a contract or the SMOA
designates one of those entities as lead
agency. It should be noted that this
designation must be made on'a site-
speciEc basis. In some circumstances, a
support agency coordinator,  also
defined in Subpart A, may be designated
on a site-specific basis, with authority to
carry out support agency responsibilities
for particular response actions.
  The new definitions for SMOA and
""Slate Superfund contract" clarify the
Federal/State partnership. Both
   documents are intended to formalize the
   responsibilities of lead and support
   agencies. The SMOAs are described in
   greater detail in the proposed new
   Subpart F of the NCP.
     2. Definitions of "applicable
   requirements"and Relevant and
   appropriate reguirements.'"Iaese
 • -.definitions have-been modified pursuant
   to the CERCLA. amendments to include
   the statutory provision that in addition
 ..  to Federal requirements* more .stringent
   promulgated State requirements can
   also be applicable or relevant and
   appropriate..  • .         .....'-
     In addition, EPA proposes to revise
   the definitions of the terms "applicable
 • requirements" and 'Relevant and  • -' -
   appropriate requirements" to clarify the •
   wording of these two definitions without
   altering their basic meaning or .
  significance. The current NCP defines
 • "applicable requireraents" as "those
  Federal requirements mat would be •
 ' legally applicable,  whether directly.-or
  as incorporated by a Federally
  authorized State program, If the - • •
 response actions were not undertaken •
 pursuant to CERCLA section 104 or 106."
 EPA today proposes to define applicable
 requirements as "those cleanup •
 standards, standards of control, and
 other substantive environmental
. protection requirements, criteria, or
 limitations promulgated under Federal
 or State law that specifically address a
 hazardous substance, pollutant
 contaminant remedial action, location.
 or other circumstance at a CERCLA
. site."
   The proposed changes to the current
 definitions are not substantive and are
 not intended to affect implementation.
 They are intended to clarify the
 definitions and, in the case of
 "applicable," eliminate the conditional
• wording of the current definition, which
 has caused some confusion. However.  •
 EPA is not changing its position (see 50
 FR 47917. November 20.1985} that other
 environmental laws do not legally apply
 to on-site response actions conducted
 under the authority  of CERCLA sections
 104,106. or 122, except as they are
 incorporated by CERCLA section 121(d].
 Nonetheless, as EPA decided in
 promulgating the 1985 NCP revisions.
 and as Congress affirmed in enacting
 section 121 of CERCLA. the substantive
 requirements of other environmental
 laws will be met in CERCLA remedial
 actions. The only exceptions to fhia
 requirement are the  six specified in
 CERCLA section 121(d)(4).
   The current NCP defines "relevant
 and appropriate requirements"-as "those
 Federal requirements that while not
 "applicable.1 are designed to apply to
   problems sufficiently similar to those
   encountered at CERCLA sites mat their
   application is appropriate. Requirements
   may be relevant and appropriate if they
   would be 'applicable' but for
   jurisdictional restrictions associated .
   with the requirement" Today EPA
   proposes to clarify mis definition with
   the following substitution: "Relevant
   and appropriate requirements means
  'those cleanup standards, standards of  .
.   control and other substantive
   environmental protection requirements,
   criteria, or limitations promulgated
.  under Federal or State law mat while •
  not'applicable'to a hazardous  -  •  -
  substance, pollutant contaminant- '
  remedial action, location.-or other  • •
  circumstance at a GERCLAsite. address
  problems or situations sufficiently  -
  similar to those encountered at the  -  •
  CERCLA site that their use is well raited
  to the particular site."
    The word "substantive" in the
  proposed definitions is not meant to • -
  imply a necessary level of "significance"
  or "weight" for a requirement to be
  .applicable or relevant and appropriate.
  Rather, "substantive" is used to
  distinguish the universe of applicable or
  relevant and appropriate requirements
  from administrative or procedural
  requirements, which are not potentially
  applicable or relevant and appropriate.
   Further discussion on applicable or
  relevant and appropriate requirements
  and how they are identified and'used in
  the remedial selection process, including
 more discussion of the distinction '
 between "substantive" and ' "
 "administrative." can be found in the
 Subpart E, § 300.430 preamble section
 below, "F.  Compliance'with the
 applicable or relevant and appropriate
 requirements of other laws."

 B. Other Revisions

   1. Organization of Subpart A. EPA has
 rewritten 5 300.1. "Purpose and  .
 objectives." to clarify that the purpose
 of the NCP is twofold: (1J To provide a
 plan for an organizational structure; and
 (2) to provide a plan for responses.
 under that structure, to discharges of oi!
 and releases of hazardous substances.
 pollutants, or contaminants.
   Section 300.2. "Authority," is
 combined with current § 300.4,
"Application," to eliminate
redundancies. Section 300.3, "Scope," is
being expanded to ireflect new
authorities created by the CERCLA
amendments. Proposed § 300-3(b]
reflects the  outline of the NCP.
  In addition, definitions contained in
the current Subpart H. "Dispersants,"
(e.g. burning agent sinking agent] are
proposed to be moved to Subpart A so

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            Federal Register / Vol. 53, No. 245  /  Wednesday, December 21, 1988  /  Proposed Rules      51J99
 that all definitions are in one place. No
 substantive changes are proposed to
 these definitions. Proposed §| 300.6 and
 300.7 have been added to explain use of
 number and gender and computation of
 time in the NCR
  2. New abbreviations. EPA is
 including many operational
 abbreviations that are commonly used
 in communications regarding actual site
 response. For example, the abbreviation
 "RI/FS" is commonly used by EPA to
 refer to the remedial investigation/
 feasibility study process where hazards
 at CERCLA sites are characterized and
 alternatives for response to those  •
 hazards are developed. EPA believes
 that the NCP should contain
 abbreviations that have become
 common in EPA communications.
 However. EPA is aot adding any new
 department or agency title
 abbreviations, even though the Nuclear
 Regulatory Commission is now a
 member of the National Response Team
 (NRT). Because "NRC" is already listed
 as the abbreviation for the National
 Response Center, confusion •will be
 avoided by not using this abbreviation
 for Nuclear Regulatory Commission.
  3. Minor definitional changes. Some
 of the changes are merely to conform
 with word or phrase changes required
 by CERCLA or Executive Order 12580.
 and others are proposed strictly for
 clarification. The following are changes
 required to conform with the statute:
 Addition of abandonment of drums to
 the definition of "release;" addition of a
 phrase to include related enforcement
 activities in the definitions of "remove
 or removal," "remedy or remedial
 action," and "respond or response;" and
 addition of provisions for Indian Tribes
 to the definition of "natural resources."
  Clarifying changes include expanded
 definitions of "trustee" and "operable
 unit" Indian Tribes were added to the
 definition of "trustee" to be consistent
 with statutory changes.
  The definition of "operable unit" was
 expanded to explain that operable units
 can be distinguished by their
 dimensional aspects. This is an
 important concept because a Record of
Decision often is signed for, and site
work often is conducted as. one or
 several operable units, not an entire site
response. Operable units may be actions
performed at a site simultaneously on
 different portions of the site or in a
series of actions. Sometimes the purpose
of conducting an operable unit is to
address the most imminent threat or to
 stabilize a threat posed by the site or to
undertake a discrete, well-defined
portion of the project while developing
 the overall remedial action. Examples of
 this are providing an alternative water
 supply or retarding movement of a
 contaminated plume while a source
 control and ground-water remediation
 strategy is being formulated. Sometimes
 remediation may consist of several
 operable units conducted sequentially
 for logistical and technical reasons. An
 example of this is where demolition and
 treatment of waste in tanks on a site is
 the first operable unit to facilitate
 locating equipment or materials
 handling for staging the second operable
 unit, which may be to cleanup an
 adjacent lagoon or contaminated soils
 on the site. In addition, operable units
 sometimes may be conducted   '
 concurrently but as separate activities.
 An example of this is where source
 control activities ate one operable unit
 and ground water restoration is another
 operable unit For more information on
 operable units, see proposed regulatory
 and preamble language for Subpart E,
 § 300.430.
  Changes also include  shortened
 definitions of "remedial investigation,'' •
 "feasibility study," "source control
 remedial action," and "management of
 migration." EPA is proposing to shorten-
 the definitions because the current
 definitions contain details inappropriate
 for a definition. These definitional
 changes do not represent a change in
 policy or meaning.
  4- New definitions. EPA is proposing
 to incorporate in the NCP new	
 definitions that weie added to CERCLA.
 The proposed NCP adds definitions
 directly from the statute for the terms
 "alternative water tiupply" and "Indian
Tribe."
  EPA is also proposing the addition of
 several new definitions including
 "CERCLIS," "community relations
 coordinator." "cooperative agreement"
 "miscellaneous oil spill control agents."
 "operation and maintenance."
 "preliminary assessment" "public
 vessel" "remedial design." "SARA,"
 "site inspection." "State." "treatment
 technology." and "vessel."
  i. CERCLIS. EPA is proposing to add a
 definition for CERCUS because
 CERCUS has become a key •
 documentation tool for most Superfund
remedial and removal activities, and it
 is mentioned in portions of the NCP.
 CERCUS is EPA's inventory of potential
hazardous waste sites. In the past
 CERCLIS was primiirily an inventory of
remedial releases or sites and included
 only some sites on which removals had
 been undertaken. However. CERCUS
has recently been changed to include
releases at removal, remedial, and
enforcement sites so that it is a more
comprehensive list of all Superfund
activities. To ensure  as comprehensive a
data base as possible. EPA is now also
 entering data for CERCLA response
 actions undertaken by the United States
 Coast Guard (USCGj.In addition, as the
 definition explains, CERCLIS contains
 active and inactive (Le, previously
 addressed] sites. EPA archives inactive
 sites in CERCLIS as a historical record
 of accomplishment For informational
 and dissemination purposes, EPA
 considers only active sites.
   ii. Community relations coordinator.
 EPA is proposing the addition of a
 definition for the term "community
 relations coordinator." The community
 relations coordinator is an important
 person in CERCLA responses; therefore,
 EPA believes it is necessary to include a
 definition of the title for informational
 purposes.
   iiL Cooperative agreement. EPA is
 proposing to define cooperative
 agreement as a Federal assistance
 agreement in which substantial EPA
 involvement is anticipated.
   iv. Miscellaneous oil spill control
 agents. EPA is proposing to add a
 definition of "miscellaneous oil spill
 control agents" for informational
 purposes.
   v. Operation and maintenance and
 remedial design. The terms, "operation
 and maintenance" (O&M) and "remedial
 design" are proposed as new definitions
 because they are important terms
 commonly used in EPA communications;
 furthermore, a new NCP section
 (§ 300.435) has been added to reflect
 new CERCLA provisions affecting
 remedial design/remedial action (RD/
 RA) and O&M.
  vi Preliminary assessment and site •
 Inspection. EPA is proposing to add
 definitions for the terms, "preliminary
 assessment" (PA) and "site inspection"
 (SI), because they are important and
 discrete procedures in the site
 evaluation process. Use of the terms is
 also common in EPA communications.
 There are two kinds of PAs and Sis.
 Removal PAs and removal Sis are
 carried out to determine the nature of a
 release and associated threats when
 initial notification or discovery data
 suggest that a relatively rapid
 assessment or response is appropriate.
 The objective of removal PAs and Sis is
•to make timely and accurate decisions
 on which subsequent removal actions
 can be based. The other subset is
 remedial PAs/SIs. Remedial PAs are
 generally the first stage in the process of
 evaluating whether there is a release or
 threatened release at a site that does not
 appear to warrant removal action and
 determining the nature of the threat
 associated with that release or threat
 Remedial Sis are the second step in the
 process and include an on-site

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 • 51400    -.Federal Register /'Vol.S3. -No.-245: /-Wednesday; December 21. 1988 / Proposed Roles
  investigation mud other gathering of data
 •to determine whether further action at
 • the site is necessary."  •  ••  -     •
   vii.' Public resseland vessel.
 Definitions for the terms "public vessel"
 and "ve3ie3." taken from Clean Water •
 Act (CWA) section Sit and CERCLA,
 are proposed for addition because the
 term* are used in several other NCP  •
 .definitions.  .  -.  •    .1 •••.-..•••' '-'•   -"
   vSL SARA. The proposed role also'
 include* « definition for "SARA." the

 iRcautiorizatioc Act of IsaS-This is the
 law that, among other-tilings; amended •
 CERCLA. One significant component ot
••SARAIfTifient a free-standing section
 on »TTi»rj>>»gyr3»nntng and community
 right-to-know. Regulations Implementing
 Title HI are codified at 40 CER'
 Subchapier t-and referred to in Subpart
 C of the proposed NCP.   <  .
   ix. State. EPA is proposing to add a -
 definition of ^State" that includes  •   :
 Indian Tribes." Except for purposes of
 SARA Title ffl or where specifically
 noted in the NCP, Indian Tribes may be
 treated in the" same manner as States.
 EPA proposed to include Indian Tribes
 in the definition of State so that the term
 does oot have to be repeated in every
' place that "State" appears. Section
 300315 describes in more detail
 requirements for Indian Tribes. •
   X Trsotoenf technology. 3ie term
 "treatment technology",is also being   •
 added as a. new definition for  ->-  •  • =
 informational purposes. The term is . •
 used often in EPA communications and
 has become a central consideration in
 the remedial selection process. It has a
 precise meaning, which EPA believes
 should  be included in the NCP.
 *  S. Deletion of definitions. The  .
 definition of "Federally permitted -
 release" is proposed to be deleted
 because it is no longer used in the NCP.
 To avoid confusion with other plans, the
 term "Plan** is no longer used to mean
 the NCP in the proposed rule. The
 definition of "Plan" is proposed to be
 deleted. The term "quality assurance/
 project plan" is proposed to replace
 "Site Quality Assurance and Sampling
 Plan."       %      m     •     -

 C Point of Clarification .""]..
   The NCP includes within the terms
 "discharge*'and "release," threats of
 discharge and threats of release. Thus,
 the phrases "threat of discharge" and
 "threat  of release" have generally been
 deleted from the current rule where they
 appear with the terms "discharge" and
 "release," except when they are part of
 a statutory definition. To clarify this,
 EPA proposes to add the definition
 "threat  of discharge or release" with •
  cross-references to "discharge" and  • •
  "release." .   '.-.;.   •:,..-.'•

  Subpart B—Responsibility and .   ..'
  Organization for Response '  '

   Proposed Subpart El describes the
.  responsibilities of Federal agencies for
  response and preparedness planing  .
  and describes the organizational• ••• '  •
•  structure within which response takes •
  place. It lists the Federal participants in
  the response organization,"their :•'•:•• =
  responsibilities for preparedness *  -  "
  planning and response, axulthemeans •
  by which State and local governments, •
  Indian Tribes,-and volunteers may  •'"••
  participate in preparedness and -
  response activities. *Xhe term "Federal"
  agencies" is meant to include the "  . •
  various departments and agencies.  ::
  within lie Executive Branch of the  '•"•
 Federal government -~'•  •' •  :  '  '•

;A-Major Revisions          .•.;:••••-.
   No major substantive changes are .  .
 proposed for this snbpart. EPA is ;•    ';
 proposing, however, a major v-:;'»:-   - -
 reorganization of Snbpart -B. The most '
 significant element of this
 reorganization is that EPA proposes to
 combine existing Subparts B and C. •
 Furthermore. EPA proposes to change
 the sequence in which information from
 current Subparts B and C is presented.
 The proposed revisions present key '.
 information in a logical sequence of  '.
 response-oriented activities from ;  \
 preparedness planning through response
 operations. The .overall National
 Response Team (NRTJ. Regional
 Response Team (RRT), and OSC/RPM
 organization is introduced at the
 beginning, and the discussion of
 activities that have to be completed
 before and during response operations is
 integrated with a discussion of the role
 and responsibility of each of these major
 entities in the Federal response • .. .
 organization. .Qualifications, exceptions,
 and caveats are generally described .  .
 after the main or usual course of action.
 The listing of the capabilities of Federal
 agencies with respect to preparedness - •'
.planning and response now follows the
 sections related to response operations..

 B. Other Revisions   '•'    .'"-'•
  1. Reorganization overview of existing
 Subparts B and C. EPA proposes to .
 combine existing Subparts B and C and
 reorganize the existing language (with _
 minor revisions) in the following order:.
  L Identification of the NRT/RRT/   •••
 OSC/RPM organizational system      ,
 (§ 300.105);                       -
  ii. Roles and responsibilities of the
 NRT and RRT(§§ 300.110 and 30Q.11S)  '
 and OSC/RPM (5 300.120). and activities
   that must be accomplished prior to a vv.
 'response;'   •' • '•   •"   '     ': '"i!'-;;
     iii. Notification and communication of
   threats or incidents (§ 300.125);" -.<=.-<. '
     iv. Determination that a response is-  •
   needed, including discussion of separate
   authorities of the Clean Water Act and
   CERCLA (5 300.130);
•  .   v. Response operations-^-organized
   around OSC/RPM activities (! 300.135);
  •• -vi Other response-related topics.suci •
   as multi-regional response, special '••>.'
'   teams, and documentation and cost '" '•
  recovery (§§ 300.140 through «J0.165);.
   '  vS: Federal agency participation' • • "
  {§ 300.170) and Federal capabilities and
  expertise of NRT member agencies that'
•  might be required or useful in certain
  preparedness planning and responses
. (§300.175); and   ,; .   ..-..'
     viiL Information on State and local''
  governments, Indian Tribes, and
  volunteer participation in and .
  coordination with Federal preparedness
  planning and response {J § 300.180 and '
  300.185).   . .      ...      .     : .
     In general, very little existing NCP,/.. •'•.
  language is proposed to be deleted.
  Deletions 'are proposed only when, in,
  the proposed new sequence, it would be ,
  clearly repetitive and not necessary to
  assure that key ideas are highlighted in
  frequently used sections. New-   ••••'.  .
  introductory language has been added in
  some sections and new headings  .;:.
  indicate more clearly, the contents of
  each section. -
 '  Several cross-references to other  . •
  sections of the NCP have been added. •
  For example. Community Relations •- •
  Plans are referred to in this proposed
  subpart under .Public Information to  •
  remind the reader of the existence of • .
  mrpTmmity ralafimiK req^irptTjpnta and •
  the need for coordination where such
  plans are in effect ••-
    EPA proposes to change or add "• • ••
  language in several places to make -•
  clearer the parallels between NRT and-
  RRT responsibilities and activities -and
  to highlight the complementary nature of
  the RRT-OSC relationship.-Forexample.
  the discussion of the OSCs ...•-..   .'
  responsibility for "OSC contingency •••
  plans" (proposed inSubpart C.as the  •:  .
  new name for plans formerly called :  •••
  "Federal local plans") complements the-
 .discussion of the RR.T members' '.   ' '"
  responsibility to participate in such •'••-.•'•
  planning. Language :is also proposed in
 •several places to reflect the current  - • -
  responsibilities or activities (e.g., RRT '•
  work planning) that are needed and •  •'
  being performed, but that are not  '  : •
  identified in the current NCP.
    2. Executive Order 1258O. The 1986
  CERCLA amendments and E.0.12580 '
  (52 FR 2923. January 29.1987) have  •   •.

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            Federal Register / VoL 53, No. 245  / Wednesday. December 21, 1988 / Proposed Rules     51401
 expanded the responsibilities of Federal
 agencies for facilities and vessels under
 their jurisdiction, custody, or control
 EPA notes that the language proposed
 throughout this subpart is intended to be
 generally applicable to all Federal
 OSCs/RPMs.
  3. Indian Tribes. Proposed new
 language in various sections of this
 subpart introduces Indian Tribal
 government representation fat fee NRT/
 RRT system. The 1966 CERCUV
 amendments establish that Indian
 Tribes are to play essentially the same
 role as States for die purposes of die
 Superfund program. Although not
 explicit in the current NCP, provision  .
 had previously been made for Indian
 Tribes to participate in RRTs when
 Indian Tribes so request -Indian Tribes
 are now proposed to be included in the
 definition of State in Snbpart A. so they
 are specifically mentioned in Subpart B
 only when the role of responsibilities of
 Indian Tribes needs separate
 explanation.
  4. Title in. New references are   •
 proposed to be Incorporated throughout
 the proposed subpart relating to review
 of State and local emergency
 preparedness planning required by
 SARA Title HI. The emergency
 preparedness planning activities
 discussed in this subpart are carried out
 under the authority of Title ID, not
 CERCLA.
  5. Incident-specific response teams
 (§300.115(j')). EPA proposes this
 paragraph to notify RRT members of key
 information relating to a release when
 full RRT activation is not warranted.
 Without systematic transfer of correct
 information. RRT members may receive
 only partial or erroneous information
 from second-hand sources as to effects
 on people or natural resources from a
 release. Systematic means of
 notification should be covered in
 Regional Contingency Pians (RCPs) so
 the OSC/RPM is not distracted from
managing the response by the need to
maintain frequent contact with RRT
members. EPA notes that numerous
 communications techniques «nd tools
 are becoming more readily available to
RRT members. For example, electronic
bulletin boards and conference call
 systems have been used successfully.
  6. Oa-ecene coordinators and
remedial project managers (§DOO.I2D}.
The first paragraph of proposed
 { 300.120. sets forth all OSC/RPM
responsibilities and activities up to the
 time of an actual response. EPA
proposes this language to replace
 existing f § 30Q.32(c) end 30O33(a} with
 the Stems of responsibility or activity in
 a slightly different order, stating first the
 basic OSC responsibility—that the OSC
 i* to be in eh*rg* of tine response. It is in
 light of this responsibility that the OSC
 vndertakes the other preparedness cod
 planning duties and tlbe OSCs related
 activities with ERT Member
 representative*. Where appropriate,
 there is parallel language for RPM*
 regarding remedial response. •
  ID addition to remedial action
 responsibilities, «t R1?M may have
 removal authority responsibilities if,
 during the remedial process, • release is
 discovered that will tlbeaten public
 health or the environment within a
 timeframe ohorter than ft*** in which tb?
 remedial program can respond and it is
 more efficient for the RPM to. conduct
 the action. Because oJ: this overlap in
 OSC and RPM responsibilities, the term
 "OSC/RPM" is proponed to be used in
 the NCP, where appropriate, to describe
 responsibilities that may belong to
 either an OSC or an RPM. depending on
 the particular f^irMiFi*yyir*fcr of the
 release.
  Additionally, EPA is proposing to use
 the terms OSCaadRPM to apply to
 State representative* overseeing State-
 lead response actions. Therefore,
 changes are proposed in this section, as
 well as elsewhere in the NCP. to -
 accurately reflect this approach.
  The SMOA, a cooperative agreement-
 or another agreement such as an
 agreement between EPA and another
 Federal agency or between another
Federal agency end a State, may
provide for the establishment of a
 support agency at a response action. To
 clarify the response structure and the
 interaction of the support agency and
 the OSC/RPM, a description of
responsibilities of a stmport agency
 coordinator (SAC) is proposed to be
 added to { 300.120{f}. There may be a
support agency and a SAC at a site only
if specified in an agreinnent with fee
lead agency. Generally, a support
agency will not be dpirigrnrted for
responses to oil discharges or
 emergency releases of hazardous
 substances. If a support agency is
 designated in sucli an agreement, the
 support agency raor designate • SAC to
 be the prime representative of that
agency S3xd respoosib.te for interacting
and coordinating with the OSC/RPM.
The purpose of designating a SAC is to
provide * specific penioa in the support
 agency to assist the OSC/RPM as  -
requested. In pxrticul«z,1he SAC is
TonpfffTfini* for providing sj>d reviewing
 data and documents as requested by the
 OSC/RPM during fee planning, design.
smd response activities.
  Changes are proposed for I S0ai20(e)
regarding RPM responsibilities,
 currently f 30O33(bXt4}. to reflect
          Federal agency'
 responsibilities doe to the CERCLA
                    >- ^9Rso For
 example, anew paragraph. non-Fund-" -
 financed Federal-lead, was added to
 cover sites at which * Federal agency
 other than EPA or the USCG (primarily
 DOD Bad DOE) has the lead.
   7. Notification and commanicatioaa
 (§300.125). EPA proposes to add fee
 word "notification" to the title of
 existing 5  30O36, and to move it to a
 new location, fa EPA's proposed
 revisions, notification starts fee
 communications process, followed by
 fee determination of whether to initiate
 * federal response. This section has
 been moved to more accurately reflect
 to place in the response sequence. Both
 the title and the location change better
 reflect the importance of fee National
 Response Center in fee NRT/RRT/OSC/
 RPM system.
   EPA reiterates feat statutory and
 regulatory reporting requirements are
 still keyed to discharges of oil and
 releases of hazardous substances "
 exceeding a reportable quantity (ROJ.
 EPA is aware, however, that many   • '
 notifiers do not have fee training or
 knowledge to determine if there is an
 RQ of a substance Involved in a release.
 Therefore, whenever there is  any doubt
 about whether a release exceeds an RQ,
 EPA encourages feat fee release be
 reported to fee NRG. Reporting ensures
 positive referral of every incident to
 each Federal agency wife jurisdiction
 and/or regulatory interest
   The NRC is tasked wife processing all
 reports regardless of fee material
 involved or fee reported significance of
 fee incident All reports are passed
 frnmoiiiafpTy by tel?rb"T"» to the proper
 Federal response entity and recorded in
 fee NRC data-base at the time of receipt
• Public, government industry, or
 academic requests for access to stored1
 data may be made through a written
 Freedom of Information Act request to
 fee Chief, National Response Center, .-
 2100 Second Street NW* Room 2811,
 Washington. DC 2093. See S 300.405,
 "Discovery or Notification," and related
 preamble discussion. .
   8. Determination* 'to initiate response
 and special conditions (§ 9OO.13O). EPA
 proposes to consolidate in { 300.130
 language um entry in several places in
 fee NCP. The section addresses .fee
 im'HaKon of • Federal response,
 provides a basic statement about
 response management responsibilities of
 fee cc-chair agencies (whether under fee
 CWA or CERCLA). discusses fee special
 authorities and circumstances that may
 affect fee initiation of a response, and
-contains crow-reference* to the
 relationship of fee NCP to other kinds of

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51403      Federal Register / VoL 53. No. 245  / Wednesday. December 21. 1988 / Proposed Rules
Federal response authorities (e.g.,
natural disasters). Also, for example,
f 300.130{f) refer* to the Federal
Radiological Emergency Response Han
fFRERP) when a discharge or release
involves radioactive materials. When
EPA is required to respond tinder the
FRERP, it will do ao in accordance with
the provisions of the 133. EPA  .
Radiological Emergency Response Plan.
(See EPA Report No. 520/1-61-002,
December 1886.)
  0. Response operations (§300.135].
EPA proposes to relocate existing
| 30O33, to introduce it with language
currently contained, in § 30O33[b), and to
keep the language that follows it
virtually unchanged. EPA also proposes
to relocate the language describing the
way OSC jurisdiction is determined
from current § 300.33(a) to new
i 300.120. This section describes the
OSC/RPM components of the NRT/
RRT/OSC/RPM system.
  10. Special teams anil other
assistance available to OSCs/RPMs
(§300.143). EPA proposes changes to
existing 5 300.34 to combine information
currently in two separate paragraphs
about special technical resources
available to OSCs/RPMs {e.g., on
marine salvage) aad to delete
information no longer applicable (dive
teams and Spill Cleanup Inventory
System).
  11. Worker health and safety
{§ 3O0.1SO). EPA proposes to make   •
several revisions to existing i 300.38 to
bring it up to date with CERCLA and  •
other changes in applicable regulations
and policy developed since the last
revision of the NCP.
  12. Public information (§300.155). The
title of this section has been changed to
"Public Information and Community
Relations** to indicate that  obligations in
this area extend beyond merely
informing the public.
  13. Documentation and cost recovery
(§ 3O0.1BO(tJ)}. Section 3O0.160{d} is a
proposed new section of the NCP added
in response to changes made by the 1986
amendments to CERC1A. Section
107(a)(4][D) of CERCLA establishes that'
the responsible parties are liable for
"* « • the costs of any health
assessment or health effects study
carried out under section 104(i)." This
new section of the NCP responds to the
statutory requirement by providing for
the development of documentation to
assure that these costs will be   •
recoverable from responsible parties at
CERCLA sites. The responsible parties
•reliable under section 104(i) of
CERCLA for the costs of:
  i. A health assessment for each
facility on the National Priorities last
(NPL):
   ii. Health assessments for releases or
 facilities where individual persons or
 licensed physicians provide information
 that individuals have been exposed to a
 hazardous substance, for which the
 probable source of such an exposure is a
 release:
   iii. Pilot studies of health effects for   .
 •elected groups of exposed individuals,
 where such studies are deemed
 appropriate by the Administrator of the
 Agency for Toxic Substances and
 Disease-Registry |ATSDR) on the basis
 of a health assessment;
   iv. Full-scale epidemiological or other
 Health studies as may be necessary to
 determine the health effects on a
 population exposed to a hazardous
 substance bom a release or threatened
 release, where deemed appropriate by
 the Administrator of ATSDR on the
 basis of a pilot study or other study or
 health assessment;
   v. Establishing a registry of exposed
 persons:
   vi. Population health surveillance
 programs for exposed populations: and
   vii. Steps necessary to reduce
 exposure and eliminate or substantially
 mitigate the significant risk to human
 health, including but not limited to
 provision of alternative water supplies
 and permanent or temporary relocation
 of individuals.
   In addition, section 104(i)(5) of
 CERCLA authorizes health effects
 research addressing inadequacies in the
 existing health risk information on •
 substances frequently found at CERCLA
 sites.
   This research is based on the data
.inadequacies identified in the
 toxicologies! profiles on the substances
 selected under section 104(i){2)(A).
 These substances are selected for their
 potential human health risk in terms of
 (1) chemical toxicity. (2) frequency-of-
 occurrence at NPL sites, and (3)
 potential for human exposure. This
 research reduces the  inadequacies in the
 existing health effect data base by
 further determining the health effects of
 these substances or by developing the  •
 techniques and methods to further such
 determination. A more complete data
 base on these  substances' health effects
 will allow EPA to estimate better the
 health risks at NPL sites.
  .To mintinferj duplication of health
 effects research across the various
 government programs, and to minimize
 unnecessary cost recovery actions.
 whenever possible. EPA and ATSDR
 will coordinate the research programs
 under the Toxic Substances Control Act
 rrSCA). the Federal Insecticide.	
 Fungicide, and Rodentidde Act (FIFRA).
 and the National Toxicology Program
 (NTP) to fill the data inadequacies
identified in me toxjeologjcal profiles. -
This position is consistent with CERCLA
section lM(iK5)(D) which states:
  It i* the tease of me Congress th*t the
costs of research program* under this
paragraph be borne by fee manufacturers «nd
processors of the {Hazardous substance in
question, as required in programs of
lexicological testing under the Toxic
Substances Control Act. Within 1 year after
the enactment of the Superfund Amendment*
•nd Kenthorizaticm Act of IMS. the
Administrator of EPA shall promulgate
regulations which provide, where
appropriate, for payment of such costs by
manufacturers and praccwor* under the
Toxic Substances Control Act, mnd
registrant* under the Federal Insecticide.
Fungicide, and Kodenticide Act. sod recovery
of such costs from responsible parties  under
this Act

  In many cases, the cost of research
conducted under these programs is
already borne by the manufacturers, the
processors, and the registrants of the
substances  as intended by the Congress.
The existing regulations under TSCA
and FIFRA allow EPA to pass the  major
portion of the research costs to them.
For example, 40 CFR Part 716 requires
submission of health and safety studies
on chemical substances selected for
priority consideration for testing rules
under section 4(a) of TSCA. Under 40
CFR Part 158, manufacturers and
processors of pesticides are required to
provide health and environmental risk
information on pesticides for which
registration is sought.
  Where costs are incurred that are not
otherwise borne by manufacturers,
processors, or registrants, any agency
conducting health effects research
initiated by the Administrator of
ATSDR, under the authority of CERCLA
section 104(i), should maintain complete
documentation of the expenditures
related to this research and submit these
documents to EPA for cost recovery
actions.
  14. OSCieports (§3OO.16S). EPA
proposes to leave current i 300.40
largely unchanged, except for an
increase in the time for submitting OSC
reports from 60 to 90 days. This change
is viewed as giving the OSC a more
realistic amount of time in light of the
OSC* many other responsibilities. EPA
expects that, wherever possible, all or
parts of reports prepared to meet other
requirements can be used with little or
no revision to meet review needs of the
RRTs and the NRT. An OSC report's
recommendations may be a source for
new procedures and policy.
  15. Federal agency capabilities
(§§300.170 and 300.175). EPA is
proposing that the description of the
capabilities of Federal  agencies with

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            Federal Register / VoL 53, NrpnT Ttteaxe fimns. to. the.
 States, and EPA- Title E: akacontaina
 general provisions, concerning.
 emergency- training, resdievK of.
 emergency systema. trade- secret
 protectioi2« pniviid5n2.niioDnialiQn.toi
 health professionals.. pubEc avaiiaBiEiy
 of inibrmatioB» eniarcfiEient. and! citizen
 sufla. Eegulationa impfeo»enting;Tifle IQ
 are codiEediai4&eER SiaBchapter J.
 EPAwaErefeience Title:Iir and these
 regulations in Subpart C where
 appropriate-
   Z.. OSC^ttont£agencypl!ans^ Tb<* name
 and confients o£"federaI.Ibc8lpIaBsV
 have been modified- EPi\ proposes to.
 use the new name "QSC. cpn^'Tfg""^
 plans" tc replace tfie- name "Federal
 local plan" i" order to. nanove, ambiguity
 in: the. phrase "Federal BacaT1' and
 because the QSC iaresf lonsible £br
 developing, these planslChanges.alsn.
 have been made ta describe belter what
 these plans are and to.iilenn% how. they
 are different fcom. and Enfced. to the:
 "emergency, plans."' required by. sectioa
 303 of SARA-
 B. Point of dariffcafiorp
   Title Ittdefuu'tTons o}' facility and"
 release. Title HT and1 CERCLA prowide
 slightly ^^^ff^•riTl£ definitions o£ the terms
 "faciJBty"'and<mada
 by the. person la charge of a. vessel or
 facility,, reports must be made to the
 National Response Center CNRQ-In.
 other cases^re5ortiiig.tcit the-NRCia
                                       encouraged but not mandatory (this,
                                       section- i* coEsistent with the ckacgea- to
                                       the coaatequart gpfffioniiaSubgart E, '  -
                                       "Discovery orNotificaUon" C5 300.405^.
                                       Proposed- 5t3OQt305(d) clarifies, the  •
                                       requirement foiQSC.notificatioa of
                                       natural resouice trusiees. and makes it
                                       consistent with the wosdteg ia § aOOiMOJ.
                                       Proposed S 30O310£c) reqoires- that   :
                                       applicable, or relevant and ap^apriata:  •
                                      materials. recovered iadeanupr
                                      operations^FiaaUyi proposed
                                      responses, f or. jnedHast and major ail
                                       separately iH
Response
  IHie Hazardous Subai
                                      subpart contains a detailed plan
                                                               HeipoBse:
                                      rn-
                                      activities involved in abatingand:
                                      remedjdngirekaseff or threats 06
                                      releases of hazaccdcttssiifaslanceK;
                                      pollutants; oircontamJEante, EP&-ia
                                      proposing major revisions) tatije
                                      harapfemar
                                      autfamtiea
                                      revisions mcorporaeamen'   •
                                      CERCLA andreoigaaize the sections- of
                                      the subpart ta«sonKade-wid> feegew»al
                                      order of established procedure* during'
                                      response,
                                        SpeaScaEy, EPA is proposing to.
                                      expand. current (300:62 on tbe-Staferote
                                      into- a. separate subpart (ne*pStebpartF};
                                      which Bicorporafes tiie1 sew Sfefe
                                      involvemen*regala6ons; aadito move
                                      the entire- discussion to appea* afterfte
                                      Hazaidoos- Substance-Response
                                      subpart — today-proposed to-be
                                      redestgnatecS as- "Subpart E~ EPA riso-
                                      proposes to- revise anc? reformat current
                                      § 300.07 on- community- relations so- that
                                      it is no-Iongera separate- section- bnti*
                                      incorporatBd mto- the-otherseetions- as-
                                      appropriate-.. Furtheimorev EPA is-
                                      proposing- to- rename andreoigamze me
                                      sections in Snfepart E as-foBows:
                                      {30a<400  General           ' .
                                      { 300.405  Oiscoveis or ootutcatian.
                                      5 300.410  Removal lite evalnatibn.
                                      $300:415. Removal action.'
                                      $ 300.42O- Remedial «ttger
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  514M     Federal Register / Vol. S3. No. 245 / Wednesday, December 21, 1988 / Proposed Rides
 pollutants, or contaminants. The
 framework outlined in the 1982 NCP and
 refined in the 1965 NCP and in this
 proposed revision to the NCP
 establishes general procedures for
 discovery or notification, response, and
 remediation of releases that pose a
 threat to human health and the
 environment EPA's primary
 consideration in CERCLA response
 actions is that remedies be protective of
 human health and the environment The
 variety of releases and threats
 encountered, however, makes it •
 necessary that specific response actions
 and cleanup levels be determined on a
 sfte-by-site basis. Therefore, the  .
 function of the NCP is to delineate how
 such site-specific decisions on response
 actions will be made.
   CERCLA authorizes EPA to
 administer response actions in several
 ways:
   i. EPA can take direct action using
 Fund monies;
   E. Under EPA oversight responsible
 parties can undertake a response action
 as a result of EPA's enforcement.
 authorities; and
   iff. States can undertake a response
 action using CERCLA monies pursuant
 to a cooperative agreement with EPA.
   1. Discovery or notification. The first
 step in the response process occurs
 when there is discovery or notification
 of a release (the definition of "release"
 in Subpart A includes threat of release).
 This discovery or notification occurs in
 the various ways described in 5 300.405.
 As described in that section, notice of a
 release is typically directed to the
 National Response Center. Once Federal
 officials are aware of a release, there
 are two types of responses: Removal or
 remedial. Before any response action is
 taken, however, the conditions and
 problems at the site must be evaluated.
   2. Site evaluation. When notice of a
 release is received. EPA will consider
 the reported facts and circumstances to
 determine whether a removal or a
 remedial site evaluation should be
 undertaken.
  The main differences between
 removal and remedial site evaluations
 are their respective purposes and die
 amount of time available for conducting
 the evaluation before an action must
 begin. When a lead agency conducts a
 removal site evaluation, the agency
 usually has some reason to believe that
 a prompt action may be needed. If there
 is any indication that there may be an
 emergency or other tune-critical
situation, the release is evaluated for
possible removal action. The same is
generally not true with remedial site
evaluations because the primary
purpose of a remedial site evaluation is
  to assistin determining whether a
  release should be included on the
  National Priorities List (NPL). {See
  S 300.425(b); urgent situations do not
  allow for developing the more
  comprehensive data required in
  remedial site evaluations to score the
 , site for the NPL.}
    It should be noted, however, that
  removal and remedial site evaluations
  overlap. Information gathered during a
  remedial site evaluation may indicate
  that the contamination or one portion of
  the contamination at a site should be
  addressed by the removal program or
  information gathered during a removal
  site .evaluation may indicate that the
  contamination at a site can be better
  addressed by the remedial program. The
  important point is Suit when the lead
  agency receives notification of a release,
  it makes a quick determination as to
  whether the site seems to be a likely
  candidate for removal action. If the
  release does not immediately seem to be
  a likely candidate for removal then the
  release is listed on CERdJS for a
  remedial site evaluation to be conducted
  in the future.
 • Because of the pressing nature of
  removal response, a removal PA/SI is
  characterized by a quick assessment
  When the OSC is responding to an
  explosion or transportation spill, a
  removal site evaluation may involve
  only an on-site assessment Where more
  time is available (for a non-time-critical
  removal), a removal site evaluation may
  involve a review of any existing
  information available on the release
  plus an cm-site evaluation, including
  sampling. During these evaluations, the
  lead agency generally reviews
 conditions of a release to see whether
 the release is from a discrete source.
 Due to the limitations on removal
 actions, the removal program is
 generally unable to address large areas
 of contamination, ie., where there is not
 an identifiable discrete source. For
• example, the lead agency may look for
 unstabilized tanks, drums, lagoons, or a
 small area of highly contaminated soil in
 evaluating the urgency of the release.
 Section  300.410 describes in more detail
 the removal cite evaluation, including
 when it  is terminated. The criteria for
 removal actions described in
 S 300.415(b)(2) are used in the removal
 site evaluation to determine whether a
 removal action may be appropriate.
   Remedial PAs and Sis are more
 comprehensive and structured because
 there is not the same time constraint as
 there is for removal PA/Sls. A remedial .
 PA will consist of a review of existing
 information and may include on-site  or
 off-site reconnaissance where safe and
 appropriate. After the PA is complete.
  the lead agency will prepare a report
  that describes the characteristics of the
  release and recommends whether
  further remedial evaluation is
  warranted. At sites where further action
  is indicated, the lead agency will
.  conduct an SI ttiat will build on the
  information collected in the remedial PA
  and involve, as required, on-site and off-
  site field investigations and sampling.
  Data gathered during the remedial PA/
  SI are used to evaluate the release using
  the Hazard Ranking System (HRS) to
 •determine whether the Bite should be
  listed on the NPL. For more discussion
  on remedial site evaluation see the
  preamble section below,"f 300.420—
  Remedial Site Evaluation." For more
  discussion on the NPL, see the preamble
  section below." J 300.425—Establishing
  Remedial Priorities."
   3. Removal actions. After conducting
  the removal site evaluation (or, as
  appropriate, during a remedial activity}
  the factors described in § 300.415(b)(2)
  are considered in determining whether
 or not a removal action is appropriate. If
 the lead agency determines, upon
 consideration of such factors, that a
 removal action is appropriate, actions
 shall begin as soon as possible to •
 prevent minimize, or mitigate the threat
 to human health and the environment
 (Section 300.415(d) describes the types
 of measures that may be taken.)
 CERCLA requires the termination of
 Fund-financed removal actions after 12   •
 months have elapsed from the date of
 the initial response or after $2 million
 has been obligated unless statutory
 exemptions apply.
   EPA has conducted removal actions in
 response to a .wide range of situations
 including, "midnight dumping" and other
 illegal disposal, releases from active'
 manufacturing or waste disposal
 facilities, and transportation-related
 incidents. In addition, removal actions
 may be conducted in response to a time-
 critical situation at a remedial response
 site. For example, a removal action may
 be required to stabilize an NPL site
 before remedial response activities can
 begin, or a removal action may be
 necessary in response to a sudden
 dangerous situation such as a fire or
.explosion that occurs during a long-term
 remedial response.
  In situations involving immediate
 threats, it is not difficult to determine
 that use of removal authorities is
appropriate. In less obvious situations.
however, the lead agency must rely on
the best technical Judgment of its
response personnel to determine
whether use of removal authority or
remedial authority is more appropriate
to address the identified threats. On-

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            Federal  Register / VoL 53.  No. 245 / Wednesday. December 21. 1988 / Proposed Rules      53405
 .scene coordinators and remedial project
 managers are charged with using all the
 information available to them at the
 time to determine how quickly a
 response must be initiated and,
 therefore, which response authorities
 are appropriate.
   Notwithstanding the-discussion of'
 lead and support agency conduct of
 removals, potentially responsible parties
 may undertake these activities under
 EPA oversight as a result of EPA's
• enforcement authorities.
   4. Remedial response—L Remedial
 investigation/feasibility study and-
 selection of remedy. The lead agency
 generally will conduct a remedial
 investigation (RI) and feasibility study
 (FS) (although actions may be initiated
 at any time prior to. during, or after the
 RI/FS when there is a need or •
 opportunity to reduce or control risk or
 prevent further environmental
 degradation). The purpose of the RI is to
 gather sufficient data to characterize the
 conditions at the site in order to assist is
 determining the appropriate action. The
 RI should be focused so that only data
 needed to develop and evaluate
 alternatives and to support'design are
 collected. Nonetheless, because of the
 complexity of the problems, it can take
 many months of investigatory and
 sampling work to characterize properly
 the pathways of exposure to the
 surrounding population, the hazardous
 substances that are present at the site.
 the concentrations of these substances
 in various areas of the site, and other
 conditions that must be understood
 before the best remedy can be -selected
 for that site.
   As the problems at a site are
 beginning to be understood, a feasibility
 study is conducted. The purpose of the
 FS is to develop and analyze
 alternatives for appropriate action. The
 level and detail of the analysis will be
 tailored to the scope and complexity oi:
 the action needed. As the impacts of
 these alternatives and other factors are
 considered, the  number of alternatives is
 reduced. A remedy is selected in a
 Record of Decision based on these
 studies. The proposed regulation and
 preamble for 5 300.430 explain in detail
 the RI/FS and selection of remedy
 process; therefore details of the process
 will not be repeated here.
   ii. Remedial design/remedied action
 and operation and maintenance. After
 an RI/FS has been completed and a
 remedy has been selected, the lead
 agency designs  the remedy. The
 remedial design stage includes
 developing the actual plans and
 specifications for the selected remedy.
 When this'is completed, the lead agency
 conducts and completes the remedial
  action. After a joint inspection of the
  remedy following the completion of
  construction, the State or other
  appropriate party (e.g., a Federal
  facility) will generally assume
  responsibility for ensuring that the
  remedy is operational and functional
  After the lead and iiupport agencies
  •have determined that the remedy is
  operational and functional, the State or
  other appropriate parry is responsible
  for operating and maintaining the site as
  needed. Section 300.435 describes
  remedial design/remedial action (RD/
  RA) and operation imd maintenance
  (O&M) activities.
   Notwithstanding the discussion of
  lead and support agency conduct of RI/
  FSs, RD/RAs, and O&M. potentially
  responsible parties (no's} can
  undertake these activities as a result of
  EPA's enforcement authorities.
   5. Relationship between removal and
  remedial activities. It is important to
  note that response to releases of
  hazardous substances does not fallow a
 •straight sequential path from discovery
  through removal to remedial action.
  Although the NCP sections on removal
  site evaluation and removal actions
  come before the remedial site evaluation
  and other remedial sections, in reality, a
•  decision to conduct a removal may be
  made at any time in. the remedial
  process, and sites initially evaluated or
  addressed by the removal program may
  be referred to the remedial program.
  Thus the need for removal is considered
  during a remedial PA, a remedial SI. RI/
  FS. and actual remedial action. If a
  removal action doe» not fully address
  the threat posed by a release, file lead
  agency will ensure Jin orderly transition
  from removal to remedial response
  activities. The removal program is
  intended to address releases that pose a
  relatively near-term threat that can be
  addressed within the statutory limits.
 ' The remedial program is intended to
  address significant releases that cannot
  be addressed under the removal
  program. There will always be some
  overlap between the two programs, and
  it is important that they •work closely
  together. The goal in to ensure that the
  most significant threats are addressed in
  the most efficient and effective manner.
   6. State participation. State
  participation is critical to the response
  program. It is EPA's intention that the
  States and EPA function as partners.
  and States are encouraged to participate
  in all facets of the response process:
  Removal, pre-remediaX remedial, and
  enforcement EPA proposes to use
  general agreements called Superfund
  Memoranda of Agreement (SMOA) to
  delineate non site-specific Federal/State
  interactions and responsibilities. Site-
specific State-lead actions are
undertaken via cooperative agreements
between the State and the EPA Region.
For more information on State
involvement see proposed Subpart F of
the NCP.
  7. Public participation. tERCLA
requires the opportunity for
participation of the public and of PRPs
in the remedy selection process and the
development of the administrative
record supporting the remedy selected
(see Subpart I}. The NCP discusses the
opportunities for public and PRP
participation, including comment
periods, public meetings. «"d formal
community relations plans specifying
interactions at each remedial action site.
In enforcement actions, there will be
comment periods for consent decrees
and, in the removal action process,
participation is encouraged to the extent
allowed by the exigencies of the   •
situation. The public participation
requirements have been incorporated
into each of the sections where they
apply (e.g, $5 300.415.300.430, and
300.435). See Subpart E, § 300.430
preamble section below. *H. Community
Relations."
  & Federal facilities. CERCLA
emphasizes the application of the
Superfund program to Federal facilities
indicating the intent of Congress that
Federal agencies address releases from
such facilities with attention equal to
that given by EPA to non-Federal sites.
Unless a provision specifically
addresses Fund-financed activities only,
all provisions in Subpart E (and
throughout the NCP. as appropriate]
apply to Federal facilities.

Subpart E: Section-by-Section
  A section-by-section discussion of the
proposed revisions to Subpart E follows,
in order of appearance, with two
exceptions: Community relations and
applicable or relevant and appropriate
requirements. These requirements are
described in their own separate
preamble sections because the
requirements are interspersed
throughout the Subpart E regulatory
sections.
Section 3O0.4OO General.
  This section revises existing NCP
§ 300.61 and contains a general
discussion of the prerequisites, methods.
criteria,  and limitations of response
actions addressing hazardous substance
releases.
A. Major Revisions

  1. Limitations on response   	
(§ 3O0.4OO{b)). Amendments to  CERCLA
section 104(a)(3] added significant

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 53406     Federal Register / VoL 53. No. 245'/ "Wednesday, December 21.1988 / Proposed Rules
 limitations on response authorities.
 Those limitations have been
 incorporated into the NCP through the
 addition of new § 300.400(fa). The
 proposed section states that the Fond
 may not be used to respond to releases
 of naturally occurring substances, to •
 releases from products dial are « part- of
 the structure of a building -and result In
 exposure within that building, or to  ,
 releases into drinking water supplies
 doe to deterioration of the water system
 through normal use. However, there Is  •
 an exception allowed. The Fond may be.
 used to respond in cases where the lead
 agency determines that the release is a
 public or environmental emergency and
 that no other person with the authority'
 and capability to respond will do so In a
 timely manner. EPA expects these
 exceptions to be rare.
  An example of the Erst type of •
 situation for which the Fund is not   ',
 available for response is found in the
 Reading Prong and other areas, where
 high levels of radon were discovered •
 inside buildings erected on naturally
 radioactive formations. Examples of the
 second type of situation are chemically-
 treated wood or masonry materials-  •
 containing radionuclides which may be
 part of the structure of a building and
 result in exposure to persons in that
 building. Examples of the third type of
 situation are releases of lead and other
 contaminants into a municipal HnnTcfnq
 water supply system solely from the • •
 natural deterioration of pipes and welds
 in the system.
  2. Entry and access f§3O0.400(dJ).
 CERCLA section 104[e)(3) allows any
 ofiicer. employee, or representative of
 the President, duly designated by the
 President, to have access to vessels,
 facilities, establishments, or other
 places, where any hazardous substance,
 pollutant, or contaminant may be. or has
 been released, generated, stored.
 treated, disposed of. or transported from
 or where access is needed to determine
 the need for response or the appropriate
 response or to effectuate a response
 action under CERCLA. As one method
 of enforcing such authority,-where
 consent is not forthcoming. CERCLA
 section 104(e]{5) authorizes the
President to issue administrative orders
 for entry and access to such property. In
E.0.12580 the President delegated this
authority to Executive departments and
agencies. To ensure full understanding
 of the scope and proper utilization of
 this authority. EPA proposes to include
in § 300.400(d) the requirements for
administrative orders, the scope of
orders, the activities permitted under
orders, end certain content, delivery.
and enforcement aspects of such orders.
   In -accordance with CERCLA's
 increased emphasis on private party
 response, EPA specifies in this section
 that it may designate a potentially
 responsible party as EPA's-
 representative solely for the purpose of
 access, and that it may exercise the
 authorities contained In section 104(e],'
 including j«
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             Federal Register / Vol. .53, No. 245 / Wednesday, December 21, 1988 / Proposed Rules      51407
   EPA'» interpretation of "on-site"
 farther includes situations where the
 remedial activity occurs entirely on-aite
 but the effects of such activity cannot be
 strictly limited to the site. For example,
 a direct discharge of CERCLA
 wastewater would be an on-site activity
 if the receiving water body is in the area
 of contamination or is in very dose
 proximity to the site, even if the water
 flows off-site.           "  "•
   EPA notes .that section 104(d)(4} of
 CERCLA allows EPA to treat non-
 contiguous facilities as one where those
 facilities are "reasonably related on the
 basis of geography, or on the basis oJ
 threat or potential -threat to -public
 health or welfare or the environment."
 EPA interprets Shis section to allow it to
 elect to treat several CERCLA facilities
 as one "site" for purposes of section
' 121(e). Under this approach, hazardous '
 substances from several CERCLA
 faculties could be managed on-site at
 one of those CERCLA facilities without
 having to obtain a permit for the wastes
 that are brought from the other CERCLA
 facilities. Among the criteria EPA uses  .
 to treat non-contiguous facilities as one
 site are that the facilities are reasonably
 close to one another and the wastes are
 compatible for the.selected treatment or
 disposal approach. EPA solicits
 comment on whether to limit this  -
 approach to situations where the non-
 contiguous facilities are under the
 ownership of the same entity.
   EPA is considering several other
 possible ways of defining "on-site" for'
 permitting purposes. Each of these is
 described and discussed briefly below.
   L Define "on-site" as the area! extent
 of surface contamination. This concept
 is similar to the RCRA concept of a
 hazardous waste management area. It
 would make the definition of "on-site"
 more definite but would have several
 problems. First, there are CERCLA sites
 that have relatively minimal or no
 surface contamination because the   •
 contamination is primarily in the ground
 water. This definition would mean that
 in certain cases there would be little or
 no area that'would be considered "on-
 site" and exempt from permits. Second,
 this option would mean that permits
 would have  to be obtained in cases
 where the construction or staging area
 cannot be located on top of the
 contamination, even if the staging areas
 were in very dose proximity. As
 described above, these administrative
 processes could delay remedial actions
 at many sites even after there has been
 public comment on the proposed
 remedy.
  it. Define "on-site" as identical to a
 CERCLA facility. The term "facility" is
 defined in section 101(9) of CERCLA
  (this definition is repeated in J 300.5 of
  the NCP) as "any- building, structure,
  installation, equipment, pipe or pipeline
  (including any pipe into a sewer or
  publicly owned treatment works], well,
  pit, pond, lagoon, impoundment ditch,
  landfill, storage container, motor
  vehicle, rolling stock, or aircraft, or any
  •ite where a hazardous substance has
  been deposited, stored, disposed of, or
  placed, or otherwise come to be located;
  but does not include any consumer
 product in consumer use or any vessel."
 Defining the term "on-site" to be the
 same as "facility" probably would .allow
 the lead agency to follow a plume and
 construct a treatment system over the
 plume without obtaining a permit
 because of the phrase "or any site where
 a hazardous substance has been
 deposited *  * * or otherwise come to
. be located." It would cot,-however,  .
 address the concern that
 noncontaminated land may be needed
 as a construction staging area and may
 be an integral part of the remedial
 action'to be taker- In addition, it should
 be noted that it is often difficult to
 define a CERCLA facility boundary.  ~'
 When a site is listed on the NPL. an
 attempt is made to describe the facility
 and its boundaries. However, the extent
 of contamination :is not always known
 at that point in the process. Later, during
 the RI/FS stage, the facility boundaries
 may be better defined.
   iii. Define "on-site" as the facility plus
 any contiguous area necessary for
 carrying put the response. This -would
 address the problem described in
 number (i) above but the requirement of
 contiguity may present other problems.
 For example, sometimes it may not be
 possible to locate the construction
 staging area directly contiguous to the
 facility; perhaps there is unused railroad
 property between the facility and the
 proposed staging urea or some other
 similar obstacle.
  • iv. Define "on-siite" as encompassing
 the area having the same legal
 ownership as the primary contaminated
 area or areas. This definition would
 limit the permit-free areas available for
' staging and implementing response •
 actions. Because the site would be
 defined in terms that do not directly
 relate to the contamination, there may
 be situations where the ability to
 implement a remedy expeditiously is
 artificially constrained by the proximity
 of the property line.   .
 B. Other Revisions
   1. Current §300.Bl(b). This paragraph
 has been deleted to conform with
 amendments to CERCLA section
 104(a)(l)(B). The former CERCLA
 section 104(a](l) and NCP authorized a
 response action "unless the President .
 determines that such removal or.  -.-.-  .'
 remedial action will be done properly by'
 the owner or operator of the
 facility * * * or by any other
 responsible party." The change to ..
 CERCLA and deletion of this section
 from the NCP clarify that the Federal  .
 government is not precluded from.  -.-.
 conducting a" response action, merely . •
 because responsible parties have  . ...
 indicated a willingness to take some •
 form of response action.
   2. Health assessments (§ 3OO.4OO(f]).
 This paragraph has been added to •  "•'
 codify the requirements of CERCLA •
 section 104(i) that a health assessment  -
 be performed by ATSDR at each site
 proposed to be listed on the NPL or in
 response to a petition for a health
 assessment.

 C. Points of Clarification
   1. Pollutants and Contaminants.      c
 CERCLA section 104(a)(l) authorizes
 response actions whenever any
 hazardous substance, including mixtures .
 of oil and hazardous substances, is
 released or whenever there is a release
 of any pollutant or contaminant that
 may present an imminent and
 substantial danger to the public health
 or welfare. This standard is reflected in
 NCP i 300.400(a). Note that under
 CERCLA. "imminent and substantial
 danger" limitation applies only to
 pollutants and contaminants and not to
 hazardous substances. Moreover, the
 limitation does not define the scope of
 the removal actions as described in
 S 300.415(b).
  2. Response to HWTC's petition to
 modify the NCP to permit treatability
 testing without the need to obtain a
 RCRA permit. The Hazardous Waste
 Treatment Council (HWTC) has
 petitioned EPA to issue regulations
 facilitating small-scale treatability
 studies on wastes at Superfund sites
 that contain or may contain RCRA'
 hazardous wastes by exempting owners
 or operators of facilities conducting such
 tests from RCRA requirements that -
 would otherwise apply to facilities
 treating, storing, and disposing of
 hazardous wastes. HWTC has
 submitted two petitions for regulatory •
 action. One seeks a regulation under
RCRA that would generally exempt such
 studies from regulation under RCRA
when conducted within certain limits of
 study size, storage volume, etc. The
 second petition is directed more
specifically at treatability studies
 conducted to support decisionmaldng at
 CERCLA sites. It seeks to exempt
 treatability studies conducted to support
remedy decisions at CERCLA sites from

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  51408     Federal Register / Vol 53. No. 245  / Wednesday, December 21. 1988 / Proposed Rules
  permitting requirements by defining the
  facilities at which treatabUity studies
  are conducted as being "on-site." As
  discussed elsewhere, activities
  conducted "on-site" are exempted from
  the need to obtain permits. Such a
  definition, therefore, would exempt
  those conducting testability studies
  from any permitting requirements and
  would not be limited to the need to  '
  obtain a RCRA permit 'EPA is
  separately considering HWTCTs petition
  for rulemaking under RCRA. (See 52 ER
  35279. September 18, 1937.) Only the
  second petition, under which treatability
  tests -on wastes from CERCLA sites
  wcndd be exempted from permitting by
  defining thnn«s occurring "onnBte," is
  considered here.
   Treatobility tests are an important
 part of the RI/FS process as well os
 Other waste TnanaooTrwtf ptoCSSSSS.
                                .
 EPA has concluded, however, that to the
 extent it ts appropriate to ndjust
 permitting requirements to encourage
 treat ability testing, that should be
 accomplished fey -diieHly muJgymg the
 RCRA regulations to address •such
 testing generally. EPA -does not believe
 that the tern "on-site" can extend to a
 distant facility that may be conducting a
 treatability -test For these reasons, EPA
 is not proposing in today's notice to
 extend fee definition -of the term **on-
                                  '
 treatabifity tests cflaiBctolaiig wastes
 from CERCLA -sites as •contemplated by
 HUrrCs petition, fastead EPA win
 consider the merits •ofHWTC'-s position
 in the context of HWTC's petition for
 rulemaking under RCRA.
 Section 300.405 Discovery or
 Notification.

  This section revises currentNCP
 § 300.63 and discusses how CERCLA
 sites may be discovered, fee notification
 responsibility to report releases of
 hazardous substances-pollutants, or
 contaminants to the National Response
 Center (NRCj. and the details of the
 notification process. There are no major
 revisions.
 Revisions

  1. Discovery of release (§ SOO.40S(a}).
 EPA is proposing two minor clarifying
 changes to current § 300.63(a)«nhow
releases are discovered. First.
 notification under section 103[a) of
 CERCLA (notification of releases of
 reportable quantities] and under section
 103[c) of CERCLA (owners and
 operator's notification to EPA of the
 existence of a facility at which
 hazardous substances are or have been
 stored, treated or disposed ofj have
 been separated into (1) and (2).
    Second. EPA is proposing to add to
  the list of discovery methods e new
  method for discovering releases. This
  revision is intended to reflect the fact
  that fee new statutory provision
  allowing citizen petitions for preliminary
  assessments also represents a new
  method for discovering a release.
    2. Notification reqmremeats (§ 300.405
  (b), fc) and (d)J. EPA is proposing a
  minor clarifying change to the *
  notification requirements in 5 300.63(b)
  to state that where direct reporting to -
  the NRC is not-practicable, reports may
  be made to the predesignated EPA OSC
  through the Regional 24-hour emergency
  response telephone number.'Tins
  •wording was -added to alert the public •
  that such numbers exist, but should be-
 • used only in fee vary rare cases where
  the NRC cannot bereached (for
  example, because a caller cannot get
  through to the NRCJ-EPA-strongly urges
  that all reports of releases be made
  directly to fhe'NRC. Klhe sotifiercan
                 '
           Lnotes ihat faemoslBkely
  situations in whict direct reporting to  -
  fee NRC may not be .practicable are
  releases from vessels at sea or onshore
  platforms wife no telephone access. In
  fliA«»> nflflpft, rplpjigpT
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           Federal Register / Vol. 53, No. 245 / Wednesday, December 21, 1988  /  Proposed Rules     511C9
the necessary response action
assessments, evaluations,
investigations, and planning with the
State and Federal trustees.
B. Other Revisions
  1. Removal/Remedialprogram
coordination (§ 3O0.41O(h)). EPA
proposes a minor addition at
$ 300.410fli} to clarify that when a
removal site evaluation indicates that a
removal action is not needed but that a
remedial action may be needed, a
remedial site evaluation shall be
initiated and the release shall be listed
on tie CERCLIS remedial inventory.
This is similar-to the addition proposed
forme notifications section at
5 300.405HH2}.
  2. Termination of removal site
evaluation f§300.410fe)). EPA is
proposing minor changes "to current
§ 300.64[c) to reference me limftatians
on response in 5 300.400fb).  •
  As discussed in the-current NCP, it is
important to note mat if another party is
responding, Hie OSC -will not continue to
pursue a removal site evaluation or
action, whether or not sudh person is
under court or administrative order.
However, if the person is under an
order, the OSC may provide surveillance
as B separ&te action. "to assure
compliance Trim the order. There may
also be instances of Tohmtary -response
•where the OSC •provides monitoring to
assure props-response and to avoid a
situation where follownp action would
be needed.
C. Minor Revisions
  EPA is proposing other minor
conforming revisions to ensure
consistency in •wording between .the new
statute and the NCP, and between
subparts.     •        •     •
Section 3OO.4IS  Removal action.
  Tills w tion contains -the CERCLA
program's removal authorities. EPA is
proposing several revisions to portions
of the current NCP J 300.65 including: •
the statutory limits on removal actions
and exceptions to those limits; the
relationship of removal action to
anticipated long-term remedial action; a
list of appropriate removal actions for
specific situations; requirements for
post-removal site control: and the
requirement for submission of the OSC's
report to the RRT.
  Today's preamble discussion uses
several descriptive terms to broadly
differentiate among various types of
removals, and EPA wishes to provide
here an understanding of their meanings
in this context: "Emergencies" generally
refer to those action* where the release
requires that response activities begin
 on-site within hours; of the lead agency's
 determination that a removal action is
 appropriate. Time-critical" removals
 are those where, based on the site
 evaluation, the lead agency determines
. that a removal action is appropriate and
 that there is a period of less than six
 months available before response
 activities begin on-site. "Non-time-
 criticaT removals are those where, .
 based on the site evaluation, the lead
 agency determines that a removal action
 is appropriate and that there is a
 planning period of more than six months
 available before en-site activities must
 begin. The lead agency forrton-time-
 fTyHffn^ -removals will iiTi^^rt3*^** an
 engineering evaluation/cost analysis
 (EE/CA) or its equivalent  •
   Because Superfund resources are
 finite, it is not possible for 'EPA to
 conduct all removals authorized by
 CERCLA. Therefore, the removal
 program sets priorities to ensure mat the
 most serious public health and
 environmental threats will be
 addressed. Classic emergencies, such as
 fires -g"*^ explosions and .time-critical
 removals that cannot be addressed by
 any other authority, are the removal
 program's highest priorities.

 A. .Major Revisions
   1. Statutory Emits (§ 3O0.41S(b)(5)).
 The amendments to CERCLA section
 104(c)(l) raised the (statutory limits for
 Fund-financed removal actions from six
 months and $1 million, to twelve months
 and $2 million,-respjctively. The
 amendments also provide a new
 exemption from Ox time and dollar
 limits for situations where .the lead
 agency determines lhat continued
 response is otherwise appropriate and
 consistent-with the remedial action to be
 failcpn Formerly, there was an
 exemption-only for tlhose situations that
. met the emergency criteria in CERCLA
 «ectionl04(c).
   •EPA proposes to include the new
 statutory limits and the new exemption
 in the NCP at S 300.415(b}(5). In the
 proposal only statutory language has
 been included for both provisions. This
 is consistent with the way the
 emergency exemption has been treated
 in the current NCP.-
   EPA has developed an approach for
 implementing the new exemption and
 solicits comment on. rt»* approach. EPA
 believes that the new exemption should
 be used primarily for proposed and final
 NPL sites and should be used for non-
 NPL sites only in rare circumstances.
 EPA believes that Congress originally
 put the statutory limits in place because
 it intended that the removal program
 generally be short-term and mitigative in
 nature. Long-term remedial actions
 generally involve complete cleanup of
 sites which are on the NPL. EPA
 .believes that the new exemption was
 included to ensure that the time and
 monetary limits would not preclude
 proper implementation of the
 requirement in CERCLA section
 304(a}(2) that removal actions should, to
 the extent practicable, contribute to the
 efficient performance of any long-term
 remedial action (see below for
 discussion of this provision). The
 purpose of the provision is to conserve
 Fund monies at NPL sites by performing
 'indicated removals at these sites that
 take into account the ultimate remedy.
 Monies spent wisely during the removal
 portion at NPL sites would enable the
 entire action to be completed more
 efficiently and cost-effectively.
   in accordance with mis interpretation.
 EPA has developed the following
 criteria for determining when use of the
 new exemption at proposed and final
 NPL sites is appropriate:
   j.Tfo avoid a foreseeable threat:
   ii. To prevent further migration of
 contaminants:
   iii. To use alternate technology to
 reduce mobility, toxicity, or volume; or
   iv. To comply with off-site
 requirements.
   Although EPA intends to use the new
 exemption primarily at NPL sites in
 order to miaiTitain the effectiveness of
 the NPL priority system, EPA also
 recognizes that there may be some
 limited circumstances at non-NPL sites
 •where use of the new exemption could
 be appropriate. If. for example,
 treatment-could be used that would
 permanently or significantly  reduce
 mobility, toxicity, or volume  at a non-
 NPL site, then it might be appropriate to
 use the new exemption at a non-NPL
 site. Use of the exemption in these
 situations at non-NPL sites would be
 consistent with a permanent remedy.
 but use at non-NPL sites is not intended
 to supplant the remedial program. EPA
 will ensure that the new exemption is
 used at non-NPL sites only in limited
 circumstances by requiring that each
 decision for using the new exemption at
 a non-NPL site be approved by the
 Assistant Administrator for the Office of
 Solid Waste and Emergency Response.
   2. Efficient performance of the long-
 term remedial action {§ 30O.4I5{cJ}.
 CERCLA section 104{a)(2) provides that
' removal actions should, to the extent
 practicable, contribute to the efficient
 performance of any long-term remedial
 action with respect to the release. EPA
 is proposing to incorporate this language
 into the NCP. This provision is intended
 to avoid, repetitive removal actions or
 actions that do not take into account

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51410      Federal Register / VoL 53. No. 245 / Wednesday. December 21, 1888 / Proposed Rules
their impact on performance of •
subsequent remedial action, and to
allow for more permanent tasks to be
completed under removal authorities.
EPA proposes to apply this requirement
to all removal actions. Since removals
may occur in situations where there is
only limited information on whether or
not a remedial action is anticipated, the
lead agency need only,consider
information that is available at that
time. The lend agency should consider
the following questions when selecting a
removal action that will contribute to
the efficient performance of the long-   .
term remedy:
  1. What is the long-term response plan
for the site? If there is no plan, what is it
likely to be? To determine the long-term
response plan the OSC need use only
currently available information. The
OSC is not required to determine long-'
term action.
  ii. Which threats will require attention
prior to the start of the long-term
response? An efficient removal should
eddress those threats that require
attention in order to stabilize the site or
protect human health and the
environment until the long-term remedy
can be implemented.
  iii. How far should the removal go to
ensure that the threats are adequately
abated? If a long-term remedy is
planned, an efficient removal should
mitigate the threat to human health and
the environment until the remedial
action can be implemented. At a
minimum, this means that the removal
should prevent or reduce further
migration or public contact
  iv. Is the proposed removal action
consistent with the long-term remedy?
An efficient removal generally should
not hinder or foreclose viable options
for a long-term remedial action.
  Removal action should not be unduly
delayed by the consideration of the
above criteria. The threat to human
health and the environment shall remain
the primary concern of the lead agency
conducting the removal. Occasionally, it
may not be practicable to be entirely-
consistent with the long-term remedial
action. This may occur when it is
necessary to slow the migration but not
possible to implement the long-term
remedy. For example, removal actions
may be needed that merely stabilize
{e.g., cap) some sites to reduce the
migration threat until a long-term
treatment remedy is developed. EPA is
currently developing guidance to further
address the details. EPA solicits
comments on the policy of extending the
section 104(a)(2) provision to all
removals rather than limiting it to NPL
rites only, and on the criteria for
determining whether a removal will
 contribute to the efficient performance
 of the long-term remedial action.

 B, Other Revisions
   1. Engineering evaluations and costs
 analyses (§ 300.41S(b}(4)}. It is EPA's
 intent that the lead agency conduct an
 engineering evaluation and cost analysis
 (EE/CA) or its equivalent, as
 appropriate, as a part of removal actions
 in those cases where adequate planning
 time is available before the start of the
 removal EPA believes adequate
 jilftTTiw^g time is a minimum of six
 months. EE/CAs contain evaluations of
 possible alternative technologies,
 •election of ti>e .response, and document
 thei detisionmaking process. Engineering
 evaluations and cost analyses use a
 screening process and analysis of
 removal options based upon such
 factors as technical feasibility,
 institutional considerations,
 reasonableness of cost, timeliness of the
•option with respect to threat mitigation,
 environmental impacts, and the
.protectiveness of the option. This
 information will be subject to review
 and commentby the public prior to
 initiation of the affected removal
   2. Appropriate actions (§ 3O0.415(d)).
 EPA is proposing some minor changes to
 the current Si 300.65[c) (3) and (6) by
 clarifying additional activities that can
 be conducted.
   3. Off-site policy. Current £ 300.65[g)
 requires that removal actions taken
 pursuant to CERCLA sections 104 and
 106 that involve the storage, treatment
 or disposal of hazardous substances,
 pollutants, or contaminants at off-site
 facilities shall use only those facilities
 that are operating under appropriate
 Federal or State permits or authorization
 and other legal requirements. EPA has
 separately proposed regulations
 implementing CERCLA section 121(d}(3]
 which imposes requirements on the off-
 site transfer of hazardous substances or
 pollutants or contaminants. 53 FR 48218.
 November 29.1988.
   4. State-lead removals (§§ 3O0.415 (h)
 andfi}}. EPA is proposing to codify in
 the NCP its existing policy allowing
 States to enter into cooperative
 agreement to undertake Fund-financed
 removal actions, provided that States
 follow all the provisions of the NCP
 removal authorities. Non-lime-critical
 actions are the most likely candidates
 for State-lead removal because
 sufficient time generally exists to
 complete a cooperative agreement The
 new language also states that facilities
 operated by a State or political
 subdivision require a minimum cost
 share of 50 percent of the total response
 costs if a remedial action is taken.
   B. Post-removal cite control
. (S 300.4150)). Because of statutory limits
 on removals and the historical role of
 removals as short-term actions, there
 will sometimes be situations at both
 NPL and non-NFL sites where post-
 removal site control actions (such as
 watering a grass cover) will be
 necessary. EPA expects that States.
 potentially responsible parties, or EPA's
 remedial program (in the case of some
 Fund-financed NPL cites} will provide
 for post-removal 8ite"control activities to
 ensure the protectiveness of the removal
 action. This may also involve arranging
 for private parties or Federal facilities to
 conduct the post-removal site control In
 most cases, the possible State role in
 post-removal site control will be
 discussed prior to initiation of removal
 activities. EPA wants'to encourage that
 to the extent practicable, the State
 commitment to conduct such action be
 secured prior to the start of cleanup.
   EPA is developing procedures for
 assumption of post-removal site control
 at NPL and non-NPL sites. For more
 discussion of State assurances
 necessary for cooperative agreement for
 State-lead removal and remedial'
 actions, see the discussion of the new
 State involvement regulations in today's
 preamble discussion of Subpart F.
   B. OSC reports (§ 300.4JS(m)). This
 paragraph has been added to ensure
 that OSCs and RPMs conducting
 removal actions •submit OSC reports. It
 is important that where RPMs are
 overseeing removal actions at NPL sites,
 they submit OSC reports to the RUT for
 review (see "Points of Clarification"
 below for discussion of situations where
 an RPM might oversee a removal). The
 Subpart B discussion of OSC reports
 also proposes some minor clarifying
 changes for OSC reports.
   7. Community relations (§ 300.415(n}}.
 Discussion of community relations is
 included in the Subpart E. S 300.430
 preamble section, "H. Community
 Relations."
 C. Points of Clarification
   1. Compliance with other laws.
 CERCLA section 121 requires that
 remedial actions attain a level of
 standard of control which is applicable
 or relevant and appropriate to any
 hazardous substance, pollutant or
 contaminant that will remain on-site. In
 contrast section 121 does not require
 mat removal actions attain applicable or
 relevant and appropriate requirements
 (ARARs). EPA's policy for removal
 actions, however, is that ARARs will be
 identified and attained to the extent
 practicable. ARARs are those
 substantive requirements that pertain to

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             Federal Register / VoL S3. No. 245 / Wednesday. December "21. 1988 / Proposed Rules
 actions or conditions in the environment
 (see Subpart E. § 300.430 preamble
 section below, F.15).
   Three factors will be applied to
 determine whether the identification'
 and attainment of ARARs are
 practicable in a particular situation: (i)
 The exigencies of the situation; (ii) the  ,
 scope of the removal action to be taken;
 and (iii) the effect of ARAR attainment
 on the statutory limits for duration and • ••
 -cost •    •    ••-••.  --••••••,
   L Exigencies of the situation. OSCs '
 must often act quickly to provide  • •  .
 protection of public health and the- :-.
 environment and any delay would
 compromise this objective of the  • -•'
 removal action. Where argent conditions
 constrain or preclude efforts to identify
 and attain ARARs. the OSCs
 documentation of these conditions will
 be considered sufficient as justification
 for not attaining all ARARs. To -.
 • illustrate, a site may contain leaking
• drums that pose a danger of fire or
 explosion in a residential area. The •' ••
 drums should be removed or stabilized
 •immediately without attempting to •  •
 identify and comply with all potential •
 ARARs. The OSCTs documentation
 should describe the time-critical nature
 of the situation and the removal action
 taken.  .
   ii. Scope of the' removal action.  •
 Removal actions generally focus on the
 stabilization of a. release or threat of
 release and mitigation of near-term   ..
 threats. ARARs that are within the
 scope of such removal actions,-
 therefore,-are only those ARARs that
 must be attained in order to eliminate
 the near-term threats. For example, a
 removal action, may be conducted to
 remove large numbers of leaking drums
 and associated contaminated soiL In
 this situation, because the removal
 focuses only on partial control, .
 chemical-specific ARARs for ground-  -
 water restoration would not be
 considered.
   'iii. Statutory limits. CERCLA sets time
 and money limitations on a Fund-  •
 financed removal action. Attainment of
 all ARARs for a removal response may
 not be possible within the 12 months or
 $2 million limits set in the statute. For
 instance, a removal action may be
 •undertaken at a site where there is.
 widespread soil and ground water
 contamination. This response might
 involve removal of surface debris and
 excavation of highly contaminated soil
 necessary to reduce the direct contact
 threat and further deterioration of the
 ground water. If the statutory limits
 were reached or approached as a result
 .of the debris removal and limited
 excavation; and no statutory exemption
 applied, more extensive excavation of
 low-level soil contamination as part of
 the removal may not be warranted.
 Although the statutory limits may
 preclude removals from attaining all
 identified ARARs. OSCs will strive to" .
' comply with those AlRARs that are most
 "crucial to the proper stabilization of the
 site and protection oi: public health .and
 the environment (Exemptions to the $2
 milBon/12 month stallutory limits may
 be granted where sihss meet the criteria
 for approving fee "emergency" or
 "consistency", exemptions.)
   If none of the three factors would act'
 to preclude.identification and
 attainment of particular ARARs (Le,
 attainment is not impracticable), then.
 the statutory waivers in CERCLA
 section 122[d)[4) and § 300.430{f}(3} of
 the proposed NCP should lie examined
 to ascertain, as for a remedial action.
 whether the ARAR may be waived. For
• example. State ARARs do not have to
• be attained where the State standard,
 requirement criterion, or limitation has
 not been consistently applied in  •
 circumstances similar to the response in
 question. If a State standard is identified
 as an ARAR for a removal action,
 attainment of that ARAR may be
 waived if the State has inconsistently:
 applied it in similar circumstances. The
 ARARs waivers generally may be used
 as they are used for remedial activities.
   2. Removals conducted during the'
 remedial process. During the course of
 the remedial process at an NPL site.
•releases or threats of releases may be
••discovered that will threaten public- •'
 health or the environment within a
 length of time shorter than that in which-
 the remedial.program can respond. In
 such situations, it is appropriate to use
 removal authority to quickly abate or
 remove the threat Ttiis may be done
 either through:' (i) A traditional removal
 action conducted by the removal
 program using'its own resources, or (ii)
 through an "expedited response action"
 (ERA) conducted by '.the remedial
 program using its own resources. ERAs
 are performed when the threat identified
 in the removal action memorandum is of
 such a nature that response can be
 delayed for six months or more. The
 delay, allows time for the procurement
 process, preparation of an EE/CA or its
 equivalent and solicitation of formal
 public comment to be completed.'
   The potential for concurrent removal
 and remedial activities, and new
 CERCLA language encouraging  •  • .
 consistency with remedial actions
 makes it important for OSCs and RPMs
 to coordinate with each other and to
 share the data that they have generated
 during their respective activities.
   3. Removal versus remedial actions
 and "trigger" level EPA has considered
 whether a clearer removal/remedial •
 distinction could be made through the
 establishment of "trigger" levels for
 these actions (e.g- setting specific
 mnvtmnm levels of contamination for.
 particular hazardous substances that
 would always "trigger" a removal action
 rather than a remedial action). EPA has
 derided against this because response ••
 decisions are made on a site-by-site
 basis and there is no one trigger level
 which would be appropriate for all.
 situations involving a particular. - -•-..•
 contaminant In general, as described at
 the beginning of the preamble discussion
 for Subpart E, the removal program is -
 more likely to remove point sources of
 contamination that can be addressed
 within the removal statutory limits. The
 remedial program,'on the other hand, -•
 may address a wider range -of	
 contamination problems. Use of
 "trigger" levels is-not. appropriate for
 piaVing {bis distinction. In addition,
 "trigger? levels would vary based on the
 additive effects that can result faun the
 interaction of several chemicals. Finally.
 as treatment technology changes. •  -
 established standards may change,-and
 any regulatory language might always
 be a fewsteps behind technology.
 Therefore, EPA continues to believe
 strongly that OSCs and RPMs must
 consider all information available to
 them at the time tfaat decisions are made
 about which response approach to use
 at a given site.      .-••-.-•
   4. Regulations on reimbursement to
 local governments. CERCLA section 123
 authorizes reimbursement of local  '
 governments for expenses incurred in •
 providing temporary emergency  • •
 measures in response to releases of
 hazardous substances, pollutants, or
 contaminants. Reimbursement is limited
 to $25,000 per response and is not
 intended to supplant local funds
 normally provided for such'response.
 EPA has issued a.separate interim final
 rule. 40 CFR Part 310. which" establishes
 the procedures and requirements for
, local government reimbursement {See
 52 FR 39386, October 21.1987.) As such.
 only a reference to this new CERCLA
 provision is included in Sabpart H of the
 NCF.        "      '   ' . .  '.  ..-
 Section 3O0.420 Remedial Site
 Evaluation.     •           •
   This section revises current 5 300.66,
 "Site evaluation phase and National
 Priorities list determination." Current
 § 300.68 has been split into two sections:
 "Remedial Site Evaluation" and  ."
 "Establishing Remedial Priorities." In
 i -300.420. EPA is today proposing
 revisions that expand the activities that
 may be undertaken during remedial site

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  51412     Federal Register / Vol. 53, No. 245 / Wednesday. December 21, 1888  / Proposed Rules
  evaluation to determine whether a site
  should be included on the NPL The
  revised section addresses how EPA
  proposes to use remedial preliminary
  assessments and site inspections (PA/
  Sis} to evaluate and characterize
  releases to determine if they warrant
  remedial action.

  A. Major Revisions
    1. Purpose and content of a remedial
 preliminary assessment (§ 300.420[b)).
  The revised rule states in £ 300.420(b)
  that remedial preliminary assessments
  (PAs) shall be conducted for all sites
  listed in the CERCUS remedial
  Inventory. Moreover, EPA is proposing
  to define a PA, which was previously
  undefined, in the definition section of
 Subpart A (see also Subpart A
 preamble).
   The purpose of the remedial PA. as
 described in the current NCP. is to set
 priorities for remedial site inspection, to
 determine whether removal action is
 warranted, and to eliminate from further
 remedial consideration those releases
 that do not threaten public health or the
 environment Today's proposed'
 regulatory revisions would expand the
 pjirpose,of the remedial PA to include
 the gathering of appropriate existing
 data to assist in developing a hazard
 ranking score. Additionally, EPA
 proposes that remedial PAs may consist
 not only of a review of existing data and
 an off-site reconnaissance, but also may
 include an on-site reconnaissance, if
 appropriate.
   Today's proposed revisions would
 add provisions requiring the lead agency
 to complete a remedial PA report. The
 revisions generally outline the type .of
 information that should be contained in
 the report, including a description of the
 site, the probable nature of the release,
 and a recommendation of whether
 further action is warranted as well as
 the nature of such further action and
 which agency should carry it out
   2. Citizen petitions for preliminary
 assessments (§ 300.420{bJ(Sj). Section
 105{d) of CERCLA, as amended,
 provides that any person who is, or may
 be affected by a release of a hazardous
 substance, pollutant, or contaminant,
 may petition the President to conduct a
 preliminary assessment of the hazards
 associated with the release. If a PA has
 not yet been conducted, it must be
 completed within a year or an
 explanation of why the PA is not
 appropriate must be provided. In E.O.
12560. the President delegated this
 authority to EPA or the heads of
Executive departments and agencies
 with respect to facilities under the
jurisdiction, custody, or control of those
departments and agencies. EPA is
 proposing procedures which address
 how the public should petition EPA or
 other appropriate Federal agency and
 how EPA will respond to petitions,
 including criteria for determining when
 a PA is not appropriate.
   Petitions for PAs should be directed to
 ' fiie Regional Administrator who
 oversees the area in which the release is
 located or. in the ease of a release from
 a Federal facility, to the Federal agency
 responsible for that facility. In cases
 where EPA receives a petition involving
 a release from a Federal facility, mis
 petition will be forwarded to the
 appropriate Federal agency for action, A
 list of EPA Regional Offices, their
 addresses, and the States and other
 areas for which they are responsible is
 provided in section C. below.
   3. Required information to be
 submitted with PA petitions
 (§300.420(b)(5) (i) and(ii)). In   .
 developing the procedures for petitions,
 EPA has attempted to balance the need
 for specific information concerning a
 release or potential release necessary to
 act on the petition, against the potential
 burdens that such procedures might
 place on the public. Specific information
 on the location of the release is
 essential Additional information and
 documentation on the nature of, and
 history of, activities at the release will
 expedite response to petitions; and in
 cases where an immediate threat may
 be posed, facilitate appropriate further
 evaluation or response to such threats.
 In accordance with CERCLA section
 105(d), petitioners also have a.
 responsibility to demonstrate how they
 are. or may be, affected by the release.
 EPA is proposing that at a minimum the
 petition shall contain the following
 information:
   i. Name, address, phone number, and
 signature of petitioner;
   ii. Description of the location of the
 release or suspected release, including a
 marked map, if possible;
   jii. How the petitioner is or may be
 affected by the release or suspected
 release;
  Additionally, EPA is proposing that
 the petitioner should include as much
 information as possible regarding:    .   -
  iv. The type of substances released or
 with potential to be released;
  v. The nature and the history of
 activities that have occurred at releases
 or suspected releases; and
  vi. Prior contacts with local and State
 authorities about the release and the
 disposition of these notifications!
  Items i. through iii. are essential to a
 complete petition, and EPA will not
deem the one-year time period for
responding to the petition to begin until
such information has been provided.
  Information in response to items iv.
  through vi is recommended and will
  facilitate the review of the petition and
  identification of the need for further
  assessment and/or immediate response
  to potential threats which might be
  posed by the release. Additionally, since
  not all releases or potential releases of
  hazardous substances can be addressed
• • under CERCLA. EPA encourages
  petitioners affected by releases to notify
  all'appropriate State and local agencies
  of the suspected release. This will assist
  in determining the appropriate response
  authority in cases where response
  appears warranted. •
   4. ResponsibiLities of the lead Federal
  agency in receiving or responding to PA
 petitions (§300.4ZO{bXS)(iii)). Upon
  receiptof a complete PA petition, EPA
  or the appropriate Federal agency (the
 •lead Federal agency) will first determine
  whether a PA has already been
  conducted for the release. In cases
 where a PA has not been conducted.
 pursuant to the language in CERCLA
 section lOSfd). the lead Federal agency
 will determine whether such an
 assessment is appropriate." Where
 appropriate, a removal or remedial PA
 will be completed within one year.
 When a PA is deemed appropriate, the
 lead Federal agency will determine
 whether a removal, as opposed to a
 remedial, PA will be performed,  based
 on the information available at the time
 of notification of the release or the
 suspected release. Where a PA is not
 deemed appropriate, the lead Federal
 agency will notify the petitioner  and
 provide an explanation of this
 determination within one year.
   In determining whether a PA is
 appropriate, the lead Federal agency
 will take into consideration: (i) Whether
 there is any information indicating that
 a release has occurred or that there is a
 threat of a release of a hazardous
 substance, pollutant or contaminant;
 and (ii) whether the site appears to be
eligible for response under CERCLA.
  The first criterion is expected to be
used rarely, but could be applicable  in
those cases where the petition, or other
readily available information, does not
provide sufficient information to show
that there has been a release or there is
potential for release at a specific site.
EPA is proposing the second criterion
for situations where, based on the
available information, it is clear that the
site will ultimately not be eligible for
response under CERCLA, for example,
because of a statutory exemption.
Therefore, further site evaluation would
not be appropriate under CERCLA.
  When determining whether or not a
PA is appropriate, the lead Federal

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            Federal Register / Vol. 53. No. 245 / Wednesday. December 21. 1988 / Proposed Rules      51413
agency will also consider whether there
is any indication that an immediate
response may be needed. If there is such
an indication, the lead Federal agency
will initiate a removal PA. If the release
is found to meet one of the removal
criteria in § 300.415{b). the lead Federal
agency will initiate a removal action.
Although this will satisfy the
requirement to perform a PA in response
to a petition, when the removal PA or
removal action is complete, the lead
Federal agency will consider whether
further evaluation may be needed.
  When there is no indication that an
immediate response may be needed, the
lead Federal agency will conduct a
remedial PA to respond to a citizen
petition for a PA. As described
elsewhere, remedial PAs are more
comprehensive and serve a different
purpose than removal PAs. Because EPA
expects mat remedial PAs will generally
be conducted in response to a citizen
petition, the paragraphs on PA petitions
are proposed to be located in the section
on remedial site evaluations.
  When the results of a completed PA
indicate that the release or threat of
release may pose a threat to human
health or the environment the remedial
evaluation process will be continued.
  5. Purpose and content of site
inspections (§ 3OO.42O(c)). The proposed
revisions to the NCP state that if the PA
indicates that further site evaluation is
warranted the lead agency shall
conduct a remedial site inspection (SI).
The current NCP states that the
purposes of the SI are to determine
which releases pose no threat or
potential threat to public health or the
environment, to determine if there is any
immediate threat to persons living or
working near the release;-and to collect
data to determine whether a site where
a release has occurred or may occur
should be included on the NPL.
  The proposed NCP retains the same
basic  concepts with some modifications.
First EPA proposes that the language in
cubparagraph (c)(l) be changed so that
it parallels language used about PAs in
subparagraph (b)(l). Second.
subparagraph (c)(l)(iv) as proposed
concerns collecting data beyond that
which is required to'score the release
pursuant to the HRS. This paragraph no
longer ties Sis directly to listing a
release on the NPL as the existing  NCP
does.  EPA proposes in (c)(l](iv) to
expand the scope of data collection and
sampling during selected Sis, as
appropriate, to better characterize the
release so that where necessary, the El/
FS or response under other authorities
can be initiated more rapidly and
effectively. While information gathered
during the SI may be used to evaluate a
 release pursuant to the HRS. it may be
 more appropriate to undertake response
 under authorities other than CERCLA. In
 such a case, the release would not be
 listed on the NPL. (For further
 information, see preamble discussion,
 "§300.425—Establishing Remedial
 Priorities.")
   The SI builds upon the information
 collected in the remedial PA and
 consists of a viraalijispectioaof the1   '
 release as well as the collection of.
 samples. However, if adequate sampling
 has already occurred, the additional •
 collection of samples may not be
 necessary, like the PA. if the SI reveals
 that a removal action, may be necessary.
 the lead agency shall initiate a removal
 site evaluation.
   Today's -revisions would require that
 the lead agency complete an SI report
 and that the revision} generally outline
 the contents of this report The report
 would include information regarding a
 description, history, or nature of waste-
 handling at the site. «t description of
 known contaminants, a description of
 pathways of migration of contaminants,
 an identification and description of  •
 human and environmental receptors.
 and a recommendation as to whether
 further action is warranted.

 B. Point of Clarification

   Criteria for determining that further
 remedial evaluation is warranted. At
 each step in the remedial site  evaluation
'process the lead agency is responsible
 for yof-fwnynpndmo wliether further
 evaluation or action is warranted.
 Because the major end purpose of the
 remedial site evaluation process has
 been to determine whether a release
 should be included on the NPL, EPA
 generally has not begun or continued to
 evaluate a site (except where a removal
 action was needed) ii: a site was found.
 as a -matter of policy, not to be eligible
 for the NPL (e-g., a RCRA site).
  EPA is proposing revisions to the
 primary purpose of the remedial site
 evaluation process. (See the proposed
 changes described above.) EPA is also
 requesting comments on expanding the
 current NPL deferral {policy to include
 other Federal ""d State response
 authorities (See preamble discussion.
 -§ 300.425—Establishing Remedial
 Priorities.") EPA believes that the
 overriding goal in the remedial site  "
 evaluation program should be to ensure.
 to the extent practicable, that sites
 posing the most serious threat are
 identified and then addressed as soon
 as possible by the appropriate Federal
 or State authorities. This could result in
 a remedial PA or SI being conducted at •
 a site that is later deferred, as a matter
 of policy, from listing on the NPL. For
 example. EPA may perform an SI on a
 site subject to RCRA corrective action
 even though the site may be eligible for
 deferral from the NPL.
   The second result is that the focus of
 •further remedial site evaluation will be
 on sites that show evidence of a
 significant threat or potential threat to
 human health or the environment In
 determining at the end of the remedial
 PA and SI whether or not a site poses a
 significant threat or potential threat to
 human health or the environment the
 lead agency may use a combination of a
 preliminary HRS score and best
 professional judgment The preliminary
 HRS score is based on the HRS model
 but uses-very-conservative assumptions
 to compensate for the limited data
 available at early stages of the
 evaluation process. In addition, where
 necessary and appropriate, best
 professional judgment may be used to
 supplement the preliminary-score in
 making decisions about -whether or not
 to proceed to the next phase of
 evaluation. The use of conservative
 assumptions combined with the use of
 best professional judgment should
 address those situations where data are
 limits but there may be a potential
 threat
   If the lead agency determines mat a
 site poses a significant threat or
 potential threat based on a preliminary
 HRS score or based on best professional
 judgment then the site may proceed to
 the next stage, of evaluation up to NPL
. consideration. If the preliminary score
 or. judgment indicates that the site is
 unlikely to meet NPL scoring
 requirements, then EPA will notify the
 appropriate State of-the results of the
 site evaluation and that EPA does not at
 that time intend to pursue further action
 under CERCLA section 104 or other
 Federal authorities.
   During the remedial preliminary
 assessment available information is
 collected and documented to
 characterize the site as accurately as
 possible so that a decision can be made
 about the site. The remedial PA should
 result in a recommendation on whether
 further action is needed. The
 recommendation may be that the site
 may be appropriate for a removal, or
 that the site should proceed to a
 remedial site inspection because there is
 evidence of significant threat or that the
 remedial site evaluation should be
 terminated because the evidence does
 not show that there is or may be a
 significant threat  •

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  51414
Fedaral Register_/_VolL53._No. 245 / Wednesday. December 21. 1S88 / Proposed Rules
           C. REGIONAL OFFICES

             
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            Federal Register / Vol. 53. No. 245 / Wednesday,  December 21. 1988 / Proposed Rules     51415
 principal mechanism EPA uses to place
 sites on the NPL. Revisions to the HRS
 are being undertaken as a separate
 rulemaking action, and when finalized
 after opportunity for public comment
• will be incorporated into the NCP as
 revised.

 C Proposal to Recategorize Sites on the
 NPL
   The current NCP provides that
 releases may be deleted or
 recategorized on the NPL. At the time of
 promulgation of the 1985 NCP revisions.
 the deletion criteria and procedures bad
 undergone several comment periods (see
49 FR 40322, October 15.1984; 50 FR
 5862. February 12,1985; and 50 ER 47812.
November 20,1985) and EPA was in the
process of deciding whether sites would
be deleted from or recategorized on the
NPL. The final NPL rulemaking.on June
10,1988 (51 FR 21066-67) reflected EPA'a
intention to delete sites rather than
recategorize them on the NPL. However.
EPA is now considering an approach
that would recategorize sites on the NPL.
while still providing for deletion from
the NPL when appropriate under current
deletion criteria.
  The purpose of this proposal would be
to improve the way EPA communicates
to the public the status of remediation
progress at NPL sites. Currently, EPA,
identifies a response category and
cleanup status code for each site on the
NPL at which action has been initiated
(51 FR 21075. June 10,1986). Sites may .
be deleted from the NPL "where no
further response is appropriate," such as
where response actions have been
completed either by the PRPs or through '
Fund-financed response, or where no'
remedial measures have been deemed
necessary. EPA is concerned that the
response category (identifies who has
the lead) and the cleanup status codes
(I=implementation activity underway.
one or more operable units; O=6ne or
more operable units completed, others
may be underway: and
C=implementation activity completed
for all operable units) do not fully reflect
the remedial response activities at a
site. In many cases, due to the nature of
hazardous waste contamination, a
significant period of time may be
required between installation of an
appropriate and fully functional remedy
and the completion of the remedial
action. For example, a remedy designed
to restore groundwater quality to
acceptable levels may consist of long-
term (e.g.. 20 years) "pump and treat"
operations. That such long-ternractivity
is underway is not well communicated
by the current status codes.  .-
  Therefore, in order to provide more
useful information on the status of
 remedial activities conducted at NPL
 sites,-EPA is considering a proposal to
 establish a new category-on the NPL.
 This category would be the Construction
 Completion category, consisting of sites
 where construction activities have been
 completed, le» sites where long-term  •
 response actions (LIRA) are in progress
 or sites awaiting deletion. An LTRA
 represents a site where all remedial
 actions-have been implemented bat
 where continued operation of the
 remedy is required for en indefinite
 period before the levids of protection
 specified in the Recoird of Decision
 (ROD) are achieved. A site awaiting
 deletion is where as approved Close
 Out Report indicates mat no further
 remedial activity IsitKjmred or
 appropriate at that site.
   When a remedy has been
 implemented and is operating properly.
 a Close Out Report (interim or final)
 would summarize the technical basis for
 determining~that construction activities
 are complete at a site. For sites awaiting
 deletion, the dose Out Report would
 document that the remedy has achieved
 protectiveness levels specified in me
 ROD, and that remedial action is •
 complete. For LTRAs, the Close Out
 Report would describe the nature of the
 continuing action. Situs initially denoted
 as LTRAs would eventually become
 sites awaiting deletion (on the basis of
 final or amended Gone Out Reports).
 Those sites for which CERCLA requires .
 five-year reviews of tiie remedy {see
 § 3b0.430(f)} would be clearly identified
 upon attaining classification in the
 Construction Completion category..
 Moreover, EPA does not believe that the
 need to conduct a five-year review'
 means that-a site must be listed as an
 LTRA; such sites may also, where
 appropriate, .become deletion
 candidates.
  After a "Close Out Report has
 documented that a site can be placed in
 the Construction Completion category,
 EPA may-begin the deletion process,
 •where appropriate. However, in cases
 where a significant delay will exist
 between'placing a site in the   .
 Construction Completion category and
 the date Of .the next NPL deletion notice.
EPA may'initiate the deletion process
without placing the site in that category.
  EPA requests comment on this
proposal, specifically on the merits of  '
 creating a Construction Completion
 category.

D. Deferral Policies
  EPA has in the past deferred the
listing of sites on the National Priorities
List (NPL) when other authorities were
found to .exist that were capable of
accomplishing needed corrective action. '
 To date, this deferral policy has been
 limited to two specifically enumerated
 Federal laws. EPA is considering
 broadening the deferral approach, such
 that listing of sites on the NPL would be
 deferred in cases where a Federal
 authority and its implementing program
 are found to have corrective action
 authority. EPA further requests comment
 on whether to extend mis policy as well
 to States that have implementing
 programs with corrective action
 authorities to address CERCLA releases.
 EPA also requests comment on
 extending this policy to sites where the
 potentially responsible parties (PRPs)
 enter into Federal enforcement
 agreements for site remediation under
 CERCLA.
   This section of the preamble is
 intended to clarify EPA'a approach to
 determining/which of those sites meeting
 the eligibility criteria of the NCP.will be
 listed on the NPL. This section will
 describe the reasons EPA has
 implemented a deferred listing approach •
 for certain authorities, the regulatory
 and statutory background of NPL listing
 policies, and issues raised by today's
 draft policy to consider the expansion of
 the deferred listing approach. EPA
 intends to keep the current deferral
 policies in effect and not implement a
 general deferred listing policy, until
 comments are considered on today's
 draft policy.
  There are two primary reasons why
 EPA is considering expanding its use of •
 NPL deferrals to appropriate Federal
 and State authorities. First. EPA
 believes that this approach will assist
 EPA in meeting CERCLA objectives; by
 deferring-to other authorities, a
 p?ynfiTrmtn number of potentially
 dangerous hazardous waste  sites can be
 addressed, and EPA can direct its
 CERCLA efforts (and Fund monies, if
 necessary) to those sites where remedial
 action cannot be achieved by other
 means. Second. EPA believes where
 other authorities are in place to achieve
 corrective action, it may be appropriate
 to defer to those authorities.
  1. Purpose of the NPL. EPA's approach
 to listing sites on the NPL is based on its  *
 interpretation of the purpose of the NPL.
A conference report on CERCLA
 explains-that die NPL was intended to:
  [SJerve primarily informational purposes
 identifying for the States and the public those
 facilities and cites or other releases which
appear to warrant remedial actions. S. Rep.
No. 96-S4S, 96th Cong, 2d Sess. 60  (1980).

  In the past EPA viewed the NPL as a
list compiled for the purpose of
informing the public of the most serious
hazardous waste sites in the nation.

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51416     Federal Register / Vol. 53.  No. 245 / Wednesday. December 23. 1868  / Proposed Ralea
                                                                                                               1
                         lies.
  regardless of which law applii
  Subsequently, it was viewed as a list for
  Informing the public of hazardous waste
  tites that appear to warrant remedial
  action under CERCLA. In addition, it
  may be appropriate to view die non-
  Federal section of the NPL merely as a
  list for informing the public of hazardous
  waste sites that appear to warrant  •
  CERCLA funding for remedial action
  through CERCLA funding alone. EPA
  bslieves that one of the latter two
  approaches would be preferable to the
  broad approach of listing all potential
  problem sites. This will allow EPA to
  make the NPL a more useful
  management tool for EPA and also to
  provide more meaningful information to
  the public and the States. EPA's
  decision on which way to view the NPL
  will be largely determined by its
  decision on the deferral policies
  discussed below. As explained in the
  following discussion. EPA believes that
  the latter two alternative views of the
  NPL are consistent with CERCLA and
  its legislative history.
   EPA's interpretation of the NPL as a.
  list that should not include all sites that
  cculd potentially be addressed by
  CERCLA is consistent with the terms of
  the statute itself. CERCLA section
 lC5(a)(8){B) calls upon me President to
 list "national priorities among the
 known releases or threatened releases
 throughout the United States," not to list
 all releases. Therefore, although EPA
 believes it has the authority to Kst any
 site where there has been a release or
 threatened release of a hazardous
 substance, pollutant, or contaminant,
 EPA believes that it is not obligated to
 do so.
   Further, the statute requires EPA, in
 determining whether a site is to be listed
 on the NPL. to consider factors
 enumerated in CERCLA sections
 105{a){8) [A) and (B). The factors include
 the relative risks posed by the site. State
 preparedness to assume State costs and
 responsibilities, and "other appropriate
 factors." The statutory directive to "take
 Into account to the extent possible" the
 enumerated factors provides  EPA with
 broad discretion to weigh factors as
 appropriate. Moreover, the fact that
 Congress did not specify what factors
 are "appropriate" »npports the breadth
 of EPA's discretion. Since the proposal
 of the first NPL (47 FR 58476k December
 SO, 1S82), EPA has considered "other
 appropriate factors" to include lie
 availability of cth*r Federal Minorities
 to address the problems at a rite. HIP
 enforcement agreements, as well as the
willingness of a State to undertake a site
remediation, may also constitute  other
appropriate factors.
This interpretation is al
                                                                -
                                      with Congressional intent In the House
                                      Appropriations Committee Report tar
                                      Fiscal Year 1888. the conferees
                                      expressed some concent over whether
                                      Superfund is operating to produce
                                      maximum environmental benefit toe the
                                      investment: The Committee wants to
                                      reemphasize the overriding principle of
                                      the legislation that Superfund should be
                                      reserved for th* most serioM sites not
                                      otherwise being addressed." H. Kept
                                      189. 100th Cong, 1st sees, 27-28 (1967).
                                        The view of the NPL a* a U»t of sites
                                      where CERCLA actJom is required is
                                      also mmistent with the legislative
                                      history surrounding the reauthorization
                                      of RCRA. In adding new authorities to
                                      RCRA (sections 30O4{M} and 3008(h}) in
                                      1084, for example. Congress recognized
                                      that the burden of responding to the
                                      nation's waste sites should not fall
                                      entirely on Superfoad. In its report on
                                      the Hazardous and Solid Waste
                                      Amendments of 1S84, the House
                                      fVuntni'Myp on Bnaygy flpj fW«nwM*-«
                                      stated the following:
                                       Unless aH hazardous constituent releases
                                     from *aKd waste maaaganent mriU at
                                     permitted facilities sic uJdrested end
                                     cleaned up the Conmittee i> deeply
                                     concerned that many more sites will be
                                     added to the future burden* of the Superfund
                                     program with little prospect for control or
                                     cleanup. The responsibility to control such
                                     releases lies Kith the facility owner and
                                     operator and riroald not be shifted to the
                                     Supeifuud program, partfcnlarfy when a find
                                     [RCRA] permit IMS been requested by the
                                     facility. H. Sept. ttB, Slth Cong, 1st Se*s. M
                                     [1983J.
                                     EPA believes that me use of fee NPL to
                                     identity sites mat appear to warrant
                                     remedial (or Fund-financed) action
                                     under CERCLA, as compared to action
                                     under RCRA or another authority, is
                                     consistent with Congressional intent
                                      finally, EPA believes that a more
                                     limited use of the NPL ghres greater
                                     effect to the informational and
                                     management functions of me fist To
                                     include on the NPL every cite that has a
                                     nazartlous s&bst&nce problem may give
                                     the public the misleading impression
                                     that every such site is awaiting CERCLA
                                     review or attention, m fact some sites
                                     may be addressed by aa ongoing
                                     corrective action program under another
                                     statute such as RCRA. listing only those
                                     sites that appear to warrant remedial
                                     action or funding under CERCLA w2I
                                     also serve to make the NPL a more
                                     useful management tool for EPA, e.g., in
                                     setting priorities for reviewing and
 taken or fu&ds «pe»'t at • cite. As has
 always been ti* case* tor itecsakw to
 list a site en tke NPL is not saffkaenoy
 Tpfhuvi in wink* fimol dmlvmlrHttinn* ^ff
 to which sites pose tfcreafs qualifying for
 remedial action under CERCLA (see 48
 FR 40658, September 8.1883). Rather, the
 findings are meant to pinpoint problem
 sites mat deserve more comprehensive
 analysis under CERCLA. The approach
 being discussed today wcski simply add
 a judgment that no other authority is  •
 currently craSable toaddrets the
 problem, and tfawtbe site slxwld be
listed oo fee NPL for farmer evaluation.
  2. Current deferral policies. EPA's '
current deferral policy has been mnfted
to sites that can be addressed by the
                                      A determination thai a site "appears
                                    to warrant" remedial action or fe»~T
                                    under CERCLA would not reflect' •
                                    Judgment that remain! action
                                    collective action authorities of RCRA
                                    Subtitle Cor (hat are subject to
                                    regulation by the Nuclear Regulatory
                                    Commission. EPA is mow considering,
                                    and seeks comment on, the possibility of
                                    deferring more generally to Federal
                                    aHthorittes. This would be consistent
                                    with the view of me NPL KB a list of
                                    sites where response action is
                                    appropriate under CERCLA.
                                     Currently. RCRA Subtitle C facilities
                                    are listed on the NPL only if necessary
                                    corrective actions under RCRA are
                                    unlikely to be performed (51 FR 21054,
                                    June 10.1S88), or if certain criteria for
                                    listing are met (53 FR 23978, June 24,
                                    1988). Three categories of RCRA
                                    facilities have been identified where it is
                                   unlikely that RCRA corrective action
                                   will be performed: (ij Facilities  owned
                                   by persons who are bankrupt, pi]
                                   facilities that have lost RCRA interim
                                   status and for which there are
                                   additional indications that the owner or
                                   operator will be unwilling to undertake
                                   corrective action; and (iii) facilities.
                                   analyzed on a case-by-case basis,
                                   whose owners or operators have shown
                                   an unwillingness to undertake corrective
                                   action. On August 9.1988 (53 FR 30002-
                                   09}, EPA announced the additional
                                   criteria that would be used in
                                   determining if a RCRA facility was
                                   •unwxQing to adequately cany out
                                   corrective action activities, aad
                                   requested comment on criteria to be
                                   used In determining, if the owner/
                                   operator is unable to nay for corrective
                                   action. O* June 24,1888 (S3 FR 23978),
                                   EPA ^'"TrftTf**^ ftKir otiber categories of
                                   RCRA iacOitiec mat may be listed on
                                   the NPL. ie, nan- or late-filers.
                                   protective filers, sites with pre-HSWA
                                   permits, and converters. RCRA Svbtitle
                                   C facilities that meet «»y of the  above
                                   categories are appropriate Cor listing
                                   provided the site meets the HRS scoring
                                   or other eligibility requirements.
                                    EPA's present policy for Nuclear
                                   Regulatory Conjjaissian-liceased sites

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Federal Register / VoL S3. No.. 245 / Wednesday, December 21. 1988 / Proposed -Rules     51417


                                                                 States choose not to take action to
                                                                 respond to the site under SMCRA.
                                                                 States may also choose to use State-
                                                                 share AMLR finds for portions of
                                                                 CERCLA remedial action activities.
                                                                 Site* at which only portions of the
                                                                 remedial action take place with AMLR
                                                                 funds would continue to be listed.
                                                                   One exception to this policy is the
                                                               '  situation where a State has funded all of
                                                                 its known coal and noncoal mining
                                                                 projects, and is proposing to use its  .,
                                                                 remaroing AMLR funds for impact
                                                                 assistance [&&, construction of roads.
                                                                 recreation facilities. ete.J.jEPA woulld
                                                                 not list a mJaing site ft at is: (a)  :
                                                                 Discovered in a State where it was
                                                                 previously thought that all mining
                                                                 projects had been completed and impact
                                                                 assistance had been granted, (b) the site
                                                                 is eligible for AMLR funding, (cj
                                                                 sufficient AMLR funds remain to fund
                                                                 the entire response action, and (d) &e
                                                                 State intends to use those funds for ''
                                                                 impact assistance. Currently, no sites,
                                                                 meet this description,   •         .  '.
                                                                   iv. Pesticide sites. To date. EPA has   •
                                                                 .not finalized its policy regarding the
                                                                 listing, of pesticide application sites:
                                                                 thus, pesticide application, sites will not
                                                                 be generally listed on the NFL at this
                                                                 time (49 FR 40320. October 15.1384).
                                                                 EPAbelievesftaitheFederal  ...
                                                                 Insecticide Fungicide andRodenticide
                                                                 Act(FIFRA}maybetheinost
                                                                 appropriate statute forcontrolling the  .
                                                                 source of contamination resulting from .
                                                                 the registeredase of pesticides since it
                                                                 provides the authority to cancel or limit
                                                                 a pesticide's use or to require label,
                                                                 changes when the risks associated with
                                                                 use outweigh the benefits. Therefore,
                                                                 FIFRA will be the primary statute used
                                                                 to address pesticide problems. However.
                                                                 EPA wilt continue to list sites resulting
                                                                 from leaks, spills, and improper disposal
                                                                 of pesticides. In addition, CERCLA
                                                                 removal activities, such as providing
                                                                 alternate water supplies, may be  .  -
                                                                 initiated if it is determined that the
                                                                 release or threat of release constitutes a
                                                                 public health or environmental  ..
                                                                 emergency and no other party has the
                                                                 authority or capability fo respond in a
                                                                 timely manner.   •.    •
                                                                   v. Other Federal authorities. Itia
                                                                 possible that by amendment, a Federal
                                                                 regulatory authority not mentioned
                                                                 above will be authorized to require
                                                                 corrective action at sites currently
                                                                 addressed under CERCLA. If so, the
                                                                 affected sites would also be addressed
                                                                 under the general deferred listing
                                                                • approach.
                                                                   vi. Oversight of Federal authorities.
                                                                 As noted earlier, EPA believes it may be
                                                                 appropriate to assume that a Federal  -
                                                                 authority wili adequately address a site, •..
 (48 FR 40658. September 8,1983) is not to
 list releases of source, by-product, or ' •
 special nuclear material from any  '  -.
 Nuclear Regulatory Commission-
 licensed facility on the grounds that the
 Nuclear Regulatory Commission has full
 authority to require cleanup of releases •
 from such facilities, but to list such  . . .
 releases fromState-liceased facilities.
   EPA under CERCLA does not oversee
 remedial activities at deferred sites „
 under either the RCRA or Nuclear  . •"
' Regulatory Commission deferred listing
 policy, EPA generally does not believe it.
 is appropriate under CERCLA to oversee
 the work of other Federal agencies, or of
 other authorities under EPA's .     ,  .
 jurisdiction, once a site has been.  ;.... ...
 deferred. (Of course. EPA would oversee
 the remedial activities at a site deferred
 from listing based on a CERCLA  •   .
 enforcement order.} Although a policy of
 deferring to other Federal authorities  . •
 may result in variations in procedures',
 and extent of remedial action, it maybe
 appropriate to assume .that the Federal
 authority win adequately address the
 remedial action. The Federal laws that
 have-been passed have undergone ;
 national notice and comment, and are .
 generally consistent in their application.
 from State to State. In the case of sites
 deferred for action under RCRA Subtitle
 C, the corrective action provisions are
 substantially equivalent to those  .
 required under CERCLA.  and thus EPA
 believes it is not necessary to require .
 compliance with CERCLA corrective
 action standards as a condition of
 deferral. In the case of the Nuclear
 Regulatory Commission sites, the
 Commission has full authority and.
 expertise to require .corrective action of
 the unique waste types subject to its
 jurisdiction. EPA did not deem it   .
 appropriate to require compliance with
 CERCLA standards.
   Later in this section, there is'
 discussion of the possibility of also
 deferring sites, with the State's -  .
 concurrence, subject to CERCLA section
 105 enforcement-agreements. This would
 be deferral under'CERCLA authorities;
 and not deferral to another Federal
 authority. This approach would be
 consistent with the view of the NPL as a
 list of sites that appear to warrant
 CERCLA funding for remedial action.
   3. Expanding the deferralpolicy to  •
 other Federal authorities. EPA is today
 considering extending the deferral
 option to other Federal programs as
 follows:    •    •     •     .-'•••
   L RCRA Subtitle D. Under the
 deferred listing approach, RCRA
 Subtitle D landfills would continue to be
 listed on the NPL because corrective
 action authorities are not currently
 available for such facilities. However,
 EPA proposed regulations that will
 require corrective action at new and
 existing Subtitle D municipal waste
 •landfills (53 FR 33313, August 30,1988}.
 These regulations are expected to be
 implemented by the States when they
 adopt permit programs to implement the
 regulations. Only after the Subtitle D
 regulations are effective would new and
 .exfrting municipal lanclfills generally be
, deferred to the States that have adopted
 State permit programs that incorporate
 theremsedFederatSubtitleDi   -  -
 regalatiaBS. Because dosed municipal
 landfill* win not be regulated by -
 Subfile D. they wifi continue to be listed
 ontfaeNPLifeKgible.          '  .
   iLRCRA Sab&Ie I Under the
 deferred Hsting approach, EPA would
 defer toting site* that can be addressed
 by Subtitle I corrective action
 authorities when those authorities take
 effect Section 9003(h) of RCRA gives
 EPA authority to respond to-petroleum
 release* from underground storage tank
 (UST) systems or to require their owners
 and operators, to do so. It also   "
 establishes a frost fund to finance some
 of these activities. On {September 23.
 1988, EPA issued final irtandards for the
 regulation of hazardous! materials in
 USTs under RCRA Subtitle L Subpart F
 of those regokrSoas recFtdres corrective
 action for **iccax5xxiied releases1* from
 USTs containing either hazardous
 substances listed under CERCLA or
 petroleum (53 FR 37082).
   However, where USTs are but one of
 numerous ieakmg units (landfills, •   '
 surface impoundments, above ground
 tanks, etc.), EPA will determine whether
 to defer to a mix of authorities or list'
 sites on the NPL.  •
   iii. Mining wastes. Under the deferred
 listing approach, in cases where States
 address sites using State-share monies
 from the Abandoned Mine Land
 Reclamation (AMLR) Fund under the
 response authorities of the Surface
 Mining Control and Reclamation Act of
 1977 (SMCRA), theaites would be   '
 deferred from listing.        ,   • '•
   Although the AMLR Fund was
 designed primarily to address •
 reclamation and restoration of land and
 water resources adversely affected by
 past coal mining, SMCRA sections 409 .
 (a) and (c) provide that States can use •
 funds to address noncoal sites if either
 all coal sites have been addressed, or
 the Governor of the Staite declares that •
 the noncoal project is necessary for the
 protection of public health or safety. It is
 important to note that generally  the
 decision to use AMLR funds at a
 particular site resides with the State
 concerned, except in one narrow
' circumstance. EPA will continue to add
 noncoal mining sites to the NPL should .

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    51418
.Federal Register / .VoL 53. No. 245 / Wednesday. December 21,  1988 / Proposed Rales
    and thus has to date deferred to RCRA
    Subtitle C and Nuclear Regulatory
    Commission authorities without
    oversight However, the additional
  .  Federal authorities being considered
    today for deferral do not necessarily
    present the same level of assurance of
    remediation that meet the
    environmental protection standards of
    CERCLA. Thus, for response actions •
    under these additional Federal
    authorities, it may be appropriate to
    require «ome oversight by CERCLA  .
    officials or a requirement that CERCLA
    cleanup standards be applied. A
    decision by EPA to defer to another
    Federal authority for the corrective
    action of a site does not constitute an .
    approval by EPA of the method or
   extent of the response to be undertaken
   by that other authority.
     EPA requests comment on the
   appropriateness of deferring generally to
   Federal authorities, and on whether
   such authorities should be required to
   meet come or all CERCLA standards in
   addressing deferred NPL sites.''
     4. Expandingthe deferral policy to
   State authorities. EPA believes ft Is
   appropriate at this time to consider
•  broadening the scope of the1 deferral
   policies to include State authorities in
   addition to Federal authorities in
.   recognition of other possible avenues of
   response action.
    EPA has already instituted a policy of
   deferring non-Federal RCRA sites to -
   States that are authorized to carry out •
   the Subtitle C corrective action
  authorities of RCRA (51FR 21054. June
  10.1988). However. EPA currently does
  not defer to other State authorities even
  if they have authority to achieve some
  corrective action at contaminated sites.
  The present framework of the NPL
  process has not precluded States from
  taking independent enforcement
  authorities during CERCLA remedial
  activities, and a State can request the
  enforcement lead at sites on the NPL.  •
  fUnder any of the proposed approaches.
  for State deferral, a State would retain
  the option of having a State-lead
  enforcement site listed. Subpart F of
  today's proposal discusses EPA's
  criteria for designating a State as the
  lead agency. The Subpart F criteria are
  intended solely for State-lead actions
  under CERCLA.)
.    EPA has. in the past, listed sites being
  addressed under State authorities so
  that it could ensure that similar sites
  were remediated to similar levels, and
  in a manner consistent with the NCP.
  Further, public participation. ATSDR
  health asaessments.,and oversight by
 EPA is assured for all NPL sites. In
 addition, affected communities are
 eligible to apply for Technical
                           Assistance Grants fTAGs) at sites on
                           the NPL (53 FR 9471, March 24.1988).
                          . and mixed funding settlements for
                           remedial action are possible.
                             EPA is now. considering deferring to
                           State authorities more generally. EPA
                           recognizes that many more sites need to
                          '.be addressed than present CERCLA
                           resources can accomodate; by deferring
                           some problem sites to the States. EPA
                           believes more overall response actions
                           can be accomplished more quickly, and
                           EPA can direct its resources to sites that
                           otherwise would not be addressed. As
                           with any deferral, no CERCLA funds '
                          . would be available to the State for the
                          site being deferred, although EPA may .
                          -exercise its enforcement or response  •
                          authorities at that rite. Moreover, the
                          State may be required to obtain on-site
                          permits, as permit exemptions are only
                          available for CERCLA actions.
                            EPA notes that even if a State has
                          authorities applicable to Federal
                          facilities, the remediation of ouch sites
                          will not be deferred, and Federal
                          facilities will continue to be listed on the
                          NPL, consistent with CERCLA section
                          320{dK2).-.   ..  - .-
                            EPA believes it may be appropriate to
                          defer listing sites on the NPL to allow
                          the States to fully utilize corrective
                          action authorities under their own
                          programs when they bave programs in
                          place for obtaining some corrective
                         • action at contaminated sites. This
                          approach is consistent with the view of
                          the NPL as a list of sites where response
                          action is appropriate under CERCLA.
                          and the site is not being otherwise
                          addressed.
                           A deferral would not be a delegation
                          of any CERCLA. authority, and it is not
                          intended to ensure equivalence to
                          CERCLA. By deferring to a State
                          authority. EPA is not approving the
                          remediation to be undertaken by that
                          State authority. In considering this
                          deferral policy. EPA recognizes that
                          corrective actions under State
                         authorities may not follow the
                         procedures and requirements of the
                         NCP, and in some cases, this may result
                         in differences, e^, some States may
                         have more stringent corrective action
                         standards than EPA while other States
                         may have less stringent corrective
                         action standards. Requiring State
                         authorities to conform strictly to NCP
                         requirements might result in fewer
                         States choosing to undertake a site
                         remediation that could be deferred. EPA
                         requests comment on the level of
                         remediation that should be required for
                         sites deferred to States.
                          It is important.to note in instances
                         where State authorities intend to
                         recover their costs from responsible
                         parties under CERCLA section 107 for
   sites subsequently listed on'the NPL,
   response actions at these rites may not
   be "inconsistent with" the NCP.
     Although EPA does not intend to
   apply all of the procedures and
   requirements of the NCP to deferred
   sites, EPA eirongry believes that the
   general public participation procedures
   of the NCP are a necessary part of any
   State deferral policy. The NCP has
   specific requirements to inform the
   community of releases and planned
   actions at a rite, and to provide the
 '  public an opportunity to comment on
   removal and remedial plans. However,
   EPArecognizes that specific
   requirements to'involve a community in
  remediation decisions may or may not
   exist under State authorities. Therefore,
  EPA believes if sufficient public -
  participation requirements do not
  already exist under fte State authority.
  the State should be required, as a
  condition of deferral, to develop a rite-
  specific public participation plan to.
  inform the community of remediation
  progress and involve the community in
  the remedy selection.
   EPA is requesting comment in general
 on the issue of deferring to State
 authorities, and requests' comment on
 two options for implementing deferral to
 States: (i) Deferral based upon a State
 petition to EPA requesting deferral; and
 (ii) deferral based upon a State's
 certification of its commitment and
 ability to address the site according to
 certain CERCLA standards. EPA intends
 to keep the current limited State deferral
 policy. Le., deferral to authorized State
 RCRA authorities, in effect while public
 comments are reviewed. If a more
 expanded State deferral policy is
 implemented. EPA would apply it
 prospectively to sites as they are
 proposed for listing (see discussion of
 final sites below).
   i. Option 1—Deferral based upon a
 State petition. Under this option, EPA
 would defer sites from listing on the NPL
 in cases where the State petitioned EPA
 for deferral Specifically, once EPA
 believes  that a site scores above the
 HRS cutoff, or otherwise meets
 eligibility requirements for listing sites
 on the NPL, EPA would consider .
 deferring the site if the State petitions
 EPA certifying that:
   a. The State has provided reasonable
 notice to  the public of its intent to  -
 petition for deferral of a site, and its
 plans and general schedule for
 corrective action under State laws;
  b. The State will provide for public
participation in the remedy selection
process; and
  c. If requested by the public, the State
would hold a public meeting at which it

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Federal Register / Vol. 53. N
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  51420      Federal Register / Vol. 53. No. 245 / Wednesday. December 21. 1988  / Proposed Rules
  enforceable agreements for site
  remediation under CERCLA. A policy of
  not listing sites where enforceable
  cleanup orders or agreements under
  CERCLA are in place may facilitate EPA
  efforts to expeditiously obtain such
  enforceable agreements for remedial
  action at sites that would otherwise be
  listed on the NFL and evaluated under
  the CERCLA remedial program. EPA
  wonld retain approval authority over
  any remedial action at sites deferred
  from listing based on an enforceable
  CERCLA order or agreement. State
  concurrence would be necessary for
  deferring sites under this policy.
   Although EPA has not yet reached a
  decision on this issue, the options being
  considered today axe within EPA's
  discretion under the statute. CERCLA
  section I04[a)(l) authorizes EPA to
  respond to the release or threat of
  release of hazardous substances, but
  provides that a PRP may be allowed to
  carry out the action if the President or
  his delegate "determines that such
  [removal and remedial] action will be
  done properly and promptly by the
  owner or operator of the facility or
  vessel or by any other responsible
  party." In addition. CERCLA section
  105(a){8){A) directs EPA to "the extent
  practicable, to tak[e] into account"
  appropriate factors in developing the
  NPL. giving EPA broad discretion to
  consider such factors as PRP remedial
 action agreements.
   EPA seeks comment on two principal
 options: pj Deferral to CERCLA
 enforcement authorities prior to NPL
 proposal based on an agreement to
 cany out the EPA-selected remedial
 design/remedial action (RD/RA)
 pursuant to a consent decree, and pi)
 deferral at the time of proposal based on
 an agreement to conduct a remedial
 investigation/feasibility study (RI/ES)
 for that site, with the proposed site
 dropped if the PRP subsequently agrees
 to perform the RD/RA pursuant to a
 consent decree. Both options will
 continue to assure the opportunity for
 public comment on the remedy selected
 by EPA under the CERCLA consent
 decree. This CERCLA enforcement
 authority deferral policy being
 considered today will not be
 implemented TT**il public comments
 have been considered. EPA intends to
 keep the current deferral policies in
 effect while comments are reviewed. If
 this deferral policy is issued. EPA plans
 to apply it prospectively (see discussion
 of final sites below]. These options, and
 variations of these options, are
 discussed below.
  i. Option I—-Pie-proposal deferral
based on agreement to perform RD/RA.
  Under this option, EPA would, with the
  concurrence of the State agency, defer
  listing of a site if a PRP were.willing to
  enter into a consent decree with EPA for
  the total remediation of a site prior to
  the site's proposal for NPL listing.
  However. EPA would not delay the
  normal process for assessing sites.
  developing HRS scores, and proposing
  on the NPL. Only those sites for which a
  consent decree is signed prior to
  proposal of the site on the NPL wonld be
  considered.
    Because completed preliminary  .
.  assessments and site investigations are
  publicly available documents, EPA
  believes that many PRPs will have
  adequate information concerning the
  potential .fisting of a site on the NPL in
  order to decide whether to begin
  negotiations of a consent decree with
  EPA for remediation of a site. However.
  EPA intends to continue its policy of not
  releasing draft HRS scores prior to a
  decision to propose a site for the NPL.
  EPA would simply acknowledge mat a
  site is being considered for listing on the
 NPL.
  ' Under this option, more consent
 decrees providing for remediation may
 be signed, freeing CERCLA Fund
 resources for remedial action at other
 sites. (CERCLA resources would be -
 required for oversight of sites deferred
 based on an agreement under CERCLA
 enforcement authorities.) Moreover.
 these consent decrees would represent
enforceable agreements under CERCLA
for the entire response effort.-including
remedial action, and wonld provide the
necessary legal assurances that a
protective remedy, selected and
approved by EPA. would proceed in a
timely manner. Further, EPA would  '
select the remedy under this approach.
and the full remedial process described
under Subpart E of the NCP, including
the public participation requirements.
would be required; afl consent decrees
would also be published in the Federal
Register before entry by the court
  *This option •would allow PRPs. by
agreeing to an enforceable consent
decree under CERCLA to perform the
total remediation, to avoid the listing of
their site on the NPL. However, at this
stage in the remedial process, the actual
remedy to be implemented will be
unknown and the PRPs may be reluctant
to agree to implement a remedy of
unknown cost and dimensions. Even if
the PRPs agreed to implement the'EPA-
selected remedy, they might be reluctant
to waive their righto to contest EPA's
choice of remedy in the context of
dispute resolution under the consent
decree, which process may involve
further resource commitment by EPA.
    This option might have limited
  applicability at sites with multiple
  parties. Because EPA does not intend to
  implement a formal process prior to
  proposal to notify parties of their
  potential responsibility at sites, there
  may not be adequate time for numerous
  PRPs to agree to implement the site
  remedy to be selected by EPA in the
  future.
    If aPRPfails to complete the remedy
  and the enforcement mechanisms
  available under the consent decree are
  not successful (e.g., if the PRP is
  financially unable to continue the work).
  Fund-financed action could not be taken
  until the site was listed on the NPL
  (although financial assurances such as
  performance bonds could also be
  required under this option to ensure that
  remedial action would continue).
    Under this approach, because sites
  would not be listed or proposed for
  listing on the NPL. TAGs would not be
  available and ATSDR health
  assessments would not be required (see
  State deferral discussion).
   As part of this option, EPA is also
  seeking comment on the appropriate
 method for identifying problem sites to
 the public if those sites are not proposed
 for the NPL because of deferral to a
 CERCLA enforcement agreement. One
 alternative is to publish a notice in the
 Federal Register identifying sites that
 are to be deferred prior to proposal on
 the NPL. Another alternative is to notify
 the affected public of the deferral by
 publication in a local newspapers) of
 general circulation. Of course, once a
 consent decree is lodged, the public will
 be notified (pursuant to 28 CFR 50.7),
 and will have an opportunity to
 comment on the remedy that EPA
 ultimately selects.
   ii. Option 2—Proposal and deferral
 based on an agreement to conduct RI/
 fS. EPA is also considering an option
 under which EPA would propose a site
 for listing on the NPL, but would defer
 final listing of the site if the PRPs agree
 to perform the RI/FS under an
 enforceable CERCLA agreement
 (administrative order or consent decree).
 The site would remain on the proposed
 NPL (in a stayed, deferred status) until
 the RI/FS is completed, the public
 comments on the remedy are received,
 and the record of decision is issued. If
 the PRPs agree to implement the remedy
 selected in the record of decision under
 an enforceable consent decree or order
 under CERCLA, the site would be
 dropped from the proposed list if they
do not, EPA would proceed to list the
site on the final NPL. Adoption of this
option would make the final NPL a list
of sites where CERCLA Fund-financed

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           Federal Register / Vol.  S3. No. 245 / Wednesday. December 21. 1988 / Proposed Rule8_
                                                                    51421
action appears to be warranted, rather
than a list of sites where CERCLA
action, whether Fund-financed or
enforcement lead, appears to be
warranted.
  Because sites would be formally
proposed for listing, the PRPs would be
•fully informed of the opportunity of
entering into an enforceable CERCLA
agreement. This approach may
encourage PRP performance of RI/FSs
and RD/RAs thus freeing CERCLA Fund
monies for other sites. In addition,
because deferral candidates would
remain on the proposed NPL until a final
consent decree is entered, EPA can
proceed rapidly to final listing and site
remediation using the Fund in the event
the PRPs do not agree to implement the
selected remedy. This option would also
ensure that EPA has substantial input
into, and control over, the PRP-
conducted RI/FS or RD/RA. since both
efforts would be completed under the
terms of enforceable agreements under
CERCLA, and with EPA oversight
  The process contemplated in this
option would allow a FRP to avoid
listing on the final NPL by agreeing to
undertake a remedial  response pursuant
to an enforceable agreement under
CERCLA. fa addition, in contrast to the
first option (defer prior to proposal), the
PRPs are entering into agreements in a
stepwise fashion and are not committing
to final site remediation until the
remedial options have been fully
explored if necessary.              ,
  If the PRP does not consent to
implement the remedy identified  as a
result of the RI/FS. Federal funds could
not be spent for the remedial action until
the site was listed as  final on the NPL.
However, additional planning or .
removal actions under section 104 could
take place if necessary.
   A variation on this option would be
 that, rather than proposing the site for
 listing on the NPL, the site would be
 included on a special list pending the
 PRPs entering into a consent decree.
 This variation presents a greater risk of
 delay in remedial action because ff the
 PRP fails to sign a consent decree for
 cleanup, the site must be first placed on
 the proposed NPL, comment taken on
 HRS scoring, and then placed on the
 final list Additionally, because sites
 would not be listed or proposed for
 listing oa the NPL under this option.
 TAGs would not be available and
 ATSDR health assessments would not
 be required, and the possibSity of mixed
 funding settlements for remedial actions
 at such sites would be precluded (see
 State deferral discussion).
   EPA will consider comments on the.
 current policy and the two options for
 deferral to enforcement authorities. If
EPA determines feat It is appropriate to
revise the current policy of not deferring
to PRPs entering into enforcement
agreements, EPA may adopt one of the
options described above or a
combination of both.  •            • •
  7. Deletion of.proposed and final sites
based upon def enrol to other authorities.
In today'* notice, EPA is requesting
comment on deferring the placement of
sites on the NPL when Federal or State
authorities are available to address
contamination alt the site, as well as
deferring sites where the PRPs have
signed enforceable CERCLA consent
orders for remedial action. EPA is also
considering whether this policy should
be applied to sites on the final NPL, Le-
whether final NFL sites should be
deleted if they aire being addressed by
another authority or under a CERCLA
consent order. On August 9,1988 (53 FR
30005). EPA announced that it would not
systematically apply the RCRA deferral
policy in certain limited circumstances.
As with the general deferral policies
discussed in today's notice, the deletion
of final sites would tend to free •
CERCLA's resources for use in
situations where another authority is not
available, and thus may help maximize
the overall number of response actions.
   As stated with respect to the RCRA
deferral policy, EPA does not believe it
is appropriate to systematically review
the final sites already on the NPL to see
whether any are being addressed, or
may be addressed, under another
statute or under a CERCLA consent
order. It is EPA'n opinion that such a
review would b« time consuming.
thereby detracting from the more
important work of the CERCLA
program, and could disrupt work at sites
where CERCLA actions have already
begun. However, in certain limited
 circumstances, EPA believes that it may
be appropriate to remove a site from the
 final NPL before a cleanup is complete if
EPA is satisfied that the site is being or
 will be addressed under another statute
 or authority.
   EPA believes that it is appropriate to
 apply different and more stringent
. criteria in actions to delete based on
 deferral to other authorities for sites that
 are on the~final NPL, a* compared to
 sites that are merely candidates for
 deferral prior to NPL listing. For final
 NPL sites, EPA has completed its listing
 process, identified the site as a potential
 problem requiring further attention, and
 has often commenced CERCLA actions.
 In addition, the listing itself has created
 public anticipation of a response under
 CERCLA. Thus, EPA and the public
 have a significant interest in seeing that
 these sites are addressed. EPA does not
 believe that applying different criteria to
final sites that may be deleted wfll
cause any significant prejudice to any
party; as EPA has stated repeatedly in
the past, inclusion on the NPL.does not
determine tile liability of any party for
die cost of any response actions that
•may be taken at a site (48 FR 40659.
September 8,1S83).
  Therefore, EPA is considering
applying this policy on a case-by-case
basis hi the following limited
circumstances. A site may be an
acceptable candidate for deletion based
upon deferral to another authority
where EPA is presented with evidence
that
  LA site on the NPL is currently being
addressed by another regulatory
authority under an enforceable order or
permit requiring corrective action or the
PRPs have entered into a CERCLA
consent order to perform the RD/RA:
  ii Response is progressing adequately;
  iii. Deletion would not otherwise
disrupt an on-going CERCLA response
action: and
  hr. All criteria for deferral to that
authority have been met (i.e.. the
requesting party must meet all
conditions for deferral to that authority
in addition to the three specific criteria
set out above for deletion based upon
deferral).
  EPA would generally consider it to be
a disruption of a CERCLA remedial
action to defer a final NPL site in
situations where funds and/or personnel
have been committed for further action
such as an RI/FS, remedial design or
remedial'construction activity.
  To date, sites have been deleted from
NPLtraly "where no further response is
appropriate," such as where remedial
actions have been completed either by
the PRPs or through Fund-financed
response, or where no remedial
measures have been deemed necessary
(current NCP 5 300.66(c)(7). reproposed
today as S 300.420{e)(l)). In order to
delete sites for deferral it may be
necessary to adopt additional deletion
 criteria or to reinterpret the existing
 criteria to apply to instances where
 another authority is addressing the site,
 and thus, no further response is
 appropriate under CERCLA (or.
 alternatively, that no further response is
 necessary using CERCLA funds). As
 with any deletion, a deletion based upon
 a decision to defer would be entered
 only after a notice of intent to delete
 (and defer) is filed in the Federal
 Register and comment is taken. If EPA
 later determine* that CERCLA remedial
 action la necessary at the site, the site
 would remain eligible for CERCLA
 Fund-financed remedial action and
 relisting on the NPL without the

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51422     Federal Register/VoL 53. No. 245 / Wednesday. December 21. 19&8  / Proposed Rules
  requirement to reapply the HRS (current
  NCP f 300.66{c)(8). reproposed today as
    EPA requests comment on the policy
  of deleting final sites based npon
  deferral to other authorities, and on the
  criteria that should be applied in
  reviewing petitions for such deletions.
    8. Effective date of policy. No deferral
  policy being considered today will be
  implemented until public comments
  have been considered. EPA intends to
  keep the current deferral policies {e-g..
  RCRA and Nuclear Regulatory
 •Commission) in effect while such
  comments are being reviewed.

  Szdion 300.43O Remedial
  Investigation/Feasibility Study (RI/FS)
  pad Selection of Remedy.
   Today EPA is proposing major
  revisions to Subpart E to incorporate the
  new requirements of the 1886 CERCLA
  reanthorization amendments into
  existing procedures, and to reflect
 program management principles EPA
 intends to follow in order to promote the
 efficiency and effectiveness of the
 remedial response process. Chief among
 these principles is a bias for action.
   The 1986 CERCLA amendments
 include a number of requirements
 related to the remedial alternatives
 development and remedy selection
 process. Section 121 of the statute
 retains the original CERCLA mandates
 to select remedies that are protective of
 human health and the environment and
 that are cost-effective. In addition,
 today's proposed revisions address the
 pew statutory requirements for remedial
 actions to attain the applicable or
 relevant and appropriate requirements
 of other Federal and State
 environmental laws, the mandate to
 utilize permanent solutions and
 alternative treatment technologies or
 resource recovery technologies to the
 maximum extent practicable, and the  -
 preference for remedies that employ
 treatment that permanently and
 significantly reduces the toxiciry,
 mobility, or volume of hazardous
 substances, pollutants, or contaminants
 as their principal element over those
 that do not
  The overarching mandate of the
 Superfund program is to protect human
 iealth and the environment from the
 current and potential threats posed by
 uncontrolled hazardous waste sites.
 This mandate applies to all remedial
 actions and cannot be waived. The
mandate for remedies that protect
human health and the environment can
be fulfilled through a variety of means,
including the destruction, detoxification,
or immobilization of contaminants
through the application of treatment
   technologies, and by controlling
   exposure to contaminants through
   engineering controls (such as
   containment) and/or institutional
   controls which prevent access to
   contaminated areas.
    The CERCLA nmgndTngnf? emphasize
   Achieving protection that trill endure
 •  over long periods of time by mandating
   the nse of permanent solutions to the
   mHximnm extent practicable and by
   specifying long-term effectiveness
   factors that must be assessed under
   section 121(b)(l) (A-G). The
   amendments also express a clear
   preference for achieving this protection
   through the nse of treatment
   technologies as the principal element of
   remedies. These provisions reflect the
   belief mat treatment that destroys or
   reduces the hazardous properties of
   contaminants (e-g., toxiciry or mobility)
  frequently will be required to achieve
  solutions that afford a high degree of
  permanence. The highest degrees of
  permanence are dearly afforded by
  remedies that are not heavily reliant on
  long-term operation and maintenance
  following the completion of an
  implemented action.
    In addition to these new mandates,
  the amended CERCLA retained the
 mandate for selecting remedies that are
 cost-effective. Although cost-
 • effectiveness cannot be need to select a
 nonprotective remedy, tfnn mandate
 does require EPA to evaluate closely the
 costs required to implement and
 Tnamfnfn a remedy and to select
 protective remedies whose costs  are •
 proportionate to ihr-ir overall
 effectiveness. This mandate establishes
 efficient use of resources as a standard
 for Superfund remedial actions and
 reflects Congress* intent to maximize the
 use of the Fund across a large number of
 sites. EPA intends to focus available
 resources on selection of protective
 remedies that provide reliable, effective
 response over the long-term.
   'This combination of mandates (Le,
 remedies that provide permanent
 solutions to the tnqxftyinm extent
 practicable, the preference for treatment
 as a principal element, and cost-
 effectiveness) creates dynamic tensions
 for the Superfund program. In today's
 proposal EPA extends some of the
 fundamental features of the current NCP
 in proposing to resolve these competing
 goals through a process that o-rRmjnpg
 the characteristics of sites and
 alternative approaches for remediating
. the problems those site* pose. This'
 process evaluates alternative hazardous
 waste management strategies using "in"
 criteria related to CERCLA's mandates
 to determine advantages and
 disadvantages of the various remedial
                                                                           action alternatives. This analysis
                                                                           identifies site-specific teade-offs
                                                                           between options, and facilitates the risk
                                                                           management decision which is the
                                                                           •fundamental nature of remedy selection
                                                                           decisions at CERCLA sites. In balancing
                                                                           .trade-offs among options and selecting
                                                                          . the protective alternative which seems
                                                                           to offer the best combination of
                                                                           attributes in tenons of the nine criteria
                                                                           and is thus most appropriate for a given
                                                                           site, EPA is exercising the discretion
                                                                           granted by CERCLA to determine the
                                                                           maximum extent to which permanent
                                                                           solutions and treatment or resource
                                                                          recovery technologies can be
                                                                           practicably utilized in a cost-effective
                                                                          manner.     *
                                                                             UPA believes that the solutions that  '
                                                                          are most appropriate for a given site will
                                                                          vary depending on the size, complexity.
                                                                          and location of the site, the magnitude
                                                                          of the threats posed, the timing of the
                                                                          availability of suitable treatment
                                                                          technologies, and the proximity of
                                                                          human and environmental receptors.
                                                                          among other factors. While the CERCLA
                                                                          amendments strongly encourage the use
                                                                          of treatment technologies in CERCLA
                                                                          remedial actions, they allow for
                                                                          discretion in dealing with site
                                                                          circumstances and technological,
                                                                          economic, and implementation
                                                                          constraints that place practical
                                                                          imritations on the use of treatment
                                                                          technologies. Treatment is most likely to
                                                                          be practicable for wastes that cannot be
                                                                          reliably controlled fin place, such as
                                                                          liquids, highly mobile materials (e.g.,.
                                                                          solvents), and high concentrations of
                                                                          toxic compounds (e.g., several orders of
                                                                          magnitude above levels that allow for
                                                                          unrestricted use and unlimited
                                                                          •exposure). Treatment is less likely to be
                                                                          practicable where sites have large
                                                                          volumes of low concentrated material,
                                                                          or where the waste is very difficult to
                                                                          handle and treat (e.g., mixed waste of
                                                                          widely varying composition). Specific
                                                                          •situations that may limit the use of
                                                                          treatment could include oites where: (1)
                                                                          Treatment technologies are not
                                                                          technically feasible or are not available  '
                                                                          within a reasonable timeframe; (2) the
                                                                          extraordinary sire or complexity of a
                                                                          site makes implementation of treatment
                                                                          technologies impracticable; (3)
                                                                          implementation of a treatment-based
                                                                          remedy would result in greater overall
                                                                          risk to fann»n health imA the
                                                                          environment due to risks posed to
                                                                          workers or the surrounding community
                                                                         -during implementation; or (4) severe
                                                                          effects across environmental media
                                                                          resulting from implementation would
                                                                          occur. In addition, there are CERCLA
                                                                          sitec or portions of sites where the
                                                                         concentrations of the wastes are at low

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             Federal Register / Vol. 53. No. 245 / Wednesday. December 21. 1988 / Proposed Rales -   51423
 levels or are substantially immobile, and
 where the wastes can be reliably
 contained over a long period of time
 through the use t>f engineering controls.
 In these situations, treatment may not  .
' always offer a sufficient degree of
 increased permanence and long-term
 protection to be cost-effective.
   CERCLA sites are frequently complex
 and involve a number of different     •;:
" problems: EPA believes mat it often will'
 be the case that the most appropriate '• •
 solution for a site will involve a  :~ •';•  .
 combination of methods of achieving r; '•;
 protection of human'healthand the • '•' '•
 environment Mosrfreguentlyi £PA.;~.;-~
 expects that treatment of the principal  ••
 threats posed by a site, with priority  '-•
 placed on treating highly toxic, highly - --
 mobile waste; will be combined with   '-
 engineering controls (such as   ' ' -'  '-•
 containment) for treatment residuals  •
 and untreated waste." ;•••'.>-.• •••••-..  ••  -.- '••
   As appropriate,"institutional controls ••'
 such as water use and deed'restrictions'
 may supplement engineering'controls for'
 short- and long-term management to    '
 prevent of limit exposure,' to hazardous :
' -substances, pollutants, or contaminants.
 Institutional controls'will be used
 routinely to prevent exposures' to
 releases during the conduct of a
 remedial investigation and feasibility '_; •
 study, during remedial action  •'';  " : '.-•
 implementation,-and as a supplement to '"•
 engineering controls designed to manage
 wastes'over'time.'The'userf'''.'"±'-f--'* ••";?
 institutional controls to restrict use or'
 access should not. however,- substitute""
 for active response measures (e.g,  ~,'
 treatment and/or containment of source •
 material, restoration of ground waters to
 their beneficial uses) as the sole remedy
 unless such active measures are  • •''- •
 determined not to be practicable, based •
 on the balancing of trade-offs among • '•
 alternatives that is conducted during'the'
 selection of remedy.'These trade-offs, -• "
 based on the nine criteria, are identified
 during the analysis of alternatives. ' • • "•"•"
   EPA recognizes that the approach'
 presented in today's proposed rule is not
 the only approach possible for resolving'
 the competing goals-and requirements of .
 the Superfund program.-Therefore^ later •
 in this preamble EPA presents four-:- ='
 •alternative approaches. Two of those'.-: •
 alternatives are site-specific balancing •''• .
 approaches that" while similar to the'one
 proposed in today's rule, differ primarily
 in terms of how they organize the  •  —
 evaluation criteria, and how they  • •
 incorporate the statutory requirements  ":
" to select remedies that are cost-effective
 and that use permanent solutions and
 treatment technologies to the maximum
 extent practicable. The two additional  '
 a'ternatives presented later represent
 different approaches to remedy  •
 selection, based on different views of .
 the goals and purposes of the Superfund
 program. EPA solicits comments on
 these four alternative approaches as
 well as the approach presented m
 today's proposed rule,
 A, Program Management Principles
   Today's proposal also includes
 revisions to the 1985 NCP mat are not
 mandated by CERCLA. These revisions
 reflect principles by which EPA intends
 to manage the Superfimd remedial  .
 program. These principles stem from..
 experience gained over the first eight
 years of the.program.ilnmanaging  .-  -' :
 CERCLA sites, EPA must balance the - '
 goal of definitively characterizing site. '
 risks and analyzing alternative remedial
 approaches for addressing those threats
 in great detail and the desire to - -.
 implement protective measures quickly.
 EPA intend? to balance these goals with
 a bias for initiating raiponse actions
 necessary or-appropriate to eliminate.-
 reduce, or control hazards posed by a
 site, as early as possible. EPA will ...-
•promote the responsiveness and
 efficiency of the Superfnhd program by
 encouraging action prior to or
 concurrent with conduct of an RI/FS as
 information is sufficient to support
 remedy selection. While the bias for • •
 action promotes multiple acfions'of  -
 limited'scale, the program's ultimate "
 goal continues to be to implement final *
 remedies at sites.'' "-• '  "•"•"": ;< ''': '••'
 '-  Early action may be taken at a site via
 enforcement or Fund-financed activities
 taken under removal or'remedial   •
 authorities. In deciding between using
 removal and remedial authorities, the
 lead agency should consider: (i) The
 criteria and requirements for taking
 removal actions in f 300.415 of today's
 proposed rule; pi) the iBta'tutory  --
 limitations on removal! actions and the
 criteria-for waiving those limitations:
 (iii) the availability of resources; and the
 (iv) urgency of the site problem. Specific
 actions that maybe taken under  •
 removal authorities include emergency •'•
 action, hon-time-critical removals, and ••'
' expedited response actions. -A -  •••''•' ' •'"'
 discussion of these activities is included
 in the 5 300.415 preamble section.; Early
 actions using remedial! authorities are '- '.-
 •initiated as operable units.--"^ ••"••••• •-•;•" .
   The Superfund program has long "••'• -
 permitted remedial actions to be staged
 through multiple operable, units.  - • —
 Operable units are discrete actions that
 comprise incremental steps toward the
 fatal remedy. Operable units may be
 actions that completely address a -
 geographical portion of a site or a
 specific site problem (e.g., drums and
 tanks, contaminated ground -water) or
 the entire site. Operable units include *
 interim actions (e.g.. pumping and
 treating of ground water to retard plume
 migration) that must be followed by   .
 subsequent actions which fully address
 the scope of the problem (e.g., final .
 •ground water operable unit that defines
 the remediation level and restoration
 timeframe). Such operable units may be
 taken in response to a pressing problem
 that will worsen if nnaddressed, or   '  '
 because there ifl an opportunity to'
 undertake a limited'action that win  . '.
 achieve significant risk reduction •'    ; '''
 quickly.      ''"   ''.-.":' •'••'..' ."•" '"'.".;.: '
  'The appropriateness of dividing..;' • •• ^
 remedial actions into operable units is _• '
 determined by cbnsidenng-aie. •;'.-.'.'  /.;
 interrelationship 6f site problems and
 the need or desire to initiate actions
 quickly. To the degree that site problems
 are interrelated (e.g, contaminated soils
 and ground water}, ft may be most'
 appropriate to address the problems..
 together. However, where problems are
 reasonably severable, phased responses
 implemented through a sequence' of, •;• ."
 operable units may promote more rapid
 risk reduction.  '  ..,   :'.'•.•./,-:-:
   Related to the bias for'action is the  . '
 principle of streamlining, which EPA -
 intends to emphasize in Tnnm»ging the
 Superfund program as a whole  and in . -. •
 conducting individual remedial action'
 projects. On a project-specific basis.  .
 recommendations to'ensure that the RI/
 FS and remedy selection process is  • -...-•
 conducted as effectively and efficiently
 as possible include: -...-.,   .   .  -.-
   a. Focusing the remedial analysis to .
 collect only additional data needed to -
 develop and evaluate alternatives and
 to support design;  -.--..-'   . •'  ..- ..
   b. Focusing the alternative  .   . -; ' -
 development and screening step to -
 identify an appropriate number of . -••
 potentially effective and implementable.
 alternatives to be analyzed in detail .
 Typically, a limited number of    -..-<--
 alternatives will be evaluated that are
 focused to the scope of the response •' / -
 action planned;-' • •'   '-.-'•
   c. Tailoring the level of detail of the
• analysis of the nine evaluation criteria •
 . (see below) to the scope and complexity
 of the action. The analysis for an •••-- ••
 operable unit may well be less rigorous •
 than that for a comprehensive remedial •
 action designed to address all site
 problems;  ' •• ••'"  - •  •
   d. Tailoring selection and
 documentation of the remedy based on
 the limited scope or complexity of the  •
 site problem and remedy: In particular,
 operable units initiating interim •• -
 remedies may require less,complex
 justifications because they are limited
 actions that will only require minimum

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   51424     Federal Register / VoL 53. No. 245 / Wednesday. December 2t. 1988 / Proposed Rales
   documentation of statutory findings-. • •
   based on the presumption that  ,.   •-.:'-
   additional response wiH further address •
   the site problem;          .   :..'•••
     c. Accelerating contracting procedures
   and collecting camples necessary for
   remedial design during the public •... '.'..
   comment period.. .  .  , .        -..".-:
    Although the level of effort and extent
   of analysis required for an RI/FS will.
   vary on a site-specific basis, lihe ."..."-
   procedural steps needed for remedy'.''  .
   selection do not. These steps, however^
   may be* kss extensive depending on the
   complexity and scope of the problem "
   being addressed. Regardless of.the level
   of effort and analysis on a specific RI/
  FS, the lead agency is responsible for . '.
  ensuring that aH procedural   .' .'..."
  requirements are met, including support.
  agency participation, soliciting public "
  comment, developing an administrative '
  record, and preparing a record of '"
  decision.  .                 ......
    Circumstances that may be  .' '•'•':' •'•'•'"
  particularly conducive to a more  '•"'•" ;'"
  streamlined analysis daring an" RI/ES'''. •
 'Include:  '   •       _.,.-.•.,-  .  :'
    (1) Site problems are straightforward •'
  such that it would be inappropriate to'  '
  develop a foil range of alternatives. For
  example, site problems may only
  involve a single group of chemicals that
  can only be addressed in a limited
  number of ways, or site characteristics -
  (e.g, fractured bedrock) are such that
  available options are limited. To the'-' • :
  extent that obvious, straightforward  - - «
 problems exist, they may create   •••
 opportunities to take actions 'quickly
 that will afford significant risk •
 reduction;         .•          	
   (2) The need for prompt action to-
 bring the site under initial control-    - •
 outweighs the need to examine all • •  - •
 potentially appropriate alternatives;
   (3) ARARs, guidance, or program -.-.-
 precedent indicate a limited range of  •••-
 appropriate response alternatives (e^, •
 PCB standards for contaminated soils,
 Supcrfund Dram and Tank Guidance.  .
 BOAT requirements);   .   '...;. -..   "
   [4) Many alternatives are clearly •  ....
 impracticable for a site from the outset
 due to severe implementability problem*
 or prohibitive costs (e.g, complete ;
 treatment of an entire large municipal
 landfill) and need not be studied in •
 detail; and                  - "..
 ( (5) No further action or extremely • .
 limited action will be required to ensure
 protection of human health and the • .
 environment over time. This situation
 will most often occur where a removal
 measure previously has been taken.
  The bias for action and principles of
 streamlining are considered throughout
 the life of a remedial project but begin to
be evaluated as site management
   planning is initiated. Site management
   planning is a dynamic., ongoing, and
   informal strategic planning effort that
   generally, starts as soon as sites are
 •  proposed for inclusion on the NFL and
   continues through the RI/FS and remedy
   selection process, remedial design and
   remedial action phases, to deletion front
   the NPL. -This strategic planning activity
   is the means by which the lead and
   support agencies'determine the types of.
   actions and/or analyses necessary or
   appropriate at a given site and the  • :
   optimal tuning of those actions. At the
  RI/FS stage, this effort involves review
  of existing site information,  ... -  . .-.. •
  consideration of current and potential
  risks the site-poses to human health and
  the environment, an assessment of
  furore data needs, understanding of
  Inherent uncertainties in the process.
  priorities among site problems and the
  program as a whole, and prior program
  experience. The focus is on taking action
  at the site as early as site data and
  information make it possible to do so.

  B. Major Revisions to' the RI/FS and
  Selection of Remedy Process  :
    The RI/FS process proposed today
  incorporates statutory requirements,
  reflects  the program management
  principles of the bias for action.
  streamlining, and site management
 planning, and builds on the engineering
 and analytical steps established in the
 current NCP. The RI/ES remedy
 selection process is portrayed in the
 following specific steps: (1) Project
 scoping which includes developing
 workplans; (2) a remedial investigation
 that typically includes gathering basic
 site data for site characterization and
 the baseline risk assessment, and
 conducting testability studies; (3) a
 feasibility study, which includes the
 development of alternatives, a screening
 stepras necessary,.and a detailed
 analysis  of the alternatives; (4) remedy
 •election; and (5) documentation. As
 presented in today's, proposal, these
 steps appear highly articulated and
 distinct In practice, the steps-are
 «snaBy highly interactive. The RI/FS
 process should be tailored to match the
 •cope and nature of the site problems.
  .The steps in the process are intended
 to ensure that remedial alternatives are
 formulated to be protective of human  •
 health and the environment and "
 designed to meet the applicable or
 relevant and appropriate requirements
 of .other Federal and State
 environmental laws. Judgments as to the
 cost-effectiveness of the alternatives
 and the extent to which permanent
 solutions and treatment or resource
recovery  technologies can be
practicably utilized at a given site are
   made in the remedy selection process,
   as trade-offs between protective
   alternatives are-balanced.
     1. -Project scoping. The purpose of
   scoping is to define more specifically 'the
   appropriate type, and extent of
   investigative and analytical studies that
   should be undertaken for a given site. •
   Scoping is distinct from site
   management planning in that it entails
'•   formal planning for Jboth the remedial- -
   investigation and feasibility study.
   Scoping has been separated from the .
   remedial investigation section to which
'   it is attached under Jthe. .current NCP
   simply to highlight-die workplan .
   development procesu and the
   development of other project plans such
   as the samplingand analysis plan.
   (SAPJ, the health anil safety plan (HSPJ,
   and the community relations plan (CRPJ.
    During scoping, to assist in evaluating
 •  the possible impacts of releases from the
   site on human health and the
   environment a conceptual  '    -.  ..
   understanding of the site should be  -
  established considering in a qualitative
  manner the sources of contamination,
  •potential pathways of exposure, and
  potential receptors. This preliminary
  characterization is initially developed
  with readily available information and
  is refined as additional data are
 ' collected. A site-specific baseline risk
  assessment with additional qualitative
  and/or quantitative aspects will be  •   ,
  performed during the RI to build on this r
  conceptual understanding by   •
  characterizing further the type and
  magnitude of potential risks. The
 identification of potential ARARs and
 other criteria, advisories and guidance
 to be considered (TBCs} will begin
 during scoping as lead and support
 agencies initiate a dialogue on potential
 requirements during planning meetings-
 or. discussions that occur between .
 agencies. Under CERCLA.«ection
 121(dK2)(A)(ifj, State requirements most
 be identified in a timely manner in order
 to be considered ARARs. Sections  •
 300.430 (d) and (e) and 300.S10(d) in
 today's proposed role describe the
 process for identification of ARARs by
 the lead and support agencies.
   The main objectives of scoping are to
.identify the types of decisions that need
 to be made, to determine the types'
 (including quantity and quality) of data
 needed, and to. design efficient studies
 to collect these data. Ihe scope and   -
 detail of the investigative studies and
 alternative development and analysis
 should be tailored to the complexity of
 site problems. This will require a
 consideration of how the phases of the
remedial process could most
appropriately be conducted and the

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            Federal Register / VoL 53. No. 245 / Wednesday. December 21, 1988 / Proposed Rules     51425
 level of effort and analysis required for
 each phase. The greatest opportunities
 to streamline the analysis generally will
 occur when the scope of the study and
 remedial action are limited to a small
 part of the site, or when the threats tie
 clearly defined and technical solutions
  re straightforward.
   2. Remedial investigation (HI). The. RI
  ichides: (i) The collection of data
. identified during project scoping as
 necessary io characterize the site and
 evaluate remedial alternatives; (&) the
 characterization of current and potential
 risks through a baseline risk assessment;
 and (iii) treatability studies, as
 appropriate.'Today's proposed revisions
 emphasize thst the program
 management principle of strenmBnmg
 will be applied to determinations of
 what is necessary to adequately
 characterize  a site. Site-specific
 judgments are required to determine
 how much additional information is
 necessary to support decisions, taking
 into consideration the added time and
 costs of collecting and analyzing the
 data.
   During site characterization, site-
 specific data are collected and assessed
 to determine what if any, types of
 response actions are warranted. In light
 of CEROLA's mandate to assess
 permanent solutions, alternative
 treatment technologies, and resource
 recovery technologies, EPA is proposing
 to collect, as  appropriate, data about
 treatment technologies, such as
 characteristics of the waste or the cite
 that affect the types of treatment
 possible and the effectiveness of
 treatment approaches, the extent to
 v.-hich substances on-srte may be reused
 cr recycled, and the potential for future
 releases if any substances or treatment
 residuals remain on-site. The RI may
 also include treatability studies that are
 needed to better evaluate potential
 technologies.
   Once the contaminants of concern fit
 a site have been identified, the baseline
 risk assessment is initiated to determine
 whether the site poses a current or
 potential risk to human health and die
 Environment in the absence of any
 remedial action. It provides the basis for
 determining whether or not remedial
 action is necessary and the justification
 for performing remedial actions. The
 Superfund baseline risk assessment
 process may  be viewed as consisting of
 an exposure assessment component and
 a toxicity assessment component, the
 results of which are combined to
 develop an overall characterization of
 risk. As indicated above, these
 assessments  are site-specific and
 therefore may vary in both detail and
 the extent to which qualitative and
 quantitative analyses are utilized
 depending on fee complexity and
 particular circumstances of the site, as
 well as the availability of pertinent
 ARARs and other criteria, advisories,
 and guidance.
  An exposure assessment is conducted
 to identify the magnitude of actual or
 potential human or environmental
 exposures, the frequency and duration
 of these exposures, and the routes by
 which rectplum are exposed. Tiis
 assessment involves developing for each
 site a current exposure scenario as well
 as a reasonable maximum exposure
 scenario. The current exposure analysis
 is used to determine whether a health or
 environmental threat exists based on
 ..i-icting site conditions, the reasonable
 maxHHom exposure scenario is used to
 provide dedsianciakers with an .
 understandins of potential future
 exposures and should include an
 assessment of the IQceHbood of such
 exposures occurring. This exposure
 scenario will provide the basis for the
 development of protective exposure
 levels.
  The toxicity
Superfund risk assessment considers: (a)
The types of adverse health or
environmental effects associated with
chemical exposures; (b) the relationship
between magnitude of exposures °^^
adverse affects; and fcj related
uncertainties *uch an the weight of
evidence for a pyi'tic^rfflT* f HCTTWTI I *g
carcinogenicity inismans. Typically.
the Superfand risk •ni* atnirnt pr
relies heavily o=a odstiag toxkaty  •
information or profiles developed on
specific cbemicafau These we generally
estimated carcinogen exposure* that
may be associated with specific lifetime
cancer risk probabilities (risk-specific
doses or RfiBs). and noacaxcutogen
exposures tkat arc not likely to present
appreciable risk of significant adverse
effects to humans (aschaHng sensitive
subgroups) over lifetime exposures
(reference doses er RfDs).
  During risk characterization.
chemical-specific toxicity information is
compared both against measured
contaminant exposure levels and those
levels predicted through fate and
transport modeling to determine
whether levels at or near the site are of
potential concern. Results of this
analysis are presented with all  critical
assumptions and uncertainties so that
significant rides can be readily
identified.
  3. Feasibility study (FS). The purpose
of the FS is to proride the
decisionn»ker with an assessment of
alternatives. incrading their relative
strengths and weaknesses, and the
trade-offs in selecting one alternative
over another. The FS process involves
developing a reasonable range of viable
remedial alternatives and analyzing
these alternatives in detail using nine
evaluation criteria. Because the RI and
FS are conducted concurrently, this is an
interactive process in which potential
alternatives and remediation goals are
continually refined as additional
information from the RI becomes
available.
  L Establishing protective remedial
action objectives. The first step in the
FS process involves developing remedial
action objectives for protecting human
health and the environment which
should specify contaminants and media
of concern, potential exposme
pathways, and preliminary remediation
goals. The preliminary remediation
goals, by establishing initially
acceptable contaminant levels for each
exposure route, assist m s^tiliig
parameters for the purpose of evaluating
technologies and developing remedial
alternatives. Because these preliminary
remediation goafa typically are
formulated dnring project scoping or
concurrent with initial RI activitiss (i.e..
prior to completion of the baseline risk
assessment), they are initially based on
readily a-vafiable environmental or
health-based ARARs (e.g., MCLs, WQC)
and other criteria, advisories, or
guidance (e.g., RfDs). As new
information and data are collected
during the RI. including the boseixoe risk
assessment, and as additional ARARs
are identified dnring the RI, these
pre&niaary remediation goals may be
modified as appropriate to ensure thst
remedies comply with CERGLA's
mandate to be protective of boman
health end the environment and comply
with ARARs.
  During the development and analysis
of alternatives, the risks associated with
potential alternatives, both dnring
implementation and following
completion of remedial action, are
assessed, based on the reasonable
maximum exposure scenario and any
ether controls iret-esiaiy to ensure thst
exposure levels are protective and can
be attained. These are generally
assessed for each exposure, route unless
there are multiple exposure routes
where combined effects may have to be
considered. For noncarcinogentc
chemicals. EPA has concluded that
protection is achieved when exposures
ere such that no appreciable risk of
significant adverse effects to individuals
over a lifetime of exposure exist. For
carcinogens. EPA uses health-based
ARARs to set remediation goals when

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 51426     federal Register / VoL 53. .No. 245 /.Wednesday.  December.21. 1988 / Proposed .Rules
 they are available. When an ARAR does
 not exist, EPA'guidance has been to  ..
 •elect remedies resulting in cumulative '
 risks that fall within a range of 10~4 to
 10"? individual lifetime excess cancer
 risk. EPA is willing to continue using
 this range in the future as it provides
 flexibility in developing protective
 remedies suitable'to site-specific
 conditions. However. EPA Is interested •
 In receiving comment on a risk range of
 ICT* to Itr*. since this risk range is used
 In certain other EPA programs....-.  •.
   The risk range is important because it
 is a standard used by EPA to comply   .
 with CERCLA's mandate to protect •  7
 human health. Furthermore, the choice
 of risk range will continue to be  -
 important as the Superfund program  •
 matures and as related science and
 policyevohre.  ..         .   . •
   EPA, therefore, solicits comment on
 two potential risk ranges in particular—
 the current 10~* to 10"7 range and an
 alternative 10~* to 10~* range—and on
. issues related to these or alternative risk
 ranges, Commenters are requested to
 provide as much supporting information
 as practical for any alternatives  .  ..
 suggested. Issues that commenters may
 wont to consider include the following:
   (1) The potential impact of
 improvements in the understanding of
 cancer risk assessment including
 biological mechanisms, interpretation of
 data, measures of exposure, etc.
   (2) The ability of available analytical
 methods to measure chemical'
 substances at concentrations associated
 with low levels of risk.
   (3) Possible advantages or
 disadvantages of a narrower or broader
 risk range, or of a single risk value.
   (4] The desirability of using a risk
 range for cleanup at these sites to
 protect current and potential sources of
 drinking water that U more stringent
 than the 1(T« to 10~« range that
 characterizes drinking water standards
 and that is more stringent than what is •
 considered de minimis risk under other
 programs.               .
   15) The ability of treatment
 technologies to achieve cleanups at   .
 specified levels of risk. This may include
 technologies that .are unable to achieve
 removal of contaminants to very low
 levels, as well as other technologies that
 can only achieve low levels of risk.
   (6) Whether available funds should be
 used to attain very low levels of risk at a
 limited number of sites, or to achieve
 cleanup at more sites {at somewhat
 higher levels of risk for some sites) with
 a greater reduction in overall risk.
   (7) The effect of achieving particular
 risk levels on the time needed to
 complete the remedial action and the
 extent to which this should b'e
 considered when selecting remedies.  •
   (8) The relationship between EPA's
 risk range and those used in State
 Superfund programs, including the
 impact of EPA's range on the
 development of State programs.
   . (9) The evolving issue of public
 perception, of relative, risks in our
. society.   ' .       '.     .   .   •
 .  Commenters are invited to address
 these and other issues related to either'
 the Superfund program's jrisk range or  „'
 alternatives that they may suggest...
   In 'general, cheraicatspecific ARARs  •
 are set for a single chemical or closely
 related^group of chemicals. These.
. requirements typically do not consider
 the mixtures of chemicals and other
 conditions (e-g., multiple pathways of
 exposure} that may be found at CERCLA
 sites. Therefore,' due to site-specific
 factors, remediation goals set at the
 level of single chemical-specific .
 requirements may not adequately    ..  -
 protect human health or the
 environment at that site. In these
 instances, remediation goals may be set
 below the chemical-specific
•requirements (ie., at more stringent
 levels) in order to obtain a remedy that
 is protective. Remedies resulting in
 cumulative risks that fall within the
 generally acceptable risk range for
 carcinogens (10~4 to 10~7) or meet
 acceptable levels for noncarcinogens'are
 said to be protective of human health.
   Superfund remedies will also be
 protective of environmental organisms
 and ecosystems. However,
 "protectiveness" in this context is often
•considerably less quantitative.
   During selection of remedy, the final
 remediation goals, and resulting
 exposure levels, will b'e determined by
 balancing the major trade-offs among
 protective. ARAR-compliant
 alternatives,  using specified evaluation
 criteria (see sections 3 Jii. and 4., below).
   During the FS, pertinent factors for
 modifying the remediation goals within
 the acceptable risk range can be divided
 into three broad categories: (a) Exposure
 factors, (b) uncertainty factors, and (c)
 technical factors. Included under .  -
 exposure factors are: the cumulative
 effect of multiple contaminants, the
 potential for human exposure from other -
 pathways at  the site, population
 sensitivities, potential impacts on
 environmental receptors, and cross
 media impacts of alternatives. Factors  •
 related to uncertainty may include: the
 reliability of alternatives, the weight of
 scientific evidence,  arid the reliability of
 exposure data. Technical factors may
 include: detection/quantification limits
 for contaminants, technical limitations
 to restoration, the ability to monitor and
  control movement of contaminants, and
 • background levels of contaminants...  . •
 • Remediation levels should be set for.
  appropriate environmental media, and
  performance standards etitablished for •
  selected engineering controls and
  treatment systems including controls
  implemented during the response
  measure. For ground water, remediation
  levels should gene rally be attained .•
  throughout the contaminated-plume, or -
  at and beyond the-edge of the waste .
.  management area when .waste is left in
  p!ace..For air, the selected levels should
  be established for die maximum  -   •'
  exposed individual.considering ••.•-••
  reasonably expected nee of the site and
  surrounding area. For surface waters,
  the selected levels should be attained at
  the point or points where the release
  enters the surface waters. •  -
   ii. Development and screening of
  alternatives. Once remedial action
  objectives have been developed, general
  response actions, ouch as treatment '
  containment, excavation, pumping, or
  other actions that may be taken to
  satisfy those objectives should be  '
  established. Technologies potentially •
  applicable to each general- response •
  action are thenidentified. briefly •'.-•
  evaluated to verify their suitability, and
  assembled into remedial alternatives. In
  the event a large number of alternatives
  are developed, a screening step may be
  conducted. ...   •.•••.•••
  . For most sites, the initial range of •  •
  alternatives should represent distinct
  promising alternative approaches to -
  managing the site problems. The major
  change in this step from the current NCP
  is the organizing scale along which the "
  alternatives are to be arrayed:' •
   The current NCP requires alternatives
  to be developed, as appropriate, from
  the following categories: (a) An off-site
 . alternative: (b) an alternative that
  attains ARARs; (c) an alternative that
  exceeds ARARs: (d) an alternative that
  does not attain ARARs; and (e) a no-
  action alternative. These categories
  tested on the implicit assumption that
  alternatives would share the same  '•
 potential ARARs and that the ability to
 meet or exceed those requirements •  '-
  corresponded to different levels of
 protection. Program experience has
 shown that while alternatives will  .
 usually share chemical- and location-
 specific ARARs. each will have a unique
 set of action-specific requirements.•
 Additionally, it is now clear that ARARs
  do not by themselves necessarily define
 protectiveness. First-ARARs do not
  exist for every contaminant location, or
  waste management activity that may be
 encountered or undertaken at a  .-
  CERCLA site. Furthermore, in those

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            Federal Register / Vol.  S3, No. 245 / Wednesday. December 21. 195S  /  Proposed Rules      51427
 circumstances where multiple
 contaminants are present, the
 cumulative risks posed by the potential
 additivity of the constituents may
 require cleanup levels for individual
 contaminants to be more stringent than
 ARARs to ensure protectiveness at the
 site. Finally, determining whether a
 remedy is protective of human health
 and the environment also requires
 consideration of the acceptability of any
 short-term or cross-media impacts that
 may be posed during implementation of
 a remedial action.
  In light of these determinations and in
•response to the new statutory emphasis
 on utilizing permanent solutions and
 treatment technologies to the maximum
 extent practicable, EPA is proposing a
 tnaior change in 1h* range of
 alternatives required to be developed.
  The initial range of alternatives
 should represent distinct, promising
 alternative approaches to managing the
 site problems. In fight of the statutory
 preference for treatment fcmmdioa, this
 range typically win include alternatives
 that feature, as a principal element
 treatment that reduces the toxicity.
 mobility, or volume of the hazardous
 substances at the site. Typically.
 treatment alternatives, range from
 remedies that treat the principal threats
 at die site, to remedies that completely
 destroy, detoxify, or immobilize the
 hazardous substances and leave
 materials that require no long-term
 management. Principal threats will be
 defined on a site-specific basis and may
 include a discrete areas of the site that
 consists of highly toxic and/or highly
 mobile waste (e.g.. a lagoon fiHed with
 highly concentrated organic
 contaminants tmd surrounded by
 slightly contaminated sorfe), or a single
 environmental medium {e.g., highly
 contaminated gruiojrd *walci'J.
   In developing ahematiTes. the ieed
 agency should consider whether tie
 prospective lemedy tfaorfd be .
 developed as an on-sfte alternative, on
 off-site alternative, or both. Whfle
 CERCLA clearly states that off-site
 disposal without treatment is the least
 preferred alternative, it does not express
 any preference for or bis* against of f-
 site disposal with treatment. In
 evaluating off-she actions, however.
 EPA's requirements related to the off-
 site transfer of CERCLA. wastes mast be
 taken into account
   In addition to treatment alternatives.
 the lead agency sfaotSd-devrfap,  as
 appropriate, alternatives that control Ike
 threats posed by hazardous substance*
 and/or prerect exposure, such as
 containment technologies and
 institution*" contpt?is» C_/r^tt*--M Mp^r*
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  51428     Federal Register / VoL 53. No. 245 / Wednesday. December 21. 1988 / Proposed Rules
  factor* to determine whether or not an
  option u likely to yield results in terms
  of implementability and effectiveness
  that are in proportion to its costs.
  relative to other alternatives under
  consideration. For example, cost may be
  considered along with implementability
  factors to determine whether treatment
  of the principal threats posed by a large
  municipal landfill would be cost-
  effective and practicable, relative to
  other remedial options.
    When utilized, the screening step
  provides another opportunity to tailor
  the mmgfaino analysis to the identified
  site problems, ensuring that the number
  and the types'of alternatives carried
  forward matches the nature and
  complexity of the site problems.
    The lead agency should coordinate
  with the support agency when
  developing and/or screening
  alternatives. The lead agency and
  support agency should begin to identify
  action-specific ARARs and TBCs for
  alternatives that remain for the detailed
  analysis.
   vL Detailed analysis- The purpose of
  the detailed analysis is to objectively
  assess the alternatives with respect to
  nine evaluation criteria that encompass
  statutory requirements and include
  other gauges of the overall feasibility
 and acceptability of remedial
 alternatives. This analysis is comprised
 of an individual assessment of the
 alternatives against each criterion and a
 comparative analysis designed to
 determine the relative performance of
 the alternatives and identify major
 trade-offs (ie.. relative advantages and
 disadvantages) between them. This
 analysis should focus on those
 subfactors under each criterion that are
 most pertinent to the circumstances of
 the site and the scope of the action.
 Information gathered during this
 analysis will be used fay the
 dectsionmaker to select a remedial
 action.
  These nine criteria can be categorized
 into three groups, each with distinct
 functions in selecting the remedy.
 During the selection process, the
 dccisionmaker will consider these
 criteria as follows. Overall protection of
 human health and the environment and
 compliance with applicable or relevant
 and appropriate requirements (or
 invoking a waiver) are threshold criteria
 that must be satisfied in order for an
 alternative to be eligible for selection.
 Long-term effectiveness and
permanence, reduction of toxicity,
mobility, or volume, short-term
effectiveness, implementability. and cost
are the primary balancing factors used
to weigh major trade-offs between
alternative hazardous waste
  management strategies. State and
  community acceptance are modifying
  considerations that are formally taken
  into account after public comment is
  received on the proposed plan and RI/
  FS report

  Threshold Criteria
    (1) Overall protection of human health
  and the environment. Protectiveness is
  the primary requirement that CERCLA
  remedial actions most meet. A remedy is
  protective if it adequately eliminates,
  reduces, or controls all current and
  potential risks posed through each
  pathway by the site. A site where, after
  the remedy is implemented, hazardous
  substances remain without engineering
 'or institutional controls, must allow for
  unrestricted use and unlimited exposure
  for human and environmental receptors.
  For those sites where hazardous
  substances remain such that
  unrestricted use and unlimited exposure
  is not allowable, engineering controls,
  institutional controls, or some
 combination of the two must be
 implemented to control exposure and
 thereby ensure reliable protection over
 time. In addition, implementation of a
 remedy cannot result in unacceptable
 short-term risks to. or cross-media
 impacts on, human health and the
 environment
   (2) Compliance with applicable or
 relevant and appropriate requirements
 (ARARs). Compliance with ARARs is
 one of the statutory requirements for
 remedy selection. Alternatives are
 developed and refined throughout the
 CERCLA process to ensure either that
 they will meet all of their respective
 ARARs or that there is good rationale
 for waiving an ARAR. During the
 detailed analysis, information on
 Federal and State action-specific
 ARARs will be assembled along with
 previously identified chemical-specific
 and location-specific ARARs.
 Alternatives will be refined to ensure
 compliance with these requirements, or
 to begin to identify waivers that might
 be invoked.

 Primary Balancing Criteria
  (3) Long-term effectiveness and
permanence. This criterion reflects
 CERCLA's emphasis on implementing
 remedies that will ensure protection of
 human health and the environment into
 the future as well as in the near term. In
 evaluating alternatives for their long-
 term effectiveness and the degree of
 permanence they afford, the analysis
 should focus on the residual risks that
 will remain at the site after the
 completion of the remedial action. This
 analysis should include consideration of
 the following: the degree of threat posed
  by the hazardous substances remaining
  at the site; the adequacy of any controls
  (e.g., engineering and institutional
  controls) used to manage the hazardous
  substances remaining at the site; the
  reliability of those controls; and the
  potential impacts on human health and
  the environment, should the remedy fail
  based on assumptions included in the
  reasonable maximum exposure
  scenario. This evaluation criterion
  incorporates the statutory requirements
  to take into account the following: The
  uncertainties associated with land
  disposal; the goals,  objectives, and
  requirements of RCRA; the persistence,
  toxicity, mobility, and propensity to
  bioaccumulate of the hazardous
  substances and their constituents; the
  long-term potential for adverse health
  effects from human exposure; the
  potential for future remedial action costs
 if the remedy were to fail; and the
 potential threat to human health and the
  environment associated with redisposai
 or containment of the hazardous
 substances.
   (4) Redaction of toxicity, mobility, or
 volume. This criterion addresses the
 statutory preference for remedies that
 employ treatment as a principal element
 by ensuring that the relative
 performance of the different treatment
 alternatives in reducing toxicity,
 mobility, or volume will be assessed.
 Specifically, the analysis should
 examine the magnitude, significance,
 and irreversibility of reductions.
   (5) Short-term effectiveness. This
 criterion includes the short-term impacts
 of the alternatives-—Le~. impacts during
 implementation—on the neighboring
 community, the workers, or the
 surrounding environment including the
 potential threats to human health and
 the environment associated with
 excavation, treatment and
 transportation of hazardous substances.
 The potential cross media impacts of the
 remedy and the time to achieve
 protection of human health and the
 environment should also be analyzed.
   (6) Implementability.
 Implementability considerations include
 the technical and administrative
 feasibility of the alternatives, and the
 availability of the goods and services
 (e.g., treatment storage, or disposal
capacity) on which the viability of the
 alternative depends. Implementability
considerations often affect the timing of
various remedial alternatives, e.g.,
limitations on the season in which the
remedy can be implemented, the number
and the complexity of materials-
handling steps that must be followed,
the need to obtain permits for off-site
activities, and the need to secure

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            Federal  Regster / Vt>L 53. No. 245 / Wednesday.  December 21. 1988 /.Proposed Rules      51429
 technical services such as well drilling  •
 and excavation.
   (7) Cost. Cost encompasses all
 construction and operation and    •   •
 maintenance costs incurred over the life
 of the project. The focus during the  r
 detailed analysis is on the net present
 value of these costs. EPA intends to
 continue to rely on OMB Circular A-S4  .
 for determining the discount rate for •'
 Federal projects, while retaining the
 option provided in A-84 of using .
 sensitivity analyses. EPA believes that
 the discount rate represents an
 important aspect of developing a
 realistic accounting of the future costs of
 remedial alternatives -and an accurate  .
 comparison of the total costs, and the'
 cost-effectiveness, of treatment and
 nontreataent remedies.

 Modifying Criteria
   (8) State acceptance. This criterion,
 which is an ongoing concern throughout'
 the remedial process, reflects die
 statutory requirement to provide for
 substantial and meaningful State
 involvement. State comments may foe
 addressed during the development of the
 FS, as appropriate, although formal
 State comments usually will not be
 received until after the State has
-reviewed the draft RI/FS and the draft
 proposed plan prior to the public
 comment period. The proposed plan that
 is issued for public comment  along with
 the RI/FS report should indicate
 whether or not  the State has commented
 on or concurred with EPA's preferred
 alternative or that State comments have
 not been received. The ROD should
 specifically address State concurrence
 or nonconcurrence with the response
 action that is selected, particularly
 noting State views on compliance or
 noncompliance with State ARARs.
   (S) Community acceptance. This
 criterion refers to the community's
 comments, where community is broadly
 defined to include all interested parties.
 on the remedial alternatives under  . •
 consideration. These comments are
 taken into account throughout the RI/FS
 process through the communications
 that occur as the community  relations -
 plan is implemented- Again, EPA can   -
 only preliminarily assess community •
 acceptance daring the development of--
 the FS, since formal public comment-will
 not be received until after the public  ---•
 comment period for the proposed plan •
 and the RI/FS is held. The detailed
 analysis, however, may summarize
 preliminary comments on components of
 the alternatives received up to that
 point
   4. Selecting remedial actions. The
 selection of a CERCLA remedial action
 from among alternatives is a two-step
 process. First, the lead agency, in
 conjunction with the support agency.
 wiD review the results of the RI/FS to
 identify a preferred alternative, which
 will be presented to the public in a
 proposed plan along with the supporting
 information and analysis, for review and
 comment Second. !lhe lead agency, will
 review the public comments, consult
 with the support agency in order to
 evaluate whether the preferred
 alternative is still the most appropriate
 remedial action for the site or site
 problem, and make a decision.
   While the 'dedsiemmaking steps, in
 general, are similar for all types of
 response actions, the information,'  .
 analysis, and criteria upon which
 response action decisions are based will
 vary depending on the scope of the  .
 action and complexity of the decision.
   The identification of the preferred
 alternative, and subsequently the
 remedy selection, ii based on an
 evaluation of the major trade-offs among
 alternatives in terms of the evaluation
 criteria, focusing OIL specific factors
 most relevant to site circumstances, and
 the.overall practicability of each
 •alternative. The deidsionmaker should
 first determine whether all alternatives
 meet the threshold criteria. Those
 alternatives that provide adequate
 protection of humara health and the
 environment, and either comply with all
 of their ARARs, or provide grounds for
 invoking a waiver of an ARAR. satisfy
 the threshold criteria. Any alternative
 that does not satisfy both of these
• requirements is not eligible for selection.
   The preferred alternative is then
 selected by determining which
 alternative appears to provide the best
 combination of attributes with respect to
 the five primary balancing criteria:
 Long-term effectiveness, short-term
 effectiveness, reduction in toxicity.
 mobility, or volume:, impiementability,
 and cost Generally, at this point only
 .informal and perhaps incomplete '.
 comments of the State and community
 are known. These two modifying criteria
 are typically considered after the public
 comment period on.-the proposed plan.
   Total costs of each alternative should
 be compared to the overall effectiveness
 they afford and the relationship between
• costs and overall effectiveness across
 alternatives should be examined to
 determine which alternatives offer
 results proportional to their costs such
 that they represent a reasonable value
 for the money. The lead agency will  .
 choose the alternative that represents
 the best combination of those factors
 that are deemed most important  to the
 site. In performing the balancing
 necessary to make that decision, the  -
 detasionmaker.musjt weigh the
preference for remedies involving
treatment as a principal element
  The proposed plan will identify the '.
alternative that appears to offer the best
balance of trade-offs among alternatives
in terms of .the criteria, summarize the  '
position of the State resulting from its- •
formal comments on the RI/FS and the"
draft proposed plan, and state the lead
agency's expectation that the preferred
alternative will satisfy all statutory
requirements. The proposed plan Will be
issued for public review and comment' •-
 . In making the final selection, the lead
agency reassesses its initial .    -- ;- ••
determination that the preferred   ~:~ • •
alternative provides the best balance of'
trade-offs, now factoring in any new  .
information or points of view expressed
by the State or community during the - .;
public comment period. The .    . • '•••
decisionmaker will consider State and -
community comments regarding EPA**.
evaluation of alternatives with respect
to the other criteria (eg* potential short-
term impacts associated with
implementation}. These comments may
help EPA determine whether to modify
aspects of the preferred alternative, or
whether another alternative provides a
more appropriate balance. If the
preferred alternative is determined to be
the most appropriate remedy, in that it
offers the best balance among the
factors evaluated, the lead agency will
select that alternative. If not. the lead
agency, in conjunction with the support
agency, will select another protective.
cost-effective alternative that provides a
better combination of long- and short-
term effectiveness, reduction of toxicity.
mobility, or volume, impiementability,
and cost This may require a discussion
of significant changes in the ROD or the
•development of a new proposed plan to
be made available for additional public
comment prior to selection of remedy..
(See § 300.430 preamble section below.-
"H. Community Relations.")
  For Fund-financed actions, EPA may •
consider the need to use Fund monies at
other sites in selecting a less costly
remedy over a more desirable but
substantially more expensive alternative
as the most practicable, cost-effective •.
solution.
  In selecting a remedy,-the statutory .
requirements discussed below.must be
satisfied. These requirements will be
addressed differently depending on the
scope of the action being taken.
  i. The selected remedy is protective of
human health and the •environment, by
eliminating, reducing, or controlling  - '
risks posed through each.pathway such
that human and environmental receptors
are no longer threatened. The  •  •.  ••'
protectiveness evaluation of an operable

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 S1430      Federal Re£ster / Vol. 53, No. 245 / Wednesday. December 21, 1988 / Proposed Rules
 unit may be limited to that unit itself; at
 a minimum, the protectiveness
 determination should show that
 conditions at a site are not exacerbated
 as a result of the action.
   iL The selected remedy at least attains
 all ARARs, unless use of a waiver or
 •waivers is justified. For an operable
 unit, the ARAR determination will be
 limited to  the wastes being actively
 managed.  CERCLA section 121 allows
 EPA to waive ARARs for actions that
 are a portion of a more comprehensive
 remedy that will attain ARARs when
 completed. Only Federal and State
 requirements that are applicable or
 relevant and appropriate to the operable
 unit must be addressed. Justification
 must be provided if a waiver is being
 invoked.
   HL The selected remedy is cost-
 effective in that its overall effectiveness
 is proportionate to its total costs.
   fv. The selected remedy utilizes
' permanent solutions, treatment
 technologies, or resource recovery
 technologies to the Trunrimnm extent
 practicable. In making this
 determination for an operable unit, the
 need or opportunity to take expeditious
 action at the site may be considered.
   5. Documenting decisions. Remedies
 selected under Snperfund are
 documented in a record of decision
 (ROD). The general process of
 documenting decisions is similar for
 both operable units and comprehensive
 remedial actions, however, the content
 and level of detail will vary depending
 on the scope of the action. A ROD
 serves several purposes. It summarizes
 the problems posed by a site, the
 technical analysis of alternative ways of
 addressing those problems, and the
 technics! aspects of the selected remedy
 that are later refined into design
 specifications. A ROD is also a legal
 document  that demonstrates that the
 lead and support agency detisionmaking
 has been carried out in accordance with
 statutory and regulatory requirements
 and that explains the rationale by which
 remedies were selected. EPA's decisions
 will be supported on the basis of the
 ROD and other materials in the
 administrative record  in cases that
 challenge remedy selection decisions.
 Finally, RODs are important documents
 that summarize key facts discovered,
 analyses performed, and decisions
 reached by the lead and support
 agencies. A notice of availability of a
 signed ROD will be published in a major
 local newspaper of general circulation.
 In addition, the lead agency will make
 the ROD available for public inspection
 and copying at or near the site, before
 remedial action begins.
  All RODs wiH have the following
.common features?
  L A brief summary of the problems
posed by the site, the alternatives
evaluated as potential remedies, the
results of that analysis, the rationale for
the remedial action being selected, and .
the technical aspects of the selected
action.
  iL A demonstration that {he decision
was made in accordance with statutory
and regulatory requirements. The ROD
should discuss how the requirements of
section 121 of CERCLA. have been
addressed, including whether or sot the
preference for treatment as a principal
element is satisfied or an explanation in
those cases in which the selected
remedial action does not satisfy this
preference.
  iii. A description of the remediation
level(s) and/or other performance levels
that the remedial action is expected to
achieve.  •
  iv. A statement of whether or not
hazardous substances, pollutants, or
contaminants will remain at the site
such that a five-year review of the
response action will be required (see
section 6. below).
  v. A discussion of significant changes
in the final selected remedy from the
preferred alternative. A responsiveness
summary that identifies and responds to
significant comments should be
available with the record of decision.
  & Five-year review. The CERCLA
amendments require periodic reviews—
at least every five years—at sites where
the remedial action leaves hazardous
substances, pollutants, or contaminants
on-site. EPA interprets this requirement
to mean that a review is required at
those sites where such substances
remain on-site above levels that allow
for unrestricted use and unlimited
exposure for human arid environmental
receptors. This means that whenever a
remedy is selected that assumes limited
uses of the land or relies on institutional
controls to ensure attainment of
protective exposure levels, a review will
be conducted In addition, a review will
be conducted at sites where substances
remain on-site if the standards initially
«sed to define protective exposure
levels are subsequently changed. If the
periodic review shows that a remedy is
no longer protective of human health
and the environment additional action
will be evaluated and taken to mitigate
the threat
  In addition to the statutorily required
five-year reviews, EPA might specify in
its record of decision more frequent
reviews, or specific reviews of the
remedy selected such as assessments of
remedial technologies that might not
have been available at the time the
decision was made.

C. Alternative Selection Of Remedy
Approaches
'  1. Variations m the site-specific
approach. EPA has considered two
major variations" on the site-specific
balancing approach Haid out in today's
proposed rule, each-of which establishes
a somewhat different structure. EPA has
considered the potential advantages and
disadvantage* associated with the kind
of structure these variations would
afford. After analysis of public
comment EPA may include in the final
NCP rule any or a combination of the
options discussed here..
  i Variation Number!: Site-specific
balancing with a cost-effectiveness
screen. The first variation would follow
the process as laid out in the proposed
rule through the screening of
aitematives.-However, this approach
would: (a) Retain the organization of
evaluation criteria used during screening
through the detailed analysis and
selection: (b) not include State and
community acceptance as evaluation  .
criteria; (c) establish an explicit step by
which cost-effectiveness would be
determined that would screen
alternatives before the final
determination of the practicable extent
to which permanent solutions and
treatment technologies will be utilized.
  The detailed analysis would focus on
the three categories of criteria first
examined in the screening step:
effectiveness (long- and short-term],
implementabih'ty. and cost While
individual protectiveness and ARARs
factors would be examined in the
detailed analysis of effectiveness and
implementability. the protectiveness
finding and final determination of ARAR
compliance (or justification of a waiver)
would not be addressed until the
selection step. Reductions in toxicity.
mobility, or volume would also be
analyzed under effectiveness, rather
than as a separate criterion. Under this
approach. State acceptance also would
not be an explicit evaluation criterion.
This approach would not ask for an
explicit characterization of State
comments unless there were a
disagreement between EPA and the
State over the preferred alternative in  •
the proposed plan or at the time of final
remedy selection. In 'the case where the
State is the lead agency, this approach
would consider State acceptance to be
built into the process. Where the State is
serving as the support agency, this
approach would rely on the support
agency comment period on the
completed RI/FS and proposed plan to

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            Federal Register / Vol. 53. No.  245 / Wednesday. December 21.  1983 / Proposed Rules      51431
 provide an adequate opportunity for
 formal comments. Similarly, community
 acceptance would not be an evaluation
 criterion but a consideration in the final
 selection phase as public comments
 received on the proposed plan and Rt/
 FS are factored into the lead and
 support agencies' thinking. Thus, the
 detailed analysis would be limited to
 producing an organized presentation of
.the trade-offs among alternatives in
 terms of effectiveness (short- and long-
 term, including toxicity, mobility, or
 volume reduction), implementability and
 cost, highlighting those trade-offs of
 primary importance for this particular
 site.
   The selection phase under this
 alternative approach would be
 conducted very similarly to the
 proposed rule with the exception that
 the determination of the cost-
 effectiveness of the alternatives would
 be made as an explicit screening step
 prior to selection of the alternative
 which represents the best balance of
 factors and utilizes permanent solutions
 and treatment technologies to the
 maximum extent practicable. Following
 a check that all alternatives afford
 adequate protection and attain their
 ARARs (or provide grounds for invoking
 a waiver), the cost-effectiveness of the
 alternatives would be determined by
 examining the long-term effectiveness
 achieved by each alternative in relation
 to its costs and comparing this long-term
 effectiveness/cost relationship among
 alternatives. Those alternatives which
 do not offer long-term effectiveness
 proportionate to their costs relative to
 the other alternatives would not be
 considered to be cost-effective and
 would be eliminated from further
 consideration. This step would function
 as a threshold screen to determine
 whether the alternatives are cost-
 effective, not which is "the only" or "the
 most" cost-effective option. Relative
 degrees of cost-effectiveness could be
 taken into account in the final balancing
 step by which the remedy is selected.
   This approach retains a consistent
 organization of criteria throughout the
 screening, detailed analysis, and
 selection steps of the process. Limiting
 the balancing to three broader
 categories of criteria, as opposed to
 nine, may simplify and streamline the
 analysis and focus the rationales for
 remedy selection. This approach would
 not include State and community
 acceptance as formal criteria to be
 balanced along with effectiveness.
 implementability. or cost factors. This
 approach also establishes a step which
 more clearly separates the cost-
 effectiveness finding from the finding
that permanent solutions and treatment
technologies or resource recovery
technologies have been used to the
maximum extent practicable.
  ii. Variation Number 2: Sequential
decisionmakJng approach. Ano ther
variation on a site-specific balancing
approach involves breaking the final
remedy selection into multiple.
sequential decision iiteps. Again, the
steps of the process through the
screening of alternatives are  the same as
under the previously described
approaches. The detailed analysis is
conducted using the effectiveness,
implementability, and cost categories of
criteria proposed in Variation No. 1.  •
Differences arise hi the selection phase.
which is conducted iin five steps under
this approach.
  First using the results of the detailed
analysis, the alternatives are '
qualitatively ranked for overall   •
effectiveness. The preference for
treatment is addressed by favoring
options that afford better long-term
reliability and permanence, other factors
being equal and by giving this factor
increased emphasis if factors are not
equaL Other considerations are
emphasized on a site-specific basis.
Following (or concurrent with) this
effectiveness ranking, the alternatives
are qualitatively ranked for their overall
implementability. Clearly
unimplementabie or impracticable
alternatives would be eliminated from
further consideration. Again, individual
implementability factors would be
emphasized on a site-specific basis. The
effectiveness and uuplementability
rankings would then be combined into a
joint effectiveness/implementability
ranking, also performed qualitatively.
This step would require a balancing of
all noncost factors, again giving long-
term effectiveness and permanence
extra emphasis.
•  After an overall noncost ranking is
determined, the relative costs of the
alternatives would then be considered.
Unlike the previous approach, which
determines the cost-effectiveness of
alternatives by focusing on the
relationship between their cost and their
long-term effectiveness only, this
approach would focus on the
relationship between cost and ail
ncncost factors. Specifically, this
approach would isolate and compare the
differences in cost and the differences in
combined effectiveness and
impiementabiiity across remedial
alternatives. Alternatives whose
incremental costs were out of proportion
to incremental effectiveness/
implementability would be deemed not
cost-effective. All other alternatives
  •would be deemed cost-effective and
•  would therefore be eligible for final.
  selection.
    The final step involves selecting from
  the remaining (cost-effective) options
  the one that received the highest
  effectiveness/implementability ranking.
  The option that utilizes permanent
  solutions and alternative treatment
  technologies or resource recovery
  technologies to the maximum extent
  practicable would be the alternative that
  offers the best balance of noncost
—factors (effectiveness and
  implementability} that is also cost-
  effective.
    This approach adds more structure to
  the process by separating the final
  remedy selection into a series of steps.
  and by specifying the sequence in which
  those steps would take place. Each step
  would be presented in detail and
  justified in the record of decision. An
  advantage that may derive from this
  second variation is more consistent
  documentation of the rationale for
  remedy selection. Alternatively, the
  compartmentalization of decisionmaking
  steps may not allow sufficient flexibility
  for decisionmakers to synthesize all of
  the different kinds of information they
  must bring to bear on a remedy
  selection.
    EPA solicits comments on these
  alternative site-specific balancing
  approaches, specifically on potential
  advantages or disadvantages'related to
  the type of criteria considered in the
  detailed analysis, the steps by which the
  statutory findings are made, and the
  degree of structure they propose.
    2. Alternative strategies—i. Point of
  departure strategy. A different type of
  strategy would adopt a point of
  departure analysis. This approach
  would differ from those previously
  described as early as the development
  of alternatives phase. Aggressive
  treatment options that could result in
  absolute destruction, detoxification, or
  immobilization of all waste above
  health- or risk-based levels would be
  identified. Initially, containment
  technologies or treatment/containment
  combinations might also be considered
  but would not pass the screening step if
  any viable alternatives involving full
  treatment existed. The detailed analysis
  would focus on identifying the most
  effective alternatives with effectiveness
  here  defined primarily by technical
  feasibility and the long-term results each
  treatment process could achieve. Short-
  term impacts that might be caused by an
  alternative would be a secondary
  consideration.
   .Effective treatment options would
  then be put through an implementability

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 51432      Federal Register / VoL 53. No. 245 / Wednesday. December 21. 1968  / Proposed Rides
 screen. He fonplementability screen
 would be used primarily to eliminate
 clearly unimplementable options.
 although alternatives that were
 significantly less implementable than
 other options and offered no gain in
 long-term effectiveness and permanence
 would also be screened out The least
 costly of the most effective options,
 defined primarily in terms of toxicity,
 mobility, or volume reduction achieved,
 would be selected.
   This approach places the greatest
 emphasis on treatment, virtually
 equating the degree of effectiveness,
 permanence, and/or protectiveness with
 the degree of toxicity, mobility, or
 volume reduction attained. This is a
 fundamentally different assumption
 than that which underlies the other three
 approaches previously  discussed. It is a
 point of departure approach in that it
 presumes that th'e alternative employing
 the most aggressive form of treatment of
 all waste typically win  be selected
 unless unimplementable. This approach
 gives much less weight  to short-term
 impacts of the technologies, site-specific
 implementability considerations, and
 the relative cost-effectiveness of
 alternatives than any of the site-specific
 balancing approaches. This approach
 implicitly interprets the mandate to
 "utilize permanent solutions and
 alternative treatment technologies or
 resource recovery technologies to the
 maximum extent practicable" as a
 mandate to use the maximum amount of
 treatment possible.
  Variations of this point of departure
 approach could be fashioned that would
 retain the initial presumption that the
 analysis of alternatives  should begin
 with those that achieve  the greatest
 toxicity, mobility, or volume reduction
 through treatment but would allow
 broader consideration of
 implcrnentability factors and cost-
 effectiveness to permit consideration of
 other alternatives employing less
 treatment Modifications could avoid the
 presumption that full treatment is the
 necessary means to achieving protection
 of human health and the environment
  One potential implication of this
 approach, particularly with respect to
 the way it defines cost-effectiveness and
 the mandate to utilize permanent
 solutions and alternative treatment or
resource recovery technologies to the
 mBvimiiTTv extent practicable, is that it
may jeopardize EPA's ability to ensure
 an efficient use of Trust  Fund monies.
 Application of maximum treatment to
each site as it is addressed in turn may
prevent EPA from distributing resources
across sites in a manner that ensures
that treatment can be applied to the
 worst problems first In addition, under
 this option, other mandates in CERCLA
 section 121, including protection of
 human health and the environment
 compliance with ARARs, and cost-
 effectiveness, might aot be accorded
 sufficient consideration during the
 selection of remedy process'.
   ii. Site stabilization strategy. Another
 wholly different strategy would assume
 the objective of maximizing the number
 of sites that could be addressed by the
 Superfund program. To stretch the
 resources of the trust fund, the vast
 majority of sites-initially would be
 addressed in conjunction with the
 Superfund removal program with only
 interim remedial measures. Only those
 sites or portions of sites for which
 treatment was immediately necessary to
 protect human health and the
 environment might be addressed with
 treatment This strategy would envision
 two phases of CERCLA implementation:
 the first a series of interim remedies to
 stabilize sites and to prevent further
 degradation; the second, implementation
 of "permanent" remedies most often
 involving substantial treatment This
 second and final phase of remediation
 would address the sites posing the worst
 risks first
   EPA seeks comments on the
 appropriateness and desirability of
 pursuing one of these alternative
 strategies.
   3. Analytical tools and techniques. In
.addition to these overall approaches
 and strategies, there are a number of
 different analytical tools and
 methodologies that could be employed
 in the detailed analysis and/or selection
 phases in a variety of ways and
 combinations to come up with
 additional variations. These tools and
 techniques include screening against
 threshold criteria, pairwise comparison,
 and ranking of alternatives or criteria.
These techniques are represented in
some of the approaches previously
described. Additional tools that could be
employed include scoring, which would
involve measuring alternatives against a
consistent scale, weighting of
alternatives or criteria in an explicit
fashion, and the techniques of decision
analysis which could be used to
construct a multi-attribute model that
incorporates fee assumptions of exactly
how different criteria should be
considered in relation to one another in
assessing the attributes of alternatives.
This could be done on a programmatic
or site-specific basis.
  EPA solicits comments on the
potential advantages and disadvantages
associated with these techniques, the
appropriateness of establishing them in
 regulations or guidance, and
 recommendations regarding alternative
 approaches that might be established
 using different combinations of these
 methods.

 D. Special Notice and Moratoria
   A fundamental goal of the CERCLA
 enforcement program is to facilitate
 settlements, te., agreements securing the
 voluntary performance or financing of
 response actions by PRPs.'EPA believes
 that settlements are most likely to occur
 and will be most effective when EPA
 interacts frequently and early in the
 process with PRPs. The special notice
 procedures in CERCLA section 122(e)
 provide an important mmin« of
 encouraging interaction and improving
 the prospects for settlement
   Section 122(e) provides EPA with the
 discretion to issue special notice letters
 when to do so would facilitate
 agreement and expedite remedial action.
 Issuance of a special notice  triggers a
 moratorium during which EPA may not
 commence a response action under
 section 104(a) or an RI/FS under section
 104(b), or initiate an enforcement action
 under section 106. This moratorium
 provides a "formal" period for EPA and
 PRPs to negotiate a settlement
   Initially, the length of the special
 notice moratorium is 60 days. If EPA
 receives a good faith offer during this 60
 day period, the moratorium is extended
 an additional. 30 days for RI/FS
 negotiations as well as 60 days for RD/
 RA negotiations, non-time-critical
 removal negotiations, and enforcement
 actions under section 106.
   While "formal" negotiations pursuant
 to a special notice will play a central
 role in the settlement process, "formal"
 negotiations should not be viewed as
 the sole vehicle for reaching settlement
 To assure that "formal" negotiations are
 productive, frequent interaction between
 EPA and PRPs, through exchange and
 "informal" discussions may be
 appropriate outside of the "formal"
 special notice moratorium. "Informal"
 discussions are communications that
 can occur between EPA and  PRPs
 throughout the response process.
  The "interim Guidance on  Notice
 Letters, Negotiations, and Information
 Exchange." dated October 19.1987.
 includes guidance to the Regions on the
 use of the special notice procedures ana
 on managing negotiation deadlines for.
 removal and remedial actions. In
 addition, the "Interim Guidance:
 Streamlining the CERCLA Settlement
Decision Process," dated February 12,
1987, includes guidance on managing
negotiation deadlines for the  RI/FS and
RD/RA.

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            .Federal Register / Vol. 53, Mo. 345 / Wedaesday. December 31. tQ88 j Proposed &tdes      S1333
E. EPA!s Approach lor Ground-Water
Remediation Under the .Superfund
Program
  It has fjeen the policy of£FA'«
Superfund program for several years to
operate within the framework-of EPA's
Ground-Water ftotection Strategy in
determining 4he appropriate remediation
•for contaminated-ground water at
CERCLA siles.SPA'-B Ground-Water
Protection Strategy establishes different
degrees of protection forground waters
based-on their vulnerability, use,-and
value. EPA's Superfund program has
applied this concept in looking to
characteristics of vulnerability,-use, and
value, among-other factors, hi
formulating and evaluating remedial
alternatives For contaminated .ground
water. This section summarizes .the
approach EPA has presented in &&
"Preliminary Keview Draft Guidance on
Remedial Actions for Contaminated
Ground Water afSuperlundSites"
(April. 1388).
  The goal of EPA's Superfund approach
is to return usable ground waters 'to
their beneficial uses  within-a timen-ame
that is reasonable given the particular
circumstances-of the sfte.The Superfund
remedial-process assesses the
characteristics -of the -affected ground
water as-fee-Erst step to ward making
three decisions: the-level to Which the
ground •water •will  be restored; the
timefrsme within which the Testoration
will occur; an3 "the most Appropriate
technology-or .approach ibr attaining
•these goals. 13erng*fhe-
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 51434     Federal Register / VoL 53, No. 245 / Wednesday, December 21, 1988  /-Proposed Rules
 however, be determined through an
 analysis of alternatives. The mtniTtimp
 restoration timeframe will be
 determined by hydrogeological
 conditions, specific contaminants at a
 site, and the size of the contaminant
 plume. Once a determination of the
 practical limits on the restoration
 timeframe has been made, the
 restoration timeframes for remedies can
 be evaluated relative to these limits
 based on the following factors:
   L Feasibility of providing an
 alternative water supply;
   1L Current use of ground water;
   iii. Potential need for ground water;
   iv. Effectiveness and reliability of
 institutional controls;
   v. Ability to monitor and control the
 movement of contaminants in ground
 water;
   vL Cost and
   vii. Other environmental impacts.
   If there are other readily available
 drinking water sources of sufficient
 quality and yield that may be used as an
 alternative water supply, the importance
 of rapid restoration of the contaminated
 ground water is reduced. Where a future
 demand for drinking water from ground
 water is likely and other potential
 sources are not sufficient, those
 remedies which achieve more rapid
 restoration should be favored.
   The effectiveness and reliability of
 institutional .controls to prevent the
 utilization of contaminated ground
 water for drinking water purposes
 during the restoration period should be
 evaluated. If these controls are not
 clearly effective, more rapid restoration
may be necessary. The availability of
good management and institutional
controls may provide a basis to extend
the period of response. Institutional
controls will usually be used as
supplementary protective measures
during implementation of ground-water
remedies as well.
  The third variable in formulating and
evaluating ground water alternatives is
the technology or method that will be
used to achieve the remediation level
within the desired timeframe. EPA
expects that most ground water
remedies at CERCLA sites will involve
at least some pumping and treating.
Variation among alternatives often'
stems from the aggressiveness of the
pumping scheme (eg., number of wells.
rate of extraction, whether or not
re Injection is included), the type of
treatment applied (eg., air stripping}.
and what is done with the residuals
from the treatment process. Typical
options for the treated effluent include
reinjection, discharge to  surface water.
or discharge to a publicly owned
treatment works (POTW). Other more
 passivejnethods, such as gradient
 controfand slurry walls may be
 appropriate to prevent the further
 spread of contamination. In limited
 cases, natural attenuation, which can
 involve either the dispersion or actual
 biodegradation of contaminants, may be
 the most appropriate solution for a site.
  There are special situations where it
 may not be practicable to actively
 restore ground water including sites   •
 where there are: (a) Widespread plumes
 resulting from non-point sources (e.g., -
 some mining, pesticide, or industrial
 areas); (b) Hydrogeological constraints
 (e.g., aquifers with very low
 transmissivity, or aquifers in fractured
 bedrock or Kant formations); (c)
 Containment constraints (e.g.. the
 presence of dense, non-aqueous phase
 liquids which collect in "puddles" at the
 base of an aquifer); and (d)
 Physiocfaemical limitations, (e.g.,
 interactions between contaminants and
 the aquifer material which limit the rate
 at which they can be removed). In these •
 cases, the lead agency may provide
 wellhead treatment and/or rely on
 natural attenuation with institutional
 controls as the final remedy.
  The 1986 amendments to CERCLA
 state a preference for treatment that
 reduces the toxitity, mobility, or volume
 of hazardous substances as a principal
 element This preference applies to
 ground water as well as source control
 actions. Wherever ground water poses
 one of the principal threats at a site, the
 Superfund program will seek to pump
 and treat if practicable. However, site
 characteristics, such as fractured
 bedrock or karat topography, may
 preclude or severely hinder aggressive
pumping and treating options in certain
 cases and dictate other ground-water
restoration methods. In other situations,
natural attenuation may achieve site
 cleanup goals in a reasonable period of
 time.
  For Class I and n ground waters, the
Superfund program will consider several
different alternative restoration time
periods (including five years) and
methodologies to achieve the
preliminary remediation level and select
 the most appropriate option (including
 the final cleanup level) by balancing
trade-offs of long-term effectiveness,
 short-term effectiveness, reductions of
toxitity. mobility, or volume,
implementability, and cost.
  CERCLA section 121{d)(2){B)(ii)
allows the use of ACLs if specified
conditions are met. EPA proposes to use
ACLs for the Class I and Q ground water
when these conditions are met and
cleanup to MCLs or other protective
levels is determined not to be
practicable. When the likely point of
 human exposure has been set beyond
 the facility boundary, this provision
 requires an analysis at the end of the
 remedial action to determine whether
 the ground water discharging into
 surface water will cause a statistical
 increase of contaminants in the surface
 water. Moreover, such* remedial action
 must include enforceable measures to
 prevent use of any contaminated ground
 water. In using this pro vision, the lead
 agency would also consider an
 alternative remedy that would partially
 restore ground water to levels that could
 reasonably be treated by public water
 treatment systems.
   For Class HI ground water (i.e, ground
 water that is unsuitable for human
 consumption due to high salinity or
 widespread contamination and does not
 have the potential  to affect drinkable
 ground water), drinking water standards
 are neither applicable nor relevant and
 appropriate. Likewise, restoration
 timeframes and cleanup methods for
 these ground waters will not be
 formulated on the; same basis as
 drinkable ground waters. Rather.
 alternatives should be developed based
 on the specific site conditions. First, a
 determination must be made as to
 whether the ground water has any
 beneficial use (e.g., agricultural or
 industrial). If so, a  remediation level,
 restoration time period, and method can
 be tailored to'returning the ground water
 to that designated  use. More typically,
 concerns with Class HI ground waters
 will center on potential discharge of the
 contaminated ground water to surface
 waters or "higher class" ground waters
 and Superfund will establish a level
 consistent with exposure-based ACLs
 under RCRA Subpart F. Environmental
 receptors and systems may well
* determine the necessity and extent of
 ground-water remediation. In general.
 alternatives for Class in ground waters
 will be relatively limited and the
 evaluation less extensive than for Class
 I or K ground waters and the focus will
 be on preventing adverse spread of the
 contamination.
   Complex fate and transport
 tnpnhnmtima of contaminated ground
 waters often make it difficult to
 accurately predict the performance of
 the ground-water remedial action.
 Therefore, the remedial process must be
 flexible and allow for changes in the
 remedy based on the performance of
 several years of operation. If the .chosen
 remedial action does not meet
 performance expectations after a period
 of operation, the decisionmaker should
 decide the extent to which further or
 different action is necessary and

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            Federal .Register / Vol. 53, J4o. 245 / Wednesday. December 21, 3:988 / Proposed -Rules     5143-'
appropriate to protect .human health-and
the environment
  Widespread contamination due to
multiple sources isTrandledin-a.special
way by the Superfund program. At most
NFL sites, program gjolicyas to
.determine contributors to the aquifer
contamination, andanvolvfiihemin the
overall response action. EPA win take
the lead xola in managing the overall
response if .the NFL site is the primary
contributor to the multiple-source
problem. To (he extentit can.be
determined. .-Superlun3,participation In
the overall.ground-water jemsdiatioii
•will be proportional to the contribution
1he NEL sitc'fs) makes to Jhe.areawide
problem. JS1 A may also lalce any action
necessary lo-protect.humanliealth and
the environment .such as.providing
alternate v.-ater supplies or wellhead
treatment if there is a reasonable belief
that the NPL sources in and of
themselves pose a-threat to .human
health and the-environment.
  .EPA solicits -comment on .this
approach toward-grounxl-water
remediation at NPL-sites.
F. Compliance with the -Applicable or
Relevant and Appropriate Requirements
of'Other-Laws
  .CERCLA mandates "that.remedial
actions be in compliance with other
environmental andjmblic health-laws.
Compliance with other Jaws is a key
consideration throughout the remedial
selection process. This section discusses
achieving compliance •with applicable or
relevant and appropriate requirements
(ARARs] under-other laws in-the
following order
  1. The history  of EPA^ Compliance
Policy.
  2.-Codification w'fthe Compliance '
Policy in CERCLA Teauthorization.
  3. The definition of ARARs and'Other
Information To-Be ConsideredXTBC).
  4. The -difference'between-applicable
requirements and relevant and
appropriate-requirements.
  5. Resolving ARAR disputes.
  «.Typeso"f ARARs.
  :7. State ARARs.
  8. Methodsfor-idenfifying ARARs.
  •9. Compliance with AKARsjand -ine
development nnrl selection of remedies.
  10. Circumstances in which -ARARs
may be waived.
  11. When and where ARARs And
TBCs associated with-cleanup levels
must or should be -attained.
  12. Addressing-newARARs-or-other
information after -the.initiation of-the
remedial action.
  13. CERCLA-speciSed.relev.nnt.and
appropriate requirements.
  14. ARARs for investigation-derived
waste.
   15. Substantive versus -administrative
 requirements.
   16.-Potential ARARs of the Resource
 Conservation-and-Recovery Act
 CRCRA).
   17. Hypothetical examples of relevant
 and appropriate requirements.
   .(The jelationsMp between ARARs
 and determining icmediation levels is
 discussed.in the $ 300X30 preamble
 section above.-B.3.)
   1. The historyjif£PA!s Compliance
 Policy. The Noveiriber.2Q, 1B85 .revisions
 "to die NCPjtated that as a general rule,
 EPA's policy-is to attain ar.exceed
 applicable or relevant and appropriate
 requirements jindier.Federal
 environmental and.puhlic health laws in
 CERCLA response actions. At ihat time
 EPA revised existing -6 300.68(i) of the
 NCP to require .that, lor .all remedial
 actions, the aclecled remedy .mnstattain
 or -exceea-fheTederal ARARs jdentified
 for-that site. In.tiu: preamble lo the 1985
 revisions to the NCP. EPA:stated^ihat
 ARAR8-could-on}y be-determined-on a
 sHe-by-site basis,-gave examples ofiow
 this would work, imd reprinted from .
. EPAVOctdber 2, ;L885 .Compliance
 Policy a.b'stcf Potentially Applicable or
 Relevant and Appropriate
 Requiremen.tB,.as -well as-a list of Other
 Federal-Criteria, Advisories,-Guidance,
 and State Standards To Be Considered
 (TEC). TBCs are non-promulgated
 criteria, advisories, -eta, that can .be
 consulted along wth or in "addition to
 ARARs. From -these -lists, -the Head
 agency could select ARARs-or TBCs,
 based-upon the circumstances at a
 particular shie.:Fu7thermare,-EPA
 provided-five limited circumstances in
 which remedies that did not-attain all
 ARARs-could.be delected.
   2. Codificatianwf the Compliance
 Policy in 'CERCLA Reouthorization.-On
 October IT. 1836. .CERCLA was
 .reauthorized with additional new
 requirements. Section 121-of CERCLA
• requires (hat remedial actions-comply
 •with federal and more stringent State
 requirements-that-are-legally-applicable
 or relevant and appropriate-under the
 circumstances TjfiheTelease-or
 •threatened release •with.-respect torany
 hazardous-Bubstance or.pollirtarrt or
 contaminant fthat-wiH remain -cm-Bite.
 EPA'sipolicyia to-attain'orexceed such
 ARARs  duringthe.implementation-of the
 remedial-action :[r«ther
 chctnnstance at a-CERCLA-site.-itSee
 the discussion of-definitionrevisionB-in
 today's -SubpartA.Dreamble section.?

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 51436     Federal Register / VoL S3. No. 245 / Wednesday. December 21, 1988 / Proposed Rules
   Applicable requirements may be
 identified on a site-specific basis by
 determining whether the jnrisdictional
 prerequisites of a requirement fully
 address the circumstances at the site or
 the proposed remedial activity. Some
 typical jurisdictional prerequisites
 follow:
   m. Who. as specified.by the statute or
 regulation, is subject to its authority;
   b. The activities the statute or
 regulation requires, directs, or prohibits;
   c. The substances or places within the
 authority of the requirement: and
   d. The time period for which the
 statute or regulation is in effect
   Basically, in determining applicability,
 the question is whether a regulation
 would be legally enforceable at die site
 (or for the contaminant or action) if a
 private party were remediating the site
 apart from any CERCLA authority.
   The word "substantive" in the
 proposed definitions of "applicable" and
 "relevant and appropriate" is not meant
 to imply a necessary level of
 "significance" or "weight" for a
 requirement to be an ARAR. Rather.
 "substantive" is used to distinguish the
 universe of ARARs from administrative
 requirements, which are not considered
 potential ARARs. (See ARARs preamble
 section below, "15. Substantive versus
 administrative requirements.")
   fi. Relevant and appropriate
 requirements. If a requirement is not
• applicable, one must consider whether a
 requirement is both relevant and
 appropriate. EPA is also proposing
 nonsubstantive clarifications to the
 definition of relevant and appropriate
 requirements. EPA proposes that
 relevant and appropriate requirements
 are "those cleanup standards, standards
 of control or other substantive
 environmental protection requirements.
 criteria, or limitations promulgated
 under Federal or State law that while
 not 'applicable* to a hazardous
 substance, pollutant, or contaminant
 remedial action, location, or other
 circumstance at a CERCLA site, address
 problems or situations sufficiently
 similar to those encountered at the
 CERCLA site that their use is well-
 suited to the particular site."
   Relevant and appropriate
 requirements are also determined on a
 site-specific basis by determining their
 Jurisdictional prerequisites and
 comparing them to the circumstances at
 a CERCLA site. Once the decisionmaker
 determines that a requirement is not
 applicable, the decisionmaker compares
 the circumstances at the site to the
 purpose and subject matter addressed
 by the requirement in question to
 determine if there is sufficient similarity
to find that the requirement is both
relevant and appropriate for the site.
  Determining whether a requirement is
both relevant and appropriate is
essentially a two-step process. First to
determine relevance a-comparison is'
made between the action, location, or
•chemicals covered by the requirement
and related conditions of the site,
release, or potential remedy; a
requirement is relevant if the       '   •
requirement generally pertains to these •
conditions. Second, to determine
whether the requirement is appropriate.
the comparison is further refined by
focusing on the nature of the substances,
•file characteristics of the site, the
circumstances of the release, and the
proposed remedial action; the
requirement is appropriate if, based on
such comparison, its use is well-suited
to the particular site. Only those
requirements that are determined to be
both relevant and appropriate must be
complied with.
  EPA proposes that the following
criteria, where pertinent to the type of
requirement in question, be used to
determine whether there is sufficient
similarity to find that a requirement is
relevant and appropriate:
  a. Whether the purpose for which the
requirement was created is similar to
the specific objectives of the CERCLA
action:
  b. Whether the media regulated or
affected by the requirement are similar
to the.media contaminated or affected at
the CERCLA site;
  c. Whether the substances regulated
by the requirement are similar to the
substances found at the CERCLA site;
  d. Whether the entities or interests
affected or protected are similar to the
entities or interests affected by the
CERCLA site;
  e. Whether the actions or activities
regulated by the requirement are similar
to the remedial action contemplated at
the CERCLA site:
  f. Whether any variances, waivers, or
exemptions of the requirement are
available for the circumstances  of the
CERCLA site or CERCLA action;
  g. Whether the type of place regulated
is similar to the type of .place affected by
the CERCLA site or CERCLA action;"
  h. Whether the type and size of
structure or facility regulated is  similar
to the type and size of structure or
facility affected by the release or
contemplated by the CERCLA action;
and
  i. Whether any consideration of use or
potential use of affected resources in the
requirement is similar to the use or
potential use of the affected resource.
  In determining which requirements
are relevant and appropriate, the pivotal
 criteria differ depending upon the type
 of requirement under consideration,
 namely chemical-gpecin'c. location-
 specific, or action-specific (see ARARs
 preamble section below, "6. Types of
 ARARs"). In general, for chemical-
 specific requirements the focal point for
 the relevant and appropriate
 determination is whether the
 requirement for tine chemical at the
 CERCLA site sets a health- or
 environmental-based level based on an
 exposure scenario (including the
 medium) that is similar to the potential
 exposure at a CERCLA site. For
 location-specific requirements, generally
 the primary test for relevance and
 appropriateness in whether the location
 under consideration is (luffidently
 similar to the location upon which the
 requirement is based. For action-specific
 requirements, generally the test for
 relevance is whether the action
 contemplated at the CERCLA site is
 similar. In order to determine
 appropriateness, the decisionmaker may
 consider, among others, the following
 factors: whether the action
 contemplated at the site or the
 circumstances at me site which require
 an action, the substances involved, and
 the objectives of the action are
 sufficiently similar to the action-specific
 requirement itself.
  iii. Other information to be considered
 (TBCJ. Other information that does not
 meet the definition of ARAR may be
 necessary to determine what is
 protective or may be useful in
 developing Superfund remedies.
 Criteria, advisories, or guidance
 developed by EPA, other Federal
 agencies, or States may assist in
 determining, for example, health-based
 levels for a particular contaminant for
 which there are no ARARs or the
 appropriate method for conducting an
 action. This other information to be
 considered fTBC) when developing
 CERCLA remedies generally falls within
 three categories:
  a. Health effects information with a
 high degree of creditabQity. e.g., RfDs:
  b. Technical information on how to
 perform or evaluate site investigations
 or response actions; and
  c. Policy, e.g, EPA's ground-water
policy.
  4. The difference between applicable
requirements and relevant and
appropriate requirements. Applicable
requirements and relevant and
appropriate requirements differ in the
 amount of discretion allowed hi
identifying them. Applicable
requirements are identified by a largely
objective comparison to the
circumstance's at the site; if there is a

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Federal Register /  VoL S3, No. 245 / .Wednesday. December 21. 1988 / Proposed Rules     51437


                                                                 also be given to whether locational
                                                                 restrictions are prospective only (e.g..
                                                                 siting requirements) or whether they are
                                                                 intended for existing situations.
                                                                   Action-specific ARARs are usually
                                                                 technology- or activity-based
                                                                 requirements or limitations on actions
                                                                 taken with respect to hazardous wastes,
                                                                 or requirements to conduct certain
                                                                 actions to address particular
                                                                 circumstances at a site. Remedial
                                                                 alternatives which involve, for example,
                                                                 closure or discharge of dredged or fill
                                                                 material may be subject to ARARs
                                                                 under RCRA and the Clean Water Act,
                                                                 respectively.
                                                                   These categories were developed to
                                                                 assist in identifying ARARs and are not
                                                                 necessarily precise. Some ARARs may
                                                                 not fit into any one of these categories
                                                                 while other ARARs may fit into two or
                                                                 more of these categories. For example,
                                                                 RCRA land disposal regulations can be
                                                                 considered both chemical and action-

                                                                 Compliance with Other Laws Manual."
                                                                 OSWER Directive No. 9234.1-01. which
                                                                 provides detailed guidance on
                                                                 identification of and compliance with
                                                                 ARARs. The manual includes matrices
                                                                 which group ARARs into the chemical-
                                                                 specific, location-specific, and action-
                                                                 specific categories.]   ' •
                                                                   7. State ARARs {§ 300.40O(8)(4)).
                                                                 Section 121(d)(2)(A) of the amended
                                                                 CERCLA states that remedies must
                                                                 comply with "any promulgated
                                                                 standard, requirement, criteria, or
                                                                 limitation under a State environmental
                                                                 or facility siting law that is more
                                                                 stringent-than any Federal standard,
                                                                 requirement or limitation" if applicable
                                                                 or relevant and appropriate to the
                                                                 hazardous  substance or release in
                                                                 question.
                                                                   in f 300.400(g)(4). EPA proposes to
                                                                 define promulgated State requirements
                                                                 as those laws or regulations that are of
                                                                 general applicability and are legally
                                                                 enforceable. State advisories, guidance,
                                                                 or other non-binding guidelines as well
                                                                 as standards that are not of general
                                                                 applicability will not be considered
                                                                 potential ARARs.
                                                                   EPA's treatment of State ARARs is
                                                                 fully consistent with the way EPA has
                                                                 treated Federal requirements under the
                                                                 current NCP, in which Federal
                                                                 advisories  and nonpromulgated
                                                                 guidelines are put in a separate category
                                                                 ("other information to be considered")
                                                                 from potential ARARs. Like their
                                                                 Federal counterparts. State advisories
                                                                 and other nonpromulgated guidelines
                                                                 may still be considered in determining
                                                                 an appropriate, protective remedy; but
                                                                 neither Federal nor State advisories
                                                                 should be treated as potential ARAF.".
one-to-one correspondence between the
requirement and the circumstances at
the site, then the requirement is
applicable. There is little discretion
involved in  this determination. If a
requirement is not applicable, the
decisionmaker uses best professional
judgment to determine whether the
requirement addresses problems or
situations that are generally pertinent to
the conditions at the site (Le., the
requirement is relevant) and whether
the requirement is well-suited to the
particular site (Le, the requirement iis
appropriate). However, once a
regulation (or portion thereof) is
identified as relevant and. appropriate, it
is applied as strictly as is an applicable
requirement
  Statutes and regulations are
sometimes made up of discrete
requirements, each requirement having
its own set of jurisdictional
prerequisites. EPA has found that within
these authorities often only some
requirements within a regulation are
relevant and appropriate. In contrast   _
with an applicable requirement.
flexibility exists to identify discrete
"appropriate" portions of a regulation
which may be mixed with "appropriate"
portions of other regulations in a
manner that makes good environmental
sense for the site. (See hybrid closure
example described in ARARs preamble
section below, "16.vL Hypothetical
examples of compliance with RCRA:
closure requirements.")
  The other requirements in that same
regulation may be relevant (in that they
address in a broad sense the same
problem as is faced at the CERCLA site)
but not appropriate because the
requirement is not well-suited to the
circumstances at the CERCLA site.
  An example of a requirement that
may be relevant but not appropriate in
certain situations is the requirement to
cap landfills upon closure. This
requirement is designed to apply to
specific types of discrete units. This
requirement for closure of hazardous
wastes deposited on land maybe
relevant because it addresses the same
kinds of wastes and action proposed at
a CERCLA site, but may be
inappropriate because of the physical
size and character of the contamination
at the CERCLA site. Although capping
may be appropriate for smaller areas, it
may not be  appropriate in some
circumstances for large dispersed areas
of low-level soil contamination, such as
may be found at many large municipal
landfill facilities. (Other examples are
described in the ARARs preamble
section below. "16. Potential ARARs of
RCRA.")
  5. Resolving ARAR disputes. Because
judgment is involved in determining
which requirements are relevant and
appropriate. Federal, State, and
potentially responsible parties may on
occasion arrive at different conclusions.
EPA. operating in its oversight role for..
CERCLA enforcement actions, will
resolve ARAR disputes between the
lead agency and the potentially
responsible parties. An ARAR dispute
between a State and EPA may be
submitted to the dispute resolution
process described in today'* preamble
discussion of Subpart F on State
Involvement If a. State strongly desires
attainment of a substantive requirement
that has been determined by the dispute
resolution procetis not to be .an ARAR,
such a requirement will be met if the
State demonstrates an ability and
willingness to pay for the additional
increment of expense associated with
attaining such a requirement Moreover,
as discussed in today's preamble
Subpart F section. States may be
required to take ithe lead in the remedial
design and remedial action necessary to
meet such additional requirements.
  6. Types of ARARs. For ease of
identification, EPA divides ARARs into
three categories: chemical-specific,
location-specific, and action-specific.
Chemical-specific ARARs are usually
health- or risk-based numerical values
or methodologies which, when applied
to site-specific conditions, result in the
establishment of numerical values.
These values establish the acceptable
amount or concentration of a chemical
that may remain in, or be discharged to.
the ambient environment For example.
the Safe Drinking Water Act requires
the establishment of maximum
contaminant levels (MCLs), the
maximum permissible level of a
contaminant in water which is delivered
to any user of a public water system.
MCLs are generally relevant and
appropriate as cleanup standards for
contaminated ground water that is or
may be used for drinking. (See ARARs
preamble section below. "13. CERCLA-
specifled relevant and appropriate
requirements."}
  Location-specific ARARs generally  -
are restrictions placed upon the
concentration of hazardous substances
or the conduct of activities solely
because they are in special locations.
Some examples of special locations
include floodplains, wetlands, historic
places, and sensitive ecosystems or
habitats. Examples of location-specific
ARARs are the substantive
requirements of the Coastal Zone
Management Act and the Wild and
Scenic Rivers Act Consideration must

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 51438.    Federal Register / VoL S3, No. 245 / Wednesday, December 21. 1988 / Proposed Rules
 Further, unless limitations found in site-
 specific State permits are based on
 promulgated ARARs, Bach limitations
 will not be considered potential ARARs,
 however widely they may be used in the
 State. However, frequently used permit
 limitations may be considered in
 fashioning a protective remedy for a
 site.
   The phrase "legally enforceable"
 refers to State regulations or statutes
 which contain specific enforcement
 provisions or are otherwise enforceable
 under State law. EPA expects that State
 laws or standards which are considered
 potential ARARs have been issued in,
 accordance with State procedural
 requirements; The phrase "of general
 applicability" is meant to preclude
 consideration of State requirements
 promulgated specifically for one or more
 CERCLA sites as potential ARARs. EPA
 believes that Congress did not intend
 CERCLA actions to comply with  .
 requirements that would not also apply
 to other similar situations in that State.
 This interpretation is consistent with the
 statutory qualification on State siting
 requirements banning land disposal in
 CERCLA section 121(d)(2)(C){iii]tI) and
 the waiver for inconsistently applied
 State standards in CERCLA section
 121(d)(4)(E). For a State requirement to
 bs a potential ARAR it must be
 applicable to all remedial situations  '
 described in the requirement, not just
 CERCLA sites.
  General State goals that are contained
 in a promulgated statute and
 implemented vis specific requirements
 found in the statute or in other
 promulgated regulations are potential
 ARARs. For example, a State
 antidegradation statute which prohibits .••-
 degradation of surface waters below
 specific levels of quality or in ways that
 preclude certain uses of that water
 would be a potential ARAR. Where such
 promulgated goals are general in scope.
 e.g.. a general prohibition against
 discharges to surface waters of "toxic  •
 materials in toxic amounts," compliance
 must be interpreted within the context
 of implementing regulations, the specific
 circumstances at ths site, and the
 remedial alternatives being considered.
  8. Methods for identifying ARARs.
The preamble sections above regarding
 RI/FS and selection of remedy generally
 describe when ARARs and TBCs are
identified and analyzed (e.g., during
"project scoping." "remedial
investigation," eta). This section
explains how ARARs can be identified
during those stages.
  The identification of ARARs
necessarily begins with a review of the
universe of Federal and State
 requirements to determine the potential
 ARARs that maybe applied at a site
 (see Subpart F preamble regarding
 identification of State ARARs).
 Examples of potential Federal and State
 ARARs and TBCs are included in the
 next Subpart E, 5 300.430 preamble
 section. "G." As more is learned about
 the site and as remedial alternatives are
 considered. Federal and State
 requirements can be narrowed to those
 which are potential ARARs for each
 alternative.
  ARARs are identified with increasing
 certainty as the RI/FS process proceeds.
 For example, the purpose of site
 characterization during the remedial
 investigation phase is to provide data
 regarding contaminants or chemicals .
 present in the release, the extent of
 contamination, and the specific location
 and characteristics of the site. These
 data assist in identifying more
 specifically the potential chemical- and
 location-specific ARARs. Likewise, as
 more details regarding remedial
 alternatives are developed, potential
 action-specific ARARs con be identified.
 During the detailed analysis and
 selection of remedy phases, the
 decisionmaker must compare the
•potential ARARs to the known
 information regarding conditions at the
 site and the remedial alternatives to
 determine if the potential ARARs are, in
 fact, actually applicable or relevant and
 appropriate to the response action. More
ARARs may need to be identified during
remedial design as the specific details of
 the remedial action are developed. (See
 also ARARs preamble section below.
 "12. Addressing new ARARs or other
information after the initiation of the
remedial action.")
  S. Compliance with ARARs and the
development and selection of remedies.
In the 1935 revisions to the NCP. EPA
required ths development of five
remedial alternatives, primarily based
upon their relative attainment of
ARARs. As discussed in today's
preamble section regarding RI/FS and
selection of remedy, remedies would no
longer be developed along this scale
although all remedies, except those
invoking a waiver, must attain ARARs.
  EPA proposes, however, to continue
to rely en ARARs to guide the lead
agency in formulating appropriate
hazardous waste response alternatives.
For example, an ARAR may indicate an
acceptable concentration of a
contaminant in soiL An alternative that
includes excavation of contaminated
media at a site would use that ARAR to
determine the extent of excavation.
Additionally. ARARs may indicate the
amounts of hazardous substances that
can be emitted or discharged during or
after treatment EPA recognizes.
 however, that there may be situations in
 which ARARs will not exist or will not
 be sufficient to protect human health
 and the environment.
   Nonetheless, a proposed remedial
 alternative's attainment of ARARs does
 not determine whether that alternative
 should be chosen over another
 alternative that attains a different set of
 ARARs (or qualifies for waivers from •
 ARARs). The decision on which
 alternative to select is made at the end
 of the process and is based on the
 balancing of the selection of remedy
 criteria. ARARs will differ depending
 upon the specific actions and objectives
 of each alternative being considered.
 e.g., an alternative that would remove
 and treat all contaminants from the site
 would invoke clean closure and
 treatment ARARs whereas an
 alternative that leaves waste in place
 would invoke only landfill closure
 ARARs (see ARARs preamble section
 below, "18.vL Hypothetical examples of
 compliance with RCRA: closure
 requirements").
   10. Circumstances in which ARARs
 maybe waived § 300.430(f)(3}}. CERCLA
 reauthorization modified somewhat the
 current NCP's five limited circumstances
 in which all ARARs need not be
 attained. CERCLA eliminated the
 "enforcement exception." basically
 codified the remaining four waivers, and
 added two new waivers—one for
 circumstances in which a State standard
 has been inconsistently applied in other
 remedial actions within a particular
 State, and another for circumstances in
 which the same level of protectiveness
 offered by sn ARAR may be achieved
 by using a different method or
 technology with an equivalent standard
 of performance. These waivers apply
 only to meeting ARARs with respect to
 remedial activities occurring on-site. A
 waiver must be invoked for each ARAR
 that will not be attained or exceeded.
 Other statutory requirements, such as
 that remedies are to be protective of
 human health and the environment, and
 that remedies must be cost-effective.
 cannot be waived. The waivers
 provided by CERCLA section 121(d){4),
 some circumstances under which each
waiver might be invoked, and criteria
for invoking the waivers are discussed
below.
  L Interim Measures.
  (T]he remedial action selected is only part
of a total remedial action that will attain such
level or standard of control when completed.
CERCLA »ection 121(d)(4)(A).

  This waiver will generally be
 applicable to interim measures that are
expected to be followed within a

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            Federal Register /  Vol. 53,  No. 245  / Wednesday, December 21, 1988 / Proposed Rules      51439
reasonable time by complete measures
that will attain ARARs. The interim
measures waiver may apply to sites at
which a total site remedy is divided into
several smaller actions.
  For example, the selected remedy at a
site may include excavation and
treatment of the source. However, the
treatment method may require
treatability testing or time for set-up or
construction. During this time, an
interim measure involving stabilization
of the source, such as by use of a cap. '•
may be appropriate. In such a
circumstance, the interim measure
waiver would allow the temporary    ' •
stabilization actions at the site to
constitute the initial components of a
phased remedial response; these actions
would not be required to attain landfill'
closure ARARs because the response
would not be complete.
  Factors that are appropriate for  •
invoking this waiver include:  '•
  &. Potential for exacerbation of site
problems, the interim measure should
not directly cause additional migration
of contaminants, complicate the site
response, or present an immediate
threat to human health or the .'
environment; and
  b. Noninterference with final remedy.
The interim measure selected must not
interfere with, preclude, or delay the
final remedy, consistent with EPA's
priorities for taking further action.
  EPA invites comment on its
interpretation of this waiver and on •
these factors.        .  •
  it Greater Risk to Health and the
Environment.
  [Compliance with such requirement at the
facility will result in greater risk to human
health and the environment than alternative
options. CERCLA section 121(dJ(4)(B).
  EPA suggests that this waiver be
invoked when compliance with an
ARAR poses greater risks than
noncompliance with that ARAR. This  '
waiver could be used for a remedial
alternative that would otherwise cause
greater environmental damage or health
risks solely because a particular ARAR
had to be attained. For example, an
alternative may include cleanup of PCBs
at a site. However, attaining the ambient
concentration level for PCBs spread
throughout river sediment might require
widespread dredging of the sediments,
causing an unacceptable release of the
pollutant to the water body and
damaging or disrupting the ecosystem.
Waiving the ARAR for ambient PCS
concentrations in the river sediment
would eliminate the need to conduct
such harmful dredging.
  Meeting an ARAR could also pose
greater risks to workers or residents. For
 example, excavation, of a particularly
 toxic, volatile, or explosive waste to  .
 meet an ARAR could pose high, short-
 term risks. If protective measures were
 not practicable, for such excavation, use
 of this waiver might be appropriate.
   Specific factors that may be
 considered in invoking the waiver for
 preventing greater risks include:.
   a. Magnitude of adverse impacts. The
 risk posed or the likelihood of present or
 future risks posed by the remedy using
 the waiver should be significantly less
 than that posed by the totally compliant
 remedy posing the risk: ..' .
   b. Duration of adverse impacts. The .
 more long lasting the risks from the
 totally compliant remedy, the more mis
 waiver becomes appropriate; and .
   c. Reversibility of adverse impacts.
 This waiver is especially appropriate if
 the risks posed by meeting the ARAR
 could cause irreparable damage.
   Remedies protective of human health
 and the environment but not meeting all
 ARARs should be compared to the
 remedy meeting ARARs that causes the
 minimum adverse impacts. The
 additional public health and
 environmental benefits of not meeting
 all ARARs must be weighed against the
 adverse impacts caused by meeting all
.ARARs. poly the ARARs that cause the
 greater risk are eligible to be -waived..
   iii. Technical Impracticability.
  (CJompliance with such requirement is
 technically impracticable from an engineering
 perspective. CERCLA section 121[d)(4)(CJ-
•.  The term "impracticable" implies an •
 unfavorable balance of engineering
 feasibility and reliability. EPA believes
 that the term "engineering perspective"
 used in the statute implies that cost
 although a factor, is not generally the
 major factor in the determination of
 technical impracticability. However, a
 remedial alternative that is feasible
 might be deemed technically
 impracticable if it could only be
 accomplished at an inordinate cost
   Furthermore,-the use of the term
 "impracticable" implies'that remedies
 that are not demonstrated but that are .
 thought to be feasible cannot be
 eliminated because of this waiver. Thus,
 EPA suggests using this.waiver for cases
 where: (a] neither existing nor
 innovative technologies can reliably
 attain the ARAR in question, or (b)
 attainment of the ARAR in question
 would be illogical or infeasible from an
 engineering perspective.
   EPA suggests that the technical
 impracticability waiver should be
 invoked when either of the following
 specific criteria are met
   (!) Engineering feasibility. The
 current engineering methods necessary
 to construct and maintain an alternative
 that will meet the ARAR cannot.
 reasonably be implemented.
   (2) Reliability. The potential for the
 alternative to continue to be protective
 into the future is low, either because the
 continued reliability of technical and
 institutional controls is doubtful, or  •  -.
 because of inordinate maintenance  -   .
 costs.          -
   tor. Equivalent'Standard of'• -
 Performance.            •"•   •
   JTJhe remedial action selected wfli attain • .
. standard of performance that is equivalent to
 that required trader the otherwise applicable
 standard, requirement criteria, or IzmitAuon, *
 through use of another method 'or approach:'
 CERCLA section 12Kd)[4)ff>).

   EPA proposes to use mis waiver in ..
 situations where an ARAR stipulates ~.
 use of a particular design or operating
 standard, but equivalent or better
 remedial results (e-g., contaminant
• levels or reliability] could be achieved  -
 using an alternative design or method of
 operation. For instance, an alternative
 may involve reduction of either the
 mobility or toxitity of a hazardous ."
 substance through a specified form of
 treatment The waiver may be invoked
 where a substitute form of treatment. .
 from that specified fay an ARAR (e.g» •
 fixation instead of incineration}
 achieves comparable reductions in  .
 either mobility or toxieaty.'
   The CERCLA Reauthorization
 Conference Committee's Statement of
 Managers makes the following point
 with regard to this waiver:
   Subsection prtl(dX4)(D) allows the
 selection of a remedial action that does not
 comply with a particular Federal or State
 standard or requirement of environmental
 law. where an alternative provides the same
 level of control as that standard or
 requirement through an alternative means of
 control. This allows flexibility in the choice
 of technology but does not allow any lesser
 standard or any other basis (such as a risk-
 based calculation) for determining the
 required level of control However, an
 alternative standard may be risk-based if the
 original standard was risk-based. H. Rep. 89-
 962.89th Cong, 2d Sess. 249.
   EPA invites comments on the
 following necessary conditions for
 invoking this waiver
   a. Degree of protection of health,
 •welfare, and the environment (e.g..
 environmental concentration achieved)
 is equal  to or greater than that under the
 original ARAR:
   b. The level of performance achieved
 is equal  to or better than that specified
 by, the ARAR (e.g., concentration of
 residual);
   c. The potential for the alternative
 ARAR to continue to be protective into

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 51340     Federal Register / Vol. S3. No. 245 / Wednesday. December 21. 19S8  / Proposed Rules
 the future is equal to or greater than that
 afforded by the ARAR to be waived;
 and
   d. The time required to achieve
 beneficial results using the alternative
 remedy is not significantly more than
 the original ARAR. An alternative that
 achieves similar results in significantly
 less time should be considered as
 advantageous.
   v. Inconsistent Application of State
 Requirements.
   [WJith raped to a State standard.
 requirement criteria, or limitation, the State
 has oot consistently applied (or demonstrated
 the Intention to consistently apply) the
 standard, requirement, criteria, or limitation
 in similar circumstances it other remedial
 action*. CERCIA section 121{dj(4](E).   •
   This waiver is intended to prevent
 unjustified or unreasonable restrictions
 from being imposed on remedial actions.
 Ice issues raised by this waiver are
 closely tied to those involved in the
 definition of "promulgated" (see ARARs
 preamble section above, "7. State
 ARARs").
   EPA envisions using this waiver in
 two situations. First State requirements
 may have been developed and
 promulgated but never applied because
 of a lack of applicability in past
 situations. EPA believes that such
 requirements should not be applied in
 CERCIA actions where Acre is
 evidence that the State does not intend
 to apply them, elsewhere. Second. State
 standards that have been variably
 applied or inconsistently enforced may
 give reason to invoke the inconsistent
 application waiver. A standard is
 presumed to have been consistently
 applied unless there is evidence to the
 contrary.
   Consistency of application may be
 determined by:
   a. Similarity of sites or response
 circumstances (nature of contaminants
 or media affected, characteristics of
 waste and facility, degree of danger or
 risk, other hazardous waste
 management programs, etc.);
  b. Proportion of noncompliance cases
 (including enforcement actions);
  c. Reason for noncompliance;
  d. Intention to consistently apply
 future requirements as demonstrated by
 policy statements, legislative history,
 site remedial planning documents, or
 State responses to Federal-lead sites;
newly promulgated requirements shall
be presumed to embody this intention
unless there is contrary evidence.
  vL Fond Balancing.
  ft]n the ca«e of* remedial action to be
undertaken solely under Section 10* using the
Fund, selection of a rrmffdial action that
 »"nr-j sucb level or standard of control will
no» provide a balance between the need for
 protection of public health and welfare and
 the environment at the facility under
 consideration, and the availability of
 amount* from the Fund to respond to other
 sites which present or may present a threat to
 public health or welfare or the environment
 taking into consideration the relative
 immediacy of such threats. CERCIA section
 !ZI(dX4}(FJ.

   The Fund-balancing waiver may be
 invoked when meeting an ARAR would
 entail such cost in relation to the added
 degree of protection or reduction of risk
 afforded by that standard that remedial
 action at other sites would be
 jeopardized. (Even with this waiver, the
 remedy, must still comply with the
 statutory requirement to be protective of
 human health and the environment.)
   EPA suggests that the Fund-balancing
 waiver be used when attainment of the
 ARAR would significantly reduce the
 availability of Fund monies for other
 sites (considering the number of other
 sites and the. expected cost of
 remediations). Projections should show
 that significant imminent threats from
 other sites may not be addressed under
 the current Fund if the ARAR were
 attained.
   EPA intends to establish the use of a
 dollar threshold for routinely
 considering invoking the Fund-
 balancing waiver. The threshold would
 be based on an amount significantly
 higher than the average cost of
 remediating sites with problems  similar
 to those at the site under consideration,
 e.g., large municipal landfills. Further,
 EPA intends to develop specific criteria
 for invoking the waiver. EPA solicits
 comment on the proposal to establish a
 dollar threshold and on what other
 specific criteria should be established
 for invoking the waiver.
  II. When and where ARARs and
 TBCa associated with cleanup levels
must or should be attained. This  section
 discusses the place and the time  EPA
intends that ARARs or TBCs related to
 contaminant levels or performance or
 design standards be achieved, ie.. the
point of compliance.
  L When ARARs must and TBCs
should be attained. Although not
 compelled by statute, EPA is proposing
that the applicable or relevant and
appropriate requirements of other laws
pertinent to a remedial action itself must
be met daring the conduct of the
remedial action as well as at the
completion of the remedial action unless
a waiver is invoked (see 5 300.«5(b){2)).
Some examples of potential ARARs for
the conduct of remedial activities
include the RCRA treatment, storage.
and disposal requirements, restrictions
on emissions discharges based upon the
Clean Air Act national ambient air
 quality standards, and CWA effluent  -
 discharge limitations.
   fi. Where ARARs mast and TBCs
 should be attained. Sometimes the
 ARAR itself will specify where the
 requirement should be attained. For
 example, the Clean Water Act
 requirement to apply best available
 technology controls to discharges of
 toxic pollutants to.receiving waters is
 measured for compliance at the
 discharge point (Le^ the "end-of-the-
 pipe").
   However, at sites where an ARAR
 does not specify where it is to be
 attained or where a TBC value is used to
 set an acceptable level of exposure, the
 lead agency has the discretion to
 determine where the level shall be
 attained to ensure protecMveness.
   Generally. EPA'* policy is to attain
 ARARs and TBCs pertaining either to
 contaminant levels or to performance or
 design standards so as to ensure
 protection at all points of potential
 exposure. This means that any waste
 left in place should either be brought to
 levels mat allow for unrestricted use
 and unlimited exposure or managed
 according to performance or design
 specifications; if active measures are hot
 practicable and cost-effective, exposure
 to the waste roast be controlled through
 legally enforceable institutional means.
 (See Subpart E. f 300.430 RI/FS and
 selection of remedy preamble
 introductory section for discussion
 regarding institutional controls.)
 Depending on the site circumstances,
 exposure pathways may include
 ingestion of ground or surface water,
 contact with or ingestion of soil, and
 inhalation. At each potential point of
 exposure.  EPA assumes a maximum
 reasonable exposure scenario and sets
 the goals that will ensure protectiveness
 for each response. For instance, if any
 hazardous substances remain at a site,
 exposure by direct contact should be
 considered in fashioning a protective
 remedy. Hazardous substances that
 present a direct contact threat should be
 treated or covered to the appropriate
 degree. If a waste management area is
 left at a site, ground water should attain
 the appropriate cleanup levels at the
 edge of the area.
  12. Addressing new ARARs or other
information after the initiation of the
remedial action. EPA recognizes that
 subsequent to She initiation of the
remedial action new standards based on
new scientific information or awareness
may be developed and that these
standards  may differ from the cleanup
standards  on which the remedy was
based.

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              Federal Register / Vol. 53. No. 245 / Wednesday. December 21. 1888  / Proposed Rules     S144I
    EPA believes that such new ARARs or
  other information should be considered
  as part of the review conducted at least
  every five years under CERCLA section
  121(c) for sites where hazardous
  substances remain on-site. The review
  requires EPA to assure that human
  health and the environment are being
  protected by the remedial action. Hence.
  the remedy should be examined in light
  of any new standards that would be,,.,,, „
  applicable or relevant and appropriate
  to the circumstances at the site and in
  light of any other pertinent new
  information in order to ensure that the
  remedy is still protective. In certain
  situations, new standards or the
  information on which they are based
  may indicate that the site presents ei
  significant threat to health or
  environment If such information comes
  to light at times other than at the five-
  year reviews. EPA will consider the
  necessity of acting to modify the remedy
  at such times.
   13. CERCLA-specified relevant and
  appropriate requirements—i. Safe
  Drinking Water Act standards. CERCLA
  section 121(d)(2}(A) states that a
  remedial action will attain a level or
  standard of control established under
  the Safe Drinking Water Act (SDWA),
  among other statutes, where such level
  or control is applicable or relevant and
  appropriate to any hazardous substance.
  pollutant, or contaminant that will
 remain on-site. The enforceable
 standards under the SDWA are
 maximum contaminant levels (MCLs).
 which represent the maximum
 permissible level of a contaminant in
 water which is delivered to any user of
 a public water system. Section
 121(d){2)(A) also states that such
 remedial action shall require a level or
 standard of control which at least
 attains Maximum Contaminant Level
 Goals (MCLG) established under the
 SDWA where relevant and appropriate
 under the circumstances of the release
 or threatened release. The following
 discussion addresses how to choose
 between these two standards.
  Under the SDWA. MCLGs are health-
 based goals set at levels at which no
 adverse health effects may arise, with a
 margin of safety. An MCL is required to
 be set as close as feasible to the
 respective MCLG, taking into
 consideration the best technology.
 treatment techniques, and other factors
 (including cost). As the enforceable
 standard for public water supplies.
 MCLs are fully protective of human
 health and. for carcinogens, fall within
 an acceptable individual lifetime risk
range of Itr" to 1CT1. For
noncarcinogens, which are the majority
   of chemicals to Ibe controlled, MCLs will
   nearly always be set at MCLGs.
   Therefore, in many cases, the MCL will
   be equivalent to the MCLG.
     In a guidance document published last
   year in the Federal Register, "Superfund
   Program: Interim Guidance on
   Compliance with Applicable or Relevant
   and Appropriate Requirements." 52 FR
   32496 (August 27.1987). EPA stated its
   policy that for surface or ground water
   that is or may be: used for drinking,
  MCLs are generally relevant and
  appropriate as cleanup standards. The
  basis for this policy was that MCLs are
  protective of huraan health and
  represent the level of water quality that
  EPA believes is ncceptable for over 200
  million Americans to consume every
  day from public drinking water supplies.
    EPA recognize! that there may be
  special circumstnnces where protection
  of human health requires more stringent
  standards than MCLs, as'with multiple
  contaminants or pathways of exposure.
  In such cases, EPA will make a site-
  specific determination whether risk
  posed by such multiple contaminants or
  pathways is in excess of 10~4 and,
  therefore, of the need for more stringent
  standards, considering MCLGs, EPA's
  policy on use of appropriate risk ranges
  for carcinogens. levels of quantification.
  and other pertinent guidelines.
   Many commenters agreed with EPA
 because MCLs are fully protective of
 human health. Comments in support of
 the guidance noted that the range of risk
 for MCLs is within EPA's acceptable
 risk range and that MCLGs are often not
 achievable given current technology
 because many MCLGs are set at the
 zero risk leveL Further, requiring MCLGs
 at CERCLA sites would impose a more
 restrictive requirement than exists for
 the drinking water consumed by most
 households in the country. Also noted
 was that MCLs are legally applicable at
 the point of use, generally the tap or at a
 •well used for supplying drinking water.
 Application of MCLs to cleanup of
 ground water at a CERCLA site that is
 or may be used f or drinking, therefore,
 imposes a more stringent standard t*""i
 exists under the SDWA. -
   Other commentexs on the interim
 ARARs guidance disagreed with EPA's
 proposal and asserted that section 121
 required that MCLGs generally be the
 cleanup standards for ground water at
 CERCLA sites. Some opponents argued
 that section 121 specifically prohibited
 consideration of cost-effectiveness in
 choosing a relevant and appropriate
 cleanup standard until after a standard
 that protects human health and the
 environment is selected. Therefore, they
argued, application of MCLs as the
  relevant and •appropriate standard is
  inconsistent with the statute because
  cost and available technology factors
  are considered in the development of
  MCLs.
    In summary, the commenters
  presented divergent opinions on this
  specific issue. After review of
  comments, EPA believes that the
  interpretation articulated in the interim
  ARARs guidance is correct and that
  section 121 permits die use of MCLs as
  generally relevant and appropriate
  cleanup standards for the following
  reasons. Under section 121, it is EPA's
  responsibility to determine what
  standards are applicable or relevant and
  appropriate at a site, a determination
  made on a case-by-cmse basis within
  general EPA program guidelines.
  Although section l21(d)(2}(A) does sot
  specifically refer to cleanup of
  contaminated ground water to its
  beneficial uses, CERCLA actions will
  generally use SDWA standards for
  ground water that is or could be used for
  drinking. EPA" believes that MCLs. the
  enforceable standards under the SDWA,
  are the appropriate standard because
  they represent the level of quality for the
  nation's drinking water supplies. (The
  application of SDWA standards to the
  cleanup of ground water is also
  discussed in the § 300.430 preamble
  section above, "E. EPA's Approach for
 Ground-Water Remediation under the
 Superfund Program.")
   Using MCLs as relevant and
 appropriate standards is consistent with
 EPA's use of a risk range to  determine
 acceptable levels of residuals of
 carcinogens. CERCLA does not require
 that EPA eliminate all risk. Therefore,
 EPA believes that generally a risk range
 of 10~ * to 10~7 incremental individual
 lifetime cancer risk for carcinogens
 fulfills its statutory mandate to protect
 human health and the environment.
 MCLs for carcinogens are set within this
 risk range. For noncarcinogens, MCLs
 will nearly always be set at MCLGs,
 thus assuring that even sensitive
 populations will experience no adverse
 health effects. Since the majority of
 chemicals encountered at sites are  •
 noncarcinogens, there will be no
 difference in the protectiveness of
 MCLGs and MCLs for most
 contaminants.
  Furthermore, even though cost and
 available technology may be considered
 when setting an MCL. an MCL is
protective and therefore achieving an
MCL complies with CERCLA's mandate
to protect hmnan health and the
environment
  (See also EPA's interpretation of
CERCLA section 12I[d)(2)(B){iiJ

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   51442     Federal Register / VoL 53, No. 245  / Wednesday. December 21. 1988 / Proposed Rules
   regarding the use of alternate
   concentration limits (ACLs) as cleanup
   standards for ground water that is or
   may be used for drinking in the 5 300.430
   preamble section above, "E. EPA's
   Approach for Ground-Water
   Remediation under the Superfund
   Program.")
     ii. Federal Water Quality Criteria.
   EPA develops two kinds of Federal
   Water Quality Criteria (FWQC}, one for
   protection of human health and another
   for protection of aquatic life. FWQC are
   non-enforceable guidelines used by the
   States to set Water Quality Standards
   (WQS) for surface water. FWQC, which
   identify threshold level concentrations
.   for nonoircinogens and concentrations
   equating to various risk levels for
   carcinogens, guide States in assessing
   the toxicity of a contaminant. States
   designate the use of a given water body
   based on its current and potential use
   and apply the FWQC to set pollutant
   levels that are protective of that use.
   State WQS, which can be narrative or
   expressed as a numerical concentration
   limit, are subject to EPA approval
    If a State has promulgated a  .
   numerical WQS that applies to the
   contaminant and the designated use of
   the surface water at a site, the WQS will
   generally be applicable or relevant and
   appropriate for determining cleanup
   levels, rather than an FWQC. A WQS
  represents a determination by the State,
  based on the FWQC, of the level of
  contaminant which is protective in that
  surface water body, a determination
  subject to EPA approval
    CERCLA 121(d)(2) requires that, in
  determining whether an FWQC is
  relevant and'appropriate, the latest
  information available be considered.
  Thus, an FWQC may be relevant but not
  appropriate if its scientific basis is not
  current. EPA's recommended RfDs and
  cancer potency factors, which are based
  on the EPA's evaluation of the latest
  information, should be used when an
  FWQC does not reflect current
  information.
   'CERCLA 121(d){2) also requires that
  the designated or potential use of the
  surface or ground water and the
  purposes for which the criteria were .
  developed be considered in determining
  whether a FWQC is relevant and
  appropriate.
   The purpose of the FWQC for human
  health is to identify protective levels
  from, two routes of exposure—exposure
  from, drinking the water and from
  consuming aquatic organisms, primarily
  fish. There are levels provided for
  exposure from both routes, and from fish
  consumption alone. Whether a FWQC is
 relevant and appropriate, and which
 form of the criteria is appropriate,
  depends on whether exposure via either
  or both of these routes is likely to occur.
  and thus on the designated use of the
  water body.
    As discussed in the section above.
  MCLs represent the level of quality EPA
  has determined to be safe for drinking
  .and thus are generally relevant and
  appropriate for ground water that is or
  may be used for drinking and for surface
  water designated as a current or
  potential drinking water supply.
  Therefore, when a promulgated MCL
  exists, the FWQC for that constituent
  would not be relevant and appropriate.
  However, when MCLa are not available.
  a FWQC may be relevant and
  appropriate in water that is a potential
  drinking water source.
   Since MCLs only reflect exposure
  from drinking the water, a FWQC for
  consumption of aquatic organisms may
  be appropriate in addition to the MCL,
  resulting in a more stringent cleanup
  level, when that route is also a concern
  at the site.
   FWQC without modification are not
  relevant and appropriate in selecting
  cleanup levels in ground water, where
  consumption of contaminated fish is not
  a concern. However, a FWQC may be
  adjusted to reflect only exposure from
  drinking the water. Alternatively, the
  use of EPA-reconunended RfDs and
  cancer potency factors, following a
• methodology similar to that used to
  develop the drinking water portion of
 the FWQC, could serve as a guideline
 for cleanup if the FWQC is not current
.   A FWQC adjusted for drinking water
 could also be relevant and appropriate
 in surface water designated for drinking
 water purposes, since the FWQC is
 specifically designed to be protective of
 that use. Whether a FWQC that also
 includes fish consumption should be
 selected depends on the likelihood of
 exposure occurring from this route and
on whether fishing is included in the
State's designated use.
  If the State has designated a water
body for recreation, a FWQC reflecting
fish consumption only, not drinking the
water, may be relevant and appropriate
if fishing is included in that designation.
  Generally. FWQC are not relevant
and appropriate for other uses, such as
industrial or agricultural use. since
exposures reflected in the FWQC are .
not likely to occur.
  A FWQC for protection of aquatic life
may be relevant and appropriate for a
remedy involving surface waters (or
ground-water discharges to surface
water) when the designated use requires
protection of aquatic life or when
environmental concerns exist at the site.
If protection of human health and •
aquatic life are both a concern; the more
  stringent standard or criteria should
  generally be applied.
    A State numerical WQS is essentially
  a site-specific adaptation of a FWQC.
  subject to EPA approval, and, when
  available, is generally the appropriate
  standard for the specific water body,
  rather than a FWQC. If both an MCL
  and numerical State WQS exist for the
  same constituent where the water is
  designated for drinking, the State WQS
  should be used ii: it is more stringent as
  required by CERCLA section
   In sum, a FWQC, or component of the
 FWQC. may be relevant and
 appropriate when the FWQC is intended
 to protect the uses designated for die
 water body at the site, or when the
 exposures for which the FWQC are
 protective are likely to occur. To be
 considered relevant and appropriate.
 FWQC must also reflect current
 scientific information. In addition.
 whether & FWQC is relevant and
 appropriate depends on the availability
 of standards, such as an MCL or WQS.
 specific for the constituent and use.
   14. ARARs for investigation-derived
 waste. EPA believes that the CERCLA
 section 121 requirement that remedial
 activities comply  with Federal and State
 ARARs applies not only to the
 implementation of the remedy selected
 for a site, but also to the handling,
 treatment or disposal of investigation-
 derived wastes produced during
 remedial activities, such as the SI or RI/
 FS.
   Specifically, there are several ways
 that investigation -derived wastes may
 result from such remedial activities.
 Examples include  the following: (i)
 Ground water or surface water samples
 that must be disposed of after analysis:
 (ii) drill cuttings or core samples from
 soil boring or monitoring well
 installations: (iii) purge water removed
 from sampling wells before ground
 water .samples are collected; (iv) water,
 solvents, or other fluids used to
 decontaminate field equipment such as
 backhoes, drilling  rigs, and pipes; (v)
 condensate from pipes used for gas
 sampling in landfills; and (vi) waste
 produced by on-site pilot-scale facilities
 constructed to test technologies best
 suited for remediation of the site.
  The handling, treatment or disposal
 of any such investigation-derived
 wastes must satisfy Federal and State
 requirements that are applicable or
 relevant and appropriate to the site
 location and the amount and
 concentration of the hazardous
substances, pollutants, or contaminants
involved. EPA intends that field
investigation teams use best

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            Federal Register / Vol. 53. No. 245 / Wednesday, December 21. 1988 / Proposed Rules     51443
 professional judgment in determining
 when investigation-derived wastes may
 contain hazardous substances and to
 handle such substances in accordance
 with all Federal and State ARARs. For
 example, if ground-water samples
 containing hazardous substances are to
 be disposed of by discharge into surface
 water, they may require treatment
 before disposal so that water quality
 standards are not violated. Also, if it is
 known or suspected that purge waters
 are drawn from an area with significant
 dioxin contamination, EPA expects that
 such investigation-derived wastes will
 be containerized, tested, and disposed
 of in accordance with all ARARs.
 (Consistent'with established practice,
 investigation-derived materials may
 remain on-site until the remedial action
 commences.) In contrast the routine
 containerization and testing of large
 volumes of drilling muds and purge
 •waters which are not suspected to
 contain hazardous substances may be
 unnecessary because they result only in
 delays to the investigation with no
 attendant public health or
 environmental benefit.
  15. Substantive versus administrative
requirements. CERGLA section 121(d)
requires that remedial actions shall
require a level or standard of control for
hazardous substances, pollutants, or
contaminants which attains ARARs.
Levels or standards of control are basic
performance objectives for the remedial
action (e.g., acceptable exposure levels
after the remedial action is completed]. •
These basic performance objectives are
defined by substantive ARARs.
Examples of substantive ARARs include
acceptable concentrations for specific
chemicals under the Safe Drinking
Water Act which define cleanup levels
for ground water that is or may be used
for drinking water, technology-based
requirements under RCRA for the
management of hazardous wastes which
define, for example, the physical
characteristics of a new landfill if waste
is to be closed in place, and restrictions
on activities in certain locations •which
define, for example, the conduct of
excavation in order to minimize
potential harm to wetlands.
  Requirements which flo not in and of
themselves define a level or standard of
control are considered administrative.
Administrative requirements include the
approval of, or consultation with.
administrative bodies, issuance of
permits, documentation, and, generally,
reporting end recordkeeping.The
Superrund program imposes its own
reporting and recordkeeping
requirements to ensure mat substantive
levels or. standards of control are being
 met Compliance with similar
 requirements of other environmental
 statutes would be redundant and unduly
 burdensome.
  This interpretation is consistent with
 CERCLA section 12I(e) which exempts
 on-site-activities from obtaining permits.
 The purpose of this exemption is to
 allow CERCLA. response actions to
 proceed expeditioiosly without the
 delays that could result while waiting
 for other offices or agencies to issue a
 permit The substantive requirements
 that would be imposed by a permit still
 must be stated in iJuperfund documents,
 but the redundancy of stating such
 standards in a permit issued by another
 office or agency is avoided.
  Inmostcaaes, the classification of a
 particular requirement as substantive or
 administrative will be dear, but some
 requirements may fall into a gray area
 between the provisions related primarily
 to program administration and those
 concerned primarily with environmental
 and human health goals. Several factors
 may be considered when it is not readily
 apparent whether a requirement is
 substantive or administrative; for
 example, the basic purpose of the
 requirement any adverse effect on the
 ability of the action to protect human
 health and the environment if the
 requirement were mot met the existence
 of other requirements (e.g., CERCLA
 procedures) at the site that would
 provide functionally equivalent
 compliance, nnd classification of similar
 or identical requirements as substantive
 or administrative in other situations.
 The determination of whether a
 requirement is substantive or
 administrative need not ba documented.
  16. Potential ARARs of the Resource
 Conservation and Recovery Act
 (RCRA). CERCLA compliance with the
regulations promulgated pursuant to
 RCRA is a special concern within the
 broader context of CERCLA compliance
with other environmental and public
hearth laws. Because the RCRA Subtitle
 C regulations address the ongoing
 treatment storage, and disposal of
hazardous waste, imd because CERCLA
response actions often involve
treatment storage, and disposal of
hazardous waste, many RCRA
requirements will be applicable or '
relevant and appropriate to CERCLA
response actions. The current RCRA
Subtitle C regulations are codified at 40
 CFRSubchapterL
  The purpose of tins discussion is to
provide a general overview of CERCLA
 compliance with tfce potential ARARs of
RCRA. including the requirements of the
Hazardous and Solid Waste
Amendments of 19B4 (HSWA). Although
  the determination of which requirements
  are applicable or relevant and
  appropriate is always made on a site-
  by-site basis, it is possible to make some
.  general statements about compliance  .
  with RCRA.
    L The potential ARARs of RCRA
  Subtitle C. RCRA Subtitle C is the
 . authority for regulations which establish
  standards for hazardous waste
  management Pursuant to RCRA Subtitle
  C, EPA has promulgated requirements
  end standards for generators and
  transporters of hazardous waste and for
  owners and operators of hazardous
  waste treatment storage, and disposal
  facilities. These regulations contain
  numerous potential ARARs for CERCLA
  remedial actions, each requirement
  having its own unique set of
  jurisdictional prerequisites.
    In general, RCRA Subtitle C
  requirements for the treatment storage,
  or disposal of hazardous waste will be
  applicable if a combination of the
  following conditions is met:
    a. The waste is a listed or
  characteristic waste under RCRA: and
    b. Either. (1) The waste was treated,
  stored, or disposed after the effective
  date of the RCRA requirements under
  consideration; or (2) The activity at the
  CERCLA site constitutes treatment
  storage, or disposal as defined by
  RCRA.
    Listed hazardous wastes under RCRA
  are found in 40 CFR Part 261. Subpart D.
  Some RCRA requirements apply to
  hazardous wastes as defined in RCRA
  section 1004[5). Characteristic
  hazardous wastes under RCRA are
  described in 40 CFR Part 261, Subpart C.
  Testing methods and protocols for
  characteristic determinations are
  contained in Test Methods for
  Evaluating Solid Waste, 3rd edition.
  Volume 1C, Laboratory Manual [SW-
  848).-
    There are two scenarios under which
 ' RCRA requirements may be applicable
  to CERCLA sites. First if the lead
  agency determines that RCRA listed or
  characteristic hazardous waste is
  present and the waste was treated,
  stored, or disposed at the site after the
  effective date of the requirements under
  consideration, then the pertinent RCRA
 • requirements will be applicable to the
  waste activity. Generally, traditional
  RCRA regulated facilities that have
  been listed on the NPL may faflinto this
  category, even if the proposed CERCLA
  action would not involve treatment
  storage, or disposal For example, if a
  RCRA landfill or a hazardous waste
  incinerator operated at the site after the
  effective date of the RCRA closure
  requirements, then the lead agency

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Federal Register / Vol. 53. No. 24S / Wednesday,  December 21. 1988 / Propoaed Rules
  would need to comply with the
  applicable closure requirements for
  those units in completing the remedial
  action. Second, if the lead agency
  determines that RCRA listed or
  characteristic hazardous waste is
  present at the site (even if the waste
  was disposed before the effective date
  of the requirement) and the proposed
  CERCLA action involves treatment,
  storage, or disposal as defined under
  RCRA. then RCRA requirements related
  to those actions would be applicable.
    These two scenarios are contingent
  upon determinations that RCRA Subtitle
  C hazardous waste is present and on the
  identification of the period of waste
  management To determine whether a
  waste is a listed waste under RCRA. it is
  often necessary to know the source.
  However, at many CERCLA sites no
  information exists on the source of the
  wastes nor are references available
  citing the date of disposal The lead
  agency should use available site
  information, manifests, storage records.
  and vouchers in an effort to ascertain
  the source of these contaminants. When
  this documentation is not available, the
  lead agency may assume that the wastes
  are not listed RCRA hazardous wastes,
  unless further analysis or information
  becomes available which allows the
 lead agency to determine that the
 wastes are listed RCRA hazardous
 wastes. If the lead agency assumes the
 wastes are not listed RCRA hazardous
 wastes and it is determined that the  ,
 wastes are not characteristic wastes
 under RCRA (see discussion below.
 17J.) RCRA requirements would not be
 applicable to CERCLA actions, but may
 be relevant and appropriate if the
 CERCLA action involves treatment
 storage or disposal and/or if the wastes
 are similar or identical to RCRA
 hazardous waste.
   Under certain circumstances, although
 no historical information exists about
 the waste and when it was treated,
 stored, or disposed, it may be possible
 to identify the wastes as RCRA
 characteristic wastes. With respect to
 hazardous characteristics, (ignitability,
 corrosivity. reactivity, or EP toxidty). it
 is the responsibility of the generator {in
 this case, the lead agency or PRP
 conducting the action) to determine if
 the wastes exhibit any of these
 characteristics [defined in 40 CFR 281.21
 through 24). The lead agency must use
 best professional judgment to determine.
 on a site-specific basis, if testing for
 hazardous characteristics is necessary.
Testing is required unless it can be
 determined, by "applying knowledge of
the hazard characteristic in light of the
materials or process used," that the
                           waste does not ttave hazardous
                           characteristics (40 CFR 282.11(c))..
                             In determining whether to test for the
                           toxidty characteristic using the
                           Extraction Procedure (EP) Toxicity Test
                           it may be possible to assume that
                           certain low concentrations of waste are
                        •   not toxic. For example, if the total waste
                           concentration is 20 times or less the EP
                           Toxicity concentration, the waste
                           cannot be characteristic hazardous
                           waste. In such a case RCRA
                           requirements would not be applicable
                           and would not likely be relevant or
                          ' appropriate unless the waste also
                           contained other RCRA hazardous
                           wastes and the CERCLA action involved
                           treatment storage, or disposal
                            If the wastes exhibit hazardous
                           characteristics, RCRA requirements are
                           potentially applicable if the wastes also
                           were either treated, stored, or disposed
                           after the effective date of the applicable
                           RCRA requirement or if the CERCLA
                          actions will involve treatment storage.
                          or disposal
                            ii. Actions constituting treatment,
                          storage, or disposal. Many CERCLA
                          actions occur in areas of contamination
                          that contain waste treated, disposed of,
                          or stored prior to November IS. 1980. If
                          left untouched, wastes in such areas are
                          not currently regulated under Subtitle C
                          of RCRA. (Solid waste management
                          units at RCRA facilities are regulated by
                          the 3004(u) corrective action
                          requirements.) However, certain
                          physical movement alteration, or
                          disturbance of RCRA hazardous waste
                          associated with a remedial action may
                          meet the RCRA definition of treatment
                          storage, or disposal For instance,
                          treatment has occurred when the
                          CERCLA remedial action uses "any
                          method, technique, or process, including
                          neutralization, designed to change the
                          physical chemical, or biological
                          character or composition of any
                          hazardous waste so as to neutralize
                          such waste, or so as to recover energy or
                          material resources from the waste, or so
                          as to render such •waste non-hazardous,
                          or less hazardous: safer to transport
                          store, dispose of; or amenable for
                          recovery, amenable for storage, or
                          reduced in volume." 40 CFR 260.10.
                           Similarly, storage occurs when a
                          CERCLA remedial action involves the
                          "holding of hazardous waste for a
                         temporary period, at the end of which
                         the hazardous waste is treated, disposed
                         of, or stored elsewhere." 40 CFR 260.10.
                           Land disposal occurs when RCRA
                         hazardous waste is placed into a land
                         disposal unit including a "landfill,
                         surface impoundment waste pile.
                         injection well land treatment facility,
                         salt dome formation, salt bed formation.
  or underground mine or cave." RCRA
  section 3004{k).
    Movement of hazardous waste
  entirely within a unit does not constitute
  "land disposal" under Subtitle C of
  RCRA. However, movement of
  hazardous waste into a unit (i-e., across
  the boundary of a unit) does constitute
  land disposal."
    In many cases CERCLA sites contain
  areas of contamination (with differing
  levels of concentration, including hot
  spots, of hazardous substances,
  pollutants, or contaminants} that may be
  characterized as a rmit, usually a
  landfill under RCRA. In such cases
  where RCRA hazardous waste is moved
  into the area of contamination, RCRA
  disposal requirements are applicable to
  the disturbed waste and certain land
  disposal requirements (such as for
  closure) may be applicable to the area
  where the waste is received. •
   Therefore, the following activities  •
  constitute land disposal under RCRA
  Subtitle C where the waste involved is
 RCRA hazardous waste:
   a. Wastes from different units are
 consolidated into one unit;
   b. Waste is removed and treated
 outside a unit and redeposited into the
 same or another unit; or
   c. Waste is picked up from the unit'
 and treated within the area of
 contamination in an incinerator, surface
 impoundment or tank and then
 redeposited into the unit (does not
 include in-situ treatment).
   In contrast an example of an activity
 that does not constitute "land disposal"
 is the mere consolidation of RCRA
 hazardous wastes within a unit.
 Similarly, the covering and sealing off of
 hazardous waste, called "capping with
 waste in place," is also not considered
 "land disposal" and RCRA Subtitle C
 requirements would not be applicable. If
 some of the waste at a site is moved into
 another unit but other waste is left
 behind in the original unit (the unit in
 which such waste was found), "land
 disposal" applies only with regard to the  '
 waste that is moved into another unit
 Under these examples, however, certain
 RCRA land disposal requirements might
 nevertheless be relevant and
 appropriate to such waste. (See ARARs
 preamble sections below, 16Jii. and 17.)
  iii. Hypothetical examples of
 compliance with RCRA: land disposal
restrictions. Land disposal restrictions
 under RCRA sections 3004 (d) through
 (k) are triggered whenever there is
placement of RCRA hazardous wastes
subject to land disposal restrictions
("banned waste") into a land-based unit.
Such land disponal does not occur  when

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            Federal Rooster / VoL 53, No. 245 / Wednesday. December 21, 1988 / Proposed Rules      51445
 hazardous waste is merely moved
 around within a unit.
   Certain activities, e.g., placement
 involving specific wastes may be subject
 to the special restrictions on land
 disposal of hazardous wastes.
 (Placement into a unit is defined
 identically to land disposal, see above.}
 The land disposal restrictions (LDR)
 regulations establish treatment
 standards to be achieved based on the
 best demonstrated available treatment
 technology (BOAT) before specific
 wastes may be land disposed. For
 example, land disposal restrictions
' require that a remedial action that
• involves the excavation and movement
 of banned waste into a unit (i.e.,
 placement) must meet BDAT levels
 before the waste is placed into the unit
 Similarly, the land disposal restrictions
 also apply where the remedial action
 involves excavation of banned waste
 from its original unit, treatment of that
 waste at another unit, and placement of
 mat waste back into the original unit or
 another unit However, land disposal
 restrictions are not applicable where
 banned waste is moved, graded,
 stabilized, or treated in-situ. entirely
 within the original unit because
 placement has not occurred.
 Furthermore, the temporary staging of
 waste within the unit prior to further
 remedial action is not placement
 (however, storage restrictions may
 apply). Land disposal restrictions are
 not applicable but may be relevant and
 'appropriate where the remedial action
 involves placement of CERCLA waste
 similar in composition to RCRA banned
 waste. (See ARARs preamble section
 below, "17. Hypothetical Examples of
 Relevant and Appropriate
 Requirements.")
   iv. Hypothetical examples of
 compliance with RCRA: design and
 operating requirements. The RCRA 40
 CFR Part 264 regulations require certain
 design and operating standards
 (minimum technology requirements) for
 the construction of new land disposal
 units, and for the construction of
 replacements for. expansions of, or
 lateral extensions to existing land
 disposal facilities. If. for instance, the
 remedial action involves the placement
 of RCRA hazardous waste into a newly
 built or expanded landfill, then the 40
 CFR Part 264 design and operating
 standards for landfills will be applicable
 to the remedial action, unless an
 exemption is justified under the
 provisions of the design and operating
 standards. Double liners and leachate
 collection and return systems will thus
 be required as a part of construction and
 operation.
  v. Hypothetical examples of.
compliance vrithllCRA: corrective
action requirements. EPA's ground-   •
water protection regulations. 40 CFR
Part 264, Subpart P, include corrective
action requirements. EPA is currently
developing regulations for corrective
action requirements imposed by RCRA
sections 3004 fu) and (v) (added by
HSWA).   .
  The Subpart F corrective action
provisions require cleanup of ground "
water for each haiardous constituent to
either the background level, a SDWA
maximum contaminant level (MCL), or
an alternate concentration limit (ACL)
•et by the Regional Administrator. The
RCRA ground water protection
standards (40 CFR Part 264 Subpart F)
do not contain all of the current SDWA
MCLs. Where DO MCL exists under
RCRA. the ground-water protection
standard will be set at background or at
an ACL if the proper ACL
demonstrations can; be made to the
satisfaction of the Regional
Administrator.
  The Subpart F corrective action
standards for regulated units are
applicable where ithe release being
addressed is from certain specified land
disposal units to tlie environment and
the unit received RCRA hazardous
waste after July 28,1982 (the publication
date of Subpart F).
  The RCRA corrective action
requirements added by HSWA regulate
releases of RCRA hazardous
constituents to the environment from
solid waste management units at RCRA
facilities, regardless of the date on
which the hazardous or solid waste was
received by the unit EPA is currently
developing more detailed regulations to
implement these HSWA requirements
that will establish procedures and
standards for corrective action. EPA
expects that the existing and new
regulations, when promulgated, will
generally be applicable to Superfund
actions whenever a remedial action
involves treatment itorage, or disposal
of RCRA hazardous waste. These
regulations will be particularly
significant for CERCLA because they"
will reflect standards EPA has found
specifically appropriate to remedial
actions.
  EPA anticipates that for the most
part only the requirements in the
corrective action regulation that
establish standards for cleanup and
hazardous waste management will be
applicable to CERCLA actions.
  Some of the remedy selection
standards may be equivalent to or
subsumed by the ittandards for remedies
established in the NCP. For these
 standards, p"""'*"^ the NCP standards
 •would automatically ensure that the   .
 applicable RCRA requirements are met
 A clear example of this is the      •   .
 protectiveness standard, since both
 RCRA corrective action rules and the
 NCP require that remedies must be
 protective of human health and the
 environment Other standards may need
 to be addressed on a site-specific basis.
 •A more specific determination of how
 the corrective actions standards must be
 addressed will be made when the RCRA
 regulations are promulgated.
   The corrective action regulations are
 likely to establish a corrective action
 process. These parts of the rule will •
 establish procedures, criteria, and
 definitions to implement corrective
 action. For example, the rule is likely to
 establish when investigations and
 detailed study of alternatives are
 required and how those assessments
 will be conducted. These requirements
 •will not be applicable because they are
 the equivalent of administrative
 requirements in that they prescribe
 methods and procedures to implement
 the corrective action program.
   EPA has, through the NCP,
 established procedures that it believes
 will achieve the same result as the
 RCRA corrective action process. For
 example, the use of action levels to
 trigger the full corrective action process
 parallels CERCLA's Hazard Ranking
 System, which brings sites under the
 remedial process. Another example is
 RCRA's definition of "facility." which
 differs from the statutory definition
 provided in CERCLA. Attempting to
 apply RCRA's distinct but essentially
 equivalent procedures and definitions
 would cause significant confusion and
 provide little environmental gain under
 the Superfund program.
   vi Hypothetical examples of
 compliance with RCRA: closure
 requirements. Although 40 CFR Part 264
 includes potentially applicable or
 relevant and appropriate requirements
 addressing-closure and post-closure care
 for the various types of units regulated
 in the several subparts of Part 264 [e.g.,
 Subparts G, K. and N), these various
 subparts contain only two basic closure
 options that can be potentially
 applicable or relevant and appropriate
 to the completion of operable units
 during CERCLA response actions. Hie
• two closure options are best exemplified
 by the regulations for closure of surface
 impoundments. For instance, owners
 and operators desiring to decommission
 (i.e.. close) an operating surface
 impoundment have two options. The
 first option, "closure by removal" (or
 "clean closure"), requires that all waste

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   51446     Federal Register / Vol. 53. No. 245 / Wednesday. December 21. 1988 / Proposed Rules
   residues and contaminated liners and
   subsoils be removed or decontaminated.
   A recent amendment to the interim
   status regulations for closure and post-
   closure care for hazardous waste
   surface impoundment!. 52 FR 8704,
   March 19,1987, further clarifies that this
   closure option involves the removal of
   enough contaminated soil such, that
   contamination is reduced to
   concentration levels that attain
   promulgated standards and/or EPA's
   health-based advisory levels in the
   actual area of contamination, (Le, this
   Hoes not allow for environmental fate
   and transport modeling to determine
   exposure levels outside the area of
   contamination). The level of cleanup
  required has been interpreted to be  .
  "drinkable leachate" and "edible soila."
  No post-closure requirements exist for
  an owner/operator who has chosen the
  closure option because  EPA has adopted
  the strict clean standards. The strict
  standards ensure that the public and the
  environment will be safe from all
  exposure pathways (Le, dermal.
  inhalation, and direct soil and water •
  ingestion) after the owner/operator of a
 ' RCRA facility has left the RCRA
  regulatory system (the dean closure
  regulations allow an owner/operator to
  kayo the KCRA regulatory system after
:  verification of the attainment of dean
  closure levels for ISO days).
   The second option, "dosure with
  waste in place" or "landfill closure,"
  where contaminated materials remain
  fifter dosure, requires final cover over
  the unit and post-closure care, such as
  maintenance of the final cover, ground-
  y/ater monitoring, and corrective action
  if the ground-water protection standards
  are violated. Thus, a significant
  difference between dean dosure and
  landfill dosure is that after landfill
  closure the unit must be maintained and
 monitored, corrective action taken if
 seeded, a notice provided in the deed
 end plat that the site was used for
 hazardous waste, and permission must
 be obtained to build over the site. Clean
 closure does not indude such additional
 requirements because hazardous •
 constituents have been removed to
 sufficiently low lev els that no further
 action is necessary to be protective.
   Thus, the determination of whether
 clean dosure or landfill dosure
 requirements «re potential ARARs
 depends upon the contemplated
 ramedial activities, Le., whether the
 activity is treatment storage, or disposal
 of hazardous waste and whether all
 contamination will be removed from
 that unit or whether hazardous wastes
 YJrJ'Smain at &e closed unit (See also
 ARARs preamble section below, 17.
  Hypothetical examples of relevant and
  appropriate requirements.**)
    Even where not applicable, portions of
  the closure requirements may be
  relevant and appropriate depending
  upon the cite. If portions of die closure
  requirements are found relevant and
  appropriate, die lead agency may
  combine relevant and appropriate
  requirements from dean sad InndfiH
  dosure options that are suitable for a
  particular site. Rather than having only
  two options for addressing
  contaminated soil at a mte (La. either
  excavate basically all of the waste and
  contaminated •oil to dean docure
  levels, or cap}, the lead agency may
  combine relevant and appropriate
  requirements to form a hybrid dosure
  option. (EPA is considering a hybrid
  closure regulation for the RCRA
  program; however, the discussion below
  refers to the use of hybrid dosnre in the
  Supernmd program.)
   The Superfund program has been
  using several different types of hybrid
  dosure (where RCRA dosure is not
  applicable] dial give the decisionmaker
  additional choices for the long-term
 management of hazardous substances
 as well as treated residuals. Alternate
 dean dosure and alternate land
 disposal dosure are the two hybrid
 dosures most frequently used. The
 alternate clean dosure approach is '
 similar to dean dosure in that
 engineering controls are not required.
 However, limited fate and transport
 modeling and site information may be
 used to establish deanup levels for
 contaminated soils and waste materials
 remaining at die site. For example, the
 ground-water route of exposure would
 be protected by determining a level in
 die soils that •would be consistent with
 the levels established for ground water.
.Typically, monitoring will be necessary
 after die completion of die remedial
 measure to verify that die levels
 established at die site are protective of
 ground water and other routes of
 exposure. After die verification period.
 no monitoring at die site would be
 required. A deed notice may be
 desirable in some cases. •.
  The alternate land disposal closure is
 die second type of hybrid dosure that is
 used by die Superfund program. This
 type of dosure is identical to RCRA
 landfill disposal dosure except diat die
 cover requirements are relaxed because
 die wastes being contained do not pose
«threat to ground water. Direct contact
and surface water threats, as well as
other threats, can be adequately
addressed with a coil cover. This type of
closure is usually appropriate for wastes
at low concentrations but still above
  "walk-away" levels. EPA has found diis
  type of dosure to be useful in
  addressing wide areas of contaminated
  •oils in a relatively inexpensive but very
  reliable manner. ,
    If dean closure or landfill dosure
  requirements are applicable, alternate
  dosnre may be implemented only if an
  ARAR waiver can be invoked.
    17. Hypothetical examples- of relevant
  and appropriate requirements. The
  criteria to be used in determining
  whether a requirement is relevant end
  appropriate to a CERCLA remedial
  action are Bsted in 5 S00.400(g)(2).The
  discussion: below illustrates die use of
  the criteria by providing hypothetical,
  but typical, situations where  '
 .• requirements from RCRA and other laws
  may be both relevant and appropriate,
  Le* die drcumatances addressed in die
  requirement are pertinent to mose of die
  CERCLA action or release and die
  requirement is well-suited to die
  circumstances fit die site.
    L CERCLA waste similar to RCRA
  hazardous waste. The source or prior
  use of many wastes at CERCLA sites
  cannot be positivdy identified. Yet die
  CERCLA waste may be similar in
  composition to a listed RCRA waste
  derived from a known source or use. If
  «uch a CERCLA waste would not
  otherwise-exhibit die characteristics
  that would mnlcp it a RCRA hazardous
  waste under 40 CFR Part 251 Subpart C,
  die RCRA regulations for hazardous
  waste would not be applicable to
  management of die CERCLA waste.
  However, certain RCRA regulations,
  such as die design and operating
  requirements, may be relevant and
  appropriate to management of such
  CERCLA waste when warranted by the
  circumstances of die release or other
  site-specific factors (see ARARs
 preamble section above, *16j. The
 potential ARARs of RCRA Subtitle C").
   If, for example, CERCLA waste were . -
 to be disposed in a new land disposal
 unit, die minimum technology
 requirements in die RGRA design and
 Operating requirements for land disposal
 faculties (set forth at 410 CFR Part 284,
 Subparts K. L, M, and M) would be
 relevant and could be appropriate..
 depending on die site-specific
 circumstances. T&e action or facility
 regulated by die requirement—
• construction of a new Hand disposal
 tmit—is identical to due proposed
 remedial action, and die objective of
 creating secure """tafrimmt facilities
 where land disposal is necessary is the
 same for bodt RCRA and CERCLA. If
 die CERQA waste presento hazards
 that warrant secure disposal, die

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Federal Register /Vol. 53, No. 245 / Wednesday. December 21. 1988 / Proposed Rules      51447


                                                                 operations (40 CFR 61.153). for active
                                                                 waste disposal sites {40 CFR 61.156),
                                                                 and for waste disposal for demolition
                                                                 and renovation operations (40 CFR
                                                                 61.152), but no requirements for inactive
                                                                 •waste disposal sites for demolition and
                                                                 renovation operations. Therefore, the
                                                                 NESHAP will not be applicable to
                                                                 cleanup of an inactive waste disposal
                                                                 eite unless it was owned or operated by
                                                                 an asbestos mill, manufacturer, or
                                                                 fabricator, or contains waste from such
                                                                 sources. However, the NESHAP
                                                                 specified in 40 CFR Part 61, Subpart M
                                                                 may be relevant and appropriate to the
                                                                 control of emissions and access under
                                                                 CERCLA at an inactive waste disposal
                                                                 site for demolition and renovation
                                                                 operations because the situations may
                                                                 be sufficiently similar.
                                                                   The finding of relevance and
                                                                 appropriateness is based on several
                                                                 factors that are sufficiently similar in the
                                                                 NESHAP and the CERCLA situation and
                                                                 the suitability of the NESHAP to the
                                                                 specific site circumstances. Both the
                                                                 requirement and the remedial action are
                                                                 intended  to protect human health from
                                                                 exposure to a hazardous substance; the
                                                                 specific remedial action, like the specific
                                                                 requirements in the NESHAP, seeks to
                                                                 control harmful emissions from or
                                                                 contact with asbestos materials at a
                                                                 disposal site through proper
                                                                 management and mitigation measures.
                                                                 The media of concern are the same for
                                                                 both air contamination and direct
                                                                 contact with waste. The activity and
                                                                 facility involve in both cases the
                                                                 management or disposal of asbestos
                                                                 waste at a land disposal site. The only
                                                                 difference between the CERCLA
                                                                 situation  and the NESHAP concerns the
                                                                 regulated substance and entity, for the
                                                                 NESHAP does not cover asbestos from
                                                                 demolition and renovation operations at
                                                                 inactive sites. However, the problems
                                                                 from such asbestos may be very similar
                                                                 to those encountered at for example,
                                                                 inactive sites for mills and
                                                                • manufacturing: fugitive emissions of
                                                                 asbestos  particles may need to be
                                                                 eliminated and public access to the site
                                                                 controlled. Hence, it may be relevant
                                                                 and appropriate at the CERCLA site to
                                                                 comply with such NESHAP
                                                                 requirements as elimination of visible
                                                                 emissions (or capping of waste) and
                                                                 installation of warning signs and
                                                                 fencing.
                                                                 G. Examples of Potential Federal and
                                                                 State ARARs and TBCs
                                                                   Potential ARARs and TBCs include.
                                                                 but are not limited to. the following:
                                                                   1. Federal requirements which may be
                                                                 potential applicable or relevant and
                                                                '  appropriate requirements.
 minimum technology requirements may
 be appropriate for use at the site.
   ii CERCLA situations similar to
 regulated situation. Even where the
 substance found at a CERCLA site is
 legally identical to the substance
 addressed in a regulation, the situation
 at a CERCLA site may not technically
 match the situation addressed by the
 regulation. Nevertheless, if .the two
 situations are sufficiently similar, such  •
 that the requirement is well-suited to the
 CERCLA situation, the regulation may .
 still be both relevant and appropriate to
 the CERCLA site. Examples of such   •
 potentially relevant and appropriate
 requirements are given below from
 RCRA and other laws.
   For example, if RCRA hazardous
 waste disposed of before the effective
 date is located on a CERCLA site in a
 unit of size and character similar to
 RCRA-type units, and the remedial
 action is designed essentially to leave
 the waste in place, a portion of one or
 more of the closure requirements may be
 relevant and appropriate. Depending on
 site circumstances, such as the extent
 and mobility of contamination and
 bydrogeologic characteristics, either •
 disposal closure or "hybrid" closure (i.e..
 portions of the existing closure
 requirements) may be relevant and
 appropriate. The determination for
 either would be based on an evaluation
 of similarity between these additional
 pertinent factors: the objective of the
 RCRA requirement and the CERCLA
 action, and the ectionandfacility under
 consideration at the CERCLA site and
 those regulated by the RCRA closure
 requirement for disposal units. If there is
 sufficient similarity between these
 factors so that the requirement suits the
 CERCLA site circumstances, the
 requirement is relevant and appropriate.
   Taking landfill closure standards for
 the sake of simplicity, the objective of
 the closure requirements as stated
 above matches that of the CERCLA
 action: waste left at a site must be
 secured to prevent further releases or
 direct contact. The substances at the
 site in this example are RCRA
 hazardous wastes. The remaining
. pertinent criteria are whether the action
 and the facility contemplated at the
 CERCLA site are sufficiently similar to
 those regulated by the RCRA landfill
 closure requirements. Since hazardous
 waste above levels that allow for
 unrestricted use and unlimited exposure
 is being left at the site in a unit which,
 though not regulated under the landfill
 closure standards of RCRA. is similar in
 size and character to such a unit, the
 substantive closure requirements
 pertinent to the specific kind of unit on
 the site (i.e., landfill) as contained in 40
 CFR Part 284. Subpart N would directly
 suit the CERCLA action. Thus, it is
 relevant and appropriate to attain the
 specified cover system and post-closure
• care.
   If, however, the waste is widely
 dispersed and not contained in a RCRA-
 type unit use of RCf LA closure may not
 be appropriate. For instance, RCRA   •
 Subtitle C covers may not be
 appropriate under certain circumstances
 for large municipal landfills or large
 mining waste sites, if the waste is
 generally of low toxitity and the
 contamination is dispersed over a large
 area that bean little resemblance to the
 discrete units regulated under RCRA
 Subtitle C. (See draft: CERCLA
 Compliance with Other Laws Manual.
 Chapter 2. OSWER Directive No. 9234.1-
 01, for more discussion on this issue.)
 The administrative requirements in the
 closure regulations are not relevant and
 appropriate for on-site actions under
 any circumstances. (See ARARs
 preamble section above, "15.
 Substantive versus administrative
 requirements.")
   Even if they are not applicable.
 portions of RCRA requirements for
 tanks (40 CFR Part 264. Subpart J) may
 be relevant and appropriate for sites
 where temporary storage in tanks is
 required. For example, the requirement
 that tanks have sufficient minimum shell
 thickness and pressure controls to
 prevent collapse or rupture may be
 relevant and appropriate, since the
 purpose of the requirement is to ensure
 that the tank does not create additional
 environmental problems-due to its own
 failure. RCRA regulations also require
 that tanks have an inner lining or
 coating, or an alternative means of
 protection such as oithodic protection
 or corrosion inhibitors, in order to
 ensure that the tank is safe throughout
 its effective life. Thia requirement
 although relevant may not be
 appropriate in many situations. For
 example, if the tank:; were to be used
 only for relatively short periods, the full
 RCRA Subpart J standards, which were
 designed for long-term storage, may not
 be appropriate.         	
   Another example of a CERCLA
 situation which is similar to a regulated
 situation concerns the cleanup of certain
 kinds of asbestos waste. Emissions of
 asbestos fibers are controlled by 8
 National Emission Standard for
 Hazardous Air Pollutants (NESHAP)
 under the Clean Air Act The NESHAP
 in Subpart M of 40 CFR Part 61 includes
 requirements for inactive waste disposal
 sites for asbestos mills and
 manufacturing and fabricating

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 S1448      federal Register / VoL 53. No. 245 / Wednesday. December 21.H988 / Proposed
  LEPA'sCfficeofSolidWastE
administers, inter alia, Ihe-Resoarce •  -
Conservation and Recovery Act of 1976,
as amended. {42 ILS.C«901). -Potentially
•applicable or relevant and appropriate
requirements .pursuant to dhat Act «re:
  •.•Open Dump CriteriaPursuant to
RCRA Subtitles criteriaibr
classification.of solid ^waste.dispoial
facilities {40-CER Part £57}.lNote:Only
relevant tononhazardousavastes.  •
 governing standards forxnwners«nd
 operator* of hazardous waste treatment.
 •forage, -and disposal facilities {40 CFR
 Part 264. for-pennhted facilities, and 40
 CFR Fait 2SS,Iorinterim states
 facilities):
   ^13 Ground-Water Croteotion and
 Monitoring (40 CFR 2S4.90-26U01).
   (2) Closure and Post-CJo«ire-(40 CFR
 2G43I&-2S4.120J.
   (3) Conta£ners.(40CFR.264J70-
 2GU78).
   (4J Tanks (40.GFR.264490-26&20Q).
   (5) Surface Impoundments .{40 CFR
 2G1220-25t249).
   16] "Waste Piles {40CER .284^50-
 20C2G9).
   ITJLandTreatment (40 CFR.264.270-
 2G4299).
   (8) Landfills (40 CFR 264-300-264339).
   (9) Incinerators {40 CER 254.340-
 204.999).
   (10) Land Disposal Restrictions 190
 CfR268.1-26330J.
   (11) Dkudn-containlng wastes J[SO FR
 1978).
   (12) Standards of performance for
 storage vessels for petroleum liquids (50
 CFR Part 60. SubpartsK and:K{a]).
   (IS) Codfficab'onjrule-forl9S4 RCRA-
 aacndnjents'(50FR 28702. Julyl5,19S5;
 S3 FR 45783, December 1.1987).
   ii. EPA's Office of Water administers
 several potentially applicable or
 relevant and appropriate statutes and
 regulations issued thereunder:
   a. Section It2 of the Public Health
 Service Act es amended by the Safe
 Drinking Water Act as amended, (42
 U^.C. 3000TJ).
   (1) Maximum Contaminant Levels (for
 all sources of drinking -water exposure)
 (43 CFR 141.11-141.16).
   (2) Maximum Contaminant Level'
 Goals (40 CFR 141 -SO-141J51. 50 PR
 46930].
   (3) Undergroundlcjection Control
 Regalations-flO CFR Parts 154,145. K6.
 147).
   b. Clean Water Act. .as amended, (33
 U.S.C.1251).
   (1) Requirements established pursuant
 to sections 301.302,303 (includingState
•water quality standards). 304,300.307
(including Federal pre treatment
requirements for discharge into a
publicly owned treatment works).-SOS.
 M2.403 and 404 of the dean Water Act
 {33 CFR Parts 320-329.40 CFR Parts 122,
 123.125.131,230,231,233,400-489).
   <2) Available Federal Water Quality
 •Criteria documents are listed at 45 FR
 79318. November 28,1980; 49 FR 5831,
 February 15.3384; 50 FR-30784, July .29.
 I985.-51ER!803Z.March-r.1fl8e;51fR
 22976.fane.28.198e; .51ER 43665.
 December 3,1988; 52 FR £213, March 2,
 1987.....       ...              .
   {3)<3ean Water Actirection404(b)(l)
 Guidelines far Specification nf Disposal
 Sites for Dredged or Fill&faterial.{40
 CFR Part 230J.
   {4J Procedures for Denial or
 Restriction of Disposal Sites for Dredged
 Material {Clean Water Act section
 404(c) Procedures. S3 CFR Parts 320-329.
 40CFR Part 231).
   c. Marine Protection. Research, and
 Sanctuaries Act (33 US.C. 1401).
   (1) Incineration at sea requirements
 {40 CERParts 220-225.227.228-.See also
 40 CFR 12SJ20-125.124).
   iiL EPA's Office-of Pesticides and
 Toxic Substances .administers the Toxic
 Substances Control Act [15 U.S.C. 2601). -
 Potentially applicable orrelevant and
 appropriate requirements pursuant to
 that Act are:                •   	
   PCS requirements generally: 40 CFR
 Part 7B1: Manufacturing. Processing,
 Distribution In Commerce, and Use of
 PCBs andPCB Items (40 CFR.761.2Q-
 7B1.30); Markings ofPCBs and PCS
 Items {40 CFR 761.40-761.45i Storage
 and Disposal {40 CFR763-60-7gLZ9);
 Records and Reports {40 EERTELISO-
 76L185J.Seealso40CESl2Ba05.75a
  iv. £PA"s Office af External Affairs
 administers potentially applicable or
 relevant and appropriate requirements
 regarding requirements for iloodplains
 and wetlands (40 CFR Part 6. Appendix
 A).
  v. EPA*s Office of Air and Radiation
 administers several potentially
 applicable or relevant and appropriate
 statutes and regulations issued
 thereunder:
  a. The Uranium Mill Tailings
Radiation Control Act of 1978 J42 U.S.C.
2022} and Health and Environmental
Protection Standards for Uranium and
Thorium Mill Taflrngs (40 CFR Part 192).
  b. Clean Air Act (42 U.S.C. 7401).
  .{!) National Primary and Secondary
Ambient Air-Quality Standards fS3 CFR
  (2)-Standards for •Protecting Against
Radiation (lOCFRPart 20). See also 10
CFR Parts 10.40.60.61,72,960.981.
  (3) National Emission Standard for
Hazardous Air Pollutants -(40 CFR Part
61). See also 40CFR 427.110-427.116.
763.
  (4) New source performance
standards (40 CFR Part 60).
                                                                                VL Other Federal letjmrenients:
                                                                                a.' OSHATeqmremeatslor irorkers
                                                                              engaged in response activities are
                                                                              codified under fhe Occupational Safety
                                                                              and HeaMh Actflf M70129 U-S.C-851).
                                                                              The relevant regulatory requirements
                                         (l)OccnpaQonalSafety and Health
                                       Standards {General Industry Standards)
                                       {29CFRPartt910).
                                         (2) The 'Safety and HeaTtfa-Standarda
                                       for Federal 'SeniceCioHtracts (29 CFR
                                       Part 1926).
                                         (3) The Health and Safety Standards
                                       for Employees Engaged in Hazardous
                                       Waste Operations {29CFR 1910.120).
                                         b* $f stioxuu Tfj&toric Ftcscrvstion Act
                                       (18 U.S.C. 470). (^omplinnce -with NHPA
                                       required pursnaot to T CFR Part 650.
                                       Protection of Archaeological Resources:
                                                               rnnent of
                                                                            Defense (32 CFR Part 229). Department
                                                                            of the Interior {43 CFR Part 7).
                                                                              c. D.O.T. Rules f orthe Transportation
                                                                            of Hazardous Materials, 49 CFR Parts
                                                                            107, 171. 172.
                                                                              d. The following requirements are also
                                                                            potentially ARARforFund-financed
                                                                            actions: .
                                                                              (1) Endangered Sjiecies Act of 1973 (18
                                                                            U.S.C. 1531). Generally. 50 CFR Parts 81.
                                                                            225.402.
                                                                              (2) Wild and Scenic Rivers Act (16
                                                                            U.S.C.1271).
                                                                              {3) Fish and WildlifeCoordination Act
                                                                            (16U.S.C.-661mtte).
                                                                              (4) Federal Insecticide, Fungicide, and
                                                                            Rodentici
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           Federal Register / Vol. 53, No. 245 / Wednesday. December 21. 1988./ Proposed Rules.	S1449
  vii. Approved Slate underground
injection control (UIC) programs cndei
the Safe Drinking Water Act
  viii. Approved State wellhead
protection programs.  •
  ix. State water quality standards.
  x. State air toxics regulations.
  3. Other Federal criteria, advisories.
and guidance, to be considered.
  i Federal Criteria. Advisories, and
Procedures.
  a. Health Effects Assessments (HEAs]
and Proposed HEAs ("Health Effects
Assessment for (Specific Chemical)"},
ECAO. USEPA, 1985).
  b. Reference Doses (RffJs). (^Verified
Reference Doses of USEPA." ECAO-
CIN-475. January 1986).   •
  c. Carcinogen Potency Factors (CPFs).
(Table 11, "Health Assessment
Document for Tetrachloroethviene
(Perchloroethylene)." USEPA, OHEA/
600882/005F. July 1985).
  d. Pesticide registrations and
registration data.
  e. Pesticide and food additive
tolerances and action levels. Note:
Germane portions of tolerances and  •
action levels may be pertinent and
therefore are to be considered in certain
situations.
  £ PCS Spill Cleanup Policy (52 FR
10688, April 2.1987).
  g. Waste load allocation procedures
(40 CFR Parts 125.130).
  h. Federal sole source aquifer
requirements (52 FR 6873, March S.
1987).-
  i. Public health basis for the decision -
to list pollutants as hazardous under
section 112 of the Clean Air Act.
  j. EPA's Ground-Water Protection
Strategy.
  k. Guidance on Remedial Actions for
Contaminated Ground Water at
Superfund sites (Draft. October 1386)
establishes criteria for the use of
background concentrations and ACLs.
  L Superfund Public Health Evaluation
Manual.
  m-TSCA health data.
  n. TSCA chemical advisories.
  o. ATSDR Toxicologies! Profiles.
  p. Advisories issued by FWS and
NWFS under the Fish and Wildlife
Coordination Act.
   q. TSCA Compliance Program Policy
("TSCA Enforcement Guidance Manual
Policy Compendium," USEPA. OECM.
OPTS. March 1985).
   r. Health Advisories. EPA Office of
Water.
   s. EPA/DOT Guidance Manual on
Hazardous Waste Transportation.
   u. USEPA RCRA Guidance
Documents.
   a. Alternate Concentration limits
 {ACL) Guidance (draft).
   b. EPA's RCRA Design Guidelines
  (1) Surface Impoundments—Liner
Systems. Final Cover, and Freeboard
Control.
  (2) Waste Pile Design—liner Systems.
 • (3) Land Treatment Units.
  (4) Ijmdfill Design—liner Systems
and Final Cover.
  c. Permitting Guidance Manuals.
  (!) Permit Applicant's Guidance
Manual for Hazardous Waste Land
Treatment Storage, and Disposal
Facilities.
  (2) Permit Applicant's Guidance
Manual for the General Facility
Standards of 40 CFR Fart 264.
  (3) Permit Writer's Guidance Manual
for Hazardous Waste Land Treatment
Storage, and Disposal Facilities.  •
  (4) Permit Writer's Guidance Manual
for file Location of Hazardous Waste
Land Storage and Disposal Facilities:
Phase I, Criteria for Location
Acceptability and Existing Regulations
for Evaluating Locations.
  (S) Permit Writer's Guidance Manual
forSubpartF.   ..
  (6) Permit Applicant's Guidance
Manual for the General Facility   •
Standards.
  (7) Waste Analysis Plan Guidance
Manual
  (8) Permit Writer's Guidance Manual
.for Hazardous Waste Tanks. .
  (9) Model Permit Application for
Existing Incinerators.
  (10) Guidance Manual for Evaluating
Permit Applications for the Operation of
Hazardous Waste Incinerator Units.
  (11) A Guide for Preparing RCRA
Permit Applications for Existing Storage
Facilities.
  (12) Guidance Manual on Closure and
Post-Closure Interim Status Standards.
  d. Technical Resource Documents
fTRDs).
  (1) RCRA Ground-Water Monitoring
Technical Enforcement Guidance
Document
  (2) Evaluating Cover Systems for Solid
and Hazardous. Waste.
  (3) Hydrologic Simulation of Solid
Waste Disposal Sites.
  (4) Landfill and Surface Impoundment
Performance Evaluation.
  (5) Lining of Wetter Impoundment and
Disposal Faeiirtie&.
  (6) Management of Hazardous Waste
Leachate.
  (7) Guide to the Disposal of
Chemically Stabilized and Solidified
Waste.
   (8) Closure of Hazardous Waste
 Surface Impoundments.
  (9) Hazardous Waste Land Treatment
   (10) Soil Properties. Classification.
 and Hydraulic Conductivity Testing.
   e. Test Methods for Evaluating Solid
 Waste.
  (1) Solid Waste Leaching Procedure
Manual.
  (2) Methods for the Prediction of .
Leachate Plume Migration and Mixing.
  (3) Hydrologic Evaluation of Landfill
Performance (HELP) Model Hydrologic
Simulation and Solid Waste Disposal
Sites.
  (4) Procedures for Modeling Flow
Through Clay liners to Determine
Required Liner Thickness. .
  (5) Test Methods for Evaluating Solid
Wastes.
  (6) A Method for Determining the
Compatability of Hazardous Wastes.
  (7) Guidance Manual on Hazardous
Waste Compatability.
  iii USEPA Office of Water Guidance
Documents.
. ' a. Pretreatment Guidance Documents.
  (1) 304fg) Guidance Document on
Revised Pretreatment Guidelines (3
volumes).
  b. Water Quality Guidance
Documents.
•  (1) Ecological Evaluation of Proposed
Discharge of Dredged Material into
Ocean Waters (1977).
  (2) Technical Support Manual:
Waterbody Surveys and Assessments
for Conducting Use Attainability
Analyses (1983).
  (3) Water-Related Environmental Fate
of 129 Priority Pollutants (197S).
  (4) Water Quality Standards
Handbook (1983).
  (5) Technical Support Document for
Water Quality-Based Toxics Control.
  (6) Developing Requirements for
Direct and Indirect Discharges of
CERCLA Wastewater (1987).
  c. NPDES Guidance Documents.
  (1) NPDES Best Management Practices
Guidance Manual (Jane 1981).
  (2) Case studies on toxicity reduction
evaluation (May 1983). .
  d. Ground Water/UIC Guidance
Documents.
  (1) Designation of a USDW.
  (2) Elements of Aquifer Identification.
  (3) Definition of major facilities.
  (4) Corrective action requirements.
  (5) Requirements applicable to wells
injecting into, through, or above an
aquifer that has been exempted
pursuant to 4O CFR 146.104(b)(4).
  (8) Guidance for UIC implementation
on Indian lands.
  e. Clean Water Act Guidance
Documents.
  f. Guidance for Applicants for State
Well Head Protection Program
Assistance Funds under the Safe
Drinking Water Act (Office of Ground-
Water Protection. June 1987).
  iv. USEPA Manuals from the Office of
Research and Development

-------
 51450    Federal Register / Vol. S3, No. 245 / Wednesday. December 21. 1988 / Proposed Rules-
  a. EW 846 methods—laboratory
analytic methods.
  b. Lab protocols developed pursuant
to Clean Water Act section 304[h).
  v. Other.
  a. Data Quality Objectives, Volumes I
ondH.
  b. Guidance for Conducting Remedial
Investigations and Feasibility Studies
Under CERCLA (Draft).
  c. Guidance on Preparing Superfund
Decision Document The Proposed Plan
and Record of Decision (Draft).
  d. Standard Operating Safety Guides.

H. Community Relations
  By adding sectionllT. "Public
Participation," to CERCLA, Congress
clearly indicated its intention that
affected communities be informed about
and involved in the decisions regarding
the Superfund program's response to
hazardous releases. Congress directed
EPA to ensure that affected communities
would be involved from the outset in
developing and selecting the actions
necessary at a site. EPA strongly
believes that community relations is an
integral part of the Superfund program
and,encourages a coordinated effort
among Federal agencies and States as
well as among technical, enforcement
and community relations staff to ensure
that the concerns of the public are
considered and addressed.
  Today. EPA proposes to revise the
community relations requirements of the
NCP to reflect the public participation
provisions of CERCLA. The current NCP
explains in a single section (§ 300.87) the
requirements for community relations.
EPA proposes to intersperse community
relations requirements throughout the
NCP in conjunction with the actions to
which they apply: during removal
actions (§ 300.415} and remedial actions
(§ § 300.430 and 300.435). including
enforcement-related community
relations activities. The major
substantive changes in these
requirements,  summarized below, are
either dictated by the 13S6 amendments
to CERCLA or are the result of
procedures developed under the
community relations program over the
past seven years. Guidance for meeting
Superfund community relations
requirements is contained in
"Community Relations in Superfund: A
Handbook." EPA No. 9230.0-3A (March
1386).
  1. Public comment period daring
removal actions (§3OO.4IS(n)). The
proposed rule  provides for notice in a
local newspaper of general circulation to
announce a minimum 30-calendar day
comment period for Fund-financed and
enforcement sites where there is a
planning period of at least six months
 from the determination, based on the
 site evaluation; that a removal is
 appropriate. This gives the public.
 including PRPs, an opportunity to review
 and comment on the document
 describing the removal activities
 proposed for the site, ie^ the  .
 •Engineering Evaluation/Cost Analysis
 (EE/CA) or its equivalent in non-time-
 critical situations. The lead agency shall
 prepare responses to significant
 comments. The proposed rule also
 provides for a comment period, where
 appropriate, for time-critical removal
 actions. (See Subpart I for
 administrative record requirements.).
   2. Other community relations
 requirements during removal actions
 (§3OO.41S(nJ). EPA proposes to add a
 requirement that three major community
 relations activities be initiated for non-
 time-critical or time-critical removal
 actions where on-site removal activities
 will last longer than 120 calendar days.
 First, EPA proposes that interviews with
 State and local officials, residents,
 public interest groups, or other
 interested or affected parties, as •
 appropriate, be conducted within the
 community. The purpose of the
 interviews is to identify firsthand the
 specific information needs and site-
 specific methods for encouraging
 dialogue with the community. Second,
 EPA proposes that a formal community
 relations plan (CRP) be developed from
 the information obtained during the
 community interviews. The CRP
 specifies the community relations
 activities the lead agency expects to
 undertake during the response action.
 Third. EPA proposes that at least one
 information repository be established at
 or near the facility. (See community
 relations preamble section below. "4.
 Information repository for removal and
 remedial actions.")
   In the current NCP. a CRP must be
 developed if the response activities are.
 expected to exceed 45 days; neither  •
 community interviews nor an
 information repository are required. The
 additional time allocation in the
 proposed regulation (120 days) provides
 more flexibility, allows for more
 effective use of lead agency resources,
 and also provides a more realistic time .
 period for assessing the community's
 specific needs.
  . In the case of removals lasting less
"than 120 days, the lead agency is still
 responsible for ensuring that a
 spokesperson is designated, that
 accurate and timely information is
 provided to the public, and that public
 concerns are considered, whenever
 possible.
   3. Community interviews and
 Community Relations Plan daring
'removal and remedial actions
(§300.415(n) and(§300.430(c)}.
Community interviews have been
required since 1S33 as a matter of EPA
policy and were discussed in the   .
preamble to the proposed 1985 revisions
to the NCP in relation to remedial
actions. The requirement that
community' interviews be conducted for
certain removals and nil remedial
actions is consistent with existing
guidance for remedial actions and
•reflects EPA'* experience that such
interviews have considerable value in
identifying community-specific interests
that should be reflected in the CRP to
assure that community concerns are
considered in managing the response
action. Experience has also shown that
these interviews assist in gathering
information, that is useful in conducting
the response action at the site, e.g., in
identifying potentially responsible   >
parties. However, EPA has deliberately
chosen not to specify in the proposed
NCP how the interviews should be
conducted or who should be
interviewed. -
  The lead agency, in consultation with'
the support agency, will decide the
number and type of interviews that are
appropriate to accomplish the objective
of developing an accurate picture of
community needs and concerns when
preparing the CRP. How many and what
kind of interviews to conduct generally
depends on whether tine lead agency is
already aware of community concerns
through prior interaction with the
community and interested-parties, e.g.,
through public participation related to
permitting a unit of a facility which later
requires CERCLA. response action.
Interviews may range from formal
question and answer sessions
requesting the opinions of many citizens
about a variety of aspects of a site
history and community values to only a
few, informal discussions in person or
by telephone with selected, well-
informed individuals who clearly
represent the community. Only a few
selected interviews or informal
discussions may need to be conducted  •
to verify information and ask questions
on specific issues where the lead agency
already is largely aware of community
concerns through prior interaction with
the community and interested parties. In
these cases, interviews with a local
official, the facility owner/operator, or a
leader of the local interest group, as
appropriate, may be used to round out
information already available to the
lead agency.
  4. Information repository for removal
and remedial actions (§§300.415(n) and
3OO.43O(c)). Items made available for

-------
            Federal Register / VoL S3. No. .245 / Wednesday, December 21. 1888 / Proposed Rules     SJL451
 public information are to be kept in an
 information repository and shall be
 available for public inspection and
 copying at or near the facility at issue.
 EPA proposes that at least one
 information repository be established at
 or near each site in order to fulfill this
 requirement Hie purpose of the
 information repository is to provide
 members of the community easier
 access to site-related documents.
 Further, one copy of the administrative
 record file for selection of response.   .
 action may be kept in one of the
 information repositories, as specified in
 Subpart L
.  For non-time-critical or tune-critical
 removal actions where on-site removal
 activities will hist longer than 120 days.
 at least one information repository will
 be established at or near the location of
 the action. For remedial actions. EPA is
 proposing that the information
 repository be established when the final
 remedial investigation/feasibility study
 workplan is available to the public. EPA
 proposes that the lead agency shall
 inform interested parties of the
 establishment cf the information
 repository.  *
   S. Pxb/ic participation daring
 remedial actions (§300.430(fl). Sections
 11" (a) and (d) of CERCIA require that
 the proposed plan, which briefly
 analyzes the remedial action
 alternatives studied in the feasibility
 study (FS) and describes a preferred
 remedial action alternative, be made
 available to the public, including PRPs.
 el or near the facility at issue. The
 information repositories wiB be used to
 meet this requirement. The statute also
 requires that a notice of availability and
 n brief analysis of the proposed plan be
 published in a major local newspaper of
 general circulation. The notice of
 availability and brief analysis published
 in the newspaper shall include sufficient
 information to provide a reasonable
 explanation of the proposed plan and
 alternatives considered. EPA also
 proposes to require that the FS be made
 available to the public at the
 information repositories.
   The proposed regulation also requires
 that the lead agency provide a
 reasonable opportunity for submission
 of written and oral comments and an
 opportunity for a public meeting
 regarding the Rl/FS. the proposed plan,
 and any proposed waivers under section
 121(d)(4) relating to cleanup standards.
 EPA is proposing that this public
 comment period shall be no less than 30
 calendar days. This is consistent with
 comment periods for NFL additions.
 deletions, and consent decrees. This
 proposal is an extension of the 21-
 calendar-day public comment period In.
 the current NCP.
   The proposed regulation further
 requires that the lead agency keep a
 transcript of the public meeting on the
 proposed plan and the supporting
 analysis and information held during the
 public comment period pursuant to
 section 117{a} and make the transcript
 available to the nuljli&,Transcrij3t3iare
 required for formal public meetings only.
 Additional formal find/or informal
 public meetings held pursuant to section
 117(a] during the public comment period
 •where the lead agency is present and
 there is a discussion of the FS. the
 proposed plan, and proposed waivers to
 cleanup standards i ihould also be
 documented in an'tippropriate form. Any
 further substantive oral communications
 regarding these issues which are;
•received by any other means  such as
 phone calls or meetings with individuals
 or small groups during the public
 comment period should also be
 documented by the lead or support
 agency. In all cases where EPA receives
 documents or comments that  are
 relevant to selection of the response
 action, the documents end a summary of
 the comments should be prepared and
 placed in the administrative record.
   6. Responsiveness summaries after
 public comment periods {§§ 300.415{n},
 300.425{d), 300A251&), 300.430(f).
 300.815(b), 300.820(b)). CERCLA requires
 the lead agency to develop a response to
 significant comments, criticisms, and
 new data received in written  or oral
 form during the public comment period
 on the proposed plan pursuant to section
 117(a). In the proposed regulation, EPA
 also requires public comment periods for
 removal actions (see above, paragraph
 1.), proposed additions and deletions to
 the National Priorities List, issuance of a
 revised proposed  plan, and ROD
 amendments.
   The purpose of  the requirement to
 respond is to document how public
 comments have been considered during
 the decisionmaking process and provide
 answers, if possible, to major questions.
 A responsiveness summary can be used
 to respond to comments. The
 responsiveness summary should be a
 concise summary  of significant
 comments received during the comment
 period from the support agency and the
 public, and the lead agency's response
 to these comments. It should not be a
 point-by-point recitation and rebuttal of
 each comment. Rather, extensive
 comments should be summarized, and
 similar comments should be grouped,
 together for a single response.
   7. Addressing significant changes
 prior to the adoption of the final
remedial action flan (§ 300.43O{f». The
lead agency wiD need to identify and
address significant changes {bat may
occur from the time that the preferred
alternative was presented in the
proposed plan to the adoption of the
selected alternative in the Record of
Decision (ROD). If significant changes
do occur during this period, the lead
agency, shall provide, as required by
section Il7(b] of CERCLA, "a discussion
of any significant changes (and the
reasons for such changes}" in the ROD.
In addition to this statutory requirement
today's proposal specifies the limited
circumstances where additional public
comment would be necessary prior to
fjnn) adoption of the alternative in the
ROD.
  The determination of whether a
significant change has occurred is a site-
specific determination which shall be
made by the lead agency. Typically.
significant changes that occur after the
public comment period win affect the
scope, performance, or cost of the final
alternative. Today's proposal focuses on
significant changes affecting these
aspects of the final remedial alternative.
  In the event that a significant change
has been identified, the lead agency will
need to determine whether the public
could have reasonably anticipated the
significant change based on the
information presented in the RI/FS
report and the proposed plan. Where the
lead agency determines that the public
could have reasonably anticipated the
change, the lead agency need only
document the change in the ROD, as
proposed in § 300.430(f}(2)lA). Where
the lead agency determines that the
.change could not have been reasonably
anticipated by the public, the lead
agency will reissue the proposed plan
and solicit further public comment in
accordance with 5 300.430[£)(2)(B). A
responsiveness summary may also be
developed to document comments and
agency responses.
  8. Notice of availability of the ROD
f§300.430ff)}. This section provides that
a notice of the signed ROD shall be
published in a major local newspaper of
general circulation and that the ROD
will be made available to the public at
the information repositories before
commencement of any remedial action.
  8. Changes to the ROD after its
adoption (§ 3O0.43S(c}). This section
incorporates the requirements of section
117(c) of CERCLA that the lead agency
publish an explanation of the significant
differences when significant changes
occur after the ROD is signed and the
section 117(d] requirement mat a notice
summarizing the significant changes be
published in a major local newspaper of

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  51452     Federal Register / Vol. 53. No. 245 / Wednesday. December 21.  1988 / Proposed Rules
  general circulation. In addition, this
  tection proposes to distinguish between
  an explanation of significant
  differences, which announces a
  significant change in the selected
  remedy, and a ROD amendment which
  fundamentally alters the remedy
  selected in the ROD. The lead agency
  •will need to make this determination
  whenever the remedial action under
  section 104 or 120, enforcement action
  under section 106, or settlement or
  consent decree under section 106 or 7*?.
  differs significantly from the selected
  remedy in the ROD. The lead agency
  will decide whether to issue an  •
  explanation of significant differences or
  to propose a ROD amendment based on
  site-specific information and the impact
  (he significant change has with respect'
  to scope, performance, or coat on the
  remedy selected in the ROD. During this
  decision process,  the lead agency should
  notify and consult with the support
  agency, as appropriate.
   The lead agency must identify when a
  remedial action, settlement or decree
  differs significantly from the ROD. If the
  identified remedial action, enforcement
  action, consent decree, or settlement
  does not fundamentally alter the remedy
  selected in the ROD with respect to
  scope, performance, or cost the lead
  agency will issue  an explanation of
  signincant differences to announce the
  significant change. For example, the
  lead agency may determine that the
  attainment of a newly promulgated
 ARAR is necessary, based on new
 scientific evidence, because the existing
 ARAR is no longer protective. Where
 this new ARAR would affect a basic
. feature of the remedy, such as timing or
 cost but not fundamentally alter the
 remedy specified in the ROD, the lead
 agency would need to issue an
 explanation of significant differences
 announcing the change.
   If the action, decree, or settlement
 fundamentally alters the ROD in such a
 manner that the proposed action, with
 respect to scope, performance, or cost is
 no longer reflective of the selected
 remedy in the ROD, the lead agency win
 propose an amendment to the ROD. For
 example, the lead agency may have
 selected an innovative technology as the
•waste management approach in the
 ROD. Studies conducted during remedial
 design may subsequently indicate that
 the innovative technology will not
 achieve the remediation levels specified
as protective of human health and the
environment in the ROD. The lead
agency, based on this information, may
determine that a more conventional
technology, such as thermal destruction,
should be used at the site. In this event
  the lead agency will propose to amend
  the ROD.
    Section 122(d}(l)(A) of CERCLA
  provides that whenever EPA enters into
  an agreement with any PRP to undertake
  a remedial action, the agreement shall
  be entered as a judicial consent decree.
  Section 12Z(d}(2) requires that DOJ
  provide the public with an opportunity
  to comment on the proposed consent
  decree at least 30 days prior to its entry.
  Where the proposed consent decree
  fundamentally «hert the ROD. EPA
•  contemplates that ft will issue a
 • proposed ROD amendim-nt concurrent
 • with the proposed consent decree, and
  that the public comment period provided
  pursuant to section 122(d)(2) shall
  satisfy the requirements for additional
  public comment for e ROD amendment
   When an explanation of gign^cgat
  differences is issued, the lead agency
  will consult with the support agency.
  (unless a SMOA, cooperative
  agreement or Superfimd State contract
  requires concurrence) prior to notifying
  the public in a major local newspaper of
  general circulation. This public notice
  will summarize the explanation of
  significant differences by identifying the
  significant changes and the reasons' for
  the changes. The lead agency will also
  place the explanation of significant
  differences and information supporting
  the decision in the information
  repository and administrative record
  file.
   When the lead agency determines that
  the ROD should be amended, the lead
  agency will propose a ROD amendment
 and make flifo document and supporting
 information available for public
 comment following the requirements
 specified in §§ 300.430(0 (1) and (2) of
 today's proposed rule. In addition,
 where the lead agency proposes to
 amend a ROD that was signed prior to
 the enactment of the 1986 amendments
 to CERCLA. the proposed amendment
 shall be subject to the requirements
 specified in CERCLA section 121.
   EPA believes that the appropriate
 threshold for amending a ROD is -when a
 fundamentally different approach to
 managing hazardous wastes at a site Is
 proposed. As a result EPA has
 determined that a ROD amendment
 decision should be made after
 consideration  of public comments and
 should undergo the same public and
 support agency involvement as a
 proposed plan.
   10. Community relations during
 enforcement actions (§3O0.430(c}). The
 proposed revisions clarify the respective
 roles of lead agencies and responsible
 parties during  enforcement actions. The
 proposed regulation provides that the
 lead agency for an enforcement action
 comply with the same community
 relations requirements as under Fund-
 financed actions (ie_ §§ 300.155,
 300.415(c), 300.430 (c) and (fj, and
 800.435(c}). At the discretion of the lead
 agency, responsible parties may
 implement aspects of the government's
 community relations program under the
 oversight and direction of the lead
 agency. Responsible parties may. of
 course, initiate their own additional
 community relations activities, e.g.,
 preparing fact sheets arid/or conducting;
 public meetings. However, die lead
 .agency is still responsible for planning
 and implementing the government's
 community relations program.
   For enforcement actions, EPA believes
 that it may be appropriate to hold
 meetings with the public, including
 PRPs, in order that concerns about the
 remedy can be raised and discussed
 among all parties.
   Section 300.67(1) of the current NCP.
 which allows the community relations
 plan to be modified or adjusted at the
 direction of a Federal district court has
 been deleted. The public participation
 requirements of sections 133(fc] and 117
. of CERCLA contemplate a community
 relations effort that is outside of fee
 jurisdiction of the Federal district courts.
 In addition, CERCLA's statutory scheme
 of remedy selection is one of an
 .administrative process with full public
 participation prior to the filing of an
 action under CERCLA section 106.
 Given those factors, EPA has
 determined that it is most appropriate to
 delete that section of the current NCP.
   11. Community relations during
 remedial design/remedial action
 (§ 3OO.435(c)). It is EPA'z intent to
 continuously undertake activities that
 involve affected communities and
 interested parties in actions taken at a
 site. To that end, EPA proposes in
 f 300.435(c) to add a requirement for
 community relations after adoption of .
 the ROD, and solicits comment on other
 potential community relations
 requirements during the remedial design
 (RD) and remedial action fRA) phases of
 site activity.
  EPA propones that the lead agency
 shall revise the community relations
 plan (CRP) as necessary to address
 community concerns during tile RD/RA
 phases of action, if not already   . .  . •
 addressed by the CRP. Jt is
recommended that whenever possible,
this revision be based on interviews '
with local officials, citizens, interest
groups, PRPs, or others in the affected
community, as appropriate, based on the
judgment and experience of the lead
agency. Revising the CRP ensures that .

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           Federal Register / VoL 53. No. 245- / Wednesday. December 21. 1988 / Proposedjtules_
                                                                    51453
citizen concerns about the remedy
design and construction are addressed
through appropriate community
relations activities throughout the
implementation of the final remedial
action.
  EPA is considering including other
community relations requirements
during RD/RA and solicits comments on
the advisability of doing so. For
example, the lead agency could be   •
required to prepare a fact sheet or other
public information document on the
proposed remedial design which would
inform the public about the design prior
to its completion. Hie public could be
notified of the availability of the fact
•beet or document through a variety of
techniques, such as a mailing to those on
the site mailing list or an advertisement'
placed in a local newspaper of general
circulation. Another example could be
to require the lead agency to provide an
opportunity for a public information
briefing prior to the initiation of on-site
activity. Construction activities and
workplans could be explained with a
discussion of any short- and long-term
benefits and impacts of the construction
and final remedy on the surrounding
community. The public could be notified
of such a meeting through a mailing, an
advertisement, or other techniques
chosen by the lead agency. Another
example would be to require notification
to the public of the beginning and end of
the remedial action phase. Again, this
notification could be done through the
method determined by the lead agency
to be most effective for reaching
members of the public interested in the
specific site.
  12. Other person participation
(§300.700). Section 300.700(c) proposes
that private parties undertaking
response actions shall, in order to be
consistent with the NCP, comply with
either the public participation
requirements for Fund-financed
response actions (including 85 300.155,
300.415(n),  300.430 (c) and (fj. and
300.435(c}}  or State and local
requirements which provide a
 substantially equivalent opportunity for
 public involvement in the choice of
 remedy.
 Section 300.435 Remedial Design/
 Remedial Action/Operation and
 Maintenance.
   This  section is entirely new. EPA
 proposes to add this section to the NCP
 because, as discussed earlier, EPA is
 reorganizing the NCP to make it
 correspond more accurately with the
 order in which response actions are
. usually implemented. The current NCP
 does not address the activities discussed
 in this  section. The purpose of remedial
design {RDJ is to design and draft the
specifications for the remedy selected
wider i 300.430. The purpose of remedial
action (RA) is to implement the remedy
selected. The purpose of operation and
maintenance (O&M) is to maintain the
integrity of remedial notions when the
remedial action is complete. EPA today
proposes to codify this last portion of
the response process.
  The following discussion generally
follows the outline of the proposed
regulatory language and explains _
significant points paragraph by
paragraph.
  1. General and RD/RA activities
(§§300.435 (a) and (b]J. Paragraph (a) of
S 300.435 gives a general description of
RD/RA and O&M to assist the reader in
understanding these Activities.
  Paragraph fb)(l] stiles that RD/RA
activities must be consistent with the
language of the ROD regarding those
activities. Although the ROD may not
specify all of the details of RD/RA
activities, the implementation of RD/RA
activities must flow from tne remedy
selected in the ROD und not be
inconsistent with, tit substantively
different from, the remedy and the intent
stated in the ROD.
  Paragraph {b](2) states that all Federal
and State ARARs id(oitified for the
specific site, or that Ihe conditions of
any waivers of ARAIRs must be met
during the RD/RA. Note that the ARARs
preamble section also discusses ARARs
that may be identified during the RD
(paragraph F.12).
  2. Community relations. See Subpart
E, § 300.430 preamble section "H.
Community Relations," for discussion of
J 300.435(c) and all other community
relations requirements.
  3. Contractor conflict of interest
(§300.43S(d)). This paragraph addresses
remedial action contractors who are
potentially responsible parties at a site.
Frequently, these contractors will have a
conflict of interest which prevents them
from serving the best interests of the
State or Federal government in the
 capacity of remedial, action contractors
 carrying out CERCLA section 104
 activities. This parajjraph requires the
 lead agency to include in  the bidding
 documents language requiring potential
 contractors to disclose all pertinent
 information regarding then- status as
 potentially responsible parties, including
 the status of their parent companies.
 their affiliates, and their subcontractors.
 Furthermore, fee potential contractors
 must certify that they have disclosed all
 such information or that no information
 exists regarding their status as
 potentially responsible parties.
  The new paragraph also requires the
lead agency to follow certain procedures
•during the awarding of remedial action
contracts to safeguard against
contractor conflict of interest The lead
agency must verify prior to awarding the
contract that the potential contractor
and subcontractors do Dot have any
conflicts of interest that would affect
their performance". The proposed
regulatory language would allow the
lead agency the discretion to opt for
actions less severe than denial of the
contract award for situations in which
the contractor's role at the site has been -
very minor or is not yet determined. In
such a situation, the lead agency may, in
the interest of saving time and money,
elect to proceed with a contract award.
and ensure enhanced government
oversight of die remedial action. The
new paragraph provides that, in ease the
low bidder on a contract does have a
conflict of interest that prevents the
contractor from serving the best
interests of the lead agency, the lead
agency may declare the bidder
nonresponsible.
   4. Recontractingfor additional work
(§300.435(e)). EPA proposes this new
language to conform to the CERCLA
amendments. Occasionally, as new
information is generated by the RD/RA
process, changes need to be made to the
scope of the work in the contract for
Fund-financed remedial actions.
Contract law generally requires the
 contract to be terminated when changes
 to the scope of work are needed. Section
 300.435(e) incorporates the provisions of
 CERCLA section 104(c)(8) and applies to
 all Fund-financed remedial actions. The
 purpose is to avoid disruption of a
 remedial action when recontracting is
 required for remedial services, such as
 when additional contamination
 requiring a different response procedure
 is found. Situations requiring contract
 termination are handled differently,
 depending on whether EPA or the State
 has the lead for the site. Where EPA has
 the lead, EPA may extend the existing
 contract to conduct interim work
 necessary to address a hazard to human
 health or the environment until EPA can
 reopen the bidding process and
 recontract to complete the remedial
 action. Where a State has the lead, the
 State must consult with EPA. and the
 cooperative agreement must be
 amended to address the new situation.
: The paragraph also repeats the $2
 million statutory restriction of such
 interim actions.
    5. Operation and maintenance
 (§300.43S(f)). Section 300.430(f3
 addresses O&M, which is the final step
 in the remedial process. (See 1300.S10(c)

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  51451     Federal Register / VoL 53. No. 24S / Wednesday. December 21. 1988 / Proposed Roles


  for Slate assurances on O&M.) Kfost of
  paragraph {f) is proposed to focae on fee
  O&M provision in CERCLA secfion
  104 (c) (8). Tins provision defines as
  remedial action the operation of
  measures to restore contaminated
  ground or surface water for a period of
  up to tea years after the commencement
  of operation of such measures (or until a
  protective level is achieved; if less than
  ten years}. The practical «fiectef fins, is
  feat fee Fund win payflO percent for 58
  percent for a pabKdy operated «Ste) «f
  the costs of measures to restore fee
  ground or am luce water for a-period of
  up "to ten years. '
    EPA also propones tc-darSy in the
  N€P that fee 10-year provision does not
  apply in two situations. The fint
  situation is where aumm uuntrol
  maintenance measBres mx initiated to
  prevent further contamination, of ground
  or surface waters and continued O&M is
  needed to control the source. Scarce  •
  control maintenance, although it may
  prevent farther castammafioa of ground -
  and surface waters, is separate and
  distinct from ground and surface water
  restoration activities. For example.  •
  leachate control systems for
  containment traits constitute a form of
  source control maintenance and do not
  coasfitnte the restoration of an aquifer.
  EPA proposes that, upon completion of
  construction of a scarce control system,'
  and once the system is operational and
  funcn'anujg properly. EPA's funding
  obligations cease;
   To illustrate, suppose that a Ftaid-  -
  financed site has contaminated soff.
  surface impoundment sludge, and
  contaminated ground water. The remedy
  selected includes placing the soil and
  sludge in an on-site, RCRA compliant
  land disposal facility wish a leachate
  collection/treatment system and
  operating a system to pomp and treat
  the contaminated ground water. Under
  this scenario, EPA would pay 90 percent
 of the cost of pumping and treating fie
 ground water for np to ten years but the
 State would be responsible for operating
 and maintaining the leachate system. R
 should be noted  that feia example
 assumes that the source control remedy
 has beert completed and meets
 protective levels.
  Source control measures that are
 ongoing and have not yet achieved the
 protective levels indicated in me ROD
 are remedial action, not O&M. K for
 example, the selected remedy a to land-
 farm soils for several years, the land-
 farming costs would be paid"for by the
 Fund until the cleanup levels in the soils
 stipulated in the ROD have been
< achieved. Only if O8M is required for
 the moils (e.g, erosion control} after
  these ekanup levels have been achieved
  week! fee State be responsible for fee
  costs.
   The second snuation where the 10-
  year provision does not u-pply is wh'ere
  measures are initiated for fee primary
  purpose of providing a drinking water
  supply; Ground or surface water
  measures initiated for reasons other
  than restoration would not be subject to
 . fee 13-year pro vision. For example, m
  some situations a determination may be
  made feat restoration of ground or
  surface water is iafeasible or not cost- •
  effective and, therefore, fee drinking
• water source in fee ground or surface
 water cannot be brought to drinking
 water standards. If fee Boost cost-
 effective means of providing fee
 drinking water is to pump and beet the
' contaminated water and directly supply
 it to fee affected population. EPA would
 pay for fee construction of a treatment
 system designed to meet the
 population's water needs and any
 operational costs up to oae year to
 verify ifrftfr til** tywiftifyeTtf system is
 operational «"d functional Situations
 where the selected'remedy is to pump
 and treat to restore fee ground or
 surface water drinking water source as
well as to provide drinking water will be
 addressed on a case-by-case basis. la
making a determination in these cases
EPA wM take into account how
separable the costs are and other
relevant factors.
  EPA solicits comments oa its
interpretation of "restore ground and
surface water quality" and on fee merits
of the alternatives feat EPA has not
adopted. Specifically, EPA requests
comment on whether fee ItJ-year
provision for Federal funding of O&M
should extend to situations where fee
primary purpose of ground-water
freatment is to provide' drinking water
supplies from water contaminated at fee
•fie without restoring it

SubfariF—State Involvement in
Hazardous Substances Response
  Proposed Sttbpart F is completely
new. R combines concepts-described in
fee current NCP §  300.62 on State role
and { 300.68 on State-involvement in
remedial action. The proposed new
subpart codifies, fn one place all
regulatory requirements far-State
participation and involvement in
CERCLA-attdiorized- response activities.

requirements EPA wifl follow to ensure
feat aH States «re provided an
opportunity for "substantial and
meaningful" involvement in-remedial
and enforcement actions, as-mandated
by CERCLA section ra^fl). The
  following preamble discussion gives an
  o-verview of fee Subpart

  A. Summary of Sobpart F Sections

    t. General overview and context
  (§300500). CERCLA section 104(dXl)
  permits EPA to transfer Federal funds
  and to authorize States to undertake
  CERCLA response activities via a
  cooperative agreement Under this
  agreement the State is fee lead agency
  for conduct of. response actions at feat
  site. For'State4ead Fund-financed
 .remedial and enforcement nrfiong, fee
  cooperative agreemeat is also used by
  EPA to obtain fee required State cost-
  share and other CERCLA section KM(c}
  assurances. Ik a Federal-lead response,
 EPA leads the response wife the State
  acting in a support agency role. For
 Federal-lead. Fund-financed remedial
 actions, a Superfiund State contract is
 fee mechanism used by EPA to obtain
 fee requited State cost-share and other
 CERCLA section 104 aasurances.
   Regaedtess of fee lead agency
 designation, CERCLA section 121(f)(l)
 requires State involvement in pce-
 remedial, remedial, «nid enforcement
 response activities. Ta- meet the
 requiremeats of CESKZA and strengthen
 fee EPA/State partnership, Subpart F
 establishes comparable processes for
 EPA's involvement in State-lead
 response im4t State involvement in EPA-
 lead response. SobfiartF.feeiefbre, is •
 applicants bpfe to EPAand the State
 when either is in a lead or a support
 agency role. The concept of lead and
 support agency es defined in Subpart'A
 is integral to the approach takexrin
 Sutopsrt c to Gzscnp t3*osc co oirpTtts tton
 and cooperafion dunog response at all
 sites listed oa.fee NPL. The term
 partnership does sot imply feat EPA and
 a State enter into formal legal
 partnership anangeawnts.
  Subpart F JHtreduces fee EPA/State
 Super&md itfenrarandam of Agreement
 (SMOA) as a vehide-for establisaing an
 effective EPA/State working
 relationship. SMOAs ate intended to
 strengfeen EPA/State interaction by
 specifying in advance how EPA and
 each State will conduct response-
 activities in keeping wife: the concept of
 partnership. SMOAet are encouraged but
 they are not mandatory for a. Fund-
 financed action unless fee  State wishes
 to recommend the remedy for EPA
 concurrence; or to be recognized as fee
 lead agency for a non-Fund-Snanced
 action at an NFL site. The Region wffl
 enter into a SMOA if the State requests
it to do so and fee State has
demonstrated fee capability to take fee
lead for response. EPA solicits
comments on fee appropriateness of

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           Federal Register / Voi S3. No. 245 / Wednesday. December 21. 1988 / Proposed Rules
                                                                     51455
requiring in the regulation feat Regions
enter into SMOAs if States request them
and have demonstrated capability to
take the lead for response action.
  Specific provisions of a SMOA may
vary or EPA Regions/States may find
that SMOAs are not appropriate to their
particular circumstances. However, in
those situations where a cooperative
agreement is not necessary or desired,
the SMOA must be the mechanism for
establishing the State as lead agency.
States may still use a letter to recognize
Federal lead for RI/FS and remedial   .
design at privately operated sites. Such
a letter is necessary for EPA to initiate
action at a site if a lite-specific
agreement has not been signed and a
SMOA does not exist
  SMOAs are intended to define and
facilitate communication between EPA
and a State on all aspects of the
response process. SMOAs are not
legally binding, do not delegate or
transfer authorities, and do not convey
funds. For example, a SMOA may
address in general EPA/State
interaction at Federal facilities but the
SMOA cannot impose requirements nor
obligations on the Federal agencies .
concerned or provide any authorities to
States with respect to the Federal
facilities. The SMOA is simply intended
to delineate the procedures that EPA
and the State will follow to ensure
mutually satisfactory communications.
  Subpart F does not establish specific
oversight requirements forEPA's role
during State-lead Fund-financed
response, since all Fund-financed
response actions must comply with
CERCLA and the NCP. Instead. EPA
expects technical oversight to be
addressed by a SMOA or by site-
specific documents, such as a
cooperative agreement
   2. Cross-references for various forms
of State participation (§ 3OO.SOO(b)). This
paragraph provides cross-references to
 the specific paragraphs in Subpart F that
 address the different types of State
participation.
   3. EPA/State superfund memorandum
 of agreement Q3O0.505). This section of
 the NCP describes what EPA and a
 State may agree to include in a SMOA.
 The consultation process described in
 this section is the key to a strong EPA/
 State partnership dedicated to the
 remediation of as many hazardous
 waste sites as possible by utilizing the
 combined resources of States and EPA
 and avoiding duplication of eSort while
 protecting the interests of both parties.
   The primary goals of the SMOA are
 to: (i) Provide maximum flexibility to
 EPA and States in  planning and
 implementing response actions: (ii)
 ensure an equitable EPA/State
 partnership during response; (iii) reduce
 or eliminate misunderstanding* by . •
 clarifying EPA and State expectations:
 and (iv] designate lead agency status for
 States in the absence of a cooperative
 agreement
   Although § SOO525 discusses State
 involvement in removals, the removal
 program Is not included in the NCP
 discussion of the SMOA. There is
 TwrT-fm that the nature of the removal
 program requires that there be
 maximum flexibility in determining how
 each removal activity will be conducted.
 EPA Regional office* and States agree
 that the current EPA/State removal
 interaction is effective.
   However, where practicable, a SMOA
 may include general provisions for EPA/
• State interaction on removal actions by
 specifying: (a) The process to be
 followed by EPA and & State to notify
 each other of a determination that a
 removal action is necessary; (b] the
 procedures to be followed by EPA and a
 State to consult and: comment upon the
 nature of any proposed removal action:
 and (c) the procedure to be followed to
 provide for post-removal site control as
 described in i 300.415(1). Generally, the
 SMOA provision should specify that
 responsibility for post-removal site
 control should be discussed and
 provided for before the implementation
- of the removal action. The definition of
 the consultation process is intended to
 facilitate EPA/State agreement on the
 nature and extent of any removal  action
 before the removal action is initiated.   •
   To ensure EPA and State
 accountability for adherence to the
 terms of the SMOA, the Regional
 Administrator and 'the responsible State
 agency head must sign this agreement. It
 is a State-specific, general agreement
 that should remain applicable for
 several years, needing modifications
 only  as changes in legislation.
 regulation, policy, or guidance occur that
 affect the EPA/State partnership. The
 SMOA should be implemented through
 more detailed site-itpedfic documents
 which should be updated orrevised
  annually or otherwise a* necessary.
 EPA and the State 'will meet annually to
  designate who will be the lead agency
  for specific aite*.
    The SMOA sets torth overall
•  understandings that should be used as a
  base from which to operate when
  developing site-specific cooperative
  agreements and Superfund State
  contracts. Cooperative agreements and
  Superfund State contracts will continue
  to be the documents for delineating EPA
  and State site-specific responsibilities
  and obtaining State assurances as
  required by CERCLA section 104.
  However, because a cooperative
agreement will not exist for State-lead
non-Fund-financed actions,« SMOA
will be required for EPA to designate the
State as lead agency for a non-Fund-
finanoed reeponse at an NFL site. The
SMOA wfll be supplemented by site-
specific enforcement agreements
between EPA and the State which  •
specify schedules end EPA involvement
  SMOAs may address both non-Fund-
financed State response actions and
Fond-financed actions at NPL sites.
•Non-Fund-financed State response
actions do not have to comply with
CERCLA. unless a State wishes to
recover costs under section 107 of
CERCLA or to receive credit per section
104(c)(5) of CERCLA for its remedial
action expenditures if the site is on the
NPL or subsequently listed on the NPL.
However. It is EPA's opinion that non-
Fund-financed State response actions at
NPL sites should comply with CERCLA.
as amended, to promote national
consistency, avoid additional Federal
response actions, and expedite deletion
of a site from the NPL upon completion
of the response action. Possible
consequences of States not complying
with section 121 of CERCLA or not being
consistent with the NCP are discussed
below in paragraph 8 of mis Subpart F
preamble.
  The SMOA may identify which
documents prepared in the course of
response activities require review.
comment or approval by the support
agency prior to the lead agency
proceeding with further work at the site.
Because of wide variations in
complexity at site responses, the
documents designated for support
agency review, comment or approval
may be altered by mutual agreement in
the cooperative agreement or Superfund
State contract covering a specific site.
   See Subpart F preamble, paragraph 11
below, for a description of requirements
in the absence of a SMOA or if the
SMOA does not address the
requirements specified in 5 300.515(h).
   4. State assurances (§3OOJ5W). Section
300.510(03(1} addresses State cost-share
requirements, including the codification
of the statutory provisions for use of
 credits to offset a State's required cost-
 share. CERCLA continues to authorize
 credit for State or political subdivision
 expenditures or obligations for cost-
 eligible response actions taken at NPL
 sites from 1978 to 1980. From October 16,
 1986, forward. CERCLA section 104{c){5)
 limits credit to State expenditures only
 for remedial action. States may now
 receive credit toward their cost-share
 obligation for remedial action
 expenditures at NPL sites when taken
 pursuant to a cooperative agreement

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  5145S     Federal Register / VoL 53. No. 24S / Wednesday.. December 21, 1988 / Proposed Rv3.es
  and remedial action expenditures «t
  noa-NPL *Ue* which are Urier listed on
  the NPL and docomented in a
  cooperative agreement or a Sopetfimd
  State contract with EPA. Stales th*t
  contributed SO percent toward Fund-
  financed response actions at pnbEdy
  owned but cot operated JMPL cites
  pursuant to a cooperative agreement.oE
  Superfund State contract in effect
  between the enactment of CERCLA and
  the enactment of lie 1988 amendments- •
  to CERCLA may receive a credit far that
  •mount of the cast share supplied ever
  10 percent
   Sections 300-510 (c) and (dj read that
  States must provide assurances for  •
  operation and maintenance and off-site
  disposal, when required. Sectio*
  300510{e) addresses the CERCLA
  section 104(cJ{9} assurance on 20-year
  capacity on aJl hazardosa wastes (not
  jost hazardous waste from CERCLA
  sites) generated within a State. EPA will
  provide more details on how the
  assurance will be made and how EPA
  will determine the adequacy of a State's
  assurance at a Inter date. Currently,
  these favies are being addressed by an
 EPA task force.
 ' Section 300510(1) addresses the
 CERCLA section 104Q) M.«o.tiynee for
 acquiring an interest in real property in
 order to conduct a response action. Ja
 the  case of permanent relocations and
 certain other response actions, where it
 is necessary to acquire ownership or
 some lesser interest in real property.
 EPA will determine when an acquisition
 cf any property interest is necessary.
 Generally, >he States will carry out the
 required acquisition and hold title to the
 property interest However, there may
 bo instances in which the'Slate lacks
 authority to condemn or otherwise
 acquire property  or is unable to-do so in
 an expeditious manner. The United
 States Government may then agree to
 acquire the necessary interest but only
 if the response cannot proceed without
 the acquisition and if the State first
 agrees to accept transfer of the acquired
 interest The State mnst accept transfer
 at the conclusion of the response as
 earlier if EPA determines it to be
 necessary to facilitate the response, as
 appropriate under the particular
 circumstances.
  5. Requirements for Stale involvement
 at remedial response (§3OO£15). This
 section combines existing language from.
 §§300.62 and 300.08 of the current NCP
 wiih new language that describes how
 EPA intendz to satisfy requirements for
 Slate involvement established by the
 1S86 amendments to CERCLA.
  6. General (§3OOSZS{atf. In order to
 datermine whether the State i» the
appropriate agency to assume the lead
  agency responsibilities at an NPL site,
  EPA ». considering various criteria that
  would assist ERA Regional Offices and
  the States in making such decisions.
  Some of the criteria under coasideration
  are: overall expertise, legal an&orities,
  Hrlmmi«ta-»trm. fg/ft CGfitracting
  capability, financial management
  systems {according to the applicable
  assistance agreement regulation},
  availability «f general resources,
 . complexity ef fee rite, awaaaiiSycf
  site-specific resources, workload and
  expertise, past Federal or State actions
  at the Bile, and past State cleanup
  activities. EPA solicits comment on
  these possible criteria and whether
  farther criteria shotid be added.
    As described In IheSabpart E,
  130&4S preamble section. "D. Deferra!
  Policies," EPA is considering a policy
  which would provide the States wim fee
  opportunity to request that a site be
  deferred fawn listing oa the NPL.
  Deferral to State authorities is part of an
  overall proposed policy to aBow EPA to
  defer Eating sites on &e NPL where
  other Federal or State authorities and
  tneQr implementing pi'o^iaiuu can
 address problems at those sites. As a
 part of this proposal, EPA describes
  criteria it is considering for deferring
• listing of sites on fee NPL for response
 vnder State authorities. The deferral
 criteria are aot identical to the above
 criteria for kad agency designation: the
 above criteria are intended aoiely for
 State-lead actions nnder CERCLA.
   7.App!fcab3itycfStateimrofreaient
 requirements to Indian Tribes
 (§ 3OO.SlS(b)). CERCLA requires EPA to
 afford to Indian Tribes substantially the
 saute treatment as it would to States.
 Therefore, an Indian Tribe may be
 authorized to undertake the lead for
 Fund-financed response activities via a
 cooperative agreement ifc (i) The Indian
 Tribe is FederaBy-tecognized; (ii) fee
 Tribal governing body is currently
 performing governmental functions to .
 promote the health, safety, and welfare
 of its affected population or
 environment: (Si) the Indian Tribe can
 demonsteate an ability to carry out the
 response aclnji.-s (with the exception of
 criminal enforcement actions] which it
 seeks authority to perform m
 accordance with the criteria and
priorities established by the NCP; (iv)
 the Indian Tribe can demonstrate that
 the functions to be performed are within
 the scope of fts jurisdiction: and (r].the
 Indian Tribe can demonstrate a
reasonable ability to effectively
administer a cooperative agreement
including having accounting and
procurement procedures that comply
with the applicable assistance
agreement regulation. The reason for
  excluding criminal enforcement actions
  from Fond-financed response actions is
  that Tribes do not have criminal
                 liffftfvn OV6T nOn-
   EPA proposes to provide for EPA  .
 interaction with Federally-recognized
 Indian Tribes when an NPL site is on
 Indian lands. When this occurs, a
 separate SMOA'may be developed and,
 JH some instances.' thevSREOA may be a
 three-party agreement between EPA, the
 State, and the Federally-recognized
 Indian Tribe. Under CERCLA section
 104(c)p]. Federally-recognized Indian
 Tribes do' hot have tb provide CERCLA
 104(c) assurances. The definition of
 "State" in Scbpart A of the NCP is
 proposed to raclmde Indian Tribes and,  '
 therefore, «tflr$p specified otherwise. -
 Federally-recognized Indian Tribes
 generally may have the same roles and
 responsibilities under the NCP as do
 States.
   8. State involvement in the PA/SIs
 ond NPL listing ond ffalftffon process
 f§30OS15fcJJ. The intent of Subpart F is
 to ensure significant State involvement
 in the pre-remedial and remedial phases
 of Supernmd  responses, ft is EPA's
 position that cooperation with the States
 throughout the response process will
 assist in meeting the national goal of
 maximizing the Bomber of responses.
 One step in the response process where
 State involvement is necessary is at the
 pre-reraediai phase of response in which
 potential sites are evaluated, scored.
 and listed on  the NH. States have the
 option of performing PA/SIa.
   EPA proposes to ensure significant
 State involvement m the NPL l«*ing
 process by requiring EPA to consult with
 the State on EPA-initiated draft Hazard
 Ranking System scoring packages. EPA
 would then provide a 28- to 3O-day
 review period far States to comment on
 iK«» proposed listing of sites in that Sta.c.
 The State's comments, which may
 include new or additional information
 on the site. Would be reviewed by EPA
 and taken into consideration prior to
 publication of the proposed listing.
  In addition. § 300.515{c)(3} contains
 requirements for State involvement in
 the NPL deletion process. la accordance
 with the amendments to CERCLA. EPA
must obtain Slate concurrence in order
 to delete a site fcora the NPL.
  9. EPA and State consultation fa
remedial planning and selection of
remedy process f§§ 30CL5X5 fd} and (e)).
Section 300^15(d}{2) establishes a
process for read and suppui't
consultation and solicitation of their
respective identified ARARs and other
criteria, guidance, and advisories to be
considered (TBCJ which may be helpful

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           Federal Register / Vol. 53. No. 245 / Wednesday. December 21. 1988 / Proposed Rules      51457
in establishing protective cleanup levels.
(See general discussion of ARARs and
TBCs in S 300.430 preamble section, "F.
Compliance with applicable or relevant
and appropriate requirements of other
laws."} This process is ongoing
throughout the remedial response  .
process, and is effective only if lead and
support agencies work together at iaach
of several key points. This
communication/consultation process
should ensure that all responses comply
with all ARARs and, where appropriate,
that other criteria, guidance, and
advisories are considered.
  Sections 3GO515(d) (1) and (2) make
the lead agency responsible for: 0)
Identifying its own ARARs and TBCs;
and (ii) soliciting from the support .•
agency its ARARs and TBCs. The lead
agency is also responsible for providing
to the support agency information about
the site and nature of the contamination,
as well as the remedial alternatives
being considered. The support agency
will identify its ARARs and TBCs for the
lead agency in as detailed and .
comprehensive a manner as possible on
a site-specific basis. Each agency is
responsible for coordinating ARAR and
TBC identification with other offices or
agencies within its own organization. If  .
a Region and State have entered into a
SMOA. the SMOA may contain a
provision on the process to be followed
for identifying Federal and State ARARs
as required in § 30O515(d)(2J-
  Furthermore, CERCLA section
12l(d](2) provides that State ARARs
must be met if they are communicated to
EPA in a timely manner. EPA proposes a
general definition of timely manner in
£ 300,515(dJ(l), which requires that the
lead and support agencies identify their
respective AK ARs and TBCs and
communicate them to each other so that
sufficient time is available for the lead
agency to consider and incorporate such
ARARs and TBCs into the remedy
selection process without inordinate
delays and duplication of effort. EPA
proposes to apply this requirement to
both the lead and support agency
because it is in keeping with the concept
cf a Federal/State partnership and will
ensure that information is shared in a
timely manner. EPA propose* that the
SMOA may specify that the
identification/solicitation process occur
within certain mutually agreed upon
timeframes. These timeframes may be
modified as necessary on a site-specific
basis in cooperative agreement* or
Super-fund State contracts. The SMOA
may also define lead and support
agency roles in the ARARs
identification process that are more
comprehensive than what EPA has
proposed today for the new Subpart F.
This allows more flexibility in soliciting
ARARs and TBCs and will.enable
changes in the process to be made as
experience is gained.
  The ARARs solicitation process
established in the SMOA will identify
the appropriate EPA/State management
staff level for communication and
solicitation of ARARs and TBCs. This
process should iidentify at least one
written lead agency request for ARAR/
TBC identification and requires a
minimum of one written response from
the support agency. This documentation
should be included in the administrative
record.
  In the absence of a SMOA, EPA
proposes in 5 300.515(10(2} to establish
minimum points: where tiie lead and
support agencies most identify and
communicate in writing their respective
ARARs and TBCs. This will ensure that
the lead agency has sufficient data and '
time to consider die ARARs and TBCs in
developing and selecting the preferred
remedy.
  Whether or not a SMOA is in place,
EPA expects that the focus of
solicitations will be toward requesting
the specific kinds of ARARs and TBCs
needed at a specific time (e.g,
contaminant- or location-specific
ARARs/TBCs after site characterization
information becomes available, and
action-specific >U3ARs during the early
stages of the comparative analysis of
remedial alternatives). Alternatively, the
lead agency could make a preliminary
ARAR determination to which the
support agency can respond and/or
elaborate.
  Procedures arid time periods for State
notification, review, and concurrence
regarding a remedy that either waives
State ARARs or that attains ARARs
other than those identified by the State
are proposed in S § 30O515(d)(3) and (4).
EPA expects its Regional offices and the
States (with assistance from EPA
Headquarters ai necessary) to negotiate
and resolve differences of opinion
regarding ARARs, and all other areas of
disagreement (e.g., preferred
alternatives or alternatives to be
evaluated). The dispute resolution
process adopted by the Region and the
State should be used to receive any
differences that might impede the
response process. Differences should be
addressed at the staff level first and
raised to management if a mutually
acceptable solution is not attained. If
necessary, the Region and the State can
jointly raise the dispute to the Assistant
Administrator for Solid Waste and
Emergency Resjxinse for a final
determination. If the Region and the
State prefer to establish a different
dispute resolution process in their
SMOA, that process will be followed.
  Section 30O51S(eXl) addresses lead
agency responsibilities with respect to
the proposed plan. The lead agency and
support agency will consult and attempt
to teach agreement on the proposed
plan. The proposed plan will include a
statement of IJbe support agency's
opinion on the proposed plan.
Agreement between the lead and
support agencies on the proposed plan is
not required prior to publishing the
public notice bnt such agreement is
highly encouraged. If the State is the
lead agency for a Fund-financed action
but EPA cannot concur with the State's
proposed plan after all efforts at
resolving differences have failed, EPA.
will assume the lead for the proposed
plan and preparation of the ROD. If EPA
is the lead agency, and the State cannot
support EPA's- proposed plan. EPA may
publish the plan, but must include the
State's objection and concerns and state"
why EPA disagrees with the State.
  Section SOO515(e){2) discusses the    •
roles of EPA and the State in the  .-
selection of remedy process. It reflects
the evolution of the EPA/State
partnership in recent years by providing
the State, when it is the lead agency.
with responsibilities in the selection of
remedy process. This new concept
would'be applicable to both Fund-
financed and non-Fund-financed actions
(e.g., enforcement sites] in which the
State as lead agency would recommend
the remedy and provide EPA an.
opportunity to concur with and adopt
the remedy. Concurrence is in keeping
with the statutory requirement to
provide substantial and meaningful
involvement in the initiation,
development, and selection of rempdial
actions.
  The concept of concurrence by EPA is
designed to further the EPA/State
partnership, optimize the use of
governmental resources, and increase
the number of response actions. Under
the current NCP. EPA has significant
Involvement in and oversight of
activities at State-lead Fund-financed
sites. Conversely. EPA has limited
involvement at State-lead noa-Fund-
financed sites. States currently have
limited responsibilities during selection
of remedy at EPA-lead sites.
Concurrence increases EPA involvement
at State-lead non-Fund-financed sites
and provides for a greater State role in
the selection of remedy process at Fund-
financed sites.
  Under this approach, a State can
recommend a remedy  for EPA
concurrence and adoption only when a

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  51458
Federal Register / Vol 53. No. 245 / Wednesday. December 21. 1988 / Proposed Rules
   SMOA is established. Through the
   annual planning process, EPA and the
   States will designate at which State-lead
   Fund-financed and non-Fund-financed
   sites the State will prepare the ROD for
   EPA concurrence and adoption.
    EPA intends to implement selectively
   the process of State preparation of
   RODs for EPA concurrence and
  adoption at State-lead Fund-financed
  sites, since this process is not
  necessarily applicable to all States, nor
  for all sites within a State. Moreover,
  States are not required to accept this
'  responsibility. Sites will be selected
  where the circumstances at the
  particular site warrant less EPA
  involvement and the State has
  demonstrated its capability to conduct
  remedial response actions in an
  effective and responsible manner. EPA
  concurrence in and adoption of a
  remedy recommended by the State may
  not be appropriate at Fund-financed
  sites where the State has not
  demonstrated that it possesses the
  necessary capabilities or where the
  particular circumstances indicate that
  greater EPA involvement is necessary..
   Under the proposed concurrence
  process, EPA can select the remedy at
  EPA-lead sites even when a State
  neither responds nor concurs with the
  recommended remedy. However, the
  State must provide the assurances"
  required by CERCLA section 104 before
 EPA can proceed with the remedial
 action.
   When a State is the lead agency at a
 Fund-financed site for developing the
 RI/FS and preparing the ROD. the State
 rosy prepare the proposed plan (if
 agreed to by EPA), publish the notice of
 availability, prepare the responsiveness
 summary, and develop the ROD. thereby
recommending a remedy for EPA
concurrence and adoption. Additionally.
the State is responsible for compiling
and maintaining the administrative
record for selection of the response
action and documenting and providing
necessary information for cost recovery.
A State cannot proceed with Fund-
financed response without EPA's    " •
concurrence in and adoption of the
remedy. Silence by EPA shall not be
construed as concurrence or adoption.
   EPA and a State may agree that  •  '
certain sites will be designated as non-
Fund-financed State-lead enforcement •
actions (Le, the State' is responding
pursuant to its own authorities). At such
sites, a State may proceed without
further EPA concurrence. However.-the
State may select the remedy.-prepare the
ROD. and seek EPA concurrence with
the remedy in order to: (a) Promote
effective use of Federal and State
resources; (b) promote national
                           consistency in responses: (c) avoid the
                           need for additional Federal response
                           actions; (d) induce PRPs to agree to
                           perform necessary response actions; and
                           (e) expedite deletion of the site from the
                           NPL at the completion of the response
                           action.
                            At non-Fund-financed State-lead .
                           enforcement sites, the State is
                           responsible for proper implementation
                           of the remedial action so that the site
                           will meet criteria for deletion from die
                           NPL. However, even when EPA concurs
                           with the remedy selected and  •
                           implemented by the State. EPA may still
                          proceed under its own CERCLA
                          authorities if necessary to ensure
                          compliance with CERCLA section 321
                          and other pertinent provisions of
                          CERCLA..
                            Subpart F does not require that States.
                          select remedies for non-Fund-financed .
                          State-lead enforcement sites in
                          conformance with CERCLA section 121
                          and the remedy selection process
                          specified in the NCP. However, where a
                          State-selected remedy does not so
                          conform. States and/or PRPs may be at
                          risk in several ways, including, but not
                          limited to the following: (!) EPA will not
                          concur with the recommended remedy;
                          (2) EPA may refuse to designate the
                          State as lead agency for any subsequent
                          response activities; (3) States and PRPs
                          may be deprived of the assurance that
                          EPA will not find it necessary later to
                          seek to compel further response actions;
                          (4) EPA may be unable to delete a site
                          from the NPL and/or (5) State cost
                          recovery efforts may'be hindered.
                           If disputes arise with respect to
                          concurrence, the dispute resolution ~
                          procedure discussed above or. as
                          otherwise specified in a SMOA. should
                          be invoked so that EPAand the State
                         can reach a mutually acceptable
                         decision on the appropriate remedy.
                           Section 30O515(f) addresses State
                         funding of substantive requirements
                         beyond the scope of the selected
                         remedy, including procedures for
                         attainment of State standards which
                         EPA has determined not to be ARARs or
                         which EPA has determined to waive.
                         EPA intends'this section to apply to •
                         State-funded additional elements of the
                         basic remedy selected or concurred-
                         upon by EPA. The State may be required
                         to assume the lead for remedial design
                         and implementation of such remedial
                         actions or EPA may maintain the lead if
                         the EPA Region determines that
                         financial responsibility and related
                         issues do not present obstacles to EPA-
                         lead remedial action. Another option is
                         State assumption of the lead for only the
                         State-funded addition if those additional
                         requirements can be done as a separate
                         operable unit
    EPA encourages States to participate
  in EPA-lead enforcement negotiations as
  provided for in section 121(f)(l) of
  CERCLA and proposed in § 300.520 of
  the NCP and to conduct State-lead
  enforcement actions consistent with
  CERCLA and the NCP. To maximize
  PRP responses through State-lead
  enforcement actions, Federal financial
  assistance may be provided to support
  these actions.
    During EPA-lead enforcement actions.
  EPA intends to provide States with
  opportunities for review, consultation,
  and concurrence. As with Fund-financed
  response, the general degree of State
  involvement in EPA-lead enforcement
  actions should be outlined in SMOAs.
  Although opportunities for State
  involvement are provided in this
  subpart. EPA may determine that
  substantive State standards are not
  ARARs. or may waive State ARARs
  pursuant to CERCLA section 121(d)(4)
  for remedies proposed by EPA during a
  Federal-lead enforcement action. In
  those circumstances, pursuant to
  CERCLA section 121(fJ(2)(A), States are
  provided an opportunity to concur or •
  nonconcur with the remedy selected by
  EPA. Procedures for seeking the  •  •
  modification of the remedy to conform
  to State ARARs are found-in section
 121(fJ(2)(B) of CERCLA.
   During State-financed or State-lead
 enforcement actions at NPL sites. States
 should provide  EPA with an opportunity
 for the review of key documents and
 consultation during the remedial
 response process. For State-lead
 enforcement sites, the State will prepare
 the ROD {generally, EPA will not
 prepare the ROD at State-lead
 enforcement sites unless the State .and
 EPA agree otherwise). The general
 degree of EPA involvement may be
 outlined in the SMOA. EPA's oversight
 and involvement in State-lead
 enforcement actions where EPA is
 providing financial assistance will be
 delineated in site-specific cooperative
 agreements. EPA does hot intend to be
 routinely involved in negotiations at
 State-financed enforcement sites;
 however.-EPA expects that States will
 notify EPA of negotiations with
 potentially responsible parties and
 provide opportunities for involvement to
 facilitate EPA concurrence with
 recommended remedies when the State
 seeks EPA concurrence. It is recognized
 that due to workload and resource • ' •
 constraints associated with EPA-lead
 projects. EPA may not have adequate
 staff or resources to review certain •
plans and that EPA will not be bound to
any decisions made by the State if EPA
fails to respond.  Settlements achieved

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            Federal Register / Vol. S3. No. 245  /  Wednesday. December 21. 1988 / Propoaed Rules      51459
will normally be between the State and
potentially responsible patties. Also, the
requirements outlined in § 300.515 for
Fund-financed remedial response will be
applicable to Fund-financed State-lead
enforcement actions. For State-lead
enforcement sites, the State should
request that EPA provide: (A) Identified
Federal ARARs: (B) a review of the
State or potentially responsible parties'
FS and proposed plan; (CJ a response to
comments on waivers to, or
disagreements about Federal ARARs;
and (D) concurrence in RODs.
  10. State involvement in remedial
action (§300£IS(g}). A key point for"
EPA/State interaction during Fund-
financed remedial action will be the
Joint inspection of the remedy as
specified in 5 300.515(g]. The purpose of
this inspection is to ensure that the
remedy has been constructed in
accordance with the ROD and the
remedial design.
  11. Requirements for State
involvement in the absence ofoSMOA
f§300.SIS(h}}. Section 300.51S[h)
describes categories of requirements
that most be met in the absence of a
SMOA: annual consultations:
identification of ARARs and TBCs: and
State review and comment on EPA-lead
RI/FS, proposed plan, ROD, ARAR/TBC
determinations, and remedial design.
These requirements also apply where a
SMOA is negotiated but does not
address a specific category. For
example, a SMOA may include
requirements for annual consultations
and State review but not identification
of ARARs and TBCs. In this case, the
requirements in § 300.515(h) regarding
identification of ARARs and TBCs must
be complied with. If a SMOA does
address a particular category, the
SMOA may specify requirements
different from those stated in
§ 300.515(h) except that at a minimum.
the SMOA must include the ARARs
identification requirements specified in
5 300.515{h)(2}. For example, a SMOA
may include requirements regarding
State review of EPA-lead documents but
specify shorter or longer timeframes for
that review.
  12. Administrative record
(§3OO515(i}). The administrative record
is an important aspect of the response
process. The purpose of this paragraph
is to remind the reader that the SMOA
can address the procedures for
compiling and maintaining the
administrative record. It also directs the
reader to Subpart I for more information.
  13. State involvement in EPA-lead
enforcement negotiations (§3O0.52O).
CERCLA section 121(9(2} requires EPA
to provide notice to States regarding
negotiations with PRPs. Accordingly.
EPA is proposing this section to
implement the CERCLA mandate.
Although thi* section focuses on State
notification and involvement in remedial
investigations/feasibility studies (RI/FS}
and remedial design and remedial action
(RD and RA) PRP negotiations, EPA
does not intend to preclude notification
to and involvement of States as
appropriate in other enforcement
actions.
  14. State involvement in removal
actions (§90(1525). This section
addresses State involvement with EPA
in the removal program. Although the
USCG also works doaely with the
States when undertaking CERCLA
response, Subpart F requirements do not
apply to State involvement in USCG
response*. Statutory requirements for
removals are not the came as those for
remedial and enforcement response;
therefore. State involvement differs
significantly. Although  5 30OS15(a) is
generally applicable to State-lead
removals. 5 300523 notes the specific
differences in State involvement in
removals from remedial actions. Except
as provided in $ 300.525, the rest of
$ 300.515 on pre-reimedial and remedial
response is not generally applicable to
EPA-lead removals.
  Although EPA and States actively
coordinate during removal actions to
assure timely and efficient response,
most Fund-financed removal actions are
EPA-lead. However, in  some
circumstances States are required to
share in the cost of the  removal. (See
S 300.510(b)(l}.} Proposed Subpart F
encourages States to undertake Fund-
financed removal fictions via
cooperative agreements, if EPA
determines that it will result in the most
efficient method of threat mitigation. In
either situation. States are encouraged
to assume responsibility for post-
removal site control activities, if
required (see $300.415(1)}.
  EPA wfll encourage State-lead
removals to the extent practicable. The
statutory limits for removals, now -
$2,000,000 and twelve months, will apply
to State-lead. Fund-financed removal
actions unless the second statutory
exemption (consistency with the
remedial action to be taken} is invoked.
The first exemption (continuing
emergency) for extending the removal
action beyond the statutory limitation
will generally not be applicable to State-
lead removals because  of their less
critical nature. (See S 300.415.)
  15. Consultation with States regarding
removal actions (§3OOJB2S(e)J. This
paragraph contains a general statement
that EPA will consult with the State
when conducting removal actions within
that State.
' B. Points of Clarification  •

   1. Applicability of State involvement
 requirements to political subdivisions.
 Subpart F does not address EPA
 interaction with political subdivisions of
 a State, although B political subdivision
 may take the lead for r-gi+gin response
 actions via a cooperative agreement if
 the State provides the required
 assurances atthe time of remedial
 action. EPA, the State, and the political
 subdivision are required to establish a
 written agreement that sets forth roles
 and responsibilities of each party. The
 cooperative agreement will specify the
 requirements associated with a political
 subdivision lead. Such Fund-financed
 actions most comply with CERCLA and
 the NCR
   2. Applicability of Subpart P to
 Federal facility responses. As provided
 in CERCLA section 120(1}. the
 substantive requirements of Subpart F
 do apply to Federal facility responses.
 and the Federal facility must meet the
 requirements for involving the States in
 remedial response actions taken at
 Federal facilities. EPA intends to further
 address State involvement at Federal
 facilities is the proposed Subpart K to
 be drafted. Note that CERCLA section
 120{g) does not allow the transfer of die
 EPA's authority to the States.
   3. State requirements or siting laws.
 CERCLA section 121(d)(2HC)
 specifically limits the applicability of
 State requirements or siting laws for
 hazardous waste facilities that could
 result in a State wide ban on land
 disposal. In order to be treated as
 potential ARARs, such laws must
   L Be of general applicability and be
 formally adopted;
   ii. Be based only on technical (e.g_
 hy'drogeologic) or other relevant
 considerations; and
   Si. Not be intended to preclude land
 disposal for reasons other than
 protection of health or the environment.
   In addition, the State must arrange
 and pay for additional costs for out-of-
 State or other disposal made necessary
 by such a law. EPA believes that the
 factors used in evaluating such criteria
 shoufd include the nature of the
 technical considerations and the history
 of health and environmental legislation
 in the State.
 Subpart G-rTrastees for Natural
 Resources         . •
   Section 107(a)(4HC) of CERCLA
 imposes responsible party liability for
 the injury, destruction, or loss of a
 natural resource, including the costs of a
 natural resources damage assessment
 Section 107(f)(l) of CERdA provides

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   51460     Federal Register / Vol. 53. No. 245  / Wednesday.  December 21. 1988  / Proposed Rules
   that only properly designated Federal
   trustees, authorized representatives of
   an affected State, or Indian Tribes can
   pursue a section 107(a)(4)[C) action.
     Subpart G designates Federal trustees
   to act on behalf of the President in
   assessing damages to natural resources
   from discharges of oil or releases of
   hazardous substances, pollutants, or
   contaminants, and outlines the
   responsibilities of trustees under the
   NCP. Although the CERCXA
   amendments necessitated few changes
   to Snbpsrt G, the major objective for
   this proposed revision is to make the
   Bubpart more readable and
   understandable to those who are not
  familiar with trustee agency authorities.
  Because the primary purpose of this
  cubpart is to designate trustees, the  '
  proposed changes reflect an overriding
  concern that trustee jurisdictions be
  described at accurately as possible.
    Section 301{c) of CERCXA requires the
  promulgation of rules for the assessment
  of damages for injury to, destruction of.
  or loss of natural resources resulting
  from a discharge of oil or a release of a
  hazardous substance under CERCXA
  aad the Clean Water Act. The
  responsibility to promulgate these
  regulations has been delegated to the
  Department of the Interior (DOI). The
  use of the procedures described in DOI's
  rule. 43 CFR Part 11. is optional
  However, the results of an assessment
  performed in accordance with the DOI
  rule by a Federal or State trustee, or
  Indian Tribe, if reviewed by a Federal or
  State trustee, shall be given the status of
 a rcbu liable presumption in an action to
 recover damages for injuries to,
 destruction of. or loss of natural
 resources. Whether or not the
 procedures in 43 CFR Part 11 are
 followed, a trustee should proceed in
 conformance with the responsibilities
 described in this subparL

 A. Major Re visions
   1. Specific designation of trustees and
 consultation (§30O.6OOJ. In the proposed
 revisions, EPA has attempted to clarify
 and define aa accurately as possible the
 Federal agencies responsible for specific
 resources. EPA has attempted to do this
 by delineating in the paragraph
 headings the Federal agency or type of
 Federal agency responsible for natural
 resources. In addition. EPA has changed.
 the narrative to describe in more detail
 the resources that agencies manage and
 to give examples of the types of
 resources that might be under an
 agency's trusteeship.
  It should be noted that although the
Departments of Commerce and the
Interior are listed under separate
headings, the division of authorities
   between them, and that between them
   and other agencies, is complex. For this
   reason, parallel construction of the
   sections describing trustee designations
   is not possible. The proposed revisions
   use the terms of the authorities under
   which each trustee operates.
     A related change is made to
   § 300.600[b)(l), which designates the
   Secretary of Commerce as a trustee. The
   revision explains that the Secretary will
   act with the concurrence of other
   Federal agencies when the resources or
   authorities of other agencies are.
   involved. This'situation may arise
   because the trusteeship of the Secretary
   of Commerce is sometimes described
   geographically, ie., within certain
   marine and coastal areas. However,
   specific natural resources in these same
   areas may also be managed or protected
  under statutes administered by other
  Federal agencies. Thus, the regulation
  states that the Secretary of Commerce
  will act with the. concurrence of other
  Federal agencies when any of then-
  resources are affected. It is appropriate
  feat Federal trustees seek concurrence
  when they plan to act with respect to
  resources under the management or
  protection of other agencies. The
  concurrence need not be lengthy or
  cumbersome. A similar provision is not
  included in the regulatory section
  describing the Secretary of the Interior's
  trusteeship because DOI's authority is
  not denned in terms of particular
  geographical areas.  Rather, Federal
.  statutes administered by the Secretary
  of the Interior describe the specific
  natural resources to be managed or
  protected by DOL
   Another major change involves the
  description of certain natural resources.
  Section 300.72 of the current NCP
  designates the Secretary of Commerce
  as trustee for "waters of the contiguous
 zone and parts of the high seas *  * * ".
 In the proposed revision, the following
 are included as under the Secretary's
 jurisdiction: "waters of the contiguous
 zone, the exclusive economic zone, and
 the outer continental shelf  *  * '".The
 contiguous zone includes the area from
 three to twelve miles from the shore.
 The exclusive economic zone, defined
 by Proclamation 5030 (March 10,1983)
 and subsequently incorporated in the
 Magnuson Fishery Conservation and
 Management Act is the area up to two
 hundred miles from the shore. The outer •
 continental shelf extends beyond .two
 hundred miles in some places.
   The current NCP's  exclusions of iands
or resources in or under U.S. waters
(§ 300.72 fa) and (bj) are proposed to be
deleted. Federal trusteeship derives
from authority to manage or protect the
effected resources regardless of where
  " these resources are located. To the
   extent that these resource management
   jurisdictions are concurrent or
   contiguous, trustees are expected to
   work together pursuant to S 300.615.
    2. Indian Tabes (§30O.B1O). The.
   amendments to CEROLA provide that an
   Indian Tribe may bring an action for
   injury to, destruction of, or loss of
   "natural resources belonging to,
   managed by, controlled by. or
   appertaining to such tribe, or held hi
   trust for the benefit of such tribe, or
  belonging to a member of such tribe if
  such resources are subject to a trust
  restriction on alienation.'' In'those
  instances where the United States acts
  on behalf of an Indian Tribe, the
  Secretary of the Interior •hall function
  as the trustee of those natural resources
  for which the Indian Tribe would
  otherwise act as trustee. The revisions
  in $ 300.610 reflect these statutory
  changes.
   Section 300.72{d) of the current .   .
  Subpart G designates the Secretary of
  the Interior as trustee to recover
  "[djamages to natural resources
  protected fay treaty {or other authority
  pertaining to Native American tribes) or
  located on land:: held by the United
  States in trust for Native American •
  communities or individuals." Because
  this quoted language is inconsistent with
  the language on "natural resources" in '
  section 107 of CERCLA. as amended, it
 has been deleted from the proposed
 revisions to Subpart G.
   3. Responsibilities of trustees   '  .
 (§300.615). EPA proposes to reorganize
 and make substantive changes to the
 existing NCP § 300.74. The section has
 been reorganized by rfinngino the order
 in which some information appears (e.g.,
 discussion of multiple trustees appears
 first, instead of last) and by changing
 the format in which some information
 appears (e-g., listing the responsibilities
 of the trustees so that their
 responsibilities are easier to read and
 understand}.
   Several new provisions are proposed •
 to be added to this section to provide
 better information on the actions
 trustees can take to carry out their
 responsibilities. The first addition notes
 that trustees may list in each Regional
 contingency plan (see. § 300-210{b)) the
 appropriate contacts to ensure that the
 trustees are notified of potential or
 actual damage to natural resources. In
 addition, the proposed section provides
 that when trustees are notified of or
 discover possible damage to natural
resources, they may conduct a
preliminary survey of the area to
determine if natural resources under
their trust are affected.

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             Federal Register  / Vol. 53. No. 245 / Wednesday,- December 21, 1988 / Proposed -Rales     SJ46J-
   Although a trustee may be responsible
  for certain natural resources affected or
  potentially affected by a release, it is
  important that only one person (i.e.. the
  lead agency OSC or RPM) manage
  activities at the site of a release or
  potential release. The OSC/RPM shall
  coordinate responsibilities for CERCLA
  section 104 assessments, investigations,.
  and planning, including Federal trustees*
  participation in negotiations with PRPs  .
  as provided under CERCLA section  .   .
„  122(])(1). Close communication and
  coordination between OSCs/RPMs and
  trustees is essential When there are .
  multiple trustees. It is recommended that
•  a lead authorized official be designated'''
  to coordinate all  aspects of the    •  '
  assessment.  '•••  "  • •       •'    •
   The trustee actions authorized under
  existing NO? § 300 J"4(b) are proposed to
  be changed in the following ways. First
  the trustee is authorized to conduct
  CERCLA section 104(e) activities such
  as entering and inspecting any relevant  ;
  vessels, faculties, or .other properties, or '
  inspecting or obtaining samples of any
  suspected hazardous substances.' •
  pollutants, or contaminants. Tois  "  '  '
  addition to this section reflects
  authorities delegated to trustees under
  Executive Order 12580. In  exercising this
  authority, trustees must consult with the
  lead agency to ensure efficient response
  actions and to avoid duplication of .. -:
 effort Second, a new provision of
 CERCLA, section l04(e)(5)(B). provides
  that the President (or Federal trustees • • •
 by delegation under EOI25SO) may
 request that the Attorney General   • •"•
 initiate civil actions against °PRPs in
 order to compel compliance with orders
  regarding information gathering and
.access.               •    •  • .
   Finally.-in discussing trustee
 responsibilities, the'opthra of pursuing
  claims against the Fund has been
 deleted. This change reflects the  . .  ::   •-
 provision in SARA that prohibits
 expenditures from the Fund to pay
  trustees* claims for natural resources
  damages assessment and restoration of
 natural resources. Although section
 lll(a)(3) of CERCLA provides for claims
 against the Fund for assessment and •.
  restoration of natural resources, section
 517 of the Superfund taxing provisions
 in Title V of SARA (Superfund Revenue
 Act of 1986). by necessary implication.
 eliminates authority to pay for such     • .
 assessments or restoration. The
 proposed deletion of existing NCP   .
  5 300.74(b)(4) reflects this change in the
 law.
 Subpart H—Participation by Other "'
 Persons
   The focus of this subpart is on those
  authorities of CERCLA that allow
 persons other than governments' to
 respond to releases'and. to recover those
 response costs. Although this subpart is
 new. it revises and consolidates  •
 provisions from current NCP § 300.25 on
 Nongovernment Participation and  .  •
 § 300.71 on Other Party Responses into
 one place in the NCP. Subpart H also
 incorporates the new authorities from
 CERCLA. as amended, which address  .
 participation by other persons.

 A. Major Revisions        '
   1. Reorganization of authorities '.,.
• regarding participation by other persons
 (§3OO.7OO}. EPA proposes to .combine the
 closely related concepts- of current NCP
 §§30O25{d) and 300.71 into a new   ....':
 •ubpart to clarify NCP authorities   . ..
 regarding responses undertaken by ,•  -•-
 persons other than the Federal'
 government. States or Indian Tribes.  •-
 Accordingly. $ 30O700[a) states that any
 person may undertake a. response action
 to reduce or eliminate a release of a-  •
 hazardous substance, or pollutant or . •
 contaminant Section 30B.700[b) then
 sets forth the following nummary of the
 mechanisms for the recovery of '•: .'.
 response costs: "
   i CERCLA section IO7(aJ(4)(B).
 Awards of response costs from liable
 parties to other persons who undertake
 response actions consistent with the.
 NCP:    ....    - ..,....-'....  .  .... .. ....
   it CERCLA section lll(a)(2). Chums"
 by other persons against the Fundlor......
 reimbursement for actions consistent
 with EPA's prior approval:...  ;.	
  •ffi: CERCLA section W6(b)(2).
 Petitions against the Fund for      •   •
 reimbursement of costs iincurred in
 compliance with a section 106[a) order,
 issued after October 17.1986, where the
 petitioner •was not liable for the release.
 or if the petitioner was liable, to the
.extent that the action ordered was
. arbitrary and capricious, or not
 otherwise in accordance with the Jaw:
 and                "••-....,
   iv. CERCLA section 123. Claims fay a
 general purpose unit of local government
 for reimbursement of temporary   	
 emergency measures couts (see 40 CFR
 Part 310).
   In order for a person to recover the
 costs of his or her response action from
 the Fund or from another person, several
 conditions must be met The remainder  •
 of the paragraphs in the new subpart
 examine each of the above cost
 recovery mechanisms and give a more.
 in-depth description of the conditions
 that must be met
   Z Consistency with the NCP for the
purpose of cost recovery. Section
 lO7(a)(4)(B) authorizes parties other than
 the Federal government States, or
 Indian Tribes to recover from liable
  parties response costs which they
  incurred consistent with the NCP.   • •  • •
  Proposed NCP.§ 300.700(c) revises
  current NCP 5 300Jl(a)(2) and contains • -
  a list of NCP sections that these other   .
  persons (except for other persons acting
  pursuant to orders issued under
  .CERCLA sections 104 and 106) must
  comply with in order for their response
  actions to be considered consistent with
  the NCP for the purpose of cost recovery '
  from other third parties. The exception
  is made for section 104 and 106 actions  '
  ••because the administrative order or   •"'
  consent decree issued under these  •'"'"'
  sections determines the scope and   ""'-
;  requirements of the response action.    '•'.
  Today EPA proposes to list the     '-•?"•'
  following NCP sections that EPA    -T"7"
  believes other persons must comply '"?•;_"'
  with in order for their response actions  v
'  to be considered consistent with die
  NCP: '                      /  '" "•'
    L Section 300.150 (on worker health
  and safety);-
    ii. Section 300.160 (on documentation  .
  and cost recovery);     .          -    ..
.    HLSection300.400{c)(l),{4),{5},and  . .
 . (7) (on determining the need for a Fund- :
  financed action), (e) (on permit
  requirements), and (g) (on identification
  ofARARs);
    iv. Section 300.40S(b), (c). and (d) (on  -
  reports of releases to the NRG); •  -  • .• •.
   .v.-Section 300.410 (on removal site	
  evaluation) except (e)(5) and (B) and the
  reference to listing releases in CERCLIS -
.  in pi), which are uniquely Federal   -
  determinations: ••         .....
    vi. Section 300.415 (on removal
  actions) except (a)(2). (b){2)(vn), (b)(5).
  and (g);
    vii. Section 300.420 (on remedial site
  evaluation);
    viiL Section 300.430 (on RI/FS and
  selection of remedy) except paragraph
  (f)(3)(iv){F) which applies only to Fundr
 .. financed responses; and
 .   ix. Section 300.435 (on remedial
  design/remedial action,-operation and
  maintenance).'  "" •    . .  "  "'••-•«.«.
    These sections have been chosen to.--_
  assure protection of human health and  • -
  the environment EPA has omitted those
  NCP sections that pertain to        •  .   •
  organizational matters and other areas  ••
  of concern that are unique to the      •  ,•
  government      .      •   -•..-•«•
    In addition, the regulation specifically
  states that other persons must provide
  an opportunity for public comment
  concerning the selection of the response
  action. The regulation identifies the
  sections of the proposed NCP regarding
  public participation (except
  administrative record and information
  repository requirements stated therein)

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   51162      Federal Register / Vol 53. No.  245 / Wednesday, December 21, 1988  / Proposed Rules
   that a response action must comply with
   in order to be consistent with the NCP:
     a. Section 300.155 (on public'
   information and community relations};
     b. Section 300.415(n) (on community
   relations during removal actions);
     a Section 300.430(c) (on community
   relations during RI/FS and selection of
   remedy) except (5);
     d. Section 300.430(f)(l), (2), and (5) (on
   community relations during RI/FS and
   selection of remedy): and.
     e. Section 300.435{c) (on community
.  relations during RD/RA and operation
   and maintenance).            ' •
     Alternatively. EPA intends that a
   response action will be considered
   consistent with NCP public participation
   requirements if the person tailing the
   response action complies with
   appropriate State or local requirements
   which provide a substantially equivalent
   opportunity for public involvement in
   the choice of remedy.
    Further, the regulation suggests that  :
   other persons consider the methods of
  remedying releases listed in Appendix D
  when selecting the appropriate remedial
  action.
    The'requirements listed above are to
  be complied with where pertinent to the
  particular response action. By setting
  forth these requirements, EPA wishes to
  clarify that it is not EPA's objective to
  limit the discretion of Federal courts in
  determining what constitutes substantial
  compliance with the NCP or making
  CERC1A cost recovery awards. The
  courts, rather than EPA. will make the
  ultimate determination of what response
  costs parties may recover pursuant to
  CERCLA section 107. Nevertheless, as
  the primary agency charged with the
  implementation of the statute, EPA has
  an interest in this matter, and believes
  that its interpretation of the statute
  merits judicial deference. EPA believes
  it has an obligation, in promulgating the
  NCP, to explain when actions by non-
  governmental entities are consistent
  with the NCP. This obligation is
  particularly important given the "
  Widespread confusion and conflicting
  judicial interpretations of the issue. See
  e.g~ Walk v. Waste Resources Corp.,
  761 F.2d 311 (6th  Cir. 1985); Pinole Point
 Properties, Inc. v. Bethlehem Steel
  Corp., 596 F. Supp. 283 (N.D. CaL 1984):
 Bulk Distribution Centers, Inc. v.
 Monsanto Co., 583 F. Supp. 1437,1442-44
  {SD. Fla. 1384]; Jones v. Irunont Corp.,
 584 F. Supp. 1425.1430 (SD. Ohio 1984);
 City of Philadelphia v. Stepan Chemical
 Co., 544 F. Supp. 1135 (ED. Pa. 1982).
   Moreover, EPA intends that providing
 a list of requirements to be complied
 with in order to be consistent with the
 NCP will enhance the probability of a
 successful cost recovery action, thus
  providing an incentive to other persons
  to undertake response actions.
    3: Deletion of requirements regarding
  response actions that are "not
  inconsistent wifh the NCP. "EPA is
  proposing to delete the language of
  current NCP 5 300.71{a)(2) regarding
  which sections of the NCP must be
  complied with for governmental
  response actions to be "not inconsistent
  with the NCP." EPA believes that
  CERCLA contemplates a different
  standard of proof for actions conducted
  by the Federal government. States, or
  Indian Tribes. EPA does not propose to
  define what actions are "not
  inconsistent with the NCP." and would
  leave that determination to case-by-case
  decisionmaking.
   4. Summary of revisions to language
 regarding consistency with the NCP. In
 today's proposed rule, as well as in the
. current NCP, EPA makes it absolutely
 clear that no Federal approval of any
 kind is required for a cost recovery
 action under CERCLA section 107. The
 main effect of today's proposed
 revisions to current NCP § 300.71{a)(2} is
 to specify in further detail what other
 persons must do in order to act
 consistently with the NCP.
   5. Deletion of certification authorities
 from the NCP. EPA proposes to delete
 current NCP § 300.71(c) regarding
 certification of organizations to conduct
 site response activities because EPA
 believes that preauthorization of each
 response claim is a sufficient means of
 determining the capability of applicants
 to perform proposed response actions.
 EPA is also concerned that its
 certification of organizations would be
 used as a marketing tool, possibly
 leading to public misperceptions
 regarding the quality of performance by
 certified firms. Today's proposed
 revisions incorporate that earlier
 proposed change.
  6. Additional statutory authorities for
 the recovery of response costs. Subpart
 H refers to new mechanisms for
 reimbursement of response costs added
 by the 1988 CERCLA amendments:
  L Section 106(b). whereby a person
who has. complied with a section 106(a)
enforcement order issued after October
17,1986 may petition the Fund for '
reimbursement of response costs if he or
she is not liable for the release, or, if
liable for the release, can subsequently
demonstrate that the order, or a portion
thereof, was arbitrary and capricious', or
not otherwise in accordance with the
law; and
  ii. Section 123, which authorizes any
general purpose unit of local government
to petition the Fund for expenses
incurred in providing temporary.
emergency measures. Such
  reimbursement may not exceed $25,000
  for a single response. EPA has issued an
  interim final regulation (see 52 FR 39396,
  October 21,1987) establishing
  procedures for such actions.

  B. Other Revisions

    1. Clarification and reorganization of
  requirements for freautharization of
  responses by other persons. The
  language in current NCP i 30O25[d) has,
  for the most part, been retained.
  However, the language has been
  reorganized, and minor clarifications
  and amplifications to existing language
  are proposed. Preauthorization is an
  established requirement EPA is not
  considering revising it and doe* not
  solicit comment on the requirement
  Itself.
   The proposed revisions clarify that in
  order to receive EPA's prior approval.
  the applicant must demonstrate not only
  the technical and other capabilities
  necessary to respond safely and
  effectively to releases, but also establish
  that-the action will be consistent with
  the NCP as established by this section.
 The capability of an applicant to
 perform a proposed action will be
 evaluated on a case-by-case basis, since
 an application for preauthorization must
 be filed with respect to each proposed
 action. EPA intends to propose a
 separate regulation setting forth the
 procedures for applying for
 preauthorization and for presenting a
 claim for reimbursement of response
 costs.
   2. Impact of new CERCLA section 122
 settlement provisions on otherparty
 response. Section 122[b) of CERCLA
 adds a provision that allows potentially
 responsible parties to be reimbursed
 through "mixed funding" agreements.
 Mixed funding agreements permit EPA
 to reimburse parties to settlement
 agreements for certain response actions
 that the parties have agreed to perform
 and that EPA has agreed to finance in
 part. EPA proposes to add a new
 paragraph to the section on claims to
 state that a claim by a party determined
 by EPA to be potentially liable under
 section 107 of CERCLA, including a
 State or a political subdivision thereof.
 will receive EPA's prior approval to
 submit claims only in accordance with
 an order issued pursuant to section 106
 of CERCLA. or a settlement with the
 Federal government in accordance with
 section 122 of CERCLA. Consequently, a
 State or its political subdivision can
 submit .claims under these sections in •
 the context of enforcement actions
 taken by EPA. Where such persons are
not determined by EPA to be potentially
liable under section 107 of CERCLA, but

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             Federal Register / VoL 53. .No. 245 / Wednesday, December 21. 1988 / Proposed Rules     51463
 act in their capacity as a unit of
 government, they may receive funds
 from the Fund for section 104 response
 action as authorized by section lll(a)(l)
 of CERCLA. A political subdivision of a
 State is treated as a State for the   .  ••
 purpose of section 107.
   3. Grants for technical assistance.
 Current NGPj3002Sfd) refers to
 cooperative agreements and contracts.
 "Amendments to CERCLA lection 111
 authorize technical assistance grants : •
 pursuant to section 117(e). Cooperative
 agreements and grants, when taken ..-.,  •'
 together, are generally referred to as. .-  .
 "assistance agreements.*' EPA is  ,. v.'. .. .,-
 proposing to revise  J 3QO25(d) to refer to
 "procurement contracts or assistance, ,-..
 agreements.".    •••,•..-  ,  •-..-;; :.-...
 Subpart I—Administrative Record for '•'
 Selection of Response Action  :
   Proposed Snbpart I of the NCP is
 entirely new. It implements CERCLA
 requirements concerning the
 establishment of an administrative
 record. Section 113(k)(l} of CERCLA
 requires the establishment of an
 administrative record that contains the
 documents thatfonn fee basis for the '
 selection of a CERCLA response action. •
 In addition, section  113{k)(2) requires  '
 the promulgation of regulations'       •
 establishing procedures for the -      • '•
 participation of interested persons in the
 development of the administrative •'  '  •
 record.          •            .       "  '
   EPA is proposing regulations  '  '- " ~( •
 regarding the administrative record that '••
 include procedures for public
 participation. This will ensure the
 development of a complete and accurate "
 record by all parties responsible for
 compiling records, because procedures
 for establishing and maintaining the
 record are closely related to the
 procedures governing public     •  •
 participation.
   Because this subpart is entirely new.
 the following discussion is not divided •  '
 into major revisions, other revisions,  •
 and points of clarification. Instead, it  '  •
 explains the purpbse-of the      -•-•  •
 administrative record and then generally
 provides a paragraph by paragraph   •  •
' explanation of the proposed regulations..

 A! Background and Purpose ".
   Under CERCLA, the administrative •-'
 record established under section 113(k] •
 serves two primary purposes. First,  • • :-.-•
 under section 113Q). judicial review of
 any issue concerning the adequacy of a
 response action is limited to the •
 administrative record. Second, section
 113(k} requires that the administrative
 record be used as a  vehicle for public
 participation in the selection of the
 response action, ensuring that EPA has
 considered all relevant factors in
 selecting the response and that
 interested parties have been given
 adequate notice and an opportunity to
 participate in that selection.
   1. Judicial review. Section 113QK1) of
 CERCLA provides that judicial review of
 any issues concerning the adequacy of
 any response action shall be limited to
 the administrative record. .Section  ."
 M3GX2) provides Ifoat the court shall    .
 uphold the selection of a response  . •
 action unless the objecting party can •
 demonstrate, based on the
 administrative record, that the decision
 was arbitrary and capricious, or  •' •
 otherwise not in accordance with law.
 These statutory provisions codify well-
 established principles -of administrative
 law concerning the applicable standard
 and scope of review for informal agency
 actions. The legislative history of .
 section 113 demonstrates that it is  .
 intended to clarify and confirm the
 applicability of thcsse administrative.law
 principles to CERCLA response
 selection. (See S. Rep. 99-11,99tb Congi,
 1st Seas. 57 (1985); HJR. Rep. 89-253, S9th
 Cong, 1st Seas. 82 (1985); Cong. Rec-H
 11084 (daily ed. Dec. 5.1985)).
  Limiting judicial review of the
 selection of a response action to the
 administrative record ensures that
 litigation on the selection of the
 response action focuses on the selection
 in light of the information available to
 the decisionmaker at the time the
 response was selected. Judicial review
 limited to the administrative record
 contributes to the overwhelming public
 interest in effecting the expeditious   ;
 cleanup of potentially health- and
'environment-threatening hazardous .   .
 waste sites and ensures that all     .'  '
 interested persons may participate
 equally ih'the administrative
 decisionmaldng process. The principal
 effect of limiting judicial review to the
 administrative record is that courts will
 not engage in de novo fact-finding '•
 during their review of a challenge to the
 decision to select a certain response.
 Thus, record review of response
 selection decisions: would mean that  '
 persons challenging the response
 decision could not depose, examine or - -
 cross-examine on-scene coordinators
 (OSCs), remedial project managers ' •   •
 (RPMs), government consultants, or -
 decisiohmakers with respect to the ' '
 response decision or engage in any other
 discovery activities. Also, the imposition
 of long and costly (trial-type procedures
 in section'106 actions would greatly
 delay response. •
  2. Public participation. Sections
 113(k)(2) (A) and (13) of CERCLA require
 the promulgation of regulations
 establishing procedures for the
  participation of interested persons in the
  development of the administrative  v
  record. Participation by interested •  •
  persons, where appropriate, will ensure .
  that EPA has considered the concerns of
  the public, including potentially
  responsible parties (PRPs), in selecting
  the response action. In addition, -for'
  purposes of administrative and judicial
  review, the administrative record can
  contain documents 'that reflect die views
  of the public, including PRPs and those
  not party to any judicial proceeding, •
  concerning the selection of a response
  action.    '  • ;•• ''•'••"• •"..'•••  •-
    For remedial actions, section
  113[k)(2)(B) of CERCLA establishes the
  following nimimam procedures for •'• '
•  public participation:   ••-..
    L Notice to potentially affected
  persons and the public, accompanied by
  a brief analysis of the plan and
  alternative plans that were considered;
    iL A reasonable opportunity to
  comment and provide'information'
.  regarding the plan;   ••-•--••     ^
    iii. An opportunity for a public'.
  meeting in the affected area, in
  accordance with section 117{a)(2) of
  CERCLA;   •        .
    iv." A response to each of the
  significant comments, criticisms, and
  new data submitted in written or oral
  presentations; and      '    ~      • .
    v. A statement of the basis and  '
  purpose of the selected action.  .   .
    These requirements are virtually the
  same as those required by section 117 of
  CERCLA concerning pub&c participation
  for remedial actions. These public • :.
  participation requirements are proposed
  for codification today in S 300.430. of
  Subpart E of the NCP. Subpart I expands •
•  on the public participation requirements
  of Subpart E. -   -     -   •
    Because the nature of removal actions •
  often involves the need-for prompt-- ••..-  :
  action, the procedures proposed today
  for public participation in removal    ••-•
  actions are quite different from those for
  remedial actions. Removal authority • .
  allows the lead agency to move quickly  .
  in situations where prompt lead agency  .
  action is warranted. Section 113(k)(2)(A]
  of CERCLA requires that there be
  "appropriate" participation of interested
  persons in the development of the ;•  - •
  administrative record-supporting .
  removal actions. The legislative history  •
  of this section states that these public -
  participation requirements "are not • •
  intended to hamper emergency removal
  actions. Nonetheless, the Administrator
  is directed to develop appropriate
  participation procedures for removal
  actions and should follow these •
  requirements to the maximum extent
  practicable." fjfrLR. Rep. 89-253.99th

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 51464      Federal Register / Vol. 53. No. 245 / Wednesday. December 21. 1988 / Proposed Rides
 Cong. 1st Ssss- 1365. at 82). Public
 participation requirements for removal
 actions are addressed in § 200.415(n) of
 today** proposed regulations. Additional
 public participation procedures in the
 development of an administrative record
 for a removal action are addressed in
 1300.820. The public participation
 procedures are designed to ensure an
 appropriate level of public involvement
 for removal actions without causing
 unnecessary delay. In general where
 there is time to solicit public comment
 before the selection of a. removal action,
 the lead agency will do so. Public
 participation procedures for removal
 actions are described in greater detail
 below.
 K. Current Record Requirements
  Section 113[k}(2){C) of CERCLA states
 that until regulations on the
 participation of interested  persons in the
 development of the administrative
 record are promulgated, the
 administrative record shall consist of all
 items developed and received pursuant'
 to current procedures for selection of .the
 response action, including  procedures
 for the participation of interested parties
 and the public. Current procedures on
 public participation in the selection of
 response actions include an extensive
 community relations program through
 which interested persons have notice of
 information through notices in local
 newspapers, community relations
 mattings, public meetings, and letters.
 including notice letters to potentially
 responsible parties. An adequate record
 should be compiled and maintained
 through use of current procedures for
 sites where the remedial investigation or
 removal action has already begun prior
 to promulgation of these regulations.
 These proposed administrative record
 requirements build upon and formalize
 existing procedures for the exchange of
 information on the selection of a
 response action.
  The cutoff date for the applicability of
 these regulations is based on when the
 administrative record file must first be
 made available under these regulations.
 The lead agency may not be able to fully
 comply with regulations concerning
 compilation of the record which are
 promulgated after a record has already .
 been compiled and made available at or
 near a  site. Thus, at such sites, the lead
 agency will comply with these
 regulations to the extent practicable.
 C Summary of New Subpart I
  1. Establishment of an administrative
record f§ 300300). As explained earlier.
 section 113(k) requires the establishment
of an administrative record consisting of
the documents that form the basis for
  the selection of a response action. An  .
  administrative record is the compilation
  of documents considered or relied on by
  the agency in making a decision; in this
  case, the selection of the response
  action for the site. Proposed § S00.800(a)
  codifies this statutory provision and
  provides that such establishment is the
  responsibility of the lead agency. The
  regulation-also uses the term
  "administrative record file"-to refer to
  documents which the lead agency
  anticipates will be included in the
  administrative record when the decision
  on response action selection is made.
  The administrative record file contains a
  body of documents which increases as
  documents are added and does not
  necessarily constitute the final
  administrative record.
   The term "documents."' also used in
  the preamble and proposed regulations,
  is intended to be very broad. It includes
'  writings, drawings, graphs, charts,
  photographs,  and data compilations
  from which information can be obtained.
  It does not include physical samples.
   Section 300.800[b) addresses
  administrative records for Federal
  facilities. Executive Order 12580
  authorizes Federal agencies to establish
  the administrative record for selection
  of response actions for Federal facilities
  under their jurisdiction, custody, or
  control. EPA,  however, is required to   •
 promulgate regulations establishing
,  procedures for the participation of
 interested parties in the development of
 the record. Federal agencies must
 compile and maintain records as
 required by this subpart. as finally
 promulgated. Section 300.80Q[b) also
 clarifies that although the Federal
 agency is responsible for compiling and
 maintaining the administrative record.
 EPA may furnish documents which the
 Federal agency is to place in the
 administrative record file to ensure that
 the administrative record includes all
 documents which form the basis for the
 selection of the response action.
   Section 30O800(b)(Z) provides that
 when EPA (or the United States Coast
 Guard {USCG}) is the lead agency at a
 Federal facility. EPA (or USCG) shall -
 compile and maintain the record.
 Executive Order 12580 delineates cases
 in which EPA (or USCG] is the lead
 agency. EPA is the lead agency, for
 example, at Federal facilities conducting
 on-site emergency removal actions •
 (other than at DOD or DOE Facilities).
 The USCG can be the lead agency at
 Federal facilities with on-site emergency
 removal actions in the coastal zone.
   Section 3OO.8OO(b)(3) requires that
 when EPA is involved in the selection of
 a response action at a Federal facility on
 the NPL the Federal agency shall
 provide EPA with a copy of the index of
 documents included in the
 administrative record file, the RJ/FS
' workplan, the RI/FS released for public
 comment the proposed plan, any public
 comments received on the RI/FS and
 proposed plan, and any other documents
 requested by-EPA on a case-by-case
 basis. EPA in involved in Ihe selection of
 a response action when it is jointly
 selecting the response action with the
 Federal agency, as •delineated in •
 Executive Order 1258& Such joint
 selection occurs, for example, for all
 remedial actions at Federal facilities on
 the NPL. In such cases. EPA must be
 sufficiently familiar with the contents of
 the administrative record to be able to
 select jointly the response action.
  EPA considered other options for
 involvement in the development of the
 administrative record for Federal
 facilities, such as periodic visits to file
 Federal facility to review the
 administrative record file as it is .
 compiled, receipt of the entire contents
 of the record file for all NPL sites, and
 receipt of the entire contents of the
 record file for all response actions at all
 Federal facilities. EPA has tentatively
 rejected these options as being overly
 burdensome. EPA believes that the
 preferred option allows enough
flexibility for EPA to ensure that the
response action selected by the Federal
agency adequately accounts for the
concerns of the public, is consistent with
response action selection at non-Federal
facilities, and allows EPA to be
sufficiently involved in the decision
when it is jointly selecting the response
action. EPA solicits comments on
alternative procedures for EPA'»
involvement in the development of the
administrative record for Federal
facilities.
  Section 300.800(c) specifies that it is
the responsibility of the State to compile
and maintain administrative records at •
a State-lead site. Section 300.600{cJ
applies only if EPA and the State
formally designate the State as the lead
agency for a site as specified in Subpart
A under the definition of lead agency.
The requirements for State-lead sites are
similar to those for Federal agencies
compiling administrative records for
Federal facilities at which EPA is
involved in the selection of the response
action. EPA is proposing that the State
provide EPA, commenting at the time
the administrative record file is first
made available to the public, with the  •
index of documents included in the •
administrative  record file. The issues
relating to this  requirement are similar
to those outlined above for Federal

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Federal Register / Vol. S3, No. 245 / Wednesday, December 21. 1988 / Proposed Rides     SMS5


                                                                  assurance documents, chain of custody
                                                                  forms, and publicly available technical
                                                                  literature. These documents, which axe
                                                                  part of the record, may be located - . -
                                                                  elsewhere, as provided in £300.805 (a) .
                                                                  and (c). and explained further below.
                                                                    The administrative record file at or  -
                                                                  near the site at issue should be located .
                                                                  at one of the information repositories •"
                                                                  which may already exist for community'-
                                                                  relations purposes. The information "•- - •
                                                                  respository. maintained by the  -.'  . :•
                                                                  community relations coordinator, may •-;  .
                                                                  contain additional iafonnation which ia;
                                                                  of interest to the public, but which does
                                                                  not forma basis for the response action
                                                                  decision. Examples of such information •
                                                                  include newspaper articles, press •  • ••-.
                                                                  releases, and information concerning tie
                                                                  NPL listing. If there is no existing .    ••--
                                                                  community relations information
                                                                  repository, or the information repository
                                                                  is inadequate for maintaining the .   .--:
                                                                  administrative record file, the file nay  ._
                                                                  be located in some other publicly
                                                                  accessible place. EPA is considering and '•
                                                                  seeks  comments on limiting the    . .-
                                                                  information which much be available at
                                                                  or near the site in situations where the
                                                                  record is too voluminous for the publicly
                                                                  accessible location. Typically, local
                                                                  libraries, town halls, or public schools
                                                                  are used as publicly accessible
                                                                  locations.
                                                                    EPA may make the administrative   "
                                                                  record file available to the pubh'c in
                                                                  microform. EPA may microform-copy
                                                                  documents that f aim the basis for the
                                                                  selection of a CERCLA response action
                                                                  in the  regular course of business. The
                                                                  microform copying will be done in
                                                                  accordance with technical regulations
                                                                  concerning micrographics of Federal
                                                                  Government records and EPA records '. .
                                                                  management procedures.           .  ••
                                                                  • EPA proposes that some information "
                                                                  need not be physically located at or
                                                                  near the site because of the substantial
                                                                  administrative burden this would pose.
                                                                  The information not available at or near
                                                                  the site would, however, always be
                                                                  available to the public at another
                                                                  location. For example. 5 300.805(a)  .
                                                                  provides that certain types of technical
                                                                  information may be located in the
                                                                  central location or elsewhere, such as *
                                                                  contract laboratory or field office. The
                                                                  index  to the administrative record file.
                                                                  which will be included in the
                                                                  administrative record file both at or near
                                                                  the site ""^ at the central location, must
                                                                  indicate where the information is
                                                                 - located and how it can be obtained for
                                                                  inspection. Thus, such information
                                                                  continues to be easily accessible to
                                                                  .interested persons. Examples of such
                                                                  information include validated sampling
                                                                  data, which are normally summarized in
 facilities. Additionally. EPA may require
 that States place additional documents
 in the record file to ensure that the
 administrative record includes all
 documents which form the basis for the
 selection of the response action.
   Section 300.80G[d} provides that    .
' Subpart I applies to all response actions
 taken under section 104 of CERCLA or
 sought, secured, or ordered ....   ..
 administratively or judicially under ' ;.
 section 106 of CERCLA. The statutory . ' .
 language of section 113Q)(1) states that
 in any judicial action under this Act.. .
 judicial review of any issues concerning
 the adequacy of any response action.
 taken or ordered by the President shall
 be limited to the administrative record. .
 It has been' argued that section 113(0(1)
 of CERCLA does not apply to injunctive
 actions taken under section 108, and
 that the literal meaning of the phrase   .
 "taken or ordered by the President"
 does not include section 106 actions for
 injunctive relief unless an
 administrative order is issued.
   The statutory language of sections . _•
 113fj) (1) and (2). when read together/  '
 indicates that this narrow interpretation
 of section 113(j) is incorrect Together,
 sections 1130) (1) and (2) provide that
 judicial review of any .response action is
 limited to the administrative record. In
 addition, section 121 of CERCLA
 expressly provides that the President
 shall select all remedial actions to be
 carried out by EPA under section 104 of
 CERCLA or secured under section 106.
 No exception for section 106 injunctive
 actions was made.
   Accordingly, consistent with the
 statutory language and congressional
 intent, EPA is clarifying that limiting
 judicial review of response action
 selection to  the administrative record
 applies to all actions taken-under
 section 104 of CERCLA, or sought
 secured, or ordered administratively or •
 judicially under section 106 of CERCLA.
   Section 30C.600(d} further provides
' that Subpart I only applies to those sites
 at which the remedial investigation
 commences or the action memorandum
 is signed after the promulgation of these
 regulations. For those sites
 grandfathered by paragraph (d),
 paragraph (e) provides that the lead
 agency shall comply with these
 regulations to the extent practicable on
 a case-by-case basis. This does not
 mean that administrative records ere
 not required for these site's or that
 judicial review of the selection of a
 response action at these sites will not be
 limited to the administrative record.
 Rather, as explained earlier, this
 provision simply recognizes that there
 will be ongoing actions at which the
 final regulations cannot be complied
 with in fulL The public participation
 procedures for remedial actions outlined
 in section 113(k](2](B) and 117 of the
 statute and discussed earlier in this
 preamble, however, are applicable to
 any Record of Decision (ROD) signed
 after .October 17,1986. the date that in
 general, the amendnuoits to CERCLA
 took effect .-  • -"   '   .  :  •-•
  • Subpart I does not apply to third parry
 cleanups, i&» those not undertaken
 pursuant to sections 104.108. or 111 of
 CERCLA. Under this proposal, such
 cleanups need not comply with these *
 administrative record requirements. .
 Section 300JOO(d) does not require that ,
 'State actions forcost recovery under
 section 107 of CERCLA. where the State
 used only its own authorities to conduct
 a response action, comply with this .
 subpart If a State is seeking to recover
 costs from responsible parties under
 section 107 of CERCLA. EPA may wish
 to require that States comply with this
 subpart to expedite judicial proceedings
 in such circumstances. EPA solicits
 comments on whether these regulations
 should apply to {hose situations.
  2. Location of the administrative
 Kcord(§ 300.805}. Section 113(k)(l) of
 CERCLA requires, that "the
 administrative record shall be available
 to the public at or near the facility at
• issue. The President also may place '
 duplicates of the administrative record
 at any other location." EPA proposes to
 require that the administrative record
 file generally be located in two places.
 First as provided by the statute, the
 record file shall be located atx>r near the
 facility at issue. (To conform to the
 terminology of the rest of the NCP. the
 term "site" will be used in this subpart
 as a substitute for the term "facility"
 used in the statute.]
  In addition, EPA proposes that the
 administrative record file be located at
 an office of the lead agency or other
 central location. Examples of central : '
 locations include an EPA Regional
 Office, an EPA field office, a Federal
 agency equivalent to an EPA Regional
 office, or. for State lead sites, a State   •
 environmental agency office. EPA  •
 considered making this central location
 requirement optional, but concluded that
 the lead agency has more control over '•
. die maintenance of the necessary •
 documents at the central location than
 at or near the site. As described below.
 the file at or near the aite should contain
 a copy of most of the (documents
 included in the administrative record
 file at the central location, .
  Under § 300.805. the; file at the central
 location must contain all documents
 which are part of the administrative
 record except certain verified sampling
 data, quality control «nd quality

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  51466     Federal Register / Vol. S3. No. 24S / Wednesday, December 21. 1988 / Proposed Riiles
  data summary sheets and ate quite
  voluminous, documentation of quality
  assurance and quality control which is
  normally summarized in the remedial
  investigation/feasibility study (RI/FS).
  and chain of custody forma. These types
  of documents may be stored in the EPA
  Regional office, contract laboratory
  office that conducted the testing. State
  environmental agency office, or
  elsewhere, as appropriate.
    Section 300.805(b) provides that
  guidance documents not generated for
  the particular site for which an      . •
  administrative record is being compiled
  may be maintained in a library at the
  central location. The guidance
  documents need not be in each site-
  specific administrative record file at the
  central location or at or near the site at
  issue. EPA anticipates that each EPA
  Regional office will maintain a central
 library of guidance documents which
 are frequently cited as a basis for
 selecting a response action. This
  approach eliminates the need for
 reproducing copies of the same
 document for'each site record. The term
 guidance document includes issue-
 specific policy memoranda as well as
 formal guidance documents. Examples
 of ouch guidance documents and issue-
 specific memoranda include the RI/FS
 guidance document, guidance on risk/
 exposure assessments, guidance on
 applicable or relevant and appropriate
 requirements, memoranda on maximum
 contaminant levels, and guidance on
 testing for specific contaminants.
   Guidance documents and memoranda
 which are generated for a particular site
 roust be placed in the site-specific
 administrative record file. (For example
 a document on dipxin contamination at
 XY2 site must be placed in the XYZ site-
 specific administrative record file. If it is
 also used as a guidance document on
 the cleanup of dioxin at other sites, it
 may be located only in the central
 library rather than physically in the
 administrative record file at those other
 sites.) The central library of guidance
 documents will be available to the
 public.
   EPA proposes in | 300.805(c) that
 publicly available technical literature   . ..'
 not generated for a site at issue need not
 be located at or near the site at issue, in
 the central library of guidance
 documents or in the site-specific
 administrative record file, provided that
 it is listed in the index to the
 administrative record. Copyright laws
may bar the copying of these materials
without specific approvals. EPA
believes that expending Superfund
resources on obtaining copies of
publicly available technical literature is
  not appropriate. Examples of publicly
  'available technical literature include
  widely used engineering handbooks on
  ground-water monitoring, and articles.
  from technical journals', which are
  readily available in technical libraries.
  The index must list these documents
  separately and indicate information on
  their availability, or, the literature may
  already be cited in a document included
  in the record.
    Technical literature, however, which
  is not generally available should be
  included in the site-specific
  administrative record file. Because these
  documents are by definition not easily
  obtainable, they should not limply be
  indexed. They generally will not be used
  for many sites; therefore, it is also not
  appropriate to include mem in'the
  central library of guidance documents.
  The library should be reserved for
  documents which are frequently used to
  select response actions. Examples of
  technical literature not generally
  available include articles from technical
  journals or unpublished documents not
  available through the Library of
  Congress or not circulated to technical
  libraries.
    Section 30O805(d) provides that
  documents included in the confidential
  portion of the administrative record file
  shall be located only in the central
  location. Since the public cannot review
  the confidential and privileged
  information, there is no reason to
.  require that such information be
  maintained at or near the site.
   EPA is proposing in 5 300.805(b)(5)
  that for reasons of administrative
  feasibility, an administrative record file
  for emergency removal actions where
  on-site activities cease within 30 days of
  initiation need only be available for
  public inspection at the central location.
 Emergencies are those actions with tittle
  or no lead time end generally of very
  short duration—for example, a highway
 spilL The benefits of placing the record
 file at or near the site are outweighed by
 the administrative burden on the
 response to such emergencies. Where
 feasible, a notice may be placed at the
 site explaining that the administrative
•record file will be available for pubKc
 inspection at the EPA Regional office (or
 other central location).     •       •  •
   S, Contents of the administrative"
 record (§ 3OO310). The administrative
 record under section 113{k) consists of
 documents which form the basis for .the
 selection of a response action at a
 particular site. In determining which
 documents form the basis for the
 response action. Le, what constitutes  a
 complete record, the lead agency shall
 include all documents considered by the
  dedsionmaker, including those relied   '.
  upon by the decisionmaker in selecting
  the response action.
   It should be noted that documents
  constituting the administrative record
  for selection of a response action are
  only a subset of documents that the lead
  agency may leave compiled with respect
  to a particular site. The lead agency will
  also have general-files consisting of
  documents relevant to other aspects of a
  site.
   Section 30O810 discusses generally
  what should be contained in the
  administrative record file for response
  •election and what should be excluded.
  Section 30O8lO(a) states that it should
  contain factual information: data;
  analysis of the factual information and
  data; guidance documents technical
  literature: site-spedSc policy
 memoranda; documents received,
 published, or made available to the
 public under £ § 300.815 and 300.820 of
 this subparfc decision documents; and
  enforcement orders. In addition, an
 index listing the documents contained in
 the administrative record file should be
 included at the beginning of the record
 file.
 ' The following is a list of documents
 which typically, but not in all cases,
 should be part of the administrative
 record for selection of a remedial or
 removal action. (For purposes of this
 subpart, an RI/FS should be included as
 a component of a remedial action
 record.) Only documents within each
 category which form a basis for
 selecting the response action will  be
 part of the record (if-, although
 correspondence is listed under public
 participation, correspondence on
 liability issues is not part of the record)..
 This list is intended to be illustrative,
 but not necessarily required at each site
 or complete.
  L Contents of Remedial Action
 Administrative Record.
  (a) Factual Information/Data.
  Sampling plan.
  Validated sampling and analysis data.
  Chain of custody forms.
  Project plan or program plan (QAPP).
  Preliminary assessment report
 • Site investigation report.
  -Inspection reports. •
  RI/FS final workplan.
  • Amendments to final RI/FS workplan.
  Summary of remedial action
alternatives (used in conjunction with
early special notice letters).
  Data summary sheets.
  RI/FS.
  Technical.srudies.
  Factual information submitted by the
public, including PRPa.

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            Federal Register / VoL 53, No. 245 / Wednesday. December 21,1988 / Proposed Roles     51467
   Documents supporting the lead
 agency's determination of imminent and
 substantial endangennent
   (b) Policy and Guidance.
   Memoranda on policy decisions (site-
 specific and issue-specific).
   Guidance documents.
   Technical literature.
   (c) Public Participation.
   Correspondence.
   Public notices.
   Public comments.
   Community relations plan.
   Notice letters to PRPs.
   Proposed plan.
   Transcript of meeting on RI/FS imd
 proposed plan, and waivers under
 section 121(d) of CERCIA.
   Documentation of other public
 meetings.
   Response to significant comments.
   (d) Other Party Information.
   ATSDR health assessment.
   Natural Resource Trustees finding of
 fact and final reports.
   Documentation of State involvement
   (e) Decision Documents.
   Record of Decision, fnrf
 responsiveness summary.
   (fj Enforcement Documents.
   Administrative orders.
   Consent decrees.
   Affidavits.
   Response to notice letters containing
 relevant factual information.
   (g) Index.
  ii. Contents of Removal Action
Administrative Record.
  (a) FactualInformation/Data.
   Sampling plan.
  Validated sampling and analysis data.
   Chain of custody forms.
  Preliminary assessment report.
  Site investigation report
  Inspection reports.
  Engineering evaluation/Cost analysis
report (EE/CA-).
  Technical studies performed for the
site.
  Factual information submitted by the
public, including PRPs.
  Documents supporting the lead
agency's determination of imminent and
substantial endangennent
  (b} Policy and Guidance.
  Memoranda on policy decisions (itite-
specific and issue-specific}.
  Guidance documents.
  Technical literature.
  (c) Public Participation.
  Correspondence.
  Public notices.
  Public comments.
  Community relations plan.
  Notice letters to PRPs,
  Documentation of other meetings.
  Response to significant comments.
  (d) Other Patty Information.
  ATSDR health assessment
   •Natural Resource Trustees finding of
 fact and tinal reports.
   Documentation of State involvement
   [e} Decision Documents.
   EE/CA approval memorandum.
   Action memorandum.
   (fj Enforcement Documents.
   Administrative orders.
   Consent decrees.
   Affidavits.
   Response to notice letters containing
 relevant factual information.
   {$ Index.
   Several documents fa the list above
 require further explanation. First,
 verified sampling data are included OB
 the list above. Duta which have
 undergone sjaality assurance/quality
 control and are relied on most be
 included in the record. Data which have
 been rejected as inaccurate, or will
 otherwise not be considered or relied
 upon, need not be included in the
 record.
   Second, EPA ill proposing in
 S 300.610{a}{l) that documents
 supporting the determination of an
 imminent and substantial endangerment
 be part of the administrative record.
 EPA and other Federal agencies have
 the discretion-to conduct assessments to
 determine the extent of an imminent and
 substantial endangennent to the public
 health or welfare or the environment
 due to an actual or threatened release of
 a hazardous substance. If EPA chooses
 to exercise its discretion to conduct such
 an assessment tlie assessment shall be
 included in the record. A determination
 of an iiriTTitTiprrf and substantial
 endangerment is based on factual
 information which forms a basis for the
 selection of the response action. As
 such, when a determination of an
 imminent and substantial endangennent
 is made, it is part of the record of the
 selection of a response action. EPA
 believes that judicial review of the
 determination that there is an imminent
 and substantial endangernzent in actions
 under section 106 to enforce an order or
 for injunctive relief, therefore, is limited
 to the administrative record.
  Third, for a remedial action record,
 the list includes a summary of remedial
 action alternatives. This summary will
 only be generated in conjunction with
 •pedal notice letters EPA may issue to
 PRPs pursuant to section I22(e) of '
 CERCLA if the notice letter is issued
prior to the availability of an RI/FS
 report and it appears necessary to .  '
inform interested persons of the lead
 agency's direction on remedial'
alternatives. In this context a summary
 of remedial action alternatives would be
generated if necessary to enable PRPs to
make an informed good faith offer to
undertake the remedial design or
 remedial action. Tie -summary of
 remedial action alternatives should be
 included in the administrative record
 file so that the public and not just the
 PRPs have the information.
   Finally. EPA i* proposing that notice
 letters to PRPs be included in the'
 administrative record. EPA has recently
 issued guidance on the notice letters
 issued under section 222(e) of CERCLA.
 S3 FR 6238 (February 23. M88J. PRPs that
 receive notice fetters are expected to
 became familiar with CERCLA. if they
 have not already done so. In light of
 notice letters and general principles of
 administrative law. PRP» are on notice
 that an administrative record file will
 be, or is, available for public inspection.
   Section 3OX810(fa) addresses
 documents which generally will not be
 included in the administrative record.
 The type of documents referenced in
 f SOOJSlOQj) are those which by
 definition are not appropriate for
 inclusion in the administrative record
 because they do not form a basis for the
 selection of the response action. These
' documents are specified in the
 regulation for purposes of clarity.
   Draft documents, internal memoranda.
 end day-to-day notes of staff generally
 will not be included in the
 administrative record. Examples of draft
 documents that will be included in the
 administrative record are those that
 were considered or relied on in response
 action selection and never superseded
 by a final document and those that
 contain material facts which do not  •
 appear in any other document included
 in the administrative record file. The
 general rale, however, is that only final
 documents will be included in the
 administrative record.
  Examples of internal memoranda and
 day-to-day notes of staff which are not
 appropriate for inclusion in the
 administrative record are documents
 that express opinions or
 recommendations of staff to other staff
 or management or internal pre-
 decisionel HfmiTF***** that evaluate
alternative viewpoints.
  Section 30O81D(c) addresses
privileged documents. Examples of
privileged documents include, but are
not limited to: documents subject to
attorney-client privilege and attorney
work product exclusion, documents   •
subject to deliberative process privilege,
and enforcement sensitive information.
Common law and other privileges may
be asserted.
  An assertion of confidentiality of
information does not necessarily
eliminate the need to make such
information part of ft1** administrative
record. If confidential information which

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 52468
Federal Register / Vol. S3. No. 245 / Wednesday, December 21, 1988 / Proposed Rales
 forms a basis for the selection of a
 response action is not included in any
 other document in the administrative
 record, that information most be part of
 the administrative record. Section
 300.B10(d) requires that the information,
 to the extent feasible, must be   -
 summarized in such a manner as to
 make it disclosable to the public and
 placed in the administrative record file.
 If it is not feasible to summarize the
 information in a releasable manner, e.g..
 when the privilege applies directly to the
 Information which forms * basis for the
 selection of the response action, such as
 confidential business information, the
 documents must be maintained by the
 lead agency in a confidential portion of
 the administrative record file. (These
 documents may be reviewed in camera
 in any subsequent judicial proceeding.)
 The index to the administrative record
 must list the confidential or privileged
 document even though the document
 will not be available for public
 inspection. Whether or not the
 information can be summarized in a
 releasable manner, the actual document
 containing confidential or privileged
 material must be included in the
 confidential portion of the
 administrative record file. In light of the
 nature of the information in the KI/FS
 and underlying documents and the fact
 that contamination levels are generally
 not privileged, this is not expected to
 occur frequently.
   It should be noted that section
 lW(e){7) of CERCLA governs the extent
 to which information may be claimed
 confidential by persons required to
 provide information under that section.
 Where confidential business
 information is claimed, EPA will
 proceed according to regulations set
 forth in 40 CFR Part 2.
  4. Administrative record for a
 remedial action (§300.815}. Section
 300.81S(a) provides that the documents
 included in the administrative record
 file for a remedial action «frmH be
 available for public inspection at the
 commencement of the remedial
 investigation phase. Generally, the
 commencement of the remedial
 investigation phase occurs when the-
 final IU/FS work plan is available. The
 regulations do not specify when the
 remedial investigation phase
 commences because this may be a site-
 specific determination. EPA solicits
 comments on whether the regulation
 should specify in greater detail when the
 lead agency must make the
 administrative record file for a remedial
 action available for public inspection.
The file at that time should contain the
 documents which will'form a basis for
                           the selection of the response action  •
                           generated or received through the date
                           when the administrative record file is
                           first made available. Documents
                           generally available when the RI/FS
                           work plan is approved include a
                           preliminary assessment report, site  •
                           •inspection report the RI/FS work plan.
                           underlying Inspection reports, and the
                               lunity relations plan. From that
                           time until the ROD is signed (except as
                           provided in { 300.825. described below)
                           documents which form the basis for the
                           •election of the remedial action, shall be
                           added as generated or received to the
                           administrative record file.
                            The lead agency may establish a   . •
                           system allowing for periodic review of
                           documents where mere are questions as
                           to whether the documents must be
                           included in the administrative record
                           file. Quarterly or monthly updates of the
                           administrative record file may be
                           appropriate in given situations and
                           allows the lead agency to analyze data
                           and organize it in a manner that will be
                           meaningful to the public. In addition, it
                           may save the lead agency the time
                           involved in making daily or weekly   •
                           determinations on whether questionable
                           documents should be added to the
                           administrative record file. If there is no
                           question that a document belongs  in the
                           administrative record file, e.g_ the RI/FS
                           report, the document should be placed in
                           the record file as soon as practicable
                           after its generation or receipt
                            EPA proposes in 5 300.8I5(a) that the
                           lead agency publish a notice of
                           availability of the administrative record
                           file. The notice must lie published in a
                           major local newspaper of general
                           circulation, as is required for the notice
                           of availability of the proposed plan. (See
                           § 300.430 of today's proposed rule.) EPA
                           considered proposing that a notice be
                          published in the Federal Register for
                          wider circulation, but rejected such a
                          requirement as unnecessary. EPA
                          solicits comments on whether aiiotice
                          of availability of the record or of
                          commencement of the public comment
                          period should be published in the
                          Federal Register. EPA also considered
                          proposing that a separate notification of
                          known potentially responsible parties
                          bemade. Section 113(k)(2)(D) of
                          CERCLA provides that the President
                          shall make reasonable efforts to identify
                          and notify PRPs as early as possible
                          before selection of a response action.
                          EPA will be issuing notice letters to
                          PRPs under section 122{e) of CERCLA
                          early in the process hi many situations.
                          Given these early efforts, as well as the
                          notice in a local newspaper. EPA chose
                          not to propose a separate notification of
                          PRPs here.
   Section msiSfb) clarifies that
 interested persons may submit
 comments for inclusion in the
 administrative record file during the
 public comment period on the RI/FS and
 proposed plan described in { 300.430(f)
 of Subpart E. The lead agency need not
 however, respond to comments that
 were submitted prior to the public  •
 comment period on the proposed plan,
 although in many instance*, the lead  • .
 agency will either make appropriate
 •modifications to the response action or
 respond in writing to ftose early .
 CODUHGHlS*
   A written response to.significant
 •comments will be included in the
 administrative record file. The lead
 agency need not respond to any
 comments received during the public
 comment period until the dose of the
 public comment period. Generally.
 responses will be included in the
 responsiveness summary, which is part
 of Ibe ROD. In responding to significant
 comments, the lead agency need not
 respond separately to each comment but
 may combine comments by subject or
 other category in the response.
   The public participation procedures
 for a remedial action are set forth in
 i 300.430. Section 3pOB15[c) of Subpart I
 requires that compliance with the
 requirements of J 300.430(f) be
 documented for inclusion in the
 administrative record file. The
 requirements of 5 300.430(0 include
 preparation of a proposed plan;
 publication of a notice of availability
 and brief analysis of the proposed plan;
 placing a copy of the proposed plan in
 the information repository; providing an
 opportunity for the submission of
 written or oral comments on the
 proposed plan, RI/FS, and any waivers
 to cleanup standards under section
 121(d)(4) of CERCLA: providing an
 opportunity for a public meeting on the
 RI/FS. proposed plan, and waivers to
 cleanup standards; preparing a
 transcript of public meetings held during
 the public comment period; making the
 transcript available to the public
 discussing significant changes to the
 proposed plan: responding to significant
 comments; and soliciting additional
 public comment and providing for other
 public participation procedures at the
 lead agency's discretion prior to the
 adoption of the decision where new and
 substantial issues have been raised. It
will generally be the practice of the lead
agency that whenever possible,
documents upon which the selection
decision is based will be included in the
administrative record file as soon as
possible after they are generated or
received, and no later man when the

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           Federal Register / Vol. 53. No. 245 / Wednesday. December 21, 1988 /  Proposed Rales      51469
derision document i» signed. This Is
intended to encourage maximum public
participation in the development of the
record.
  Documents generated or received
after the selection is made do not
provide a basis for the decision and thus
generally are not part of the
administrative record, except as
provided in ! 300.825, discussed below.
  5. Administrative record for a removal
action (§300.820). Section 300.820
proposes requirements for
administrative records for removal
actions. It is divided into two parts.
Paragraph (a) addresses "non-time-
critical" removal actions, ie, those for
which, based on the site evaluation, the
lead agency determines that a removal
action is appropriate and that there is a
planning period of at least six months
before on-site cleanup activities must be
initiated. Paragraph (b) addresses all
other removal actions.
  Explanations of regulatory
requirements and related issues which
are the same as those for remedial
actions will not be repeated here. Only
requirements and issues specific to
removal actions will be addressed.
  Section 300.820{a}(l3 provides that the
administrative record file for a non-time-
critical removal action shall be
available for public inspection when the
engineering evaluation/cost analysis
(EE/CA) report is made available for
public comment. At that time, an
administrative record file shall be
established and made available to the
public and shall contain all documents
relevant to selection of the removal
action generated up through that date.
Documents generally available at that
time include sampling data, a   . •/-
preliminary assessment report a site
inspection report, the EE/CA approval
memorandum, and the EE/CA. After the
EE/CA report  is available and until the
Action Memorandum is signed (except
as provided in { 300.825. discussed
below], documents relevant to the
selection of the removal action shall be
added to the administrative record file
as discussed in the remedial action
section of today's preamble.
  The public participation procedures
for non-time-critical removal actions are
set forth in 5 300.415(n)(3) of Subpart E
of today's proposed regulations. Section
300.820[a)(3) requires that compliance
with S 300.415(n)(3) (i) through (iii) be
documented for inclusion hi the
administrative record. The requirements
of S 300.415(n)[3) (i) through (iii) include
publication of a notice of availability
and brief description of the EE/CA:
making the EE/CA available to the
public: providing a reasonable
opportunity, not less than 30 days, for
 submission of comments after the
 completion of the EE/CA; and
 responding to significant comments.
   Section 300.B20[b) provides different
 procedures for time-critical, including
• emergency, removal actions. As
 explained earlier, section 113(k)(2)(A) °?
 CERCLA requires procedures for the
 "appropriate" participation of interested
 persons in the development of the
 administrative record for removal
 actions. Appropriate participation is
 significantly different in situations
 where an action must be taken on abort
 notice. Where the exigencies of the
 situation demand that cleanup be
 initiated and often completed within • -
 short timeframes, public comment
 periods may delay expeditious response
 to the emergency. In 'new of
 Congressional intent that public
 participation requirements not hamper
 or delay emergency removal actions,
 EPA has considered many options for
 the appropriate level of public
 participation. EPA must balance the
 benefits of public involvement in
 advance of the selection of a removal
 action against the need to proceed
 quickly in emergency situations. EPA
 believes that the requirements proposed
 today strike the correct balance.
   EPA has had to consider two
 questions in determining the level of
 participation for time-critical removals.
 First at what point should the
 administrative record file be made
 available to the public, and second.
 should there be a formal public
 comment period on the record? EPA is
 proposing in S 300.820(b)(l) that for all
 time-critical removals (including
 emergencies), the record file should be
 made available to the public no later
 than 60 days after initiation of on-site
 removal activity. EPA is choosing to
 make the record available  at this time
 recognizing that then; will  be many
 situations where immediate action must
 be undertaken to remove threats to
 human health and the environment
 before the administrative record file can
 be assembled and placed in a public
 docket for inspection. In reviewing
 typical removal actions, EPA found that
 generally containment or stabilization
 (i.e.. those activities taken to retard,
 reduce, or prevent the spread of a
 release or threat of release and
 eliminate any immediate threat] at
. removal sites often are completed
 within 60 days. Clearly, where
 circumstances warrant, EPA should
 focus on addressing She threat at a site,
 and attend to administrative procedures
 later. The proposal meets both EPA's
 charge to protect human health and the
 environment and the requirement to
 provide for appropriate public
participation, by requiring that the
administrative record file be made
available to the public no later than 60
days after initiation of removal
activities. Making the record available
involves: assembling the administrative
record file, identifying a publicly
accessible location for the record file at
or near the site, finding an acceptable
newspaper and placing an
advertisement in it to notify the public,
and preparing foe receipt and evaluation
of comments. The proposed requirement
that die file be available "no later than"
60 days does not preclude making the
record file available at an earlier time, if
circumstances allow.
  EPA is also proposing in
{ 300.820(b)(2) Oat the lead agency
shall as appropriate, provide a 30-day
public comment period to begin at the
time the administrative record is made
available to the public. Generally, when
the removal action has not been
completed, a public comment period will
be considered appropriate at the time
the administrative record file is made
available to the public. EPA requests
comment on whether public comment
should be solicited on-activities that
have already been completed at the time
the record is made available.
  EPA has also considered other public
participation procedures for time-critical
removals. They include:
  i. Requiring that the record file be
made available immediately upon
issuing the Action Memorandum, and
delaying the initiation of cleanup until
after public comment is solicited and
responded to. This would allow
maximum public participation in
selection of the removal, but it is not
consistent with the need to provide
prompt response for protection of
human health and the environment  at
the site. Such an approach would also
be inconsistent with the legislative
history which states that administrative
procedures established under section
113 should not hamper emergency
removal actions.
  il Requiring that the record be made
available "promptly" after issuing the
Action Memorandum, and then
soliciting public comment "as time
allows." EPA considered this as a way
of addressing the individual nature of
removals, the different timeframes that
may be involved, and the need to
provide meaningful opportunities for
public comment in cases where time
allows. As discussed earlier, EPA
believes resources should first be
directed toward mitigating threats at a
time-critical removal site and that 60
days of on-site work will allow this.
However, EPA is concerned that a

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 51470     Federal Register / Vol. 53. No. 245 / Wednesday. December 23. 1988 / Proposed Rules
 ctsndard of "prompt" availability is too
 vogue and would be a source of
 controversy at each site. Thus. EPA
 believes an objective standard is
 preferable. Similarly, -while providing for
 public comment "as time allows"
 permits flexibility in the requirements,
 such a rule would require the exercise of
 judgment and would allow disputes over
 compliance with this requirement in
 individual cases. In addition, as  ,
 discussed above, it is rare that there is
 sufficient time before beginning a time-
 critical action to solicit, consider and
 respond to comments.
  id. Delaying the availability of the
 record until 120 days after beginning
 cleanup and then soliciting public
 comment This approach parallels the
 community relations requirements
 (within 120 days of cleanup for ongoing
 responses, a Community Relations Plan
 must be prepared and an information
 repository must be made available; see
 S 300.415(n)}. This would increase die
 number of sites at which cleanup has
 been completed before the public is
 notified. EPA believes that the increased
 cleanup time provided under this option
 generally does not justify the delay in  •
 public involvement concerning response
 selection.
  iv. Requiring that the record file be
 made available after performing
 containment or stabilization at a site
 where disposal is needed (over 25
 percent of removals do not require
 disposal) and delaying disposal until
 public comment could be solicited.
 evaluated and responded to. This
 approach attempts to balance the need
 for public comment with the urgency of
 the response, limiting the response
 selection undertaken without benefit of
 public input to those aspects of
 removals which must be conducted
 swiftly in order to protect public health
 and the environment
  There are two major difficulties with
 this approach. The first concerns
 precisely defining "containment" end
 "stabilization" in this context and
providing indicators to mark their
 completion. While it is possible, based
 on experience, to say that the
 containment or stabilization phase of a
removal action is generally completed
within 60 days of initiating work, it is
smich more difficult to determine such
 completion on a site-specific basis.
  The second  difficulty with such a rule
is that it fails to take into account
several important factors which may
make such an  approach infeasfble in
many cases. Specifically, delay of
 disposal activities may: (a) Create
 additional unnecessary risks to human
health and the environment and (b}
result in needless expenditures of time
 and money. Site conditions, weather
 conditions, location, public accessibility.
 availability of approved disposal
 facilities, availability of treatment
 facilities and the effect of the delay on
 the statutory time and money limitations
 on removals are only some of the factors
 to be considered before a site-by-site
 determination could be made as to
 whether or not it was practicable to
 solicit public comment
   v. Making the record publicly
 available as in the proposal (Le.. no later
. than 80 days after initiation of cleanup),
 but not formally soliciting any public
 comment Given the need for quick
 action on time-critical removals, that
 they are generally limited in scope, and .
 few cleanup options are feasible, this
 nay be an appropriate approach. This
 approach, however, would not provide
 the public with an opportunity for
 meaningful participation where it might
 be appropriate in specific removal
 situations.
   EPA solicits comments on the
 proposed and other considered
.approaches to public participation on
 removal actions.
   6. Adding documents after selection of
 response action (§300.825). New
 documents may be added to the record
 file  after the decision document is
 signed only as provided in $ 300.825.
 Documents generated or received after
 the decision document (e.g.. Action
 Memorandum or ROD) is signed
 generally will be kept in a post-decision
.documentfile unless and until a
 determination is made that the
 document(s) should  be placed in the
 administrative record file, pursuant to
 §300325.
   Section 300.825(8) provides that the
 lead agency may add post-decision
 documents to the administrative record
 file in two situations. The first situation
 occurs when the decision document.
 does not address or  reserves a portion
 of the response action decision. In such
 cases, the lead agency will continue to
 add to the administrative record file
 documents which form the basis for that
portion of the decision not addressed or
reserved by the decision document
Where appropriate,  the lead agency
shall provide public  notice that the
administrative record file for this
portion of the decision continues to be
available for public inspection and
comment It should be noted that this
exception applies to RODs that address
an operable unit but leave a portion of
the decision on that  operable trait open.
   The second situation arises when an
explanation of significant differences
provided for in 5 300.435{c) or an
amended decision document Is required.
An explanation of significant differences
 is issued when, after adoption of a final
 remedial action plgn, tf*** jp&nedial
 action or enforcement action taken, or
 the settlement or consent decree entered
 into, significantly differ* in scope,
 performance or cost from the final plan.
 The record shall include on explanation
 of significant differences and all
 documents that form the basis for the
 decision to modify tibe response
 selection dedsion.-The fead agency shall
 publish a notice of availability of these
 documents, at requited by section 117 of
 CERCLA and as proposed in'
 S 300.435(0). If, in addition, aa amended
 decision document if required, the
 record shall include the amended
 document and all documents that form
 the basis for the amended decision. The •
 public participation procedures outlined
 in Subpart £ on explanations of
 significant differences and amendments
 to decision documents shafl apply.
  Section 300.825(b) provides that the
 lead agency may, in its discretion, hold
 additional public comment periods or
 extend the time for tubmiBsion of public
 comment after the decision document is
 signed, and may limit such comment to
 issues for which the lead agency has
 requested additional comment This is
 intended to allow the lead agency to
 solicit additional comment on the
 response action whenever it determines
 that new information or other
 circumstances warrant additional input
  Section 30O825(c) governs public
 comments received after tie close of the
 comment period. Under this section, the
 lead agency will need to consider such
 comments only if they could not have
 been submitted during the comment
 period and provide critical, new
 information relevant to the response
 selection which substantially supports
 the need to significantly alter ths
 response action. EPA is proposing the
 standard set out in 5 300.825(c) as
 providing the best balance between
 EPA's desire to remain open to critical,
 new information on -the effectiveness of
 a selected response and the need to
make final decisions in order to allow
 expeditious implementation of the
response action. EPA solicits comment
 on this approach.
D. Compliance With This Subpart

  As provided in section 213Q)[4) of
 CERCLA, in reviewing alleged
procedural errors related to the
administrative record, a court may
disallow costs or damages only if the
errors were so serious and related to
matters of such central relevance to the
action that the action would have been
significantly changed had such errors
not been made.

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            Federal Register / VoL 53, No. 245 / Wednesday, December 21. 1988 / Proposed Rules      51471
Subpaitf-—Use of Dispersants and
Other Chemicals
  Proposed Subpart J is very similar to
existing Subpart H and contains only
minor revisions. Section numbers and
references to other sections and
subparts have been changed where
necessary. Technical changes and minor
wording changes to improve clarity have
also been made.
  Definitions formerly in this section
have been moved to Subpart A, and a
new definition has been added for
miscellaneous oil spill control agents.
Accordingly, a list of data requirements
for miscellaneous spill control agents Is
proposed to be added to $ 300.915. The
definition for navigable waters is as
defined in 40 CFR 110.1.

Points of Clarification
  Section 300510 on "Authorization of
use" specifies the conditions under
which the OSC may authorize the use of
dispersants and other chemicals.
Authorization applies to all products on
the NCP Product Schedule.
  The language in § 300510 has been
modified slightly to emphasize the
importance of obtaining concurrence for
the use of dispersants and other
chemicals from the appropriate Regional
Response Team {RRT) State
representative and the DOC/DOI
natural resource trustees "as
appropriate." "As appropriate" refers, IB
this case, to the fact that the decision to
use a chemical is highly dependent upon •
specific circumstances, locations, and
conditions which must be assessed by
the OSC The EPA and the State RRT
representatives and DOC/DOI trustees
are in a unique position to understand
local conditions and to collect and
coordinate quickly the necessary"local
information which should facilitate a
correct decision. Since the decision
whether to use such chemicals has far-
reaching implications and must be made
in a timely fashion, early involvement of
the EPA and State RRT representatives
and DOC/DOI trustees, as appropriate,
is important As a part of their
contingency planning efforts, RRTs are
further encouraged to make pre-
approval determinations with respect to
the use of certain dispersants or
chemical agents in their area of
geographical responsibility.
  Sinking agents are specifically
prohibited for application to oil
discharges.
Appendix C to Port 30O—Revised Standard
Dispenant Effectiveness and Toxidty Testa
  Two technical corrections have been
proposed for Appendix C to Part 300.
First, in the calculations sections, 2.5
and 2.6, the formulas of equations (2),
(3). and (5) for concentration of oil (C&,)
in the sample, dispeisant blank
correction (D), and oil blank correction
(OBC) have been collected Second, the
units of viscosity (item 3, part DC in
section 4.0) have been changed from
furol seconds to centistokes. Last the
new 1988 ASTM standards has been
cited for reference to viscosity in
centistokes.
Appendix D to Part SOO—Appropriate Actions
end Methods of Remedying Releases
  Proposed Appendix D to Part 300
includes materials from existing
$ 300.880) on appropriate actions at
remedial sites and existing 5 300.70 on
methods for remedying releases. The  •
appendix describes general approaches
and lists specific teclmiques but is not
intended to be inclusive of all possible
methods of addressing releases. A lead
agency may respond to types of releases
and employ techniques other than those
that are listed, depending on the
particular circumstances. EPA believes
that the provisions in existing
§5 300.680) and 300.70 are not
appropriate for inclusion in proposed
Subpart E, which has. been structured to
focus on the sequence of response
procedures. Because the materials do
not impose any requirements or
restrictions, they are appropriate for a
proposed appendix. It is intended that
parties conducting response actions
should consider the information
provided in Appendix D.
IIL Summary of Supporting Analyses
A. Regulatory Impact Analysis of
Proposed Revisions to theNCP
  An economic analysis entitled,
"Regulatory Impact Analysis Prepared
in Support of the Proposed Revisions to
the National Contingency Plan" QUA)
estimates the incremental costs
associated with the proposed revisions
to the NCP. The RIA is available in the
Superfund Docket Room LG at the VS.
Environmental Protection Agency, 401M
Street SW., Washington. DC 20480.
  The RIA estimates total and
incremental costs to the Fund, States,
Federal agencies, and responsible
parties of implementing the remedial
and removal programs during the period
FY 87 through FY 91, the duration of the
1986 reauthorization of the Superfund
program. The analysis focuses on four.
provisions with incremental costs and
benefits attributable directly to the 1986
CERCLA amendments: (1) Selection of
remedy; (2] removals: (3) -water :
restoration; and (4} publicly owned sites.
The impacts of these four provisions are
attributable directly to the 1986
CERCLA amendments, rather than to
additional requirements imposed by
 EPA, because in these areas EPA chose
 to retain the flexibility of the statutory
 language; the NCP essentially codifies
 the statutory requirements. The RIA
 estimates the incremental costs of the
 four provisions, using the requirements "
 of CERCLA, as specified in the 1985
 NCP. as the baseline. The 1985 NCP is
 the proper baseline for the analysis of
 changes attributable to the statutory
 amendments because the 1885 NCP is
 the legal framework that defines
 response activities in the absence of die
 amendments to CERCLA, The estimated
• economic costs attributable to the 1986
 CERCLA amendments are summarized
 below.
   1. Selection of. remedy. The new
 CERCLA preference for reducing
 mobility, toxicity. and volume of
 contaminants at a site is assumed to be
 a preference for remedies that use
 treatment as a principal element All
 Superfund Records of Decision (RODs)
 signed during the FY 62 to FY 88 period
 were reviewed for information on
 capital and operation and maintenance
 (O&M) costs for treatment-based
 remedies and for containment-based
 remedies considered for a site. Many
 RODs, however, do not include useful
 cost data, for purposes of this analysis.
 RODs that did not develop costs for  • .
 both treatment-based remedies and
 containment-based remedies, or that
 presented cost information only in
 present value terms, without a separate
 presentation of the capital and O&M.
 costs, could not be used in the analysis.
 The RIA estimates of selection of
 remedy costs, therefore, are developed
 using cost data from 30 RODs, the
 mandatory schedules in section 116 of
 CERCLA for 175 remedial action starts
 by the end of FY 89 and an additional
 200 starts by FY 91, and the assumptions
 that the principal effect of the selection
 of remedy provisions in the 1986
 CERCLA amendments is to increase
 from 32 percent to 80 percent the
 frequency of selection of remedies
 (including operable units) that use
 treatment to address the principal threat
 at a site.
  The RIA estimates that the total cost
 of the selection of remedy provisions in
 the 1986 amendments to CERCLA;
 during the FY 87 through FY 91 period, is
 $9.4 billion: $4.5 billion to the Fund: $0.8
 billion to States: $3.2 billion to
 responsible parties: and $05 billion to
 Federal agencies. The 5-year present
 value of the estimated incremental cost
 of the selection of remedy provisions
 over the costs imposed already by the
 1985 NCP is .$3.6 billion: $13  billion to
 the Fund: $0^2 billion to States: $1.2
 billion to responsible parties: and S0.4

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  51472      Federal Register / Vol S3, No. 245 / Wednesday, December 21, 1988 / Proposed Rules


  billion to Federal agencies. Changes in
  program administrative costs are not
  included in these estimates.
    A sensitivity analysis is included in
  the RIA to determine now the cost
  estimates developed in the KIA change
  if the most important assumptions osed
  to derive the estimates are altered In
  addition to varying cost parameters
  used in the analysis, the frequency of
  use of treatment under the 1888
  CERCLA amendments is varied between
  50 percent of sites or operable units
  using treatment to 100 percent -using
  treatment The results of the sensitivity
 * analysis estimates the total incremental
  costs of the selection of remedy
•  provisions to be between S886 million
  and $8 billion, with a best estimate of
  $3.8 billion.
    Hie 1988 amendments to CERCLA.
  require remedial actions to comply with
  State applicable or relevant and
  appropriate requirements (ARARs] that
  are more stringent than Federal ARARs.
  To the extent possible, therefore, cost
  estimates «sedin the RIA-aze for
  remedies expected to comply with
  Federal ARARs and those State ARARs
  more stringent than the Federal
  standards. Approximately £0 percent of
  the RODs signed in FY 88 had selected
  remedies in compliance with more
  stringent State ARARs. This represents
  the baseline level of compliance with
  State ARARs because the FY 68 RODs
  were developed in compliance with the
  0935 NCP. Ten of the containment-based
  remedies and 14 of the treatment-based
  remedies whose costs -were -used in the
  RIA are expected to meet more stringent
  State ARARs. The RIA includes a brief
  comparative analysis of the costs of
  these 24 remedies with the costs of the
  other remedies used in the RIA where
  compliance with State ARARs is not
  designated specifically in the ROD. This
  analysis indicates that compliance with
  more stringent State ARARs may
  increase  the costs of a remedial action
  by about $6.8 million. However, one
 should not conclude that an additional
 S6.6 million will be incurred to meet
 State ARARs  for every remedial action
 under CERCLA. Many RODs signed
 prior to the 1966 CERCLA amendments
 already showed evidence of compliance
 with State ARARs. Therefore, no
 incremental costs associated with such
 compliance would result under CERCLA
 as amended. In addition, many States do
 not have relevant standards more
 stringent than Federal standards and.
 even if a State has identified a potential
 ARAR that is more stringent than a
 Federal standard, that State standard
 may not be applicable at all sites within
 a State.
   Assuming 50 percent of the 'Fund-
 financed remedial-actions expected to
 be conducted annually over the FY 87 to
 FY69 period would have chosen
 remedies under the provisions of the
 1985 NCP in compliance with more
 stringent State ARARs and that the
 remaining 50 percent of the remedial
 actions wig incur incremental costs
 under CERCLA for compliance with
 more atringent State ARARs. the
 incremental cost of compliance with the
 State ARARs provision in the 1986
 CERCLA amendments can be estimated
 to be approximately $190 million per
 year. These costs are not additive to the
 total annual remedy selection costs
 shown above because compliance with
 State ARARs •was captured to some
 extent in die ROD data used to estimate
 costs in the RIA.
   The results of the ARAR cost analysis
 may be overestimated because State
 ARARs were not discussed in all RODs.
 and it is act clear if the lack of
 discussion implies lack of compliance
 with State ARARs. or the fact that there
 were no more stringent State ARARs
 that were relevant to the remedy
 selection process. If the Jatter is the
 case, ihen the number of sites mat will
 incur incremental costs to -comply with
 the State ARAR provisions in the 1986
 amendments -to CERCLA is overstated.
   2. Removals, incremental costs of the
 removal provisions in the 1986 CERCLA
 amendments are not quantified in the
 RIA due to a paucity of relevant data.
 Removal actions are very sensitive to
 budgetary •fluctuations and regulatory
 and policy modifications. The 1986
 removal data reflect the budgetary
 constraints resulting from the delay in
 the reauthorization of the Superfund;
 earlier removal data did not reflect the
 off-site policy and other recent
 regulatory and statutory changes that
 affect removal costs, such as the 1984
 Hazardous Substances Waste Act
 amendments to the Resource
 Conservation and Recovery Act that
 prohibit land disposal of listed
 hazardous wastes. Although the
 increase is not quantified in the RIA,
 removals undertaken during the period  '
 fromFY 67 through FY 91 are expected
 to have higher average costs than
 removals undertaken in the past
 because more extensive removals are
 allowable without a waiver and because
 treatability studies may be done during
removal actions at NPL sites to promote  ,
consistency •with long-term remedial
 actions.
  3. Water restoration provisions.
 Under the 1385 NCP, States held primary
responsibility for financing O&M costs
associated with a remedial action at-a
 Fund-lead site. During the first fiscal
 year after completion of the capital
 expenditure at a site, the Fund financed
 a maximum of SO percent of the
 operational costs until EPA was assured
 that the remedy was operational and
 functional In each subsequent year, the
 State financed 100 percent of O&M
 costs. The 1886 amendments to CERCLA
 change this funding relationship for
 remedial actions involving treatment to
.restore ground water or-surface water.
 Long-term costs of treatment of
 contaminated ground water or surface
 water novrare defined to be a
 component of the remedial action when
 treatment is beiag used to restore an
 aquifer or surface water body. Hence,
 this provision transfers •fimmrSTtg
 responsibilities at Fund-lead sites -using
 water restoration as part of the selected
 remedy from the States to the Fund.
 Under fee oewprovision, the Fund
 finances SO percent of fee costs of water
 restoration for up to ten years; States
 finance the remaining 10 percent of
 costs during these years. The RIA
 estimates "that approximately $63 million
 in obligations to pay for water
 restoration will be transferred from
 States to the Fund over the FY 87-61
 period as a result of tire provisions on
 ground-water and surface water
 restoration in the 1586 amendments to
 CERCLA. Because the provision results
 only in transfers of obligations to pay
 from States to the Fund, it does not .give
 rise to real economic costs or real
 economic IbeneSts.
  4. Publicly owned sites.The 1986
 amendments to CERCLA require that
 States pay at least 50 percent of the
 costs of Fund-lead remedial actions at
 sites operated by a "State or political
 subdivision thereof, either directly or
 through a contractual relationship.*'
 Prior to fiie amendments. CERCLA
required States to pay at least 50
percent of costs at Fund-lead sites
owned or operated by a public entity.
The effect of this amendment is to
transfer from States to the Fund costs
incurred at publicly owned sites
operated by a private entity. The RIA
estimates that the publicly owned sites
provision in the 1986 CERCLA
amendments will result in transfers from
the States to the Fund of approximately
$32 million in obligations to pay for
remedial actions over the FY 87-81
period. Because Shis provision results
only in transfers from States to the Fund
of obligations to pay for certain
activities, it does not give rise to real
economic costs or real economic
benefits.  .
  5. Other provisions analyzed. New
CERCLA section 113(k) requires that an

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            Federal Register / VoL S3. No. 245 / Wednesday. December 21. 1988 / Proposed Rides     "51473
 administrative record of the
 decisionmaking process for removal
 actions and remedial actions be •
 established. Subpart I in the proposed
 NCP revisions describes the documents
 that must be included in the
 administrative record and outlines the
 procedures to follow in developing the
 record. Essentially, the proposed NCP  '
 provision gives detail to the CERCLA
 requirement and. therefore, the costs of
 establishing the administrative record
 are attributable to CERCLA rather than
 to additional requirements imposed by
 EPA. The costs of establishing the .
 record include both the labor boon to
 develop and maintain the record and the
 capita! cost for the storage space
 required to bouse the record. Toes*
 costs are not quantified explicitly in the
 RIA, but are estimated to be naalL
  The RIA. also includes an analysis of
 other incremental costs and benefits
 attributable to the proposed NCP
 revisions. These include costs and
 benefits where EPA exercised discretion
 and imposed specificTequirements
 beyond those imposed already by the
 statute. The following snbparis of the
 NCP have costs and benefits
 attributable to the additional
 requirements.
  Section 300.420 of the proposed NCP
 establishes procedures that a petitioner
 must follow in petitioning for a
 preliminary assessment The
 information required by EPA is minimal
 and involves no data gathering or  •
 analysis on the part of the petitioner. It
 is estimated that no more than one hour
 •would be required to create the petition
 instrument In 5 §  300.415 and 300.430 of
 the proposed NCP. some new provisions
 are included for public participation in
 removal and remedial activities,'
 respectively. Some of these new
 provisions reflect existing policy, others
 incorporate requirements of CERCLA.
The costs of the new community
 relations provisions are expected to be
 small. The provisions help ensure that
 information is disseminated quickly and
 efficiently.
  The post-screening field investigation
 is a new step added to the RI/FS
 process detailed in 5 300.438 of the •
 proposed revisions to the NCP. Although
 such field investigations are not a
 specific component in the 1985 NCP.
 these investigations have been
 conducted in the past at sites where
 treatment-based remedies were
 selected. As a result of CERCLA'*
 increased emphasis on the use of
 treatment-based remedies, more
 treatability studies are expected to be
 conducted.
  The proposed NCP provisions in
 § 300.500  formalize State involvement in
remedial action decisionmaking using a
Superfund Memorandum of Agreement
(SMOA). This provision is expected to
result in a dearer understanding of the
EPA/State relationship and the
responsibilities each party will assume.
The incremental costs attributable to
this provision are expected to be small
  The RIA results indicate that the
proposed role will have a significant
effect on the economy. However, the
majority of costs associated with the
proposed revisions to the NCP are
attributable to requirements in CERCLA
rather than to edditonal requirements
imposed by EPA.

B. Executive Order No. 12291
  Proposed regulations must be
classified as major or nonmajor to
satisfy the rulemalldng protocol
established by Executive Order {E.O.}
No. 12291. E.O. No. 12291 establishes the
following criteria i'or a regulation to
qualify as a major rule,
  1. An annual effect on the economy of
$100 million or more;
  2. A major increase in costs or prices
for consumers, individual industries.
Federal State, or local government
agencies or geographic regions; or
  3. Significant adverse effects on
competition,  employment investment
productivity, innovation, or on the
ability of United States-based
enterprises to compete with foreign-
based enterprises in domestic or export •
markets.
  Based on the RIA results summarized
above, the proposed NCP is a major rule
because adoption of today's proposed
rule would have an annual effect on the
economy of $100 million or more. This
regulation has been submitted to the
Office of Management and Budget for
review under Executive Order Nos.
12291 and 12580.
C. Regulatory Flexibility Act
  In accordance with the Regulatory
Flexibility Act of 1980. agencies must
evaluate the effects of a proposed
regulation on small entities. If the
proposed rule is likely to have a
"significant impact on a substantial
number of small entities." then a
Regulatory Flexibility Analysis must be
performed. EPA certifies that today's
rule will not have a significant impact
on a substantial number of small
entities.   .
  Small businesses generally will be
affected only by the proposed changes
that address  selection of remedy. The
cost of a CERCLA response action.
whether using containment-based
remedies or treatment-based remedies.
can be quite large and. in some cases.  •
may be beyond the financial resources
of a responsible party (RP). Because RPs
can be in different industry sectors and
face different market structures, each
RFs ability to finance Superfund
response actions could be very different
The analytical framework used in
Chapter 7 of the RIA to estimate the
economic effects of the CERCLA
provisions on typical RPs relies heavily
on publicly available financial
information and makes the conservative
assumption -mat each RP would be
solely responsible for the entire
remedial action cost The analysis
includes two financial tests performed
on a sample of IS firms selected
randomly and varying in size. One test
(the net income teat) compares average
response costs to the sample firm's net
income or cash flow. The second test (a
modified Beaver ratio) compares the
sample firm's cash flow to its total
liabilities, including response costs. On
the basis of this analysis, EPA has
determined that the proposed revisions
to the NCP will not result in a significant
impact on a substantial number of small
businesses.         • -  '
  Municipalities also could be affected
by the proposed revisions to the
selection of remedy provisions in the
NCP because municipalities can be RPs.
NPL sites owned by municipalities tend
to be municipal wellfields and landfills.
The cleanup of wellfields is undertaken
to restore drinking water to a
community either by pumping and
treating a contaminant plume or building
an alternative water distribution system.
The contaminant plume usually has not
been created by municipality actions;
instead, the plume may have migrated
from a nearby industrial waste site. As a
result the municipality is not likely to
be liable for the costs of response
actions. At municipal landfill sites, or
other landfill sites that have accepted
municipal wastes, the municipality also
is not likely to be liable for 100 percent
of response costs, because other entities
typically have contributed to the site
problem. The range of capital costs of
cleanups at municipally owned sites
with RODS signed over the FY 82 to FY
86 period is from $304,000 for
construction of an alternative water
supply system to $23.2 million to cap a •
90 acre landfill site.,
  The level of involvement of small •
municipalities in the Superfund program
is not expected to change under the 1986
CERCLA amendments. The sites at
which municipalities are most likely to
be involved are not expected to be
affected greatly by the new CERCLA
selection of remedy provisions. The
costs of cleaning up municipal landfills
in particular are not expected to

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51474      Federal Register / VoL 53. No. 245  / Wednesday. December 23.. 1988 / Proposed Rules
increase substantially as a result of the
CERCLA. amendments because the
typical size of such sites limits the
implementabiliry of treatment-based
remedies.

D. Paperwork Reduction Act

  The information collection
requirements in this proposed rule have
been submitted for approval to the
Office of Management and Budget
(OMB) under the Paperwork Reduction.
Act. 44 US.C. 3501 et seq. An
Information Collection Request
document has been prepared by EPA
0CR No. 1463) and a copy nay be
obtained from Carl Koch. Information
Policy Branch [PM-223J, U£.
Environmental Protection Agency. 401M
Street. SWn Washington. DC 20460, or
by calling 1-202-382-2739.
  Public reporting burden for this
collection of information is estimated to
be a weighted average of 3,350 hours per
respondent. Including time for reviewing
instructions, searching existing data
sources, gathering and maintaining the
data needed, and completing and
reviewing the collection of information.
Respondent means States and other
entities (excluding the Federal
government) conducting required
nativities associated with remedial
actions.
  Please send comments regarding the
burden estimate or any other aspect of
this collection of information, including
suggestions for reducing this burden, to
Chief, Information Policy Branch (PM-
223). US. Environmental Protection
Agency, 401M St. SW» Washington, DC
20460; and to the Office of Information
and Regulatory Affairs, Office of
Management and Budget Washington,
D.C. 20503. marked "Attention: Desk
Officer for EPA." The final rule will
respond to any OMB or any public
comments on the information collection
requirements contained in this proposal.

List of Subjects in 40 CFR Part 300
   Air pollution control. Chemicals,
Hazardous materials. Hazardous
substances. Incorporation by reference.
Intergovernmental relations, Natural
resources. Occupational safety and
health. Oil pollution. Reporting and
recordkeeping requirements, Superfund,
Waste treatment and disposal Water
pollution control. Water supply.
   Dated; November 15, 1888.
iff M. Tbomu,
AdaiSnJstralor.

   Therefore, it is proposed that 40 CFR
Part 300, be amended as follows:
   1. The authority citation for Part 300 is
revised to read as follows:
  Authority: 42 US.C. 0805; S3 US.C
1321(c)(2}; E.0. 11735, 88 FR 21243; E.0. 12580,
62 FR 2923.

  2. Subparta A through H of Part 300
are revised, Subparts I and J are added,
and Subpart K is added and reserved to
read as follows:

PART 300— NATIONAL OIL AND
HAZARDOUS SUBSTANCES
POLLUTION CONTINGENCY PLAN

Subpart A  Introduction

S*c-
900JL  Purpose and objectives.
300.2  Authority and applicability.
300.3  Scope.
900.4  Abbreviations.
301X5  Definitions.
300.6  Use of number and gender.
3007  Computation of time.  '
SufapartB— Responsibility and Organization
900.405  Discovery or notification.
300.410  Removal site evaluation.
300415  Removal action. .
300.420  Remedial site evaluation.
300.425  Establishing remedial priorities.
300430  Remedial mvestigatioa/feasibility
    •tody and selection of remedy.
300.435  Remedial design/remedial action,
    operation mad maintenance.
300.440  (Reserved]
Subpart F—Stat* tntiotimat
300.100  Duties of President delegated to
    Federal agencies.
300.105  General organization concepts.
300.110  National Response Team.
3OO115  Regional Response Teams.
300.120  On-«cene coordinators and remedial
    project managers: general
    responsibilities.
300.125  Notification and communications.  •
SOO.130  Determinations to initiate response
    and special conditions.
300.135  Response operations.
300.140  Multi-regional responses.
300.145  Special teams and other assistance
    available to OSCs/RFMs.
300.150  Worker health and safety.
300.155  Public information and community
    relations.
300.160  Documentation and cost recovery.
300.165  OSC reports.
300.170  Federal agency participation.
300.175  Federal agendes: additional
    responsibilities and assistance.
300.180  State and local participation in
    response.
300.135  Nongovernmental participation.

Subpart C— Planning and Preparedness
300200  General
300205  Manning and coordination structure.
300210  Federal contingency plans.
300215  Title m local  emergency response
    plans.
30O220  Related Title  m Issues.

Subpart D— Optftttonai R««poo«« ft****
for Oil Rwnovai
303200  Phase I— Discovery or notification.
300.305  ' Phase B— Preliminary assessment
    and initiation of action.
300210  Phase HI— Containment,
    countenneasures.  cleanup, and disposal
300215  Phase IV— Documentation and cost
    recovery.
300220  General pattern of response.
300230  Waterfowl conservation.
300235  Funding.
Subpart E— Hazardous Subctane*
R*spon*«
300.400  General.
30(1500  General.
amsos  EPA/State Snperftmd Memorandum
    of Agreement (SMOAV
3OOS10  Stats- assurances.
300J515  Requirements for State involvement
    in remedial and enforcement response.
300.520  State Involvement in. EPA-te«d
    enforcement negotiations.   .
30OS25  SUte involvement in removal
    actions.

Subpart 6—Trusts** for Natural R**ourcM
3004XX)  Designation of Federal trustee*.
3OO805  State trustees.
30O610  Indian Tribes.
300.615  Responsibilities of trustees.

Subpsrt H-Pafttdpatton by Oth«r Persons
300.700  Activities by other persons.
Subp*rt I—Administrative Record for
Sstoetfon of Raspons* Action
300.000  Establishment of an •omnusirative
    record.
300.805  Location of the administrative
    record.
300.810  Contents of the administrative
    record.
300.B15  Administrative record {or a
    remedial action.
300.B20  Administrative record for a removal
    action.
3OO825  Record requirements after the
    decision document is signed.

Stsbpart J-Vtn of Dfeparscntt and Oth«r
Chemical*
300.900  General.
300.905  NCP Product Schedule.
91X1910  Authorization of use.
3OO915  Data requirement*.
300S20  Addition of products to schedule.

Subpcrt K-radsrat FadOttes fjtaaervcd]

App^wfa A to Part 300-CKot InehKtod]
Appendix B to Part 9QO-{Not IndiKtod]

Appmdix C to Part 3«0-ft«vls«d Standard
ObfMnant Eftoethr«m«* and Toxietty
Twrts

Appendix D to Psrt SOO—Appropriat*
Action* snd Hothods of Rwnadylng
 Subpart A— Introduction
 fSOC.1
  The purpose of the National Oil and
 Hazardous Substances Pollution
 Contingency Plan fNCPJ is to provide
 the organizational structure and

-------
        Part
Preamble to the 1990 Final
         NCP

-------

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Thursday
March 8, 1990
 Part  il


 Environmental

 Protection  Agency

 40 CFR Part 300
 National Oil and Hazardous Substances
 Pollution Contingency Plan; Final Rule
                  Printed on Recycled Paper

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  8666
              Federal Register / Vol. 55. No. 46 / Thursday. March B. 1990 / Rules and  Regulations
  ENVIRONMENTAL PROTECTION
  AGENCY

  40 CFR Part 300

  (FRI.-3644-1J

  BIN 2050-AA75

  National on and Hazardous
  Substances Pollution Contingency
  Pian

  AGENCY: Environmental Protection
  Agency.
  ACTION: Final rule.

  SUMMARY: The Environmental Protection
  Agency (EPA) is today promulgating
  revisions to the National Oil and
  Hazardous Substances Pollution
  Contingency Plan (NCP). The Superfund
  Amendments and Reauthorization Act
  of 1986 (SARA) amends existing
  provisions of and adds major new
  authorities to the Comprehensive
 Environmental Response.
  Compensation, and Liability Act of 1980
  (CERCLA). Furthermore. SARA
 mandates that the NCP be revised to
 reflect these amendments. Today's
 revisions to the NCP are intended to
 implement regulatory changes
 necessitated by SARA, as well as to
 clarify existing NCP language and to
 reorganize the NCP to coincide more
 accurately with the sequence of
 response actions.
 DATES: The final rule is effective April 9,
 1990. CERCLA section 305 provides for a
 legislative veto of regulations
 promulgated under CERCLA. Although
 INS v. Chadha, 462 U.S. 919.103 S.Ct.
 2764 (1983). cast the validity of the
 legislative veto into  question. EPA has
 transmitted a copy of this regulation to
 the Secretary of the Senate and the
 Clerk of the House of Representatives. If
 any action by Congress calls the
 effective date of this regulation into
 question, EPA will publish notice of
 clarification in the Federal Register. The
 incorporation by reference of certain
 publications listed in the regulation is
 approved by the Director of the Federal
 Register as of April 9.1990.
 ADDRESSES: The official record for this
 rulemaking is located in the Superfund
 Docket, located in Room 2427 at the U.S.
 Environmental Protection Agency, 401M
 Street. SW.. Washington, DC 20460,
 telephone number 1-202-382-3046. The
 record is available for inspection, by
 appointment only, between the hours of
 8:00 a.m. and 4:00 p.m.. Monday through
Friday, excluding legal holidays. As
provided in 40 CFR part 2, a reasonable
fee may be charged for copying services.
  FOR FURTHER INFORMATION CONTACT:
  Tod Gold, Policy and Analysis Staff.
  Office of Emergency and Remedial
  Response (OS-240), U.S. Environmental
  Protection Agency. 401M Street, SW.,
  Washington, DC 20460, at 1-202-382-
  2182, or the RCRA/Superfund Hotline at
  l-eoo-424-9346 (in Washington. DC, at
  1-202-382-3000).
  SUPPLEMENTARY INFORMATION: The
  contents of today's preamble are listed
  in the following outline:
  I. Introduction
  E. Response to Comments on Each Subpart (a
     detailed index is set forth at the
     beginning of this section)
  m. Summary of Supporting Analyses
  L Introduction
   Pursuant to section 105 of the
  Comprehensive Environmental
  Response, Compensation, and Liability
  Act of 1980, Pub. L. No. 96-510 (CERCLA
  or Superfund or the Act), as amended by
  section 105 of the Superfund
  Amendments and Reauthorization Act
  of 1986, Pub. L. No. 99-599, and
  Executive Order (E.O.) No. 12580 (52 FR
 2923, January 29.1987), the
 Environmental Protection Agency (EPA),
 in consultation with the National
 Response Team, is today promulgating
 revisions to the National Oil and
 Hazardous Substances Pollution
 Contingency Plan (NCP), 40 CFR part
 300. Today's final rule is based on
 revisions proposed on December 21,
 1988 at 53 FR 51394; approximately 160
 commenters submitted specific
 comments on the Federal Register
 proposal, in writing as well as in
 testimony at four public hearings held in
 January 1989. Revisions to the NCP were
 last promulgated on November 20.1985
 (50 FR 47912).
   For the reader's convenience and
 because the section numbers are being
 changed. EPA is reprinting the entire
 NCP, except for Appendix A
 (Uncontrolled Hazardous Waste Site
 Ranking System: A Users Manual),
 which is the subject of a separate
 rulemaking (see 53 FR 51962, December
 23,1988); and Appendix B (National
 Priorities List), which undergoes
 frequent updates by rulemakings (see,
 e.g., 54 FR 29820, July 14.1989); and
 Appendix C (Revised Standard
 Dispersant Effectiveness and Toxicity
 Tests), for which only minor technical
 corrections were proposed. Also .the
 "Procedures for Planning and
 Implementing Off-Site Response
 Actions," 40 CFR 300.440, is the subject
 of a separate rulemaking and is not
 included in this notice. See proposed
rule, 53 FR 48218 (November 29,1988).
Those sections of the NCP that are
merely being repeated in this rule for
  public convenience, but for which no
  changes were proposed or comment
  solicited, are not the subject of this
  rulemaking and are not subject to
  judicial review.
    All existing subparts of the NCP have
  been revised and several new subparts
  bave been added. Furthermore, because
  the NCP has been reorganized, many of
  the existing subparts have been
  redesignated with a different letter. The
  reorganization of NCP subparts is as
  follows:
  Subpart A—Introduction
  Subpart 6—Responsibility and Organization
     for Response
  Subpart C—Planning and Preparedness
  Subpart D—Operational Response Phases for
     Oil Removal
  Subpart E—Hazardous Substance Response
  Subpart F—State Involvement in Hazardous
     Substance Response
  Subpart G—Trustees for Natural Resources
  Subpart H—Participation by Other Persons
  Subpart I—Administrative Record for
     Selection of Response Action
  Subpart I—Use of Dispereants and Other
     Chemicals
 Subpart K—Federal Facilities [Reserved]
   Today's revisions to the NCP
 encompass a broad and comprehensive
 rulemaking to revise as well as
 restructure the NCP. The primary
 purpose of today's rule is to incorporate
 changes mandated by the Superfund
 Amendments and Reauthorization Act
 of 1986 (SARA) and to set forth EPA's
 approach for implementing SARA.
 SARA extensively revised existing
 provisions of and added new authorities
 to CERCLA. These changes to CERCLA
 necessitated revision of the NCP. In
 addition, EPA is making a number of
 changes to the NCP based on EPA's
 experience in managing the Superfund
 program.
   The preamble to the December 21,
 1988 proposed revisions to the NCP
 provided detailed explanations of
 changes to the existing (1985) NCP. The
 preamble to today's rule consists mainly
 of responses to comments received on
 the proposed revisions. Therefore, both
 preambles should be reviewed when
 issues arise on the meaning or intent of
 today's rule. Unless directly
 contradicted or superseded by this
 preamble or rule, die preamble to the
 proposed rule reflects EPA's intent in
 promulgating today's revisions to the
 NCP..
  The preamble to today's rule responds
 to the major comments received on the
 proposed revisions, except as noted in
 the following paragraphs. In general, a
 separate discussion is provided for each
proposed section on which comments
were received; the discussions are
organized as follows: a description of

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            Federal Register / Vol. 55,  No. 46 / Thursday, March  8, 1990  / Rules and Regulations
                                                                                                           8667
 the "existing (1985) rule" and/or
 "proposed rule" is provided to aid the
 reader in understanding today's
 revisions; a summary of the comments
 received on each proposed section, and
 EPA's response to the comments, is then
 set out under the heading "response to
 comments;" and revisions made to
 proposed rule language are then set out
 under the heading "final rule." Revisions
 to the proposed rule that are simply
 editorial or that do not reflect
 substantive changes may not be
 described under the heading "final rule."
 In addition, citations have been updated
 or corrected, where appropriate.
   More detailed explanations to
 comments received and responses to
 minor comments are set out in the
 "Support Document to the NCP," which
 is available to the public in the
 Superfund Docket, located in Room 2427
 at the U.S. Environmental Protection
 Agency. 401M Street, SW., Washington,
 DC 20460.
   A number of commenters on the
 proposal made statements relating to
 federal facilities, including suggestions
 for how subpart K of the NCP should
 address their concerns. Issues raised by
 commenters included the applicability
 of the NCP at non-NPL federal facilities,
 state involvement at federal facilities,
 the role of federal agencies as lead
 agency at their facilities, and the
 applicability of the removal time and
 dollar limits to removal actions at
 federal facilities. These are important
 issues that EPA is considering in the
 development of the proposed subpart K,
 which is the subject of a separate
 rulemaking. EPA will address these
 comments as well as additional
 comments received on the proposed
 subpart K in the preamble and support
 document to the final rule on subpart K.
   Subpart K will provide a roadmap to
 those requirements in the NCP that
 federal agencies must follow when
 conducting CERCLA response actions
 where either the release is on, or the
• sole source of the release is from, any
 facility«r vessel under their jurisdiction.
 custody, or control, including vessels
 bare-boat chartered or operated.
   The preamble to the proposed NCP
 also announced that EPA was
 considering an expansion of the existing
 policy of deferring sites from inclusion
 on the National Priorities List (such as
 sites subject to the corrective action
 authorities of RCRA) to include deferral
 to other federal or state authorities, or
 CERCLA enforcement actions. A
 number of comments were received on
 this suggested policy expansion. EPA is
 still evaluating the issues raised by
 commenters and thus will not decide
 this policy issue at this time. Current
policies with regard to what sites are
appropriate for inclusion on the
National Priorities List will remain in
effect until further notice. Should EPA
decide in the future to consider
establishing an expansion to deferral
policies, EPA will respond at that time
to the comments received.
  As part of a consent decree filed June
14,1989 in Natural Resources Defense
Council, et al, v. ReiUy. C.A. No. 88-
3199 (D.D.C.), EPA agreed to deliver to
the Federal Register by February 5.1990,
for publication, final revisions to the
NCP proposed December 21,1988,
reflecting the requirements of CERCLA
section 105(b),  as amended. With the
publication of this final rule, the
requirements of that consent decree are
now fulfilled.
  The regulation and the rest of the
preamble use the term "CERCLA" to
mean CERCLA as amended by SARA;
the term "SARA" is used only to refer to
Title ID, which is an Act separate from
CERCLA. and to other parts of SARA
that did not amend CERCLA. The term
"SARA" is used in this overview portion
of the preamble, however, to highlight
the changes to  CERCLA.
A. Statutory Overview
  The following discussion summarizes
the CERCLA legislative framework, with
particular focus on the major revisions
to CERCLA mandated by SARA as well
as the provisions of E.O. No. 12580,
which delegates certain functions vested
in the President by CERCLA to EPA and
other federal agencies. In addition, this
discussion references the specific
preamble sections that detail how these
changes to CERCLA are reflected in
today's rule.
  1. Reporting and investigation.
CERCLA section 103(a) requires that a
release into the environment of a
hazardous-substance in an amount
equal to or greater than its "reportable
quantity" (established pursuant to
section 102 of CERCLA) must be
reported to the National Response
Center. Title E of SARA establishes a
new, separate program that requires
releases of hazardous substances, as
well as other "extremely hazardous
substances," to be reported to state and
local emergency planning officials. The
preamble discussion of subpart C
summarizes Tide ffl reporting
requirements.
  CERCLA section 104 provides the
federal government with authority to
investigate releases. SARA amends
CERCLA section 104 to clarify EPA's
investigatory end access authorities,
explicitly empowering EPA to compel
the release of information and to enter
property for the purpose of undertaking
  response activities. Amended section
  104(e) also provides federal courts with
.  explicit authority to enjoin property
 ' owners from interfering with the
  conduct of response actions. SARA
  further amends CERCLA section 104 to
  specifically authorize EPA to allow
  potentially responsible parties fPRPs),
  under certain conditions, to  conduct
  investigations. The preamble discussion
  of subpart E details how today's rule
  reflects these revisions to CERCLA.
    2. Response actions. CERCLA section
  104 provides broad authority for a
  federal program to respond to releases
  of hazardous substances and pollutants
  or contaminants. There are two major
  types of response actions: the first is
  "removal action," the second is
  "remedial action." CERCLA section 104
  is amended by SARA to increase the  •
  flexibility of removal actions. This
  amendment increases the dollar and
  time limitations on Fund-financed
  removal actions from $1 million and six
  months to $2 million and one year, and
  allows a new exemption from either
  limit if continuation of .the removal
  action is consistent with the remedial
  action to be taken. (The existing
  exemption for emergency actions
  remains in effect.) SARA also amends
  CERCLA section 104 to require removals
  to contribute to the efficient
  performance of a long-term remedial
  action, where practicable.
    In addition, SARA amends CERCLA
  section 104 to require that, for the
  purpose of remedial actions, primary
  attention be given to releases posing a
  threat to human health. (To this end,
  SARA also amends CERCLA section 104
  to expand health assessment
  requirements at sites and to  allow
  individuals to petition the Agency for
  Toxic Substances and Disease Registry
  (ATSDR) for health assessments.)
   Among the major new provisions
  added by SARA are CERCLA sections
  121(a) through 121(d), which supplement
  sections 104 and 106 by stipulating
  general rules for the selection of
  remedial actions, providing for periodic
  review of remedial actions, and
  describing requirements for the degree
  of cleanup. These new sections codify
  rigorous remedial action cleanup
  standards by mandating that on-site
  remedial actions meet applicable or
  relevant and appropriate federal
  standards and more stringent state
  standards. Where the remedial action
  involves transfer of hazardous
  substances off-site, this transfer may
  only be made to facilities in compliance
  with the Resource Conservation and
  Recovery Act (RCRA) (or other
  applicable federal laws) and applicable

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 8668	Federal Register / Vol. 55. No. 46 / Thursday, March 8. 1990  / Rules and Regulations
 state requirements, and at which
 releases from land disposal units are
 addressed.
   Section 121 emphasizes a long-term
 perspective on remedies by requiring
 that long-term effectiveness of remedies
 and permanent reduction of the threat
 be considered and that the calculation
 of the cost-effectiveness of a remedy
 include the long-term costs, including
 the cost of operation and maintenance.
 The section mandates a preference for
 remedies that permanently reduce the
 "volume, toxiciry, or mobility" of the
 hazardous substance, and requires that
 remedies use permanent solutions and
 alternative technologies or resource
 recovery technologies to the maximum
 extent practicable. The preamble
 discussion ofsubpartE details bow
 these revisions to CERCLA are reflected
 in today's rule.
  3. Slate and public participation. New
 CERCLA section 121 [f) requires the
 "substantial and meaningful"
 involvement of the states in the
 initiation, development, and selection of
 remedial actions. States are to be
 involved in decisions on conducting
 preliminary assessments and site
 inspections. States will also have a role
 in long-term planning for remedial sites
 and negotiations with potentially
 responsible parties. In addition, states
 are to be given reasonable opportunity
 to review and comment on such
 documents as the remedial
 investigation/feasibility study (RI/FS)
 and the  proposed plan for remedial
 action. CERCLA also provides in section
 121(e)(2) that a state is permitted to
 enforce  any federal or state standard,
 requirement, criterion, or limitation to
 which the remedial action is required to
 conform.
  CERCLA section 104(d) provides that
 a state, political subdivision thereof, or
 federally-recognized Indian tribe may
 apply to EPA to carry out the action
 authorized in section 104. This section
 allows these entities to enter into
 cooperative agreements with the federal
 government to conduct response actions.
 SARA amends CERCLA section 104 to
 make it easier for states to enter into
 such cooperative agreements. The
 preamble discussion concerning subpart
 F details how these revisions to
 CERCLA are reflected in today's rule.
  SARA adds a new CERCLA. section
 117 to codify public involvement in the
 Superfund response process. This
 section mandates public participation in
 the selection of remedies and provides
for grants allowing groups affected by a
release to obtain  the technical expertise
necessary to participate in decision-
making.
   4. Enforcement CERCLA sections 106
 and 107 authorize EPA to take legal
 action to recover from responsible
 parties the cost of response actions
 taken by EPA or to compel them to
 respond to the problem themselves..
 SARA adds to CERCLA a number of
 provisions that are intended to facilitate
 responsible party conduct of response
 actions. CERCLA section 122, for
 example, provides mechanisms by
 which settlements between responsible
 parties and EPA can be made, and
 allows for "mixed funding" of response
 actions, with both EPA and responsible
 parties contributing to response costs.
   SARA creates a new CERCLA section
 310. which allows for citizen suits. Any
 person may commence a civil action on
 his/her own behalf against any person
 (including the United States and any
 other governmental instrumentality or
 agency, to the extent permitted by the
 eleventh amendment to the
 Constitution), alleged to be in violation
 of any standard, regulation, condition,
 requirement, or order which has become
 effective pursuant to CERCLA (including
 any provision of an agreement under
 section 120 relating to federal facilities].
 A civil action may also be commenced
 against the President or any other officer
 of the United States (including the
 Administrator of the Environmental
 Protection Agency and the
 Administrator of the Agency for Toxic'
 Substances and Disease Registry) where .
 there is alleged a failure to perform any
 act or duty under CERCLA. including an
 act or duty under section 120 (relating to
 federal facilities), which is not
 discretionary with the President or such
 other federal officer, except for any act
 or duty under section 311 (relating to
 research, development, and
 demonstration). Section 310 requires
 that citizen suits be brought in a United
 States district court. CERCLA section
 113(h)(4) provides that citizen suit
 challenges to response actions may not
 be brought until the response action has
 been "taken under section 104 or
 secured under section 106."
  SARA amends CERCLA section 113 to
require the lead agency to establish an
 administrative record upon which the
 selection of a response action is based.
This record must be available to the
public at or near the site. Section 113(j)
provides that judicial review of any
issues concerning the adequacy of any
response action is limited to the
 administrative record. The preamble
discussion of new subpart I includes the
introduction of administrative record
requirements into the NCP.
  5. Federal facilities. Section 120(a)(2)
of CERCLA provides that all guidelines.
 rules, regulations, and criteria for
 preliminary assessments, site
 investigations, National Priorities List
 (NPL) listing, and remedial actions are
 applicable to federal facilities to the
 same extent as they are applicable to
 other facilities. No federal agency may
 adopt or utilize any such guidelines.
 rules, regulations, or criteria that are
 inconsistent with those established by
 EPA under CERCLA. (For purposes of
 the NCP, the term "lead agency"
 generally includes federal agencies that
 are conducting response actions at their
 own facilities.)
  Section 120 also defines the process
 that federal agencies must use in
 undertaking remediation at their
 faculties. It requires EPA to establish a
 federal agency hazardous waste
 compliance docket that includes a list of
 federal facilities. EPA must within 16
 months of enactment take steps to
 assure that a preliminary assessment is
 conducted at each facility and, where
 appropriate, evaluate these facilities
 within 30 months of enactment for
 potential inclusion on the NPL. Sections
 120(a) and (d) clarify that federal
 facilities shall be evaluated for inclusion
 on the NPL by applying the same listing
 criteria as are applied to private-
 facilities. Requirements governing listing
 are set forth in subpart E of the NCP and
 in Appendix A (the Hazard Ranking
 System). Federal agencies must
 commence the RI/FS within six months
 of listing on the NPL and enter into an
 interagency agreement with EPA.
 Section 120(e) provides for joint EPA/
 federal agency selection of the remedy.
 or selection by EPA if EPA and the
 federal agency are unable to  reach an
 agreement. CERCLA section  120(f)
 makes clear that state officials shall
 have an opportunity to participate in'the
 planning and selection of the remedial
 action, in accordance with section 121.

B. Summary of Significant Changes
From Proposed Rule

  The following is a summary of the
 significant changes made to the
proposed NCP in today's final rule. In
 subpart A. several definitions have been
 revised, including "CERCLIS,"
 "Superfund state contract" "-cooperative
 agreement" and "source control action."
Also, definitions for "navigable waters,"
 "post-removal site control" and ^source
 control maintenance measures" have
 been added.
  In subpart B.  § § 300.110 and 300.115
 have been  changed to provide that
 during activation of the National
 Response Team and the Regional
 Response Teams, the agency that
provides the OSC/RPM will be the

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            Federal Register / Vol.  55.  No. 46 / Thursday. March 8. 1990  / Rules  and Regulations
                                                                                                                  8669
chair. In § 300.165, a deadline of one
year for submitting an OSC report has
been promulgated, not 90 days as
proposed. The National Response
Center has been added to the list of
agencies described in § 300.175. No
major changes were made in subparts C
and D.
  In subpart E, the final § 300.430
incorporates a new goal and
expectations into the regulatory section
on RI/FS and selection of remedy. Also,
the categories for the nine criteria—
threshold, balancing and modifying—
have been removed from the detailed
analysis section (i.e., detailed analysis
does not distinguish among nine criteria)
and placed in the remedy selection
section. When using criteria for
balancing in selecting remedies,
emphasis is now placed on the criteria
for long-term effectiveness and
permanence and for reduction of
mobility, toxicity or volume. Further,
innovative technologies need only offer
the potential to be comparable in
performance or implementabUity to
demonstrated technologies to warrant
further consideration in the detailed
analysis step.
  Also in  subpart E. the acceptable
cancer risk range in § 300.430(e)(2) has
been modified from the proposed 10 4 to
10"' to 10"' to 10~£. The 10~6point of
departure remains the same. Further, the
proposed NCP stated that maximum
contaminant levels (MCLs) generally
would be the cleanup level for
restoration of ground or surface water
where they are relevant and appropriate
under the circumstances of the release.
In the final NCP. maximum contaminant
level goals (MCLGs) that are set at
levels above zero generally will be the
cleanup levels where relevant and
appropriate. Where MCLGs are set at
levels equal to zero, the MCL generally
will be the cleanup level where relevant
and appropriate.
  Other changes in subpart E include
the following: As set forth in the
preamble to § 300.435, EPA will fund
operation costs for temporary or interim
measures that are intended to control or
prevent the further spread of
contamination while EPA is deciding on
a final remedy at a site. In  § 300.400[g)
on applicable or relevant and
appropriate requirements (ARARs)
ARARs. the factors used to determine
whether a requirement is "relevant and
appropriate" have been modified.
   In the community relations sections,
the rule is revised so that upon timely
request, the lead agency will extend the
length of 30-day public comment period
on the proposed plan by a minimum of
30 additional days. The public comment
period on non-time-critical removal
actions will be extended, upon request.
a. minimum of 15 additional days. Also,
the requirements during remedial
action/remedial design have been
revised to now include issuing a fact
sheet and providing an opportunity for a
public briefing after completion of
design.
  In subpart F, in a change to the
proposed rule, a Superfund
Memorandum of Agreement (SMOA)
SMOA will not be a prerequisite in
order for a state to recommend a remedy
to EPA or for the state to be designated
the lead agency for a non-Fund-financed
response at an NPL site. Also, the
proposed durations for review by the
state of documents (e.g., RI/FS,
proposed plan) prepared fay EPA will
now be applied as well to EPA's review
of documents prepared by the state (i.e.,
when the state is the lead agency).
  In subpart G and in other subparts,
clarifications were made on notification
of and coordination with natural
resource trustees. Also, the proposed
requirement that the Secretary of
Commerce obtain the concurrence of
other federal trustees where then-
jurisdictions over natural resources
overlap has been revised so that the
Secretary of Commerce shall seek  to
obtain such concurrence. No major
changes were made in subparts H and I
but several important clarifications are
discussed in the preamble sections on
these subparts. In subpart J, the
proposed rule required concurrence of
Commerce and Interior natural resource
trustees, as  appropriate, on the use of
dispersants, burning agents, etc. The
final rule does not require such
concurrence but encourages
consultation with these natural resource
trustees.
n. Response to Comments on Each
Subpart
Index to Response to Comments
  Section numbers used in this index and in
headings in preamble sections below refer to
final rule section designations.
SUBPART A
300.3 Scope
300.4 Abbreviations
300.5 Definitions
SUBPART B
300.105  General organization concepts
300.110  National Response Team
300.115  Regional Response Teams
300.120  On-scene coordinators and remedial
    project managers: general
    responsibilities
300.125  Notification and communications
300.130  Determinations to initiate response
    and special conditions
300.135  Response operations
300.140  Multi-regional responses
300.145  Special teams and other assistance
    available to OSCs/RPMs
300.150  Worker health and safety
300.155  Public information and community
    relations
300.160  Documentation and cost recovery
300.165  OSC reports
300.170  Federal agency participation
300.175  Federal agencies: additional
    responsibilities and assistance
300.180  State and local participation in
    response
300.185  Nongovernmental participation

SUBPARTC
300.200  Genera!
300.205  Planning and coordination structure
300.210  Federal contingency plans
300.215  Title ffl local emergency response
    plans: Indian tribes under Title HI  .

SUBPARTD
300.300  Phase I—Discovery or notification
300.305  Phase II—Preliminary assessment
    and initiation of action
300.310  Phase IB—Containment,
    countermeasures. cleanup and disposal
300.315  Phase IV—Documentation and cost
    recovery
300.320  General pattern of response
300.330  Wildlife conservation

SUBPARTE

Section 300.400. General
300.400{dJ(3}: 300.400(d)(4Hi) Designating
    PRPs as access representatives;
    Administrative orders for entry and
    access
300.5:300.400(e) Definition of on-site
Treatability testing and on-site permit
  exemption
300.400(h)  PRP oversight
Section 3O0.4O5. Discovery or Notification
300.5  Definition of "CERCUS"
300.405:300.410(h): 300.415[e) Listing sites in
    CERCUS
Sections 3O0.41O and 300.420. Removal and
Remedial Site Evaluations
300.410  Removal site evaluation
300.410{c)[2): 300.420(c)(5) Removal site
    evaluation: Remedial site evaluation
300.410(g)  Notification of natural resource
    trustee
300.415[b]{4): 300.420(c}(4) Sampling and
    analysis plans

Section 3OO.41S. Removal Action
300.415[b)(5}(ii} Removal action statutory
    exemption
300.415(i)  Removal action compliance with
    other laws
300.5; 300.415[g)&(hJ: 300.500(a): 300.505:
    300.525(a) State involvement in removal
    actions
Section 300.425. Establishing Remedial
Priorities
300.5:300.425 Definition of National Priorities
    List; Establishing remedial priorities
300.425(d)(6} Construction Completion
    category on the National Priorities List

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8670      Federal Register / Vol. 55. No. 46 / Thursday. March 8, 1990 /  Rules and Regulations

                                                                                    300.800[c) Administrative record for state-
                                                                                        lead sites
                                                                                    300.800 (d) & (e) Applicability
                                                                                    300.805  Location of the administrative
                                                                                        record file
                                                                                    300.810 (aHd) Documents not included in
                                                                                        the administrative record file
                                                                                    300.815 Administrative record file for a
                                                                                        remedial action
                                                                                    300.815 and 300.B2e(a) Administrative record
                                                                                        file for a remedial action; administrative
                                                                                        record file for a removal action
                                                                                    3O0.820fb) Administrative record file for a
                                                                                        removal action—time-critical and
                                                                                        emergency
                                                                                    301X825 Record requirements after decision
                                                                                        document is signed
                                                                                    SUBPARTJ
                                                                                    300300-300.920  General
                                                                                    APPENDIX C
                                                                                    APPENDIX D

                                                                                    Subpart A—Introduction

                                                                                       Subpart A, the preface to the NCP,
                                                                                    contains statements of purpose,
                                                                                    authority, applicability and scope. It
                                                                                    also explains abbreviations and defines
                                                                                    terms that are used in the NCP.
                                                                                       Name: Section 300.3. Scope.
                                                                                       Proposed rale: Proposed § 300.3 stated
                                                                                    that the NCP applies to federal agencies
                                                                                    and states and is in effect for discharges
                                                                                    of oil into or upon the navigable waters
                                                                                    of the United States and adjoining
                                                                                    shorelines, and releases of hazardous
                                                                                    substances into the environment, and
                                                                                    releases of pollutants or contaminants
                                                                                    •which may present an imminent or
                                                                                    substantial danger to public health or
                                                                                    •welfare.
                                                                                       Response  to comments: A commenter
                                                                                    suggested that § 300.3(a) of the proposed
                                                                                    NCP should  state that the NCP applies
                                                                                    to private party responses as well as to
                                                                                    federal agency and state responses, and
                                                                                    the NCP should define the
                                                                                    responsibilities of EPA and states for
                                                                                    potentially responsible party (PRP)-lead
                                                                                    response actions.
                                                                                       EPA has revised § 300.3(a) to
                                                                                    eliminate the suggestion that the NCP
                                                                                    applies only to cleanups conducted by
                                                                                    federal agencies and  states. EPA does
                                                                                    not believe,  however, that the roles or
                                                                                    responsibilities of EPA or states during
                                                                                    PRP-lead cleanups should be defined for
                                                                                    the purposes of § 300.3(a). Rather, EPA
                                                                                    prefers that  these roles and
                                                                                    responsibilities be negotiated and
                                                                                    defined in site-specific enforcement
                                                                                    agreements.
                                                                                       Final rule: Proposed J 300.3(a) is
                                                                                    revised to read: "The NCP applies to
                                                                                    and is in effect for:"
                                                                                       Name: Section 300.4. Abbreviations.
Section 30O.130. Remedial Investigation/
Feasibility Study and Selection of Remedy

Introduction
300.430f.aHl)  Program goal, program
    management principles and expectations
3O0.430(a)(l)  Use of institutional controls
300.430(b)  Scoping
$00,430{d}  Remedial investigation
3O3,430(d)  Remedial investigation—baseline
    risk assessment
300,430{e)  Feasibility study
300 430(c){2)  Use of risk range
300.430{e)(2J  Use of point of departure
300.430{e){9)  Detailed analysis of
    alternatives
300.430(1)  Remedy selection
300.430(f](5) Documenting the decision
Ground-water policy

Section 300.135. Remedial Design/Remedial
Action. Operation and Maintenance
300,435(b)(l)  Environmental samples during
    RD/RA
300.435[d)  Contractor conflict of interest
300,5: 300.435(f] Operation and maintenance
Notification prior to the out-of-state transfer
  of CERCLA wastes

Applicable or Relevant and Appropriate
Reguirements
Introduction
300.5; 300.400{g)(l) Definition of "applicable"
300.5: 300.400(g}(2) Definition of "relevant and
    appropriate"
300.400{g](3)  Use of other advisories.
    criteria or guidance to-be-considered
    (TBC)
300.400{g)(4) and (g]{5J ARARs under state
    laws
300,5I5(d)(l)  Timely identification of state
    ARARs
300.430(f)(l)(J')(C) Circumstances in which
    ARARs may be waived
300.430{f){lH)i)tC)U) Interim measures
300.430(n{l){i')(C](2) Greater risk to health
    and the environment
300.430(f)(lHii)tC)(3) Technical
    impracticability
300,430(Q(l)(ii)(C)M Equivalent standard of
    performance
300.430(rXlXH)(CK5) Inconsistent application
    of state requirements
300.430(f)(l)(ii){C)(6) Fund-balancing
300.430(e](2)(i)(B) Use of maximum
    contaminant level goals for ground-water
    cleanups
300.430(f)(5)(iii){A) Location of point of
    compliance for groundwater cleanup
    standards
300.430(e)(2)(iXF) Use of alternate
    concentration limits (ACLs)
300,430(e){2) Use of federal water quality
    criteria (FWQC)
300.435{b)(2)  Compliance with applicable or
    relevant and appropriate requirements
    (ARARs) during the remedial action
300.5  Distinction between substantive and
    administrative requirements
300.430(fl{l)(ii)(B) Consideration of newly
    promulgated or modified requirements
Applicability of RCRA requirements
Determination of whether a waste is a
  hazardous waste
When  RCRA requirements are relevant and
  appropriate to CERCLA actions
Examples of potential federal and state
  ARARS and TBCs

Community Relations
300.430(C): 300.430(f) (2), (3) and (6)
    Community relations during Rl/FS and
    selection of remedy
300.415(m)(2)(ii): 300.430(f)(3)(i)(C):
    300.435(c)(2)(ii)(C) Length of public
    comment period
300.435(c)  Community relations during
  '  'remedial design/remedial action
300.435(c)(2) Changes to the ROD after its
    adoption
  Other community relations requirements

Enforcement
Superfund enforcement program strategy
Special notice and moratoria
Exemptions for federal facilities
300.420; 300.430; 300.435 Early notification
    and involvement

SUBPARTF
300.5 Definitions of "cooperative
    agreement" and "Superfund state
    contract"
300.500; 300.505:300.515(h) EPA/State
    Superfund memorandum of agreement
    (SMOA); Requirements for state
    involvement in absence of SMOA
300.510(c) (1) and (2): 300.510(e) State
    assurances—operation and maintenance
    and waste capacity
300.510(f)  State assurances—acquisition of
    real property
300.515(a)   Requirements for state
    involvement in remedial and
    enforcement response
300.515{b)   Indian tribe involvement during
    response
300.425[e)(2): 300.515(c}(2): 300.515(c)(3):
    300.5I5(h)(3) State involvement in PA/SI
    and NPL process; State review of EPA-
    lead documents
300.505 and 300.515(d) Resolution of disputes
300.515(e) (1) and (2) State involvement in
    selection of remedy
Whether states should be authorized to select
  the remedy at NPL sites
300-515(f)  Enhancement of remedy
300.515(g)   State involvement in remedial
    design/remedial action
300.520 (a) and (c) State involvement in EPA-
    lead enforcement negotiations
Dual enforcement standards

SUBPARTG
3O0.600  Designation of federal trustees
300.610  Indian tribes as trustees for natural
    resources under CERCLA
300.615  Responsibilities of trustees

SUBPART H
300.700(c)   Consistent with the NCP
300.700(c)  Actions under CERCLA section
    107(a)
300.700(e)  Recovery under CERCLA section
    106(b)
SUBPARTI
General Comments
300.800{a): 300.810(a) Establishment of an
     administrative record; Contents of the
     administrative record
300.800(b)  Administrative record for federal
     facilities

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            Federal Register  / Vol. 55,  No. 46 / Thursdety, March 8,  1990 / Rules  and Regulations      8671
  Final rule: Several abbreviations
commonly used in the Superfund
program have been added to § 300.4:
LEPC—Local Emergency Planning
  Committee
NCP—National Contingency Plan
RAT—Radiological Assistance Team
SERC—State Emergency Response
  Commission
  Name: Section 300.5. Definitions.
  Response to comments: Comments
were received on several definitions.
The comments and EPA's responses
regarding revised and new definitions
are included in the appropriate
preamble sections, as indicated below.
The revised or new definitions are found
in the rule in § 300.5.
  1. "Applicable" and "relevant and
appropriate" are discussed in the
ARARs preamble section.
  2. "CERCLIS" is discussed in the
preamble on § 300.405.
  3. "Cooperative agreement" and
"Superfund state contract" are
discussed in the preamble to subpart F.
  4. "Ons-site" is discussed in the
preamble on § 300.400(e).
  5. The definition for "navigable
waters" used in 40 CFR 110.1 has  been
included in the NCP.
  6. A new definition for "post-removal
site control" is discussed in the
preamble on § 300.415. "State
involvement in removal actions."
References  to post-removal site control
have been added to the definitions in
§ 300.5 of "remove or removal" and
"remedy or remedial action."
  7. "Source control action" and a new
definition for "source control
maintenance measures" is discussed in
the preamble on § 300.435(f).
  In addition, minor revisions were
made to the following definitions:
  1. Modifications to "National
Priorities List" are discussed in the
preamble to § 300.425.
  2. In "operable unit," the last sentence
has been deleted because it was not
appropriate for a definition.
  3. In "pollutant or contaminant," the
reference to subpart E was deleted
because the definition applies  to the use
of the term throughout the NCP.
  4. In "Superfund Memorandum of
Agreement (SMOA)," the words
"nonbinding" and "may establish" are
used to emphasize the voluntary nature
of a SMOA (see preamble to subpart F).
Also, a reference to "removal" has been
added (see preamble to § 300.415).
  5. In "United States," the term "Pacific
Island Governments" is used instead of
Trust Territory of the Pacific Islands"
(this revision is also made in
§§ 300.105(d) (Figures 2 and 3} and
300.175(b)(9)(x)).
 Subpart B—Responsibility and
 Organization for Response
   Subpart B describes the
 responsibilities of federal agencies for
 response and preparedness planning
 and describes the organizational
 structure within which response takes
 place. Subpart B lists the federal
 participants in the response
 organization, their responsibilities for
 preparedness planninjg and response,
 and the means by which state and local
 governments, Indian tribes, and
 volunteers may participate in
 preparedness and response activities.
 The term "federal agencies" is meant to
 include the various departments and
 agencies within the Executive Branch of
 the federal government. Subpart B
 should be distinguished from subpart K
 (under preparation separate from this
 final rule), which deals specifically with
 site evaluation and remedial
 requirements for facilities under the
 jurisdiction of individual federal
 agencies.
  The proposed revisions to subpart B
 did not include major substantive
 changes; however. EPA did propose to
 combine existing subparts B and C. The
 proposed subpart B also presented key
 information in a logical sequence of
 response-oriented activities from
 preparedness planning through response
 operations. The listing of the capabilities
 of federal  agencies with respect to
 preparedness planning and response
 was proposed to follow the sections
 relating to response operations.
  The following is a discussion of
 comments submitted and EPA's
 responses on specific sections of
 proposed subpart B. One change that
 has been made to the proposal
 throughout subpart B is, where
 appropriate, to delete references to
 Executive Orders. Although Executive
 Orders are binding on agencies of the
 federal government such references are
 unnecessary in a rule.
  Name: Section 300.105. General
 organization concepts.
  Proposed rule: Section 300.105 directs
 federal agencies to undertake specified
 planning and response activities and
 describes the general organizational
 concepts of the National Response Team
 (NRT), the Regional Response Teams
 (RRTsJ and the on-scene coordinator
 (OSCJ/remedial project manager (RPM).
The proposal provided general
 descriptions of member agency
responsibilities with respect to their
participation in the NRT and the RRTs.
  Response to comments: Many of the
 commenters appear to regard both the
 NRT and the RRTs as response rather
 than planning, coordinating, and support
 organizations. Another commenter
 wanted § 300.105(c)(l) edited to clarify
 the fact that the NRT/RRTs are policy
 and planning bodies that support the
 federal OSC. but that they do not
 coordinate responses. One commenter
 proposed dividing Figure 1 into two
 parts, one to show the NRT/RRT
 planning roles and the relationship
 between the NRT/RRTs and the State
 Emergency Response Commissions
 (SERCs) and the Local Emergency
 Planning Committees (LEPCs) and the
 other to illustrate the relationship
 between the NRT and the RRT during
 incident-specific situations. Another
 wanted § 300.105(d)(l) expanded to
 describe all three figures rather than
 only the first figure. Another noted that
 corrections are needed in the references
 to trust territories in Figures 2 and 3
 (described in § 300.105(d)(2) and (3)).
  The above comments make it clear
 that some clarification of the NRT/RRT
 roles in the national response system is
 needed. In response,.text changes in the
 rule now indicate the policy, planning,
 coordination and response support roles
 of the NRT and the RRTs. Figure 1
 (i 300.105(d)(l)) shows the National
 Response System has been expanded to
 better indicate the relationships
 between the parts of the organization
 showing NRT. RRT, OSC and RPM,
 special teams, and the connections with
 state and local responders. Added lines
 indicate the activities of the NRT and
 RRTs including planning and
 preparedness as well as response
 support. Another added line indicates
 NRC policy guidance from the NRT.
  Experience has shown that the
 standing RRTs cannot provide a useful
 forum for individual local governments
 on a continuing basis because the RRT
 responsibilities extend through a
 multistate region and their regular
meetings are only two to four times a
year, and generally devoted to
 systemwide issues for the entire region,
rather than site-specific issues. Local
governments may and often do
participate in such meetings where
lessons learned from a particular
incident are being discussed, for
example. At the standing RRT level,
then, the most effective way for local
interests to be represented is through
the state member. When an incident-
specific RRT action is needed, local
interests on scene are represented in
accordance with the local plans,
including federal local plans, guiding the
particular response. An essential
purpose of the national response system
is to ensure federal readiness to handle
a response which might exceed local
and state capabilities.'Appropriate

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8672       Federal Register / Vol. 55. No. 46 / Thursday. March 8, 1990 / Rules and Regulations
RRT/federal representation onmulti-
" agency local response groups can
provide a forum for a particular
community, harbor area, or other
geographic locality, comparable to what
the RRT provides for the multi-state
region.
  One commenter wanted the NCP to
include checklists of the specific tasks to
be completed by each agency during a
response and to identify who in each
agency is supposed to carry out those
tasks. In response EPA believes that
detailed checklists of response tasks
and persons responsible for those tasks
belong in local response plans, not in the
more general regional and national
plans.
  One commenter said that "extremely
hazardous substances" should be added
to the substances listed in
1300.10S[a)[l). Extremely hazardous
substances are defined in a separate
section of the SARA statute. Title HI.
Although some extremely hazardous
substances are CERCLA hazardous
substances, most are not. On January 23,
1989, however, EPA proposed to
designate the remaining extremely
hazardous substances as CERCLA
hazardous substances (54 FR 3388). This
addition, when promulgated, will in
effect mean that any reference to
"hazardous substances" will implicitly
include extremely hazardous
substances.
  Another commenter wanted to correct
awkward wording in § 300.105(a)(4). The
wording in § 300.10S(a){4) has been
changed as indicated below.
  Final rule: Proposed § 300.105 has
been revised as follows:
  1. Section 300.105(a)(4): "Make
available those facilities or resources
that may be useful in a response
situation, consistent with agency
authorities and capabilities."
  2. Section 300.105(c)(l): "The National
Response Team (NRT), responsible for
national response and preparedness
planning, for coordinating regional
planning, and for providing policy
guidance and support to the Regional
Response Teams. NRT membership
consists of representatives from the
agencies specified in § 300.175."
  3. Section 300.105(c)(2): "Regional
Response Teams {RRTs). responsible for
regional planning and preparedness
 activities before response actions, and
for providing advice and support to the
 on-scene coordinator (OSC) or remedial
project manager (RPM) when activated
 during a response. RRT membership
 consists of designated representatives
from each federal agency participating
in the NRT together with state and (as
 agreed upon by the states) local
 government representatives."
  4. Revisions to Figures 1 through 3
have been made. The revised Figure 1
clarifies the response support or
planning roles of the various entities
and shows the planning relationships
between the RRTs and the SERCs and
LEPCs. It also clarifies that apart from
state and local participation in the RRT,
the federal membership of the NRT and
the RRTs is the same. Figures 2 and 3
have also been revised slightly to refer
to Pacific Island Governments rather
than Trust Territory of the Pacific
Islands.
  Name: Section 300.110. National
Response Team.
  Proposed rule: The proposed rule
delineated the roles and responsibilities »
of the NRT. specified who will act as
chair and vice-chair during activation
for a response action, outlined the
planning and preparedness
responsibilities of the NRT, and
discussed responses in general, to oil
discharges and releases of hazardous
substances, pollutants or contaminants.
The organization of the National
Response Center (NRC) was placed in
the notification section, § 300.125.
  Response to comments: A commenter
suggested that more detail on the NRC
organization be included in the final
rule. EPA agrees that more descriptive
language is needed but feels it is better
placed in die section on notification and
communications. These changes are
discussed under § 300.125.
  A commenter suggested that more
information is needed on the specific
duties of the NRT in an emergency, as
well as a remedial action.'After careful
consideration. EPA believes that the
roles and responsibilities of the NRT are
addressed satisfactorily in § § 300.110
and 300.175, and no changes are
required. The NRT is activated in only a
limited number of responses, and its
activities then are usually carried out
through communications between
individual NRT member agencies with
their RRT members in the field as
needed to support the OSC or RPM.
Since the NCP generally describes
action tied to the response incident or
site, and the NRT is generally not
involved in actions on scene, NCP
discussion of possible NRT activities is
not necessary. The idea of a clearer pre-
planned procedure for dealing with .an
event of catastrophic or national
significance has been discussed, but
decisions have not yet been made as to
the form such protocols might take,
when or if they are deemed to be
needed.
  Another commenter suggested that, in
view of the limitation on United States
Coast Guard (USCG) response authority
following the 1987/1988 Department of
Transportation (DOTJ/EPA Instrument
of Redelegation (May 27,1988)* the
second sentence of § 300.110(b) would
be more instructive if the chair of the
NRT during activation was the agency
providing the OSC/RPM.
  EPA agrees. Who sits as chair or vice
chair of the NRT will depend on which
agency provides'the OSC/RPM for the
particular response action. It does aot
necessarily depend on "whether the
discharge or release occurs in the inland
zone or coastal zone." EPA has certain
responsibilities for releases in the
coastal zone. The second sentence in
§ SOO.llOfb) has been changed as
recommended by this comment.
  It was suggested that 5 300.110(h){3)
further clarify who determines when it is
necessary to activate the NRT. EPA
believes that activation of the NRT is
adequately described in § 300.110U) and
does not need to be outlined
additionally in § 300.110(h)(3).
  Final rale: The second oentence of
proposed 5 300.110(b) is revised as
follows: "During activation, the chair
shall be the member agency providing
the OSC/RPM."
  Name: Section 300.115. Regional
Response Teams.
  Proposed/a/e.-This section delineates
the roles and responsibilities of the
Regional Response Team (RRT). For
example, proposed § 300.115(b)(2)
addressed the activation of the incident-
specific RRT, and how the incident-
specific RRT supports the OSC/RPM
when the designated OSC/RPM directs
and coordinates response efforts at the
scene of the spill.
  Response to comments: It was
suggested that the NCP more clearly
define the role of the RRT in the
remedial program and require that
regional and state remedial managers be
informed of the assistance available
from the RRTs. In response, EPA
believes that the description of the roles
and responsibilities of the RRT in
§ 300.115 provides the necessary
framework for RRTs to support RPMs in
the remedial program as they
traditionally have supported OSCs.
Upon notification and request the RRT
can function the same way for all
response actions, whether they involve
oil spill or hazardous material releases,
and removal or remedial actions.
Experience has not yet shown the need
or usefulness of specific RRT actions in
connection with the implementation of
the remedial program as described in
the NCP, while the flexibility exists for
them to be involved if a need does arise.

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            Federal Register / Vol. 55, No. 46 / Thursday, March 8. 1990 / Rules  and Regulations
                                                                                                             8673
  One commenter suggested that this
section should not indicate that the
RRTs are response organizations, but
that they are there to provide advice
and assistance to the OSC, as
necessary. In response, § 300.115 was
not intended to portray the RRTs as
response organizations. It indicates that
they are the "appropriate regional
mechanism for development and
coordination of preparedness activities
before a response action is taken and for
coordination of assistance and advice to
the OSC/RPM during such response
actions." The proposed § 300.115(i)(7)
indicated, however, that the standing •
RRT should "be prepared to respond to
major discharges or releases outside the
region." This may have been somewhat
misleading, and has been'changed to
indicate that the RRT may provide
"response resources" to major
discharges or releases outside the
region.
  It was also recommended that the
RRT support the designated OSC/RPM
of the state response agency without
assuming federal OSC direction and
coordination of all other efforts at the
scene of the release. EPA does not agree
with this suggested comment to
§ 300.115(b3- An essential purpose of the
national response system is to ensure
federal readiness to handle a. response
which might exceed local and state
capabilities. That being so,  the RRT
would generally not be activated unless
the federal government was needed as
the lead in the response. In general, the
authorities under which a federal
agency operates require that
commitments of federal resources and
personnel be made through particular  •
channels or command chains. Through
specific memoranda of understanding,
state  OSC/KPMs could request certain
kinds of federal assistance  from
individual agencies, but the RRT as a
unit is designed to support a federal
OSC in those situations where the size
or nature of the response calls for a
significant federal presence. (Experience
shows that a federal OSC is on scene
many times with no need to activate the
RRT.)
   Another commenter wanted the
following language added to
 § 300.115(c): "If the RRT is activated
upon the request of the state
representative to the RRT, then the chair
of the incident-specific RRT may be that
representative if the members of the
RRT so agree." EPA does not agree with
the comments. Who sits as chair and co-
 chair to the incident-specific RRT.
 depends on where the spill occurred and
 who  provides the OSC/RPM, not who
 requests activation of the RRT.
 Certainly, the state representative will
 always be an active member of the
 incident-specific RRT when a spill
 occurs in the particular state, but the
 chair or co-chair will usually be the
 USCG or EPA representative.
   Also suggested was the
 reconsideration of the extension of
' 5 300.1l5(d) to allow for the
 participation of the Indian tribal
 governments on both Hhe standing RRT
 and on incident-specific RRTs. Given
 that there are over 200 federally
 recognized Indian communities or
 groups in Alaska, participation by these
 entities on the same basis as the State of
 Alaska in the planning and coordination
 functions of the RRT is not
 administratively feasible. The comment
 stated that this provision should be
 modified to allow flexibility in
 determining how Alaska Native villages
 will be represented on the Alaska RRT.
   EPA understands the commenter's
 concern as to the workability of a large
 number of Indian tribal governments
 participating in an RRTs activities.
 However, the 1986 amendments to
 CERCLA added several provisions for
 Indian tribal governments to be afforded
 the same opportunities as states. Indeed,
 CERCLA section 126(b] specifically
 states that "[t]he governing body of an
 Indian tribe shall be afforded
 substantially the same treatment as a
 state with respect to the provisions
 of * * * section 105 (regarding roles
 and responsibilities under the national
 contingency plan  * * *)." It is
 consistent with that provision to include
 Indian communities in the national
 response system by having their
 jurisdictions recognized  in the context of
 nationwide provisions for response
 activities. The proposed NCP language
 appeared to be the best way to allow
 interested Indian tribal governments to
 determine if the benefits of RRT
 membership would be such that they
 would be willing to undertake the
 responsibilities of RRT membership, or
 if there is an ad hoc basis, a planning
 project, or other basis; on which an RRT-
 tribal relationship might be useful. In
 some regions, an existing inter-tribal or
 multi-tribal organization might provide
. appropriate representation. The
 language in the proposed rule was
 intended to afford these kinds of  .
 opportunities.
   Furthermore, it wa» submitted that,
 for consistency, it would be much more
 effective to mandate local government
 involvement from the national level,
 rather than to rely upon each state. The
 comments state that due to the impact a
 local jurisdiction can experience from a
 hazardous substance release, it is
imperative that local governments have
the ability to participate on the RRT.
EPA agrees that the impacts to a local
government from a major release are
substantial, but EPA does not agree that
the local government should be
mandated to participate in all RRT
activities. The local governments may
attend meetings and may actively
participate in RRT functions through
their state representative. The state
representative is generally responsible
for actively representing the interests of
the local governments. If the state
representative is performing his/her
duties properly, all local governmental
interests will be represented at RRT
functions.
  Also, it was suggested that RRT
review of LEPC plans should be
conducted only after the plans have
been reviewed by the SERC, as required.
EPA agrees that the RRTs will not be
able to review and comment on every
LEPC plan within their region. LEPC
plans should be initially reviewed by the
states, and if the state believes that the
RRT should also review the LEPC plan.
then the state should request such a
review from the RRT.
  One commenter wanted the phrase
"or participation in" inserted after
"conduct" in § 300.115{i){8), noting that
this would allow the state RRT
representative/SERC the ability to
request RRT participation, within
allowable resources. EPA agrees that
the phrase "or participate in" should be
inserted after "conduct" in
§ 300.115(i)(8). This would give the RRT
more flexibility in deciding whether it
wanted to manage a particular exercise
or training program or simply act as a
participant.
  Regarding § 300.115fj)(l)[i}. one
commenter raised the question of who
decides when the OSC's/RPWs
response capability is exceeded. This
question does not need to be addressed
in the final rule. The particular OSC/
RPM will know when his/her response
capability is going to be exceeded, and
that information will be passed on to the
RRT as soon as it is known. In addition.
if the agencies on the RRT believe that
the response capability to the OSC/RPM
will be exceeded, then they also have
the option of activating the RRT.
   There was a request for clarification
as to whether a pollution report satisfies
the requirement for written confirmation
of a request for RRT activation under
 5 300.115GK2). EPA responds that a
written pollution report confirming the
request to activate the RRT would
 satisfy the requirement; the pollution
report is the primary means of providing
information during the course of an

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 8674
Federal Register / Vol. 55, No. 46 / Thursday,  March 8, 1990 / Rules and Regulations
 incident A request to activate the RRT
 should also be confirmed in a letter from
 another RRT representative.
   Also, it was suggested that
 | 300.115(k) be expanded to address the
 contingency of what happens when a
 federal lead agency fails to perform its
 assigned role. The comment stated that
 if this situation occurs, the RRT should
 be notified and EPA or the USCG should
 assume the federal responsibilities.
   In E.0.11735 and E.0.12580. the
 President has delegated certain
 functions  and responsibilities vested in
 him by the CWA and CERCLA to
 various federal agencies. If federal
 agencies cannot perform their assigned
 tasks, such federal agencies may
 authorize another agency to perform the
 task through interagency agreement or
 contract. (See also preamble discussion
 below on  § 300.130(a).)
   Final rule: Proposed § 300.115 has
 been revised as follows:
   1. The second sentence of § 300.115(c)
 readst "When the RRT is activated for
 response actions, the chair shall be the
 member a"gency providing the OSC/
 RPM."
   2. Section 300.115(i){7): "Be prepared
 to provide response resources to major
 discharges or releases outside the
 region."
   3. Section 300.115(i){8): "Conduct or
 participate in training and exercises as
 necessary to encourage preparedness
 activities of the response community
 within the region."
   Name: Section 300.120. On-scene
 coordinators and remedial project
 managers: general responsibilities.
   Proposed rule: Consistent with the
 delegation of the President's response
 authority to the various federal agencies
 under section 2(dHO of Executive
 Order 12580, proposed § 300.120(b)
 specifies when federal agencies other
 than EPA or USCG shall provide OSCs
 and RPMs.
   Response to comments: One
 commenter recommended that proposed
 § 300.120 be divided into two
: subsections. One subsection would
 discuss the responsibilities of an OSC
 and the other subsection would discuss
 the responsibilities of an RPM. In the
 conunenter's view, the responsibilities
 of an OSC and an RPM do not overlap
 as much as was suggested in proposed
 § 300.120.
   Another commenter recommended
 that a distinction be developed between
 actions where the OSC is in a
 monitoring role and actions where the
 response is undertaken using a federal
 funding mechanism such as the oil
 pollution fund established under CWA
 section 311 (k) or the Hazardous
                           Substance Superfund. The commenter
                           stated that when the response action is
                           federally funded, local responders
                           "interpret the OSC's actions as
                           tantamount to a command role."
                             In response, the NCP is intended to
                           provide a framework within which
                           response managers have the flexibility
                           to use their best judgment, consonant
                           with applicable law, regulation and
                           guidance. In general, the role of the RPM
                           parallels that of the OSC Also, in
                           general, the role of the OSC is the same
                           •whether or not the response action is
                           federally funded. The roles as they are
                           described in the current NCP are
                           accurate, though not very, detailed. EPA
                           feels that the comments are well taken,
                           and that it might be useful to have
                           somewhat more detailed, separate
                           descriptions of OSC and RPM
                           responsibilities, and of any differences
                           in OSC actions depending on whether
                           the response is federally funded or
                           funded by the responsible party. EPA
                           has decided not to make such revisions
                           in today's rule but will explore this
                           matter with other federal agencies and
                           will also consider  developing guidance
                           on this subject.
                             Another commenter pointed out that a
                           state law may provide a fire chief with
                           coordination authority over all on-scene
                           officials, federal, state, and local, and
                           inquired if the local fire chiefs authority
                           is superseded by proposed § 300.120. Jn
                           addition, the commenter suggested that
                           a conflict can be avoided if the authority
                           to supersede the local fire chiefs
                           authority was clearly spelled out.
                           Finally, the commenter recommended
                           that § 300.120 be amended to permit  the
                           OSC to delegate his authority to a state
                           or local official.
                             In response, the legal authority of the
                           OSC to take action to respond to a
                           discharge or release is section 311(c) of
                           the Clean Water Act (CWA), 33 U.S.C.
                           1321(c) or section 104 of CERCLA To
                           the extent that an  action of a state or
                           local official to direct response actions
                           conflicts with actions under federal law
                           to direct response, the federal law will
                           prevail if there is federal participation in
                           the response action. However,
                           circumstances under which an OSC's
                           authority is changed (local or state to
                           federal, for example) should be spelled
                           out in federal and  local contingency.
                           plans, so that problems with conflicting
                           authorities do not arise at the scene of a
                           response action.
                             With regard to the recommendation
                           that J 300.120 be amended to permit  the
                           OSC to delegate his/her authority to a
                           state or local official, such delegation is
                           allowed only to the extent authorized by
                           law. There is no mechanism provided
                          'under the CWA for such a delegation.
Section 104(fl) of CERCLA, however.
does permit certain agencies of the
federal government to enter into
contracts or cooperative agreements
with a state to undertake, on behalf of
the United States, actions authorized by
section 104 of CERCLA. Finally,
changing f 300.120 to clearly state that
the federal OSC'S authority supersedes
the authority of the local fire chief is not
necessary because § 300.120 states that
the OSC"* * * directs response efforts
and coordinates all other efforts at the
scene  * * *."
  Paragraph (a): One commenter
recommended that the term "hazardous
waste management facility" used in
proposed § 300.120[a)(l) be defined
since, according to the comment, it is
unclear whether all facilities under the
jurisdiction, custody or control of a
federal agency are considered to be
hazardous waste facilities. According to
the comment, if all such federal facilities
are "hazardous waste management
facilities," the section should be
amended to conform to E.0.12580. The
comment apparently relates to the
following sentence in the proposed rule:
"The USCG shall provide an initial
response to the discharges or releases
from hazardous waste management
facilities within the coastal zone in
accordance with DOT/EPA Instrument
ofRedelegation *  *  *."
  The comment appears to assume that
this section is intended to apply to all or
many federal facilities as that term is
used in section 120 of CERCLA. Instead.
the NCP reference to "hazardous waste
management facility" is to its very
narrow meaning within the terms of the
DOT/EPA Instrument ofRedelegation
(May 27,1988) dealing with
predesignation of Coast Guard and EPA
OSCs. For this reason, it is not
necessary to define this term in the NCP.
  With regard to § 300.120(a)(2). another
commenter recommended that the term
"federally funded" be deleted and
"Fund-financed" be inserted, because
EPA's authority to undertake response
actions with regard to releases from
facilities or vessels owned, possessed or
controlled by other federal agencies is
limited fay E.0.12580. The recommended
change is not necessary since proposed
8 300.120(a)(2) provides for an exception
to the general statement of EPA
authority for facilities and vessels under
the jurisdiction or control of other
federal agencies. No change is
necessary since the exception is
consistent with Executive Order 12580.
  Paragraph (b): One commenter
recommended that { 300.120(b] be
amended to indicate which agency
would be responsible for providing

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           Federal Register / Vol. 55. No. 46 / Thursday. March 8, 1990 / Rules and Regulations
                                                                                                           8675
OSCs and RPMs in the case of a release
from a Coast Guard vessel. In addition,
the commenter recommended that
"emergencies" be defined in
§ 300.120(b)(2).
  With regard to the first comment in
accordance with sections 2 (e) and (f) of
E.0.12580, the Department of
Transportation is responsible for
providing OSCs and RPMs in the event
of a release from a Coast Guard vessel.
As written, proposed § 300.120(b}(2)
stated that in the case of a federal
agency other than the USCG, EPA. DOD
or DOE, the federal agency involved
shall provide the OSC or RPM. The final
rule does not include the USCG in
§ 300.120(b)(2) so that it is clear that the
USCG will respond to a release from a
USCG vessel.
  Regarding the second comment, the
preamble to the proposed rule provided
a definition of the term "emergencies"
for purposes of the delegations under
E.O.12580 (53 FR 51396). An additional
definition in § 300.120(b)(2) is
unnecessary.
  Paragraph (c): One commenter stated
that the Department of Defense [DOD)
only has removal response authority for
incidents involving DOD weapons and
munitions. EPA agrees and has revised
this section to state that DOD will have
response authority for incidents
involving weapons and  munitions within
the control, custody or jurisdiction of
DOD.
   Paragraphs (d) and (e): One
commenter stated that while
§ 300.120(d) is supposed to describe the
general responsibilities of OSCs and
RPMs. it is primarily concerned with
which federal agency will provide the
OSC or RPM. EPA disagrees. In addition
to specifying the agency that provides
the OSC or RPM, § 300.120 also contains
a description of the general
responsibilities of OSCs and RPMs.
   In order to further clarify the general
responsibilities of OSCs and RPMs, EPA
has added language to paragraphs (d)
 and (e) to make it dear that OSCs and
 RPMs are responsible for coordinating
 and directing responsible parties—as
 well as agencies and contractors—in
 their conduct of either federally
 financed or non-federally financed (e.g.,
 enforcement) response actions. Under
 this authority, OSCs and RPMs may stop
 or redirect work if. in their judgment it
 appears likely to result in a release or
 threatened release of hazardous
 substances into the environment or
 poses an imminent and substantial
 endangerment to human health, welfare
 or the environment.
   Paragraph (f): One commenter stated
 that the role of the support agency
 coordinator (SAC) should not be  limited
to responding as requested by the OSC/
RPM. Both the federal government and
the state government should designate
an OSC or RPM with parallel
responsibilities. EPA believes that it is
essential to have one person in charge
and responsible for seeing that the
response action proceeds expeditiously
and, therefore, has not made this
change. „..,,-.
  Paragraph (g): Two commenters
suggested that the NRT establish a
(curriculum for OSCs and RPMs and a
certification process. In response, the
NCP is not the appropriate mechanism
for addressing this recommendation.
The  comments on this topic have been
forwarded to the National Response
Team for further action as it deems
appropriate.
  Final rule: Proposed § 300.120 is
revised as follows:
  1.  The fourth sentence of
§ 300.120(a)(l) has been amended by
adding the following: "*  *  *  except
as provided in paragraph (b) of this
section."  •
  2.  The last sentence of § 300,120(a)(2)
has been amended by deleting "except
those involving vessels" and adding the
following: "except as provided in
paragraph (b) of this section."
  3.  Section 300.120(b)(2) has been
revised by deleting "USCG."
  4.  Section 300.120(c) has been revised
as follows: "DOD will be the removal
response authority with respect to
incidents involving DOD military
weapons and munitions or weapons and
munitions under the jurisdiction,
custody or control of DOD."
  5. EPA has added language to
paragraphs (d) and (e) to make it clear
that OSCs and RPMs are responsible for
coordinating and directing responsible
parties—as well as agencies and
contractors—in their conduct of either
federally financed or non-federally
financed fe.g., enforcement) response
actions.
  Name: Section 300.125. Notification
and communications.
  Proposed rale: The proposed NCP
 added the word "notification" to the
 title of this section, and moved its
 location to more accurately reflect its
 place in the response sequence. Both the
 title and the location change better
 reflect the importance of the National
 Response Center (NRC) in the national
 response system.
   Response to comments: One series of
 comments cited potential confusion
 about notification procedures—reporting
 of spills or releases—to any place other
 than the NRC. since the proposed NCP,
 in various places, suggests such
 alternatives as notifying EPA or USCG
OSCs directly when it is "not
practicable" to reach the NRC. The
commenter suggested that the NCP
should clarify that reporting to the NRC
is a provision in law, not an option. No
matter how many other places a spill is
reported, the notification must be made
to the NRC by the person in charge of
the vessel or facility, as soon as
possible.
  EPA agrees with these comments, but
believes the language in |300.125 is
simple and direct and makes clear the
requirement for notice to the NRC. Two
changes were made in notification
language elsewhere in the rule, however.
to emphasize the commenter'8 point In
subpart D, § 300.300(b), and in subpart
E, § 300.405(b), identical changes were
made to reinforce the requirement for
reporting to the NRC regardless of other
reports or notifications made. The
operative sentences will now read: "Kit
is not possible to notify the NRC or
predesignated OSC immediately, reports
may be made immediately to the nearest
USCG unit In any event, such person in
charge of the vessel or facility shall
notify the NRC as soon as possible."
(New language italicized.)
  It was suggested that more places in
the NCP should repeat the concept that
•whenever there is doubt as to the size or
nature of a spill or release, or which
reporting requirements are applicable.
reporting to the NRC is encouraged.
Although recognizing the potential for
confusion, EPA believes that the rule
should state the notification or reporting
requirement as simply and directly as
possible, in the proper sequence of
actions delineated by the rule. Other
methods, outside of rulemaking, should
be found to make the industry and the
general public aware of these
responsibilities. Repeating the concept
in various places with various different
wordings has the potential for additional
interpretations, -which may be
misleading. Some suggested language
 described which actions do not meet the
requirements of the law. The final rule
 describes which actions do satisfy the
 statutory requirements.
   Also, the commenter recommended
 that the tone and clarity of language on
 reporting requirements in the preamble
 to the proposed rule (53 FR 51401, third
 column) should be included in the rale
 itself. EPA believes that these two-
 paragraphs are more appropriate in a
 preamble and is repeating mem here
 because of their importance:
   EPA reiterates that statutory and
 regulatory reporting requirements are
 still keyed to discharges of oil and
 releases of hazardous substances
 exceeding a reportable quantity (RQ).

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               Federal Register / Vol. 55.  No. 46 / Thursday. March 8. 1990 / Rules  and  Regulations
   EPA is aware, however, that many
   nolifiers do not have the training or
   knowledge to determine if there is an
   RQ of a substance involved in a release.
   Therefore, whenever there is any doubt
   about whether a release exceeds an RQ,
   EPA encourages that the release be
   reported to the NRG. Reporting ensures
   positive referral of every incident to
   each federal agency with jurisdiction
   and/or regulatory interest
    The NRC is tasked with processing all
   reports regardless of the material
   involved or the reported significance of
   the incident. All reports are passed
   immediately by telephone to the proper
   federal response entity and recorded in
   the NRC data base at the time of receipt.
  Public, government, industry, or
  academic requests for access to stored
  data may be made through a written
  Freedom of Information Act request to
  the Chief, National Response Center,
  2100 Second Street NW.. Room 2611.
  Washington, DC 20593.
    One commenter suggested that many
  people are not aware of the range of,
  functions for which the NRC is
  responsible. After careful scrutiny, EPA
  has decided that not all the NRC
  functions are appropriately listed in a
  section covering on-scene action, the
  intent of § 300.125. However, the basic
  activities will be listed in a new entry in
  § 300.175. Federal agencies: additional
  responsibilities and assistance.
    One commenter said that § 300.l25(b]
  should not put the responsibility for the
  NRC facility/service on the Coast Guard
  as a requirement, since support for the
  NRC is a cooperative federal effort
'  under Coast Guard lead. EPA agrees
  and has inserted the phrase "in
  conjunction with other NRT agencies,"
  to this section.
   One comment cited an error in the
  commercial phone number listed in the
  proposed NCP. EPA agrees: the correct
  telephone number is 202-267-2675.
   Final rule: Proposed §§ 300.125.
 300.300(b) and 300.405(fa) are revised as
  follows:
   1. Section 300.125(a] has been revised
 to more accurately describe the
 responsibilities of the Natipnal
 Response Center for notification and
 communications.
   2. Section 300.125(bJ has been
 amended by including the phrase "in
 conjunction with other NRT agencies."
   3. Section 300.125(c) now includes the
 correct commercial telephone number
 for the NRC- 202-267-2675.
   4. The last two sentences in
 §f 300.300(b) and 300.405(b) now read as
 follows: "Ifit is not possible to notify the
 NRC or predesignated OSC
 immediately, reports may be made to
 the nearest USCG unit. In any event.
  such person in charge of the vessel or
  facility shall notify the NRC as soon as
  possible."
    Name: Section 300.130.
  Determinations to initiate response and
  special conditions.
    Proposed rule: Proposed § 300.130(a)
  authorized EPA or the USCG to respond
  to discharges of oil or releases of
  hazardous substances, pollutants or
  contaminants except with respect to
  such releases on or from vessels or
  facilities within the jurisdiction, custody
  or control of other federal agencies. This
  section also described requirements
  with respect to certain kinds of releases.
  e.g., radioactive materials.
   Response to comments: Paragraph faj:
  Several commenters commented that
  some federal agencies may be unable.
  due to lack of expertise, orientation, or
  funding, to respond to the threat of
  release or actual release of hazardous
  substances, pollutants or contaminants
  at their facilities. Accordingly, the
  commenters recommended that EPA and
  the USCG be given unrestricted
 response authority over releases, actual
 or threatened, at all federal facilities,
 except DOD and DOE facilities, and that
 federal agencies other than EPA, the
 USCG and. presumably, DOE and DOD
 should only be given lead agency
 authority if and when they meet certain
 minimum standards. One commenter
 stated that proposed § 300.130(a) does
 not specifically grant authority to a
 federal  agency to initiate a response,
 and that the section should grant this
 authority. The commenter noted that the
 executive order delegating the
 President's authority under CERCLA
 grants this  authority, and indicated that
 § 300.l30(a) should reference the
 executive order.
  In response, EPA disagrees with the
 commenter's suggestion that the USCG
 and EPA should retain unrestricted
 response authority over releases at
 federal facilities. In section 115 of
 CERCLA. Congress specifically
 authorized  the President to "delegate
 and assign  any duties or powers
 imposed upon or assigned to him" in the
 statute. By  Executive Order 12580 (52 FR
 2923, Jan. 29,1987). the President
 delegated to federal agencies and
 departments the responsibility and
 authority for taking most response
 actions at non-NPL sites within their
 jurisdiction, custody, or.control. (EPA
 believes that the explanation of these
 authorities  in this preamble is sufficient,
and need not be specifically repeated in
 the text of the rule.) Moreover. CERCLA
section 120  makes clear that federal
agencies are primarily responsible for
the conduct of the RI/FS and remedial
  action at federal facility sites that are
  listed on the NPL. Amending
  § 300.130(a) of this rule to designate
  USCG and EPA as lead agencies for
  responses at federal facility sites would
  not be in accord with these mandates.
    At the same time, it is important to
  note that federal agencies may request
  the services of the USCG or EPA on a
  reimbursable basis, and the NRT/RRT
  system provides for quick, appropriate
  communication of such requests.
  Experience to  date has generally shown
  this to be adequate. A memorandum of
  understanding between a federal agency
  and EPA or USCG would also be
  possible to cover both required action
  and funding procedures, allowing for
  EPA and USCG to manage responses
  under certain predetermined
  circumstances.
   Some commenters further
  recommended  that federal agencies
  should be required to immediately notify
  the NRC and the appropriate RRT
  whenever the federal agencies are
 unwilling or unable to respond to a
 release.
   In response,  as a threshold matter, the
 federal agencies and departments are
 already required by section I03(a) of
 CERCLA to report all releases of
 reportable quantities of hazardous
 substances to the National Response
 Center. (Pursuant to section 103(a), the
 National Response Center notifies the
 Governor of each state whenever a
 report of a release is made with respect
 to that state.) In addition, with regard to
 federal facilities on the Hazardous
 Waste Compliance Docket (which
 includes releases for which a report is
 required under  CERCLA section 103(a)
 and (c)), the federal agencies and
 departments are required to conduct a
 Preliminary Assessment (PA), after
 which EPA will evaluate whether the
 release should be listed on the NPL.
  As to the specific suggestion of the
 commenter that federal agencies may be
 "unwilling or unable" to respond to
 certain releases, it is important to note
 that pursuant to CERCLA section 115
 and E.0.12580,  the federal agencies and
 departments have been delegated the
 responsibility under CERCLA section
 104 for evaluating and taking response
 actions, as necessary, for most releases
 that occur at non-NPL facilities within
 their jurisdiction, custody, or control
 (E.0.12580, at section 2(d) and (e)). The
 federal agencies also have
 responsibilities  for the conduct of
 response actions at NPL sites pursuant
 to CERCLA section 120. EPA does not
believe that a separate reporting
requirement is necessary to address
those situations where the federal

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                                                                                                             8677
agency or department decides that a
response action is not necessary.
  In situations where a federal agency
experiences some difficulty in
responding to a release, it is the general
practice of the agencies to contact one
or more of the sister agencies that have
special expertise regarding the
contamination problem (e.g., the
Department of Defense for munitions
waste, EPA more generally]. As
discussed above, the agencies may
request the assistance  of EPA or the
USCG on an emergency basis, or enter
into a more general memorandum of
understanding. Finally, federal facility
releases are included on the Hazardous
Waste Compliance Docket, and are then
evaluated by EPA for possible inclusion
on the NPL; thus. EPA will be aware of
significant releases to which the federal
agency or department has been unable
to respond as those releases move
through the evaluation process. In
conclusion, it is unnecessary to require
the federal agencies to provide special
notice to the NRC as suggested by the
commenter.
  Paragraph (b): One commenter
recommended that the first line of
§ 300.130(b)(l) be revised by deleting
"any oil is discharged" and inserting
"there is a discharge of oil." The
recommendation is suggested on the
grounds that the definition of
"discharge" in subpart A does not
necessarily include the use of discharge
as a verb. EPA does not agree with this
comment.
  The commenter pointed out that under
section ,104(a)(l) EPA, as the President's
delegate, is authorized to take response
action when there is a  release or
threatened release of a pollutant or
contaminant only if the release or
threatened release may present an
imminent or substantial endangerment
to the public health or  welfare.
Therefore, the commenter recommended
that proposed § 300.130(b)(2)  be revised
to conform to section 104(a)(l3 of
CERCLA. In response, although
"pollutant or contaminant" is defined for
purposes'of the NCP to mean any
pollutant or contaminant that may
present an imminent and substantial
danger to public health or welfare (see
§ 300.5). EPA has made the requested
change for the purpose of emphasis.
.  Final rule: Proposed § 300.130 has
been  revised as follows:
  1. Section 300.130{a) has been revised
to begin "In accordance with CWA .and
CERCLA * *  *."
  2. Section 300.130(b)(2) has been
revised to read: "Any hazardous
substance is released or there is a threat
of such a release into the environment,
or there is a release or threat of release
into the environment of any pollutant or
contaminant which may present an
imminent and substantial danger to the
public health or welfare; or"
  Name: Section 300.135. Response
operations.
  Proposed rule: This section describes
the responsibilities of the OSC/RPM to
direct response efforts and coordinate
all other efforts at the scene of a
discharge or release. This section
provides that the first federal official is
authorized to coordinate activities on-
acene and to initiate, in consultation
with the OSC, any necessary actions.
This official may also initiate Fund-
financed actions as authorized by the
OSC.
  Response to comments: One
commenter stated that while it is
'understood that specific response
actions for every situation cannot be
defined, guidance on how a response
escalates from local to federal levels
would be helpful. EPA believes that it is
not practicable to provide specific
guidance on how a response escalates
from local to federal levels, due to the
vast number of variables that are
implicit in every spill scenario.
  Referring to § 300.135{b), one
commenter said that, regarding
expenditures from the various federal
funds, members of state pollution
response agencies should be given the
same scope of action as described in
§ 300.135(b] for the "first federal
official'-' to arrive on scene. The
commenter argued that state response
personnel are knowledgeable of "first
response" measures, as well as being
familiar with basic cost documentation
procedures. The commenter noted that
existing EPA and USCG procedures are
too cumbersome to allow negotiation of
a cooperative agreement or contract in
the initial hours of an emergency
response operation.
  EPA acknowledges the fact that state
response personnel are knowledgeable
of first response measures  as well as
basic cost documentation procedures.
EPA and USCG procedures may be
cumbersome in negotiating a
cooperative agreement but these
procedures are necessary in order to
maintain control of the two poDution
funds. Under certain situations, the
states can be reimbursed for their costs
by the CWA 31100 fund, in accordance
with USCG rules for mamaging this fund.
  Another commenter suggested that,
for consistency, the authority of the first
federal- official to arrive at the scene of a
release, which is discussed in
§ 300.135(b), should be discussed under
§ 300.130 with the other authorizations
for the initiation of response. EPA
disagrees. This discussion is more
appropriate in § 300.135(b), because it
deals primarily with the coordination of
response activities on scene by the first
federal official.
  One commenter indicated that, under
§ 300.135(d), states should be
encouraged to enter into cooperative
agreements for removals under section
311 of the CWA or under CERCLA.
Although EPA supports the concept, it
does not feel it is necessary to add it as
a regulatory requirement (See also
preamble section below on state
involvement in removal actions.)
  Another commenter noted that the
requirement or expectation under
1300.135(e) that RPMs will consult with
the RRT should not be promulgated
unless the relationship between RPMs,
the NRT, and the RRT has been
clarified. In response, the relationship
between RPMs, the NRT. and the RRT
during remedial actions generally
parallels the relationship between
OSCs, the NRT. and the RRT during
removal actions. These relationships are
described in §§ 300.110.300.115, and
300.120.
  One commenter stated that
§ 300.135(f) and the definition of support
agency coordinator suggested that the
concept of support agency only applies
to CERCLA releases. I£so. the reference
to the OSC advising the support agency
for oil discharges, should be deleted.
EPA agrees. By definition, the support
agency coordinator "interacts and
coordinates with the lead agency for
response actions under sufapart-E of this
part." There is no designation of the use
• of a support agency or support agency
coordinator under the CWA.
  In § 300.135(h). one commenter asked
who defines "possible'public health
threat." The commenter contended that
although it is necessary to have some -
broad language, misunderstandings can
be reduced by more definitive phrases.
  The determination of a "possible
public health threat" is made by the
OSC/RPM in consultation with other
appropriate agencies. EPA believes that
§ 300.135(h) appropriately addresses this
point. This section specifically states
that assistance is available from the  .
Department of Health and Human
Services (HHS) in making the
determination of public health threats.
  Under I 300.135(i). one commenter
indicated that there should be a
requirement that the name of the office
designated by each federal agency to
coordinate response should be
submitted to the RRT for inclusion in the
regional contingency plan (RCP) and to
the OSC and State Emergency Response
Commission (SERC) for inclusion in

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8678      Federal  Register / Vol. 55.  No. 46  /  Thursday,  March 8. 1990 / Rules and Regulations
local contingency plans (LCPs) and
Local Emergency Planning Committee
(LEPC) plans.
  EPA believes that it is important that
this information be passed on to the
RRT and local response agencies.
However, it is not necessary to place
this requirement in the NCP. If it was.
EPA should require, through the NCP.
every facility, vessel, etc., to provide the
same information to the RRT and local
response agency. Through their normal
contingency planning process, this
information should be readily available
to the RRT and local response agencies.
  A commenter noted that under
| 300.135(m), it is not clear when it
would be appropriate for an RPM to
submit pollution reports to the RRT. In
response, EPA wishes to clarify that the
pollution reports described in
§ 300.135(m] are prepared for removal
'actions; thus, these reports are generally
submitted by an OSC rather than an
RPM. EPA has deleted the reference to
"RPM" in this section.
  Finally, it was commented that
i 300.135(n). which requires that OSCs/
RPMs inform public and private
interests and consider their concerns
'throughout the response, does not
address what kind of responses are
being referenced. Also, this section
should encourage appropriate public
and private interests to become
appropriately involved after the first
;notification and not to expect the OSC
to keep them informed through updates.
  In response, EPA believes that
specifying the type and size of the
incident response is not meaningful. All
incident responses require some kind of
communication between all public and
private parties. Regarding the second
part of the comment. EPA has no
authority to require the public and
private interests to contact the OSC for
information. Keeping the appropriate
interests informed by the OSCs/RPMs is
simply a policy issue and represents
good program practices.
  Final rule: Proposed § 300.135 has
been revised as follows:
  1. In § 300.135{f). the words
"discharges or" have been deleted.
  2. Section 300.135(j) has been revised
to read as follows (see preamble
discussion on § 300.615 (notification)):
"The OSC/RPM shall promptly notify
the trustees for natural resources of
discharges or releases that are injuring
or may injure natural resources under
their jurisdiction.- The OSC or RPM shall
seek to coordinate all response activities
with the natural resource trustees."
  3. In § 300.135(m). the reference to
"RPM" has been deleted.
   Name: Section 300.140. Multi-regional
 responses.
   Proposed rule: This section discusses
 the procedures to follow in the event a
 discharge or release covers more than
 one jurisdictional area.
   Response to comments: Commenters
 noted that § 300.140 should clearly state
 that the OSC responsible for the area in
 which the release originated is initially
 in charge. Changing OSCs can be
 accomplished after this point. EPA
 disagrees with the comments. Sections
 300.140 (a) and (b) clearly puttine OSC/
 RPM responsibilities in spill situations
 when more than one area will be
 impacted.
   Another commenter pointed out that
 in reality, the border between regions or
' districts becomes a no-man's land in
 which neither wishes to respond. While
 there can only be one OSC, the  other
 affected regions/districts should have a
 representative at the command  post.
 EPA disagrees with this comment
 concerning command posts and,
 therefore, has not changed the NCP. At
 the time of the spill, a simple agreement
 between the two predesignated OSCs or
 RRTs can alleviate this problem.
   Another commenter noted that the
 NCP should reflect the fact that more
 than one OSC can be designated if the
 area impacted extends for many miles.
 EPA disagrees. There should only be
 one OSC coordinating the response
 efforts. The OSC may, however, utilize a
 number of OSC representatives to
 handle the response efforts in the
 outlying sections of a large spill area.
   Final rule: Proposed § 300.140(c) is
 revised to delete an inappropriate
 reference to EPA/USCG agreements.
   Name: Section 300.145. Special teams
 and other assistance available to OSCs/
 RPMs.
   Proposed rule: This section describes
 the special teams that are available to
 the OSC/RPM and the availability of the
 scientific support coordinator (SSC).
   Response to comments: One
 commenter stated that there is no
 reason for the title of this section 'to be
 changed from "Special Forces"  to
 "Special Teams." The change only
 diminishes the role of the special forces.
 EPA disagrees. The change does not
 diminish the role of the special  teams. It
 merely places a title upon this group of
 specialized teams that is more
 commonly used p.e.. Strike Teams.
 Public Information Assist Teams,
 Environmental Response Teams].
   Another commenter indicated that it
 may be appropriate to specifically
 identify the ATSDR Public Health
 Advisors and Emergency Response
 Branch in this section as a special
•'  '  .,  •    '.      lr
resource available to an OSC. as their
availability is not well advertised. In
response, ATSDR's role is not the same
as that of a team, which is a unit
organized and specially prepared to
respond on call. ATSDR has both
specific authorities for response and
special expertise which might be called
upon by an OSC, and thus their role is
like those of other NRT member
agencies. These are outlined in
§ 300.170. Oilier means of highlighting
their availability, more appropriate and
effective than the suggested revision to
the NCP, would be to ensure that
ATSDR activities and availability are
referenced in local plans and OSC
plans.
  A commenter stated that § 300.145(d)
should define the capabilities of an SSC
and include what they can be expected
to provide to the OSC. In response,
although the term SSC as used
throughout the NCP implies a single
individual, in the case of the National
Oceanic and Atmospheric
Administration (NOAA), this support is
in fact provided by a team of experts,
several of whom may be in the field at
the same time. This section has been
revised to reflect the capabilities of an
SSC.
  Another commenter stated that an
OSC often requires,more information
than is available from the responsible
party, the Technical Assistance Team
[TAT), or the SSC. Provided that the
responsible party is willing to pay for
additional scientific support, the OSC
should be allowed to utilize other
scientific experts without opening
federal accounts.
  In response, the OSC is allowed to
utilize other scientific experts without
opening federal accounts, provided he/
she can convince the responsible party
to pay for them. In most situations, if a
particular resource is needed by the
OSC/RPM. the OSC/RPM will request
that the responsible party fund the
particular resources. If the responsible
party refuses, then the only other option
the OSC/RPM has is to fund the
resource using federal monies.
  One commenter recommended that
the description of the EPA Radiological
Assistance Teams (RATs) in § 300.145(f)
should be moved to the genera! agency
descriptions in 5 300.175(b)(2) or
deleted. If this reference io retained, the
commenter stated that something should
indicate how the Radiological Response
Coordinator is to be contacted. In
response, proposed § 300.145(fJ stated
that the EPA Office of Radiation
Programs (ORP) maintains the
Radiological Assistance Teams. This
section also stated that the assistance of

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            Federal Register  /  Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules and Regulations
                                                                                                            8679
Radiological Assistance Teams can be
obtained by contacting the Radiological
Response Coordinator. However, it is  •
not explicitly stated that the
Radiological Response Coordinator is
located and can be contacted in ORP.
EPA will make the clarification by
adding"* * * in the EPA Office of
Radiation Programs" after "Radiological
Response Coordinator." EPA believes
that it is more appropriate to reference
EPA's Radiation Program in 1300.145
rather than § 300.175 because the
reference directly relates to providing
assistance to the OSC/RPM.
  Final rule: Proposed § 300.145 is
revised as follows:
  1. Section 300.145(d) has been revised
to add the following sentence at the end
of the section: "In the case of NOAA,
SSCs may be supported in the field by a
team providing, as necessary, expertise
in chemistry, trajectory modeling,
natural resources at risk, and data
management."
  2. In § 300.145{f), EPA has added
"•  *  * in the EPA Office of Radiation
Programs" after "Radiological Response
Coordinator," in the next to last
sentence.
  Name: Section 300.150. Worker health
and safety.
  Proposed rule: Section 300.150
requires that each employer at response
actions comply with the requirements of
the Occupational Safety and Health Act
of 1970, applicable state laws, and EPA
regulations regarding worker safety and
health. Section 300.150 applies to actions
. taken either by a responsible party or a
lead agency and requires that there be
an occupational safety and health
program for the protection of workers at
the response site.
  Response to comments: One
commenter recommended using the
Incident Command System (ICS)
concept as contained in the
Occupational Safety and Health
Administration {OSHA} rule to integrate
response activities. In response, EPA
notes that § 300.150(a) requires that
response activities meet the
requirements of 29 CFR 1910.120,
Hazardous Waste Operations and
Emergency Response, promulgated by
 OSHA, including the ICS concept
 (11910.120(q)(3)(i)). Executive Order
 12196 conveys the President's mandate
 that federal agencies comply with
 OSHA standards. State applicability is
 covered as described below. Routine
 hazardous waste operations do not
 require use of ICS. Thus, no change is
 needed in the rule, since if the situation
 warranted use of the ICS concept, it
 would already be covered within the
 § 300.150(a) requirements of the NCP.
  The responsibility for assuring worker
safety and health at a response scene is
that of the employer. Tliis is stated
expressly in proposed § 300.150(a) (and
in final § 300.150(e)). One comment
indicated some confusion as to this
requirement, particularly regarding
firefighters involvement during response
actions. In response, worker safety and
health during response activities is
protected by the regulations cited in this.
section, whether the workers are
employed by private employers, or
federal, state, or local governments.
Federal employees are covered by the
OSHA standards, as stated above. State
and local government employees in the
23 states and 2 jurisdictions which have
iheir own OSHA-approved occupational
safety and health plans are covered by
the state standards which must be
comparable to the federal standards.
These states are Alaska, Arizona,
California, Connecticut, Hawaii,
Indiana, Iowa. Kentucky, Maryland,
Michigan. Minnesota, Nevada, New
Mexico. New York (for state and local
government employees only). North
Carolina. Oregon, Puerto Rico, South
Carolina. Tennessee, Utah, Vermont,
Virginia, Virgin Islands, Washington,
and Wyoming. State arid local
government employees {such as
firefighters) in the remaining 27 states
(such as  Ohio, plus Guam and the
District of Columbia) are subject to EPA
regulations identical to OSHA standards
for response action workers under
section 126 of SARA and 40 CFR part
311. The  EPA rule will apply to
firefighters by March 6,1990 for
emergency response (and September 21,
1989 for other relevant activities).
  One commenter suggested that
proposed i 300.150 be revised  to state
that the OSC should be alert to unsafe
work practices and notify the regional
OSHA office when such practices are
observed. EPA agrees that the OSC may
be  in a position to observe unsafe work
practices. However, no change is needed
because EPA believes that since
•workplace safety and health conditions
are the responsibility of the employer,
unsafe practices should first be reported
to the appropriate employer because the
employer is in a position to make an
immediate correction. If the condition
remains uncorrected, it should be
reported to the appropriate enforcement
authority, whether it is federal OSHA,
state OSHA, or EPA.
  Further, highlighting a special
responsibility for an OSC in this area -
carries additional implications—if the
 OSC fails to notice the violation, the
employer might see that as official
approval of his practice. Also, in
general, the NCP sets out an
organization and framework for
generally needed actions and
responsibilities, within which the OSC
has, and must have, latitude to exercise
his judgment. No section of the plan lists
all possible actions of an OSC, however
exceptional.
  One commenter noted that the
National Contingency Plan (NCP)
requires CERCLA-actions to directly
comply with OSHA standards (proposed
§ 300.150). rather than complying only to
the extent those standards are
"applicable or relevant and appropriate
requirements" (ARARs)  under CERCLA
section 121(d)(2), 42 U.S.C. 9621{d)(2).
The commenter questioned why OSHA
standards should be treated differently
from other federal statutes.
  In response, there are  two principal
reasons for the treatment of OSHA
standards as non-ARARs in the NCP.
First, as discussed below. Congress
appears to have intended that certain
OSHA standards apply directly to all
CERCLA response actions. Second, EPA
believes that OSHA is more properly
viewed as an employee protection law
rather than an "environmental" law, and
thus the process in CERCLA section
121(d) for the attainment or waiver of
ARARs would not apply to OSHA
standards.
  However, before addressing those
issues in more detail review of the
comment revealed an inconsistency in
the manner hi which OSHA standards
are considered under the NCP. As the
commenter notes, proposed NCP
§ 300.150 directly requires CERCLA
actions to comply with certain OSHA
standards (e.g., 29 CFR parts 1910,1926)
(53 FR at 51489), while at the same time,
the preamble  to the proposed rule
included most OSHA  standards in
EPA's list of potential ARARs (53 FR at
51448). This situation requires
clarification, because requirements that
are promulgated as part of the NCP are
not evaluated for attainment or waiver
as part of the ARARs process.
   As a threshold matter, EPA believes
that Congress intended  certain OSHA
standards (those for response action
workers) to be always applicable to
CERCLA response actions. Pursuant to
mandates in CERCLA section lll(c)(6)
and SARA section 126. the Department
of Labor has promulgated regulations
that apply directly to worker safety
during hazardous waste operations and
emergency response actions, including
CERCLA actions:
   (a) * *  * (1) Scope. This section covers the
following operations * * * : (i) Clean-up
operations required by a governmental body.
whether federal, state, local or other
involving hazardous substances that are

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                                                                    I '  .

Federal Register / Vol. 55.  No. 46 / Thursday. March 8.  1990 /Rules and Regulations
  conducted at uncontrolled hazardous waste
  files [including, but not limited to, the EPA's
  National Priority List (NPL), state priority list
  tites, sites recommended for the EPA NPL,
  and initial investigations of government
  Identified sites which are conducted before
  the presence or absence of hazardous
  substance has been ascertained.
  29 CFR 1910.120 (emphasis added).
  Thus, these regulations apply
  specifically to the response actions
  detailed in the NCP, and compliance
  with these standards is properly
  required in the text of § 300.150.
    Other OSHA standards, however, are
  of genera! applicability and were not
  developed specifically for CERCLA
  response actions (e.g., OSHA
  Construction standards, Shipyard
  standards. Longshoring standards, etc.).
  EPA believes that these general OSHA
  standards are essentially workplace
  standards, designed to cover
  occupational exposures: they are
 properly viewed as requirements of a
 "federal environmental law," and thus
 do not come within the scope of ARARs
 under CERCLA section 121(d){2).1
 Rather, like the requirements of other
 non-environmental laws, such
 .requirements would apply of their own
 force, not through the CERCLA process.
 Thus. OSHA standards are no  longer
 Included on the list of potential ARARs.
 The final NCP package f§ 300.150) has
 been modified to reflect this approach.
 which EPA believes is consistent with
 both OSHA and CERCLA.
   EPA does not believe that these
 changes will reduce compliance with
 OSHA standards at Superfund sites. The
 OSHA standards for response action
 Corkers will be met at every CERCLA
 &ite, and the more general OSHA
 standards will continue to be met where
 they apply.
   EPA notes that there are some
 utandards in OSHA that set
 contaminant levels for the workplace
 (see 29 CFR part 1910. subpart Z.
 limitations on exposure to toxic and
 hazardous substances) that may also be
 relevant—although not applicable—to
 the determination of a cleanup level at a
 CERCLA site (due to the absence of
 other standards). In such a case, those
 Standards may be included among the
 Requirements 'To Be Considered"
 CTBCs).
  In addition, the following changes
 were also made to proposed § 300.150.
 the statement that "the OSH Act
 . ' CERCLA section !Zl(d)[2) defines potential
ARARj ai the standards, requirements, criteria or
limitations under "any Federal environmental law."
Mole that the IMS NCP—which did consider OSHA
requirements to be ARARs—defined ARARs as
"requirements of Federal public health and
environmental laws,"
                            requirements can be enforced, as
                            appropriate, by the relevant federal or
                            state agencies." has been removed from
                            the final rule; although the statement is
                            correct, it is more appropriate for a
                            preamble discussion. Further on this
                            point. EPA notes that although OSHA
                            standards apply to the federal
                            government by Executive Order, they
                            are not independently enforceable
                            against the federal government;2
                            accordingly, NCP § 300.150(c) has also
                            been revised to state that the lead
                            agency should make OSHA programs
                            available to response action employees,
                            consistent with and to the extent
                            required by 29 U.S.C. 1910.120.
                             The revisions to this  section do not
                            reflect any reduced commitment for
                            compliance with applicable safety and
                           health requirements, or any reduced
                           responsibility for private employers to
                           comply with worker protection
                           standards.
                             Final rule: Proposed § 300.150 has
                           been revised to read as follows:
                             (a) Response actions under the NCP will
                           comply with the provisions for response
                           action worker safety and health in 29 CFR
                           1910.120.
                             (b) In a response action  taken by a
                           responsible parry, the responsible party must.
                           assure that an occupational safety and health
                           program consistent with 29 CFR 1910.120 is
                           made available for the protection of workers
                           at the response site.
                             (c) In a response taken under the NCP by a
                           lead agency, an occupational safety and
                           health program should be made available for
                           the protection of workers at the response site.
                           consistent with, and to the extent required
                           by, 29 CFR 1910.120. Contracts relating to a
                           response action under the NCP should
                           contain assurances that the contractor at the
                           response site will comply with this program
                           and with any applicable provisions of the
                           OSH Act and state OSH laws.
                            (d) When a state, or political subdivision of
                           a state, without an OSHA-approved state
                           plan is the lead agency for response, the state
                           or political subdivision must comply with
                           standards in 40 CFR part 311. promulgated by
                           EPA pursuant to section 126[f) of SARA.
                            (e) Requirements, standards, and
                           regulations of the Occupational Safety and
                           Health Act of 1970 (29 U.S.C. 651 et seq.)
                         '  (OSH Act) and of state laws with plans
                           approved under section 18  of the OSH Act
                           (state OSH laws), not directly referenced in
                           paragraphs (a) through (d] of this section,
                           must be complied with where applicable.
                           Federal OSH Act requirements include,
                           among other things, Construction Standards
                           (29 CFR part 1926). General Industry
                           Standards (29 CFR part 1910), and the genera!
                           duty requirement of section 5(a)(l) of the
                           OSH Act (29 U.S.C. 654(a)(l)). No action by
                           the lead agency with respect to response
                          activities under the NCP constitutes an
                            * Federal Emp. for Non-Smokers'Rights v. U£.,
                          «6 F.Supp. 181 (D.D.C. 1978), aff~dS9S F.2d 310
                          (D.CCir.). cert, denied. 444 U.S. 926.
  exercise of statutory authority within the
  meaning of section 4(b)(l) of the OSH Act.
  All governmental agencies and private
  employers are directly responsible for the
  health and safety of their own employees.

    Name: Section 300.155. Public
  information and community relations.
    Proposedrule: This section stated that
  OSCs/RPMs and community relations
  personnel should" ensure that all
  appropriate public and private interests
  are kept informed when an incident
  occurs. This section also stated that an
  on-scene news office be established to
  coordinate media relations and to issue
  official federal information on an
 incident.
   Response to comments: A commenter
 noted that there are three types of media
 coverage during an emergency:
 Newspapers, radio, and television. The
 comment suggested that television is
 most problematic to those responding to
 an incident and that this section did not
 address how to coordinate a response
 with televised coverage of the incident.
   In-response, EPA believes that the
 rule appropriately addresses the
 responsibility to provide information
 about an incident. It is not necessary or
 appropriate to include details in the
 NCP of different approaches to different
 media. In a separate effort however, the'
 NRT is considering additional guidance
 and support for incident-specific
 response teams in implementing public
 information procedures.
   Another commenter noted that the
 community relations requirements
 referenced in § 300.155 are all from
 subpart E. The comment questioned
 whether any community relations
 requirements, other than those
 specifically stated in § 300.155, apply to
 responses to discharges of oil.
   In response, § 300.155 appears in
 subpart B, which is the basic
 responsibility and organization for
 response which underlies the entire
 NCP. thus including response to
 discharges of oil under subpart D. The
 public information and community
 relations requirements outlined in
 § 300.155 are those generally applicable
 to all responses, and generally sufficient
 for emergency or relatively short term
 response actions such as those
 encountered in oil responses as covered
 in subpart D. Responses under subpart
 E, however, include long term actions at
hazardous waste sites, and for these,
 there are specific and detailed
requirements for community information
 and involvement in decision-making
over the course of a response which may
include removal or remedial actions
carried out over a considerable period of
time. These community relations

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            Federal Register / Vol. 55. No. 46  /  Thursday. March 8. 1990 / Rules and Regulations
                                                                                                           8681
provisions might be applicable in a long
term cleanup that followed an
emergency release, hence the cross
references linking the basic or minimal
requirement to the more detailed
program which is mandatory for long
term responses, but optional for
emergency or short term responses.
  Final rule: EPA is promulgating the
rule as proposed.
  Name: Section 300.160. Documentation
and cost recovery.
  Proposed rule: Section 300.160
discusses the procedures for
documentation of cost recovery for a
response action. Section 300.160(a)
states that an accurate accounting of
federal, state or private-party costs
incurred for response actions can be
supported with an OSC report as
required by § 300.165 for all major
releases and Fund-financed removals.
Section 300.160(c) states that "Federal
agencies are to make resources
available, expend funds, or participate
in response to discharges and releases
under their existing authority," and
adds, "The ultimate decision as to the
appropriateness of expending funds
rests with the agency that is held
accountable for such expenditures"  (53
FR 51490). Section 300.160(d)  is a new
section of the proposed NCP
incorporating 1986 amendments to
CERCLA that state that responsible
parties are liable for the costs of any
health assessment  or health effects
study conducted under the authority of
CERCLA section 104(i). In addition,  the
preamble to the proposed NCP
discussion of § 300.160(d)  detailed the
types of studies for which responsible
parties are held liable (53 FR 51402).
  Response to comments: Several
commenters requested that EPA
elaborate in the preamble discussion of
i 300.160 on what are "standard EPA
procedures for cost recovery" as stated
in the proposed rule (53 FR 51490). One
asked that EPA propose a list of
guidance documents for cost  recovery
procedures. Another asked that EPA
make available its list of standard cost-
recovery procedures for public
comment. Another asked that EPA
circumscribe cost recovery to those
studies which are determined to be
appropriate or necessary. In a related
comment, one group asked that the NCP
clarify the scope of costs recoverable
and recognize that OSC reports are  a
poor method of documenting those
costs. This commenter asked for
clarification on the involvement of the
RRT or NRT in cost—recovery activities
for remedial actions, and an explanation
given for their involvement. Another
asked that J 300.160(a) apply to oil
discharges.
  Most comments summarized above
requested discussion of procedures for
and staff participation in cost recovery
that more properly belongs in EPA
guidance rather than in the NCP. The
preamble to the proposed NCP
discussion of § 300.160(d) detailed the
kinds of studies that are eligible for cost
recovery. Including guidance documents
in the NCP, or including information
normally reserved for those guidance
documents, would produce an unwieldy
NCP, and require constant revision as
Agency guidance and policy procedures
change over tune. In addition, EPA is
developing a regulation that will provide
for recovery of direct and indirect costs
under CERCLA. That nilemaking will
address the comments summarized
above.
  Oil discharges .are not included under
the  provisions of § 300.1liO(a). but are
referred, through 1300.l(50(b), to
I 300.315, the documentation and cost
recovery section of subpart D. The cost
recovery and documentation processes
for oil discharges are. by intent.
somewhat different from those for
hazardous substance release responses.
Including oil discharges Hinder the
provisions of I 300.160(a) would subject
them to conflicting cost recovery and
documentation provisions. In addition.
oil spills are statutorily exempt from the
provisions of CERCLA. and come under
the  authority of the CWA.
  One commenter stated that granting
power to authorize expenditure of
federal funds to the agency responsible
for the response action represented
preferential treatment for federal
agencies who are PRPs that is not
extended to private parties.
  In response, the purpose of § 300.160
is to describe authority for expenditures
in cases where federal agencies assist in
a non-federal response, imch as a
coastal oil spill where no federal lands
are affected. Their activities may be a
mix of activities which fluey are required
to undertake under their own
authorities, and activities-which they
undertake as requested in support of an
OSC {or KPM). The latter activities may
be reimbursed from the Fund, later to be
reclaimed from the potentially
responsible party (PRP) by the Fund-.
managing agency. The commenter
appears to misinterpret this section as
applicable to situations when the
federal agency is itself a PRP. It is not. If
a federal agency were participating in a
response for which it was the
responsible party, no reimbursement
from the Fund would be allowed. These
provisions are amply cowered in the
appropriate Fund-management
regulations. Thus, since there is no
preferential treatment allowed or
inferred for federal agencies over non-
federal PRPs, no change is necessary.
  Final rale: Proposed § 300.160 is
revised as follows:
  1. In § 300.160(a)(2), the cross-
reference to § 300.165 in the last
sentence is modified.
  2. Proposed § 300.160(a)(3) is revised
as follows (see preamble discussion on
§ 300.615 (notification)}: "The lead
agency shall make available to the
trustees of affected natural resources
information and documentation that can
assist the trustees in the determination
of actual or potential natural resource
injuries."
  Nome: Section 300.165. OSC reports.
  Existing rule: Section 300.40(a) of the
existing NCP requires the OSC to submit
to the RRT a complete report on a
response action within 60 days after the
conclusion of a response to a major
discharge of oil, or a major hazardous
substance, pollutant or contaminant •
release, or when requested by the RRT.
  Proposed rule: Proposed § 300.165(a)
requires the submission of the OSC
report within 90 days (rather than 60
days] of the conclusion of the response
action or when requested by the RRT.
Additionally, tne RRT must review the
OSC report and forward a copy of the
report with the RRTs comments to the
NRT within 30 days of receiving the
OSC report.
  Response to comments: Paragraph (a):
A commenter recommended that OSC
reports be approved by EPA prior to
distribution to the RRT. EPA notes in
response that the NCP deals with the
distribution of OSC reports for the
purposes of the NRT/RRT/OSC national
response system. The OSC reports may
be used for individual agencies' own
management information purposes as
well, but a primary purpose of these
reports is to allow prompt knowledge of
lessons learned, frank discussion of any
problems, and timely and effective
consideration of improvements or
cautions which need to be shared
throughout the system. Pre-screening by
EPA (or other agency providing the OSC
in question} would impede the
timeliness of such reports, and perhaps
diminish the immediacy of concerns
which are intended to be conveyed to
other responders. Thus, no change has
been made in response, to this comment.
  Another commenter recommended
that the OSC distribute the OSC report
to the state representative to the RRT.
This change is unnecessary. The state
representative to the RRT has access to

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 8682      Federal Register / Vol. 55. No. 46 / Thursday. March 8, 1990 / Rules  and Regulations
juch reports through the mechanism set
up by each RRT to make OSC reports
Available to each member of the RRT.
Therefore, the OSC would be
duplicating the mechanism already
created. In addition, there is no apparent
treason why the state representatives
should receive a copy of the OSC report
directly from the OSC while the other
members of the RRT receive a copy from
fheRRT.
  One commenter stated that the OSC
report deadline is  unworkable because
the vast differences between response
actions and the degrees of complexity
that they may entail dictate that varying
Amounts of time may be needed to
(Mmplete an OSC report Cost recovery
actions, noted the commenter, may also
dictate a specific deadline for report
submission. The commenter also stated
.that the original intent of this
requirement should be reexamined by
the NRT and the RRT. To address these
problems, the commenter recommended
mat after-action reports be required
instead of OSC reports, and that no
deadline for these reports be imposed on
the OSCs. For those actions which are of
significant size or nature, or at the
Request of the RRT or NRT, the
commenter recommended that the OSC/
RPM submit an executive summary
•Which addresses the four existing
requirements of the NCP. The
commenter suggested that the deadline
for this summary should -be determined
by the NRT or the RRT requesting it.
  Recognizing that OSCs have extensive
responsibilities and that response to
discharges or releases is a higher
priority than writing the OSC report,
EPA proposed to extend the deadline for
submission of the report from 60 days to
90 days after completion of the
response. After considering the
comments on this  proposal. EPA agrees
with the commenter that even this
deadline for submission of the OSC
report may be unworkable. Therefore,
ihe final NCP now requires submission
of the report within one year of the
completion of removal actions or when
requested by the RRT. EPA believes that
the change provides needed flexibility
)vhile ensuring that RRTs are able to get
reports sooner, if necessary. Although
the deadline has been extended. EPA
^till expects that OSC reports will be
written as soon as practicable.
Generally, for removals of short
duration (e.g.. lasting leas than 30 days],
OSC reports should be available within
six months of completion of the removal
action because there is less to report.
  EPA does not agree, however, that
cost recovery actions need dictate the
deadline for submission or the contents
of the report. The purpose of the OSC
report is to summarize the activities at
the site and the lessons learned. It
should be similar to the executive
summary described by the commenter
except that it should cover, briefly, all of
the topics listed in § 300.1S5(b). Detailed
information regarding day-to-day events
may be found in the administrative
record, the pollution reports, the site log
book, and the OSC log book. At the
completion of site activities, these
information sources are maintained in
the site file at the regional office. In the
event a detailed review of site activities
is necessary (e.g.. for cost recovery
purposes), the information can be
obtained through the regional office. The
OSC report should not attempt to
include or duplicate all of this other
information but rather should reference
and summarize it.
  One commenter stated that EPA
should broaden this section to apply to
situations other than "major" discharges
or releases. In response, EPA does not
agree that OSC reports should be
required for every action that responds
to a discharge or release. EPA notes,
however, that § 300.165 provides that
reports on response actions other than
to-major discharges or releases will be
submitted when requested by the RRT.
  One commenter noted that it is
unclear why § 300.165 involves RPMs if
it is limited to removal actions. In
response, RPMs are referenced in
§ 300.165 because removal actions
sometimes occur at NPL sites (e.g., a fire
may have started at a site where a
remedial action is planned or is being
conducted); therefore, the RPM may
actually submit the OSC report.
  Paragraph fcj: A comment relating to
§ 300.165(c)(l)(viii)  noted that in the
case of a large spill the damage
assessment process will continue
beyond the proposed 90-day time limit
for submission of the OSC report.
Therefore, the commenter states that
§ 300.165(c)(l)(viii) should include a
"qualifying statement" concerning
natural resource damage assessment
activity. In response, EPA notes that the
deadline for submitting OSC reports is
now one year. Moreover, the OSC report
need only observe that damage
assessment activity is ongoing despite
the conclusion of the response action. A
qualifying statement therefore, is not
necessary.
  One commenter argued that the OSCs
should not comment on natural resource
injuries or trustee activities. The
commenter believed that OSCs lack
expertise in natural resource fields and
could inadvertently make statements
that might affect  trustee efforts to
recover damages through litigation. The
commenter wanted paragraphs (vii) and
(viii) deleted from the OSC report format
in £ 300.165(c}(l). Another commenter
stated that the phrase "documentation
shall be sufficient to
provide * * * impacts and potential
impacts to the public health and welfare
and the environment" seems to imply
that damage assessment is an OSC
responsibility. The commenter argued
that responsibility for this complicated
process should rest with the federal
trustees, not with the OSC. The
commenter noted that this point should
be clarified in the NCP.
  In response to the commenters that
expressed concern that OSCs would be
commenting on natural resource injuries
or conducting damage assessments of .
natural resources. EPA believes that the
commenter misinterpreted the intent of
this requirement OSCs are simply
documenting She notification to trustees
of natural resource damage or potential
damage and then listing any activities
taken by the trustees at the site. EPA
believes that it is an important
component of the report and does not
believe the requirement should be    -
eliminated. However, EPA does find that
the wording in § 300.165(c)(l)(vii) and
(viii) may be misleading and has
changed it in today's rule to more
accurately reflect the stated intent.
  A comment relating to
§ 300.165(c)(43Ciii) questioned if the OSC
is required to comment on plans
developed by LEPCs and SERCs under
section 303 of SARA, and recommended
that § 300.165(e)(4)(iii) be amended to
make it clear that OSCs should only
recommend ciianges if those plans are in
conflict with Ihe OSC plans. In response,
EPA believes that § 300.165(c)(4)(iii)
does not require review of all section
303 plans. The subsection requires the
OSC to make recommendations relating
to the section 303 plans "as
appropriate." Such recommendations
are only appropriate if the section 303
plans are inconsistent with the NCP,
RCP or OSC plan since the OSC is not
authorized by any statute or regulation
to review section 303 plans.
Accordingly, the recommended change
seems unnecessary.
  Final rule: Proposed § 300.165 is
revised as follows:
  1. The first sentence of § 300.l65[a)
has been changed from "Within 90 days
after completion of removal
activities * *  '," to read: "Within one
year after completion of removal
activities * *  *."
  2. Section 3D0.165(c)(l)[vii) has been
changed to read: "Content and time of
notice to natural resource trustees

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            Federal  Register / Vol. 55. No.  46 / Thursday. March 8,  1990 / Rules and Regulations      8683
relating injury or possible injury to
natural resources."
  3. Section 300.165(c)(l)(viii) has been
changed to read: "Federal or state
trustee damage assessment activities
and efforts to replace or restore
damaged natural resources."
  Name: Section 300.170. Federal agency
participation.
  Proposed rale: Proposed § 300.170
described general responsibilities of
federal agencies within the National
Response System.
  Response to comments: Under
§ 300.170, a coiranenter requested
clarification of the responsibilities of
federal agencies with respect to
reporting of releases of hazardous
substances, as compared to pollutants,
or contaminants or discharges of oil,
from facilities or vessels which are
under their jurisdiction or control. EPA
has revised this section to clarify the.
applicable reporting requirements.
  Final rule: Proposed § 300.170(c) is
revised as follows:
  1. Section 300.170(c) has been
modified as follows: "All federal
agencies are responsible for reporting
releases of hazardous substances from
facilities or vessels under their,
jurisdiction or control in accordance
with section 103 of CERCLA."
  2. Section 300.170{d) has been added
as follows: "(d) All federal agencies are
encouraged to report releases of
pollutants or contaminants or discharges
of oil from vessels under their
jurisdiction or control to the NRC."
  Name: Section 300.175 Federal
agencies: additional responsibilities and
assistance.
  Existing rule: 40 CFR 300.23. This
section described federal agencies'
capabilities and expertise related to
preparedness planning and response,
consistent with agency capabilities and
legal authorities.
  Proposedrule:The proposed revisions
emphasized the leadership roles of EPA
and the USCG. added the Nuclear
Regulatory Commission to the list of
federal agencies described, and revised
and updated some of the other agencies'
capabilities and expertise.
  Response to comments: Paragraph (b):
A commenter suggested adding language
to § 300.175(b) regarding the staffing and
administration of the National Response
Center (NRC) by the USCG. It was also
suggested to add to each of the other
agency's organizational roles, language
concerning communication procedures
and specialized services and funding for
NRC operations.
  In response, EPA has added a
description of the capabilities and
expertise of the NRC to § 300.175(b)(15).
EPA does not agree, however, that it is
necessary to add language regarding
organizational roles, communication
procedures, etc., to the descriptions of
the other federal agencies. Section
300.175 provides a brief generalized
description of individual agency's
expertise in preparedness planning or
response actions, consistent with their
legal authorities and capabilities. It is
not meant to cover specific'details of
completing these activities. Further,
8 300.125 has been revised to read: "The
Commandant, USCG, in conjunction
with other NRT agencies, shall provide
the necessary personnel,
communications, plotting facilities, and
equipment for the NRC." In addition, if
specialized services are needed by a
particular agency, this, along with any
appropriate funding, should be handled
by a memorandum of understanding.
  A commenter recommended adding to
§ 300.175(b)(l), a reference to the Coast
Guard's authority to enter into
cooperative agreements pursuant to
section 311(c)(2j(H) of the CWA or
section 104(d) of CERCLA. EPA has
added such language.
  One commenter questioned whether
entering into a contract or cooperative
agreement with the appropriate state in
order to implement a response action
applies only to remedial actions. If not,
the following statement is
recommended: "Coast Guard OSCs
should be included in negotiating
agreements for emergency responses."
  In response, provisions of subpart B
(and thus "negotiating agreements or
contracts for response actions")
generally apply to both removal and
remedial actions; therefore, no change is
necessary. As a practical matter, in the
timeframe of an emergency response, or
urgent need for a removal action,
negotiating such an agreement for the
particular event or placet might take
more time than the immediate situation
allowed. Generic standing agreements
for certain kinds of situations could be
negotiated in advance. In general,
however, proper contingency planning
can meet mutually satisfactory
emergency needs if state, local, and
OSC plans show the same agreed-upon
dispositions of resources  and
responsibilities and provide for
appropriate levels of decision-making
covering various kinds of incidents.
  Under § 300.175[b](3), it was
recommended to add language to clarify
EPA responsibilities to address the
immediate short-term evacuations that
are often the norm in hazardous
chemical responses. EPA does not agree.
This appears to be a specific
responsibility which would be best
handled in a Federal Emergency
Management Agency (FEMA) policy or
guidance document.
  Under § 300.175 [b)(4] and (fa)(5), one
commenter requested clarification of the
specific responsibilities of Department
of Defense and Department of Energy
OSCs concerning releases of hazardous
substances, pollutants, and
contaminants, and discharges of oil. The
responsibilities of OSCs from all federal
agencies are the same, as described in
§ 300.120 and elsewhere in the NCP.
  One commenter suggested that
language be added to § 300.175(b)(4) to
clarify that consistent with CERCLA
section 120(e)(4)(A), the EPA
administrator has the ultimate authority
with respect to selecting remedial
actions for DOD facilities on the NPL.
While the suggested addition is correct,
EPA does not believe this section is the
appropriate place for it. This item will
be adequately covered in subpart K.
  Another commenter suggested that
EPA add language to § 300.175(b)(4) to
identify the availability of Army
Explosive Ordinance Demolition (EOD)
units (for explosives, nerve agents, etc.).
EPA believes that access to this
expertise is limited by DOD authorities
and should not be included.
  Under 1300.175(b)(7), a commenter
suggested a change to add a reference to
the capabilities of the Department of
Commerce (DOC) with respect to
National Marine Sanctuary ecosystems.
EPA has made the suggested change.
  Under § 300.175(b)(9){i). a commenter
suggested a change'to clarify the
responsibilities of the Fish and Wildlife
Service. EPA agrees with the suggested
change.
  Under § 300.175(b)(10), a commenter
recommended expanding the section to
describe the Department  of Justice's
(DOJ) role in litigation and the
information that DOJ needs to negotiate
or pursue a court action. EPA does not
agree with the proposed change because
the NCP is not the appropriate document
for this purpose.
  Final rale: Proposed § 300.175 is
revised as follows:
  1. The following sentence has been
added to § 300.175(b)(l): "The USCG
may enter into a contract or cooperative
agreement with the appropriate state in
order to implement a response action."
  2. Section 300.175(b)(7) has been
changed to add a reference to the
National Marine Sanctuary ecosystems.
  3. Section 300.175(fa)(9)(i) has been
changed to read as follows: "Fish and
Wildlife Service: Anadromous and
certain other fishes and wildlife,
including endangered and threatened
species, migratory birds, and certain
marine mammals; waters and wetlands;

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  8684       Federal Register / Vol.  55, No. 46 / Thursday, March 8. 1990 / Rules and Regulations
  contaminants affecting habitat
  resources; and laboratory research
  facilities."
   4. Section 300.175{b)(I5) has been
  added describing the capabilities and
  expertise of the National Response
  Center.
   Name: Section 300.180. State and local
  participation in response.
   Pfoposed rule: This section described
  general responsibilities of state and
  local governments for response
  activities.
   Response to comments: Paragraphs
• fa} and(c): Under § 300.180{a), a
  commenter suggested allowing each
  RRT to determine an appropriate
  number of seats to assign to each state
  within its Jurisdiction. EPA disagrees
  with the suggested change. While it is
  recognized that states may assign tasks
  to a number of different state agencies.
  it is imperative to have one
  spokesperson for the state as the official
 representative on the RRT. As many
  state representatives as desired may
  attend the RRT meetings. Under
  1300.180[a), a commenter recommended
  adding "OSC" in addition to RPM for
  state-lead response actions. EPA agrees
  with the recommended change.
   Another comment asked two
  questions: Under § 300.180(c], what is
 meant by facilities not subject to
 response actions under the NCP. and is
 this section consistent with § 300.3(a)(2).
 In response, EPA agrees that the two
 cited sections should be consistent, and
 is revising the language in § 300.180(c) to
 read; "For facilities not addressed under
 CERCLA'* * V
   Paragraph (d): One commenter
 indicated that the NCP should enable
 federal facilities to issue cooperative
 agreements to states to carry out
 remedial investigation, feasibility study,
 remedial action and remedial design
 activities. It was suggested that
 § 300.180(d) be modified to provide for
 this. EPA recognizes that federal
 agencies may cooperate with states in
 completing federal facility response
 activities. This •will be adequately
 covered in subpart K and does not need
 to be included in this section.
   Paragraph (ej: Under § 300.180(e). a
 commenter recommended that state and
 local public safety organization
 response efforts should be consistent
 with containment and cleanup
 requirements in the NCP. EPA agrees
 and has made the recommended change.
  Final rule: Proposed I 300.180 is
 revised as follows:
  1. The first sentence of i 300.180(c) is
 revised to read: 'Tor facilities not
 addressed under CERCLA *  * * "
   2. Section 300.180(e) has been changed
 as follows: "Because state and local
 public safety organizations would
 normally be the first government
 representatives at the scene of a
 discharge or release, they are expected
 to .initiate public safety measures that
 are necessary to protect public health
 and welfare and that are consistent with
 containment and cleanup requirements
 in the NCP, and are responsible for
 directing evacuations pursuant to
 existing state or local procedures."

   Name: Section 300.185.
 Nongovernmental participation.
   Proposed rule: Proposed § 300.185,
 based on existing § 300.25, encouraged
 involvement by industry groups,
 academic organizations and others in
 response operations. This section also
 specified that contingency plans should
 provide for the direction of volunteers
 by the OSC or other federal, state or
 local officials.
   Response to comments: A commenter
 suggested  changing § 300.185 so that the
 OSC/RPM does not have the discretion
 to involve volunteers in on-site activities
 associated with hazardous substance
 response operations. EPA disagrees with
 this suggestion. This section provides
 adequate safeguards for the use of
 volunteer personnel, including
 restrictions from on-scene operations as
 necessary.
   A change was suggested to make this
 section consistent with the authority of
 the scientific support coordinator (SSC)
 as stated in § 300.145(d)[2). EPA agrees
• and has made the change.
   A commenter requested that the NCP
 further define strategies for dealing with
 cases involving multiple authorities.
 EPA disagrees with the recommended
 change. The situations involving
 multiple jurisdictions and authorities
 should be handled under the appropriate
 contingency plan, i.e., the RCP or OSC
 plan.
   Final rule: the last sentence of
 proposed § 300.185[b) has been changed
 to read as follows: "The SSC may act as
 liaison between the OSC/RPM and such
 interested organizations."
 Subpart C—Planning and Preparedness
   Historically, the NCP has provided for
 federal planning and coordination
 entities and for federal contingency
 plans. Although there has previously
 been no federal requirement for state
 and local planning, the NCP has always
 provided for coordination with each
 entities and plans where they exist.
 However, SARA Title E now requires
 the development of a state and local
 planning structure and local emergency
 response plans.
   Title ni provides the mechanism for
 citizen and local government .access to
 information concerning potential
 chemical hazards present in their
 communities. This information includes
 requirements for the submission of
 emergency planning information,
 material safety data sheets and
 emergency and .hazardous chemical
 inventory forms to state and local
 governments, and for the submission of
 toxic chemical release forms to the EPA.
 Title in also contains general provisions
 concerning local emergency response
 plans to be developed by local
 emergency planning committees
 (LEPCs), emergency training, review of
 emergency systems, trade secret
 protection, providing public access to
 information, enforcement and citizen
 suits. Regulations implementing Title m
 are codified at 40 CFR subchapter }. EPA
 will reference Title ni and these
 regulations in .subpart C where
 appropriate.
   The proposed NCP states that in
 developing OSC contingency plans, the
 OSCs shall coordinate with State
 Emergency Response Commissions
 (SERCs) and Local Emergency Planning
 Committees (LEPCs) affected by the
 OSC area of responsibility. The OSC
 plans shall provide for a well
 coordinated response that is integrated
 and compatible with all appropriate
 response plans of state, local and other
 non-federal entities, and especially with
 Title HI local emergency response plans.
   The following sections discuss
 comments received on the proposed
 subpart C and EPA's responses.
 •  Name: Section 300.200. General.
   Existing rule: Subpart D—Plans
 [§ 300.41). Subpart D of the 1985 NCP
 required that, in addition to the National
 Contingency Plan (NCP), a federal
 regional plan be developed for each
 standard federal region. Alaska, and the
 Caribbean, and, where practicable, a
 federal local (i.e., OSC) plan also be
 developed. The purpose of these plans is
 coordination of a timely, effective
 response by various federal agencies
 and other organizations to discharges of
 oil and releases of hazardous
 substances, pollutants and .contaminants
 in order to protect public health,
 welfare, and the environment
  Proposed rule: The equivalent section
 to subpart D in the 1985 NCP, is found in
 subpart C of today's rule. This  subpart
summarizes emergency preparedness
 activities relating to  oU, hazardous
substances, pollutants and
contaminants; describes the federal,
state, and local planning structure;
provides for three levels of federal

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            Federal  Register / Vol. 55. No. 46 / Thursday. March 8.  1990 / Rules and Regulations       8685
contingency plans; and cross-references
state and local emergency preparedness
activities under SARA Title HI.
  Response to comments: A commenter
stated that the planning activities
referred to in subpart C apply to both oil
and hazardous substances response
activities, not to "hazardous chemicals
and substances only" as provided in the
proposed rule. EPA agrees with this
commenter. As stated in the 1985 NCP.
all federal, state, and local contingency
plans must deal with emergency
preparedness and response activities
related to discharges of oil and releases
of hazardous substances, pollutants, or
contaminants.
  Final rule: Section 300.200 is revised
to read, 'This subpart summarizes
emergency preparedness activities
relating to discharges of oil and releases
of hazardous substances, pollutants, or
contaminants * * *".
  Name: Section 300.205. Planning and
coordination structure.
  Proposed rule: The SERC in each state
is to establish local planning districts,
appoint LEPCs, and supervise/
coordinate  their activities. The SERC
must also establish information
management procedures and appoint an
individual to serve as the coordinator
for the information.
  Response to comments: A few
commenters suggested that § 300.205(c)
make reference to § 300.115(h) to ensure
coordination of the RRT with the SERC.
Section 300.205(b) references § 300.115
as the description of the RRTs
responsibilities. Section 300.115(h} states
that the state's RRT representative
should coordinate with the SERC. Since
it has already been stipulated that the
RRT as part of their responsibility
coordinate with the SERC. there is no
need to reiterate that statement in
§ 300.205(c).
  Final rule: EPA is promulgating the
rule as proposed.
  Name: Section 300.210. Federal
contingency plans.
  Proposed rule: This section describes
the  three levels of federal contingency
plans and makes reference to Title Id
plans. See also general description in
introduction above.
  Response to comments: 1. SARA Title
HI. Several commenters suggested that
all references to SARA Title HI should
be eliminated from the NCP in that .
SARA Title HI establishes new,
completely separate requirements to
report to state and local emergency
planning officials, which are totally
unrelated to the CERCLA process.
Another commenter, however,
supported the complete incorporation
and integration of Title III provisions
with other notification, spill prevention
and preparedness sections in the NCP.
One commenter recommended .that EPA
make a clear distinction between the
NCP preparedness activities and Title ffl
requirements.
  A major objective of both the NCP
and SARA Title III is to increase public
protection by developing response plans
to deal with releases of oil and
hazardous substances to the
environment. Eliminating from the NCP
till references to SARA Title m could
lead to duplication of effort by federal,
state and local governments regarding
contingency planning. It could also
cause confusion because the NCP would
not provide a complete picture of the
federal/state/local planning structure.
  2. Clarification of coordination
procedures. Some comments stated that
the NCP should be revised to include -
procedures for coordinating emergency
response planning amongst LEPCs,
OSCs, RRTs and the NRT. EPA has
considered this comment: and is not
including such language in the final rule.
The NCP is not intended to be a detailed
procedural guidance document and such
coordination should be left to the
discretion of the coordinating parties to
provide greatest flexibility to address
regional,  state and local variations.
Other guidance on planning and plan
coordination is available, e.g.
"Hazardous  Materials Emergency
Planning  Guide," National Response
Team. NRT-1 (March 19B7), "Criteria for
Review of Hazardous Materials
Emergency Plans," National Response
Team, NRT-1 (May 1988,1 and
"Technical Guidance for Hazards
Analysis." EPA, DOT and FEMA
(December 1987], through the National
Response Team (NRT) member
agencies.
  3. Natural resources trustees and
DOD and DOE OSCs. A few
commenters  suggested that § 300.210 be
expanded to require that natural
resources trustees and DOD and DOE
OSCs be  identified. Section 300.210
states that "RCPs [Regional Contingency
Plans] shall follow the format of the
NCP and coordinate with state
emergency response plans, OSC
contingency  plans.  *  *  *". The NCP and
OSC contingency plans stipulate that
the trustees of natural resources, as well
as DOD and DOE OSCs. should be
identified. Therefore there is no need to
farther state that in § 300.210.
  4. OSC jurisdictional boundaries.
Another commenter stated that
determining  the OSC jurisdictional
boundaries based on Title ID district
boundaries is not appropriate. EPA
agrees. The language in the proposed
NCP reads that "jurisdiclional
 boundaries of local emergency planning
 districts * *  *  shall, as appropriate be
 considered in determining OSC areas of
 responsibilities." Thus, the proposed
 NCP does not require die OSC
 jurisdictions to be based on Title in
 local planning district boundaries, and
 there will be no change in the final rule.
  5. Coordination of RRT, OSC and
LEPCplans. A few'commenters feel that
it would be burdensome for RRTs or
OSCs to coordinate their plans with the
Title in local  emergency response plans.
They feel the drafters of Title m local
emergency response plans should
ensure that their plans coordinate with
the OSC and RRT plans.
  Other commenters recommended that
the RRT be encouraged to advertise the
availability of copies of the RCP to local
emergency planning committees. One
commenter suggested that the state
should ensure the coordination of local
plans with the OSC plan. Another stated
that the NCP should be revised to
indicate that drafters of Title IE local
plans should coordinate their plans with
federal plans, not the other way around.
Finally, another commenter noted that
for consistency, procedures for a LEPC
to submit a plan to the RRT for review
should be included in § 300.215(d). and
that these procedures should require
submission through tne SERC.  -
  EPA considers the coordinatiorfof the
OSC plans with the Title HI plans to be
important. OSCs must be
knowledgeable of local response groups
and their response capabilities in order
to prepare reliable and useful plans and
to respond to  incidents in their districts.
The jurisdiction of some OSCs may
include several Title HI local  planning
districts, and  the OSCs must ensure that
their plans do not conflict with, but
complement the Title EC plans. A few
people commented that language should
be added proposing that the Title m
local planning committees coordinate
their plans with those of the OSCs.
Section 300.215(a) already includes such
language.
  EPA also believes that the
coordination through the SERC of
regional .plans with the'Title ffl plans, to
the greatest extent possible, is
fundamental to the planning process.
  Final rule: Proposed § 300.210(b] is
changed to add the following sentence
before the last sentence: "Such
coordination should be accomplished by
working with  the SERCs in the region
covered fay the RCP."
  Name: Section 300.215. Title ffl local
emergency response plans.
  Proposed rule: See general  description
in introduction above.

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 8686       Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules  and Regulations
   Response to comments: A commenter
 stated that § 300.215 should be revised
 to include comments regarding non-
 catastrophic event response. EPA
 disagrees with this commenter since
 Title III addresses all releases,
 catastrophic as well as non-
 catastrophic. Section 304 of Title ffl
 requires the reporting of releases in
 excess of a reportable quantity of an
 extremely hazardous substance or a
 CERCLA hazardous substance to the
 SERC, LEPC, and the NRC (where
 appropriate). These federal, state, and
 local officials will then respond to that
 report as appropriate.
   Another commenter suggested that
 1300.215 should be expanded to include
 procedures for a LEPC to submit a plan
 to the RRT for review. EPA has
 considered this comment and is making
 a revision in the final rule.
  Final rule: Proposed § 300.215 is
 revised as follows:
  1. Section 300.215(d) is revised to add
 the following last sentence: "This
 request should be made by the LEPC,
 through the SERC and the state
 representative on the RRT."
  2. In the first sentence of
 § 30O215(e)(2J. the phrase "to the SERC.
 LEPC and the local fire department" has
 been added.
  Name; Indian tribes under Title HI.
  Proposed rule: The preamble to
 proposed subpart A stated that EPA is
 proposing to include Indian tribes in the
 definition  of "state." except for purposes
 of Title HI, or where specifically noted
 intheNCP.
  Response to comments: Several
 commenters disagreed with excluding
 Indian tribes from being treated like
 states under Title III. These commenters
 encouraged EPA to allow tribal
 participation in this program because if
 the tribes do not become involved as
 governments in emergency response
 planning, the potential for harm to the
 reservation population and environment
 increases. These commenters also
 mentioned that EPA should allow tribes
 to participate as governments in Title III
 programs because tribes can be an
 important  link in emergency planning
 and could  be important in planning the
 appropriate response actions. These
 commenters recommended that EPA use
 its discretion to allow tribal
 participation under Title in on a
 govemment-to-govemment basis. Indian
 tribes wishing to develop local planning
 structure and local emergency response
 plans should be allowed to participate
in Title III  planning on the same basis as
•tales.
  In response, EPA notes that on March
29.1989 (54 FR12992). EPA proposed
 that Indian tribes be the designated
 implementing authority for Title HI on
 all lands within "Indian country" as
 defined in 15 ILS.C. 1151. When this
 proposed rule becomes final, Indian
 tribes will, by rule, be included in the
 definition of "state" for the purposes of
 Title Ed.
  Final rule: There is no rule language
 on this issue.
 Subpart D—Operational Response
 Phases for Oil Removal
  Subpart D contains only minor
 revisions to the existing subpart £. The
 following sections discuss comments
 received on the proposed subpart D and
 EPA's responses.
  Name: Section 300.300. Phase I—-
 Discovery or notification.
  Proposed rule: This section describes
 the ways in which an oil discharge may
 be discovered and requires that reports
 of all discharges be made to the NRC.
 Alternative notification to the
 appropriate USCG or EPA
 predesignated OSC or the nearest USCG
 unit is permitted if immediate
 notification to the NRC is not
 practicable. This section also requires
 that immediate notification to the NRC
 be included  in regional and local
 contingency plans. Upon notification of
 an oil discharge, the NRC must promptly
 notify the OSC who, in turn, will
 proceed with the additional response
 phases outlined in this subpart.
  Response to comments: One
 commenter asserted that the addition of
 the EPA predesignated OSC as a contact
 through, the regional 24-hour emergency
 response telephone number is
 unnecessary and should be deleted. The
 commenter went on to say that a single,
 all encompassing notification system
 must be established in the NCP so the
 federal government can be efficient and
 effective in its response actions. The
 concept of a single point of contact for
reporting all environmental incidents
 throughout the United States is well
 established under the FWPCA and
 CERCLA. According to this commenter,
with one telephonic notification to the
NRC, many responsible parties fulfill
several federal regulatory reporting
requirements. If a responsible party can
 telephonically call EPA's 24-hour
emergency number, then why can they
not simply call the NRC. The
requirement to call EPA's 24-hour
number simply confuses and
 complicates  the reporting requirements.
  While EPA agrees that there should
be a single notification system for
discharges of oil, EPA believes that it is
important to make available reasonable
alternatives  for reporting oil spills that
 are limited to the rare circumstances
 where it is not possible to contact the
 NRC. Furthermore, it is the opinion of
 EPA that the condition, "if direct
 reporting to the NRC is not practicable,"
 is not ambiguous. It should be
 emphasized that reporting to the USCG
 or EPA predesignated OSCs or the 24-
 hour EPA regional emergency response
 telephone number are interim measures,
 and all reports shall be promptly relayed
 to the NRC by the discharger.
   One commenter recommended that
 the "notification" language used in
 subpart D for Oil Removal (§ 300.300
 and in subpart E for Hazardous
 Substance Response (I 300.405}) should
 be identical asserting that this will limit
 confusion and make reporting of
 incidents that are both oil and
 hazardous substance simple. The
 commenter added that there is no need
 for the oil industry to determine, before
 notification, whether a spill will be
 interpreted to fall within the petroleum
 exclusion and recommended new
 language for §§ 300.300 and 300.405.
 Another commenter recommended
 rewriting the Discovery or notification
 section to accurately reflect the
 notification requirements for different
 types of discharges as mandated by
 statute adding that the procedures that
 the NRC and OSC must follow should be
 separate from the requirements of the
 discharger so as not to confuse the
 reader.
  EPA believes that the notification
 provisions of subparts D and E, as
 proposed, are consistent except for
 necessary (differences driven by
 statutory and programmatic
 requirements. EPA also believes that the
 concept of a single point of contact for
 reporting all oil and hazardous
 substance spills is preserved. Therefore,
 in today's final regulation, § 300.300
 remains largely unchanged from the
 proposed rale.
  Final rule: The last two sentences in
 § 300.300(b} are revised as follows (see
 discussion in preamble section on
 § 300.125 on editorial revision to
 § 300.300(b)):
  "If it is not possible to notify the NRC
 or predesignated OSC immediately.
reports may be made to the nearest
Coast Guard unit. In any event, such
person in charge of the vessel or facility
 shall notify the NRC as soon as
possible."
  Name: Section 300.305. Phase II—
Preliminary assessment and initiation of
action.
  Final rule: Proposed § 300.305(d) is
revised as follows (see preamble section
on § 300.515 (notification)):
                                                                            ,1,1,:

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   "If natural resources are or may be
 injured by the discharge, the OSC shall
 ensure that state and federal trustees of
 affected natural resources are promptly
 notified in order that the trustees may
 initiate appropriate actions, including
 those identified in subpart G. The OSC
 shall seek to coordinate assessments,
 evaluations, investigations, and
 planning with state and federal
 trustees."
   Name: Section 300.310. Phase Hi-
 Containment, countermeasures, cleanup
 and disposal.
   Proposed rule: This section requires
 that the OSC initiate defensive actions
 as soon as possible to prevent,
 minimize, or mitigate the threat to the
 public health or welfare or the
 environment. These actions may include
 controlling the source of the discharge;
 initiating salvage operations;
 deployment of physical barriers to deter
 the spread of the oil; and the use of
 chemical or biological countermeasures
 in accordance with subpart j, to restrain
 the spread of the oil and mitigate its
 effects. This section directs the OSC to
 choose oil spill recovery and mitigation
 methods that are most consistent with
 protecting the public health and welfare
 and the environment. Sinking agents are
 specifically prohibited. This section
 requires that recovered oil and
 contaminated materials be disposed of
 in accordance with federal regional and
 local contingency plans.
  Response to comments: A commenter
 noted that § 300.310(c) states that "oil
 and contaminated materials recovered
 in cleanup operations shall be disposed
 of in accordance with the RCP and OSC
 contingency plan and any applicable
 laws, regulations, or requirements." If
 the purpose of this paragraph  is to
 require that the disposal of cleanup
 materials meet applicable or relevant
 and appropriate requirements {ARARs).
 the commenter recommended that
 ARARs should be substituted for
 "applicable laws, regulations, or
 requirements". Language similar to
 § 300.400(g) should then be added to aid
 in the identification of ARARs for oil
 removal.
  The purpose of this paragraph is not
 to require that the disposal of oil-
 contaminated cleanup materials meet
 ARARs. Language that could be
 interpreted to the contrary inadvertently
 appeared in the preamble to the
 proposed regulation. ARARs, as
 required by CERCLA section 121, apply
 to remedial actions responding to
 releases of hazardous substances,  the
 definition of which excludes "oil."
 CERCLA sections  101(14) and 101(33).
The response to oil discharges is
  provided by section 311 of the Clean
  Water Act.
    Final rule: EPA is promulgating
  § 300.310 as proposed.
    Name: Section 300.315. Phase IV—
  Documentation and cost recovery.
    Proposed rule: This section requires
  the collection and maintenance of
,  documentation to support actions taken
  under the CWA and to form the basis
  for cost recovery.
    Final rule: Proposed § 300.315 is
  revised as follows:
    1. The cross-references to the USCG
  Marine Safety Manual and 33 CFR part
  153 in the last sentence of § 300.315(a)
  are modified.
    2. The following sentence is added to
  proposed § 300.31S(c) (see preamble
  discussion on § 300.615): "The OSC shall
  make available to trustees of the
  affected natural resources information
  and documentation that can assist the ,
  trustees in the determination of actual or
  potential damages to natural resources."
   Name: Section 300.320. General
  pattern of response.
   Proposed rule: This section describes,
  in general, the actions to be taken when
  a report of a discharge is received.
   Final rule: The phrase "rehabilitating
  or acquiring the equivalent of " * *"
  has been added to § 300.320(b)(3)(iii) in
 order to be consistent with CWA
 section 311(f)(5).
   Name: Section 300.330. Wildlife
 conservation.
   Proposed rule: This section describes
 coordination of professional and
 volunteer groups to participate in
 waterfowl dispersal, collection.
 cleaning, rehabilitation and recovery
 activities.
   Response  to comments: A commenter
 suggested that the more encompassing
 term "wildlife" be used in this section
 rather than "waterfowl." EPA agrees
 and has made the change.
   Final rule: EPA has revised proposed
 § 300.330 to use the term "wildlife"
 rather than "waterfowl."

 Subpart E—Hazardous Substance
 Response
   The Hazardous Substance Response
 subpart contains a detailed plan
 covering the entire range of authorized
 activities involved in abating and
 remedying releases or threats of  •
 releases of hazardous .substances,
 pollutants, or contaminants. EPA is
 making major revisions to the hazardous
 substance response authorities included
 in the NCP. The revisions implement the
 1986 amendments to CERCLA and
 incorporate additional requirements
 deemed necessary and appropriate
 based on EPA's management of the
 Superfund program. The NCP
 reorganizes the sections of the subpart
 to coincide with the general order of
 established procedures during response.
   Specifically, EPA is expanding current
 § 300.62 on the state role into a separate
 subpart (new subpart F), which
 incorporates the new state involvement
 regulations; the entire discussion now
 appears after subpart E. EPA is also
 revising and reformatting current
 § 300.67 on community relations so that
 it is no longer a separate section but is
. incorporated into the other sections as
 appropriate. Furthermore, EPA is
 renaming and reorganizing the sections
 in subpart E as follows:
 § 300.400  General
 § 300.405  Discovery or notification
 § 300.410  Removal site evaluation
 § 300.415  Removal action
 § 300.420  Remedial site evaluation
 § 300.425  Establishing remedial
   priorities
 § 300.430  Remedial investigation/
   feasibility study (RI/FS) and selection
   of remedy
 § 300.435  Remedial design/remedial
   action, operation and maintenance
  The following sections discuss major
 comments received on the proposed
 subpart E and EPA's responses.
 Responses to other comments are
 included in the support document to the
 NCP.
 Section 300.400. General.

  Name: Section 300.400(d)(3).
 Designating PRPs as access
 representatives. Section 300.400(d)(4)(i).
 Administrative orders for entry and
 access.
  Proposed rule: Section 300.400(d)(4)[i)
 provides that EPA or any appropriate
 federal agency, by the authority granted
 them in CERCLA section 104{e)(5), can
 issue an administrative order to secure
 entry and access to a site where the site
owner does not give consent to entry or
access. Section 300.400(d)(3) adds
language that allows EPA to designate a
PRP as its representative solely for the
purpose of access, through CERCLA
section 104(e), but only in cases where
the PRP is conducting a response action
pursuant to an administrative order or
consent decree. This does not create
liability in the federal government or
limit EPA's right to ensure a proper
remedial investigation/feasibility study
(RI/FS).
  Response to comments: Most
commenters expressed support for
§ 300.400(d)(3). authorizing the agency to
designate a PRP as its representative for
access to a site, and concurred that such

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designation would help ensure
cooperative PRPs access to a site owned
or operated by a recalcitrant PRP.
Disparate comments were received on
§ 300.400(d)(4)(i). EPA received
comments stating that PRPs should be
provided access to Fund-lead and state-
lead sites to allow them to conduct their
own testing and sampling in order to
respond knowledgeably to an EPA
remedial action proposal or to prepare
an adequate defense. One commenter
suggested that PRPs should be afforded
the same unrestricted access to a site
that is afforded the lead agency.
Another suggested that entry and access
should be afforded any PRP that
voluntarily conducts a response action.
and not be contingent upon the PRP
entering into a consent order or decree.
A third suggested that the NCP  .
distinguish between entry and access to
abandoned hazardous waste sites and
sites with active, operating businesses.
They proposed limitations on entry and
access by a lead agency and on the lead
agency's ability to grant others entry   .
and access to.such ongoing commercial
sites to prevent major disruptions of
business. A final commenter proposed
that DOD. as lead agency, should be
granted the authority to deny state
agents access to DOD vessels.
  EPA opposes unrestricted access to a
site by PRPs for several reasons.
Unsupcrvised access, sampling and
testing would present a potential health
hazard to those on the site or residing
near it. Unrestricted access could slow
cleanup by disrupting authorized on-site
activities. EPA further believes that the
proper opportunity for access and
sampling is afforded when PRPs are
given the chance to conduct the RI/FS.
Finally, a great deal of information
about the site is already made available
to PRPs and others through the
administrative record for the site.
  The statute makes no distinction
between entry and access at abandoned
sites and sites of operating businesses in
conducting response actions. Protecting
human health and the environment is
EPA's first priority when it gains access
to a site. Protecting private commercial
and industrial enterprises from
interruption may also be considered in
certain circumstances where there is no
effect on EPA's accomplishment of its
primary purpose to protect human
health and the environment. EPA has
clarified this section, however, to make
it clear that one or more PRPs, including
representatives, employees, agents and
contractors of PRPs may be designated
as the lead agency's representative. EPA
has also clarified that EPA or the
appropriate federal agency may request
the Attorney General to commence a
civil action to compel compliance with a
request or order for access.
  Finally, the statute does not recognize
the "uniqueness" of DOD's authority as
a lead agency when granting site entry
and access to any "state or political
subdivision under contract or
cooperative agreement" with EPA under
CERCLA section 104(e)(l). Of course.
the President may issue site-specific
orders under CERCLA section 1200)
regarding response actions at
Department of Defense or Energy
facilities as necessary to protect
national security.
  Final rule: Proposed § 300.400(d) is
revised as follows:
  1. The language in proposed
§ 300.400(d)(2)(ii) on where the authority
to enter applies is reordered.
  2. Proposed § 300.400(d)(3) is revised
to clarify that one or more PRPs,
including representatives, employees.
agents and contractors of PRPs, may be
designated as the lead agency's
representative.
  3. Proposed § 300.400(d)(4)p] is
revised to state that EPA or the
appropriate federal agency may request
the Attorney General to commence a
civil action to compel compliance with a
request or order for access. Also, the
phrase "or if consent is conditioned in
any manner" is added to this section.
  Name: Sections 300.5 and 300.400(e).
Definition of on-site.
  Proposed rule: Section 300.400(e)
states that the term "on-site" for
permitting purposes shall include the
areal extent of contamination and all
suitable areas in very close proximity to
the contamination necessary for
implementation of the response action.
  Response to comments: 1. Definition
of on-site. Many commenters supported
the proposed definition of on-site
because it ensures flexibility in the
design and construction of response
actions, provides for expeditious
cleanup of sites, and potentially
provides significant cost savings. The
commenters believed that the four
alternative definitions described in the
preamble were too restrictive and
imposed various constraints on EPA that
would delay and needlessly complicate
actions at sites. One commenter noted
that the RI/FS process, including the
mandatory public participation aspects,
is the functional equivalent of the
permitting process. Another commenter
requested that the permit waiver in
existing NCP § 300.68 for actions under
CERCLA section 106 be retained.
  Other commenters generally
supported the proposed definition but
requested some modifications. Several
questioned using "very" in the
requirement that suitable areas adjacent
to the site be in very close proximity to
the contamination. Some suggested in its
place the phrase "*  "  * which are both
as close as practical to the
contamination * *  *." One commenter
assumed that EPA was trying to
establish a principle of practical
effectiveness, i.e., that the area of
contamination and the area in which
response activities occur are sufficiently
related in practice that they should be
treated as one site under the permit
exemption. This commenter requested
further elaboration on this.
  One commenter requested that the
term "areal" be clarified to distinguish
surface area from the atmosphere.
Another requested that the definition
should specifically mention that the
permit exemption applies during
investigations as well as implementation
of the response action.
  One commenter urged that the permit
exemption not be applied to
construction of new disposal units in
previously uncontaminated areas. The
commenter stated that it is good policy
to discourage new units in
uncontaminated areas. Other
commenters recommended that on-site
should include all areas affected by
contamination, whether at a discrete
location or through transport of
contaminated soils or ground-water
plume migration.
  Some commenters supported the
alternative interpretations described in
the preamble to the proposed rule.
Several commenters favored defining
on-site as identical to a CERCLA
facility. One commenter stated that this
definition of on-site should provide that
all treatment performed on-site refers to
the entire facility, and is not limited to
the specific operating unit or area of
contamination. This commenter also
recommended that the permit exemption
be broadened to induce private parties
to voluntarily implement the required
CERCLA actions.
  Another commenter favored defining
on-site the same as CERCLA facility
because Congress intended to limit
unpermitted activities to on-site areas.
not near-site areas. One commenter
suggested combining the proposed
definition with the alternative definition
equating on-site to CERCLA facility. The
commenter believed that this would be
consistent with the use of these words
throughout the NCP and with the
statutory definition of facility.
  One commenter protested that the
scope of the proposed definition was too
broad and beyond statutory intent. This
commenter contended that the proposed

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              Federal Register /  Vol. 55, No. 46 / Thursday. March 8. 1990 /  Rules and Regulations
                                                                         8689
  definition enabled EPA to unjustifiably
  usurp stale permit laws. The commenter
  requested that the definition of on-site
  be limited to the contiguous area having
  the same legal ownership as the actual
  site of the release but in no event should
  it extend beyond the areal extent of
  contamination. The commenter also
  argued that the statute provides that the
  permit exemption applies only after a
  remedy is selected in accordance with
  section 121. The commenter also
  requested that if the proposed language
  in § 300.400(e)(l) is retained, the
  language "on-site * *  * shall
  include * * *" should be modified to
  read "on-site  *  * * means." The
  commenter believed that the proposed
  language was over-expansive.
   Another commenter generally
  supported the proposed definition but
  requested that EPA clarify that the
  scope of "on-site" for permitting
  purposes can differ from the
 geographical area covered fay the
 affected site. The commenter stated that
  the scope of the affected site for
 purposes other than permitting is limited
  to the property owned or controlled by
 the site owner or operator in almost all
 situations. The commenter was
 concerned thai too broad an
 interpretation of the affected site could
 effectively limit the value,
 transferability and use of adjacent
 property.
   One commenter requested
 clarification on the applicability of the
 on-site permit exemption to all classes
 of non-NPL hazardous substance sites.
 The commenter also asked that the NCP
 clarify that the exemption does not
 apply to RCRA permits and HSWA
 corrective action requirements for solid
 waste management units.
   In response, EPA believes that
 Congress intended to expedite cleanups
 •when it provided for the permit
 exemption in CERCLA. Requiring the
 Superfund program to comply with both
 the administrative requirements of
 CERCLA and the administrative and
 other nonsubstantive requirements of
 other laws would be unnecessary,
 duplicative and would delay Superfund
 activities. Today's action is consistent
 with that intent.
   EPA disagrees with those commenters
 who assert that the definition of "on-
 site" in the rule is unnecessarily broad.
 For practical reasons discussed in the
 preamble to the proposed rule "(53 FR
 51406), on-site remedial actions may, of
 necessity, involve limited areas of
 noncontaminated land: for instance, an
•on-site treatment plant may need to be
 located above the plume or simply
 outside the waste area itself. EPA does
 not believe that including in the
  definition of on-site those areas "in very
  close proximity to the contamination"
  and "necessary for implementation of
  the response," is beyond the intent of
  Congress, or that ill would allow the
  permit exemption m section 121(e)(l) to
  be used for activities  that are that
  fundamentally different in nature from
  conventional on-site actions.
    EPA believes that its proposed
  definition of on-site is sufficiently
  narrow so that the permit exemption is
  not abused yet flexible enough to
  provide for practical and expedient
  implementation of Superfund remedies.
  Thus, EPA will promulgate the language
  as proposed, except that it will delete
  the phrase "for permitting purposes" in
 .order to make clear that the "on-site"
  definition is also relevant to the
  definition of "off-site" under CERCLA
  section 121{d){3). EPA believes this
  change is necessary for the consistency
  of the CERCLA program, and for the
  proper functioning of CERCLA section
  I21(d)(3). In addition,  as suggested by a
  commenter, EPA will change the
 language in § 300.400{e)(l) to be
 consistent with the definition of on-site
 in § 300.5 so that both will read that "on-
 site means the areal extent of
 contamination * * *" rather than "on-
 site includes * *  *.."
   Proposed § 300.400(e)(l) states that
 the permit waiver applies to all on-site
 actions conducted pursuant .to CERCLA
 sections 104,106, or 122; in effect, this
'• covers all CERCLA removal and
 remedial actions.(all "response"
 actions]. However, a number of other
 federal agencies have  inquired as to
 whether this language would reach
 response actions conducted pursuant to
 CERCLA sections 121  and 120. In
 response, EPA has made a
 nonsubstantive clarification of the
 applicability of the permit waiver in
 CERCLA section 121(e)(l) to include on-
 site response actions conducted
 pursuant to CERCLA sections 120 and
 121.
   The inclusion of actions conducted
 under CERCLA section 121 is basic, and
 reflects a literal reading of the statutory
 provision itself ("No « •  • permit shall
 be required * * * where such remedial
 action is selected and carried out in
 compliance with this section"); indeed.
 the inclusion in § 300.400(e)(lJ of
 sections 104,106 and 122 is based in
 large part on the fact that remedial
 actions carried out under section 104 or
 106 authority were selected under
section 121 (the inclusion of those
sections also stems from the reference to
"removal actions" in CERCLA section
121(e)(l)). The addition of CERCLA
section 120 simply recognizes that  the
permit waiver applies to federal facility
 cleanups conducted pursuant to
 CERCLA section 120(e), which are also
 selected and carried out in compliance
 with CERCLA section 121 (see CERCLA
 section 120(a)(2}).
   In response to other comments, EPA
 intends that "areal" refers to both
 surface areas and the air above the site.
 EPA further intends that the exemption
 applies to all CERCLA activities,
 including investigations and CERCLA
 section 106 actions, conducted entirely
•on-site, before and after the remedy is
 selected. EPA generally agrees with the
 policy of not locating new disposal units
 in uncontaminated land and will only do
 so when the only practical method for
 reducing the risk posed by the
 contamination is to construct a unit in
 very close proximity to the
 contamination. The example described
 in the preamble to the proposed rule
 was contamination located in a lowland
 marshy area. When it is not possible to
 locate an incinerator or construction
 staging area in that marshy area, it may
 be located in an uncontaminated upland
 area in very close proximity and still fall
 within the exemption.
   Commenters supporting the
 alternative definitions have not
 persuaded EPA that they offer
 significant advantages over the
 proposed definition. As stated in the
 preamble to the propesed rule, the
 problem with equating on-site with the
 CERCLA definition of "facility" is that a
CERCLA facility is limited to the areas
 of contamination; it does not include
adjacent areas necessary for
implementation of response activities.3
On the other hand, a "facility" as
defined under RCRA (i.e., the property
boundaries) may be too expansive for
purposes of the permit exemption, as it
may encompass many square miles,
with discrete areas of contamination
rather than contamination throughout.
EPA believes that the permit exemption
should not apply to  activities at a. site
not directly related to responding to the
contamination. Alternatively, the RCRA
definition may be too narrow where the
  3 EPA does not believe that the definition being
promulgated today is inconsistent with the statutory
definition of "facility" in CERCLA section 101(9).
First. Congress did not use the term facility, but
rather used the term "on-site." in CERCLA section
121(e)(l). Stvond. the definitions are not in conflict:
the on-sile definition is simply broader in order to
allow EPA to effectuate the cleanup of "facilities"
defined in the statute. (Note that the size or extent
of a facility listed on the NPL may be broader than
the description in the original NPL listing package.
and may extend to those areas where the
contamination in question has "come to be located."
See CERCLA section 101(91: S4 FR at 41017-18
(October 4.1989): 54 FR at 13298 (March 31.1989):
United States v. Conservation Chemical Co.. 619 F.
Supp. 162.177.18S (W.D. Mo. 1985).)

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8690       Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules  and Regulations
contamination crosses property
boundaries. Also, defining on-site as the
area having the same legal ownership as
the primary contaminated area may not
be useful when a ground-water plume
has traveled a considerable distance
away from the source of contamination.
As the preamble to the proposed rule
noted, such a definition may artificially
constrain a remedy because the
exemption would be defined in terms of
a property line rather than the
contamination.
  Finally, EPA believes that Congress
intended that activities conducted
entirely on-site pursuant to CERCLA are
exempt from all federal, state or local
permits, including permits under RCRA
and HSWA. A RCRA permitting
requirement would present the same
possibility of delay as any other permit
This permit exemption does not apply.
however, to cleanup actions conducted
under an authority other than CERCLA.
such as RCRA or HSWA.
  2. Noncontiguous facilities. The
preamble to the proposed rule also
stated EPA's interpretation that when
noncontiguous facilities are reasonably
close to one another and wastes at these
sites are compatible for a selected
treatment or disposal approach,
CERCLA section 104fd)(4) allows the
lead agency to treat these related
facilities as one site for response
purposes and. therefore, allows  the lead
agency to manage waste transferred
between such noncontiguous facilities
without having to obtain a permit (53 FR
51407). EPA requested comment on
whether to limit this approach to
situations where the noncontiguous
facilities are under the ownership of the
same entity. Several comments were
received on EPA's proposal on
noncontiguous facilities.
  Some commenters requested that this
proposal be expanded to include groups
of sites that are not in close proximity to
one another. One commenter requested
an expansion to encompass large
federal facilities with several discrete
areas of contamination that are  similar
in nature but within boundaries that are
spatially separated.
  In response, the preamble to the
proposed rule noted it may be
appropriate to treat noncontiguous
facilities as one site where the facilities
are "reasonably close to one another"
and the wastes are "compatible for the
selected treatment or disposal
approach" (53 FR 51407). However, the
preamble specifically noted that these
two factors were merely "among the
criteria" EPA uses to decide whether
noncontiguous facilities should be
treated as one site. In some cases, the
distance between facilities may be the
deciding factor; in other cases, the
consideration of distance may be
outweighed by other criteria. Moreover.
the "reasonably dose" language in the
proposal leaves room for Agency
discretion; EPA recognizes that what
may be a reasonable distance under
some circumstances (e.g., in a sparsely
populated area} may be less reasonable
under others (e.g., in an urban setting).
EPA makes these assessments on a
case-by-case basts. EPA does not
believe that the policy needs to be
expanded in response to the comments
on distance between areas of
contamination; rather, the comments
indicate that the policy needs to be more
fully explained.
  CERCLA section 104(d)(4) allows EPA
broad discretion to treat noncontiguous
facilities as one site for the purpose of
taking response action. The only
limitations prescribed by the statute are
that the facilities be reasonably related
"on the basis of geography" or "on the
basis of the threat or potential threat to
the public health or welfare or the
environment" 4 Once the decision is
made to treat two or more facilities as
one site, wastes from the several
facilities could be managed in a
coordinated fashion at one of the
facilities and still be an "on-site" action,
within the permit waiver of CERCLA
section 121(e)(l).
  In evaluating the appropriateness of
aggregating two facilities, EPA evaluates
one or both of the statutory criteria. The
threshold issue is generally whether the
two facilities are "related based on the
threat posed," such that it makes sense
under CERCLA to treat two or more
contamination problems as one; the
criterion of "waste treatment
compatibility," discussed in the
proposal, is one measure of this. For
example, where wastes at two CERCLA
facilities are similar or identical, and are
appropriate for like treatment or
disposal, it may be both protective of
health and the environment and cost-
effective to treat the two facilities as
one site, and to take a coordinated
response action. The treatment facility
built on-site at the first facility (which
would not need a permit pursuant to
CERCLA 121(e)(l)) could then accept
wastes from other contaminated areas
"on-site"—i.e., from the second
facility—without the need for a permit.
This allows response actions to proceed
expeditiously and cost-effectively.
-  The analysis of whether facilities that
are "related based on the threat posed"
should be aggregated may. in
appropriate cases, also consider the
distance between the facilities,
especially where transportation risks
are high (such as for highly volatile
wastes or for transfers through heavily
populated areas), or where
transportation costs would be high
(calling into question the cost-
effectiveness of such an option).
  Alternatively, EPA may consider
whether the sites are "related based on
geography," e.g., noncontiguous
CERCLA facilities may both represent
significant sources of contamination to a
.common ground-water aquifer or surface
water stream. Here again, factors such
as the distance between the facilities
and the cost-effectiveness of the
aggregated response may also be
appropriate for consideration.
  In any analysis under section
104(d)(4). EPA also believes that it is
critical to consider the views of the
affected state or states, as well as those
of the affected communities (especially
those persons living near the facility
that would receive waste from other,
noncontiguous facilities). Thus. EPA
cannot precisely define what distance is
appropriate for the aggregation of
noncontiguous facilities. EPA will
evaluate, on-a case-by-case basis, the
distance between facilities and the other
factors discussed herein, to decide
whether it is appropriate to treat two
noncontiguous facilities as one under
CERCLA section 104(d)(4).5
  Another commenter recommended
that the proposal be broadened to cover
areas needed for transportation, storage,
and/or treatment at centralized
locations on an installation where
similar removal or remedial actions can
be taken at more than one site.
  In response, the authority to treat two
noncontiguous facilities as one site is
limited under section 104(d)(4) to
CERCLA facilities (a "facility," as
defined in CERCLA section 101(9), is
generally "any site or area where a
hazardous substance has * * *  come to
be located"); thus, to the extent that the
commenter was suggesting that a
centralized location that is not a
CERCLA facility may be aggregated
with noncontiguous CERCLA facilities.
EPA disagrees. Such an approach would
go beyond the terms of section 104(d)(4).
and would result in an improper
  * Note that facilities may be aggregated for Fund-
financed remedial response (as compared to
removal or enforcement response) only if both
facilities have been listed on the NPL. (See final rule
§300.425(01(3).)
  * Note that as a matter of poKcy. «nd due in part
to special provisions in the Hazard Ranking System
model (e.g.. the three mile radius evaluation area).
EPA applies more restrictive criteria to potential
site aggregations for the purposes of NPL listings
(see 48 FR 40663. Sept. 8.1883).

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            Federal Register  /  Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules and Regulations
                                                                                                             8691
expansion of the permit waiver for
CERCLA actions conducted "entirely
on-site." If s party wishes to establish a
treatment or disposal facility at a
location that is not within EPA's
definition of on-site, it may do so, but it
must secure the appropriate permits.
  Many comments were received on the
option of limiting application of section
104[d)(4] to facilities that are under
common ownership. Some commenters
objected to aggregating facilities of
different ownership because of liability
problems. They noted that PRPs at one
site could be liable for the entire amount
of response costs at the site where on-
site activity occurs. A commenter stated
that common ownership may lessen
some of these legal concerns. One
commenter recommended that EPA
grant PRPs releases from liability with
respect to sites where they did not send  •
CERCLA substances, or that PRP
consent will be obtained, before the lead
agency employs centralized treatment.
Another stated that extending this
aggregation concept to facilities with
different owners would, in effect, allow
Superfund sites to take the place of
permitted waste management facilities
and goes far beyond the scope of the
permit exemption.
  Other commenters believed that
applying CERCLA section 104(d)(4) to
facilities of multiple ownership was
acceptable. One commenter stated that
EPA should treat noncontiguous sites as
one site when the properties are owned
by the same entity or owned by separate
entities that agree to the arrangement.
Some commenters supported multiple
ownership but took note of the liability
problem. One opined that EPA does not
have the authority to make PRPs at
noncontiguous sites responsible for
activities at another site. Another
suggested that PRP liability would have
to be limited to the amount of liability
that would have existed if each site
were remediated separately.
  In response, the question of whether
noncontiguous facilities are commonly
owned may appropriately be among the
factors for consideration in deciding
whether or not to treat noncontiguous
facilities as one site; however, EPA
disagrees that common ownership
should be a necessary condition for
coordinating response actions at
noncontiguous facilities. At many sites,
there are numerous, disparate PRPs
although the environmental threat, and
the response technology may be the
same. limiting application of CERCLA
section 104(d){4) to sites of common
ownership would be unduly restrictive,
with no gain in environmental
protection. Rather. EPA's interpretation
will allow for consolidated treatment or
disposal responses at one unit rather
than at several units, resulting in
advantages in terms of cost, efficiency,
and protection of human health and the
environment.
  EPA recognizes commenters* concerns
regarding liability, but believes that the
liability issue is separate and distinct
from the question of whether two
facilities are appropriate for treatment
as one site; the latter issue must be
evaluated on its own merits. EPA acts to
treat noncontiguous facilities as one site
where to do so would be in the best
interests of achieving sound and
expeditious environmental cleanups..
Liability issues potentially arise from.
every response action, whether waste is
left on site or is sent to a disposal
facility off-site. Indeed. EPA does not
believe that a decision to transfer waste
from a CERCLA facility to a
noncontiguous CERCLA facility as part
of an EPA-authorized response action
will result in a higher risk of liability
Shan would the transfer of CERCLA
wastes to an off-site commercial  .
treatment or disposal facility. That risk
of future liability is inherent in the
hazardous nature of the waste, and in
the quality of the treatment or disposal
technology used; it does not result from
this rule.
  The commenter opposed to EPA's
proposal argued that the attempt to
include multiple sites within the •
definition of on-site may allow
particular ecological areas, or limited
segments of the population, to receive
the adverse impacts of incineration or
disposal for distant sites without the
benefit of permit review.
   In response to comments suggesting
that PRPs and communities may be
adversely affected by the application of
this policy, it is important to note that
where the lead agency plans to take a
consolidated response action at two or
more  noncontiguous CERCLA facilities,
the agency will solicit public comment
on the proposed remedy. PRPs and
members of the public at all of the
noncontiguous facilities will be afforded
an opportunity to comment on the
wisdom of aggregating the sites and
taking a coordinated response action.
Indeed, as noted above, EPA has
identified consultation with the state(s)
and public as a critical factor in
deciding whether or not to treat the
facilities as one site.
   Finally, EPA wishes to clarify that
even  where noncontiguous facilities are
treated as one site, activities at the
aggregated site must comply with (or
waive) substantive requirements of
federal or state environmental laws that
are ARARs. In addition, even where
noncontiguous facilities are treated as
one site, movement of hazardous waste
from one facility to another will be
subject to RCRA manifest requirements.
  Filial rule: I. EPA is revising the
proposed definition of "on-site"' in
f § 300.5 and 300.400{e)(l] as follows:
  On-site means the areal extent of
contamination and all auitable areas in very
dose proximity to the contamination
necessary for implementation of the response
action.
  2. Reference to CERCLA sections 120
and 121 is added to § 300.400(e)(l).
  Name: Treatability testing and on-site
permit exemption.
  Proposedrule:the preamble to the
proposed rule stated that the term on-
site does not extend to a distant facility
that may be conducting a treatability
test {53 FR 51407).
  Response to comments: One
commenter supported a
recommendation submitted by the
Hazardous Waste Treatment Council
(HWTC), summarized in the preamble to
the proposed NCP. that EPA modify the
NCP to permit treatability testing
without the need to obtain a RCRA
permit (53 FR 51407). EPA responded in
the preamble to the proposed rule that
adjustments to permitting requirements
to encourage treatability testing should
be accomplished by modifying RCRA
regulations. EPA disagreed that the term
on-site should be extended to
encompass treatability testing at off-site
facilities.
  A commenter on this discussion in the
preamble to the proposed rule stated
that modifying RCRA rules may not be
effective for CERCLA responses
because, even if EPA did so, states are
not required to modify their RCRA
regulations to be consistent with EPA's
revision. The commenter recommended
that EPA expand the permitting
exemption to include treatability tests
conducted to support remedy decisions
at CERCLA sites and promulgate the
exemption in a separate fast-track
interim final rule.
   In response, as explained in the
preamble to the proposed NCP. EPA
believes that "to the extent that it is
appropriate to adjust permitting
requirements to encourage treatability
testing, that should be accomplished by
directly modifying the RCRA regulations
to address such testing generally" (53 FR
51408). As the commenter. has pointed
out a rule has been issued under RCRA
to expand the RCRA permitting
exemption at 40 CFR 261.4 to include
waste samples used to conduct small-
scale treatability tests. 53 FR 27290, July

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   8692      Federal Register / Vol. 35, No. 46 / Thursday. March 8. 1990 f Rules and Regulations
  19,1988. That rule was issued after the
  public was provided notice and
  comment opportunities.
    Although the commenter is not fully
  satisfied by the result of that RCRA
  rulemaking (speculating that the
  exemption may not be implemented
  quickly, and that some states may
  decide not to implement it at all], EPA is
  satisfied that the proper federal
  regulatory action has been taken.
  Further, if the commenter and other
  members of the public are concerned
  that states mayjiot follow the federal
  example, they are free to urge state
  governments to take prompt and similar
I  action. However, EPA holds to its belief
  that the RCRA rulemaking is the proper
  forum for deciding whether a RCRA
  permit should be required for
  treatability tests, including off-site
  treatability tests conducted in support of
  a CERCLA action.
    EPA also declines to follow the
  commenter's recommendation that EPA
  interpret the permit exemption in
  CERCLA section 121{e) to reach non-
  proximate, off-site treatability tests. The
  CERCLA permit exemption applies  to
  removal or remedial actions conducted
  "entirely on-site." Although EPA has
|  interpreted the term "on-site" to include
  certain proximate areas not formally
  within the area of contamination, that
  interpretation has been a limited one.
  EPA has included within "on-site" only
  those areas that are both in "very close
  proximity" to the contamination and
  "necessary for implementation of the
  response action." As explained in the
  preamble to the proposed and final  NCP.
  such an interpretation is necessary  to
  give practical meaning to the permit
  exemption and to expedite cleanup
  actions. EPA does not believe, however.
  that the language of the statute can be
  interpreted so broadly as to
  accommodate the commenter's request.
  As EPA noted in the preamble to the
  proposed NCP, "EPA does not believe
  that the term 'on-site' can extend to a
  distant facility that  may be conducting a
  treatability test." (S3 FR 51408).
    Final rule: There is no rule language
  on this issue.
    Name: Section 300.400(h). PRP
  oversight.
    Proposed rule: Proposed § 300.400(h)
  states that the lead  agency "may
  provide oversight for actions taken by
  potentially responsible parlies to ensure
  that a response is conducted consistent
  with this (rulemaking]." The section also
  slates that the lead  agency may oversee
  actions by third parties at a site.
    Response to comments: Several of
  those who commented requested
  stronger language in the NCP preamble
 and the above sections clarifying that
 EPA will provide for site oversight, and
 not that it "may" provide oversight;
  EPA agrees with the comment and
 will provide oversight for an
 enforcement action under CERCLA.
  Final rule: Proposed § 300.400(h) is
 amended to include the following
 language: "EPA will provide oversight
 when the response is pursuant to an
 EPA order or federal consent decree."

 Section 300.405. Discovery or
 Notification

  Name: Section 300.5. Definition of
 "CERCLIS."
  Proposed rule: Section 300.5 of the
 proposed rule defined CERCLIS as
 EPA's comprehensive data base and
 management system that inventories
 and tracks releases addressed by the
 Superfund program. The section stated
 that CERCLIS contains three distinct
 inventories: CERCLIS Removal
 Inventory. CERCLIS Remedial
 Inventory, and CERCLIS Enforcement
 Inventory. The proposed definition of
 CERCLIS also stated that it contains a
 record of both "active releases" and
 "inactive releases". The definition noted
 that records of these releases  are
 retained in the database as an historical
 record.
• Response to comments: One
 commenter suggested  several changes to
 the definition of CERCLIS. First, the
 commenter suggested  that the definition
 of CERCLIS should be clarified to
 indicate whether a site can be on more
'than one of the three sub-inventories at
 the same time. Second, the definition of
 CERCLIS should state that the term
 "inactive release" is replacing the "no
 further action" designation. Third, EPA
 should specifically state in the
 definition, as it does in the preamble.
 that once a "no further action"
 determination has been made, the site
 listing will be archived as an historical
 record and that for routine informational
 and dissemination purposes only active
 sites will be listed.
  The commenter has pointed to several
 statements in the definition of CERCLIS
 and in the preamble description of that
 definition that need to be clarified. First.
 CERCLIS contains data integrated from
 the pre-remedial, remedial, removal, and
 enforcement sections of the Superfund
 program; however, it does not contain
 distinct sub-inventories for each of these
 program areas (although CERCLIS has
 the flexibility to  retrieve each of these
 areas separately for tracking,  planning
 or analysis purposes). Thus, there is
 only one CERCLIS inventory.
  Second, the use of the terms "active
 releases" and "inactive releases" in the
proposal may have been misleading.
since EPA does not use these terms to
categorize sites in CERCLIS. Sites that
EPA decides do not warrant moving
further in the site evaluation process are
given a "No Further Response Action
Planned" (NFRAP) designation in
CERCLIS. This designation signifies that
no additional federal steps under
CERCLA will be taken unless
information later indicates that this
decision was incorrect
  The commenters' last point which
stems from a statement in the preamble
to the proposed revisions to the NCP,
also deserves clarification. EPA does
not make a distinction for information
dissemination purposes between NFRAP
sites and sites that will continue in the
site evaluation process. The public has
access to information on all sites listed
in the CERCLIS database. (See next
preamble section for further discussion
of the purpose of CERCLIS.} Sites
remain in the database after they have
been evaluated to document such
evaluation and to avoid unnecessary
repetition of evaluation activities.
  Final rule: EPA has modified the
proposed definition of CERCLIS to
clarify several points noted by the
commenter and to bring the definition
more in line with current Superfund
practice. The final rule's definition of
CERCLIS deletes language that indicates
that there are separate sub-inventories
for removal,  remedial, and enforcement
sites. In addition, the final rule drops the
terms "active release" and "inactive
release" and uses the term "No Further
Response Action Planned." The
promulgated definition is:
  CERCLIS is the abbreviation of the
CERCLA Information System. EPA's
comprehensive data base and management
system that inventories and tracks releases
addressed or needing to be addressed by the
Superfund program. CERCLIS contains the
official inventory of CERCLA sites and
supports EPA's site planning and tracking
functions. Sites that EPA decides do not
warrant moving further in the site evaluation
process are given a "No Further Response
Action Planned" (NFRAPJ designation in
CERCUS. This means that no additional
federal steps under CERCLA will be taken at
the site unless future information so
warrants. Sites are not removed from the
data base after completion of evaluations in
order to document that these evaluations
took place and to preclude the possibility that
they be needlessly repeated. Inclusion of a
specific site or area in the CERCLIS data
base does not represent a determination of
any party's liability, nor does it represent a
finding that any response action is necessary.
Sites that are deleted from the NPL are not
designated NFRAP sites. Deleted sites are
listed in a separate category in the CERCUS
data base.

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            Federal Register / Vol. 55. No. 46 / Thursday, March 8,  1990 / Rules and Regulations
                                                                       6693
  Name: Sections 300.405. 300.410(h) and
300.415(e). Listing sites in CERCLIS.
  Proposed rule: Proposed
§ 300.405(f)(2) stated that when
notification indicates that a removal
action is not  required, a remedial action
may be performed and the release will
be listed in CERCLIS. Proposed
§ 300.415(e) referred to listing releases in
the CERCLIS removal inventory.
  Response to comments: Several
commenters  suggested changes to the
criteria used by EPA to list sites in
CERCLIS. One commenter proposed that
EPA not list in CERCLIS sites that had
already been remedied since the time
they were first discovered. In addition,
the commenter urged EPA to adopt a
delisting procedure for sites in CERCLIS
that had already been remedied. The
commenter noted that an alternative to
this suggestion would be to keep two
distinct lists—one for "resolved sites"
and a second for "unresolved sites." A
second commenter suggested that where
a notifier is "doubtful" that a release has
occurred, no  such qualified release
report should be included in CERCLIS
without independent verification that a
legally reportable release did occur.
  In response, EPA believes that the
commenters  have attached more
significance than is warranted to the
listing of a site in CERCLIS. As noted in
the definitions section of this rule
(§ 300.5), CERCLIS is a computerized
database in which EPA stores
management information on all sites
evaluated under the Superfund program.
Sites are discovered through a wide
variety of mechanisms, including such
diverse sources as formal notification
requirements and citizen telephone calls
and. as appropriate, are placed in
CERCLIS. Those sites that are included
in CERCLIS are not removed from the
database after completion of
evaluations in order to document that
these evaluations took place and to
avoid unnecessary repetition of
evaluation activities. Inclusion of a
specific site or area in  the CERCLIS
database does not represent a finding of
liability or a determination that
response action is necessary. EPA also
does not believe that significant
financial liability can be inferred fay the
mere fact that a site is on CERCLIS.
  The assumption that substantial, or
any, risk to public health and the
environment is associated with a site
contained in CERCLIS is largely
inaccurate. The percentage of sites going
on to the National Priorities List, which
is EPA's list  of sites believed to pose
environmental threats significant
enough to warrant detailed evaluation
for possible  remedial action under
Superfund. is now between 2 percent
and 7 percent of those assessed. A full
50 percent of CERCLIS sites are
eliminated from further consideration at
the first step of the process, the
preliminary assessment (PA).
  Sites that EPA decides do not warrant
moving further in the processs are given a
"No Further Response Action Planned
(NFRAP)" designation in CERCLIS. This
means that no additional federal steps
will be taken at the site unless
information arrives from some source
indicating that this decision was
incorrect. It is particularly important to
note that EPA's NFRAP decision does
not mean that there is no hazard
associated with a given site; it means
only that based on available information
at that time, EPA does not plan to take
further action under CERCLA. States are
notified of all NFRAP decisions in order
to inform them that the federal
government does not plan to proceed
further, and to allow states the
opportunity to share any additional data
they may have that would change the
decision. A small percentage of NFRAP
sites are returned to active
consideration through this mechanism
each year.
  Accordingly, EPA is deleting language
in the rule that implies that a release is
entered  into CERCLIS after a remedial
evaluation has been performed. In fact,
sites are generally  entered into CERCLIS
before a remedial evaluation has been
performed. Thus, EPA is revising this
rule language to more accurately reflect
EPA evaluation practice.
  Also, consistent  with the explanation
in the previous preamble section that
CERCLIS does not  contain distinct
inventories for the  removal, remedial
and enforcement programs,  references
to removal and remedial inventories
have been deleted  from proposed
§§ 300.405(f)(2). 300.410(h) and
300.415(e).
  A sentence has been added to
§ 300.405(g) clarifying that federal
agencies are not legally obligated to
comply with the requirements of Title III
because they are not included in the
Title III definition of "person" contained
in section 329(7). Federal agencies are
encouraged, however, to establish
programs to implement Title III to the
extent practicable  at their facilities.
  Many federal facilities have already
established procedures for working with
local emergency planning committees
and state emergency response
commissions on compliance with the
emergency planning and reporting
requirements under Title HI.
  Final rule: Proposed § § 300.405 and
300.415(e) are revised as follows:
   1. The last sentence in proposed
§ 300.405(b) is revised as  follows (see
explanation in preamble discussion on
§ 300.615): "If it is not possible to notify
the NRC or predesignated OSC
immediately, reports may be made
immediately to the nearest Coast Guard
unit. In any event, such person in charge
of the vessel or facility shall notify the
NRC as soon as possible."
  2. The reference to the "CERCLIS
Remedial Inventory" has been deleted
from proposed § 300.405(f)(2).
  3. The following sentence has been
added to § 300.405(g): "Federal agencies
are not legally obligated  to comply with
the requirements of Title III of SARA."
  4. Proposed § 300.415(e) on CERCLIS
removal inventory is deleted. The
sections in § 300.415 have been
renumbered.

Sections 300.410 and 300.420. Removal
and Remedial Site Evaluations

  Name: Section 300.410. Removal site
evaluation.
  Proposed rule: Proposed  § 300.410
describes the removal site evaluation
process, but does not address funding
constraints placed on the evaluation or
PRP participation in the evaluation.
  Response to comments: One
commenter recommended including NCP
preamble language that would authorize
the OSC to use outside scientific experts
during the removal site evaluation,
providing that the PRP is willing to pay
for such scientific support.
  There is nothing in the statute to
prevent or discourage the use of
additional scientific fact  experts at a.
site provided PRPs are willing to pay for
it themselves. The discussion in the
preamble to the proposed § 300.410
suggested such additional activity is
permissible with OSC oversight: "There
may also be instances of voluntary
response where the OSC provides
monitoring to assure proper response
and to avoid a situation where followup
action would be needed" (53 FR 51409).
Any data generated by outside scientific
experts would have  to conform to
appropriate provisions of the NCP in
order to be used as the basis for
decisions under CERCLA.
  Final rule: EPA is promulgating
§ 300.410 as proposed except for a
revision to  § 300.410(g) (see preamble
section  below) and deletion of the last
sentence in §  300.410(h) (see preamble
section  above on listing sites in
CERCUS).
  Name: Section 300.410(c){2). Removal
site evaluation. Section 300.420(c)(5).
Remedial site evaluation.
  Proposed rule: Section 300.410(c)(2)
details the steps of a removal
preliminary assessment. Section

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                                                                                       I
8694      Federal Register / Vol. 55. No. 46  / Thursday. March 8. 1990 / Rules  and Regulations
300.420{c){5) describes the information
contained in a'lead-agency report
following completion of a remedial site
investigation, including documentation
as well as sampling data and potential
risks to humans and the environment
  Response to comments: A commenter
asked that the NCP state that
reasonable efforts will be made during
the site investigation phase to identify
PRPs and provide them copies of the
preliminary assessment/site
investigation [PA/SI] report and an
opportunity to comment.
  The removal and remedial processes
as currently outlined in the NCP provide
PRPs with a reasonable opportunity to
review and comment on lead agency
actions at a site when the proposed plan
is made available. Before this time,
documents placed in the administrative
record, including the PA/SI, are
available for public inspection. In
addition. PRPs that are interested in
more extensive involvement in the
investigation process may agree to
undertake removal or remedial actions
through a settlement agreement with
EPA. They may be granted substantially
more site involvement than non-settling
PRPs.
  Extending the formal review and
comment period to PRPs as far back in
the removal and remedial process as the
PA/SI stage would unnecessarily slow
down preliminary fact-gathering at a
site. In cases where removal actions are •
considered emergency or time-critical.
such review and comment time would
unjustifiably delay response to a
dangerous situation. Also, in most cases.
the PRP search has not been completed
or even started in a  comprehensive
manner at the time of the PA/SI.
Accordingly, specifying formal
procedures for PRP involvement at that
time is not practical.
  Final rule: EPA is promulgating
§§ 300.410(c)(2) and 300.420(c)(5) as
proposed.
  Name: Section 300.410(g). Notification
of natural resource trustee.
  Final rule: Section 300.4IO[g] is
revised as follows (see preamble
discussion on § 300.615):
  If natural resources are or may be injured
by the release, the OSC or lead agency shall
ensure that state and federal trustees of the
affected natural resources are promptly
notified in order that the trustees may initiate
appropriate actions, including those
identified in subpart G of this part. The OSC
or lead agency shall seek to coordinate
necessary assessments, evaluations.
investigations, and planning with such state
and federal trustees.
  Name: Sections 300.415(b)(4} and
300.420{c){4). Sampling and analysis
plans.
  Proposed rule: Proposed | 300.415 did
not describe sampling requirements.
Proposed § 300.420(c)(4) described the
procedures necessary for preparing a
site-specific sampling plan for a
remedial site inspection.
  Response to comments: One
commenter stated that EPA should
revise § 300.420(c)(4) to specify review
of the sampling plan to ensure that
appropriate sampling and quality
control-procedures are followed. In
response. EPA is revising  the description
of the site-specific sampling plan in
proposed § 300.420(c)(4) to conform with
the purpose of the quality assurance
project plan (QAPP) defined in § 300.5
and the QAPP and sampling and
analysis plan described in
§ 300.430[b)(8), which states that such
plans will be approved by EPA. This
change emphasizes the similarity of
these activities in the site evaluation
and remedial investigation parts of the
program. In addition. EPA believes that,
when samples will be taken, it is
appropriate to describe sampling
requirements for non-time-critical
removal actions to ensure that data of
sufficient quality and quantity will be
collected for this type of action.
  EPA also notes that portions of the
QAPP may incorporate by reference
non-site-specific standardized portions
of already-approved QAPPs, especially
those portions addressing policy and
organization, or describing general
functional activities to be conducted at a
site to ensure adequate data. This
eliminates the necessity to reproduce
non-site-specific quality assurance
procedures for every site.
  Final rule: Proposed §§ 300.415{b)(4)
and 300.420(c)(4) are revised as follows:
  1. In § 300.415(b)(4), a requirement has
been added for developing a sampling
and analysis plan, when samples will be
taken.
  2. Section 300.420(c)(4)  is revised to
better describe the required contents of
the sampling and analysis plan.

Section 300.415. Removal Action.

  Name: Section 300.415(b)(5)(ii).
Removal action statutory exemption.
  Proposed rule: CERCLA section
104(c)(l)(C) provides a new exemption
to the statutory limits on  Fund-financed
removal actions of S2 million and 12
months. This exemption,  stated in the
NCP in § 300.415(b3(5)(ii). is applicable
when continued response is otherwise
appropriate and consistent with the
remedial action to be taken. EPA
expects to use the exemption primarily
for proposed and final NPL sites, and
only rarely for non-NPL sites (see 53 FR
51409).
         :         ,                 ,
•   Response to comments: One
 commenter supported EPA's proposal to
 allow waiver of the limits on Fund-
 financed removal payments if such an
 exemption is consistent with remedial
 actions.
   One commenter stated that the
 decision to engage in a removal action
 should be based on site conditions and
 their impact on health and the
'environment, not cost or time; that once
 EPA concludes that a removal action is
 appropriate, the various alternatives
 should be analyzed at both likely NPL
 and non-NPL sites equally. The
 commenter felt that EPA should use the
 consistency exemption more liberally
 where time, rather than money, was the
 complicating factor.
   In response. Congress has made the
 determination that cost and time are
 relevant factors in deciding how
 extensive a Fund-financed removal
 action may be: thus, contrary to the
 commenter's remark. EPA will continue
 to consider such factors. Further,
 Congress did not differentiate between
 time and dollar limits in setting the
 exemptions; EPA notes that exceeding
 the time limit will often also increase the
 cost of a removal action, even though it
 does not necessarily raise the cost to
 over $2 million. Thus, EPA does not
 believe it should set different criteria for
 their use.
   The new exemption from the time and
 dollar limits applies to any Fund-
 financed removal and thus encompasses
 state-lead as well as EPA-lead
 responses. Actions where EPA has the
 lead, but is  to be reimbursed by private
 parties or other federal agencies, are
 still subject to the statutory limits and
 provisions for exemption.
   Because the  exemption requires
 consistency with the remedial action to
 be taken, its use is well suited to
 proposed or final NPL sites where
 remedial action is likely to be taken. It
 may also be appropriate to use this
 exemption at some non-NPL sites where
 justified on a case-by-case basis.
   Final rule: EPA is promulgating the
 rule as proposed.
   Name: Section 300.415(i). Removal
 action compliance with other laws.
   Existing rule: The current NCP in
 § 300.65(f) requires that Fund-financed
 removal actions and removal actions
 pursuant to CERCLA section 106 attain
 or exceed, to the greatest  extent
 practicable considering the exigencies of
 the circumstances, applicable or
 relevant and appropriate federal public
 health and  environmental requirements.
 Other federal criteria, advisories, and
 guidance and state standards are to be

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              Federal Register  / Vol. 55. No. 46 / Thursday, March 8. 1990  / Rules and Regulations       8695
  considered, as appropriate, in
  formulating a removal action.
    Proposed rale: Proposed § 300.415(j)
  (renumbered as 300.415(ij in the final
  rule) required that removal actions
  attain, to the extent practicable
 . considering the exigencies of the
  situation, all state as well as federal
  applicable or relevant and appropriate
  requirements (ARARs).6 Other federal
  and state criteria, advisories, and
  guidance shall, as appropriate, be
  considered in formulating the removal
  action. The proposed revisions also note
  that statutory waivers from attaining
  ARARs may be used for removal
  actions. In addition, the preamble to the
  proposed revisions provided guidance
  clarifying three factors to be considered
  in determining the "practicability" of
  complying with ARARs: The exigencies
  of the situation, the scope of the removal
  action to be taken, and the effect of
 ARAR attainment on the removal
 statutory limits for duration and cost (53
 FR 5141O-11).
   Response to comments: Several
 conunenters supported the proposed
 revision to the NCP requiring that both
 federal and state ARARs be complied
 with when conducting removal actions.
 One commenter asked what
 documentation is required to show that
 ARARs have been identified and
 requested that EPA develop guidance
 providing hypothetical conditions
 describing the extent to which ARAR
 analysis should be performed. Another
 commenter stated that non-Fund-
 financed removal actions conducted at
 federal facilities also should be required
 to comply with ARARs.
  In opposition to the proposal, a
 number of commenters pointed out that
 Congress did not intend that removal
 actions be required to comply with.
 ARARs. The commenters suggested that,
 based on the legislative history.
 Congress intended that only remedial
 actions be subject to compliance with
 ARARs. According to one commenter.
 the legislative history states that ARARs
 do not apply during removal actions
 because removal actions are short-term,
 relatively low-cost activities of great
 urgency that should be free of the delays
 that may arise if it is necessary to
 identify and attain ARARs.
  Other commenters suggested that
 attainment of ARARs should not be
 required during removal actions because
 removal actions are not intended to
 completely clean up a site, but rather to
quickly eliminate or control an
  • Nole that proposed S 300.«5(e) has been
deleted (see preamble section above on "Listing
sites in CERCLIS." and the remaining sections in
§ 300.415 have been renumbered.
  immediate threat The commenters
  argued that compliance with ARARs is
  based on what remains on site after an
  entire remedy is completed, not after a
  particular problem is controlled. In
  addition, several commenters argued
  that the main purpose of the removal
  program is quick mitigation of threats,
  and that requiring ARARs to be
  complied with during removal actions
  undermines this purpose by slowing
  down the cleanup process. The
  commenters suggested thai: *uch
  procedural delays as identification of
  ARARs will hinder the removal
  program's ability to respond to
  emergencies swiftly.
   Several additional commenters
  suggested that requiring attainment of
  ARARs discourages PRPs from
  undertaking removal actions. Fund-
  financed removals can use the statutory
  limits to limit attainment of ARARs;
  those limits do not apply to PRP actions.
   One commenter opposed the provision
 that requires OSCs to justify why they
 are not attaining ARARs during a
 specific removal action. The commenter
 argued that the prospect of an OSC
 being required to justify why he or she is
 not attaining all ARARs is inconsistent
 with removal program objectives.
   Other commenters believed that the
 current policy concerning compliance
 with ARARs during removal actions
 should be replaced with a more
 discretionary policy. They suggested
 that OSCs should only be required to
 comply with ARARs that are most
 crucial to the proper stabilisation of the
 site and protection of public health and
 the environment.
   In response, EPA has carefully
 reviewed this issue in light of the public
 comments, and believes a number of
 clarifying points need to  be made. First.
 as a threshold matter, EPA agrees that
 Congress-did not, in the 1986
 amendments to CERCLA. "require" EPA
 to meet ARARs during removal actions.
 However, it has been EPA's policy since
 1985, established in the NCP, to attain
 ARARs during removals to the extent
 practicable, considering the exigencies
 of the situation. EPA believes that this is
 still a sound policy. Reference to
 requirements under other laws (i.e.,
 ARARs) help to guide EPA in
 determining the appropriate manner in
 which to take a removal action at many
 sites.
  If. for example, a component of the
removal action is to discharge treated
waste to a nearby river or stream,
effluent limitations based on federal or
state water quality criteria will be useful
in determining the extent of such
treatment. Today's policy is consistent
  with section 105 of CERCLA which
  directs that the NCP include methods
  and criteria for determining the
  appropriate extent of removals. Thus.
  EPA is maintaining the policy described
  in the preamble to the proposed NCP,
  although EPA has modified the factors
  to be considered in determining
  practicability.
    A number of other comments
  questioned the extent to which removals
  should attempt to attain ARARs. In
  responding to such comments, it is
  important to note that the policy that
  removals comply with ARARs to the
  extent practicable is defined in large
  part by the purpose of removal actions.
    The purpose of removal actions
  generally is to respond to a release or
  threat of release of hazardous
  substances, pollutants, or contaminants
  so as to prevent, minimize, or mitigate
  harm to human health and the
  environment Although all removals
 must be protective of human health and
  the environment within then- defined
 objectives, removals are distinct from
 remedial actions in that they may
 mitigate or stabilize the threat rather
 than comprehensively address all
 threats at a site. Consequently, removal
 actions cannot be expected to attain all
 ARARs. Remedial actions, in contrast,
 must comply with all ARARs (or invoke
 a waiver). Indeed, the imposition by
 Congress of limits on the amount of time
 and Fund money that may be spent
 conducting a removal action often
 precludes comprehensive remedies by
 removal actions alone. Removal
 authority is mainly used to respond to
 emergency and time-critical situations
 where long deliberation prior to
 response is not feasible. All of these
 factors—limits on funding, planning
 time,  and duration, as well as the more
 narrow purpose of removal actions—
 combine to circumscribe the
 practicability of compliance with
 ARARs during individual removal
 actions. Indeed, the vast majority of
 removals involve activities where
 consideration of ARARs is not even
 necessary, e.g., off-site disposal.
 provision of alternate water supply, and
 construction offences, dikes and
 trenches.
  Further, it should be noted that
 requirements are ARARs only when
 they pertain to the specific action being
conducted. If. for example, a site has
leaking drums, widespread soil
contamination, and significant ground-
water contamination, the removal action
at the site might only involve actions
necessary to reduce the near-term
threats, such as direct contact and
further deterioration of the ground

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 8696      Federal Register / Vol. 55, No. 46 / Thursday. March 8. 1990  /  Rules and Regulations
 waten thus, the removal action might he
 limited to removal of the drums and
 surface debris and excavation of highly
 contaminated soil. Requirements
 pertaining to the cleanup of ground-
 water contamination would not be
 ARARs for that action because the
 removal action is not intended to
 address ground waten rather,
 requirements pertaining to the drums.
 surface debris, or contaminated soil may
 be ARARs for the specific removal
 action. Once the lead agency makes the
 determination that the requirements are
 ARARs for a removal, then it must
 determine whether compliance is
 practicable.
   It will generally be practicable for
 removal actions to comply with ARARs
"that are cpnsistent with the goals and
 focus of the removal. However, as
 stated above, removals are intended to
 be responses to near-term threats, with
 the ability to respond quickly when
 necessary; thus. ARARs that would
 delay rapid response when it is
 necessary, or cause  the response to
 exceed removal goals, may be
 determined to be impracticable. Of
 course, even where  compliance with
 specific ARARs is not deemed
 practicable, the lead agency for a
 removal must use its best judgment to
 ensure that the action taken is
 protective of human health and the
 environment within the defined
 objectives of the removal action.
   In order to better  explain how a lead
 agency can determine when compliance
 with an ARAR is practicable, the
 preamble to the proposed NCP included
 three factors for consideration:
 Exigencies of the situation, scope of the
 removal action and  the statutory limits
 (S3 FR 51410-11). Upon consideration of
 comments, EPA has decided to
 enumerate in the rule only two of those
 three factors as  important for
 determining practicability: Urgency
 (simply renaming exigencies) of the
 situation, and scope of the removal
 action. EPA believes that statutory
 limits, because they relate to the
 authority to conduct removal actions,
 are easier to consider within, rather
 than apart from, the factor of scope of
 the removal action when determining
 whether compliance with an ARAR is
 practicable.
   The factor of urgency of the situation
 relates to the need for a prompt
 response. In many cases, appropriate
 response activities must be identified
 and implemented quickly in order to
 ensure the protection of human health
 and the environment. For example, if
 leaking drums pose a danger of fire or
 explosion in a residential area, the
drums must be addressed immediately,  .
and it will generally be impracticable to
identify and comply with all potential
ARARs.
  The second factor, the scope of the
removal action relates to the special
nature of removals in that they may be
used to minimize and mitigate potential
harm rather than totally eliminate it.
Removals are further limited in the
amount of time and Fund money that
may be expended at any particular site
in the absence of a statutory exemption.
Again, using the example above, even
though standards requiring cleanup of
the lower level soil contamination
would be an ARAR to that medium, they
would be outside the scope of the
removal action when such cleanup is not
necessary for the stabilization of the
site, or when it would cause an
exceedance of the statutory limits and
no exemption applied. Hence, such soil
standards, while ARARs. would not be
practicable to attain considering the
exigencies of the situation. Of course,
such standards may be ARARs for any
remedial action that is subsequently
taken at the site.
  EPA disagrees with the comment that
requiring PRPs to comply with'ARARs
to the extent practicable discourages
PRPs from conducting removals because
the statutory limits do not apply to non-
Fund-financed actions. Although-the
limits apply by law to Fund-financed
actions only, EPA has the discretion
under CERCLA section 104(c)(l) to take
removal actions that exceed those
limits, in emergency situations or where
the action is otherwise appropriate and
consistent with the remedial action that
may be taken at the site. EPA will select
the appropriate remedy, even where an
extensive removal action is warranted,
regardless of whether the site is Fund-
lead or PRP-based. The only difference
is that if the site is Fund-lead, an
exemption must first be invoked in order
to proceed with the action. Thus, the
time and dollar limitations generally will
not result in PRPs performing a more
extensive removal than EPA itself would
conduct. That is. EPA's selection of a
removal action, including what ARARs
will be attained, will not be based on
who will be conducting the removal.
  Finally, as stated in the preamble to
the proposed NCP (53 FR 51411). even if
attainment of an ARAR is practicable
under the factors described above, the
lead agency may also consider whether
one of the statutory waivers from
compliance with ARARs is available for
a removal action. EPA is developing
guidance on the process of complying
with ARARs during removal actions.
EPA generally will only require
 documentation of ARARs for which
 compliance is determined to be
 practicable, in order not to burden OSCs
 with substantial paperwork
 requirements.
  Final rule: Proposed § 300.415(j)
 (renumbered  as final § 300.415{i)} is
 revised as follows:
  1. The following has been added to
 identify factors that are appropriate for
 consideration in determining the
 practicability of complying with ARARs:
  In determining whether compliance with
 ARARs is practicable, the lead agency may
 consider appropriate factors, including the
 following:
  (1) The urgency of the situation: and
  (2) Th<; scope of the removal action to be
 conducted.
  2. The reference to advisories, criteria
 or guidance has been modified (see
 preamble section below on TBCs).
  3. The description of ARARs has been
 reworded (see preamble section below
 on the definition of "applicable.")
  Name: Sections 300.5,300.415(g) and
 (h), 300.500(a), 300.505 and 300.525{a).
 State involvement in removal actions.
  Existing rule: Sections 300.61 and
 300.62 of the current NCP encourage
 states to undertake actions authorized
. under subpart F. Such actions include
 removal and  remedial actions pursuant
 to CERCLA section 104(a)(l). The
 regulation notes further that CERCLA
 section 104(d)(l) authorizes the federal
 government to enter into contracts or
 cooperative agreements with the state to
 take Fund-financed response actions
 authorized under CERCLA. when the
 federal government determines that the
 state has the capability to undertake
 such actions.
  Proposed rule: Proposed § 300.415(h)
 and (i) (renumbered as final § 300.415(g)
 and (h)) and  § 300.525(a) would codify
 EPA's existing policy of entering into
 cooperative agreements with states to
 undertake Fund-financed removal
 actions, provided that states follow all
 the provisions of the NCP removal
 authorities. The preamble to the
 proposed rule suggested that non-time-
 critical actions are the most likely
 candidates for state-lead removals (53
 FR 51410). Proposed § 300.510(b)
 provided further that facilities operated
 by a state or political subdivision
 require a minimum cost share of 50
 percent of the total response costs if a
 remedial action is taken. Section 300.50J
 describes what EPA and a state may
 agree to in a Superfund Memorandum o!
 Agreement (SMOA) regarding the natur
 and extent of interaction on EPA-lead
 and state-lead response. The preamble
 clarified that, where practicable, a
 SMOA may include general provisions

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              Federal Register /  Vol.  55, No. 46 / Thursday, March 8,  1990 / Rules and Regulations
                                                                       8697
  for interaction on removal actions (53
  FR 51455). The preamble to the proposed
  rule described other topics for EPA/
  state discussion on provisions in
  SMOAs on removal actions (53 FR
  51454-55).
   Response to comments: One
  commenter supported the proposed
  revision stating that state-lead removals
  through a cooperative agreement would
  be a very positive step. The commenter
  argued, however, that it would be
  unreasonable to provide guidance that
  strongly encourages states to conduct
  such removals when no funds for
  conducting them are made available.
   Several commenters specifically
  called for the delegation of the removal
  program to the states. One of these
  commenters stated that the revised NCP
  should include more detailed and
  permissive language specifically
  allowing for program  authority to be
  delegated to states. According to the
  commenter, this would allow response-
  capable states to pursue program
  authorization from EPA through
  cooperative agreements rather than
  through single or multiple project
  authorizations. In addition, the
  commenter recommended that states
  which become authorized to conduct
  removal actions be granted funding
  support similar to the  support that EPA
  provides for the Technical Assistance
 Team and the Emergency Response.
  Cleanup Services, thereby allowing the
 state to effectively administer the duties
  of the lead agency during a removal
 action. The commenter also
 recommended that authorized states be
  allowed full reimbursement of their
 removal costs from the Hazardous
  Substances Trust Fund. Another
 commenter suggested  allowing states to
 develop administrative and technical
 staff capable of overseeing removal
 actions. The commenter believed that a
 policy should be included in the NCP
 that allows for the states to hire
 contractors on a stand-by basis to allow
 for timely response to removal sites. A
 third commenter recommended that
 states be permitted by the NCP to
' establish predesignated OSCs/RPMs
 who would have the authority to use
 federal funds pursuant to a cooperative
 agreement or contract for cleanup of oil
 and hazardous substances under these
 programs.
   Other commenters called for at least
 some expanded opportunities for state
 involvement in the removal program.
 Several commenters argued that states
 should  be allowed to conduct more than
 just non-time critical removals.
 indicating that it would be faster and far
 less costly for states to conduct all  types
 of removals. Another commenter argued
 that states should be afforded the
 opportunity to conduct removal actions
 under cooperative agreements unless an
 emergency exists that does not allow
 time for EPA to enter into a cooperative
 agreement with the state. One
 commenter suggested that states now
 have very effective Superfund programs
 with experienced and capable staffs.
 According to the commenter, some of
 these programs have better cleanup
 records than the federal program. The
 commenter states titiat EPA has failed to
 take full advantage of these state
 programs to improve the performance of
 the federal Superfund effort.
   Several commenters requested
 clarification of ERA. policies on state-
 lead removals. The commenters
 requested further clarification in the
 NCP regarding the circumstances under
 which states will be allowed to conduct
 non-time-critical removals, what criteria
 will be used to make decisions
 concerning when states will be allowed
 to conduct such actions, and how a
 state-lead removal program will be
 structured.
   Other commenters suggested that EPA
 more clearly  define the EPA/state
 relationship concerning-removal actions.
 One of these  commenters suggested that
 EPA should emphasize state/EPA
 coordination on all removal actions
 regardless of who is in the lead. Another
 commenter stated that the NCP should
 outline the EPA/state interaction on
 removal sites in the same detail as the
 relationship is outlined at remedial sites.
  One commenter representing a state
 presented specific examples of how
 present state/EPA removal interaction
 is ineffective. The commenter alleged
 that the state had been left out of public
 meetings and meetings between EPA
 and the PRPs, that the state is not
 consulted on  press releases, and that
 state comments on negotiations with
 PRPs are not  considered by EPA.
 Another commenter suggested that EPA
 in general take into consideration state
 comments when conducting removal
 actions.
  In response, EPA is committed to state
 involvement in the ismoval program and
is. therefore, revising regulatory
language in §§ 300.5, 300.500{a) and
300.505 regarding SMOAs to include
references to  removal actions. EPA
believes that  the SMOA can often be
used to specify the areas appropriate for
EPA/state interaction during removal
actions. As noted in the preamble to the
proposed rule, the SMOA may include:
(1) The process to be followed by EPA
and a state to notify each other of a
determination that a removal action is
 necessary; (2) the procedures to be
 followed by EPA and a state to consult
 and comment upon the nature of any
 proposed removal action: and (3) the
 procedures to be followed to provide for
 post-removal site control for Fund-
 financed removals as described in
 § 300.415(k). A definition of "post-
 removal site control" has been added to
 § 300.5 because this term is used in
 several places in the NCP. If EPA and a
 state desire, the SMOA provisions may
 also include details on interaction at
 public meetings, negotiations with PRPs.
 eta EPA wishes to emphasize, however,
 that the negotiations concerning EPA/
 state interaction during removal actions
 should not be allowed to interfere with
 or prolong the completion of the SMOA
 negotiations. If EPA and the state find
 that discussion of the provisions
 regarding removal actions is delaying
 completion of the SMOA, they should
 proceed with the SMOA negotiations
 without removal action provisions, and
 at a later date  amend the SMOA to
 include these provisions.
  Currently, EPA's policy is that states
 may conduct a non-time-critical removal
 action for a specific site. In response to
 comments, EPA considered allowing
 states to conduct Fund-financed time-
 critical and emergency removal actions
 as well. After careful consideration,
 however, EPA  decided to continue its
 current policy of allowing only non-time-
 critical removal actions to be state-lead.
 In arriving at this decision, EPA weighed
 several factors concerning the nature of
 removal actions, and the history of the
 removal program. Firs't, EPA may not
 obligate funds  in anticipation of removal
 actions that may take place in the
 future. Therefore, states must enter into
 site-specific cooperative agreements
 (CAs) before they are allowed to
 undertake a removal action. In the past,
 EPA attempted using CAs more
 extensively in the removal program but
found th'at the CA negotiating process is
often long and  complicated. EPA was
concerned that the process  could hinder
timely response to releases requiring
emergency or time-critical action.
Second, the removal program has
limited funding. Because of the necessity
for ensuring adequate response
capabilities on the federal level, EPA
does not anticipate that additional
funding will be available for states to
conduct emergency and time-critical
removal actions and, therefore, does not
believe it would be feasible to allow
states to undertake these types of
response actions. For these reasons,
EPA believes that its current policy of
permitting states to conduct only non-
time-critical removal actions allows

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 8698	Federal Register  / Vol. 55. No. 46 / Thursday, March 8.  1990 /  Rules and Regulations
 EPA to retain its ability to respond
 immediately to releases that threaten
 human health and the environment
 while simultaneously providing states a
 role in the removal action process.
   For a state to conduct Fund-financed,
 non-time-critical removal actions, the
 state must first enter into a CA with
 EPA. Additionally, only removal actions
 that are listed on the approved or
 revised Superfund comprehensive
 accomplishments plan (SCAP) can be
 state-lead. The Regional Administrator
 (RA) evaluates a state's request to lead
 m Fund-financed removal action and
 decides on a case-by-case basis whether
 the action is appropriate for state-lead.
 When making his/her decision the RA
 considers: (1) The state's experience in
 leading activities conducted under the
 remedial program that are similar to the
 response actions required to clean up or
 to stabilize the release at the site  under
 evaluation for state-lead; (2) the state's
 experience in responding to hazardous
 substance releases independent of
 federal involvement and funds; and (3)
 whether the state has prepared a state
 contingency plan for hazardous
 substance release response. For more
 information concerning state-lead
 removals see 40 CFR part 35, subpart O.
  In further response to the comment on
 delegating authority (and transferring
 funds) to states. EPA notes that although
 authority to conduct time-critical and
 emergency removals is not being
 delegated to states, funding may be
 available under the Core Grant Program
 to assist states in developing an infra-
 structure for involvement and
 interagency coordination during removal
 actions. For more information
 concerning the Core Grant Program see
 40 CFR part 35, subpart O.
  Final rule: 1. Proposed §§ 300.5
 (definition of SMOA), 300.500(a),
 300,505(a)(3) and 300.505(d)(l) are
 revised to add the word "removal"
 before the word "pre-remecfial."
  2. Proposed § 300.415(h) and (i) are
 renumbered as § 300.415(g) and (hj and
 promulgated as proposed.
  3. A definition for "post-removal site
 control" is added to § 300.5 as follows:
  "Post-removal site control" means those
 activities that are necessary to sustain the
 integrity of a Fund-financed removal action
 following its conclusion. Post-removal site
 control may be a removal or remedial  action
 under CERCLA. The term includes, without
 being limited to. activities such as relighting
gas flares, replacing filters and collecting
 leachate.
  4. References to "post-removal site
control" have been added to the
definitions in § 300.5 of "remove or
removal" and "remedy or remedial
action."'
 Section 300.425. Establishing remedial
 priorities.

   Name: Section 300.5. Definition of
 National Priorities list. Section 300.425.
 Establishing remedial priorities.
   Proposed rule: Section 300.5 included
' a definition of National Priorities List.
 Section 300.425 identified the criteria,
 methods, and procedures EPA uses to
 establish its priorities for remedial
 action. The proposed rule stated that
 although only those releases included on
 the NFL are eligible for Fund-financed
 remedial action, remedial planning
 activities pursuant to CERCLA section
 104(b) are not considered remedial
 actions and are not limited to NPL sites.
   Response to comments: EPA has made
 several changes to language on listing
 sites on the National Priorities List
 First EPA is revising the rule to explain
 more clearly which EPA authorities are
 limited to sites on the NPL.
   In both the existing NCP (40 CFR
 300.66(c)(2}. 3O0.68(a)(l)) and the 1988
 proposed revisions (§ 300.425(b)(l), 53
 FR at 51502), EPA has stated that Fund
 money may be used for CERCLA
 remedial actions only for those releases
 that are listed on the NPL. The 1985 NCP
 (40 CFR 300.68(a)(l)) and the proposed
 revision went on to state that this
 limitation on the use of Fund money
 would not apply to "remedial planning
 activities pursuant to CERCLA section
104(b)," which despite the use of the
 word "remedial" in the name, come
 within the definition of "removal"
 actions under CERCLA section 101(23).
See 54 FR 41002 (October 4,1989); 52 FR
27622 (July 27,1987); 50 FR 47927
 (November 20,1985). In the interest of
 clarity on this point, EPA has amended
 final § 300.425(b)(l) to provide that the
limitation on remedial action funding to
releases on the NPL would not apply to
"removal actions (including remedial
planning activities. RI/FSs. and other
actions taken pursuant to CERCLA
section 104(b))." This clarification is
consistent with the proposed and final
 § 300.415(b)(l), which states that a
removal action may be taken at
appropriate sites regardless of inclusion
on the NPL.
  The proposed and final rule, at
 § 300.425(b){4), also make clear that EPA
may take enforcement actions at non-
NPL sites. EPA also notes that it has the
discretion to use its authorities under
CERCLA, RCRA, or both to accomplish
appropriate cleanup action at a site,
even where the site is listed on the NPL.
(See 54 FR at 41009 (Oct 4,1989).) In
particular, where a site is at an active,
RCRA-permitted facility, and the
owner/operator is present and has
adequate financial resources to fund the
 entire cleanup, EPA may consider
 whether the use of RCRA or CERCLA
 authorities (or both) is most appropriate
 for the accomplishment of cleanup at the
 site. In the context of federal facility
 cleanups, this decision, and the cleanup
 plan in general, would be discussed in
 the Interagency Agreement (IAG) for the
 facility.
   Second, EPA;is deleting a sentence
 from § 30D.425(fa}(2) that reads:
 "Responsible parties shall pay for or
 implement response actions to the
 fullest extent practicable." EPA
 reiterates that it is EPA policy for
 responsible parties to pay for or
 implement response actions to the
 maximum extent practicable. EPA
 believes, however, that this policy is
 more appropriately stated in the
 preamble..
   In addition, proposed § 300.425(c)(2) is
 revised to add the phrase "(not
 including Indian tribes)" in order to be
 consistent with the reference to "state"
 in CERCLA section 105(a)(8)(B).
   Consistent with the revisions to
 § 300.425, EPA is also revising the
 proposed definition of National
 Priorities List in § 300.5 to clarify that
 EPA may allow actions other than Fund-
 financed actions under CERCLA to be
 conducted at NPL sites.
   Final rule: 1. The proposed definition
 in § 300.5 is revised as follows:
   "National Priorities List" (NPL) means the
 list compiled by EPA pursuant to CERCLA
 section 105, of uncontrolled hazardous
 substance releases in the United States that
 are priorities for long-term evaluation and
 response.

   2. Proposed § 300.425(b) is revised as
 follows:
   (b) National Priorities List. The NPL is the
 list of priority releases for long-term
 evaluation and remedial response.
  (1) Only those releases included on the
 NPL shall be considered eligible for Fund-
 financed remedial action. Removal actions
 (including remedial planning activities. RI/
 FSs and other actions taken pursuant to
 CERCLA. section J04(b)) are not limited  to
 NPL sites.
  (2) Inclusion of a release on the NPL does
 not imply that monies will be expended, nor
does the rank of a release on the NPL
establish the precis'e priorities for the
allocation of Fund resources. EPA may also
pursue other appropriate authorities to
remedy the release, including enforcement
actions under CERCLA and other laws. A
site's rank on the NPL serves, along with
other factors, including enforcement actions,
as a basis to guide the allocation of Fund
resources among releases.

  3. The first sentence of proposed
 § 300.425(<:)[2) is revised as follows: "A
state (not including Indian tribes) has

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            Federal Register / Vol. 55. No. 46 / Thursday, March 8. 1990 / Rules  and Regulations       8699
designated a release as its highest
priority."
  Name: Section 300.425(d)(6).
Construction Completion category on
the National Priorities List.
  Proposed rule: EPA proposed to
establish a new "category" as part of
the NPL—-the "Construction
Completion" category (see 53 FR 51415).
The category would consist of: (a) Sites
awaiting deletion, (b) sites awaiting
deletion but for which CERCLA section
121(c) requires reviews of the remedy no
less often than five years after initiation,
and (c) sites undergoing long-term
remedial actions (LTRAs). EPA believes
the new category would communicate
more clearly to the public the status of
cleanup progress among sites on the
National Priorities List (NPL).
  EPA would shift sites into the
Construction Completion category only
following approval of interim or final
Close Out Reports. EPA would approve
the Reports only after remedies have
been implemented and are operating
•properly. Approval of an interim Close
Out Report indicates that construction
of the remedy is complete, and that it is
operating properly, but that the remedy
must operate for a period of time before
achieving cleanup levels specified in the
Record of Decision (ROD) for the site.
Approval of a final (including amended)
Close Out Report indicates that the
remedy has achieved protectiveness
levels specified in the ROD(s), and that
all remedial actions are complete. The
proposal also indicates that EPA
believes that sites requiring five-year
review under § 300.430(f)[3)(v)
(renumbered as final
§ 300.430(i)(5)(iii)(C)) may. when
appropriate, be deleted from the NPL.
  Response to comments: All
commenters on this policy
recommended  adoption of the proposal
to recategorize sites. One commenter
disagreed with EPA's name for the new
category, stating that construction at
some sites in the category would not be
complete. EPA disagrees with this
interpretation; as explained above, for
both LTRA sites and sites awaiting
deletion, construction of the remedy
must be complete and operating
properly before it may be placed in this
new category. Another commenter
interpreted EPA's proposal to mean that
it would create a new status code on the
NPL, rather than a new category, or sub-
section. EPA believes a distinct category
more clearly provides remedial progress
information to the public. EPA has found
this to be true  with regard to federal
facility sites, which have been placed in
a separate category of the NPL. Thus.
the idea of categorizing sites on the NPL
 is not a new one. Indeed, the 1985 NCP
 specifically afforded EPA the discretion
 to "re-categorize" certain types of sites
 (see 40 CFR 300.66(c)(7)(1985)). EPA is
 specifically acknowledging this
 discretion in final § 300.425(d](6).
   The commenter stated that EPA
 should seek state concurrence before
•placing a site under the new status. EPA
 disagrees that it ohould seek formal
 state concurrence to nscategorize sites.
 Recategorization is a mechanical
 process and does not have regulatory
 significance; it is merely a better method
 of communicating site status to the   ~
 public. Moreover, EPA. will recategorize
 sites only on the basis of approved
 interim or final Close Out Reports, and
 states will continue to be involved in
 remedy inspections and review or
 preparation of the reports. EPA will
 obtain state concurrence and solicit
 public comments before deleting sites
 from the NPL, pursuant to § 300.425(e).
   Another commenter supported the
 concept of recategorizing sites,
 particularly those at which only
 operation and maintenance remains  to
 be conducted. However, the commenter
 also states that such sites could
 appropriately be deleted entirely from
 the NPL. A different commenter
 suggested that the Construction
 Completion category should exclude
 sites requiring only operation and
 maintenance and that such sites should
 be deleted from the NPL. EPA intends
 that a site requiring only operation and
 maintenance at the time of construction
 completion be recategorized as a
 temporary measure until .the process of
 reviewing the site for possible deletion
 from the NPL has been completed.
   One commenter stated that proposed
 § 300.430(f){3)(v) is unclear regarding
 whether EPA would conduct five-year
 reviews at sites in certain phases of
 response, or having certain status vis-a-
 vis the NPL, i.e., sites still on the NPL,
 deleted sites, and sites where LTRAs
 are underway. The commenter went on
 to state that if a five-year review
 indicates that additional action is
 required at a site that has been deleted
 from the NPL, EPA must clarify under
 what authority the action is to be
 conducted.
   EPA will conduct five-year reviews
 for appropriate sites after initiation of
 the remedial action. Thus, reviews may
 be conducted during phases of the
 remedial action, during LTRA status,
 and. where appropriate, after a site has
 been deleted from the NPL EPA
 continues to develop its policy on five-
 year reviews, and plains to issue further
 guidance on these issues. EPA has
 discretionary authority to take further
action at a deleted site if a review
indicates that the remedy is no longer
protective. CERCLA section 105(e)
states that EPA may restore the site to
the NPL without re-applying the Hazard
Ranking System (HRS), and CERCLA
section 121{c) provides that EPA may
take or require action, if appropriate,
following a review. Section 300.425(e](3)
again states this point, and further states
that all releases deleted from the NPL
are eligible for Fund-financed remedial
actions should future conditions warrant
such actions.
  Another commenter stated that "five-
year review" sites should be deleted
from the NPL rather than placed in the
Construction Completion category. In
response, at the time of proposal, EPA
announced its view that five-year
review sites may be considered "sites
awaiting deletion." Le., deletion
candidates. Upon consideration of the
issue. EPA believes that it may generally
not be appropriate to delete any of these
sites before performing at least one
review after completion of the remedial
action. This is consistent with a
recommendation of the Administrator's
90-day study of the Superfund Program,
"A Management Review of the
Superfund Program," and with OSWER
policy.7
  This position reflects an EPA policy
decision that in most cases where
hazardous substances remain after the
completion of remedial action, it is
appropriate to act more slowly on
deleting the sites from the NPL,
consistent with the concern evidenced
by Congress in specifically mandating
review at least every five years at such
sites. This  policy is also consistent with
the limited purpose of the NPL as an
informational list of sites at which
CERCLA attention is appropriate (53 FR
•at 51415-16); the continued inclusion of
the site on the NPL does not mean that
response action will be taken at the site.
See 48 FR 40658,40659 (Sept 8,1983)
(quoting CERCLA legislative history).
  This is not inconsistent with the long-
standing provision on deletion in the
1985 NCP,  which provides that "Bites
  * See "Performance of Five-Year Review* and
Their Relationship to the Deletion of Sites from the
Nations! Priorities List (NPL) (Superfund
Management Review: Recommendation No. 2).
Memorandum from Jonathan Z. Cannon. Acting
Assistant Administrator, OSWER. to Regional
Administrators .(October 30.1886); and "Update to
the •Procedures for Completion and Deletion of
National Prioritiet List Sites'—Guidance Document
Regarding the Performance of Five-Year Reviews
(Superfund Management Review: Recommendation
No. 2)." Memorandum from Henry L. Longest n.
Director. Office of Emergency «nd Remedial
Response, to Regional Waste Management Division
Directors (OSWER. Directive No. B32O2-3B.
December 29.1839).

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 8700
            Federal  Register / Vol. 55. No. 46 / Thursday, March 8, 1990 / Rules  and Regulations
 maybe deleted from orrecategorizedon
 the NPL where no further response is
 appropriate." 40 CFR 300.66{c)(7)(1985)
 (emphasis added}. Thus even if no
 further action is planned at a five-year
 review site, recategorization is as
 appropriate a means of recognizing that
 status as is deletion. Further, deletion
 will be considered as part of the review.
  EPA aiso does not view this policy for
 five-year review sites as inconsistent
 with EPA policy on deletions. The
 criteria for deletion in § 300.425(e)
 provide that "releases may be deleted
 from  *  * * the NPL where no further
 response is appropriate," thereby
 providing considerable flexibility to the
 Administrator. Further, the rule provides
 that EPA shall not delete a site from the
 NPL until the state in which the release
 was located has concurred, and the
 public has been afforded an opportunity
 to comment on the proposed deletion.
 Thus, the decision to delete is not an
 automatic one by EPA, but rather is
 decided as part of a formal public
 process. It is similarly important to note
 that a "site awaiting deletion" in the
 new Construction Completion category
 will not necessarily be deleted
 automatically upon recategorization.
  One commenter stated that the first
 five-year review should not occur until
 five years after the operation and
 maintenance phase of the response
 action is complete. EPA disagrees with
 this comment; some sites will require
 operation and maintenance indefinitely,
 and thus adoption of such an approach
 would result in no five-year review.
 Further, CERCLA section 12l(c) calls for
 reviews within five years of the
 "initiation"—not completion—of the
 remedial action. EPA. is currently
 developing a policy regarding timing and
 conduct of five-year reviews.
  Another commenter, though strongly
 favoring the creation of a new NPL
 category, recommended that EPA create
 two new categories: "remedy in long-
 term operation and maintenance", and
 "files awaiting delisting". The
 commenter asserted that the public
 would understand such terms more
 easily than "Construction Completion".
 EPA disagrees with this comment
 because the phrase "long-term operation
 and maintenance" may cause more
 confusion for the public. EPA believes
 the commenter inadvertently confused
 two concepts: "operation and
 maintenance" and "LTRA." Many NPL
 sites will require operation and
maintenance following deletion from the
NPL in order to maintain the
pfbtectiveiiess of the remedy (e.g.
 cutting grass or maintaining monitoring
wells), even though specified cleanup
 standards have been achieved and
 criteria for deletion have been met
   •An LTRA, on the other hand, is an
 ongoing remedial action which has not'
 yet achieved the cleanup standards in
 the ROD. It too may require operation
 and maintenance after achieving these
 standards, and after deletion of the site
 from the NPL. EPA will place an LTRA
, site in the Construction Completion
 category based on approval of an
 interim Close Out Report EPA will
 finalize or amend the report when the
 remedy has achieved cleanup levels
 specified in the ROD(s). The LTRA will
 then be categorized on the NPL as either
 a site awaiting deletion or a five-year
 review site.
   To minimize public confusion and
 administrative burden, EPA will create
 at present only one new category.
 However, EPA plans to denote in the
 category whether a site is: (a) An LTRA.
 (b) a site awaiting deletion, or (c) a
 "five-year review" site awaiting review
 and/Or deletion. (Note that LTRA sites
 may be placed in the five-year review
 category upon attainment of the final
 remediation goals.)
   Final rale: Proposed  § 300.425 is
 revised as follows:
   1. A new section has been added to
 the final rule, § 300.425(d)(6), to reflect
 EPA's long-standing discretion to
 establish categories of sites on the NPL:
 "Releases may be categorized on the
 NPL when deemed appropriate by EPA."
   2. In  § 300.425{e)(2), the timeframe for
 state review of notices of intent to
 delete has been changed to 30 working
'days (see preamble to 1300.515(h)(3),
 "State review of EPA-lead documents)."

 Section 300.430. Remedial Investigation/
 Feasibility Study and Selection of
 Remedy
   Introduction. Today EPA is
 promulgating revisions to the remedial
 investigation (RI)/feasibility study (FS)
 and selection of remedy sections of the
 1985 NCP. While the framework of this
 portion of the regulation remains largely
 as proposed on December 21.1988,
 significant changes have been made to
 respond to comments received and to
 articulate more clearly the remedy
 selection goal, expectations and process
 EPA intends to employ in implementing
 the Superfund program.
   The remedy selection process
 promulgated today is founded on
 CERCLA's overarching mandate to
 protect human health and the
 environment This approach emphasizes
 solutions that can ensure reliable
 protection over time. Today's rule
 promotes the aggressive use of
 treatment technologies to achieve
 reliable remedies while acknowledging
 the practical limitations on the use of
 treatment.
   In this approach, EPA seeks to
 encompass the many statutory
 mandates while emphasizing the
 statutory preference for permanent
 solutions and use of treatment
 technologies. The approach is tempered
 by practicability.to ensure that the
 remedies selected are'appropriate and
 that the program responds to the threats
 posed by the worst toxic waste sites
 across the nation. Today's requirements
 for selecting remedies further provide a
 uniform framework to promote
 consistency in decision-making.
   Today's regulation establishes a
 process that allows consideration and
 balancing oif site-specific factors in
 remedy selection. EPA has used this
 type of decision-making process to
 select CERCLA remedial actions since
 the inception of the Superfund program.
' Revisions contained in today's rule
 modify the approach by incorporating
 the new requirements of the 1986
 amendments to CERCLA into existing
 procedures. This approach relies on a
 process that examines site
 characteristics and alternative
 approaches for remediating site
 problems. This process evaluates
 remedial alternatives using nine criteria
 which are based on CERCLA's
 mandates to determine advantages and
 disadvantages of the alternatives, thus
 identifying site-specific trade-offs
 between options. These trade-offs are
 balanced in a risk management
 judgment as to which alternative
 provides the most appropriate solution
 for the site problem.
   In response to comments requesting
 further clarification and structure in the
 remedy selection process, EPA has .
 made changes to provide better
 guidance on the types of remedies that
 EPA expectn to result from the process;
 to add more structure to the process by
 specifying the functional categories of
 the nine criteria in the rule; and to
 indicate which criteria are to be
 emphasized in the balancing process.
 EPA believes this process ensures the
 selection of remedial actions that fulfill
 statutory requirements to protect human
 health and the environment'comply
 with ARARs, be cost-effective, and
 utilize permanent solutions and
 alternative treatment technologies or
 resource recovery technologies to the
 maximum ejctent practicable. Further,
 this process considers the full range of
 factors pertinent  to remedy selection
 and provides the flexibility necessary
 and appropriate to ensure that remedial
 actions selected are sensible, reliable
 solutions for identified site problems.

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            Federal  Register / Vol. 55, No. 46 / Thursday. March  8. 1990 / Rules  and Regulations
                                                                                                             8701
  The approach promulgated in today's
rule was supported by numerous
commenters. Several expressed the view
that alternate remedy selection methods
presented in the proposal were
inappropriate or inferior to the
promulgated approach. Some
commenters noted that the promulgated
approach includes important criteria
that the other approaches do not
  Two distinct groups of commenters
who have sharply contrasting views on
the goal of the Superfund program
opposed the proposed approach that is
promulgated today. One group of
commenters believes EPA should
establish a remedy selection process
that adopts as its goal full site
restoration and treatment of all material
to the extent technically feasible. This
approach would limit consideration of
cost to the selection of the less
expensive of comparably effective
treatment technologies. Under this
approach, methods of protection that.
rely on control of exposure (i.e.,
engineering controls such as capping or
other containment systems and
institutional controls) could only be
used when treatment was technically
infeasible. Several'of these commenters
expressed the view that remedy
selection should be more structured and
supported either the sequential decision-
making approach or the  point of
departure  strategy for remedy selection
presented in the proposal.
  The other group of commenters
critical of the proposed approach
believes the Superfund program should
seek to achieve protection primarily by
controlling exposure to current risks
through use of engineering and
institutional controls. Treatment would
be used only if other controls are not
expected to be reliable or greater
protection can be achieved through
treatment  without a significant increase
in cost. These commenters generally
supported the use of a cost-effectiveness
screen in site-specific balancing or the
site stabilization strategy for remedy
selection presented in the proposal.
  The approach EPA promulgates today
sets a course for the Superfund program
between the two ends of the spectrum
reflected in these comments. EPA is
establishing as its goal remedial actions
that protect human health and the
environment, that maintain protection
over time, and that minimize untreated
waste.
  This goal reflects CERCLA's
preference for achieving protection
•through the use of treatment
technologies that destroy or reduce the
inherent hazards posed by wastes and
result in remedies that are highly
reliable over time. The purpose of
treatment in the Superfund program is to
significantly reduce the toxicity and/or
mobility of the contaminants posing a
significant threat (i.e., "contaminants of
concern") wherever practicable to
reduce the need for long-term
management of hazardous material. EPA
will seek to reduce hazards (i.e., toxicity
and/or mobility) to levels that ensure
that contaminated material remaining
on-site can be reliably controlled over
time through engineering and/or
institutional controls.
  Further, the Superfund program also
uses as a guideline for effective
treatment the range of 90 to 99 percent
reduction in the concentration or
mobility of contaminants of concern (see
preamble discussion below on
"reduction of toxici ty, mobility or
volume" under  § 300.430[e)(9)). Although
it is most important that treatment
technologies achieve the remediation
goals developed specifically for each
site (which may be .greater or less than
the treatment guidelines), EPA believes
that, in general, treatment technologies
or treatment trains flhat cannot achieve
this level of performance on a consistent
basis are not sufficiently effective and
generally will not be appropriate. EPA
believes  this 90 to 99 percent reduction
treatment guideline allows for the use of
an array of technologies and will not
preclude the introduction of innovative
technologies into the range of effective
technologies. EPA believes the remedy
selection process should encourage
diversification of the range of treatment
technologies available for.addressing
hazardous substances so that the
program  continues to find more
effective, safer,  and less costly ways of
reducing the hazards posed by the
various and often complex materials
encountered at Superfund sites.
  Along with the program goal, EPA is
establishing expectations regarding the
extent to which treatment is likely to be
practicable for certain types of site
situations and problems frequently
encountered by the Superfund program.
These expectations indicate that EPA
intends to place priority on treating
materials that pose the principal threats
at a given site. The expectations also
acknowledge that certain technological,
economic and implementation factors
may make treatment impracticable for
certain types of site problems.
Experience has  shown that in such
situations, remedies that rely on control
of exposure through engineering and/or
institutional controls to provide
protection generally will be appropriate.
  The goal and  expectations should be
considered when making site-specific
determinations of the maximum extent
to which permanent solutions and
 treatment can be practicably utilized in
 a cost-effective manner. Another
 important part of this framework is the
 range of alternatives EPA will consider
 as possible cleanup options. This range
 reflects the principle that protection of
 human health' and the environment can
 be achieved through a variety of  •
 methods, including treatment
 engineering and/or institutional controls
 and through combinations of such
 methods. Today's rule reflects the
 statutory preference for achieving
 protection of human health and the
 environment through treatment by
 emphasizing the development of
 alternatives that employ treatment as
 their principal element
  This framework for developing
 alternatives is one of the major changes
 to the 1985 NCP which called for the
 development of alternatives that do not
 attain, attain, and exceed ARARs, as
 well as an off-site and no action
 alternative. The 1985 framework was
 premised on the implicit assumptions
 that alternatives would share the same
 ARARs and that the ability to meet or
 exceed those requirements
 corresponded to different levels of
 protection. Program experience has
 shown that while alternatives may  share
 chemical- and location-specific ARARs,
 generally each alternative will have a
 unique set of action-specific
 requirements. Additionally, it is now
 clear that ARARs do not by themselves
 necessarily define protectiveness. First,
 ARARs  do not exist for every
 contaminant, location, or waste
management activity that may be
 encountered or undertaken at a
 CERCLA site. Second, in those
 circumstances where multiple
 contaminants are present, the
 cumulative risks posed by the potential
 additivity of the constituents may
require cleanup levels for individual-
 contaminants to be more stringent than
ARARs  to ensure protection at the site.
Finally,  determining whether a remedy
 is protective of human health and the
 environment also requires consideration
 of the acceptability of any short-term or
 cross-media impacts that may be posed
 during implementation of a remedial
 action.
  Another major revision to the 1985
NCP promulgated today is the
 establishment of nine criteria used for
 the detailed analysis of alternatives that
 serve as the basis for the remedy
 selection decision. These nine criteria
 encompass statutory requirements
 (specifically the long-term effectiveness
 factors that must be assessed under
 CERCLA section 121(fa)(l){A-G)). and
 include other technical and policy

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             Federal Register / Vol. 55, No. 46 / Thursday, March  8, 1990  / Rules .and Regulations
 considerations that have proven to be
 important for selecting among remedial
 alternatives. The various criteria have
 been categorized according to their
 functions in the remedy selection
 process as threshold, balancing and
 modifying criteria. This designation
 demonstrates that protection of human
 health and the environment will not be
 compromised by other factors, including
 cost. Revisions also clarify that trade-
 offs among alternatives with respect to
 the long-term effectiveness and
 permanence they afford and the
 reductions in toxicity, mobility, or
 volume they achieve through treatment
 are the most important considerations in
 the balancing step by which the remedy
 is selected.
   Name: Section 300.430(a}fl). Program
 goal, program management principles
 and expectations.
   Proposed rule: The preamble to the
 proposed rule described management
 principles which EPA intends to apply to
 the Superfund program and certain
 expectations regarding the types of
 remedies that EPA has found to be most
 appropriate for different types of waste
 (53 FR 51422). These expectations were
 developed based on both the
 preferences and mandates expressed in
 CERCLA section 121 as well as EPA's
 practical experience in trying to meet
 those preferences and mandates. The
 preamble declared EPA's intent to focus
 available resources on selection of
 protective remedies that provide
 reliable, effective response over the
. long-term. The expectations envision
 treatment of the principal threats posed
 by a site, with priority placed on
 treating waste that is highly toxic, highly
 mobile, or liquid; and containment of
 waste contaminated at low levels, waste
 technically infeasible to treat and large
 volumes of waste.
   Also included in the expectations was
 the concept that contaminated ground
 waters will be returned to their
 beneficial uses wherever practicable,
 within a timeframe that is reasonable
 given the particular circumstances of the
 site. The preamble explainedthat
 institutional controls could be used, as
 appropriate, to prevent exposures to
 releases of hazardous substances during
 remedy implementation and to
 supplement engineering controls. The
 preamble also stated  that the use of
 institutional controls should not
 substitute for active response measures
 as the sole remedy unless such active
 measures are determined not to be
 practicable.
   The preamble also  described three
 program management principles
 developed from program experience to
promote the efficiency and effectiveness
of the remedial response process. The
preamble stated EPA's intent to balance
the desire of definitive site
characterization and alternatives
analysis with a bias for initiating
response actions necessary or
appropriate to eliminate, reduce or
control hazards posed by a site as early
as possible. The preamble emphasized
the principle of streamlining, which EPA
would apply in managing the Superfund
program as a whole and in conducting
individual remedial action projects. The
preamble explained that the bias for
action and principle of streamlining may
appropriately be considered throughout
the life of a remedial project but begin to
be evaluated as site management
planning is initiated. Site management
planning is a dynamic, ongoing and
informal strategic planning effort that
generally starts as soon as sites are
proposed for inclusion on the NPL and
continues through the RI/FS and remedy
selection process and the remedial
design and remedial action phases, to
deletion from the NPL.
  Response to comments: EPA has
placed the program goal, expectations,
and management principles into the rule
in response to the strong support these
principles received from commenters. By
including these in the rule, EPA believes
the regulation better articulates the
objectives of the program. EPA also
believes that placing them in the rule
itself will ensure that the principles and
expectations, although not binding, will
remain a part of the codified rule and
will not merely be detached preamble
language. This will facilitate their use
and identification by implementing
officials and the public. Specific
comments and changes to the rule are
discussed below.
  1. Program goal. EPA has added a
statement of the national goal of the
remedy selection process to the final
regulation. The goal as expressed in
today's rule is to select remedies that
will be protective of human health and
the environment, that will maintain
protection over time and that will
minimize untreated waste. Although
EPA received no comment specifically
addressing a national remedy selection
goal, comments on other issues reflected
different interpretations of statutory
mandates. EPA is articulating a goal in
order to reflect the effort of the
Superfund program to select remedies
that are protective of human health and
the environment in the long-term and
minimize untreated waste. The concept
of this goal is to be maintained
throughout the remedy selection
process. The evaluation and remedy
selection performed using the nine
criteria determine the extent to which
this goal is satisfied and the extent to
which permanent solutions and
treatment are practicable.
  2. Expectations. EPA has decided to
add to the final regulation the program
expectations which appeared only in the
preamble to the proposed rule. EPA
takes this action in response to
numerous comments expressing strong
support for the principles underlying the
expectations and requesting EPA to
incorporate the expectations into the
regulation. EPA has placed the
expectations in the rule to inform the
public of the types of remedies that EPA
has achieved, and anticipates achieving.
for certain types of sites. These
expectations are not. however, binding
requirements. Rather, the expectations
are intended to share collected
experience to guide those developing
cleanup options. For example, EPA's
experience that highly mobile waste
generally requires treatment may help to
guide EPA to focus the detailed analysis
on treatment alternatives, as compared
to containment alternatives. In effect,
the expectations allow implementing
officials to profit from prior EPA
learning and thereby avoid duplicative
or unnecessary efforts. However, the
fact that a proposed  remedy may be
consistent with the expectations does
not constitute sufficient grounds for the
selection, of that remedial alternative.
All remedy selection decisions must be
based on an analysis using the nine
criteria.
  Today's rule also contains an
expectation on the use of innovative
technologies that EPA developed in
response to numerous comments cnlliTig
for increased emphasis on the
diversification of treatment technologies
used in site remediation. EPA supports
such diversification  and expects that it
will generally be appropriate to
investigate remedial alternatives that
use innovative technologies when such
technology offers the potential for
comparable or superior treatment
performance or implementability, fewer
or lesser adverse impacts than other
available approaches, or lower costs for
similar levels of performance than
demonstrated technologies.
   Several commenters focused on the
need for flexibility and discretion in
complying with the various mandates of
CERCLA- These commenters supported
the expectations discussed by EPA in
the preamble to the proposed rule as
being consistent with these needs. EPA
received the greatest support for the
expectations concerning the use of
treatment technologies.

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             Federal Register / Vol. 55, No. 46 / Thursday. March 8. 1990  / Rules and Regulations
                                                                                                              8703
  EPA expects that treatment will be the
 preferred means by which to address
 the principal threats posed by a site,
 wherever practicable. Principal threats
 are characterized as waste that cannot
 be reliably controlled in place, such as
 liquids, highly mobile materials (e.g.,
 solvents), and high concentrations of
 toxic compounds (e.g., several orders of
 magnitude above levels that allow for
 unrestricted use and unlimited
 exposure). Treatment is less likely to be
 practicable when sites have large .
 volumes of low concentrations of
 material, or when the waste is very
 difficult to handle and treat (e.g., mixed
 waste of widely varying composition).
 Specific situations that may limit the use
 of treatment include sites where: (1)
 Treatment technologies are not
 technically feasible or are not available
 within a reasonable timeframe; (2) the
 extraordinary size or complexity of a
 site makes implementation of treatment
 technologies impracticable; (3}
 implementation of a treatment-based
 remedy would result in greater overall
risk to human health and the
 environment due to risks posed to
 workers or the surrounding community
 during implementation; or (4) severe
 effects across environmental media
resulting from implementation would
occur.
  In addition, commenters agreed with
EPA that  solutions often will involve a
combination of methods of providing
protection, including treatment and
engineering controls and institutional
controls. One commenter stated his
belief that these expectations embody
the extent to which treatment can
practicably be utilized in a cost-effective
manner on a site-specific basis.
  Some commenters concluded that  the
presence of the expectations in the
regulation would enhance private party
participation in cleanups by relieving
the burden of persuading EPA in each
situation that such expectations, or
remedies consistent with the
expectations, are reasonable and in
compliance with CERCLA.
  Another commenter, while supporting
the expectations, expressed concern
that the regulation as  proposed would
not adequately ensure that the
expectations would be achieved. EPA
has concluded that the expectations  will
be of the most use if maintained as
general principles to assist in flexible,
site-specific decision-making. The
expectations may not be appropriate in
all cases. By stating "expectations"
rather than issuing strict rules. EPA
believes that critical flexibility can be
retained in the remedy selection
process.
   This commenter and one other urged
 the addition of an expectation that
 treatment residuals and contaminated
 soils near health-based levels will be
 controlled through containment rather
 than treatment. The two commenters
 recommended language expressing their
 views. Although EPA. generally concurs
 with the suggested expectation, EPA has
 not added this specific expectation to
 the rule. EPA believes the expectations
 in today's rule generally address the
 types of waste, mentioned by this
 commenter.
   One commenter urged elimination of
 the expectation that treatment is less
 likely to be practicable where sites have
 large volumes of low concentrations of
 material, or where the waste is very
 difficult to handle and treat. This
 commenter argued that the expectations
 combined with the program
 management principle of streamlining
 could be used to avoid studying
 alternatives in detail and could provide
 industries with significant incentives to.
 ignore the "overarching mandate" to
 protect human health and the
 environment. In response, EPA  does not
 intend or believe that the expectations
 will be used to ignore practicable,
 protective alternatives. In any event,
 EPA is required by statute to select
 protective remedies, which may include
 those that involve treatment (preferred)
 and those that do not.
  In essence, EPA interprets this
 commenter's concern to be that
 remedies that do not employ treatment
 cannot be protective of human health
 and the environment. Today EPA
 confirms the statement in the preamble
 to the proposal that the overarching
 mandate of the Superfund program is to
protect human health and the
 environment from the current and
potential threats posed fay uncontrolled
hazardous waste site:;. This mandate
applies to all remedial actions and
 cannot be waived. Consistent with the
program expectations, the mandate for
 remedies -that protect human health and
the environment can be fulfilled through
 a variety or combination of means.
These means include the recycling or the
 destruction, detoxification, or
 immobilization of contaminants through
 the application of treatment
 technologies. Protection can also be
provided in some cases by controlling
 exposure to contaminants through
engineering controls (such as
 containment) and/or institutional
 controls which prevent access to
 contaminated areas. However,
 consistent with CERCLA, treatment
 remains the preferred method of
 attaining protectiveness, wherever
 practicable.
   3. Management principles. Many
 commenters urged greater emphasis on
 the program management principles of a
 bias for action and streamlining that
 appeared in the preamble to the
 proposed rule. These commenters
 generally believe application of these
 principles would expedite cleanups and
 maximize reductions in risks to human
 health and the environment
   Many commenters advocated
 applying the streamlining principle to
 screen unnecessary/dupticative/
 impracticable remedial action
 alternatives and to ensure that the detail
 of the RI/FS for a site is commensurate
 with the overall risk posed by the site.
 Several commenters stated that an
 application of the bias for action
 principle would encourage early action
 to prevent further migration of
 contamination pending the completed
 remedial action. Consistent with this
 principle, a commenter suggested
 revising the first sentence of § 300.430(a)
 to state that-the purpose of the remedial
 action process is to reduce risk "as-soon
 as site data and information make it
 possible to do so." EPA agrees with this
 recommendation and has added this
 language in a new second sentence in
 § 300.430(a).
  EPA has incorporated the  program
 management principles into today's rule
 in response to the supportive comments
 received. EPA believes placement of
 these principles into today's rule
 promotes making sites safer and cleaner
 as soon as possible, controlling acute
 threats, and addressing the worst
 problems first
  One commenter argued that EPA
 lacks the requisite statutory authority to
 promulgate principles such as a bias for
 action. In response, EPA was given
 considerable discretion in CERCLA
 section 104(a)(l) to decide what action
 to take in response to releases of
 hazardous substances. In the NCP, EPA
 has set out provisions for taking various
 types of removal and remedial actions.
Thus, it is clearly within EPA's
 discretion to decide how to balance the
need for prompt early actions, against
the need for definitive site
 characterization. The bias for prompt
action is wholly consistent with
Congress' concern that CERCLA sites be
addressed in an expeditious manner.
Indeed, in CERCLA section I21(d)(4)(A).
 Congress specifically contemplated
early or interim actions, by allowing
EPA to waive ARARs in such cases.
Further, a bias for action is consistent
with EPA's long-standing policy of
responding by distinct operable units at

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             Federal  Register / Vol. 55, No. 46  / Thursday, March 8, 1990 / Rules  and Regulations
 sites as appropriate, rather than waiting
 to take one consolidated response
 action. The 1985 NCP originally codified
 this policy that remedial actions may be
 staged through the use of operable units.
   EPA received comments urging the
 Agency to strengthen its commitment to
 early site action through expanded use
 of removal actions at NPL sites without
 foreclosing more extensive remedial
 actions. In response, EPA encourages
 the taking of early actions, under
 removal or remedial authority, to abate
 the immediate threat to human health
 and the environment. Early actions
 using remedial authorities are initiated
 as operable units. In deciding between
 using removal and remedial authorities.
 the lead agency should consider the
 following: (i) The criteria and
 requirements for taking removal actions
 in today's rule; (ii) the statutory
 limitations on removal actions and the •
 criteria for waiving those limitations;
 (iii) the availability of resources; and
 (iv) the urgency of the site problem.
   EPA expects to take early action at
 sites where appropriate, and to
 remediate sites in phases using operable
 units as early actions to eliminate.
 reduce or control the hazards posed by a
 site or to expedite the completion of
 total site cleanup. In deciding whether to
 initiate early actions. EPA must balance
 the desire to definitively characterize
 site risks and analyze alternative
 remedial approaches for addressing
 those threats in great detail with the
 desire to implement protective measures
 quickly. Consistent with today's
'management principles. EPA intends to
 perform this balancing with a bias for
 initialing response actions necessary or
 appropriate to eliminate, reduce, or
 control hazards posed by a site as early
 as possible. EPA promotes the
 responsiveness and efficiency of the
 Superfund program by encouraging
 action prior to or concurrent with
 conduct of an RI/FS as information is
 sufficient to support remedy selection.
 These actions  may be taken under
 removal or remedial authorities, as
 appropriate.
  To implement an early action under
 remedial authority, an operable unit for
 which an interim action is appropriate is
 identified. Data sufficient to support the
 interim action  decision is extracted from
 the ongoing RI/FS that is underway for
 the site or final operable unit and an
 appropriate set of alternatives is
 evaluated. Few alternatives, and in
 some cases perhaps only one. should be
 developed for interim actions. A
 completed baseline risk assessment
 generally will not be available or
 necessary to justify an interim action.
 Qualitative risk information should be
 organized that demonstrates that the
 action is necessary to stabilize the site.
 prevent further degradation, or achieve
 significant risk reduction quickly.
 Supporting data, including risk
 information, and the alternatives
•analysis can be documented in a
 focused RI/FS. However, in cases where
 the relevant data can be summarized
 briefly and the alternatives are few and
 straightforward, it may be adequate and
 more appropriate to document this
 supporting information in the proposed
 plan that is issued for public comment
 This information should also be
 summarized in the ROD. While the
 documentation of interim action
 decisions may be more streamlined than
 for final actions, all public, state, and
 natural resource trustee participation
 procedures specified elsewhere in this
 rule must be followed for such actions.
  Several commenters endorsed placing
 the expectations and management
 principles into the rule to avoid
 collection of unnecessary data and
 evaluation of too wide a range of
 alternatives. Without providing a
 specific example, a commenter noted
 that many past Superfund cleanups have
 experienced the opposite of a bias for
 action by including unnecessary and
 costly data collection and report
 preparation without reaching
 conclusions on the recommended site
 remediation.
  EPA agrees that site-specific data
 needs,  the evaluation of alternatives and
'documentation of the selected remedy
 should reflect the scope and complexity
 of the site problems being addressed.
This principle, derived from the
 streamlining principle discussed in the
 preamble to the proposal, has been
 incorporated into today's rule. The goal,
 expectations, and management
principles incorporated into the rule.
promote the tailoring of investigatory
actions to specific site needs.
  On a project-specific basis,
 recommendations to ensure that the RI/
 FS and remedy selection process is
 conducted as effectively and efficiently
 as possible include:
  1. Focusing the remedial analysis to
collect only additional data needed to
develop and evaluate alternatives and
 to support design.
  2. Focusing the alternative
 development and screening step to
identify an appropriate number of
 potentially effective and implementable
alternatives to be analyzed in detail.
Typically, a limited number of
alternatives will be evaluated that are
focused to the scope of the response
action planned.
   3. Tailoring the level of detail of the
 analysis of the nine evaluation criteria
 (see below) to the scope and complexity
 of the action. The analysis for an
 operable unit may well be less rigorous
 than that for a comprehensive remedial
 action designed to address all site
 problems.
   4. Tailoring selection and
 documentation of the remedy based on
 the limited scope or complexity of the
 site problem and remedy.
   5. Accelerating contracting procedures
 and collecting samples necessary for
 remedial design during the public
 comment period.
   Although the level of effort and extent
 of analysis required for the RI/FS will
 vary on a site-specific basis, the
 procedures for remedy selection do not
 vary by site. The lead agency is
 responsible for meeting procedural
 requirements, including support agency
 participation, soliciting public comment
 developing an administrative record,
 and preparing a record of decision.
   A more streamlined analysis during
 an RI/FS may be particularly
 appropriate in the following
 circumstances:
   1. Site problems are straightforward
 such that it would be inappropriate  to
 develop a full range of alternatives.'For
 example, site problems may only
 involve a single group of chemicals that
 can only be addressed in a limited
 number of ways, or site characteristics
 (e.g.. fractured bedrock) may be such
 that available options are limited. To the
 extent that obvious, straightforward
 problems exist, they may create
 opportunities to take actions quickly
 that •will afford significant risk
 reduction.
  2. The need for prompt action to bring
 the site under initial control outweighs
 the need to examine all potentially
 appropriate alternatives.
  3. ARARs, guidance, or program
 precedent indicate a limited range of
 appropriate response alternatives (e.g.,
 PCB standards for contaminated soils,
 Superfund Drum and Tank Guidance.
 Best Demonstrated Available
Technology (BDAT) requirements).
  4. Many alternatives are clearly
impracticable for a site from the outset
due to severe implementability problems
 or prohibitive costs (e.g.,  complete
 treatment of an entire large municipal
landfill) and need not be  studied in
detail.
  5. No further action or extremely
limited action will be required to ensure
protection of human health and the
environment over time. This situation
•will most often occur where a removal
 measure previously has been taken.

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             Federal Register / Vol. 55. No.  46 / Thursday, March 8. 1990 / Rules and  Regulations
                                                                                                             8705
   Comments varied in their support for
 the proposed formalization of the
 operable unit concept. Some
 commenters encouraged EPA to make
 full use of the operable unit concept
 because it could prevent the worsening
 of some site problems. Other
 commenters argued against the use of
 operable units, stating that Congress
 intended cleanups to focus on sites, not
 on artificial subdivisions of sites.
   The 1985 NCP originally codified the
 concept that remedial actions may be
 staged through the use of operable units
 (former NCP § 300.68(c)). Operable units
 are discrete actions that comprise
 incremental steps toward the final
 remedy. Although EPA agrees that total
 site remediation is the ultimate
 objective, often it is necessary and
 appropriate, particularly for complex
 sites, to divide the site or site problems
 for effective site management and early
 action. Operable units may be actions
 that completely address a geographical
 portion of a site or a specific site
 problem (e.g., drums and tanks.
 contaminated ground water) or the
 entire site. They may include interim
 actions (e.g., pumping and treating of
 ground water to retard plume migration)
 that must be followed by subsequent
 actions which fully address the scope of
 the problem (e.g., final ground water
 operable unit that defines the
 remediation level and restoration
 timeframe). Such operable units may be
 taken in response to a pressing problem
 that will worsen if not addressed, or
 because there is an opportunity to
 undertake a limited action that will
 achieve significant risk reduction
 quickly. Consistent with the bias for
 action principle in today's rule, EPA will
 implement remedial actions in phases as
 appropriate using operable units to
 effectively manage site problems or
 expedite the reduction of risk posed by
 the site.
   One commenter perceived operable
 units as a source of inefficiency. This
 commenter criticized the extended
 investigative activities associated with
 the production of multiple and
 overlapping RI/FSs on operable units for
 a single site. The commenter advocated
 completion  of RI/FSs within eighteen
 months, absent unusual conditions, and
 implementing operable units only where
 necessary to reduce an immediate risk
• to human health and the environment.
 This latter point was supported by
 another commenter who feared that use
 of an operable unit may provide a false
 impression  that the project is
 progressing rapidly and may result in
 greater cost due to duplication of work.
  In response, EPA has established as a
matter of policy the goal of completing
RI/FSs (i.e., through ROD signature)
generally within 24 months after
initiation. EPA agrees feat duplication of
efforts on RI/FSs should be avoided.
However, EPA support!! the operable
unit concept as an efficient method of
achieving safer and cleaner sites more
quickly while striving to implement total
site cleanups. Although the selection of
each operable unit must be supported
•with sufficient site data and alternatives
analyses, EPA allows the ROD for the
operable unit to use date and analyses
collected from any RI/FS performed for
fee site. No duplication of investigatory
or analytical efforts should occur when
selecting an operable unit for a site.
  Although supporting the operable unit
concept, one commenter argued that
unless EPA alleviates the administrative
burdens placed on an operable unit, no
bias for action will be realized. Another
commenter requested clarification of the
procedures required to support the
initiation of action prior to completion of
the RI/FS for fee entire site. This
commenter cautioned EPA feat
encouragement of early action could
result in actions being taken without a
proper understanding of the site.
According to a different commenter,
application of fee streamlining principle
could result in additional and1
unnecessary costs to potential
responsible parties fay accelerating
contracting procedures and collecting
samples necessary for remedial design
during fee public comment period on fee
RI/FS and proposed plan. This
commenter feared feat fee samples
taken before remedy selection may
prove irrelevant to fee final selected
remedy.
  Similarly, some comiaenters requested
guidance on operable units and more
specificity .on implementing fee
streamlining concept. Some commenters
suggested phased RI/FSs and limiting
fee collection of data. One commenter
added feat a properly implemented
streamlining approach could result in a
more focused RI/FS and would minimize
fee collection of unnecessary data. This
commenter cautioned, however, feat
poorly implemented streamlining could
result in insufficient data upon which to
base remedy selection, shortened time
frames for settlement discussions, or
actions feat are inconsistent wife later
remedial actions. In addition, another
commenter noted feat documentation
for fee remedial action must be
sufficient to support a legal challenge.
  EPA acknowledges feat fee program
management principles in today's rule
are neither binding nor appropriate in
every case; they must be applied as
appropriate. The streamlining principle
supports data collection and
alternatives analyses commensurate
wife fee scope and complexity of fee
site problem being addressed. The
principles focus site investigations and
alternatives analyses while maintaining
fee requirement feat sufficient
information be obtained for sound
decision-making. The ROD for an
interim remedy implemented as an
operable unit does not necessarily
require a separate RI/FS but instead can
summarize data collected to date feat
supports feat decision. This procedure
provides an adequate basis on which to
select an interim remedy and feus
safeguards against taking premature
action and avoids duplication among
RI/FSs performed for fee site. For
guidance on documenting remedial
action decisions, including operable
units, see fee Interim Final Guidance on
Preparing Superfund Decision
Documents (June 1989, OSWER
Directive 9355.3-02).
  Some commenters focused on interim
actions, implemented as operable units.
These commenters stressed fee
important role of interim action operable
units in furthering fee bias for action.
According to these commenters, EPA's
bias for action should be codified in fee
regulation to communicate feat interim
measures may be a legitimate
component of fee remedy selection
process. Another commenter agreed feat
greater emphasis is needed on fee
importance of interim measures and
added feat these interim measures
should be consistent wife fee remedial
solution likely to be selected.
  EPA encourages fee implementation
of interim action operable units, as
appropriate, to prevent exposure or
control risks posed by a site. Further
actions will be taken at fee site, as
appropriate, to eliminate or reduce fee
risks posed. EPA is adding to today's
rule a statement to clarify feat operable
units, including interim action operable
units, must neither be inconsistent wife
nor preclude implementation of fee
expected final remedy.
  One commenter supporjed fee.use of
interim measures, when appropriate,
and argued feat fee implementation of
these measures should not be made
contingent on fee selection of a final
remedy. According to this commenter,
fee RI/FS process should consider fee
interim action as one of fee possible
remedial alternatives to achieve fee
long-term site goals. Similarly, another
commenter stated feat it strongly
believes feat EPA should use its
available funds to achieve-cleanup at

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             Federal Register / Vol. 55. No. 46 / Thursday. March 8, 1990 / Rules and Regulations
 the greatest number of sites, thereby
 Saving resources and reducing overall
 risks, rather than trying to attain
 extremely low levels of risk at a smaller
 number of sites.
   While the bias for action promotes
 multiple actions of limited scale, the
 program's ultimate goal continues to be
 to implement final remedies at sites. The
 •coping section of today's rule has been
 amended to make clear that the lead
 agency shall conduct strategic planning
 to identify the optimal set and sequence
 of actions necessary to address the site
 problems. Such actions may include, as
 appropriate, removal actions, interim
 actions and other types of operable
 units. Site management planning is a
 dynamic, ongoing, and informal strategic
 planning effort that generally starts as
 soon as sites are proposed for inclusion
 on the NPL and continues through the
 RI/FS and remedy selection process and
 the remedial design and remedial action
 phases, to deletion from the NFL.
   This strategic planning activity is the
 means by which the.lead and support
 agencies determine the types of actions
 and/or analyses necessary or
 appropriate at a given site and the
 optimal timing of those actions. At the
 RI/FS stage, this effort involves review
 of existing site information,
 consideration of current and potential
 risks the site poses to human health and
 the environment an assessment of
 future data needs, understanding of
 inherent uncertainties in the process,
 priorities among site problems and the
 program as a whole, and prior program
 experience. The focus of the strategic
 planning is on taking action at the site
 as early as site data and information
 make it possible to do so.
  Final rule: Today's rule includes at
 I 300,430{a)(l) EPA's goal for remedial
 actions to protect human health and the
 environment, maintain that protection
 over time, and minimize the amount of
 untreated waste. In addition, the rule
 also sets put expectations regarding the
 extent to which treatment is likely to be
 practicable for certain types of
 situations and problems frequently
 encountered by the Superfund program.
 These expectations place priority on
 treating materials that pose the principal
 threats at a given site. The expectations
 also acknowledge that certain
 technological, economic, and
 implementation factors make treatment
 Impracticable for certain types of site
 problems and that other types of
 controls may be most effective in these
 situations. The bias for action and
streamlining principles are also printed
in the rule.
   Name: Section 300.430(a){l). Use of
 institutional controls.
   Proposed rule: Proposed
 § 300.430(e)(3)(ii) directed that as
 appropriate, one or more alternatives
 shall be developed that are based on
 engineering controls, such as
' containment that prevents exposure to
 hazardous substances, and, as
 necessary, institutional controls, which
 limit human activities at or near
 facilities, to protect health and
 environment and assure continued
 effectiveness of response. The preamble
 to the proposed rule gave
 "expectations" for remedies, explaining
 that institutional controls may be used
 as a supplement to engineering controls
 over time but should not substitute for
 active response measures as the sole
 remedy unless active response measures
 are not practicable, as determined based
 on the balancing of the trade-offs  among
 alternatives that is conducted during the
 selection of the remedy. (53 FR 51423).
   Response to comments: Several
 commenters supported the proposal as
 is, pointing out that there are situations
 •where institutional controls can be a
 primary component of remedial action
 either because treatment is not
 practicable (as for large volumes of low-
 toxicity waste} or because natural
 attenuation will restore a resource in the
 same time as active remediation.
   Several other commenters disagreed
 with the proposal because they believe
 that institutional controls are not
 reliable and are not permitted under the
 statute as active, permanent remedies,
 except under limited circumstances. One
 commenter maintained that institutional
 controls should never be used except as
 an interim measure. Another commenter
 felt  that use of institutional controls as
 the sole remedy could lead to
 institutionalized pollution, and should
 only be used if state ARARs are not
 violated or cleanup is not feasible.
 Similarly, one commenter feared that  •
 the proposal could lead to well
 restriction areas or the like; the
 commenter also asserted that only state
 or local governments, not EPA. have the
 authority to restrict water use.
   EPA agrees that institutional controls
 should not substitute for more active
 response measures that actually reduce,
 minimize, or eliminate contamination
 unless such measures are not
 practicable, as determined by the
 remedy selection criteria. Examples of
 institutional controls, which generally
 limit human activities at or near
 facilities where hazardous substances,
 pollutants, or contaminants exist or will
 remain on-site, include land and
 resource (e.g., water) use and deed
 restriction!;, well-drilling prohibitions,
 building permits, and well use
 advisories and deed notices. EPA
 believes, however, that institutional
 controls have a valid role in remediation
 and are allowed under CERCLA (e.g.,
 section 121(d)(2}£B)[ii) appears to
 contemplate such controls). Institutional
 controls are a necessary supplement
 when some waste is left in place, as it is
 in most response actions. Also, in some
 circumstances where the balancing of
 trade-offs among alternatives during the
 selection of remedy process indicates no
 practicable way to actively remediate a
 site, institutional controls such as deed'
 restrictions or well-drilling prohibitions
 are the only means available to provide
 protection of human health. Where
 institutional controls are used as the
 sole remedy, special precautions must
 be made to ensure that the controls are
 reliable. Further, recognizing that EPA
 may not have the authority to implement
 institutional controls at a site,
 § 300.510(c)(l) has been revised to
 require states to assure that institutional
 controls implemented as part of the
 remedial action are in place, reliable
 and will remain in place after initiation
 of operation and maintenance (see
 preamble to § 30O510(c)(l), "State
 assurances").
   Several other commenters
 recommended revisions to enlarge the •
 scope or availability of institutional
 controls. These commenters wanted the
 rule to allow institutional controls to be
 used as a key component of a remedy
 whenever they provide similar
 protection to treatment or other active
 remedies at much lower cost The
 commenters suggested that such
 controls may be the only cost-effective.
 practicable remedy at small, isolated,
 and stable sites, and that such controls
 would be viable at many federal
 facilities.
  EPA disagrees with suggested
 revisions to the NCP that would expand
 or encourage the use of institutional
 controls in lieu of active remediation
 measures. CERCLA section 121 states
 Congress' preference for treatment and'
permanent remedies, as opposed to
 simply prevention of exposure through
legal controls. The evaluation of the
nine criteria (§ 3O0.430(f)(l)(ii)),
including cost and other factors.
determines the practicability of active
measures (i.e., treatment and
engineering controls) and the degree to
which institutional controls will be
included as part of the remedy.
  Several ccimmenters suggested that
institutional controls be given a more
explicit role in the rule through
providing criteria for their use, explicitly

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                                                                                                             8707
allowing for their use in interim actions,
or providing that remedies with
institutional controls be considered in
the detailed analysis. EPA believes that
the discussion of an expectation
concerning institutional controls in the
rule is the appropriate level of detail for
guidance in the NCR Additional, more
specific guidance may be developed
later, if necessary.
  Final rule: EPA has added an
expectation on use of institutional
controls in | 300.430{a}(l)(ni)(D). EPA is
promulgating § 300.430(e}(3)(ii) as
proposed.
  Name: Section 300.430(b). Scoping.
  Existing rule: The 1985 NCP
incorporated the scoping section within
the remedial investigation (RI) section of
the rule (§ 300.68(e}). Under that section,
scoping served as a basis for requesting
funding for removal actions and for the
remedial investigation and feasibility
study (RI/FS). The initial analysis
performed in scoping indicates the
extent to which the release or threat of
release may pose a threat to public
health or welfare or the environment,
indicates the types of removal measures
and/or remedial measures suitable to
abate the threat, and establishes
priorities for implementation. A
preliminary determination of ARARs
also is performed at this stage.
  Proposed rule: As proposed, the
purpose of scoping is to define more
specifically the type and extent of
investigative and analytical studies that
are appropriate for a given site. Scoping
entails formal planning for both the RI
and FS. The proposal separated the
scoping section from the RI section to
which it was attached under the 1985
NCP. EPA separated these sections in
the proposal to highlight the work plan
development process and the
development of other project plans (such
as the sampling and analysis plan, the
health  and safety plan, and the
community relations plan) that occurs in
the scoping stage.
  During scoping, a conceptual
understanding of the site is established
by considering in a qualitative manner,
the sources of contamination, potential
pathways of exposure and potential
receptors. The identification of potential
ARARs and other criteria, advisories
and guidance to be considered will
begin during scoping as lead and
support agencies initiate a dialog on
potential requirements. The main
objectives of scoping are to identify the
types of decisions that need to be made,
to determine the types (including
quantity and quality) of data needed,
and to design efficient studies to collect
these data. The scope and detail of the
investigative studies ait,d alternative
development and analysis should be
tailored to the complexity of site
problems.
  Response to comments: One
commenter emphasized that aggressive
scoping should be encouraged to ensure
appropriate streamlining of the RI/FS.
Another urged EPA to highlight the
scoping process in the preamble or in
the rule itself. Another commenter
agreed with EPA's view of scoping as an
important first step in the RI/FS process,
but recommended development of
project plans less formal and lengthy
than those currently used in the  .
Superfund program.
  In response. EPA has incorporated
into today's rule the principles of
streamlining and a bias for action. These
general principles are to be considered
in scoping to assist in denning the
principal threats posed by the site and
to identify likely response scenarios and
potentially applicable technologies and
operable units. EPA has highlighted
scoping by separating it from the text
describing the RI and by specifically
referencing scoping in the new goal and
expectations section of today's rule.
EPA believes the principles and
expectations promote the development
of documents, including project plans,
commensurate with the scope and
complexity of the site problems being
addressed.
;  One commenter argued that the lead
agency or contractors scoping a project
should be directed to consult with PRPs
or other informed private sector sources
about potentially applicable
technologies, and give ithis information
serious consideration. This commenter
suggested the following language be
added to the rule: "In scoping the
project, the lead agency shall solicit
relevant information from PRPs or other
private interests that may be in a
position to provide substantive
assistance." This commenter would then
add a statement requiring the lead
agency to consider such information.
  Although the suggested language has
not been incorporated into today's rule,
EPA encourages the early participation
of PRPs and the public during scoping
and throughout me RI/FS process. To
the extent PRPs are known to the lead
agency during scoping and a dialog is
occurring among the ptirties, the PRPs
have the opportunity to participate in
the planning activities and suggest and
evaluate for themselves technologies
worthy of consideration for site
implementation. For example, during
scoping. PRPs can participate in a
"technical advisory committee," which
gathers expertise on the site conditions
and provides substantive assistance to
 the lead agency. In addition, the work
 plan for a site begins the administrative
 record, which is available for review by
 the public, including PRPs. PRPs and the
 public can also present information and
 issues at public meetings. EPA believes
 it would be inappropriate to establish in
 the NCP an absolute requirement that
 the lead agency solicit and consider
 information provided fay PRPs. The lead
 agency must retain the discretion to
 determine the scope and quality of
 information to be collected and
 evaluated.
   Several commenters stressed the
 importance of early coordination with
. natural resource trustees, noting that
 valuable technical assistance can be
 obtained through such communication.
 One commenter offered the opinion that
 it would be beneficial and cost-effective
 if EPA and the natural resource trustees
 worked together on the design  of the RI/
 FS sampling and analysis plan. To this
 end, the commenter suggested  that
 5 300.430 (b](S) and (fa){6) of the
 proposed rule be reversed, so that
 notification comes before the
 development of the plans. Some
 commenters urged coordination of
 natural resource damage assessments
 and response actions, arguing that
 significant funds may be saved if
 opportunities to analyze and assess
 natural resources are not lost during
 early study and cleanup activities.
   In response, EPA agrees that close
 communication and coordination with
 trustees for natural resources affected or
 potentially affected by the release of
 hazardous substances from the site is
 essential. (See subpart G for details  on
 the designation and role of natural
 resource trustees.) EPA agrees with the
 commenter's suggestion to reverse the
 order of the sections numbered | 300.430
 (b)(5) and (b)(6) in the proposal. Today's
 rule places the notification section (now
 § 300.430(b)(7)} before the section
 "providing for the development of certain
 plans (now § 300.430(bJ(8)). EPA agrees
 that coordination with the trustees
 during the conduct of the natural
 resource damage assessments  and
 response actions is productive.
 However, although a trustee may be
 responsible for certain natural resources
 affected or potentially affected by a
 release, the lead agency retains the
 responsibility for managing activities at
 the site.
   Final rule: Proposed 5 300.430(b) is
 revised as follows:
   1. EPA is clarifying certain aspects of
 the scoping phase in the rule to better
 reflect the objective of each activity.
 Section 300.430(b) of the rule clarifies
 the development of a conceptual

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              Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990  / Rules and Regulations
  understanding of the site, the
  identification of operable units, the
  identification of data quality objectives,
  and the development of the field
  Sampling plan and quality assurance
  project plan. In addition,  the elements of
  the scoping phase have been reordered
  to better reflect that the timing of
  coordination with natural resource
  trustees may influence the development
  of sampling plans. This clarification
 | does not reflect a change in the scope or
  function of the scoping process.
    2, Proposed § 300.43Q(b)(6) is
  renumbered as § 300.430(b)(7) and is
  revised as follows (see preamble
  discussion on § 300.615 for explanation):
   If natural resources are or may be injured
  by the release, ensure that state and federal
  trustees of the affected natural resources
 have been notified in order that the trustees
 miy initiate appropriate actions, including
 ifhpse identified in subport G of this part. The
 lead agency shall seek to coordinate
 necessary assessments, evaluations.
 investigations, and planning with such state
 and federal trustees.
   Name: Section 300.430(dj. Remedial
 frivestfgatibn.
   Existing rule: The 1985 NCP states in
 1300.68(d) that an RI/FS shall be
 undertaken, as appropriate, to determine
 |he nature and extent of the threat
 presented by the release and to evaluate
 proposed remedies. This includes
 sampling, monitoring, exposure
 assessment, and gathering data
 sufficient tp determine the necessity for
 and proposed extent of the remedial
 action.
   Section 300.68(6) of the 1985 NCP
 Specifically discusses characterization
 of response actions during the RI. This
 process consists of examining available
 information to determine the type of
 j-esponse that may be needed to remedy
 the release. Initial analysis shall
 indicate the extent to which the release
 or threat of release may pose a threat to
 human health or the environment,
 indicate the types of removal measures
 and/or remedial measures suitable to
 abate the threat, and set priorities for
 implementation of the measures. The
 ?985 NCP also includes an  extensive list
 of factors that should be considered in
 characterizing and assessing the extent
 tp which the release poses  a threat.
 'these factors are also used to support
 toe analysis and design of potential
 response actions.
  Proposed rule: The proposed rule
 separates the discussions, although not
 Uae implementation, of the RI and FS,
 and further separates project scoping
 fi-om the RI discussion to highlight the
 viforkplan development process, which
addresses both the RI and FS. The
purpose of the RI. as stated in the
  proposed NCP, is to collect data
  necessary to adequately characterize
  the site.for the purpose of remedy
  selection. Site characterization may be
  conducted in one or more phases to
  focus sampling efforts and increase the
  efficiency of the investigation. Site
  characterization  activities are to be fully
  integrated with the development and
 . evaluation of alternatives in the FS. To
  characterize the site, the lead agency
  conducts field investigations and a
  baseline risk assessment, and initiates
  treatability studies, as appropriate. The
  proposed NCP included a list of factors
  that are to be considered to characterize
  and assess the extent to which the
  release poses a threat to human health
  or the environment or to support the
  analysis and design of potential
  response actions  (53 FR 51504). This list
  of factors, while less detailed than the
  1985 NCP, is intended to be more
  inclusive, depending on the site-specific
  needs. The results of the baseline risk
  assessment conducted as part of the RI
  (which includes exposure assessment
  toxicity assessment, and risk
  characterization components) help
  establish acceptable exposure levels for
  use in developing remedial alternatives
  in the FS. Treatability studies are
  initiated to assess the effectiveness of
  treatment technologies that may be used
  as remedial alternatives on site waste.
 ARARs  and, as appropriate, other
 pertinent advisories, criteria, or
 guidance related to the location of the
 site or contaminants present are also to
 be identified during the RI.
   Response to comments: Several
 commenters addressed RI site
 characterization issues. One commenter
 suggested adding the review of state
 files and the subpoena of company files
 during the RI to enhance site
 characterization. In response, EPA notes
 its commitment to  the consideration of
 the best  and most  appropriate
 information available for site
 characterization and will review state
 files and require the production of
 company files as necessary for a site.
  Another commenter recommended an
 alternative approach to RIs for sites
 with ground-water contamination (the
 "transport quantification" approach).
 Under the transport quantification
 approach, environmental sampling
 would be phased after the contaminant
 transport flow paths and mechanisms
 are evaluated. Transport quantification
 analysis requires a thorough evaluation
 of all data available at that time.
According to the commenter, the prior
quantification and  predictive analysis of
transport mechanisms may allow more
realistic and accurate estimates of
actual and potential exposure
  concentrations. Additionally, the
  commenter voiced concern over
  inappropriate investigative methods
  used in drilling of ground-water
  monitoring wells and soil gas
  monitoring.
    In response, EPA recognizes the
  merits of the suggestions and
  observations made by the commenter.
  However, EPA believes that technical
  decisions on which model or
  investigation technique is best suited to
  a site is better left to guidance rather
  than a rale. Of course, EPA may decide
  to use a transport quantification
  approach, even if it is not formally
  included in the NCP. EPA will consider
  the merits of the approach
  recommended by the commenter with
  respect to the goals and limitations of
  the program. EPA is considering
  methods to modify investigation of
  ground-water aquifers to allow more
  efficient remediation of ground water.
  EPA is investigating vertical variations
  in hydraulic conductivity, methods to
  account for contaminant adsorption, and
  methods to utilize geophysical
  techniques, in addition to specific
  investigation of parameters that may
  affect monitoring and pump/treatment
 .of ground water, such as screen length.
 As new information becomes  available,
 it will be incorporated into the
 implementation of the RI.
   In response to comments raised about
 drilling of ground-water wells through
 disposal areas, EPA acknowledges that
 drilling through waste may not be
 appropriate in: some situations.
 However, at certain sites, it may be
 necessary to drill through disposal
 areas. In these cases, EPA is aware of
 the potential hazards associated with
 drilling through wastes and takes
 precautions, such as casing the wells
 and monitoring the well depths, to
 ensure that the wells do not become a
 conduit for the spread of contamination
 to other aquifers. As to the comment
 that soil gas monitoring is an
 inappropriate investigative technique,
 EPA states that EPA research
 laboratories are currently studying soil
 gases and their relation to ground-water
 contamination. EPA will use the results
 of these investigations to modify
 existing practices in ground-water
 investigations, if appropriate. Interested
 members of the public may comment on
 the use of such: methods on a site-
 specific basis during the public comment
 period on the proposed plan, or they
 may raise such issues at appropriate
 times after the initiation of 4he
administrative record.
  Final rule: In order to clarify some
ambiguities in 'the proposed rule and to

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            Federal Register /  Vol.  55. No. 46 / Thursday, March 8. 1990 / Rules and Regulations
                                                                                                            8709
respond to the above-described and
other comments, EPA is making certain
minor changes to the wording in
§ 300.430(d) of the rule. Field
investigations to assess the nature and
extent to which these releases pose a
threat are emphasized in the
clarifications to the rule.
  Name: Section 300.430(d). Remedial
investigation—baseline risk assessment.
  Proposed rule: As part of the remedial
investigation, the baseline risk
assessment is., initiated to determine
whether the contaminants of concern
identified at  the site pose a current or
potential risk to human health and the
environment in the absence of any
remedial action. It provides a basis for
determining whether remedial action is
necessary and the justification for
performing remedial actions. The
Superfund baseline risk assessment
process may be viewed as consisting of
an exposure assessment component-and
a toxicity assessment component, the
results of which are combined to
develop an overall characterization of
risk. As indicated above, these
assessments are site-specific and
therefore may vary in the extent to
which qualitative and quantitative
analyses are utilized, depending on the
complexity and particular circumstances
of the site, as well as the availability of
pertinent ARARs and other criteria.
advisories or guidance.
  During risk characterization,
chemical-specific toxicity information,
combined with quantitative and
qualitative information from the
exposure assessment, is compared to
measured levels of contaminant
exposure levels and to levels predicted
through environmental fate and
transport modeling. These comparisons
determine whether concentrations of
contaminants at or near the site are
affecting or could potentially affect
human health or the environment
Results of this analysis are presented
with all critical assumptions and^
uncertainties so that significant risks
can be identified.
  Response to comments: One
commenter requested clarification on
the purpose of risk assessment in the
Superfund program, especially the
baseline risk assessment. EPA responds
that the purpose of risk assessment in
the Superfund program is to provide a
framework for developing risk
information necessary to assist
decision-making at remedial sites. Risk
 assessment provides a consistent
 process for evaluating and documenting
 threats to human health and the
 environment posed by hazardous
 material at sites. One specific objective
of the risk assessment is to provide an
analysis of baseline risk (i.e., the risks
that exist if no remediation or
institutional controls are applied to a
site). The results of the baseline risk
assessment are used to determine
whether remediation is necessary, to
help provide justification for performing
remedial action, and to assist in
determining what exposure pathways
need to be remediated. The baseline risk
assessment has also superseded the
endangerment assessment, because the
two have the same goal, function, and
methodology.
  A second major objective of risk
assessment in Superfund is to use the
risks and exposure pathways developed
in the baseline risk assessment to target
chemical concentrations associated with
levels of risk that will be adequately
protective of human health for a
particular site (i.e., remediation goals). A
similar process is used to assess threats
to ecosystems and the environment and
to develop remediation goals based on
risk to the environment. The
identification of ARARs is not the
purpose of the baseline risk assessment,
as recommended by one commenter.
The identification of ARARs is a
separate part of the RI, because many
ARARs are not directly risk related.
Nevertheless, ARARs should be
addressed consistently in the baseline
risk assessment, the RI/FS, and remedy
selection.
  Some commenters supported EPA's
use of site-specific risk assessments
because, in their view, such assessments
more accurately reflect the variety of
site conditions. Several comments,
however, argued against use of a site-
specific risk assessment to evaluate
baseline risks and to establish
remediation goals. One commenter
stated that EPA should be applying
either ARARs or a generic set of
nationally applicable contaminant
concentration standards at all sites to
ensure consistent and uniform cleanup
decisions. This commenter also felt that
the use of site-specific risk assessments
was illegal and served only to confuse
the public about the basis for decisions
to protect human health and the
environment.
   EPA agrees with ithe commenter and
applies ARARs consistently at sites
nationwide, as appropriate to develop
remediation goals. However, ARARs
generally do not provide an adequate
basis on which to determine site risks,
which are complex and often cannot be
 reduced to a single number. Further,
 EPA notes that CERCLA requires that
 all Superfund remedies be protective of
 human health and the environment but
 . provides no guidance on how this
 determination is to be made other than
 to require the use1 of ARARs as
 remediation goals, where'these ARARs
 are related to protectiveness. Under
' CERCLA (as under other environmental
 statutes), EPA relies heavily on
 information concerning contaminant
 toxicity and the potential for human
 exposure to support its decisions
 concerning "protectiveness." EPA's risk
 assessment methods provide a
 framework for considering site-specific
 information in these areas-in a logical
 and organized way. EPA agrees that a
 uniform process should be used to
 develop risk assessments and cleanup
 levels. EPA disagrees with the
 commenter who advocates national
 cleanup standards, however, because
 the specific concentrations developed
 for one site may not be appropriate for
 another site because of the nature the
 site, the waste, and the potential
 exposures as noted above. If EPA does
 identify situations in which uniform
 national standards under CERCLA
 appear to be feasible and appropriate, it
 may decide to develop such standards.
    The decision to perform site-specific
 risk assessments is consistent with
 CERCLA section 104(i)(6), which
 requires the ATSDR to perform health
 assessments for facilities on the
 proposed and final NPL. As  explained in
 section 104[i)(6)(F), these health
 assessments shall include assessments
 of the "potential risk" to human health
 posed by "individual sites", based on
 such site-specific factors as  the "nature
 and extent of contamination" and the
 "existence of potential pathways of
 human exposure."
    EPA recognizes the logical advantages
 of establishing consistent preliminary
 remediation goals at sites where
  contamination and exposure
  considerations are similar. To the degree
 possible. EPA makes use of chemical-
 specific ARARs in determining
  remediation goals for Superfund sites.
  However, because these standards are
  established on a national or statewide
  basis, they may not adequately consider
  the site-specific contamination or the
  cumulative effect of the presence of
  multiple chemicals or multiple exposure
  pathways and, therefore, are not the
  sole determinant of protectiveness.
    EPA does agree  that a uniform
  process should be  used to develop risk
  assessments and cleanup levels. To
  improve program efficiency and
  consistency. EPA is providing extensive
  guidance for characterizing site-specific
  risks and identifying preliminary
  remediation goals to protect human
  health and the  environment in two

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  8710
              Federal Register / Vol. 55, No. 46 / Thursday. March 8. 1990 / Rules and Regulations
  guidance documents: "Risk Assessment
  Guidance for Superfund: Human Health
  Evaluation Manual, Part A" No.
  8285.701 A, July 1989 (Interim Final) and
  the "Risk Assessment Guidance for
  Superfund Volume II: Environmental
  Evaluation Manual," EPA/540/1-89/001,
  March 1989 (Interim Final) hereafter
  referred to as risk assessment guidance.
  The "Human Health Evaluation
  Manual" is a revision of the "Superfund
  Public Health Evaluation Manual"
  (October 1986} and also replaces the
  "Endangerment Assessment
  Handbook."
   EPA received many comments on the
  inethodology EPA uses to conduct site-
 •pecific risk assessments. EPA conducts
  an exposure assessment to identify the
 magnitude of actual or potential human
 or environmental exposures, the
 frequency and duration of these
 exposures, and the routes by which
 receptors are exposed. This exposure
 assessment includes an evaluation of
 the likelihood of such exposures
 occurring and provides the basis for the
 development of acceptable exposure
 levels.
   Some commenters wanted specific
 clarification of the meaning of the
 "'reasonable maximum exposure
 scenario" and how it is to be used. Some
 said that the methodology results in
 overstated and unrealistic risks and that
 the procedures provide significantly
 biased estimates of risks that are
 several orders of magnitude greater than
 actual risks. Several commenters argued
 that not only did the risk assessment
 methodology that Superfund has used in
 the past overestimate risk, but that the
 proposal's use of a "reasonable
 maximum exposure scenario" would
 institutionalize this overestimation of
 risk. Some stated that this
 overestimation of risk was especially a
 problem because both exposures and
 the toxidty of chemicals are
 overestimated. The combination of the
 two in risk characterization leads to the
 overstatement of risk. Oilier
 commenters favored the use of the
 reasonable maximum exposure scenario
 and recommended its inclusion in the
 rule. EPA will continue to use the
 reasonable maximum exposure scenario
 in risk assessment, although EPA does
 not believe it necessary to include it as a
 requirement in the rule.
  EPA responds to the requests for
 clarification of the reasonable maximum
 exposure scenario and the baseline risk
 assessment in the remainder of this
 section. In the Superfund program, the
exposure assessment involves
developing reasonable maximum
estimates pf exposure for both current
  land use conditions and potential future
  land use conditions at each site. The
  exposure analysis for current land use
  conditions is used to determine whether
  a human health or environmental threat
  may be posed by existing site
  conditions. The analysis for potential
  exposures under future land use
  conditions^ used to provide decision-
  makers with an understanding of
  exposures that may potentially occur in
  tiie future. This analysis should include
  a qualitative assessment of the
  likelihood that the assumed future land
  use will occur. The reasonable
  maximum exposure estimates for future
  uses of-the site will provide the basis for
  the development of protective exposure
 levels.
   Several commenters stated that EPA's
 exposure assessment methodology
 overestimates risk, especially if worst-
 case assumptions are used. EPA is
 clarifying its policy of making exposure
 assumptions that result in an overall
 exposure estimate that is conservative
 but within a realistic range of exposure.
 Under this policy. EPA defines
 "reasonable maximum" such that only
 potential exposures that are likely to
 occur will be included in the assessment
 of exposures. The Superfund program
 has always designed its remedies to be
 protective of all individuals and
 environmental receptors that may be
 exposed at a site; .consequently, EPA
 believes it is important to include all
 reasonably expected exposures in its
 risk assessments. However. EPA does
 agree with a commenter that
 recommended against the use of
 unrealistic exposure scenarios and
 assumptions. The reasonable maximum
 exposure scenario is "reasonable"
 because it is a product of factors, such
 as concentration and exposure
 frequency and duration, that are an
 appropriate mix of values that reflect
 averages and 95th percentile
 distributions (see the "Risk Assessment
 Guidance for Superfund: Human Health
 Evaluation Manual").
  EPA does agree with one commenter
 that the likelihood of the exposure
 actually occurring should be considered
 when deciding the appropriate level of
 remediation, to the degree that this
 likelihood can be determined. The risk
 assessment guidance referenced above
 is designed to focus the assessment on
more realistic exposures. EPA has
 adopted these positions as policy and
has not revised the regulation. In
addition, EPA agrees mat risk
assessments conducted for the
Superfund should take into
consideration background
concentrations and conditions and
  should identify these critical
  assumptions and uncertainties in its risk
  assessments.
    One commenter asked EPA to clarify
  that both actual and potential risks will
  be investigated in the baseline risk
  assessment When considering current
  land use, the baseline risk assessment
  should consider both actual risks due to
  current conditions and potential risks
  assuming no remedial action. For
  example, these potential risks could
  arise by the migration of contaminants
  through ground water to wells that are
  currently uncontaminated. Future land
  use, where it is different from current
  use, is an evaluation of only potential
  exposures since the future land use
  addresses a potential situation. EPA is
  clarifying the language in the rule to
  indicate thai both actual and potential
  exposure routes and pathways should
  be considered.
   In considering land use, Superfund
 exposure assessments most often
 classify land into one of three
 categories: (I) Residential. (2)   .
 commercial/industrial, and (3)
 recreational. EPA also considers the
 ecological use of the property and, as
 appropriate, agricultural use. In general,
 the baseline risk assessment will look at
 a future land use that is both
 reasonable, from land use development
 patterns, and may be associated with
 the highest (most significant] risk, in
 order to be protective. These
 considerations will lead  to the
 assumption of residential use as the
 future land use in many cases.
 Residential land use assumptions
 generally result in the most conservative
 exposure estimates. The  assumption of
 residential land use is not a requirement
 of the program but rather is an
 assumption that may be made, based on
 conservative but realistic exposures, to
 ensure that remedies that are ultimately
 selected for the site will be protective.
 An assumption of future residential land
 use may not be justifiable if the
 probability that the site will support
 residential usie in the future is small.
 Where the likely future land use is
 unclear, risks; assuming residential land
 use can be compared to risks associated
 with other land uses, such as industrial,
 to estimate the risk consequences if the
 land is used for something other than
 the expected future use.
  Some comraenters recommended
 performing the baseline risk assessment
 assuming that institutional controls
were in place and effective at
preventing exposure. EPA disagrees that
the baseline risk assessment is the
proper place to take institutional
controls into account. The role of the
,. '' I  i," !:'          •     ' i

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            Federal Raster / Vol. 55. No. 46 / Thursday. March  8. 1990 / Rules and Regulations
                                                                                                             8711
baseline risk assessment is to address
the risk associated with a site in the
absence of any remedial action or
control, including institutional controls.
The baseline assessment is essentially
an evaluation of the no-action
alternative. Institutional controls, while
not actively cleaning up the
contamination at the site can control
exposure and. therefore, are considered
to be limited action alternatives. The
effectiveness of the institutional controls
in controlling risk may appropriately be
considered in evaluating the
effectiveness of a particular remedial
alternative, but not as part of the
baseline risk assessment.
  Some commenters stated that use of
EPA's toxicity values will lead to
overestimation of risk because they
incorporate uncertainty factors or
"margins of safety" that will bias the
estimate of risk. EPA responds that the
toxicity assessment component of
Superfund risk assessment considers the
following: (I) The types of adverse
health or environmental effects
associated with chemical exposures; (2)
the relationship between magnitude of
exposures and adverse effects; and (3)
related uncertainties such as the weight-
 of-evidence for a particular chemical's
 carcinogenicity in humans. EPA
 recognizes that toxicity values do
 incorporate "uncertainty factors."
 Because the toxicity information is
 usually derived from studies of
 industrial workers or test animals, the
 size of these uncertainty factors is
 generally determined by the confidence
 that effects seen in these studies will
 manifest themselves in humans exposed
 at Superfund sites. Larger uncertainty
 factors are generally used to ensure that
 protective levels are identified when
 considering data with greater
 uncertainty. It should be noted that
 weights-of-evidence (and uncertainty
 factors] are not directly related to
 toxicity. For example, a high weight-of-
 evidence indicates only a high
 confidence that a chemical will cause
 cancer in humans. A high confidence hi
 a toxicity value reflects a consensus that
 the value is not likely to change.
   One commenter argued that EPA, or
  other lead agency, must consider
  information on toxicity that PRPs or
  interested parties bring to their attention
  during the public comment period. In
  response, EPA will, of course, consider
  such public comments submitted on
  toxicity. However, it is important to note
  that the Superfund risk assessment
  process typically relies heavily on
  existing toxicity information or profiles
  that EPA has developed on specific
  chemicals. EPA believes that the use of
a consistent data base of toxicological
information is important in achieving
comparability among its risk
assessments. This information generally
includes estimated carcinogen
exposures that may be associated with
specific lifetime cancer risk probabilities
(risk-specific doses or RSDsj, and
exposures to noncarcinogens that are
not likely to present appreciable risk of
significant adverse effects to humans
(including sensitive subgroups) over
lifetime exposures (reference doses or
RfDs). EPA has also developed toxicity
information for some ecosystem
receptors. Where no toxicological
information is available in EPA's data
base, then EPA routinely considers other
available information, including
information provided by PRPs or other
interested parties. Depending on the
evidence, however, EPA. may feel it is
not appropriate to assess the toxicity of
specific chemicals quantitatively
because of the questions of reliability
and consistency in data development.
EPA may decide to address these
 chemicals qualitatively.
   The results of the baseline risk
 assessment are used to understand the
 types of exposures and risks that may
 result from Superfund sites. Key
 assumptions and uncertainties in both
 contaminant toxicity and human and
 environmental exposure estimates must
 be documented in the baseline risk
 assessment, as well as the sources and
 effects of uncertainties and assumptions
 on the risk assessment results. Exposure
 assumptions or other information, such
 as additional toxicity information, may
 be evaluated to determine whether the
 risks are likely to have been under- or
 overestimated. These key assumptions
 and uncertainties must also be
 considered in developing remediation
 goals.
   Several commenters suggested that
 the baseline risk assessment should be
 used to determine whether particular
  requirements were applicable or
  relevant and appropriate for a site. EPA
  believes that this determination must be
  made independently from the risk
  assessment, although EPA agrees that
  the assumptions used in the risk
  assessment should be consistent with
  those used to determine what
  requirements will be ARAR for a site.
  Risk assessment and ARARs serve
  different functions. The identification of
  ARARs is used to identify remediation
  goals and to indicate how remedial
  alternatives are to be implemented. In
  contrast, the risk asseosment is a
  technical analysis of the risks posed by
  hazardous materials at a site.
  Consequently, it would be inappropriate
for these two elements of the RI/FS to
be done together.
  Final rule: Proposed § 300.430(d)(4) of
the rule has been clarified to indicate
that both current and potential
exposures and risks are to be
considered in the baseline risk
assessment. No other changes have
been made to the rule on risk
assessment The reference to advisories,
criteria or guidance in 1300.430(d)(3)
has been modified (see preamble section
below on TBCs].
 . Name: Section 300.430(e). Feasibility
study.
  Existing rule: The 1985 NCP states in
 § 300.68[d) that a remedial
 investigation/feasibility study (RI/FS)
 shall, as appropriate, be undertaken to
 determine the nature and extent of the
 threat presented by the release and to
 evaluate proposed remedies. Part of the
 RI/FS may also involve assessing
 whether the threat can be prevented or
 minimized using source control
 measures or whether additional actions
 will be necessary because the
 hazardous substances have migrated
 from the area of their original location.
   The 1985 NCP discusses FS
 development of alternatives in
 § 300.68(f), stating that to the extent it is
 possible and appropriate, at least one
 alternative should be developed in each
 of the following categories:
 (1) Treatment alternatives; (2)
 alternatives that attain ARARs; (3)
 alternatives that exceed ARARs; (4)
 alternatives that do not attain ARARs;
 and (5) a no-action alternative. The
 alternatives should, as appropriate,
 consider and integrate waste
 minimization, destruction, and recycling.
   The alternatives developed tinder
  § 300.68(f) are subject to an initial
  screening to narrow the list of potential
 remedial actions for farther detailed
  analysis. The alternatives that remain
  after the initial screening must undergo
  a detailed analysis to evaluate and
  analyze each alternative against a set of
  specific criteria. The results of this
  analysis provide the basis for
  identifying the preferred alternative.
   As specified in | 300.68(i), the
  appropriate extent of remedy will be
  determined by the lead agency's
  selection of a cost-effective remedial
  alternative that effectively mitigates and
  minimizes threats to, and provides
  adequate protection of, public health
  and welfare and the environment This
  determination will require that a
  remedy, except in certain specified
  situations, attain or exceed federal
  public health and environmental
  ARARs. In selecting the appropriate

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            Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990  / Rules and Regulations
Jremedy, the lead agency will consider
cost, technology, reliability.
Administrative and other concerns, and
^heir relevant effects on public health
£nd welfare and the environment. If
there are no ARARs. the lead agency
jwill select the cost-effective alternative
that effectively mitigates and minimizes
threats, and provides adequate
protection to public health and welfare
^and the environment.
I  Proposed rule: The requirements of
SARA led to significant changes in the
feasibility study section of the 1985 NCP,
primarily in the range of alternatives
that are developed for consideration in
the FS and in the development of the
nine criteria, based on mandates and
factors to consider specified by  the
statute, for analysis of the alternatives.
fllie proposed rule separates the
discussion of the FS from the RI. In
§ 3Q0.43Q{ej, the proposed NCP states
that the primary objective of the FS is to
'ensure that appropriate remedial
^llematives are developed and
'evaluated such that relevant information
concerning the waste management
options can be presented to a decision-
maker and an appropriate remedy
selected. The regulation requires the
'. development and evaluation of
alternatives to reflect the scope and
complexity of the remedial action under
consideration and the site problems
being addressed.' During the FS.
alternatives are developed to protect
human health and the environment by
eliminating, reducing, and/or controlling
risks posed through each pathway by a
site. The number and type of
alternatives that are analyzed is
determined according to site-specific
circumstances.
  The first step in the FS process
involves developing remedial action
objectives for protecting human health
and the environment which should
specify contaminants and media of
ccjncem, potential exposure pathways,
and preliminary remediation goals. The
preliminary remediation goals are
concentrations of contaminants for each.
exposure route that are believed to
provide adequate protection of human
health and the environment based on
preliminary site information. These
goals are also used to assist in  setting
parameters for the purpose of evaluating
 technologies and developing remedial
 alternatives. Because these preliminary
 remediation goals typically are
 formulated during project scoping or
 concurrent with initial RI activities (i.e..
prior to completion of the baseline risk
 assessment), they are initially based on
 readily available environmental or
 health-based ARARs (e-g.. maximum
contaminant levels (MCLs)), ambient
water quality criteria fWQC)) and other
criteria, advisories, or guidance (e.g.,
reference doses (RfDs)). As new
information and data are collected
during the RI, including the baseline risk
assessment and as additional ARARs
are identified during the RI, these
preliminary remediation goals may be
modified as appropriate to ensure that
remedies comply with CERCLA's
mandate to be protective of human
health and the environment and comply
with ARARs.
  During the development and analysis
of alternatives, the risks associated with
potential alternatives, both during
implementation and following
completion of remedial action, are
assessed, based on the reasonable
maximum exposure assumptions and
any other controls necessary to ensure
that exposure levels are protective and
can be attained. These are generally
assessed for each exposure route unless
there are multiple exposure routes
where combined effects may have to be
considered. For all classes of chemicals,
EPA uses health-based ARARs to set
remediation goals, when they are
available. When health-based ARARs
are not available or are not sufficiently
protective due to multiple exposures or
multiple contaminants, EPA sets
remediation goais for nbncarcinogenic
chemicals such that exposures present
no appreciable risk of significant
adverse effects to individuals, based on
comparison of exposures to the
concentration associated with reliable
toxicity information such as EPA's
reference doses. Similarly, when an
ARAR does not exist for carcinogens.
EPA selects remedies resulting in
cumulative risks that fall within a
proposed range of 10~" to 10~7
incremental individual lifetime cancer
risk (revised in final rule to 10"* to 10"6),
based on the use of reliable cancer
potency information such as EPA's
cancer potency factors. In addition, EPA
will set remediation goals for ecological
and environmental effects based on
environmental ARARs, where they
exist, and levels based on site-specific
determination to be protective of the
environment.
  Once the remediation goals have been
established, potentially suitable
technologies, including innovative
technologies are also identified,
 evaluated, and assembled into
 alternative remedial actions that are
 designed to meet the remediation goals
 established according to the principles
 stated in the previous paragraph. The
 proposed NCP directs that certain types
 of alternatives must be developed, as
appropriate, for source control and
ground-water response actions, and
describes the requirements for
developing innovative treatment
alternatives and no-action alternatives.
The short- and long-term aspects of
three criteria (i.e., effectiveness,
implementafaiility. cost), will, as
appropriate, guide the development and
screening of alternatives.
  Alternatives that remain after the
initial screening must undergo a detailed
analysis that consists of an assessment
of individual alternatives against each
of the sine evaluation criteria. These
criteria are:
  (1) Overall protection of human health
and the environment;
  (2) Compliance with ARARs;
  (3) Long-tenn effectiveness and
permanence;
  (4) Reduction of toxicity, mobility, or
volume;
  (5) Short-term effectiveness;
  (6) Implementability:
  (7) Cost
  (8) State acceptance; and
  (9) Community acceptance.
  Response to comments: 1. Remedial
action objectives and remediation goals.
One commenter recommended that
remedial action objectives be
established in the RI rather than the FS
because the commenter feels they are
needed early in the process so that they
may be used as part of the baseline risk '
assessment. EPA agrees that remedial
action objectives are needed early in the
process. However. EPA believes that
putting the remediation goals as the first
step of the FS accomplishes this
objective and does not delay the
development of remediation goals
because the RI and FS are not sequential
but rather concurrent processes. In fact,
remediation objectives and goals are
initially developed at the workplan
stage, prior to the commencement of RI/
FS activities. In addition, the
remediation goals are not necessary for
the baseline risk assessment Rather, the
results of the baseline risk assessment
are used to either confirm that the
preliminary remediation goals are
indeed protective or to lead to the
revision of the remediation goals in the
proposed plan.
  Another commenter ougge'sted that
preliminary remediation goals be
reviewed when developing the remedial
action objectives. This comment reflects
widespread confusion about the
remedial action objectives and
remediation goals. Several commenters
asked for clarification of these two
concepts. The remedial action objectives
 are the more general description of what
the remedial action will accomplish.

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            Federal Register / Vol. 55, No. 46 / Thursday, March 8. 1990 / Roles and Regulations
                                                                                                            8713
Remediation goals are a subset of
remedial action objectives and consist
of medium-specific or operable unit-
specific chemical concentrations that
are protective of human health and the
environment and serve as goals for the
remedial action. The remedial action
objectives aimed at protecting human
health and the environment should
specify: (1) The contaminants of
concern, (2] exposure routes and
receptors, and (3) an acceptable
contaminant level or range of levels for
each exposure medium (i.e., a
preliminary remediation goal}. Remedial
action objectives include both a
contaminant level and an exposure
route recognizing that protectiveness
may be achieved by reducing exposure
as well as reducing contaminant levels.
  As noted above, the preliminary
remediation goals are the more specific
statements of the desired endpoint
concentrations or risk levels. Initially,
they are based on readily available
information, such as chemical-specific
ARARs (e.g., MCLs, WQCs) or
concentrations associated with the
reference doses or cancer potency
factors. As the Rl proceeds and
information from the baseline risk
assessment becomes available, the
preliminary goals may be modified- due,
among other things, to consideration of
site-related exposure through multiple
exposure pathways or exposure to
multiple chemicals, either of which may
raise the cumulative risk from chemicals
of concern at the site out of the risk
range.  The initial development of
preliminary remediation goals is not
intended to be a lengthy undertaking,
although remediation goals are revised
throughout the RI/FS process as
additional information becomes
available.
  The  development of preliminary
remediation goals serves to focus  the
development of alternatives on remedial
technologies that can achieve the
remedial goals, thereby limiting the
number of alternatives to be considered
in the  detailed analysis. This focusing is
one means of implementing the
program's expectation for streamlining
the remedial process. Information to
develop final remediation goals is
"developed as part of the RI/FS process.
Consequently, the use of preliminary
remediation goals does not preclude the
development and consideration or
selection  of alternatives that attain other
risk levels. Final selection of the
appropriate level of risk is made based
 on the balancing of criteria in the
remedy selection step of the process.
Language in the regulation has been
revised to clarify the development of
remediation goals.
  One commenter felt the remediation
goals should be based only on ARARs
and that EPA has no authority to require
compliance with anything but ARARs,
although the commenter acknowledges
that other information may be necessary
when ARARs are not available. EPA
disagrees that it has no authority to
comply with anything but ARARs.
ARARs do not exist for all exposure
media  (e.g., certain types of
contaminated soil) or for all chemicals,
and therefore, EPA must use other
information to set remediation goals that
will ensure protection of human health
and the environment as required by
statute. EPA intends that this will focus
on the  EPA-developed toxicity
information (cancer potency factors and
the reference doses for noncarcinogenic
effects). If neither ARARs nor EPA-
derived toxicology information are
available, other information will be
used, as necessary, to determine what
levels are necessary to protect human
health and the environment (e.g., state
guidelines on what is protective for a
certain chemical).
  Where ARARs do not exist or where
the baseline risk assessment indicates
that cumulative risks—due to additive
or synergistic effects from multiple
contaminants or multiple exposure
pathways—make ARARs nonprotective,
EPA will modify preliminary
remediation goals, as appropriate, to be
protective of human health and the
environment. For cumulative risks due
to noncarcinogens, EPA will set the
remediation goals at levels for
individual chemicals such that the
cumulative effects of exposure to
multiple chemicals will not result in
adverse health effects. EPA is clarifying
the language in the rule in response to a
commenter to indicate that an
acceptable exposure for noncarcinogens
is one  to which human populations,
including sensitive subgroups such as
pregnant women and children, may be
exposed without adverse effects during
a lifetime or a part of a lifetime,
incorporating an adequate margin of
safety. The phrase "part of a lifetime" is
added to clarify that protective levels
will be set for less than lifetime
exposures, as appropriate. In general,
acceptable chemical concentrations are
lower for lifetime exposure than other
exposure durations.
   EPA will set remediation goals for
total risk due to carcinogens that
represent an excess upperbound lifetime
cancer risk to an individual to between
10~* to 10"' lifetime e>:cess cancer risk.
A cancer risk of.!0~« will serve as the
point of departure for these remediation
goals. EPA is clarifying, based on a
recommendation from a commenter, that
all preliminary remediation goals will be
set so that they are protective for
sensitive subpopulations, such as
pregnant women and children.
Comments on the use of a cancer risk
range and a point of departure for the
establishment of remediation goals are
addressed in preamble sections below.
  Remedial action, objectives and
remediation goals should be set for
appropriate environmental media, and
performance standards established for
selected engineering controls and
treatment systems including controls
implemented during the response
measure. While points of compliance for
attaining these remediation levels are
established on a  site-specific basis, as
supported by some commenters, there
are general policies for establishing
points of compliance. For ground water,
remediation levels should generally be
attained throughout the contaminated
plume, or at and beyond the edge of the
waste management area when waste is
left in place. For  air, the selected levels
should be established for the maximum
exposed individual, considering
reasonably expected use of the site and
surrounding area. For surface waters,
the selected levels should be attained at
the point or points where the release
enters the surface waters. (See preamble
section on ARARs for further
information  on points of compliance.)
  One commenter objected to the use of
the "reasonable maximum exposure
scenario" in the development of
remediation goals, as described in the
preamble to the proposed rule. In
particular, the commenter objected to
the use of the reasonable maximum
exposure concept given the lack of
definition and criteria on which to apply
it EPA believes that Superfund
remedies need to be protective of all
individuals exposed through likely
exposure pathways, not just large
populations, as suggested by another
commenter. To that end EPA developed
the concept of reasonable maximum
exposure, which is designed to include
all exposures that can be reasonably
expected to occur, but does not focus on
worst-case exposure assumptions. EPA
has clarified the definitions and
discussion of the reasonable maximum
exposure in today's preamble discussion
of the baseline risk assessment.
   Another commenter expressed
concern that even though a risk
assessment shows a particular remedy
is protective, EPA will set remediation
goals at more stringent levels based on
policy, criteria, or guidelines (not

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8714
Federal Register / Vol. 55, No. 46  /  Thursday,  March 8, 1990 / Rules and Regulations
regulations). EPA responds that it is the
goal of the Superfund program to select
remedies that protect human health and
the environment, maintain that
protection over time, and minimize
untreated waste. The risk assessment is
one factor in the determination of what
is protective. EPA does not arbitrarily
select remediation goals that exceed
levels determined to be protective.
  2. Development and screening of  ••
alternatives. Regarding the development
of alternatives, several commenters
stated that there is no justification for
requiring an array of alternatives to be
developed in every situation.
Commenters were particularly
concerned about situations where
certain options were precluded by site
conditions (e.g.. municipal landfills
where treatment of all site wastes is
impracticable). One commenter
suggested that § 300.430(e)(3)(ii) be
deleted, since, in the commenter's
opinion, there was no justification for
requiring a containment alternative to
jb$ developed for every Superfund site,
even when the scoping phase indicated
that a range of treatment-based
remedie? is appropriate. Another
commenter recommended specific
revisions to § 300.430(e)to clarify this
point.
  EPA agrees with the commenter that
focusing the development of alternatives
only on those that show promise in
achieving the goals of the Superfund
program is a significant means by which
the program can streamline the process
and achieve more rapid cleanup.
However, EPA feels that this flexibility
Is already present in the rule which
repeatedly states that alternatives
should be developed, as appropriate, for
the particular situation at the site. This
means that if treatment is not
practicable for all wastes at the site,
then complete treatment need not be
included as an alternative.
Alternatively, if it is clear that treatment
will be part of the remedy, alternatives
that rely solely on containment or
institutional controls and that do not
include treatment need not be
considered. This practice is consistent
with the program expectations
discussed above.
  Two commenters stated that the
proposed approach for development and
screening of alternatives is biased
against innovative technologies, since
there appears to be a strong tendency
for EPA tp select remedies that have
been previously proven to be successful.
One commenter asserted that it was not
clear how EPA would evaluate
innovative technologies in the screening
analysis. EPA would like to clarify that
                           it does not intend to inhibit the
                           development of innovative technologies
                           in the development and screening of
                           alternatives. EPA has deleted the
                           requirement in the final rule that
                           innovative technologies must offer
                           "better" performance than proven
                           technologies. Instead, EPA has stated its
                           intent to consider those innovative
                           technologies that offer the potential for
                           comparable or superior performance or .
                           implementability; fewer or lesser
                           adverse impacts than other available
                           approaches; or lower costs for similar
                           levels of performance than
                           demonstrated treatment technologies.
                           By providing for the consideration of
                           innovative technologies, EPA intends to
                           eliminate from consideration only those
                           innovative technologies that have little
                           potential for performing well at specific
                           sites.
                             As part of the encouragement of
                           innovative technologies that EPA
                           expects to result from this provision,
                           EPA is emphasizing the need for
                           performing treatability studies earlier in
                           the remedial process. Because
                           innovative technologies may not have
                           been as thoroughly demonstrated,
                           treatability studies during the RI/FS
                           may be necessary to provide
                           information sufficient for an appropriate
                           evaluation of these technologies. The
                           goal of treatability studies is to establish
                           through the use of good science and
                           engineering, the probable effectiveness
                           of innovative technologies. EPA has
                           issued guidance that further encourages
                           the use of innovative treatment
                           technologies in "Advancing the Use of
                           Treatment Technologies for Superfund '
                           Remedies" (OSWER Directive 9355.0-
                           26).
                             One commenter requested that
                           J 300.430(e}(3) be revised to clarify that
                           off-site disposal hi a secure facility
                           without treatment may be selected as a
                           partial or complete remedy. The
                           commenter also addressed hi detail one
                           particular alternative that the NCP and
                           guidance should suggest for
                           consideration and analysis (i.e., use of
                           the site, once remediated, as a solid
                           waste management unit). EPA agrees
                           with the commenter that off-site
                           disposal without treatment may be
                           selected as the remedy in appropriate
                           circumstances, such as where the site
                           has high volumes of low toxicity waste.
                           However, the statute clearly indicates
                           that this is the least preferred
                           alternative. EPA believes that this
                           comment most directly addresses the
                           remedy selection, not the feasibility
                           study, and has modified proposed
                           | 300.430(f}(3)(iii) (§ 300.430(f)(l)(ii)(E) in
                           the final rule) to acknowledge that off-
site disposal without treatment can
potentially be an appropriate alternative
while recognizing the statutory bias
against it As to the commenter's second
point, BOthi'og in the NCP prohibits the
use of remediated sites as RCRA solid
waste management units, provided all
requirements under RCRA and other
applicable laws, including permitting
requirements, are met and any CERCLA
off-site policy/rule requirements are
satisfied (OSWER Directive No. 8834.11
(November 13,1987); 40 CFR 300.440
(proposed)(53 FR 48218, November 29,
1988)).
  With reference to the screening of
alternatives, several commenters
supported EPA's proposal to allow the
elimination of alternatives at the
screening sltage on the basis of cost
Some of these .commenters suggested
that determination of cost-effectiveness
be made an explicit screening  step,
noting that Congress requires that
remedies b<: cost-effective. They argued
that inadequate consideration  of cost
will lead to inefficient use of the Fund
and may result in some sites not being
addressed. One commenter stated that
the inability to eliminate cost-ineffective
remedies early in the remedy selection
process results hi a misallocation of
time, effort and funds.
  Other commenters opposed using cost
as a criterion during the preliminary
screening of alternatives. One
commenter argued that many
alternative:;  are rejected based on
inadequate cost data. Another
commenter stated that eliminating
remedial alternatives based on
consideration of cost before the ultimate
health-based standards or levels of
control are determined was
inappropriate and illegal.
  In response to comments received on
the role of cost in the development and
screening of alternatives, EPA has
clarified the role of cost in screening of
alternative:;. Screening is to be
performed to eliminate from further
consideration those alternatives that are
not effective, not implenientable, or
whose costs are grossly excessive for
the effectiveness they provide. This last
category would include those situations
where cost is so excessive that a remedy
is virtually unimplementable and is.
therefore, impracticable to consider.
Specifically, when alternatives vary
significantly in their effectiveness, cost
may be considered in conjunction with
other factors to determine which
alternatives are inordinately costly for
the effectiveness they provide. For
example, where total treatment of a
large municipal landfill has been
considered initially as a remedial

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             Federal Register / Vol.  55, No. 46 / Thursday.  March 8. 1990 /  Rules and Regulations
                                                                                                              8715
 alternative, this alternative will likely be
 eliminated from further consideration
 due to the large volume of material for
 which treatment capacity is not
 available and for which costs are
 extremely high.
   The other situation where cost may
 result in the elimination of an
 alternative during screening is where
 two or more alternatives are determined.
 to provide similar levels of effectiveness
 and implementability by using a similar
 method of treatment or engineering
 control but their costs vary significantly.
 In this case, cost can be used to
 eliminate from  further consideration the
 more costly alternatives. For example, if
 soil washing and bioremediation are
 expected to be  similarly effective, but
 bioremediation is significantly more
 costly, the bioremediation alternative
 could be eliminated from further
 consideration while the soil washing
 option would be carried through to
 detailed analysis.
   One commenter argued against
 considering cost in screening because'
. the use of potentially inadequate cost
 data available  in this stage of the
 remedial process may result in the
 elimination of viable alternatives. EPA
 responds that while cost data are
 continuously being developed, at the
 screening stage cost data of sufficient
 quality are usually available to
 determine whether the cost of an
 alternative is "grossly excessive" or
 significantly more costly for the results
 it provides. EPA believes that this
 screening should be used to help
 streamline the  detailed analysis.
   Finally, one commenter suggested that
 if there is proper coordination -with
 natural resource trustees during the
 development of alternatives, trustee
 recommendations concerning, for
 example, appropriate mitigation for
 wetlands impacts and cost-effective
 restorations, may be incorporated into
 project plans. The commenter believed
 this would facilitate trustee
 determinations as required in section
 122(j){2) of CERCLA. EPA agrees that
 coordination with natural resource
 trustees during the development of
 alternatives is  important. Today's rule
 indicates in several sections
 {§§ 300.615(c).  300.410[g), and
 300.430(b)(7)) that the lead agency
 should seek to coordinate with the
 natural resource trustees. In fact.
 § 300.615 of this rule addresses a variety
 of natural resource trustee issues.
 including coordination and cooperation
 between multiple trustees and the lead
 agency.                         .
    Final rule: Several changes are being
 made to proposed § 300.430(e), the
 feasibility study section, primarily to
clarify the feasibility study role and
process.
  I. The kinds of alternatives that are
developed during the feasibility study
have been expanded to indicate that
recycling may be used to protect human
health and the environment by
eliminating, reducing and/or controlling
risks at a site. Discussion of this change
iSifca»Kl,in;the response to comments for
the detailed analysis of alternatives.
  2. Language in the regulation at
5 300.430(e)(2)(i) has been clarified to
indicate that preliminary remediation
goals are initially developed  based on
easily available infonnafdon, such as
ARARs and other reliable information.
This reliable information; will likely be
EPA-developed toxicity information [i.e.,
reference doses and cancer potency
factors). As further information becomes
available, then other factors  listed in
paragraphs (e)(2)(i) (A). |[B). and (C) will
be considered. In addition, the
description of ARARs in
f 300.430(e)(2)(iJ(A) is revised (see
preamble section below on definition of
"Applicable"]. Further, the language in
§ 300.430(e)(2)(i)(A)[i) is revised for
clarity. Sections 300.430{e)(2)(i)(A) (2]
and (3] of the proposal are being
combined in the final rule to  indicate
that exposure to multiple contaminants
and multiple exposure pathways are
situations that may result in  ARARs
being nonprotective. Language in
§ 300.430(e)(2)(i)(G) is being  added to
indicate that where environmental
ARARs do not exist, environmental
evaluations, especially focusing on
sensitive ecosystems and critical
habitats of species protected under the
Endangered Species Act, will provide
information for developing remediation
goals. These changes are being made to
clarify the proposal and do not represent
any change in the remedial process.
  3. See ARARs preamble sections
below for other additions or revisions to
§ 300.430(e)(2)[i): "Use of maximum
contaminant level goals for ground
water." "Use of federal water quality
criteria (FWQC)." and "Use  of alternate
concentration limits (ACLs)."
  4. Section 300.430{e')(6) has been
revised to clarify that a ino-action
alternative may be appropriate where a
removal or remedial action has already
occurred at a site.
  5. The provision on the development
of alternatives that use innovative
technologies is being revised to indicate
that an innovative technology need only
offer the potential to be comparable in
performance or implementability to
demonstrated technologies to warrant
•further consideration in the  detailed
analysis step.
  6. Two factors used in the screening of
alternatives are being revised. ARAR
compliance and reduction of toxicity,
mobility or volume through treatment
are being added as considerations in
determining effectiveness. This revision
corrects an inadvertent omission in the
proposal. The role of cost in screening
alternatives has been revised to indicate
that alternatives may be screened on
costs in two ways. First an alternative
whose cost is grossly excessive
compared to the effectiveness it
provides may be eliminated in
screening. Second, if two or more
alternatives provide similar levels of
effectiveness and implementability
using a similar method of treatment or
engineering control, the more expensive
may be eliminated from further
consideration.
  7. The references to advisories,
criteria or guidance in § 300.430[e) (8}
and (9] have been modified (see
preamble section below on TBCs).

  Name: Section 300.430(e)(2). Use of
risk range.
  Proposed rule: Proposed
§ 300.430(e3(2)pKA)(2) states that for
known or suspected carcinogens.
acceptable exposure levels are generally
concentration levels that represent an
excess upperbound lifetime cancer risk
to an individual of between 10" ' and
ICT7 (53 FR 51426 and 51505).
  Response to comments: A few
commenters supported the proposed risk
range of 10" « to 10"'. though generally
with qualifications. One commenter's
position on the point of departure makes
clear that they view the risk range only
as a fallback when ID"* cannot be
attained. Another commenter supporting
the proposed risk range argued that the
risk range should be used only as a
guideline, in order to provide lead
agencies with sufficient flexibility.
Another commenter said that they could
support the proposed range, but their
comments clearly favor revision to a
range of 10"* to 10~€as the really
operative part. Several commenters (see
below) supported a more stringent risk
range or level.
  Many commenters favored a less
stringent range, i.e., one whose lower
risk bound is higher than 10~7 and
whose upper bound may even exceed
10"*, while some favored a more
stringent range or a single, stringent
target cleanup level. A few commenters
recommended dispensing with the use of
a risk range or risk assessment
altogether as a basis for cleanup in favor
of what they maintained are more
stringent levels (background or
statutorily specified ARARs). Several

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 8716      Federal Register  /  Vol. 55, No. 46 / Thursday. March 8. 1990  /  Rules and Regulations
commenfers pointed out that risk
assessment methodology is as important
as the range chosen.
  The majority in favor of a less
Stringent range generally supported a
risk range of 10"«to 10"s. A number of
reasons were given in support of this
alternative. The most commonly
repeated reason is that the narrower,
higher risk range is consistent with risk
management decisions made in other
EPA regulatory programs and in federal
regulatory agencies in general.
Commenters argued that allowing a
lower risk on the order of 10~7 would be
"unprecedented" and "indefensible," far
less than many commonly accepted
risks or the accepted de minimi's level.
Some also noted that no Superfund
action has ever cleaned up  to this
stringent level. Another commenter
stated that recent judicial decisions
support fte use of a narrower risk range.
One commenter suggested a slightly
different range of 10~stbiOW6in order to
limit the pressure for less protective
remedies.
   Other reasons for opposing a risk
range with a boundary at 1CT7 are that
 such a range could lead to fewer
 cleanups of high-risk sites or less overall
 risk reduction, which would misallocate
 scarce resources (the Superfund) and be
 contrary to the statutory mandate for
 cost-effectiveness: that it is impossible
 to detect many chemicals at this low
 level; that it is" not technologically
 feasible in many cases to achieve this
 level: that risk assessment already
 incorporates conservative assumptions:
 and that the broader, more stringent
* range complicates analysis of
 alternatives in the FS. One commenter
 pointed out that the more stringent level
 may be suitable for highly toxic
 chemicals such as pesticides, but
 otherwise it is not worth the additional
 cost. Another commenter charged that
 EPA's choice of the lower bound was
 improperly intended to bias selection of
 remedy toward treatment technologies.
 because it is dearly not necessary for
 protection of health.
   Several commenters argued against
 the proposed risk range in favor of
 setting the overall cleanup level for the
 remedy at no higher than 10-«. They
 argued that because risk assessment is
 fraught with uncertainty, remedies
 should always protect to this level at a
 minimum, regardless of the levels of
 individual ARARs. Commenters
 recognized that it may not be feasible to
 achieve10~8. or there may be
 "extraordinary circumstances" that
 preclude this level; in such cases one
 commenter proposed an upper bound of
  These commenters also had problems
with the specific boundaries proposed
by EPA. One commenter said that 10~*
is too great a risk, and even ID"7 may be
as well; they found the alternative of
10~4 to 10~8 to be unacceptable,
although they did not say what risk level
or approach would be preferable. They
disputed the validity of the argument
relating risk level and number of sites
cleaned up because of the availability of
PRPs. One commenter, while preferring
a risk range to a single level, suggested
that 10"s rather than 10~* might be more
protective as the upper bound for one or
two chemicals because the conservative
assumptions become additive for more
than two chemicals. Another commenter.
argued that an upper bound at 10~6 is
needed because a state agency would
have difficulty supporting or justifying
using a higher risk level. A commenter
expressed concern that a risk range
might preclude more protective remedies
that can practicably be achieved at little
additional cost. One commenter argued
that levels below 10~7 should be
permissible, and that any limit at the
lower end would undermine the state in
negotiating with PRPs. A commenter
suggested that risk assessment should
be a final check on the most protective
remedy practicable.
   Commenters argued that use of a risk
range does not adequately protect
health and environment. One proposed
that cleanup should always be to
background levels as a first choice,
because anything less leaves
contamination whose cumulative and
chronic effects are unknown. Another
commenter disagreed with use of a risk
range and site-specific risk assessment
as a basis for remedy selection, saying
that it violates the statute's mandate to
use such stringent standards as MCLGs
 and water quality criteria, which would
 assure protection of health and
 environment. A commenter pointed out
 that there is no statutory authority for
 use of a risk range when ARARs exist.
   Finally, several commenters suggested
 that the assumptions and methods of
 risk assessment are as important, or
 even more important, than the risk range
 used. They pointed out the need for
 standardized risk assessment methods
 and exposure assumptions, and gave
 suggestions for improved ways of
 handling uncertainties.
   EPA recognizes the merits of many of
 the comments made on the risk range
 issue and appreciates the significance of
 the boundaries of the risk range for
  determining the extent of protectiveness
  and the cost of cleanups. Based on the
  comments received, EPA has decided to
  revise the boundaries of the acceptable
risk range for Superfund cleanups to
10~4 to 10"B but to allow for cleanups
more stringent than 10~* when
warranted by exceptional
circumstances. The following discussion
explains the basis for using a risk range,
the reasons for revising the range, and
how this revised risk range is to be used
when setting remediation goals for a
specific medium—soil, ground water,
surface water,-or air—and responds to
other comments summarized above on
this risk range issue.8
  The primary goals of Superfund
cleanups are to protect human health
and the environment and to comply with
ARARs. When ARARs are not
available, Superfund develops a
reasonable maximum exposure scenario
that describes the current and potential
risk posed by the site in order to
determine what is necessary to achieve
protection against such risks to human
health (see preamble section above on
baseline risk assessment for more
discussion of reasonable maximum
exposure scenario). Based on this
scenario, Superfund selects remedies
that reduce the threat from carcinogenic
contaminants at a site such that the
excess risk from any medium to an
individual exposed over a lifetime
generally falls within a range from 10"*
to 10~6. EPA's preference, all things
being equal, is to select remedies that
are at the more protective end of the risk
range. Therefore, when developing its
preliminary remediation goals, EPA uses
10~6 as a point of departure (see next
preamble section on point of departure).
   EPA believes that use of a risk range
 is consistent with the mandates in
 CERCLA and disagrees with comments
 that Superfund should not use a risk
 range. CERCLA does not require the
 complete elimination of risk or of all
 known or anticipated  adverse effects,
 i.e-, remedies under CERCLA are not
 required to entirely eliminate potential
 exposure to carcinogens. CERCLA.
 section 121 does direct among other
 requirements, that remedies protect
 human health and the environment, be
 permanent to the maximum extent
 practicable and be cost-effective.
 Remedies  at Superfund sites comply
 with these statutory mandates when the
 amount of exposure is reduced so that
 the risk posed by contaminants is very
 small, Le., at an acceptable level. EPA's
 risk range of 10"* to 1CT8 represents
 EPA's opinion on what are generally
 acceptable levels.
   • Cleanup leveb at • tilt are'determined for «
  particular medium. Such cleanup levels encompass
  the acceptable risk leveb for contaminants in that
  medium.

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             Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules and Regulations
                                                                                                              8717
   In response to comments received,
 and to be consistent with the accepted
 de minimis level used by other EPA
 programs, e.g., the drinking water
 program, the lower boundary of the risk
 range has been changed from 10~7 to
 10"6.9 This change also reflects the fact,
 noted by commenters, that current
 available analytical and detection
 techniques cannot effectively verify for
 many contaminants that concentration
 levels corresponding to risk levels below
 10~6 have actually been attained after
 remediation.
   In the.Superfund program,
 remediation decisions must be made at
 hundreds of diverse sites across the
 country. Therefore, as a practical
 matter, the remediation goal for a
 medium typically will be established by
 means of a two-step approach. First
 EPA will use an individual lifetime
 excess cancer risk of 10"6 as a point of
 departure for establishing remediation
 goals for the risks from contaminants at
 specific sites. While the 10~6 starting
 point .expresses EPA's preference for
 setting cleanup levels at the more
: protective end of the risk range, it is not
 a presumption that the final Superfund
 cleanup will attain that risk level.-
   The second step involves
 consideration of a variety of site-specific
 or remedy-specific factors. Such factors
 will enter into the determination of
 where within the risk range of 1CT4 to
 10"* the cleanup standard for a given
 contaminant will be established.
   Preliminary remediation goals for
 carcinogens are set at a 10"6 excess
 cancer risk as a point of departure, but
 may be revised to a different risk level
 within the acceptable risk range based
 on the consideration of appropriate
 factors  including, but not limited to:
 exposure factors, uncertainty factors,
 and technical factors. Included under
 exposure factors are: the cumulative
 effect of multiple contaminants, the
 potential for human exposure from other
 pathways at the site, population
 sensitivities, potential impacts on
 environmental receptors, and cross-
 media impacts of alternatives. Factors
 related to uncertainty may include: the
 reliability of alternatives, the weight of
  scientific evidence concerning
  exposures and individual and
  cumulative health effects, and the _
  reliability of exposure data. Technical
  factors may include: detection/
  quantification limits for contaminants,
    • Office of Drinking Water. National Primary and
  Secondary Drinking Water Regulations: Proposed
  Rule. S« FR 220« (May 22.1989). In general, other
  federal agencies do not reduce individual lifetime
  ri$k levels below 1CT«. "Cancer risk management
  Environmental Science and Technology. Vol. 21. No.
  S (1987).
technical Imitations to remediation, the
ability to monitor and control movement
of contaminants, and background levels
of contaminants. The final selection of
the appropriate risk level is made when
the remedy is selected based on the
balancing of criteria (see preamble
discussion below on remedy selection).
  Some commenters recommended
establishing a single point e.g., 10~s. as
the basis for cleanup at all sites. EPA
does not agree with this
recommendation because EPA believes
that other risk levels may be protective
when the 10"'risk level will not be
attained at a site due to the factors
described above. Moreover, establishing
10"' as the single cleanup level, ie., the
only level considered protective, would
be incongruous with CERCLA's
requirement to comply with ARARs.
Many ARARs, which Congress
specifically intended be used as cleanup
standards at Superfund sites, are set at
risk levels less stringent than 10"6.
  Ground water that is not currently a
drinking water source but is potentially
a drinking water source in the future
would be protected to levels appropriate
to its use as a.drinking water source.
Ground water that is not an actual or
potential source of drinking water may
not require remediation to a 10~4 to 10~6
level (except when necessary to address
environmental concerns or allow for
other beneficial uses; see preamble
discussions below on EPA's ground-
water policy and on use of MCLGs for
ground-water cleanups).
  EPA's approach on setting
remediation goals for soils is based on
risk levels and is intended to protect
currently exposed individuals as well as
those who potentially may be exposed
in the future. A reasonable maximum
exposure scenario (described in the
preamble section above on "baseline
risk assessment") is developed to
estimate future potential uses of the site
in order to provide a basis for the
development of protective exposure
levels. For example, soil that is not
 currently in residential use but may
potentially have future residential uses
would be protected to levels appropriate
 to residential uses. However.
 contaminated soil at an industrial site
 might be cleaned up to a less stringent
 standard, but still within the 10"* to 10 «
 risk range, than soil at a residential site,
 as long as there is reasonable certainty
 that the site would remain for industrial-
 use only (institutional controls may be
 necessary to ensure that the site is not
 used for residential purposes). In the
 unusual circumstancets where the
 baseline risk assessment indicates that
 there is little or no chance of any direct
human exposure, for example,
contaminated riverbeds in certain
circumstances, remediation of the
sediments to human health-based levels
may not be necessary (although cleanup
to address environmental concerns may
be required).
  "Potential" is a term used in a variety
of contexts in § 300.430. When
"potential" is used to describe risk,
exposure, exposure pathways or threats.
it means a reasonable chance of
occurrence within the context of the
reasonable maximum exposure scenario
developed for that particular site (see
preamble discussion above on "baseline
risk assessment").
  At some sites, it is not certain that a
risk level of 10"6 will actually be
attained, even when treatment
technology designed to achieve 10"'is
selected, due to the presence of certain
site-specific exposure factors. Such
factors may indicate the need to
establish a risk goal that is more
protective than the overall goal of 10~4.
These site-specific exposure factors
include but are not limited to: the
cumulative effect of multiple
contaminants: the potential for human
exposure from other pathways at the
site; population sensitivities; potential
impacts on environmental receptors;
and cross-media impacts. In addition.
even if not specified as a goal, a cleanup
more stringent than 10"6may be
achieved in some cases due to the
nature of the treatment technology used.
Remedial technologies exist that, in the
process of meeting remediation goals
within the range of 10"* to 10"srisk, can
achieve risk reduction for particular
contaminants below 10~€.
   In summary, EPA's approach allows a
pragmatic and flexible evaluation of
potential remedies at a site while still
protecting human health and the
environment. This approach emphasizes
the use of 10~s as the point of departure
while allowing site- or remedy-specific
factors, including potential future uses,
 to enter into the evaluation of what is
 appropriate at a given site. As risks
 increase above 10"'. they become less
 desirable, and the risk to individuals
 generally should not exceed 10~4.
   In response to other comments
 received on the risk range issues. EPA
 does not agree that cleanup should
 always be to background levels. In some
 cases, background levels are not
 necessarily protective of human health.
 such as in urban or industrial areas; in
 other cases, cleaning up to background
 levels may not be necessary to achieve
 protection of human health because the
 background level for a particular

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 8718      Federal Register / Vol. 55. No. 46 / Thursday.  March 8. 1990 / Rules and Regulations
contaminant may be close to zero, as in
pristine areas.
  Other commenters asserted that EPA
must use statutorily-specified
requirements, such as MCLGs or water
Duality criteria (WQC), instead of a risk
range when setting cleanup levels. In
response, EPA believes that a risk range
is necessary to assist in determining
protectiveness in the absence of
potential ARARs. Further, in cases of
mixtures of chemicals where attaining
chemical-specific ARARs for each
contaminant may still result in a
cumulative risk in excess pfip~*due to
•dditivity of the risk of the
contaminants, use of a risk range would
be necessary to set a protective
remediation level for the overall
medium. Finally, some commenters
•tressed the importance of assumptions
and methods used in conducting risk
assessments to the establishment of
cleanup goals. EPA agrees. EPA
discusses assumptions and methods to
be used when conducting risk
assessments in greater detail in the
preamble sections above on remedial
investigation and baseline risk
assessment.
  Final.rufe.-EPA has revised
§ 300.430(e){2)(i)(A)(2) to state that: "For
known or suspected carcinogens.
acceptable exposure levels are  generally
concentration levels that represent an
excess tipper bound lifetime cancer risk
to an individual of between 10~4 and
10"'using information on the
relationship between dose and
response."
  Name: Section 300.430(e)(2). Use of
point of departure.
  Proposed rule: Section
300.430(e](2}(i){A)(2) stated that the 10~s
risk level shall be used as the point of
departure for determining remediation
goals for alternatives when ARARs are
fiot available or are not sufficiently
protective.
  Response to comments: Essentially
none of the commenters supported the
point of departure exactly as proposed,
that is. where ARARs are lacking or are
not sufficiently protective,
determination of cleanup levels would
start at 10"* and move within the risk
range depending on certain enumerated
factors.
  Several commenters favored use of
10~* as the cleanup level. Some of these
commenters did not actually endorse the
concept of a point of departure in that
they thought the overall risk of a  remedy
should not exceed 10"'in any case.
Others  essentially supported a sticky
point from  which departures in the
direction of increased risk would only
be justified on grounds such as
^feasibility.
  A number of commenters preferred
the use of the full risk range rather than
a single value for the cleanup level. In
certain cases it was not clear whether
commenters understood EPA's intention
in having a point of departure. One
commenter said that a point of
departure does not help in developing
cleanup goals. Other commenters argued
that a point of departure undermines the
risk range by establishing a single value
for all sites, whereas use of a risk range
accounts for variation among sites and
for uncertainties in risk assessment.
Another commenter supported use of the
entire range rather than focusing on 10"6
in order to foster cost-effectiveness in
the program, while several others
similarly stated that a risk range, rather
than a target level, recognizes such
relevant factors as toxicity, exposure
potential, and cost-benefit tradeoffs.
  Several commenters proposed use of a
different point of departure, and even
one which could vary depending on the
site circumstances. If a point of
departure is chosen, one commenter
suggested mat 10~S is the appropriate
value, being within the suggested risk
range of 10~* to 10~s. Another
commenter, on the other hand, said the
point of departure should be 10"*: this
level is considered acceptably
protective: it is already based on very
conservative assumptions, so that the
true risk is lower; and anything lower
would be a bias toward treatment.
  In opposing the proposed point of
departure, one commenter suggested
that there should be different targets for
various population sizes, and that a
higher value such as 10~* is adequate for
smaller populations. Others echoed this
comment, saying that population size
should be a factor for moving in the risk
range, and that for small populations
10~4 suffices. One commenter pointed
out that other federal agencies have
considered 10~4 as de minimis for small
populations. A commenter stated that
EPA has in the past considered 10~* as
insignificant when aggregate population
risk is very low. The commenter did not
suggest a value but said that EPA should
re-examine the issue of not considering
population size in setting cleanup levels.
Finally, one commenter suggested that
risk levels could be set depending on the
conservatism of the assumptions used
and other relevant factors such as the
form in which the chemical is present in
the environment.
  EPA believes it is necessary to
explain how it intends the point of
departure to be used. Where the
aggregate risk of contaminants based on
existing ARARs exceeds 10~4 or where
I  i      ' " !          ...
remediation goals are not determined by
ARARs, EPA uses 10~*as a point of
departure for establishing preliminary
remediation goals. This means that a
cumulative risk level of 10~e is used as
the starting point (or initial
"protectiveness" goal) for determining
the most appropriate risk level that
alternatives should be designed to
attain. The use of 10~s expresses EPA's
preference for remedial actions that
result in risks at the more protective end
of the risk range, but this does not
reflect a presumption that the final
remedial action should attain such a risk
level. Factors related to exposure,
uncertainty and technical limitations
may justify modification of initial
cleanup levels that are based on the 10~*
risk level. The ultimate decision on what
level of protection will be appropriate
depends on the selected remedy, which
is based ou the criteria described in
§ 300.430(e)(9)(iii).
  EPA believes, however, that it is both
useful and necessary to have a starting
point in those cases where the
remediation goal is not determined by
ARARs. Although adjustments may be
necessary in determining the actual
remediation goal for a site, it is
important to have an initial value to
which adjustments can be made,
particularly since the risk range covers
two orders of magnitude. By using 10~*
as the point of departure, EPA intends
that there be a preference for setting
remediation goals at the more protective
end of the range, other -things being
equal. Contrary to assertions of some
commenters, EPAjdoes not believe that
this preference-will be so strong as to
preclude appropriate site-specific
factors. Also. EPA does not agree that
cost should be considered when setting
the preliminary remediation goal
because reliable cost information is not
available at this step of the process.
Cost is ultimately one of the criteria
used in selecting a remedy.
  EPA would like to address those
commenters who suggest that the point
of departure should depend on
population size. At this time EPA
believes that the point of departure
should be 'Consistent across all sites.
The point of departure represents a level
from which analysis should begin,
regardless of the circumstances.
Preliminary and final remediation goals,
i.e., target risk levels, however, may
vary from the point of departure
depending upon site-specific
circumstances (see discussion above on
risk range). The ultimate role of
population size in determining response
priorities or remedies is currently under

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            Federal Register / Vol. 55, No. 46  /  Thursday.  March 6. 1990 / Rules and Regulations
                                                                                                             8719
review by the Risk Management
Council.
  Final rule: EPA is revising proposed
§ 300.430{e)(2)(i)(A)(2) on the point of
departure as follows: "The 10~6risk
level shall be used as the point of
departure for determining remediation
goals for alternatives when ARARs are
not available or are not sufficiently
protective because of the presence of
multiple contaminants at a site or
multiple pathways of exposure; * * *"

  Name: Section 30p.430(e)(9). Detailed
analysis of alternatives.
  Proposed rale: The purpose of the
detailed analysis is to objectively assess
the alternatives with respect to nine
evaluation criteria that encompass
statutory requirements and include
other gauges of the overall feasibility
and acceptability of remedial
alternatives (53 FR 51428). This analysis
is comprised of an individual
assessment of the alternatives against
each criterion and a comparative
analysis designed to determine the
relative performance of the alternatives
and identify major trade-offs (i.e.,
relative advantages and disadvantages)
among them. The decision-maker uses
information assembled and evaluated
during the detailed analysis in selecting
a remedial action.
  Response to comments: The  preamble
discussion of the detailed analysis
section of the RI/FS process in the
proposal categorized the nine criteria
into three groups: threshold, primary
balancing and modifying criteria (53 FR
51428). Although in general, commenters
supported this tiered system, many were
confused about the significance of the
categories in the  detailed analysis and
remedy selection stages. After a careful
study of the comments, EPA has
concluded that the process EPA
proposed would be expressed more
clearly if the nine criteria were not
divided into three categories during the
detailed analysis phase, when all nine
criteria need to be objectively  assessed,
but when the balancing decision is
made. EPA believes that the
characterization  of the criteria into the
three categories is important, and should
be used during remedy selection, as
discussed in that section of today's
preamble.
  Some commenters asked EPA to
clarify the purpose and content of the
detailed analysis. The following is a
general description of the detailed
analysis. The detailed analysis of
alternatives consists of the analysis and
presentation of the relevant information
needed to allow decision-makers to
select a site remedy. It is not the
decision-making process itself. During
the detailed analysis, each alternative is
assessed against each of the nine
criteria. The analysis lays out the
performance of each alternative in terms
of compliance with ARARs, long-term
effectiveness and permanence,
reduction of toxitity, mobility or volume
through treatment short-term
effectiveness, implementability. and
cost The assessment of overall
protection draws on the assessments
conducted under other evaluation
criteria, especially long-term
effectiveness and permanence, short-
term effectiveness and compliance with
ARARs. State and community
acceptance also are assessed, although
definitive assessments of these factors
cannot be completed until the public
comment period on the draft RI/FS and
proposed plan is completed. Further
guidance on this process is available in
the "EPA Guidance for Conducting
Remedial Investigations and Feasibility
Studies Under CERCLA," OSWER
Directive No. 9355.3-01, October 1988
(Interim Final). This guidance will be
updated following promulgation of the
NCP.
  After making the individual criterion
assessments for each alternative, the
alternatives are compared to each other.
This comparative analysis identifies the
key tradeoffs (relative advantages and
disadvantages) among the alternatives
with respect to the nine criteria. The
purpose of this comparative analysis is
to provide decision-makers with
sufficient information to balance the
trade-offs associated with the
alternatives, select an appropriate
remedy for the site and demonstrate
satisfaction of the CERCLA remedy
selection requirements.
  In general, commenters supported the
use of the nine criteria in performing the
detailed analysis. The supporters wrote
that the criteria provide the flexibility
needed to analyze diverse site
conditions, by allowing the
consideration of a wide range of
relevant factors.
  Some commenters wrote that nine
criteria are too many to address in the
detailed analysis. These commenters
argued that considering no many criteria
makes the evaluation too complicated.
While supporting the nine criteria, one
commenter suggested adding as an
additional criterion, the extent to which
the alternative utilizes permanent
solutions and alternative treatment
technologies or resource recovery
technologies to the maximum extent
practicable. In addition, several
commenters addressed the relation of
the nine criteria used in alternatives
evaluation and remedy selection to the
statutory mandates for remedy selection
described in section 121 of CERCLA.
These commenters remarked that the
use of the nine criteria was a significant
departure from the remedy selection
criteria in the 1985 NCP. which focused
on protectiveness and cost. They also
believed that increasing the number of
criteria to be considered during remedy
selection reduces flexibility and
complicates an already complicated
process. They suggested that the criteria
should be based directly on the
statutory language. Specifically, these
commenters proposed the following four
criteria: protection of human health and
the environment compliance/waiver of
ARARs; preference for permanent
solutions and treatment as a principal
element and cost-effectiveness.
  Although agreeing with EPA's
establishment of protection of human
health and the environment and
compliance with ARARs as the first two
evaluation criteria, one commenter
suggested significant modifications to
the other criteria. This commenter
suggested merging the five evaluation
criteria of long-term effectiveness and
permanence, reduction of toxicity,
mobility or volume 'through treatment,
short-term effectiveness,
implementability, and cost, into three
broad criteria: effectiveness.
implementability and cost. This
commenter noted that state and
community acceptance, although
relevant considerations in remedy
selection, add nothing to the feasibility
study process. The commenter believes
this system would provide the most
appropriate starting point for creating a
structured method for selecting a site
remedy.
  EPA developed the nine evaluation
criteria to give effect to the numerous
statutory mandates of section 121 and in
particular, the remedial action
assessment factors of section 121(b)(l)
(AHG). EPA does not believe analysis
of alternatives under the four criteria
approach suggested by the commenter
would provide an adequate analytical
framework. EPA also is not adding as a
criterion the statutory mandate to utilize
permanent solutions and alternative
treatment technologies or resource
recovery technologies to the maximum
extent practicable. The analysis
performed pursuant to the nine criteria
concludes with selection of a remedy
that meets the statutory mandates. This
analysis requires consideration of a
number of factors before making these
conclusions. In particular, the mandate
for cost-effective remedies clearly
requires consideration of both costs and
the effectiveness of alternatives.
Similarly, EPA believes that a range of

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 8720      Federal Register / Vol. 55, No. 46 / Thursday. March 8,  1990 / Rules  and Regulations
 factors, including long-term
 effectiveness and permanence,
 reduction of toxicity, mobility, or volume
 through treatment, an'"short-term
 effectiveness, must be considered to
 provide the basis for concluding that a
 particular alternative represents the
 practicable extent to which permanent
 solutions and treatment can be used at a
 given site. However. EPA has included
 two specific statutory requirements in
 the criteria (protection of human health
 and the environment and compliance
 with ARARs) in light of the paramount—
 importance of these mandates. EPA
 notes that it does have an expectation
 that alternatives that will treat principal
 threats' at sites will be considered,
 consistent with the statutory preference
 for treatment as a principal element.
   The proposed rule stated that the
 detailed analysis is to be conducted on
 the limited number of alternatives that
 represent viable hazardous waste
 management approaches (S3 FR 51506).
 One commenter recommended changing
 the wording to conduct a detailed
 analysis on those alternatives
 representing "viable approaches to
 remedial action." rather than "viable
 hazardous waste management
 approaches," EPA agrees with this
1 recommendation and has substituted  the
 commenter's wording for the phrase in
 the final rule. As a further clarification.
 today's rule consistently uses the term
 "remedial alternative" in all pertinent
 places.
   A discussion of each of the nine
 criteria follows.
   1. Protection of human health and the
 environment. This evaluation criterion
 assesses whether each alternative
 provides adequate protection of human
 health and the environment. The overall
 assessment of protection draws on the
 assessments conducted under other
 evaluation criteria, especially long-term
 effectiveness and permanence, short-
 term effectiveness, and compliance with
 ARARsl Only those alternatives
 determined to be protective in the
 detailed analysis proceed to the
 selection of remedy step.
   One commenter noted that
 effectiveness, implementability. extent
 of reduction in toxicity, mobility, or
 volume, and compliance with ARARs
 criteria should be considered before
 evaluating the protectiveness of a
 remedial alternative. EPA agrees that
 the protectiveness determination in the
 detailed analysis draws upon the
 assessments conducted under other
 evaluation criteria, especially long-term
 effectiveness and permanence, short-
 term effectiveness, and compliance with
 ARARs. However. EPA has maintained
 protection of human health and the
 environment as the first criterion due to
 the clear statutory mandate to select
 remedies that are protective of human
 health and the environment.
   One commenter stressed that the
 impact of the remedial action on natural
 resources must be assessed under this
 criterion. The commenter noted that the
 use of ground-water pump and treat
 systems as part of a remedial action
 may deplete valuable water resources,
 particularly in the western-states. EPA
 agrees that the impact of the remedial
 action must be assessed and calls for
 this analysis under the short-term
 effectiveness criterion. As noted above.
 the evaluations of short-term
 effectiveness and other criteria are used
 in assessing the protectiveness of each
 alternative.
   2. Compliance with ARARs. This
 evaluation criterion is used to determine
 whether each alternative will meet all of
 its federal and state ARARs (as defined
 in CERCLA section 121). The detailed
 analysis should summarize which
' requirements are applicable or relevant
 and appropriate to an alternative and
 describe how the alternative meets
• these requirements. When an ARAR is
 not met. the detailed analysis should
 discuss whether one of the six waivers
 allowed under CERCLA may be
 appropriate (see also preamble section
 below on ARARs).
   One commenter noted that the
 responsibility for evaluating the
 applicability of ARARs waivers to a
 proposed remedial action lies with the
 lead agency and not with the potentially
 responsible party (PRP). This commenter
 also recommended that the lead agency
 evaluate potential grounds for ARARs
 waivers as early as possible in the
 feasibility study, due to the important
 role ARARs play in the ultimate remedy
 selection decision. EPA supports early
 evaluation of ARARs by the lead agency
 or the PRP. as appropriate, depending on
 site-specific enforcement agreements.
 Either the PRP or a state may perform
 the ARAR analysis and recommend the
 applicability of ARAR waivers, but
 ultimately EPA determines compliance
 with ARARs (and the applicability of
 ARARs waivers) when it selects the
 remedial action, as described in the
 proposed plan and finalized in the
 record of decision (ROD).
   3. Long-term effectiveness and
 permanence. The analysts under this
 criterion focuses on any residual risk
 remaining at the site after the
 completion of the remedial action. This
 analysis includes  consideration of the
 degree of threat posed by the hazardous
 substances remaining at the site and the
 adequacy and reliability of any controls
 (e.g.. engineering or institutional
- controls) used to manage the hazardous
 substances remaining at the site. The
 criterion Is founded on CERCLA's
 mandates to select remedies that are
 protective of human health and the
 environment and that utilize permanent
 solutions and alternative treatment
 technologies or resource recovery
 technologies to the maximum extent
 practicable and that maintain protection
 over tune.
   Seeking; clarification of EPA's
 interpretation of "permanence," one
 commenter recommended that EPA
 define a permanent remedy as a remedy
 for a particular site that results in
 protection of human health and the
 environment without the need for
 significant levels of long-term operation
 and maintenance. Another suggested
 that a permanent solution is simply a
 remedy that is not an interim solution,
 i.e., it is a final solution. EPA evaluates
 permanence to the maximum extent
 practicable as the degree of long-term
 effectiveness and permanence afforded
 by a remedy. This is judged along a
 continuum, with remedies offering
 greater or lesser degrees of long-term
 effectiveness and permanence.
   As a general observation, several
 commenters noted that many of the
 criteria (e.g., long-term effectiveness,
 short-term effectiveness, and reduction
 of toxicity, mobility or volume through
 treatment) overlap. EPA acknowledges
 that  these factors are related. They
 derive from the mandates of section 121
 and are designed to elicit analysis on
 distinct, but related factors to perform a
 comprehensive  analysis of each
 alternative. Today's rule lists factors to
 be considered in performing the detailed
 analysis under each of the criteria. For
 further guidance, see the "Guidance for
 Conducting Remedial Investigations and
 Feasibility Studies Under CERCLA,"
 OSWER Directive No. 9355.3-01.
 October 1988 (Interim Final).
    Long-term effectiveness includes a
 consideration of the residual risk
 remaining at a site after the remedial
 action is complete. This assessment of
 risk is conducted assuming conservative
 but realistic exposures. This
 consideration will assess how much of
 that risk is associated with treatment
 residuals and how much is associated
 with untreated waste. The potential for
 this risk may be measured by numerical
 standards such as cancer risk levels or
 the volume or concentration of
 contaminants in waste, media, or
 treatment residuals remaining on site.
    4. Reduction  of toxicity. mobility or
 volume through treatment This
 evaluation criterion addresses the
 statutory preference for selecting

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            Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules  and Regulations
                                                                                                             8721
remedial actions that employ treatment
technologies that permanently and
significantly reduce the toxicity,
mobility or volume of the hazardous
substances as a principal element.
Specifically, this analysis examines the
magnitude, significance and
irreversibility of such reductions
achieved by alternatives employing
treatment.
  One commenter pointed out that the
preamble to the proposed rule lacked
precision in stating that CERCLA
section 121 mandates a preference for
remedies that permanently reduce the
volume, toxicity, or mobility of the
hazardous substances. Rather, this
commenter wrote, section 121
establishes a preference for remedies in
which treatment permanently and
significantly reduces the volume,
toxicity or mobility of the hazardous
substances. The commenter noted the
omission of the word "treatment" could
be important because the ambiguous
statement in the proposal would allow
the conclusion that containment
qualifies as a preferred remedy. In fact,
some commenters suggested the rule
contain language stating that physical
control, or containment on site, would
qualify as actions achieving a reduction
of mobility for purposes of this criterion.
  EPA must stress that the reductions
analyzed pursuant to the reduction of
toxicity, mobility or volume criterion
must be attained through treatment. This
criterion is designed to evaluate
alternatives in light of CERCLA's
preference for remedial actions in which
treatment which permanently and
significantly reduces the volume.
toxicity or mobility of the hazardous
substances is a principal element. This
criterion has been amended in today's
rule to specify analysis of the extent that
toxicity, mobility or volume is reduced
through  treatment.
  On a related point, another
commenter noted that the statute
establishes a preference for reduction of
toxicity. mobility or {rather than "and")
volume through treatment. EPA agrees
with this comment and today's preamble
and rule consistently refer to the
reduction of toxicity, mobility or volume
through  treatment.
  Another commenter expressed
concern that the phrase "permanently
and significantly reduces the volume,
toxicity  or mobility of the hazardous
substances" will be interpreted as a
presumption in favor of incineration.
This commenter believes such a
presumption would dramatically
increase remediation costs without
providing a corresponding increase in
protectiveness. Some commenters
argued that the effectiveness of different
treatment technologies should not be
judged solely on the destructive
efficiency of a particular technique, such
as incineration, because treatment
technologies that do not destroy
hazardous constituents but rather
immobilize them chemically also are
capable of protecting human health and
'the environment and satisfying the
statutory preference.
  In response, the purpose of treatment
in the Superfund program is to
substantially reduce the toxicity,
mobility, or volume of hiizardous
substances in order to decrease the
inherent hazards posed by a site.
Consistent with the statutory preference
set out in CERCLA section 121(b)(l),
EPA expects to treat the principal
threats (e.g., contaminants of concern)
posed by a site, wherever practicable
[see § 300.430(a)(l)(iii)(A)). However,
EPA agrees with the commenters that
more than one treatment technology is
capable of accomplishing these goals. In
order to clarify this point, EPA is
establishing, as  a guideline, that
treatment as part of CERCLA remedies
should generally achieve reductions of
90 to 99 percent in the concentration or
mobility of individual contaminants of
concern, although there 'will be
situations where reductions outside the
90 to 99 percent range that achieve
health-based or other site-specific
remediation goals (corresponding to
greater or lesser concentration
reductions) will be  appropriate.
  All treatment  should involve well-
designed and well-operated systems. In
order to achieve 90 percent or greater
reductions,  the systems should be
designed to achieve reductions beyond
the target level under optimal
conditions. If treatment results in the
transfer of hazardous constituents from
one medium to another (e.g., stripping of
volatile organic  compounds from
sludges to air), treatment of the newly
affected medium will often be required.
  The reductions suggested by this
guideline for effective treatment may be
achieved by the application of a single
technology or a  combination of
technologies (i.e., treatment train). In
addition, EPA believes this 90 to 99
percent range allows the use of an array
of technologies,  including innovative
technologies. As noted above, EPA
agrees that  a wide variety of treatment
technologies are capable of achieving
these reductions. For example, effective
treatment may potentially include
bioremediation, solidification, and a
variety of thermal destruction
technologies, as well as many others.
EPA supports the development and use
of a diverse array of treatment
technologies to address hazardous
substances at Superfund sites. Examples
of efforts to support such development
and use include the Superfund
Innovative Technology Evaluation
program and the increased
encouragement of treatability testing of
innovative technologies during the RI/
FS to improve promotion and selection
of such technologies. To provide further
emphasis on the use of innovative
technologies, today's rule incorporates
an expectation that examination of such
technologies shall be carried through to
the detailed analysis if those
technologies have the potential and
viability to perform better than or equal
to proven technologies in terms of
performance or implementability. short-
term effectiveness or cost
(§ 300.430(a)(l)(iii)(E)).
  This guideline for effective treatment
is based on an evaluation by the
Superfund program of the effectiveness
of treatment technologies on hazardous
constituents in sludges, soil, and debris,
the most common waste addressed by
Superfund source control remedial
actions ("Summary of Treatment
Technology Effectiveness for
Contaminated Soil." EPA Final Report
(March 1989)). This guideline is also
consistent with guidance that
establishes alternate treatment levels to
be achieved when complying with the
RCRA land disposal restrictions for soil
and debris through a treatability
variance ("Obtaining a Soil and Debris
Treatability Variance for Remedial
Actions," Superfund LDR Guide #6A,
OSWER Directive 9347.3-06FS). Both
documents are available in the docket in
support of this final rule.
  One commenter recommended that
recycling should be considered in
assessing the extent (hat each
alternative reduces the toxicity. mobility
or volume of the hazardous substances.
Although the rule as proposed would
have allowed recycling activities to
occur as part of the remedial action,
5 300.430(e)(9)(iii)(D) of today's rule is
changed to specifically consider the
reduction of toxicity, mobility or volume
of the hazardous substances through
recycling.
  5. Short-term effectiveness. This
evaluation criterion addresses the
effects of the alternative during the
construction and implementation phase
until remedial response objectives are
met. Under this criterion alternatives are
evaluated with respect to their effects
on human health and the environment
during implementation of the remedial
action.
  One commenter requested additional
guidance on the evaluation of short-term
effectiveness. Today's rule lists the

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    8722      Federal Register / VoL 55. No. 46 / Thursday, March 8, 1990 / Rules and Regulations
   factors to consider under this criterion.
   The assessment of short-term
   effectiveness includes an evaluation of
   how alternatives will protect the
   community during remedial actions.
   This aspect of short-term effectiveness
   addresses, any risk that results from
   implementation of the proposed
   remedial action, such as dust from
   excavation, transportation of hazardous
   materials, or air quality impacts from a
   stripping tower operation that may
   affect human health. This assessment
   will consider who may be exposed
   during the remedial action, what risks
"   those populations may face, how those
   risks can be mitigated, and what risks
   cannot be readily controlled. Workers
   are included  in the population that may
   be affected fay short-term exposures.
     This criterion also addresses potential
   adverse impacts on the environment
   that may result from the •construction
   and implementation of an alternative
   and evaluates the reliability of the
   available mitigation measures in.
   preventing or reducing potential impacts
   on either of these potential receptors.
   More detailed guidance on evaluating
   the short-term impacts of a remedial
   alternative is included in the "EPA
   Guidance for Conducting Remedial
   Investigations and Feasibility Studies
   Under CERCLA" (OSWER Directive
   935S.3-01. October 1988). This guidance
   lists relevant factors to analyze as part
   of this criterion and the. bases for
'   evaluation during the detailed analysis.
     This commenter also expressed
   concern that EPA's definition of short-
   term effectiveness does not sufficiently
   highlight the use of institutional controls
   during remedy implementation.
   According to  this commenter, because
   these techniques can substantially
   reduce risk. EPA should require
   consideration of these controls when
   assessing the short-term effectiveness of
   an alternative. Another commenter
   expanded on  this concept, stating that
   both institutional controls and site
   stabilization can be used to mitigate the
   risks posed by the remedial action. This
   commenter argued that use of
   institutional controls and site
   stabilization activities would allow the
   use of innovative technologies, such as
   bioremediation, that could be effective
   in the long-term. EPA agrees that short-
   term effects often can be mitigated
   through the use of institutional controls
   along with other active measures that
   may include interim remedies
   (implemented as operable units) or
   removal actions. Program management
   principles and expectations placed in
   today's rule reflect these concepts.
   One commenter noted that many of
 the same considerations that apply to
 the evaluation of long-term effectiveness
 also apply to evaluating the short-term
 effectiveness of certain remedial
 techniques. In analyzing short- and long-
 term effectiveness, EPA may study
 impacts or risks posed to many of the
 same receptors. However, the focus of
 the analyses under the two criteria
 differ. The analysis tinder the long-term
 effectiveness and permanence criterion
 addresses the risk remaining after
 response objectives have been met The
 primary focus of this evaluation is the
 extent and effectiveness of the controls
 that may be required to manage the risk
 posed by .treatment residuals and/or
 untreated wastes. The analysis under
 the short-term effectiveness criterion
 focuses on the effects on human health
 and the environment during •
 implementation of the remedial action.
  6. Implementability. The
 implementability criterion addresses  the
 technical and administrative feasibility
 of implementing an alternative and the
 availability of various services and
 materials required during its
 implementation.
  ' Some commenters linked
 implementability with effectiveness.
 These commenters argued that the two
 criteria must be analyzed together
 because an alternative that is not
 implementable also could not be
 effective. One commenter asserted that
 implementability is site-specific and
 therefore should include fee variables of
 each site's topography, location, and
 available space, capacity and
 technologies.
  Although EPA agrees that
 implementability and  effectiveness are
 related, EPA has maintained them as
 separate analytical criteria. This allows
 distinct analysis of the various
 subfactors of each criterion (such  as the
 magnitude of residual risk remaining at
 the conclusion of the remedial action  for
 long-term effectiveness and
 permanence, and the technical
 feasibility associated with the remedial
action for implementability}, which
generally do not relate to both. EPA
agrees that implementability is
 determined on a site-specific basis. The
 factors listed by this commenter would
be addressed under the technical
feasibility component of the
implementability criterion. Today's rule
lists the factors to be considered under
the criteria and the RI/FS guidance
provides an additional discussion.
  7. Cost Many comments reflected
some confusion over the role of cost as
an analytical criterion under the
detailed analysis and the required
•statutory finding that the remedy
 selected is cost-effective. One
 commenter focused on the need to
 distinguish the cost-effectiveness finding
 from the cost evaluation criterion. EPA
 agrees that this distinction is an
 important one. Although cost is used as
 a crude screen in the development and
 screening of alternatives, cost is
 primarily addressed in the detailed
 analysis acid remedy selection phases of
 the remedial process. The detailed
 analysis evaluates and compares the
 cost of the respective alternatives, but
 draws no conclusion as to the cost-
 effectiveness of the alternatives. Cost-
 effectiveness is determined in the
 remedy selection phase, considering the
 long-term effectiveness and permanence
 afforded by the alternative, the extent to
 which the alternative reduces the
 toxicity, mobility, or volume of the
 hazardous substances through
 treatment, ithe short-term effectiveness
 of the alternative, and the alternative's
 cost (see preamble section below on
 detailed discussion of the role of cost in
 decisionmaking}.
  Several commenters addressed cost
 as an evaluation criterion. Some noted
 the importance of an adequate cost
 evaluation in the detailed analysis
 phase. EPA agrees that the evaluation of
 costs associated with an alternative
 must be based on as complete and
 accurate cost data as possible. Several
 commenters stated that the discount
rate used to determine the net present
value creates a bias against protective
remedies. Some argued that use of the 10
percent discount rate established by
 Office of Management and Budget
 (OMB) Circular A-94 is inappropriately
high. They believe use of this discount
rate artificially reduces estimates of the
cost of operation and maintenance
 (O&M] and encourages the selection of
containment-based, low capital, high
O&M cost remedies, while discouraging
high capital, low O&M cost remedies.
They commented that the discount rate
of 10 percent is unrealistic because it
does not take into account long-term
market conditions and the likelihood
that the beneficial value of a clean site
will increase as populations increase
and natural resources become more
scarce. The discount rate may also be
outdated because inflation rates have
changed since the rate was developed.
The commenters stated that five percent
is a more realistic discount rate. EPA
recognizes the importance of using an
appropriate, discount rate when deriving
estimates of project costs. EPA does not
intend to create a bias against high
capital, low O&M cost remedies. EPA
will follow OMB Circular A-S4 and

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             Federal Register / Vol. 55. No. 46 / Thursday, March 8. 1990  / Rules and Regulations      8723
 notes that OMB is currently reviewing
 its provisions. If and when Circular A-
 84 is revised. EPA will address this
 matter in program guidance to ensure
 consistency with Circular A-94.
   EPA received the suggestion that the
 cost criterion should include the
 assessment of savings due to recycling
 of salvageable or recyclable material.
 EPA has not changed the rule to
 specifically consider revenue realized
 due to recycling. However, EPA believes
 that to the extent response costs are •
 directly offset by the receipt of revenue
 from recycling, such funds should be
 included when calculating the costs of
 the response action.
   One commenter argued that costs of
 future remedial actions should be
 included in the cost estimate, when  •
 there is a reasonable expectation that a
 major component of a remedy may
 require replacement. EPA agrees and
 believes that such factors may be taken
 into account under today's rule.
 Analysis under the "long-term
 effectiveness and permanence" criterion
 should be used to determine which
 alternatives may result in future costs. A
 detailed statistical analysis is not
 required to identify probable future
 costs. Rather, qualitative engineering
 judgment should be used to assess
 whether replacement costs should be
 considered. EPA specifically has
 provided in the RI/FS guidance that
 such costs are to be addressed, and if
 appropriate, included in the cost
 estimate, when it may be reasonably
 assumed that a major component of the
 alternative will fail and require
 replacement to prevent significant
 exposure to contaminants. EPA notes
 that when developing cost information,
 both direct and indirect capital and
 operation and maintenance costs should
 be developed. .
  One commenter recommended
 considering as part of the analysis under
 this criterion, costs related to losses of
 business activities, residential
 development, and local, state, and
 federal tax revenues that may result
 from restricting future land use and
 ground water use that may be necessary
 with remedial actions that leave
 hazardous substances on site. The
 commenter also said that EPA should
 also take into account the reductions in
 the values of the neighboring properties
 that may occur when an inactive waste
 site is not restored to unrestricted use.
 In response, EPA does not believe it is
 appropriate under CERCLA to include
 these costs within this evaluation
 criterion. Section 111 of CERCLA
governs the use of the Fund and
according to that section, these costs are
 not included as costs thai: may be
 incurred by the Fund. In addition,
 section 107 provides the right to recover
 response costs, natural resources
 damages and costs of certain health
 assessments or health effects studies.
 The costs listed by the commenter also
 are not included specifically within the
 costs recoverable under section 107.
 Further, such indirect effects such as the
 reduction in property values are the
 result of the hazardous substance
 activity, not the response action.
   One commenter asked EPA to
 acknowledge that federal procurement
. requirements apply to EPA contractors
 conducting Superfurid remedial actions.
 EPA agrees with the commenter that
 EPA contractors must comply with
 federal procurement requirements and
 that this can reduce the cost of Fund-
 fin.anced remedial actions (e.g.. contract
 award to responsive, responsible low
 bidder). However. EPA does not believe
 it necessary or appropriate to
 acknowledge this in the rule. Similarly,
 EPA received comments that it should
 employ cost-cutting measures when
 implementing remedial actions. EPA
 agrees and does so whenever possible.
  EPA received the comment that the
 detailed analysis does not afford
 sufficient weight to cost because, among
 the five criteria labeled as balancing
 criteria in the proposal, four address
 effectiveness and implementability and
 only one addresses cost. EPA stresses
 that the number of related criteria in the
 detailed analysis does not relate to the
 importance of each criterion. All nine
 criteria are important to address the
 requirements of CERCLA.
  8. State acceptance. This criterion
reflects the statutory requirement to
provide for substantial and meaningful
state involvement.  State comments may
be addressed during the F8. as
appropriate, although formal state
comments generally are not received
until after the state has reviewed the
draft RI/FS and the draft proposed plan
prior to the public comment period.
  EPA received several comments
stressing the importance of this
'criterion. EPA agrees this consideration
is important and has developed today's
rule consistent with CERCLA's
emphasis on state involvement in the
remedial process (see also preamble
section below on subpart F).
  9. Community acceptance. This
criterion refers to the community's
comments on the remedial alternatives
under consideration. For this evaluation.
community is broadly defined to include
all interested parties, including PRPs.
These comments are taken into account
throughout the RI/FS process, although
  formal community comments are made
  during the public comment period for the
  proposed plan and the RI/FS.
   EPA received one comment suggesting
  that this criterion only consider the
  acceptance of a party if that party
  resides in a community near the site.
  This commenter argued that comments
  from parties affected only by
  interference of normal commerce or
  residing in areas unaffected by the
  potential health threat should not be
  afforded the same weight as those
  parties residing in the nearby
  community. As a matter of policy. EPA
 places the highest priority on comments
 received from the community to which
 the site potentially or actually poses a
 human health or environmental risk.
 However, today's rule establishes no
 formal priority for evaluating community
 comments. Instead, community concerns
 will be assessed on a site-specific basis,
 allowing flexibility to meet the demands
 of varying site conditions and diverse
 community needs.
   Final rule: 1. Today's regulation  •
 revises proposed § 300.430(e)(9) based
 on comments received on tile detailed
 analysis of alternatives using the nine
 criteria, the remedy selection, and the
 hierarchy of criteria used in the
 analysis. The revisions made in
 response to comments primarily attempt
 to clarify the process. The revisions
 reflect the fact that the detailed analysis
 should be an objective assessment of
 the alternatives with respect to the nine
 criteria and as a  consequence, the
 threshold, balancing, and modifying
 labels have been removed from the
 discussion of the nine criteria during the
 detailed analysis and placed in the
 selection of remedy section, where the
 criteria are actually used as threshold,
 balancing, and modifying criteria.
   2. The final rule requires specification
 of which reduction—toxicity, mobility or
 volume—will be achieved by an
 alternative. Section
 300.430(e)(9)(iiO(D)U) is revised to
 indicate mat recycling is an acceptable
 means of accomplishing reduction.

  Name: Section  300.430[f). Remedy
 selection.
  Existing rule: The 1985 NCP calls for
 the selection of remedies that are cost-
 effective and that effectively mitigate
 and minimize threats to public health
 and welfare and the environment. 40
 CFR 300.68{i](l). In selecting the
 appropriate extent of remedy, the lead
 agency considers cost technology,
reliability, administrative and other
 concerns, and their relevant effects on
public health and welfare and the
environment. Federal ARARs are used

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 8724
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Federal Register /  Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules and Regulations
as the basis for determining cleanup
levels.
  CERCLA. as amended in 1986,
elevated the use of ARARs. including
state ARARs, as cleanup standards to a
statutory requirement and provided
other requirements for remedy selection.
Congress retained the requirement for
protective and cost-effective remedies
and prescribed remedies that utilize
permanent solutions and alternative
treatment technologies or resource
recovery technologies to the maximum
extent practicable.
  Proposed rule: The preamble to the
proposed rule explained that selection
of a remedial action is a two step
process (53 FR 51429). First, the lead
agency, in conjunction with the support
agency, reviews the results of the RI/FS
to identify a preferred alternative. The
lead agency presents this preferred
alternative, along with the supporting
information and analysis, to the public
in a proposed plan for review and
comment. Second, the lead agency
reviews the public comments, consults
with the support agency to evaluate
whether the preferred plan still is the
most appropriate remedial action for the
site or she problem, and makes the final
remedy selection decision (see also
5 300.SlS(e) for description of lead and
support agency roles during the
selection of remedy process).
   The identification of the preferred
alternative and the final remedy
selection decision are based on an
evaluation of the major trade-offs among
the alternatives in terms of the nine
evaluation criteria. Remedial
alternatives must be protective of
human health and the environment and
comply with  ARARs (or justify a
waiver) in order to be eligible for
selection. These are the two threshold
criteria from  among the nine criteria.
   The lead agency balances the trade-
offs, identified in the detailed analysis,
among alternatives with respect to long-
term effectiveness and permanence,
reduction of  toxicity, mobility or volume
through treatment, short-term
effectiveness, implementability, and
 cost. This initial balancing determines
preliminary conclusions as to the
 maximum extent to which permanent
 solutions and treatment can be
 practicably utilized in a cost-effective
 manner. The preamble to the proposed
 rule referred to the criteria used for
 balancing the trade-offs as primary
 balancing criteria.
   The alternative that is protective of
 human health and the environment is
 ARAR-compliant and affords the best
 combination of attributes is identified as
 the preferred alternative in the proposed
 plan.
                             State and community acceptance are
                           factored into a final balancing which
                           determines the remedy and the extent of
                           permanent solutions and treatment
                           practicable for the site. State concerns
                           will be factored into the proposed plan
                           to the extent they are known. However,
                           formal state comments may not be
                           received until after the state has
                           reviewed the draft RI/FS and the draft
                          * proposed plan prior to the public
                           comment period. Similarly, to the extent
                           possible, community concerns will be
                           factored into the feasibility study and
                           proposed plan. However, community
                           acceptance cannot be assessed
                           definitively until the formal public
                           comment period is held.
                             Response to comments: 1. Structure
                           and consistency. Although generally
                           supporting the use of the nine criteria in
                           remedy selection/several commenters
                           expressed concern over whether the
                           balancing process ensures selection of
                           remedies that comply with the statutory
                           mandates of CERCLA. In response, EPA
                           believes that the remedy "selection
                           process promulgated today effectively
                           harmonizes the somewhat competing
                           requirements of CERCLA, and ensures
                           that remedial actions will fulfill each
                           statutory mandate.
                             Specifically, some commenters wrote
                           that the absence from the rule  of the
                           categories of threshold, balancing, and
                           modifying criteria described in the
                          • preamble to the proposal made the
                           function of the criteria in remedy
                           selection unclear and that the proposed
                           rule did not provide sufficient practical
                           guidance on remedy selection.
                             In response, EPA has modified the
                           proposed rule to provide further
                           clarification and structure in the remedy
                           selection process. First, EPA has added
                           expectations into the rule, in order to
                           provide better guidance on the types of
                           remedies that EPA expects to consider
                           in detailed analysis, and has set out a
                           program goal and management
                           principles'(§ 300.430(a)). Second, EPA
                           has added structure to the process by
                           specifying the functional categories of
                           the nine criteria—threshold, primary
                           balancing or modifying—in the remedy
                           selection portion of the rule. Third, the
                           rule emphasizes the importance of two
                           of the nine criteria—long-term
                           effectiveness and permanence, and
                           reduction of toxicity, mobility or volume
                           through treatment—in the balancing
                           process.
                              Some commenters opposed the
                           adoption of the proposed remedy
                           selection framework. These commenters
                           criticized the framework as being vague
                            and providing little guidance on the
                            weight to be afforded individual
                            selection criteria or the order in which
1 the criteria should be considered. The
 commented criticized the process as
 likely to vary from site to site, resulting
 in the selection of different remedies for
 sites with similar characteristics.
 According to these commenters, the
 inconsistency could impair EPA's ability
 to negotiate settlements with PRPs. One
 commenter warned that the Quid nature
 of the proposed decision-making process
 will make it more difficult for states,
 other federal agencies, and PRPs to
 replicate. The commenter fears that EPA
 will waste lime second-guessing remedy  ,
 selections Bind justifying how a preferred
 remedy was identified by a lead agency
 or a PRP. These commenters requested
 clear and complete directions on how to
 select remedies.
   In response, EPA believes that the
 basic remedy selection system as
 revised presents a sound, workable
 method for selecting protective remedies
 while balancing the technical, economic,
 and practical realities associated with
 each site and with the program as a
 whole to arrive at appropriate solutions.
 EPA believes that flexibility is needed in
 the remedy selection process precisely
 because each Superfund site presents a
 different set of circumstances. A rigid
 set of criteria for remedy selection,
 while perhaps more easily reproduced.
 would not be well suited to such diverse
 site circumstances, and would be less
 responsive to Congress' mandate to
 consider a large number of factors,
 including protectiveness, permanence
 and treatment, cost, effectiveness, and
 state and public participation.
   At the same time, EPA agrees that
 clarification is needed concerning the
 role and relative importance of the
 different criteria in remedy selection,
 and has responded by categorizing the
 criteria by function (i.e., threshold.
 balancing, and modifying), and by
 identifying balancing criteria that  should
 be emphasized. These revisions add
 structure to the process and indicate the
 relative importance of the different
 criteria. The inclusion of the goal,
 management principles, and
 expectations in the rule should also
 increase national consistency by
 focusing detailed analysis and remedy
 selection on fewer, more appropriate
 alternatives. EPA believes that these
 changes will make it easier for the
 public to understand and anticipate EPA
 decisions.
    In addition, proposed
  § 300.430[f)(3)(iii) (§ 300.430(f}(l)(ii) (D)
 and (E) in the final rule) is revised to
 clarify the relation of the evaluation
  criteria to the statutory mandates of
  section 121 of CERCLA. Specifically, the
 regulation now states that cost-

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             Federal Register  / Vol. 55, No. 46 / Thursday, March 8,  1990 / Rules and Regulations
                                                                                                             8725
 effectiveness is to be determined by
 comparing the costs and overall
 effectiveness of alternatives to
 determine whether the costs are
 proportional to the effectiveness
 achieved. Overall effectiveness for the
 purpose of this determination includes
 long-term effectiveness and
 permanence; reduction of toxicity,
 mobility, or volume through treatment;
 and short-term effectiveness. The
 determination of which alternative
 utilizes permanent solutions and
 alternative treatment technologies to the
 maximum extent practicable takes into
 account long-term effectiveness and
 permanence; reduction of toxicity.
 mobility, or volume through treatment;
 short-term effectiveness;
 implementability; and cost, as well as
 state and community acceptance.
  Another revision made to enhance the
 clarity of the regulation is the direction
 at § 300.430(f)(l)(ii)[E) that special
 emphasis is to be afforded alternatives.'
 that offer advantages in terms of long-
 term effectiveness and permanence, and
 reduction of toxicity. mobility or volume
 through treatment, in performing the
 balancing by which the remedy is
 selected. These two criteria are given
 primary consideration in the rule and
 preamble when analyzing the relative
merits of the alternatives. These criteria
will be the most important, decisive
 factors in remedy selection when the
 alternatives perform similarly with
respect to the other balancing criteria.
 When the alternatives provide similar
 long-term effectiveness and permanence
 and reduction of toxicity, mobility or
volume, the other balancing criteria rise
 to distinguish the alternatives and play
 a more significant role in selecting the
remedy. For example, if two alternatives
 offer similar degrees of long-term
 effectiveness and permanence and
reduction of toxicity, mobility or volume
 through treatment, but one alternative
would require more time to complete
and would have greater short-term
impacts on human health and the
 environment, the decision-maker would
focus on the distinctions between the
alternatives under the short-term
effectiveness criterion.
  One commenter stated that remedies
should be evaluated on a national basis,
rather than a site-specific basis to, at a
minimum, determine the relative
importance of each of the nine criteria.
According to this commenter, site-
specific remedy selection using
balancing leads to nationally
inconsistent remedies and hides from
public view the remedy selection
process. A different commenter argued
 that site-specific factors should
 dominate the remedy selection process.
   EPA believes that today's
 modifications to the proposal clarify the
 remedy selection process and help
 ensure that consistent remedies are
 selected. The remedy selection process
 in today's rule, shaped by the program
 goal and expectations, promotes
 national consistency while allowing
 consideration of important site-specific
 factors. In addition, EPA is developing
 guidance on expected remedies for
 specific types of sites (e.g., municipal
 landfills} and specific types of waste
 (e.g., PCBs) that will assist in
 streamlining decision-making and
 promoting greater consistency.
   One commenter suggested that the
 selection process focus on the risk
 reduction provided by the alternatives
 and the cost-effectiveness of each
 alternative. EPA agrees with the
 commenter that risk reduction and cost-
 effectiveness are major considerations
 in selecting remedial  actions. The
 amount of residual risk remaining after
 implementation of the remedy is
 analyzed under the long-term
 effectiveness and permanence criterion
 in the detailed analysis. The trade-offs
 associated with this criterion are
 balanced with the other criteria when
 selecting a remedy. However, today's
 rule affords extra significance to the
 trade-offs associated  with the "long-
 term effectiveness and permanence"
 and "reduction of toxicity, mobility or
 volume through treatment" criteria when
 comparing the attributes associated with
 the alternatives.
  One commenter noted that EPA had
 omitted in the proposal a reference to
 the statute's bias against off-site land
 disposal of untreated  waste. EPA notes
 the omission and has  changed proposed
 5 300.430(f)(3)(iii) {§ 300.430(f)(l)(ii)(E} in
 the final rule) to clarify that an
 alternative that relies on the off-site
 transport and land disposal of untreated
hazardous substances will be the least
favored alternative where practicable
 treatment technologies are available, as
 determined by analysis using the nine
 criteria. EPA notes that CERCLA does
not express a preference for or bias
against off-site remedies involving
treatment and that the NCP is similarly
neutral.
  Many commenters felt that protection
of human health and the environment
was appropriately established as a
threshold criterion. One commenter
requested that protectiyeness be clearly
identified as the dominant criterion for
evaluating responses  conducted by
PRPs. Another commenter felt that the
proposed NCP did not make it clear that
 the protection of human health and the
 environment must be met at a minimum
 by all remedies.
   Section 121 of CERCLA makes clear,
 and the legislative history confirms, that
 the overarching mandate of the
 Superfund program is to protect human
 health and the environment from the
 current and potential threats posed by
 uncontrolled hazardous waste sites.
 This mandate applies to all remedial
 actions and cannot be waived. This
 priority has been reflected in the rule by
 including protection as a threshold
 criterion mat must be satisfied by all
 remedies selected under CERCLA
 (I 300.430(f)(l)(ii)(A}).
   One commenter noted that, in general,
 if there will be significant exposure
 during implementation of the remedy, a
 remedial option that can be
 implemented quickly is preferable, in
 terms of the short-term protection it
 affords, to one that can only be
 implemented slowly but provides
 greater long-term effectiveness. EPA
 responds by cautioning against over-
 generalization and attempting to create
 too rigid a formula for remedy selection.
 EPA agrees that unacceptable short-
 term impacts can cause an alternative to
 be considered non-protective of human
 health and the environment and can
 remove that alternative from
 consideration as a viable option.
 However, in this example, the remedy
 that is less effective in the short-term
 (i.e., takes longer to implement) also
 provides greater long-term effectiveness
 than the remedy without unacceptable
 adverse short-term impacts. In this
 situation, generally EPA would evaluate
 the possible measures available to
 mitigate the short-term impacts and thus
 allow the alternative to be protective
 during implementation. This alternative,
 in other words, would not immediately
 be ruled out due to its positive
 performance under the long-term
 effectiveness and permanence criterion.
  One commenter cautioned that the
 threshold criteria should not be overly
 restrictive, i.e.. must not include overly
 conservative safety factors. EPA
believes it uses a sound, reasonable
approach in judging the "overall
protection afforded by a remedial
alternative. (See preamble description of
 § 300.430[e) for a complete discussion of
evaluating risks associated with
potential alternatives.) As for the
requirement to meet ARARs. EPA is
simply following the mandate in the
 statute that on-site remedies selected
under CERCLA section 121 must meet
all "applicable" and "relevant and
appropriate" requirements of federal
and state environmental laws, unless a

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      8726
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Federal  Register / Vol. 55. No. 46 / Thursday. March 8. 1990  /  Rules and Regulations
     waiver is appropriate under the
     conditions set out in CERCLA section
     I21(d)(4). EPA has discretion to'
     determine whether any, all, or only a
     portion of a requirement is relevant and
     appropriate, consistent with the factors
     set oul in final rule § 300.400(g)(2);
     however, once determined to be
     relevant and appropriate, all relevant
     and appropriate portions of the
     requirement must be applied as though
     they were applicable (again, unless a
     waiver is available).
       Some commenters concluded that
     since Congress did not list compliance
     with ARARs as one of the remedy
;     selection criteria in section 121(b). this
     criterion should not be considered a
     threshold criterion. In addition, some
     cOmnieWed that protection of human
     health and the environment should
     receive more emphasis than compliance
     with ARARs. EPA believes that
     CERCLA section 12l(d)(?j[A)
     establishes compliance with ARARs as
     a threshold criterion for remedy
     selection. That section requires the
     selection of a remedial action that "at
     least attains such legally applicable or
     relevant and appropriate standard,
     requirement, criteria, or limitation"
     (subject to waivers in CERCLA section
     121(d)(4)). In some situations compliance
     with ARARs may not result in protective
     remedies because of exposure to
     multiple chemicals or through multiple
     exposure pathways that have additive
     or syhergistic effects. In this case a
     remedy may need to achieve levels more
   .  stringent thanjhe ARARs to ensure
     protection.
       One commenter argued that since
     different remedies must meet different
     ARARs and, because meeting some
     ARARs precludes meeting other ARARs,
     some site cleanups will not be able to
     meet all ARARs. Another commenter
     sought clarification on comparing
     alternatives when different ARARs are
     identified and questioned how EPA
     would prioritize alternatives if none
     meets all the identified ARARs.
       In response. EPA notes that in the
     detailed analysis, each alternative is
     evaluated individually to determine if
     the alternative will be ARAR-compIiant.
     Each alternative will possess its own set
     of ARARs, and frequently ARARs for
     one alternative will not be ARAR for
     another alternative for the same site
     (e.g., an incineration alternative may
     have air emissions ARARs not
     applicable to a bioremediation
     alternative). Alternatives need only
     attain requirements that are applicable
     or relevant and appropriate for that
      alternative, not all ARARs identified for
      any alternative at the site. Alternatives
                           that cannot meet all of their respective
                           ARARs must justify a waiver under
                           CERCLA section 121(d)(4) (final rule
                           § 300.430(f)(l)(ii)(C)) for each
                           requirement that will not be met in order
                           for that alternative to be eligible for
                           selection as the remedial action.
                           Alternatives involving ARAR waivers,
                           of course, must also provide adequate
                           protection of human health and the
                           environment in order to be eligible for
                           selection as the remedy.
                             2. Role of cost in cost-effectiveness
                           determination. The appropriate role of
                           cost in remedy selection has been a  .
                           controversial issue. EPA received
                           questions concerning the weight
                           afforded each of tha criteria, including
                           cost, when balancing the trade-offs
                           among the criteria. Under the proposal
                           and today's rule, cost is considered in
                           making two statutory determinations
                           required for selected remedies: that the
                           remedy is cost-effective (Le.. the remedy
                           provides effectiveness proportional to
                           its cost) and that it utilizes permanent
                           solutions and treatment to the maximum
                           extent practicable. The comments that
                           address the role of cost in the cost-
                           effectiveness determination are
                           discussed first.
                              According to several commenters.
                           Congress clearly intended that remedies
                           would be selected based on the
                           protectiveness afforded by the
                           alternative and cost would be used only
                           to select from among protective
                           alternatives. A different commenter
                           argued that the cost-effectiveness
                           mandate must be used to ensure that
                           remedial actions, which must be
                           protective of human health and the
                           ' environment ARAR-compliant, and
                           utilize permanent solutions and
                           alternative treatment technologies or
                           resource recovery technologies to the
                           maximum extent practicable, achieve
                           these mandates at the  lowest possible
                           cost.
                              EPA agrees that cost can only be
                            considered in selecting a remedy from
                            among protective alternatives. The
                            remedy selection process requires that
                            alternatives must be demonstrated to be
                            protective and ARAR-compliant (or
                            justify a waiver) in order to be eligible
                            for consideration in the balancing
                            process by which the remedy is
                            selected. This sequence of steps ensures
                            that the selected remedy will be
                            protective of human health and the
                            environment and that  protection of
                            human health and the environment will
                            not be compromised by other selection
                            factors, such as cost. Several
                            commenters supported the proposed
                            remedy selection process believing it
                            ensures the selection of a cost-effective
-remedy while at the same time not
 affording an overly dominant role to
 cost.
   Some commenters argued that cost
 should only be used to implement a
 selected, protective remedy in the most
 cost-effuaent manner. i.e., that cost-
 effectiveness should only be considered
 after the remedy has been selected to
 allow implementation in the least costly
 manner. The commenters assert that
 their interpretation follows from the
 statute and the legislative history.
 Another commenter asserted that cost-
 effectiveness primarily is a check to
 prevent unreasonable expenditures and
 to ensure remedies are implemented in a
 cost-efficient (and not necessarily the
 lowest cost) manner.
   In response, EPA believes that cost is
 a relevant factor for consideration as
 part of the selection of the remedy from
 among protective, ARAR-compliant
 alternatives, and not merely as part of
 the implementation phase. EPA believes
 this position is consistent with both the
 statute and legislative history.
   CERCLA. at section 121(a), states that
 "the President shall select appropriate
 remedial actions *  *  *  which are in
 accordance with this section and, to the
 extent practicable, the national
 contingency plan, and which provide for
 cost-effective response." Thus, cost-
 effectiveness is established as a
 condition for remedy selection, not
 merely as a consideration during
 remedial design and implementation.
 Further in the statute, at section
 121(b)(l), Congress again repeats the
 requirement that only cost-effective
 remedies are to be selected, as
 follows:"The President shall select a
 remedial action that is protective of
 human health and the environment that
 is cost effective,  and that utilizes
 permanent solutions and alternative
 treatment * * *  to the maximum
 extent practicable." Again, cost-
 effectiveness is cited along with
 protectiveness as a key factor to
 consider in selecting the remedy. EPA
 believes that the statutory language ^
 supports the use of concepts of "cost"
 and "effectiveness" in this rule's nine
 evaluation criteria that provide the basis
 for the remedy selection decision, rather
 than as factors to be applied after the
 remedy has been selected.
    EPA believes that this approach is
 also in line with the legislative history
 underlying the SARA Amendments,
 which added section 121 to CERCLA.
 The Conference report on SARA
 discussed the concept of cost-
 effectiveness, and specifically approved
 of the approach  to cost-effectiveness
 taken by EPA in the 1985 NCP:

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              Federal Register / Vol. 55, No. 46 / Thursday. March 8. 1990 / Rules and Regulations
                                                                                                                    8727
  The provision that actions under both
  sections 104 and 106 must be cost-effective is
  a recognition of EPA's existing policy as
  embodied in the National Contingency Plan.
  RR. Rep. 962,99th Cong.. 2d Sess. 245
  (1986) (emphasis added).
    Specifically, the 1985 NCP required
  that:
  in selecting the appropriate extent of remedy
  from among the alternatives that will achieve
  adequate protection of public health and
  welfare and the environment in accordance
  with 300.68(i)(l), the lead agency will   •
  consider cost, technology, reliability.
  administrative and other concerns, and their
  relevant effects on public health and welfare
  and the environment.

  40 CFR 300.68(i)(2) (emphasis added).
  Thus, the 1985 NCP provided that cost
  should be a factor in the selection of a
  remedy, and emphasized that cost may
  be used to select "among" those
  alternatives that are protective;
  significantly, the 1985 rule does not
  contemplate a unique protective remedy
  in most cases, for which cost would
  simply be used to decide on possible
  implementation  mechanisms.
   The preamble to the 1985 NCP goes on
  to explain in more detail the role of cost
  in that rule:
   The approach embodied in today's rule is
  to select a cost-effective alternative from a
•  range of remedies that protects the public
  health and welfare and the environment
  First, it is clear that if all the remedies
  examined are equally feasible, reliable, and
  provide the same level of protection, the lead
  agency will select  the least expensive
  remedy. Second, where all factors are not
  equal, the lead agency must evaluate the  cost,
  level of protection, and reliability of each
  alternative. In evaluating the cost of remedial
  alternatives, the lead agency must consider
  not only immediate capital costs, but also the
  costs of operating and maintaining the
  remedy for the period required to protect
  public health and welfare and the
  environment. For example, the lead agency
  might select a treatment or destruction
  technology with-a higher capital cost than
  long-term containment because treatment or
  destruction might offer a permanent solution
  to the problem.

   Finally, the lead agency would not always
 telect the most protective option, regardless
  of cost. The lead agency would instead
  consider costs, technology, reliability,
  administrative and other concerns, and their
  effects on public health and welfare and the
 environment. This allows selection of an
 alternative that is the most appropriate for
 the specific site in question.
 SO FR at 47921 (Nov. 20.1985} (emphasis
 added).
   Today's rule continues the approach
 embodied in the  1985 NCP. although
 some of the terminology has changed.
 First the approach promulgated today
 requires that alternatives are
 determined to be adequately protective
 and ARAR-compliant before cost-
 effectiveness is considered in remedy
 selection (see § 300.430(f)(l)(ii)(D}).
 Second, today's rule recognizes that a
 range of alternatives can be protective
 and ARAR-compliant tind that cost is a
 legitimate factor for choosing among
 such alternatives.
   The 1985 NCP based the cost-
 effectiveness determination on
 technology, reliability, administrative,
 and other concerns and their effects on
 public health and welfare and the
 environment Today's rule considers
 basically the same factors but has recast
 them to reflect CERCLA's preferences-
 end mandates. For example, technology
 is considered under the criterion of
 reduction of toxicifcy, mobility, or volume
 through treatment for treatment
 performance; long-term  effectiveness
 and permanence for residuals, and
 short-term effectiveness for adverse
 impacts. Reliability of treatment
 technology is considered under
 reduction of toxicity, mobility, or volume
 through treatment. Reliability of long-
 term management controls used to
 address treatment residuals is
 considered under long-term
 effectiveness and permanence. Effects of
 alternatives on protection of human
 health and the environment is
 considered under short- and long-term
 effectiveness. Administrative and other
 concerns are replaced by the
 implementability criterion, which is not
 considered in determining cost-
 effectiveness but is used in determining
 the extent to which permanent solutions
 and treatment can be practicably
 utilized, along with state and community
 acceptance.
  In addition to endorsing the 1985 NCP
 approach to cost-effectiveness, the
 SARA Conference Report went on to
 discuss the Conferees' view of the role
 of cost-effectiveness in the remedy
 selection process:
  The term "cost-effective" means that in
 determining the appropriate level of cleanup
 the President first determines the appropriate
 level of environmental and health protection
 to be achieved and then select* a cost-
 efficient means of achieving that goal Only
 nfter the President determines, by the
 selection of applicable or relevant and
 Appropriate requirements [V^RARs], that
 adequate protection of human health and the
environment will be achieved, is it
appropriate to consider cost-effectiveness.
H.R. Rep. 962,99th Cong.. 2d Sess. 245
(1986).
  As the Conference Report
contemplated, where there is an
applicable or relevant and appropriate
requirement (ARAR) that defines the
"appropriate level of environmental and
 health protection to be achieved," e.g., a
 Maximum Contaminant Level (MCL) for
 ground water, EPA will select an
 appropriate and cost-efficient
 technology for achieving that level
 under today's rule.10 If two or more
 alternatives are determined to be
 comparably effective in achieving that
 MCL standard and level of protection.
 the least costly of the alternatives would
 be selected as the cost-effective solution
 under today's rule.
   However, the situation is often more
 complicated. Indeed, in most cases,
 there will not be one level or standard—
 e.g., one contaminant-specific ARAR—
 that defines protectiveness, but rather,
 there will be a range of protective,
 ARAR-compliant alternatives eligible
 for selection that vary in their costs and
 effectiveness.
   There are two principal reasons for
 this. First ARARs are not available in
 all situations. Contaminant-specific
 ARARs have been promulgated for a
 small percentage of contaminants.11 and
 even if contaminant-specific ARARs
 were available for some relevant
 substances, they generally do not define
 protective levels for contaminated soils
 nor do they always define protective
 levels for mixtures of chemicals (typical
 Superfund site situations). Thus, EPA
 must evaluate additional information to
 determine what remedies would protect
 human health and the environment; the
 answer, as reflected by this final rule's
 definition of an acceptable risk "range."
 is that there are generally a range of
 remedies that may be protective.
   The second major reason that there
 will not be one level or standard that
 defines protectiveness in most cases, is
 that the NCP requires the development
 of alternatives that represent distinct
.strategies for cleaning up the site or site
 problem. These alternatives will achieve
 protection of human health and the
 environment through different methods
 (e.g., treatment containment) or
 combinations of methods and will often
 involve different ARARs, particularly
 action-specific requirements.11 (As
  » See final rule 5 300.430ffl(l)[ii)(D), which
provides that only after mn alternative is found to be
"protective «nd ARAR-compliant" is the alternative
evaluated based on cost or other balancing factors.
  11 For example, although there are a laige number
of hazardous substances that may contaminate the.
ground water, final MCL levels have only been
promulgated for approximately 31 chemicals
(assuming "radionuclides" are grouped, and
considered to be one chemical). See 40 CFR 141.11-
141.16; 40 CFR 141.61-141.62: and 54 FR 27567 (June
29.1989).
  11 Location-specific ARARs and action-specific
ARARs are discussed in more detail in the preamble
to the proposed NCP. 53 FR at S1437 (Dec. a. 19S8).

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    8728
               Federal Register / Vol.  55. No. 46 / Thursday, March 8, 1990 / Rules amid Regulations
   noted above, e.g., incineration may have
   a potential ARAR relating to air
   emissions that a chemical treatment
   option would not] Different methods of
   protection typically will vary in their
   costs and effectiveness (e.g., treatment
   residuals, short-term impacts). Where
   costs and effectiveness vary among
   protective and ARAR-compliant
   alternatives, it is necessary to evaluate
   the relationship of costs to effectiveness
   within and across alternatives to
   identify which options afford overall
   effectiveness proportional to their costs.
     EPA believes that the intent of the
   SARA Conference Report was to make
   clear that cost-effectiveness cannot be
   used to justify selection of a remedy that
   does not protect human health and the
   environment. By following the approach
   of the 1§85 NCP, and by considering
   cost-effectiveness only after EPA has
   identified protective remedial options.
   EPA believes its approach is consistent
   with the objectives and intent of
   Congress.
     Some commenters urged that EPA
   highlight cost in the remedy selection
   process, elevating cost-effectiveness to a
   threshold criterion, in recognition of the
   mandate for cost-effective remedies.
   Several commenters suggested several
   reasons Why cost-effectiveness should
   be considered a threshold criterion. One
   commenter stated that the legislative
   history Indicates that cost-effectiveness
   should be a threshold. Another
   commenter indicated that cost is
   considered throughout the FS and is the
   only truly objective criterion  of the nine
   and that, in practice. EPA has made its
   decisions with  cost as a primary
   consideration. Another commenter
   sought explicit confirmation in the rule
   that regardless of how the five factors
   balance out, only cost-effective
   remedies, may be selected. Other
   commenters wanted clarification
   concerning the weight afforded each of
   the criteria, including cost, when
   balancing the trade-offs among the
I   criteria.,
     In response to the comments urging an
   Increased role of cost or requesting
   clarification on the role of cost, EPA
   notes that it has established cost as one
   of the evaluation criteria in the  detailed
   analysis and that the final rule explains
   more clearly how cost is to be
   considered in determining cost-
   effectiveness and the practicable extent
   to which permanent solutions and
   treatment can be used.
     EPA agrees that cost-effectiveness is
   like the two threshold criteria in that it
   is a statutory requirement with which an
   alternative must comply in order to be
   eligible for selection as the remedy. The
   statutory finding of cost-effectiveness is
 not "balanced," with any other statutory
 requirement, but rather certain
 evaluation criteria are balanced to reach
 the conclusion that the remedy is cost-
 effective. More than one alternative can
 be cost-effective.
   EPA has decided, however, not to
 establish cost-effectiveness as a
 threshold finding largely due to the
 sequence in which the statutory findings
 are made. When EPA begins the
 selection step, information is readily
 available from the detailed analysis to
 determine immediately which
 alternatives are protective and ARAR-
 compliant and therefore eligible for
 selection. The focus of the remedy
 selection process from this point
 forward is on drawing conclusions
 about the distinguishing differences
 among eligible options to determine
 which alternative represents the
 maximum extent to which permanent
 solutions and treatment can be utilized
 in a cost-effective manner. The findings
 of cost-effectiveness and the extent to
 which permanent solutions and
 treatment are practicable both derive
 from die balancing of these differences
 or tradeoffs.
   Commenters asked EPA to clarify the
 measure of effectiveness used in the
 determination that costs are
 proportional to an alternative's overall
 effectiveness. Overall effectiveness, as
 used in the cost-effectiveness
 determination, is a composite of long-
 term effectiveness and permanence;
 reduction in toxicity, mobility or volume
 of the hazardous substances through
•treatment; and short-term effectiveness.
 The relationship between overall
 effectiveness and cost is examined
 across all the alternatives to identify
 which options afford effectiveness
 proportional to their cost.
   Because some commenters were
 confused by the description of cost-
 effectiveness in proposed
 § 300.430[fH4)(ii)fjD) {"the remedy
 provides overall effectiveness
 proportional to its costs"), EPA believes
 that it is necessary to better express its
 intent. This description of cost-
 effectiveness is in final
 5§ 300.430(f)(l)(ii)(D) and
 300.43Q(f)(5)(ii)rD).
   EPA uses the term "proportional"
 because it intends that in determining
 whether a remedy is cost-effective, the
 decision-maker should both compare the
 cost to effectiveness of each alternative
 individually and compare the cost and
 effectiveness of alternatives in relation
 to one another (see 53 FR 51427-28). In
 analyzing an individual alternative, the
 decision-maker should compare, using
 best professional judgment, the relative
 magnitude of cost to effectiveness of
•that alternative. In comparing
 alternatives to one another, the
 decision-maker should examine
 incremental cost differences in relation
 to incremental differences in
 effectiveness. Thus, for example, if the
 difference in effectiveness is small but
 the difference in cost is very large, a
 proportional relationship between the
 alternatives does not exist. The more
 expensive remedy may not be cost-
 effective. EPA does not intend, however.
 that a strict mathematical
 proportionality be applied because
 generally'there is no known or given
 cost-effective alternative to be used as a
 baseline. EPA believes, however, that it
 is useful for the decision-maker to
 analyze among alternatives, looking at
 increments! differences.
   EPA believes that using the term
 "proportional" describes well this type
 of multidimensional analysis. Using
 such an analysis should enable the
 decision-maker to determine whether an
 alternative represents a reasonable
 value for the money; more than one
 alternative may be considered cost-
 effective.
   In response to the comment that cost
 should be used to distinguish between
 comparably protective remedies. EPA
 notes that inany alternatives will be
 protective Taut will achieve that
 protection 'through different methods or
 combinations of methods, such that the
 commenter's characterization of
 alternatives as "comparably protective"
 may not be appropriate (though all
.alternatives may be protective).
 However, alternatives may emerge from
 the detailed analysis as comparably
 "effective," in terms of the three
 effectiveness criteria of long-term
 effectiveness and permanence,
 reduction of toxicity, mobility or volume
 through treatment and short-term
 effectiveness; in that event, the least
 costly of the comparably effective
 alternatives would be identified as cost-
 effective while the others would not.
 However, because the remedy selection
 process usually involves consideration
 of a range of distinct alternatives that
 generally vary in their effectiveness and
 cost, most often a comparative analysis
 of the relationship between .the overall
 effectiveness of the alternatives and
 their costs will be required to determine
 which alternatives are cost-effective
 (i.e., provide overall effectiveness
 proportional to their costs).
   One commenter suggested adding the
 following to proposed § 300.430[f)(3):
 "Remedies selected shall be cost-
 effective relative to other alternatives.
 In evaluating the cost-effectiveness of
 proposed alternatives, EPA shall take

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             Federal Register / Vol. 55, No. 46 / Thursday,  March 8, 1990 / Rules and Regulations
                                                                                                             8729
 into account the total short- and long-
 term cost of such actions, including the
 costs of operation and maintenance for
 the entire period during which such
 activities will be required. A cost-
 effective  remedy is one with costs
 proportional to the remedy's overall
 effectiveness."
   EPA has not incorporated the entire
 suggested statement into the rule. EPA
 believes the commenter's statement is
 too narrow, because several types of
 costs are  factored into the evaluation of
 the cost of the remedy during the
 detailed analysis. These costs include,
 but are not limited to, the direct and
 indirect costs identified by the
 commenter. Also, the language does not
 reflect that overall effectiveness •
 involves a composite of effectiveness
 factors, i.e., long-term effectiveness and
 permanence, toxicity, mobility or
 volume reduction through treatment,
 and short-term effectiveness. EPA does
 agree with the commenter that a cost-
 effective remedy is one with costs
 proportional to the remedy's overall
 effectiveness. A more detailed
 discussion of the types of costs that may
 be considered is-included in EPA's RI/
 FS guidance (cited above].
   One commenter argued that because
 the requirement that all remedies be
 cost-effective is unconditional, should
 EPA select a remedy requiring treatment
 techniques that are more stringent than
 health based ARARs or the 10"4  to 1(T *
 acceptable risk range, EPA must
 demonstrate the ability of the
 techniques to provide meaningful and
 necessary risk reductions at a
 reasonable cost. Although EPA
 generally will not select .a remedial
 action specifically to achieve a risk level
 below 10~S (e.g., 10"T), technology used
 in implementing the selected remedy
 could actually achieve additional risk
 reduction  (e.g., 1CT7). EPA agrees with
 the commenter that as with any remedy
 selected under CERCLA section 121, a
 remedy selected with a risk level below
 10" 6 must be cost-effective (and meet
 the other requirements-of section 121].
  Another commenter suggested  that
 EPA add language to the rule stating
 that EPA shall select a remedy with
 associated risk lower than 10~4 only
 when necessary for protection of human
 health or the environment or compliance
 with ARARs, or if EPA can demonstrate
 that such risk reductions can be
 achieved at a reasonable cost. In
 response, EPA explains that once levels
 are established for carcinogens that will
 satisfy ARARs, EPA will consider
 cumulative or synergistic effects from
multiple contaminants or multiple
exposures. For carcinogens without
 ARARs, 10"'is a point of departure from
 which technical, uncertainty and '
 exposure factors are used to establish
 preliminary remediation goals, which
 include a target risk level. Final
 remediation goals are determined in the
 remedy selection decision by balancing
 the major trade-offs among the
 alternatives based on the evaluation.
 criteria (as described in
 § 300.430(f)(l}(ii)), which will establish
 the specific level within the acceptable
 risk range the remedy will be designed
 to achieve. (See preamble discussion
 above on risk range.)
   One commenter requested
 clarification that the cost-effectiveness
 requirement applies equally to F,und-
 financed and PRP-financed remedies.
 However, several other icommenters
 asserted that the cost-effectiveness
 requirement pertains only to remedies
 that EPA intends to seek from PRPs or to
 fund itself. When the PRPs are
 proposing a remedy, according to these
 commenters, cost-effectiveness is a
 matter only for the PRPs, not the
 government.
   EPA provides the following
 clarification. The statutory requirement
 that each remedy selected be cost-
 effective applies to all Fund-financed as
 well as all PRP-financed remedies under
 CERCLA.
   3. Cost and practicability. Some
 commenters requested clarification of '
 the proper analysis of trade-offs
 between cost-effectiveness and the
 practical limitations of treatment
 technologies on one hand, and the
 mandate to  utilize treatment to the
 maximum extent practicable on the
 other. In addition, one commenter wrote
 that the proposed process blurs the two
 concepts of cost-effectiveness and
 practicability. Some commenters noted
 that cost must be considered in
 determining what is "practicable." EPA
 responds that cost is considered in
 making both findings as lire certain .
 other criteria. Cost is considered in
 determining cost-effectiveness to decide
 which options offer a reasonable value
 for the money in light of the results they
 achieve. Cost differences must also be
 considered in the context: of all other
 differences between alternatives to
 reach a conclusion as to which
 alternative, all things considered,
 provides the most appropriate solutions
 for the site or site problem. It is this
 judgment that determines the maximum
 extent to which permanent solutions
and treatment are practicable for the
 site or site problem being addressed.
 Criteria other than cost mat are also
used to make both findings are long-
term effectiveness and permanence.
  reduction in toxicity, mobility or volume
  through treatment, and short-term
  effectiveness. However, the
  determination of "practicability" also
  takes into account the implementability
  of the remedy and state and community
  acceptance.
    In response to the comment that ERA
  may not select a non-permanent remedy
  if a permanent remedy is practicable,
  EPA notes that the final balancing by
  which the remedy is selected decides,
  from among protective, cost-effective
  alternatives, the extent to which
  permanent solutions and  treatment are
  practicable for the site. EPA must select
  en alternative providing the maximum
  permanence and treatment practicable.
  EPA uses the balancing and modifying
  criteria to determine what is practicable.
  A commenter indicated that PRPs must
  be required to clean up the released
  hazardous substances to the maximum
  extent practicable. EPA agrees; PRP
  cleanups are subject to the same
  standards as Fund-financed remedial
  actions.
    Several commenters  addressed
  specifically the statutory mandate-to
  utilize permanent solutions and
  alternative treatment technologies or
  resource recovery technologies to the
  maximum extent practicable. One
  commenter suggested establishing this
  statutory mandate as'a threshold
  criterion. Similarly, another commenter
  argued that since the concepts of
  protection of human health and the
  environment cost-effectiveness, and the
.  preference for permanent  solutions and
" 'alternative treatment technologies or
"resource recovery technologies are
  specifically grouped together by
  Congress, these criteria should be
  balanced with each other  in the same
  context in the remedy selection process
  of the NCP. The commenter urged
 elimination of the distinctions between
 the threshold and primary balancing
 criteria.
   EPA believes that it has established
 an appropriate process for addressing
 all these provisions, first by identifying
 protective, ARAR-compliant
 alternatives eligible for  selection, and
 then by balancing tradeoffs among
 alternatives with respect to the other
 pertinent criteria to identify a cost-
 effective alternative that utilizes
 permanent solutions and alternative
 treatment technologies or resource
. recovery technologies to the maximum
 extent practicable. EPA does not believe
 that it is possible or appropriate to
 address the mandate to  utilize
 permanent solutions and treatment to
 the maximum extent practicable as an
 evaluation criterion because this

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 8730       Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules  and Regulations
 mandate represents a conclusion •  .
 reached about a remedy on the basis of
 several evaluation factors.
   Some commenters stressed that the
 statute does not require permanent
 solutions or treatment in all cases.
 Another commenter argued different
 criteria should be applied if EPA
 determines that a site is "beyond
 technical and economic remediation."
 EPA agrees that under CERCLA, the
 requirement to select permanent
 solutions and treatment technologies is
 qualified by practicability. This concept
' ensures selection of remedies
 appropriate to the site problems.
   Some commenters  noted that cost
 must be considered in determining what
 Is "practicable." As discussed above.
 the cost of the remedy is among the
 factors, considered in determining the
 use of permanent solutions and
 treatment to the maximum extent
 practicable.
   4. State and community acceptance.
 One comment believed state and
 commlinlty acceptance were
 appropriately categorized as modifying
 criteria. This commenter concluded that
 in the statute Congress did not afford
 the same weight to state and community
 acceptance as the other criteria. Another
 commenter felt that the proposal
 afforded too much weight to state and
 community acceptance and that these
 interests would exercise undue
 influence over the selection of a remedy..
EPA disagrees with the latter comment.
 CERCLA calls for meaningful state and
community involvement in selecting the
remedial action. See.  e.g., sections 117
and 121(0 of CERCLA. Today's rule
provides a framework for such
involvement. EPA notes, however, that
information on state and community
acceptance generally will not be
complete until comments are received
on the proposed plan. Once all
comments are evaluated- state and
community acceptance may prompt
modifications to the preferred remedy
and are thus designated modifying
criteria. In no case will EPA sacrifice
protection to achieve  state and
community acceptance.
  Several commenters suggested that
consideration of state acceptance as a
modifying criterion did not adequately
take into account state concerns in
remedy selection. One commenter
stated that the proposed approach
would likely result in  state input not
being factored in until the ROD was
being prepared, which would be too late
for addressing serious concerns. For this
reason, one commenter suggested
making state acceptance a primary
balancing criterion.
   EPA believes that the process as
 proposed adequately addresses state
 interests. Often, a state agency may be
. the lead agency for-RI/FS activities at a
 site, directly developing, in consultation
 with EPA, the alternatives that will be
 analyzed in detail, and the option that
 will be put forward as the preferred
 alternative in the proposed plan. When
 EPA is the lead agency, states
 participate as the support agency and
 are involved in these same decisions.
 The rule provides for consideration of
 state concerns throughout the remedial
 process, noting that such concerns
 should be reflected, to the extent
 possible, in the proposed plan. However.
 the rule acknowledges that  the
 assessment of state concerns may not be
 completed until after the formal public
 comment period has been held and,
 therefore, highlights consideration of
 this criterion in the final remedy
 selection decision.
   EPA received comments urging
 express recognition that Indian tribes
 have the opportunity, along with states.
 to review drafr-RI/FS reports prior to
 public review. These commenters
 requested that EPA afford substantial
 deference to Indian tribe and state
 comments on the RI/FS workplan, the
 ROD and regarding ARARs. In response.
 EPA notes that § 300.515{b)  allows
 Indian tribes to be treated the same as
 states in the remedial process if certain
 conditions are met, thus ensuring the
 Indian tribes have the opportunity to
 review and comment on significant
 documents such as RI/FSs and RODs.
 EPA recognizes the substantial role that
 states and Indian tribes play in the
 remedial process and does not believe
 further emphasis is necessary in the
 remedy selection portion of the rule.
   Several commenters argued that
 community acceptance is a significant
 criterion and should have more
 influence in alternatives evaluation and
 remedy selection. These commenters
 urged that this criterion be made a
 primary balancing criterion. The
 commenters felt that community, as well
 as state concerns, should be considered
 throughout the remedial process,
 highlighting in their comments the desire
 to participate in the development of RI/
 FS workplans and to participate in the
 detailed analysis. Similar to the
 concerns expressed on  the role of state
 acceptance, some commenters
 cautioned that if community acceptance
 is addressed only at the ROD stage,  lack
 of acceptance could result in serious
conflict between EPA, the state and the
 community.
   EPA agrees that community
acceptance is extremely important and
 has established a Superfuijd community
 relations program to facilitate
 communication between the community
 and the lead and support agencies. To
 the degree that community acceptance
 of the alternatives is known at the time
 of the proposed plan, it will be taken
 into account in the development of the
 plan. Additionally, the public may
 access the administrative record
 throughout the remedial process and
 may voice concerns to the lead agency
 regarding the contents of the documents
 contained in the record at any tune.
   Due to lie fact that information with
 respect to this factor generally will not
 be complete until after the official public
 comment period, EPA has not included
 community acceptance as a primary
 balancing criterion. A correct
 assessment of community acceptance
 necessarily is based on hearing from the
 community as a whole. Accordingly,
 EPA believes it would be premature to
 address this factor conclusively prior to
 the public comment period, during
 which EPA may hear from citizens who
 have not been vocal earlier during the  •
 RI/FS process. Although community
 acceptance is not addressed as early as
 the primary balancing factors, which
 serve as the principal basis for
 determining the preferred alternative, it
 nonetheless is an important  factor in
 EPA's final remedy selection decision. If
 community acceptance is known earlier,
 it can be a  factor in determining the
 preferred alternative.
  In reference to the five-year review,
 two commenters generally endorsed
 EPA's interpretation of the statutory
 provision in the preamble that calls for a
 five year review whenever the selected
 remedy  will leave wastes on site above
 levels that allow for unlimited use and
 unrestricted exposure.  One commenter
 agreed that the five year review should
 focus on whether the remedy is still
 protective and should consist of an
 examination of monitoring data rather
 than new Held investigations. Another
 commenter said that the five year
 review should also examine  new
 technologies that may have been
developed since the remedy  was
implemented, to the extent the remedy is
not protective. Generally, EPA agrees
with these comments, and guidance is
under development to define the five-
year review. EPA agrees that the  review
should generally focus on monitoring
data, where available, to evaluate
whether the remedy continues to
provide  adequate protection of human
health and the environment.  New
 technologies will be considered where
the existing remedy is not protective,
but the five-year review is not intended

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              Federal Register  / Vol. 55, No. 46 / Thursday.  March 6. 1990 / Rules and  Regulations      8731
  as an opportunity to consider an
  alternative to a protective remedy that
  was initially selected.
    As provided in CERCLA section
  120(e)(4), for federal facility sites subject
•  tpinteragency agreements (JEAGs) under
  CERCLA section 120, the selection of a
  remedial action shall be "by the head of
  the relevant department agency or
  instrumentality and the Administrator
  (of EPA] or. if unable to reach agreement
  on selection of a remedial action,
  selection by the Administrator." This
  provision is incorporated in the final
  rule at § 300.430(f)(4)pii). EPA notes that
  where there are disagreements, EPA
  may invoke the process provided for
  under E.0.12580, section 10(a), to
  facilitate resolution of issues, or a
  dispute resolution process may be
  specified in the IAG itself. In any case,
  however, the final remedy selection
  decision will  be reserved for the EPA
  Administrator, consistent with CERCLA
  sections 120(e)(4) and 120(g).
   Final rule: Section 300.430(f), the
  selection of remedy section of the final
  rule, has been substantially revised from
  the proposed  rule in response to
  comments received. Many of these
  changes reflect EPA's attempt to clarify
  the role of the nine criteria during the
  remedy selection process and how the
  selected remedy complies with the
  statutory requirements for Superfund
  remedies. The promulgated rule also
  clarifies the role of the proposed plan
  [§§ 300.430(fj(l)(ii) and 300.430(f){2)) and
  the final remedy selection
  (§ 300.430(0(4)), taking into
  consideration state and community
  acceptance of the proposed plan.
   1. The rule promulgated today moves
  the discussion of  the hierarchy of
  criteria in remedy selection from the
  detailed analysis  of alternatives section
  of the proposal rule to the selection of
  remedy section in the final rule
  [5 300.430(f)(l)(i)). The hierarchy
  established in today's rule represents an
  important change from the hierarchy
  described in the preamble to the
 proposed rule. This change makes clear
  that overall protection of human health
  and the environment and compliance
 with ARARs (unless grounds for
 invoking a waiver is provided} are
 threshold criteria  that must be satisfied
 by an alternative before it can be
 selected. Long-term effectiveness and
 permanence; reduction of toxicity,
 mobility, or volume through treatment;
 short-term effectiveness;
 implementabiliry; and cost are primary
 balancing criteria. However, today's rule
 places special emphasis on long-term
 effectiveness and permanence, and
 reduction of toxicity, mobility, or volume
  through treatment during the remedy
  selection {§ 300.430(f)(l)(ii)(E}). State
  and community acceptance are
  modifying criteria that may have
  significant input in the final remedy
  selection (§ 300.430(f)(4)(i}) and, to the
  degree they are available earlier, may
  affect the development: of alternatives
  and the selection of the proposed plan.
  Formal consideration of the modifying
  criteria may not be available until after
  the proposed plan, although informal
  consideration may be made earlier.
   2. Today's rule makes clear that the
  determinations that the remedy is: (1)
  Cost-effective and (2) utilizes permanent
 solutions and alternate treatment
 technologies or resource recovery
 technologies to the maitimum extent
 practicable,  are separate findings that
 both result from balancing conducted
 during the remedy selection process.
 The final rule also reflects the statutory
 bias against off-site land disposal of
 untreated waste during remedy
 selection.
   Name: Section 3D0.430(f]{5).
 Documenting the decision.
   Proposed rule: Proposed
 § 300.430(f)(2) and (f)(4) (renumbered as
 § 300.430[f)(5)) required the publication
 of a notice of availability of the
 proposed plan and the final remedial
 action plan. The proposed plan
 describes and solicits comments on the
 preferred remedial action alternative
 and the other alternatives considered.
 Following receipt and consideration of
 public comments on the proposed plan,
 the remedy is selected and documented
 in a ROD. The ROD summarizes the
 problems posed by a site, the technical
 analysis of alternative ways of
 addressing those problems, and the
 technical aspects of the selected remedy
 that are later refined into design
 specifications. The ROD is also a legal
 document that in conjunction with the
 supporting administrative record,
 demonstrates that the lead and support
 agency decision-making has been
 carried out in accordance with statutory
 and regulatory requirements and that
 explains  the rationale by which
 remedies were selected. Finally, RODs
 ore important public documents that
 tmmmarize key facts discovered,
 analyses performed, and decisions
reached by the lead and support
agencies. The general process of
documenting  decisions is similar for
either operable units or comprehensive
remedial actions; however, the content
and level of detail will vary depending
on the scope of the action.
  Response to comments: Few
comments were received on the remedy
selection documentation requirements.
  In general, those comments requested
  that EPA indicate that the ROD should
  explicitly document how each of the
  nine evaluation criteria have been
  considered and should include the
  reasoning on all key issues addressed in
  the decision process, including the bases
  for remedial objectives and an
  explanation of why ARARs are
  applicable or relevant and appropriate.
  EPA agrees that the consideration of the
  nine evaluation criteria, the reasoning
  behind all key decisions, the bases for
  remedial objectives, and the justification
  of the ARAR determinations should be
  included in the ROD and sufficient
  discussion needs to be included in the
  proposed plan so that the basis for the
  proposed remedy can be clearly
  understood. The ROD should include a
  brief summary of the problems posed by
  the site, the alternatives evaluated as
 potential remedies, the results of that
 analysis, the rationale for the remedial
 action being selected, and the technical
 aspects of the selected action. However.
 EPA believes that proposed
  § 300.430(f)(4) (renumbered as
  § 3Q0.430(f) (5)) already required the
 presentation and discussion of these
 items and that no change to the rule is
 necessary. This section requires an
 explanation of how the nine evaluation
 criteria were used to select the remedy
 and sets forth the following
 requirements for all RODs:
   1. All facts, analysis of facts, and site-
 specific policy determinations
 considered in the course of carrying out
 the selection of remedy.
   2. A demonstration that the decision
 was made in accordance with statutory
 and regulatory requirements. The ROD '
 shall discuss how the requirements of
 section 121 of CERCLA have been
 addressed.
   3. A description of the remediation
 goal(s) and/or other performance
 standards mat the remedial action is
 expected to achieve. •
   4. A description of whether or not'
 hazardous substances, pollutants, or
 contaminants will remain at the site at
 levels requiring a five-year review of the
 response action.
  5. A discussion of significant changes
 in the final selected remedy from the
 preferred alternative. A responsiveness
 summary that identifies and responds to
 significant comments should be
 available with the ROD. This
responsiveness summary should include
lead agency responses to comments
made by the support agency, as
recommended by one commenter.
  in addition, EPA has established
detailed guidance on proposed plans,
RODs and other decision documents in

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 8732       Federal Register / Vol.  55, No. 46 / Thursday, March 8, 1990 / Rules and Regulations
 "Interim Final Guidance on Preparing
 Superfund Decision Documents"
 OSWER Directive No. 9335.3-02
 (October 1989).
   A commenter recommended deleting
 the phrase "as appropriate" from the
 requirement to document all facts,
 analyses of facts, and site-specific  •
 policy decisions in the ROD. In
 response, EPA believes that in certain
 situations, some information may not
 need to be included in the ROD. e.g..
 where the information is already
 documented adequately in the
 administrative record. In other cases, a
 document may not be appropriate for
 inclusion in the administrative record at
 all (see the discussion in subpart 1 on
 •What is appropriate for inclusion in the
 administrative record). Thus, EPA is not
 removing the phrase "as appropriate"
 from the rule.
   Similarly, this commenter
 recommended that the phrase  "as
.appropriate"  be deleted from the
 requirement to indicate remediation
 levels, arguing that such levels should
 always be documented in the ROD. EPA
 agrees that whenever remediation
 levels, which have been renamed
 remediation goals, are established they
 should be documented in the ROD.
 However. EPA believes it is necessary
 to retain existing language to provide for
 RODs for interim actions, which may
 not always specify final remediation
 goals, and for decisions that select no
 action, which will not establish
 remediation goals.
  Final rule: Minor clarifying changes
 are being made to proposed
 § 300.43pff)(4)(renumbered as final
 § 300.430(f](5)). The rule notes  that the
 documentation in the proposed plan and
 the ROD should be at a level of detail
 appropriate to the site situation.
  Name: Ground-water policy.
  Background: EPA's Superfund
program"'1 uses  EPA's Ground-Water
Protection Strategy as guidance when
 determining the appropriate remediation
 for contaminated ground water at
 CERCLA sites. EPA's Ground-Water
Protection Strategy establishes different
 degrees of protection for ground waters
 based on their vulnerability, use, and
value. The goal of EPA's Superfund
 approach is to return usable ground
•Waters to their beneficial uses  within a
timeframe that is reasonable given the
particular circumstances of the site. The
Superfund remedial process assesses
the characteristics of the affected
ground water  as the first step in
deciding the remediation goal for
ground-water  restoration, the timeframe
within which the restoration will occur,
and the most appropriate method for
 achieving these goals. A determination
 is made as to whether the contaminated
 ground water falls within Class I, E, or
 m. (Guidance for making this
 determination is available in "EPA
 Guidelines for Ground-Water
 Classification" (Final Draft, December
 1986).)
   'Reasonable restoration time periods
 may range from very rapid (one to five
 years) to relatively extended (perhaps
 several decades). EPA's preference is for
 rapid restoration, when practicable, of
 Class I ground waters and contaminated
 ground waters that are currently, or
 likely in the near-term to be, the source
 of a drinking water supply. The most
 appropriate timeframe must,, however,
 be determined through  an analysis of
 alternatives. The minimnni restoration
 timeframe will be determined by
 hydrogeological conditions, specific
 contaminants at 8'site,  and the size of
 the contaminant plume. If there are
 other readily available  drinking water
 sources of sufficient quality and yield
 that may be used as an alternative
 water supply, the necessity for rapid
 restoration of the contaminated ground
 water may be reduced.
   More rapid restoration of ground
 water is favored in situations where a
• future demand for drinking water from
 ground water is likely and other
 potential sources are not sufficient.
 Rapid restoration may also be
 appropriate where the institutional
 controls to prevent the utilization of
 contaminated ground water for drinking
 water purposes are not  clearly effective
 of reliable. Institutional controls will
 usually be used as supplementary
 protective measures during
 implementation of ground-water
 remedies.
   For Class I and H ground waters,
 preliminary remediation goals are
 generally set at maximum contaminant
 levels, and non-zero MCLGs where
 relevant and appropriate, promulgated
 under the Safe Drinking Water Act or
more stringent state standards (see
ARARs preamble section below on "Use
 of maximum contaminant level goals for
ground-water cleanups"). CERCLA
 alternate concentration limits may also
be used if the requirements of CERCLA
 section 122(d}(2)[B)(ii) are met (see
ARARs preamble section below on "Use
of alternate concentration limits
(ACLs)."} The method for establishing
ACLs under CERCLA generally
considers the factors specified for
establishing ACLs under RCRA with
several additional restrictions. The
ground water must have a known or
projected point of entry to surface water
with no statistically significant
increases in contaminant concentration
 in the surface water, or at any point
 where there is reason to believe
 accumulation of constituents may occur
 downstream. In addition, the remedial
 action must include enforceable
 measures (that will preclude human
 exposure to the contaminated ground
 water at aay point between the facility
 boundary and all known and projected
 points of entry of such ground water into
 surface water. *
   The Superfund program will usually
 consider several different alternative
 restoration time periods and
 methodologies to achieve the
 preliminary remediation goal and select
 the most appropriate option (including
 the final remediation goal) by balancing
 tradeoffs of long-term effectiveness,
 reductions of toxicity. mobility, or
 volume through treatment, short-term
 effectiveness, implementability, and
 cost
   For Class ID ground water (i.e.. ground
 water that is unsuitable for human
 consumption—due to high salinity or
 widespread contamination that is not
 related to a specific contamination
 source—arid that does not have .the
 potential to affect drinkable or
 environmentally significant ground
 water), drinking water standards are not
 ARAR and will not be used to determine
 preliminary remediation goals.
 Remediation timeframes will be
 developed based on the specific site
 conditions. The beneficial use of the
 ground water (e.g., agricultural or
 industrial use], if any, is determined;
 and the remediation approach will be
 tailored for returning the ground water
 to that designated use. Environmental
 receptors and systems may well
 determine the necessity and extent of
 ground-wafer remediation. In general,
 alternatives for Class m ground waters
 will be relatively limited and the focus
 may be, for example, on preventing
 adverse spread of the significant
 contamination or source control to
 prevent exposure to waste materials or
 contamination.
  Widespread contamination due to
 multiple sources is handled in a special
 way by the Superfund program. At most
 NPL sites, program policy is to
 determine contributors to the aquifer
 contamination, and involve them in the
 overall response action. EPA will take
 the lead role in managing the overall
response if the NPL site is the primary
 contributor to the multiple-source
problem. In  the case of areawide
ground-water contamination caused by
multiple sources, Superfund
participation in the overall ground-water
remediation will be proportional to the
contribution the NPL site(s) makes to the

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            Federal Register / Vol. 55. No. 46 / Thursday, March 8.  1990 •/ Rules and Regulations       8733
area wide problem, to the extent it can
be determined. EPA may also take any
action necessary to protect human
health and the environment, such as
providing alternate water supplies or
wellhead treatment, if there is a threat
to human health and the environment.
  Response to comments:The use of the
Ground-Water Protection Strategy as a
framework for Superfund ground-water
response actions was the subject of
many comments. Some commenters
stated that the use of the strategy, and
the Guidelines for Ground-Water
Classification that support the strategy,
was ill-advised and possibly illegal.
Others supported the use of the strategy
and classification guidelines, and a third
group supported their use. provided site-
specific decision-making concerning
appropriate remediation was
maintained. In response, part of the
strategy is a scheme for classifying
ground waters according to their
beneficial uses. The Superfund program
uses this scheme as a framework to help
decide the level of remediation that is
appropriate for that ground water. For
the most highly valued uses, such as
drinking water, the most rapid
remediation will be employed, to the
extent practicable. Ground water that is
naturally unusable because of
characteristics such as high salinity may
not be actively remediated.
  Commenters questioning or objecting
to the use of the Guidelines for Ground-
Water Classification noted that the
guidelines have  not received adequate
notice and comment for rulemaking and
have not been formally promulgated.
One of those commenters stated that the
proposed NCP improperly makes the
Ground-Water Protection Strategy into a
"super ARAR." EPA disagrees that
either the Ground-Water Protection
Strategy or the Guidelines for Ground-
Water Classification are an ARAR. The
strategy provides overarching guidance
that EPA considers in deciding how best
to protect human health and critical
environmental systems threatened by
contaminated ground water. EPA
developed guidelines, consistent with
the strategy, as guidance to apply the
classification system. The guidelines are
used by the Superfund program as
guidance to help make decisions on the
level of cleanup necessary for ground
water at Superfund sites. The guidelines
are not used as strict requirements.
  As noted above, the strategy, and the
guidelines that help implement the
strategy, are not ARARs. Rather, they
help define situations for which
standards may be applicable or relevant
and appropriate and help set goals for
ground-water remediation. At every site.
 EPA must decide the appropriate level
 of remediation necessary to protect
 human health and the environment and
 determine what requirements are
 ARARs based on the beneficial use of
 the ground water and specific conditions
 of the site. The guidelines are not a
 means of circumventing the selection of
 a remedy that will protect human health
 and the environment; they are only, tools
 to apply the ground-water strategy. Site-
 specific decisions will need to be
 justified in the proposed plan and the
 public will have an opportunity to
 comment on EPA's findings and
 proposed actions at that time.
   One commenter said that the use of a
 ground-water classification system
 would inappropriately insert cost into
 cleanup decisions. EPA disagrees. The
 cost of remediation does not affect the
 determination of the highest beneficial
 use of the ground water and
 consequently does not affect the
 classification. However, all remedies
 must be cost-effective, which may affect
 the effort exerted to a.chieve the
 remediation goals in a shorter
 timeframe. A commenter requested that
 EPA include cost as an explicit factor in
 determining when aggressive measures
 will be used to address ground-water
 contamination. EPA believes this is
 unnecessary. Cost-effectiveness is
•sufficiently addressed through the
 determination that remedies, including
 ground-water actions, are cost-effective.
   One commenter opposed the
 classification guidelines stating that the
 use of the guidelines is to argue against
 restoring Class III ground waters.
 Unfortunately, EPA has a limited budget
 to clean up the many sites for which it
 has responsibility. Because Class III
 ground waters already contain high
 levels of salinity, hardness, or other
 chemicals; have no beneficial use to
 humans or environmental ecosystems;
 and have a low degree of
 interconnection with Class I or n ground
 waters {i.e., neither humans nor the
 environment are threatened by
 contamination in these ground waters),
 EPA believes that scarce resources  can
 better be spent cleaning up  sites and
 ground waters that do pose a threat to
 human health and the environment.
 Several commenters supported the use
 of the differential ground-water
 protection and noted that CERCLA
 section 121(d)(2)(B)(i) refers to  "the
 designated or potential use" of the
 ground water in determining cleanup
 levels, reflecting Congress* intent to
 apply varying cleanup standards to
 different kinds of ground water.
   Several commenters, while supporting
 EPA's position that remediation levels
for ground water will depend on the
beneficial use of the ground waters,
expressed concern about the
implementation of the ground-water
guidelines. Several commenters said
that ground-water classification should
only be done by the states (which for
these purposes includes federally
recognized Indian, tribes or local
governments). Another commenter
stated that classification by a state
should supersede  EPA's classification of
ground water unless EPA's classification
would require a more stringent cleanup.
EPA basically agrees; and to the degree
that the state or local governments have
classified their ground water, EPA will
consider these classifications and their
applicability to the selection of an
appropriate remedy.
  EPA will make use of state
classifications when determining
appropriate remediation approaches for
ground water. When EPA must classify
ground water for a Superfund action,
that classification is only used to
determine the scope of site-specific
remedial actions and has no bearing
outside  of the Superfund action. It is not
used by Superfund to provide regional
classification of ground waters.
Classification of ground waters is only
done to the extent it guides remedy
selection.
  If a state classification would lead to
a less stringent solution than the EPA
classification scheme, then the
remediation goals will generally be
based on EPA classification. Snperfund
remedies must be  protective. If the use
of state  classification would result in the
selection of a nonprotective remedy,
EPA would not follow the state scheme.
  Two commenters argued that ground-
water classification and remediation
decisions should be'based on current
uses of the ground water, not just
ground-water characteristics (i.e.,
potential use of the ground water). EPA
disagrees. It is EPA policy to consider
the beneficial use  of the water and to
protect against current and future
exposures. Ground water is a valuable
resource and should be protected and
restored if necessary and practicable.
Ground water that is not currently used
may be a drinking water supply in the
future.
  Another major focus of comments was
the issue of whether natural attenuation
was an appropriate method for dealing
with ground-water contamination. The
comments reflect two points of view.
one that supports  natural attenuation as
a reasonable and  cost-effective means
of remediating contaminated ground
water and another that believes natural

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  8734      Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990  /  Rules and Regulations
 attenuation is an inadequate method of
j cleanup.
   Those eommenters supportive of the
 use of natural attenuation as a method
 of addressing ground water recognize
 that ground-water extraction and
 treatment ("pump and treat") is
 generally the most effective method of
 reducing concentrations of highly
 contaminated ground water, but note
 that pump and treat systems are less
 effective in further reducing low levels
 of contamination to achieve remediation
 goals. These commenters suggest that
 natural attenuation may play a vital role
 in achieving the final increment of
 cleanup once pump and treat systems
 reach the point of diminishing returns.
 EPA agrees with the understanding
 reflected in these comments that active
 ground-water restoration may not
, always be able to achieve the final
 increment of cleanup in a timeframe that
 is reasonable. It is in recognition of the
 possible limitations on the effectiveness
 of pump and treat systems that EPA's
 approach provides for periodic
 evaluation of such systems and allows
 for the use of natural attenuation to
 complete cleanup actions in some
 circumstances. In some cases, proposed
 ground-water remediation goals may not
 be achievable. In these cases, it will be
 appropriate to modify the remediation
 goal to reflect limitations of the
 response action.
   Several commenters suggested that
 EPA use institutional controls and
 natural attenuation to address ground-
 water contamination where human
 exposure to contaminated ground water
 is not currently occurring but potentially
 may occur. One commenter suggested
 that, in this situation, all ground-water
 remedies should be compared with
 natural attenuation. In response, during
 the, analysis of remedial alternatives
 and remedy selection. EPA considers the
 current and potential use of the ground
 water. Natural attenuation is generally
 recommended only when active
 restoration is not practicable, cost-
 effective or warranted because of site-
 specific conditions (e.g.. Class HI ground
 water or ground water which is unlikely
 to be used in the foreseeable future and
 therefore can be remediated over an
 extended period of time) or where
 natural attenuation is expected to
 reduce the concentration of
 contaminants in the ground water to the
 remediation goals—levels determined to
 be protective of human health and
 sensitive ecological environments—in a
 reasonable timeframe. Further, in
 situations where there would be little
 likelihood of exposure due to the
 remoteness of the site, alternate points
of compliance may be considered,
provided contamination in the aquifer is
controlled from further migration. The
selection of natural attenuation by EPA
does not mean that the ground water
has been written off and not cleaned up
but rather that biodegradation,
dispersion, dilution, and adsorption will
effectively reduce contaminants in the
ground water to concentrations
protective of human health in a
timeframe comparable to that which
could be achieved through active
restoration. Institutional controls may
be necessary to ensure that such ground
waters are not used before levels
protective of human health are reached.
  Commenters opposed to natural
attenuation do not find this method an
acceptable  substitute for treatment
noting that many contaminants at
Superfund sites are not readily degraded
in the subsurface. EPA agrees that
natural attenuation will not provide
contaminant reduction in all cases and
that in many situations natural
attenuation will not be appropriate as
the sole remedial action. Factors that
affect the ability of natural attenuation
to effectively reduce contaminant
concentrations include the biological
and chemical degradability of the
contaminants, the physical and chemical
characteristics of the ground water, and
physical characteristics of the geological
medium.
  In addition to objecting to the use of
natural attenuation, some  commenters
provided specific examples of where
they would consider rapid restoration of
ground water to be necessary,  such as
water that feeds into, or that is
interconnected with, sensitive or
vulnerable aquatic ecosystems or where
contaminated ground water results in
vapors that impact nearby buildings.
Under current policy,  EPA determines
remediation timeframes that are
reasonable given particular site
circumstances. Some "ecologically vital"
ground water that feeds into or is
interconnected with sensitive or
vulnerable aquatic ecosystems is treated
as a Class I ground water and actively
restored, to the extent practicable. In
addition, ground waters in designated
wellhead protection areas are also to be
treated as Class I ground waters and
will be rapidly restored, to the  extent
practicable. Contamination of buildings
due to soil vapors from ground water
will be addressed on a site-specific
basis and, if determined to be a
continuing source of contamination,
contaminated ground  water will be
actively restored, to the extent
practicable. In contrast such factors as
location, proximity to population, and
likelihood of exposure may allow much
more extended timeframes for
remediating ground water.
  One commenter felt that more
realistic assumptions and models were
needed to calculate restoration times.
The commenter believes EPA uses
unrealistic and unproven models that
result in overly optimistic estimates of
restoration timeframes. Another
commenter requested clarification on .
the technical feasibility of active
ground-water restoration.
  In response,  EPA notes that it is
engaged in ongoing research and
evaluation of the effectiveness of
ground-water pump and treat systems.
This analysis has confirmed the
effectivenest) of plume containment
measures in preventing further migration
and of pump and treat systems in
achieving sigpiificant reductions of
ground-water contamination.
"Evaluation  of Ground-Water Extraction
Remedies," EPA No. 540.2-69 (October
3989). However, this analysis also
indicates the significant uncertainty
involved in predicting the ultimate
effectiveness of ground-water pump and
treat systems. In many cases, this
uncertainty warrants  inclusion of
contingencies in remedy selection
decisions for contaminated ground
water. Where uncertainty is great, a
phased approach to remediation may be
most appropriate. Such phasing might
involve initial measures to contain  the
contaminant plume followed by
operation of a pump and treat system to
initiate contaminant removal from the
ground water and to gain a better
understanding  of the ground-water
system at the site. The decision as to the
ultimate remediation  achievable in the
ground water would be made on the
basis of an evaluation of the
effectiveness of the pump and treat
system conducted after a defined period
of time. EPA's "Guidance on Remedial
Action for Contaminated Ground Water
at Superfund Sites" (December 1968]
discusses factors that may be
considered in establishing restoration
timeframes.
  To reflect the fact that restoration of
ground water to beneficial use may not
be practicable, the expectation from the
preamble to 'the proposal that will be
incorporated in today's rule has been
modified. The expectation concerning
ground-water remediation now indicates
that when ground-water restoration is
not practicable, remedial action will
focus on plume containment to prevent
contaminant migration and further
contamination  of the ground water.
prevention of exposures, and evaluation
of further risk reduction.

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            Federal Register / Vol. 55, No. 46 / Thursday. March  8. 1990 / Rules and Regulations      8733
  Another commenter contends that
language in the preamble to the
proposed rule creates the impression
that active restoration is not practicable
in fractured bedrock aquifers, which
they stated was technically incorrect
and inaccurately reflects other work in
progress within EPA. EPA is clarifying
that all of the factors listed as
potentially making active ground-water
restoration impracticable, including the '
existence of fractured bedrock or Karst
formations, widespread plumes from
non-point sources, particular
contaminants (e.g., dense non-aqueous
phase liquids), and physicochemical
limitations (e.g., interactions between
contaminants and aquifer material), are
only examples of situations that may
make active ground-water restoration
difficult or impracticable. The presence
of any of these situations does not mean
that active restoration of ground water
is presumptively impracticable and
should not be considered; the decision
of what ground water is or is not
practicable to restore should be made
on a site-specific basis.
  Final rule: An expectation regarding
restoration of ground water has been
added in § 300.430[a)(l)(iii)(F).

Section 300.435. Remedial Design/
Remedial Action. Operation and
Maintenance

   Name: Section 300.435{b}(l).
Environmental samples during RD/RA.
   Proposed rule: f be proposed remedial
design/remedial action (RD/RA) section
did not discuss  QA/QC requirements for
chemical and analytical testing and
sampling procedures associated with
samples taken during the  RD/RA for the
purpose of determining whether cleanup
action levels, as specified in the ROD,
are achieved.
   Discussion: Sampling and analysis
plans prepared during the Rl/FS are
required, under final § 300.430(b)(8), to
follow a process ensuring that data of
sufficient quality and quantity is
 obtained, and that such sampling and
analysis plans be reviewed and
 approved by EPA. In order to encourage
 consistency between the  QA/QC of the
 sampling data generated  during the RI/
 FS which is relied upon when
 determining cleanup action levels in the
 ROD, and confirmatory sampling data
 used to ensure that cleanup action levels
 are met during the RD/RA, EPA has
 decided that the QA/QC requirements
 for cleanup action level samples under
 the RI/FS generally should also apply to
 those taken during  the RD/RA.
   Final rule: The following section is
 added to the final rule in § 300.435(b)(l)
 to encourage consistency between the
QA/QC of RI/FS and RD/RA samples
taken for the purpose of cleanup action
levels:
  Those portions of RD/RA sampling and
analysis plans describing the QA/QC_
requirements for chemical and analytical
testing and sampling procedures of samples
taken for the purpose of determining whether
cleanup action levels specified in the ROD
are achieved, generally will be consistent
with the requirements of { 300.430(b){8].
  Name: Section 300.435(d). Contractor
conflict of interest.
  Proposed rule: EPA proposed new
| 300.435(d) on contractor conflict of
interest for RD/RA and O&M activities
which are Fund-financed. It states that
potential contractors will be required to
provide information on their status and
on the status of their parent companies,
affiliates, and subcontractors as
potentially responsible parties at the
site, and that all such information must
be provided and disclosed before, and
after (if so discovered) submission of
their bid or proposal or contract award.
It further provides that the lead agency
should evaluate the information prior to
contract award and determine that
either: (I) No conflict of interest exists
which would affect their performance:
or (2) a conflict of interest exists which
prevents them from serving the best
interests of the state or federal
government. If such a conflict of interest
exists, the offerer or bidder may be
declared to be a "nonresponsible" or
"ineligible" offerer or bidder in
accordance with appropriate acquisition
regulations and the contract may be
awarded to the next eligible offerer or
bidder. The preamble to the proposed
rule noted that the lead agency may opt
for actions less severe than denial of the
contract award for situations in which
the contractor's role at the site has been
very minor or is not ye't determined (53
FR 51453).
   In the enforcement context, PRPs may
undertake remedial actions under
consent decrees or court orders, and
EPA commits significant oversight
dollars to such actions to ensure that the
inherent conflict of interest does not
affect the proper conduct of the remedial
action. By contrast, in Fund-financed
situations. EPA does not as a routine
measure, commit significant dollars for
 oversight. This provision would alert
EPA to potential conflict of interest
 situations at Fund-lead sites, and allows
 EPA to decide if it is cost-effective to
 award the contract and provide
 additional oversight.
   Response to comments: A few
 commenters requested that EPA provide
 more detailed guidance on the
 circumstances under which a contractor
 would be determined nonresp'onsible or
 ineligible. One commenter believed that
 EPA did not intend the proposed
 regulation to be read so restrictively as
 to result in an automatic determination
-of being "nonresponsible", and
 requested additional guidance regarding
 the circumstances under which a
 contractor's status as a PRP is
 considered  likely to affect contract
 performance. The "commenter argued
 that EPA has not stated in the proposal
 why status  as a PRP necessarily raises a
 conflict of interest as defined in the
 federal acquisition regulations (FAR). A
 few commenters recognized that a
 potential for conflict of interest might
 exist if a PRP selects a remedy for a site,
 or possibly if a design were conducted
 by a PRP. However, for situations
 involving implementation of a chosen
 remedy, these commenters felt it was
 unlikely that such conflict of interest
 would occur, and requested a detailed
 discussion of how a construction
 contractor's objectivity would be
 affected fay its status as a PRP. A
 commenter noted that EPA might err on
 the side of an automatic exclusion of a
 contractor from conducting the remedial
 action if such detailed discussion is not
 provided in the preamble or final rule;
 such actions would thus significantly
 reduce competition for Superfund
 contracts and consequently increase
 costs.
   Another  commenter felt that
 implementation of oversight by the lead
 agency would alleviate EPA's concerns
 that the contractor would not serve the
 government's best interests. The
 commenter also noted that EPA should
 apply the rule only prospectively, in  •
 order to avoid problems  associated with
 disqualifying a contractor who is
 already undertaking work.
   EPA agrees that it does not intend the
 proposed regulation to be read so
 restrictively as to result in automatic
 determinations of a PRP being
 considered "nonresponsible" or
 "ineligible". However, EPA's use  of
 contractors with conflicts of interest in
 the Superfund program has been a major
 issue of concern over the past several
 years. After a review of existing EPA
 policies and procedures  covering the
 Superfund contracting program along
 with interviews with both internal and
 external parties having knowledge of
 EPA's administrative procedures
 regarding conflict of interest.
 5 300.435(d) was proposed because it
 was determined that EPA's procedures
 for this issue need strengthening in order
 to avoid conflicts in the future.
   EPA is concerned with hiring
 contractors (or their subcontractors) to
 implement remedial actions under those

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8736       Federal  Register / Vol. 55, No. 46 / Thursday, March 8, 1990  / Rules and Regulations
situations where a significant potential
exists that such activity could
significantly affect the success of the
lead agenpy's ongoing or potential cost
rtlcovery'of litigation efforts, or
significantly impact the contractor's
own liabilities. For example, actions
•uch as the gathering, uncovering or
documentation of evidence mighfhe a
standard task of a remedial action
contractor at sites with potential for cost
recovery!. Contractors or subcontractors
ijfjth conflicts of interest,might not be
completely objective or impartial when
performing this work if evidence with
unfavorable ramifications towards the
contractor was encountered.
Contractors or subcontractors with
conflicts might also be tempted to
recommend cost-saving measures that
are not environmentally protective, in
qpder to lower their potential cost share.
  The lead agency usually conducts
oversight of PRP-lead RD/RA projects in
order to ensure that the RD/RA effort is
proceeding in a manner which assures
compliance with the requirements of the
applicable record of decision and
enforcement order or decree. However,
at Fund-lead sites. EPA does not
routinely engage in the level of scrutiny
that may be necessary to prevent (or
discover) actions motivated by the
liability interests of the contractor. Thus.
at a minimum, EPA needs to discover
conflicts of interest that may warrant
additional scrutiny: accordingly.
disclosure requirements are necessary
for Fund-lead projects.
  In some cases. EPA may decide that
even though a conflict of interest with a
potential contractor or PRP exists, other
considerations may justify its selection
as a governmental contractor. Examples
of such considerations include the
uniqueness of site conditions, remedy,
or the PRP's prior involvement at the
site, the limited extent of potential
liability of the contractor (or affiliate), or
situations involving a significant
potential for decreased competition or
cost savings to the government (for
example, if the  contractor were the best
offerer). In these situations, the lead
agency might try to find an approach to
mitigate such circumstances, ask
offerers to list conflicts as well as their
proposed steps they would take to
lessen the conflict, or increase the level
of oversight normally associated with
that activity. In other cases, however,
the lead agency might decide that the
nature of the conflict overrides the
potential benefits which could be
realized by use of such contractors, and
that governmental oversight might not
successfully address this concern. The
lead agency will evaluate each situation
                                        on a case-by-case basis through the
                                        careful exercise of judgement and the
                                        weighing of a variety of factors based on
                                        the specifics of the situation being
                                        reviewed.
                                          In making and implementing these
                                        decisions under direct federal
                                        procurement, federal agencies are
                                        required to comply with the procedures
                                        set out in the applicable federal
                                        acquisition regulations. See FAR 9.507.
                                        EPA acquisitions are governed by 48
                                        CFR 1509.507, which are consistent with
                                        the FAR. State procurements should
                                        follow the applicable state acquisition
                                        regulations in making and implementing
                                        these decisions; these regulations  should
                                        be consistent with the applicable federal
                                        regulations.
                                          EPA also does not agree that the lead
                                        agency should apply this section of the
                                        rule prospectively only. The same risks
                                        that exist from prospective contracts
                                        exist with regard to  contracts underway.
                                        EPA, other federal agencies and state
                                        contracting officers  should review
                                        existing remedial action contracts and
                                        determine whether the requirements set
                                        forth in this regulation are provided for
                                        in those contracts. Where it is
                                        determined to be appropriate, these
                                        government agency  contracting officers
                                        should modify existing remedial action
                                        contracts to ensure that contractors
                                        already undertaking federally funded
                                        work will be required to submit
                                        information under this section regarding
                                        any potential conflicts of interest. If EPA
                                        determines that a conflict does exist, the
                                        agency will decide on a case-by-case
                                        basis what action is appropriate.
                                          Final rule: Proposed § 300.435(d) is
                                        revised as follows to better define the
                                        circumstances under which the lead
                                        agency would determine whether  a
                                       > conflict of interest would exist, and to
                                       " more accurately reflect possible EPA
                                        actions in response  to such a finding:
                                          (d) Contractor conflict of interest (1) For
                                        Fund-financed RD/RA and O&M activities.
                                        the lead agency shall:
                                          (i) Include appropriate language in the
                                        solicitation requiring potential prime
                                        contractors to submit information on their
                                        •talus, as well as the status of their
                                        subcontractors, parent companies, and
                                        affiliates, as potentially responsible parties at
                                        the site.
                                          (ii) Require potential prime contractors to
                                        certify that, to the best of their knowledge.
                                        they and their potential subcontractors.
                                        parent companies, and affiliates have
                                        disclosed all information described in
                                        § 300.435(d)(l)(i) or that no such information
                                        exists, and that any such information
                                        discovered after submission of their bid or
                                        proposal or contract award will be disclosed
                                        immediately.
  (2) Prior to contract award, the lead agency
shall evaluate the information provided by
the potential prime contractors and:
  (i) Determine whether they have conflicts
of interest that could significantly impact the
performance of the contract or the liability of
potential prune contractors or subcontractors.
  (ii) If a potential prime contractor or
subcontractor has a conflict of interest that
cannot be avoided or otherwise resolved, and
using that potential prime contractor or
subcontractor to conduct RD/RA or O&M
work under a Fund-financed action would not
be in the best interests of the state or federal
government, .on offer or bid contemplating
use of that piime contractor or subcontractor
may be declared nonresponsible or ineligible
for award in accordance with appropriate
acquisition regulations; and the contract may
be awarded to the next eligible offerer or
bidder.
  Name: Sections 300.5 and 300.435(1).
Operation and maintenance.
  Proposed role: EPA proposed a new
section that: discusses operation and
maintenance (O&M), the final step in the
remedial process. Proposed § 300.435(f)
stated that lor remedial actions which
use treatment or other measures to
restore ground or surface waters, the
operation of such facilities until a level
protective of human health or the
environment is achieved, or for. up to 10
years after construction/start-up,
whichever is earlier, will be considered
part of the remedial action. EPA pays up
to a 90 percent cost share for remedial
action; activities necessary after this
period would be considered operation
and maintenance (O&M) tinder
§ 300.435(f)f2) of the proposed rule, and
CERCLA section 104(c)(6).
  Proposed § 300.435(f)(3)(renumbered
as final § 300.435(f)(4)) made clear that
the following would not be considered
necessary measures to restore
contaminated ground or surface water,
and thus would not be eligible for up to
10 years cost-share: "(i) Source control
measures initiated to prevent
contamination of ground or surface
waters; and (ii) Ground or surface water
measures initiated for the primary
purpose of providing a drinking water
supply, not for the purpose of restoring
ground water." Proposed § 300.435(f)(4)
(revised and renumbered as final
§ 300.435(f)(3)) then noted that "The 10-
year period will begin once the ROD has
been signed, construction activities have
been completed, and the remedy is
operational and functional."
  Response to comments: EPA received
several comments raising concerns with
the proposed rule. Since most
commentenj were concerned with
particular sab-components of this issue,
EPA will respond separately to issues
on each sub-component. Revisions to

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            Federal Register / Vol. 55, No. 46 / Thursday. March 8. 1990 / Rules and Regulations       8737
proposed §§ 300.5 and 300.435{f) will be
discussed at the end of these sections.
  1. Source control maintenance
measures. Several commenters argued
that EPA has misinterpreted Congress's
intent and does not have statutory
authority in excluding source control
maintenance measures from federal
funding through the cost-sharing
provisions for remedial actions. Some
felt that Congress intended that source
control maintenance measures (e.g.,
landfill cap maintenance and leachate
collection and treatment) should be
considered necessary to the proper
functioning of measures restoring
ground-water quality (e.g.. ground-water
pump/treat), and thus should be
included within the coverage of
CERCLA section 104(c)(6). These
commenters reason mat if source
control maintenance measures are not
operated, no restoration would occur,
the protection of public health would not
be assured, and water quality would not
improve. Several commenters also
argued that excluding "source control
measures" is much too broad and
requires clarification and examples, and
stated that the example used in the
proposed rule describing leachate
control systems for containment units
(S3 FR 51453-54) exemplifies ground
water restoration as well as source
control. Another felt that the only
example of a source control measure
which would have operation and
maintenance costs fully funded by the
states would be a leachate collection
system as found in a RCRA Subtitle C
landfill.
  In response, EPA has decided as a
matter of policy not to fund the
operation and maintenance of source
control measures (e.g., landfill cap
maintenance, leachate collection/
treatment, gas collection/treatment)
once such measures become operational
and functional. EPA believes that source
control maintenance measures should
be treated like other O&M activities
under CERCLA section 104(c)(6](see
preamble discussion on i 300.510(c)(l)
below).
   As a threshold matter, it is important
to note that EPA will continue to fund
the construction of the source control
measures themselves (e.g., construction
of the landfill cap or leachate collection
system). As EPA noted in the preamble
to the proposed NCP, EPA intends to
pay up to a 90 percent Fund share for all
source control measures until
"completion of construction of a source
control system, and * * *  the system is
operational and functioning properly"
(53 FR 51454). After that point, when the
system is simply being maintained and
the contamination from the source is
being controlled, the O&M phase begins
for these measures, and EPA believes
that it would be inappropriate for the
Fund to continue to pay for such
activities.
  Congress made clear in CERCLA
section 104(c)(6) that certain ground or
surface water restoration actions would
be considered "remedial action" (such
that, under EPA policy, EPA would pay
up to a 90 percent cost share) as
compared to "O&M" (for which the
states pay all costs under a long-
standing EPA policy). JSPA has
determined that although a failure to
perform source control maintenance
could result in some new contamination
of ground or surface water, maintenance
measures are not specific restoration
actions and do not come within the
category of remedial measures
"necessary to restore ground or surface
water" as used in section 104(c)(6).
Rather, they fall within the category of
normal operation and maintenance
activities..
  Congress was specifically concerned
with including within the idea of
"remedial action" (and thereby within
the group of actions funded at up to a 90
percent level by EPA), those measures
that actively clean up jjround and
surface water. In a discussion of the
issue, the Senate Committee on
Environment and Public Works noted
that EPA was paying up to a 90 percent
cost share for most active  remediation
efforts, such as drum removals and soil
cleanup, but did not comparably share
in the cost of ground or surface water
cleanup:
  The Committee felt that it was important to
specify what the financial obligation of the
Superfund is in regard to the cleanup of
ground and surface water contamination at
sites on the National Priority  list. The current
practice of the [EPA] is to finance remedial
action activities such as the removal of
drums, excavation of soil, and initial
treatment of ground and surface waters on
the 90/10 basis provided in section I04(c)(3).
Under this policy, the long-term treatment of
contaminated water becomes a state
responsibility one year after all other
remedial actions are completed. The
continued treatment of contaminated water,
which is in actuality a major part of the
cleanup program, w considered by EPA to be
an operation and maintenance cost.
S. Rep. 11.99th Cong.. 1st  Sess. at 20-21
(1985). and S. Rep. 631,98th Cong.. 2d
Sess. at 9 (1984). (Emphasis added.)
   In  order to distinguish between active
cleanup ("remedial") actions and  O&M,
Congress specified in section 104(c)(6)
that remedial actions would include
those measures that are necessary to
restore ground and surface water to "a
level that assures protection of human
health and the environment" By
contrast, the statute provides that
"[activities required to maintain the
effectiveness of such measures * • •
shall be considered operation or
maintenance."
  This distinction flows directly from
the concern, expressed by the Senate
Environment Committee, that the
dividing line between remedial and
O&M actions, for the purposes of cost
share funding, should be achieving
protective levels:
  This distinction between remedial action
and operation and maintenance should be
based on the degree of cleanup that has been
achieved. This section determines that the
cleanup of ground and surface water,
whether on or off-site, is a remedial action
until the protection of human health and the
environment is assured * * *
Id. Thus, Congress appears to have
contemplated that active measures
necessary to clean up (or restore) a
water body (e.g., the pumping and
treating of groundwater) would be
considered to be remedial action, but
O&M to maintain that remedy would
not.
  However, at the same time. Congress
was sensitive to EPA's concern that too
broad a policy would require EPA to set
aside large amounts of Superfund money
for water treatment measures, thereby
limiting EPA's ability to take other
response actions. As the Senate reports
noted, "[tjhe reported bill addresses this
concern by putting a five-year [later
changed to a 10-year] time limit on the
mandatory involvement of the federal
fund in such treatment expenses." Id.
Thus, the section requires EPA to
consider active restoration measures to
be remedial action until protective
levels have been achieved, or for a
period of 10 years after construction-and
commencement of operation, whichever
is earlier.
  For example, under section 104(c)(6),
if EPA were to achieve protective levels
(e.g.. MCLs) after 6 years of ground-
water treatment, then the "remedial"
action phase would be considered
complete and the ground water restored,
and activities over the next 4 years (and
thereafter) to maintain the effectiveness
of that remedy would be considered to
be O&M. However, these O&M activities
might well include maintenance of the
cap on a landfill above the aquifer, or
continued operation of the landfill's
leachate collection system. Because
these source control maintenance
activities would merely "maintain the
effectiveness of the restoration"—and
not be necessary to achieve the
remedial action  objectives and

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8738       federal Register / Vol.  55. No. 46 / Thursday. March B. 1990 / Rules and Regulations
rcmediatipn goals In the ROD--they are
clearly the types of measures that are
ntjt "necessary" to restore the aquiier
even though if they were not performed.
some degradation of the aquifer might
pccuf. These measures are O&M
activities, and will be funded by the
•tite.   ;,';';     '    "!	;''.  " "";"
  If. as the commenters suggest EPA
considered source control maintenance
and other O&M activities performed
during the period of active restoration to
be remedial action "necessary" to
restore the aquifer (on the theory that if
the O&M were not performed, the
aquifer could become degraded),  then
EPA would also be compelled to
consider O&M to be remedial action
during the period after protectiveness
levels have been reached (if less than 10
years after construction). Such an
interpretation would directly conflict
with the language and legislative history
of section 104(c}(6) that ends the
remedial action stage when protective
levels are achieved or in10 years.
  The commenters* interpretation would
also lead to a situation where virtually
all on-site O&M activities could be
characterized as "remedial action"
under section IQ4(c)(6). on the theory
that if they were not maintained,  they
might degrade the ground/surface water;
again, the legislative history (and the
wording of section 104{c)(6)) do not
suggest that this was Congress'
intention.
  EPA's analysis is also supported by
the common sense notion that once a
landfill leachate collection system has
been constructed and is operational, the
releases have been controlled and the
remedial action phase completed;
ongoing operation of the leachate
control and cap maintenance would
merely be necessary to maintain  that
status quo. EPA further believes that
this position is consistent with the need
to balance demands on the Fund.
  The record of decision for each  .
operable unit of a site's remedy should
clearly differentiate, where applicable,
which remedial action components  will
«erve the function of "source control
maintenance" measures as compared to
"restoration" measures. Source control
maintenance, in particular, includes
maintenance of caps,  flood/erosion
control measures, slurry walls, gas and
leachate collection/treatment measures,
and ground/surface water interception/
diversion measures. In addition, source
control maintenance measures include
those leaphate coUectionJtreafinent
measures which function: (I) Within a
containment unit, (2) within a source, or
(3) immediately downgradient and
adjacent to a source, and which serve to
collect leachate from a source. In
contrast, "source control action" is
generally considered to include the
construction or installation and start-
up—as compared to maintenance—of
those actions necessary to prevent the
continued "release" of hazardous
substances or pollutants or
contaminants into the environment from
a source (generally on top of or within
the ground, or in buildings or other
structures on the site).
  2. Measures whose primary purpose is
to provide drinking water. Several
commenters argued that EPA has
misinterpreted Congress' intent and
does not have statutory authority, in
excluding from federal funding through .
the cost-sharing provisions for remedial
actions, ground/surface water measures
for the primary purpose of providing
drinking water. Several commenters
argue that CERCLA section 104(c)(6)
does not exclude coverage since this
section provides 10-year cost share for
"the completion of treatment or other
measures  ' *  * necessary to restore
ground or surface water to a level which
assures protection of human health and
the environment." They argue that 10-
year cost share is warranted since, if
measures for providing drinking water
are not operated, no restoration would
occur, the protection of public health
would not be assured, and water quality
would not improve. Some commenters
claim that such a requirement would
unfairly burden small communities/
states which would have to pick up the
cost of treating contaminated water
and/or charge a high user fee for the use
of treated water. One commenter
believed that O&M funding should be
extended on a case-by-case basis  where
drinking water is provided and the
release  at the source is controlled, but
contaminant levels cannot be cost-
effectively contained.
  EPA has decided as a matter of policy
not to fund the operation and
maintenance of ground/surface water
measures taken for the primary purpose
of supplying drinking water. Section
104(c)(6) defines as "remedial" action
(subject to up to a 90 percent EPA cost
share) measures necessary to restore
ground or surface water. Providing
drinking water is simply not
"necessary" for restoration. EPA
recognizes that pumping and treating
groundwater to primarily provide
drinking water might over time, tend to
encourage recharge of the aquifer and
could result in some localized
improvement in ground or surface water
quality; however, the effect is at best
tangential to, not necessary for,
restoration.
  Moreover. EPA believes that the
Superfund program was neither
designed nor intended to provide
drinking water to local residents over
the long-term; providing drinking water
generally is (the responsibility of state
and local governments and utilities.
CERCLA often does provide drinking
water on a temporary basis (e.g., bottled
water) or construct drinking water
facilities (e.g., water line extensions or
treatment plants) in order to provide
alternative water ffnpplieii; however,
EPA does not believe that it is the
purpose of the federal government under
Superfund authority to fund the long-
term operation and maintenance of a
public works; project such as a drinking
water treatment system. EPA believes
that this position is consistent with use
of the Fund to implement the clear
mandates of CERCLA.
  The commenter suggests that if EPA
does not provide .the 10-year cost share
for measures taken for the purpose of
'providing drinking water, no restoration
will occur, and protection of human
health will not be assured. EPA
disagrees. First if the ground or surface
water is contaminated by a release
under CERCLA, EPA may decide to take
action with 1he primary purpose of
restoring that aquifer (in which case  the
cost share would be provided). Second,
if the state and locality believe that
ground or surface water should be
treated for the primary purpose of
providing drinking water, such measures
may be carried out by the state or
locality itself or by the local utility. As
noted above, Superfund was not
intended to be a public works program.
  The ROD for each operable unit of a
site's remedy, where applicable, should
clearly differentiate which remedial
action components are "treatment or
other measures initiated for the primary
purpose of supplying drinking water"
versus treatment or other measures
"necessary for restoration." These RODs
should clearly justify why a remedial
action to restore a contaminated aquifer
is or is not determined to be appropriate,
and/or why the cost-effective selected
alternative is to supply drinking water
after treatment or other measures. These
decisions must follow tfie NCP
requirements involving the development
screening, and analysis of remedial
alternatives, as well as NCP remedy
selection procedures.
  3. Temporary or interim measures.
One commenter argued that in situations
where a ROD for an operable unit
identifies an action as temporary or non-
final in anticipation of a subsequent
final remedy, interim maintenance
should not be considered O&M.
  EPA has determined that in certain
cases, an interim or temporary response
                                                                            .. |  n





                                                                           ,1	llUi
                                                                                               ij,,',,	h,' |,!i|i,. 'Iliii,,'., 'i|!!'i,!'

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            Federal Register  / Vol. 55.  No. 46  /  Thursday. March 8. 1990 / Rules and Regulations
                                                                                                             8739
action is both necessary and desirable
in order to control or prevent the further
spread of contamination while EPA is
deciding upon a final remedy for the
site. Indeed, in many cases, a significant
escalation of final restoration remedial
action costs would result if such
measures were not utilized prior to
installation of the remedy for the source.
Therefore, as  a matter of policy, EPA
will consider, in certain cases, such
interim measures to be "remedial
action" (eligible for 90 percent funding),
even if the interim measures include
source control maintenance activities.
Such interim action would be conducted
as an operable unit component of a
remedial action.
  However, this does not mean that all
interim actions will be so funded. Where
EPA selects a final remedy for an
operable unit (e.g., a final, as compared
to a temporary, landfill cap), then any
maintenance  activity for that site will be
considered O&M. It is only where the
action is truly temporary, meaning that
EPA anticipates replacing it with a final
measure later on, that the activity will
be considered part of the remedial
action. In effect. EPA considers these
temporary stabilization actions to be a
necessary part of the remedy. Unlike
normal O&M activities, these actions are
not intended  to maintain the
effectiveness of the remedy; they are
intended to ensure that the site
conditions do not significantly worsen
while EPA develops a comprehensive
final remedy. Such measures must be
taken promptly in order to assure
protection of human health and the
environment.
   4. Time at which a remedy becomes
operational and functional The time
period for calculating when a remedial
action begins for the purpose of
CERCLA section 104(c}(6] is the point at
which the remedy becomes operational
and functional, and is the relevant point
for starting the ten-year period. In
 addition, for non-ground or surface
 water restoration remedies. O&M begins
 when the remedial action is operational
 and functional.
   Several commenters requested
 clarification  as to when a ground or
 surface water restoration remedy
 becomes "operational and functional"
 under proposed § 300.435(f)(4) (revised
 and renumbered as final § 300.435(f)(2)
 and (3)). One commenter felt that this
 determination is a matter of judgment
 with some remedies, and felt that  a final
 inspection resulting in state and EPA
 concurrence on this determination was
 warranted. One commenter proposed
 that the period start when it is
 determined that the remedy works, has
no start-up problems, and is performing
as designed for a reasonable period of
time, or either. (1) One year after
construction is complete; or (2) after a
reasonable start-up period after
construction is complete (as defined
through EPA/state SMOA. contract or
agreement), whichever is longer, for
each operable unit This is referred to as
the^vtarfc-up period. Another commenter
proposed that the period start wnen all"
parties (EPA. state. PRPs) agree that the
remedy is operational and functional.
   In response, tinder § 300.5, "operation
and maintenance" means measures
required to maintain the effectiveness of
response actions. Except for ground or
surface water restoration actions
covered under § 300-435(f)(3). O&M
measures are initiated after the remedy
has achieved the remedial action
objectives and remediation goals in the
ROD or consent decree, and is
determined to be operational and
functional.
   EPA generally agrees with the
-comments that a measure should be said
to be operational and functional
approximately one year after
construction has been completed (see
 § 300.510{c)). EPA does not. however,
agree that in a federal- or state-lead
action, the lead agency should await the
agreement of all parties, including PRPs,
before making this finding. Thus, the
final rule provides that a  remedy
becomes "operational and functional"
 either one year after construction is
 complete, or when the remedy is
 determined concurrently  by EPA and the
 state to be functioning properly and is
 performing as designed, whichever is
 earlier. This timetable is consistent with
 EPA experience, and with the period of
 time used in construction grant
 regulations. See 40 CFR 35.2218(c).
   However. EPA also agrees with the
 comment that in certain cases a remedy
 may not be fully operational after a
 year, i.e., such that it merely needs to be
 maintained or operated; thus, the state
 may request an EPA extension of the
 one year limit for project start-up.
 Where EPA determines that an
 extension of the start-up period is
 warranted, an extension would be
 granted. If the request is  not approved,
 the remedy would be considered
 operational and functional one year
 after its construction, or on the date of
 the EPA/state determination that it is
 operational and functional, whichever is
 earlier.
    Other sections of the NCP also discuss
 state involvement during and after
 remedial actions: specifically,
  § 300.510(c) discusses state assurances
 for assuming O&M responsibility, and
§ 300.515(g) discusses state involvement
in remedial action. In order to more
clearly describe EPA/state roles and
coordination between construction
completion and O&M, and to ensure
consistency when applying EPA's
existing policy for the administrative
procedures required to bring sites into
the O&M phase, the following process is
described.
  For Fund-financed remedial actions.
the lead and support agencies should
conduct a joint inspection at the
conclusion of construction of the
remedial action and concur through a
joint memorandum that: (1) The remedy
has been constructed in accordance
with the ROD and with the remedial
design, and (2) the start-up period
should begin. At the end of the start-up
period, the construction contractor or
agency will prepare a remedial action
report that the work was performed
within desired specifications and is
operational and functional. The lead and
support agencies will then conduct a
joint inspection in order to determine
whether to accept the remedial action
report.
  5. When is ground or surface water
considered "restored."One commenter
requested clarification in the proposed
regulation regarding when a surface or
ground water is considered  to have been
fully restored.
  Ground or surface water restoration is
considered to be complete, for the
purposes of CERCLA section 104(c)(6).
when the remedial action has achieved
protective levels as set in the ROD. or
after 10 years, whichever is earlier. Of
course, if protective levels have not
been achieved by year 10. then it may be
appropriate for the state to continue the
operation of the treatment or other
restoration measures until the ground or
surface water is fully restored to levels
set out in the ROD.
   EPA recognizes, however, that
performance of remedies for restoring
ground or surface waters can often only
be evaluated after the remedy has been
implemented and monitored for & period
of time. Further, some water treatment
systems may prove unable to meet
cleanup goals, and instead may merely
reach the point at which it is determined
 that restoration to health based levels in
 contaminant concentrations in the
 ground or surface water is not
 practicable. In such cases, it may be
 necessary to amend the ROD and waive
 certain ground or surface water
 requirements. Alternatively, the RQDs
 may contemplate, as a contingency, that
 it may not be technically practicable to
 meet the specified levels, and thus set

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 8740
Federal  Register / Vol.' 55, No. 46 / Thursday, March  8, 1990 / Rules and Regulations
out alternative measures to be taken
pnder that contingency.
  Performance evaluations should be
fconducted one to two years after the
remedy is operational and functional, in
order to determine whether
modifications to the restoration action
are necessity. More extensive
performance evaluations should be
conducted at least every five years.
After evaluating whether cleanup levels
have been, or will be, achieved in the
desired time frame, the following
options should be considered: (1)
Eliscpntinue operation:  (2) upgrade or
Jtplace the remedial action to achieve
the original remedial action objectives
or modified remedial action objectives:
and/or (3j modify the remedial action
objectives and continue remediation, if
appropriate.
  6. Who operates the restoration
measures during 10-year period. One
commenter noted that CERCLA is
unclear on who will be responsible for
operating the remedial  action measures
necessary during the restoration period
of up to 10 years, and believed that EPA
is responsible for implementing such
measures for EPA-lead sites. Another
commenter felt that states should decide
whether they have the  capability and/or
interest in conducting operation and
maintenance, and felt that taking over
this O&M would be encouraged if
federal cost-share for O&M for up to ten
years is assured. One commenter argued
that section 104(c)(3)(A) of CERCLA.
which requires states to assure  all future
maintenance of the removal and
remedial actions, means that the state
will assume the responsibility for
physically taking over the future
maintenance, hot assume the
responsibility for all future maintenance
costs.     	||M'	
  |n response, CERCLA section 104(c)(6)
defines treatment and other measures to
restore aquifers (for up to ten years] to
b^ "remedial action," not O&M.
Therefore^ the costs of operating the
remedial action will be shared by EPA
and the state according to the
appropriate cost sharing provisions in
CERCLA section 104(c}(3). However,
states are encouraged to conduct such
action and may be funded through a
cooperative agreement for that portion
of remedial action required to restore
ground or surface water to levels which
assure protection of human health and
the environment (or 10 years, whichever
is earlier). Such-management would
include performing any necessary
compliance or monitoring requirements.
The state is further encouraged to
provide necessary information to other
environmental programs when such
                            programs are interested in activities at a
                            Superfund site (e.g.. providing
                            information on surface water discharges
                            to the appropriate water office or
                            agency).
                             Of course, after the restoration is
                            considered "complete," as discussed
                            above (at the latest after 10 years], the
                            restoration activities become O&M, and
                            the states must assume responsibility for
                            the management of the restoration
                            activities, including the costs of that
                            O&M. This is consistent with the long-
                            standing policy that states are
                            responsible for all O&M costs. (See
                            preamble discussion below on "Sections
                            300.510(c] (1) and (2). State assurances.")
                             Final rule: Proposed |§ 300.5 and
                            300.435{f) are revised as follows:
                             1. EPA is revising the proposed rule's
                            definition of "source control remedial
                            action" and is adding a separate
                            definition for "source control
                            maintenance measures," as  follows:
                             "Source control action" is the construction
                            or installation and start-up of those actions
                            necessary to prevent the continued release of
                            hazardous substances or pollutants or
                            contaminants (primarily from a source on top
                            of or within the ground, or in buildings or
                            other structures} into the environment.
                             "Source control maintenance measures"
                            are those measures intended to maintain the
                            effectiveness of source control actions once
                            such actions are operating and functioning
                            properly, such as the maintenance of landfill
                            caps and leachate collection systems.

                              2. In § 300.5, the definition of
                            "operation and maintenance" is
                            changed to refer to "measures" rather
                            than "activities," consistent with 40 CFR
                            "part 35, subpart O:
                             "Operation and Maintenance" (O&M)
                            means measures required to maintain the
                            effectiveness of remedial response actions.

                              3. Section 300.435(f)(l) is revised as
                            follows to clarify the point at which
                            O&M measures are initiated:
                             Operation and maintenance (O&M)
                            measures are initiated after the remedy has
                            achieved the remedial action objectives and
                            remediation goals in the ROD. and is
                            determined to be operational and functional.
                            except for ground or surface water
                            restoration actions covered under
                            § 300.435(f)[3J. A state must provide its
                            assurance to assume responsibility for O&M.
                            including, where appropriate, requirements
                            for maintaining institutional controls, under
                            f 300.510(c).

                              4. Anew § 300.435(f)(2) is added to
                            explain the use of the term "operational
                            and functional" in subsection (f)(l):
                              A remedy becomes "operational, and
                            functional" either one year after construction
                            is complete, or when the remedy is
                            determined concurrently by the EPA and the
                            state to be functioning properly and is
                            performing as designed, whichever is earlier.
EPA may grant extensions to the one-year
period, as appropriate.

  5. Proposed § 300.435(f)(2)
(renumbered as final § 300.435(f)(3)} is
revised to indicate that the restoration
period begins after the remedy is
operational and functional, consistent
with the discussion of O&M measures in
paragraph (f)ll). This section also
defines admmistrative "completion."
This revision also takes the place of
proposed paragraph (f)(4).
  (3] For Fund-financed remedial actions
involving treatment or other measures to
restore ground or surface water quality to a
level that assures protection of human health
and the environment the operation of such
treatment or other measures for a period of
up to 10 years lifter the remedy becomes
operational and functional wJU be considered
part of the remedial action. Activities
required to maintain the effectiveness of such
treatment or measures following the 10-year
period, or after remedial action is complete.
whichever is earlier, shall be considered
O&M. For the purposes of federal funding
provided under CERCLA section 104(c)(6). a
restoration activity will be considered
administratively "complete" when:
  (i) Measures restore ground or surface
water quality to a level that assures
protection of human health and the
environment:
  (ii) Measures restore ground or surface
water to such ai point that reductions in
contaminant concentrations are no longer
significant: or
  (iii) Ten years have elapsed, whichever is
earliest

  6. Because the final NCP includes a
definition of "source control
maintenance measures,"  proposed
| 300.435(f)(3Ki) (renumbered as final
§ 300.435(f](4)) is revised to add the term
"measures" and to delete the phrase
"initiated to prevent contamination of
ground or surface water."

  Name: Notification prior to the out-of-
state transfer of CERCLA wastes.
  Policy: In response to the concerns of
a number of fitates and localities, EPA
has initiated a policy that prior to the
shipment  of Superfund wastes to a
permitted waste management facility
out-of-state, the lead agency should
provide written notice to that state's
environmental officials. EPA believes
that such  notice may be appropriate,
and that indeed, such notice'may be
helpful in facilitating the  safe and timely
accomplishment of Superfund waste
shipments. Notice should be provided
under this policy for all remedial actions
and non-time-critical removal actions
involving the out-of-state shipment of
Superfund wastes that are known to the
lead agency, including waste shipments
arising from Fund-lead responses, state-
lead responses, federal facility

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                                                                                                             8741
 responses and responses conducted by
 PRPs (emergency and time-critical
 removals are not covered by this policy).
 This notification should specify the type
 and quantity of waste involved, the
 name and location of the receiving
 facility and the expected schedule for
 the transfer of the CERCLA waste. Such
 notification will enable the recipient
, state to obtain from its permitted
 facilities any other information it may
 need in order to support the out-of-state
 action. Although this notification is
 neither mandated by CERCLA nor
 required by this regulation, EPA  •
 believes that adherence to this
 procedure will help to ensure that these
 waste transfers occur in a safe and
 expedient manner. The policy is
 explained in more detail in OSWER
 Directive No. 9330.2-07 (September 14,
 1989).
   Because CERCLA actions may be
 carried out under a number of
 mechanisms and by a number of parties
 (e.g., lead state agencies, other federal
 agencies, PRPs). EPA plans to issue
 additional guidance or regulations, if
 appropriate, to implement this
 notification policy.
   Final rale: There is no rule language
 on this issue.

 Applicable or Relevant and Appropriate
 Requirements
    Introduction. The November 20,1985
 revisions to the NCP required that, for
  all remedial actions, the selected
  remedy must attain or exceed the
  federal applicable or relevant and
  appropriate requirements (ARARs) in
  environmental and public health laws. It
  also required removal actions to attain
  ARARs to the greatest extent
  practicable, considering the exigencies
  of the circumstances. The preamble to
  the 1985 revisions to the NCP stated that
  ARARs could be  determined only on a
  site-by-site basis, and it included from
  EPA's October 2,1985 Compliance
  Policy a list of potentially applicable or
  relevant and appropriate requirements.
  The preamble also provided a list of
  federal non-promulgated criteria,
  advisories and guidance, and state
  standards "to be considered." called
  TBCs EPA also provided five limited
  circumstances in which ARARs could be
  waived.              	
     On October 17.1986, CERCLA was
  reauthorized with additional new
  requirements. Section 121 of CERCLA
  requires that, for any hazardous
   substance that will remain on-site.
   remedial actions must attain
   requirements under federal
   environmental or state environmental or
   facility siting laws that are applicable or
relevant and appropriate under the
circumstances of the release or
threatened release at lie completion of
the remedial action. The statute also
retained most of the waivers, with a few
additions.
  Although section 121(d)(2) basically
codified EPA's 1985 policy regarding
compliance with other laws, the section
also requires that state standards are
also potential ARARs for CERCLA
remedial actions when they are
promulgated, more stringent than
federal standards, and identified by the
state in a timely manner.
  Furthermore, the CKRCLA
amendments provide that federal water
quality criteria established under the
Clean Water Act (CWA) and maximum
contaminant level goals (MCLGs)
established under the Safe Drinking
Water Act, must be attained when they
are relevant and appropriate under the
circumstances of the irele'ase.
  Today's revision to the NCP continues
the basic concept of compliance with
ARARs for any remedy selected (unless
a waiver is justified). ARARs will be
determined based upon an analysis of
which requirements are applicable or
relevant and appropriate to the
distinctive set of circwmstances and
 actions contemplated at a specific site.
 Unlike the 1985 revisions to the NCP.
 where alternatives were developed
 based on their relative attainment of
 ARARs, in today's rule recognition is
 given to the fact that ARARs may differ
 depending on the specific actions and
 objectives of each alternative being
 considered (for more discussion of this
 point, see preamble of proposal at 53 FR
 51438, section 9).
   In today's rule. EPA retains its policy
 established in the 1955 NCP of requiring
 attainment of ARARs during the
 implementation of the remedial action
 (where an ARAR is pertinent to the
 action itself), as well, as at the
 completion of the action, and when
 carrying out removal actions "to the
 extent practicable considering the
 exigencies'of the situation."
   For ease of identification, EPA divides
 ARARs into three categories: chemical-
  specific, location-specific, and action-
  specific, depending on whether the
  requirement is triggered by the presence
  or emission of a chemical, by a
  vulnerable or protected location, or by a
  particular action. (More discussion of
  these types can be found in the
  preamble of the proposal at 53 FR 51437.
  section 6).
    Response to comments: EPA received
  a few comments on general ARARs
  policies. One commenter argued that the
  remedial action should not necessarily
have to attain the most stringent
applicable or relevant and appropriate
requirement if a less stringent
requirement provides adequate
protection of human health and the
environment.    	
  EPA disagrees. CERCLA requires that
remedial actions comply with all
requirements that are applicable or
relevant and appropriate. Therefore, a
remedial action has to comply with the
most .stringent requirement that is ARAR
to ensure that all ARARs are attained.
In addition, CERCLA requires  that the
remedies selected be protective of
human health and the environment and
attain ARARs. A requirement  does not
have to be determined to be necessary
to be protective in order to be  an ARAR.
Conversely, the degree of stringency of a
requirement is not relevant to  the
determination of whether it is  an ARAR
at a site and must be attained (except
for state ARARs).
   Another commenter asked for
 confirmation that variance or  exemption
 provisions in a regulation can be
 potential ARARs as well as the basic
 standards. EPA agrees that meeting the
 conditions and requirements associated
 with a variance or exemption  provision
 can be a means of compliance with an
 ARAR. For example. EPA expects that
 CERCLA sites will frequently be
 complying with the terms of the
 treatability variance under the RCRA
 land disposal restrictions (LDR) for soil
 and debris when LDR is an ARAR.
   Limitations in a regulation,  such as the
 quantity limitations that define small
 quantity generators under RCRA and
 affect what requirements, a generator
 must comply with, will also affect what
 requirements are applicable at a
 CERCLA site. However, it is possible
 that a requirement could be relevant and
 appropriate even though the requirement
 is not applicable because of a limitation
 in the regulation.
   Indian tribe commenters contended
 that ARARs should not be defined as
 promulgated laws, regulations, or
 requirements because some Indian tribe
 laws, which could apply to a Superfund
 cleanup, may not be promulgated in the
 same fashion as state or federal laws.
 CERCLA section 126 directs EPA to
 afford Indian tribes substantially the
  same treatment as states for certain
  specified subsections of CERCLA
  sections 103,104 and 105; EPA believes,
  as a matter of policy, that it is similarly
  appropriate to treat Indian tribes as
  states for the purpose of identifying
  ARARs under section 121{d)(2). EPA
  realizes that tribal methods for
  promulgating laws may vary, so any
  evaluation of tribal ARARs will have to

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             Federal Register / Vol.  55, No. 46 / Thursday, March 8. 1990  / Rules and Regulations
 be made on a case-by-case basis. Tribal
 requirements! however, are still subject
 to the same eligibility criteria as states,
 as describ'ed in § 300.400(g){4).
   Another commenter disagreed with
 EPA's position that environmental laws
 do not apply to a CERCLA response
 action unless incorporated by CERCLA
 Section 32l(d). This commenter argued
 that EPA has confused the ARARs
 concept wlib one of preemption of state
 law.
   In response. SARA established a
 process, in CERCLA sections 121(d}(2)
 and (d)(4), for how federal and state

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                                                                                                            8743
"generally pertinent," a phrase used in
the preamble of the proposed NCP in
discussing the analysis of the relevance
of a requirement, while another
suggested adding "pertinent" to the
circumstances of the site, expressing
concern that "generally pertinent" was
overly broad. EPA believes that the
concept of "pertinence" is adequately   '
considered as part of the evaluation of
what is relevant and appropriate (see
discussion of factors for determining
relevant and appropriate requirements,
below). EPA does not believe that the
suggested changes should be made in
the definition itself.
  Another commenter suggested
revising the definition to emphasize the
jurisdictional prerequisites of a
potentially relevant and appropriate
requirement, recommending that a
relevant and appropriate requirement be
defined as one that, "while not
applicable, sufficiently satisfies the
jurisdictional prerequisites for legal
enforceabaity." EPA disagrees, because
the jurisdictional prerequisites, while
key in the applicability determination,
are not the basis for relevance and
appropriateness. Rather, the evaluation
focuses on the purpose of the
requirement, the physical characteristics
of the site and the waste, and other
environmentally- or technically-related
factors.
  Another commenter objected to the
policy that some portions of a  regulation
could be found relevant and
appropriate, while other portions would
not be. The commenter believed that
this policy would lead to confusion and
inconsistency, although the commenter
agreed that the application of  this policy
to RCRA closure requirements,
described in the proposal, was useful.
EPA believes that this policy is
appropriate and reflects its experience
in evaluating RCRA closure
requirements and other requirements as
relevant and appropriate. Finding some
parts of a regulation relevant and
appropriate, and others not, allows EPA
to draw on those standards that
contribute to and are suited for the
remedy and the site, even though all
 components of a regulation are not
 appropriate.
   This approach has been particularly
 valuable as applied to RCRA  closure,
 where the two applicable regulations.
 clean closure and landfill closure,
 address only the two poles of a potential
 continuum of closure responses. When
 RCRA closure is relevant and
 appropriate. Superfund may use a
 combination of these two regulations,
 known as hybrid closure, to fashion an
 appropriate remedy for a Bite that is
 protective of both ground water and
 direct contact (for more discussion of
 hybrid closure, see preamble to the
 proposed NCP at 53 FR 51446).
-   2. Factors for determining relevant
 and appropriate requirements. One
 commenter suggested referencing the
 criteria described in § 300.4QO(g)(2) in
 the definition. EPA believes this is not
 appropriate because it could lead to
 confusion about the rote' of^tfae'Critena*
 and result in greater emphasis on rigidly
 applying the criteria than is warranted.
   ;Based on this latter comment and
 others about specific criteria in the
 proposal, EPA wants to clarify the role
 of the factors. {Note that the rule now
 refers to "factors" rather than
 "criteria.") EPA intends that the factors
 in § 3Q0.400(g)(2) shoald be considered
 in identifying relevant and appropriate
 requirements, but does not want to
 imply that the requirement and site
 situation must be similar with respect to
 each factor for a requirement to be
 relevant and appropriate. At the same
 time, similarity on one factor alone is
 not necessarily sufficient to make a
 requirement relevant and  appropriate.
 Rather, the importance of a particular
 factor depends on the nature of the
 requirement and the site or problem
 being addressed and will  vary from site
 to site. While the factors are useful in
 identifying relevant and appropriate
 requirements, the final decision is based
 on professional judgment about the
 situation at the site and the requirement
 as  a whole.
   In addition, as EPA discussed in the
 proposal, a requirement must be both
 "relevant." in that it addresses similar
 situations or problems, and
 "appropriate," which focuses on
 whether the requirement is well-suited
 to the particular site. Consideration of
 only the similarity of certain aspects of
  the requirement and the site situation
  constitutes only half of the analysis of
 whether a requirement is relevant and
  appropriate.
    After review of comments it received,
  EPA has revised the language in
  § 300.400(g)(2) because it is concerned
  that it was misleading. Some
  commenters viewed the analysis
  required by this section as requiring
  consideration only of the similarity of
  the requirement and the problems or
  situation at the CERCLA site. While
  non-substantive for the most part, the
  changes to 5 300.400{g){2) make clearer
  that a requirement and a site situation
  must be compared, based on pertinent
  factors, to determine both the relevance
  and appropriateness of the requirement.
  The rule also now uses the term
  "factors," rather then "criteria." a
change instituted to avoid confusion
with the nine criteria for remedy
selection in § 300.430.
  One commenter suggested that factors
be developed for use in evaluating
whether a requirement is "appropriate."
EPA does not believe this is necessary.
Decisions about the appropriateness of
a requirement are based on site-specific
judgments using the same set of factors
already identified. In the abstract it is
very difficult to separate out those
•factors to be considered for relevance
and those to be considered for
appropriateness, fa specific cases it
would be possible to say, for example,
that a requirement is relevant in terms
of the substances but not appropriate in
terms of the facility covered.
  Several commenters questioned
whether certain factors could
legitimately be considered in identifying
relevant and appropriate requirements.
These and other comments on individual
factors are discussed below; a brief
description of each factor as described
in the proposed NCP is given after the
name of the factor.
   fi): Purpose of the requirement This
factor compared the purpose of a
requirement to the specific objectives of
the CERCLA action. One commenter
was concerned that the "objectives for
the CERCLA action" could include the
implementability of the remedy, its cost,
.and even the acceptability of the action
to the community. This is not what EPA
meant by "objectives." Rather.  EPA
intended that this factor consider the
technical, or health and environmental
purpose of the requirement compared to
what the CERCLA action is trying to
achieve. For example, MCLs are
promulgated to protect the quality of
drinking waten this is similar in purpose
to a CERCLA action to restore  ground
water aquifers to drinkable quality. To
 avoid, confusion, EPA has simplified the
 factor, which now states, "the purpose
 of the requirement and the purpose of
 the CERCLA action."
   (ii): The medium regulated by the
requirement This  factor compared the
 medium addressed by  a requirement to
 the medium contaminated or affected at
 a CERCLA site. No comments were
 received on this factor, and the final rule
 is essentially unchanged from the
 proposal.
   (Hi): The substances regulated by the
 requirement This factor compared the
 substances addressed fay a requirement
 to the substances found at a CERCLA
 site. Several commenters argued that
' RCRA requirements for hazardous
 waste should not be potentially relevant
 and appropriate to wastes "similar" but
 not identical to a hazardous waste, and

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              Federal Register / Vol.  55.  No. 46 / Thursday. March  8. 1990 / Rules  and Regulations
  that this criterion should be dropped.
  EPA disagrees and has discussed this
  issue in the section of this preamble on
  RCRA ARAKs.
    (iv): The entities or interests affected
  Of protected by the requirement. This
  factor compared the entities or interests
  addressed by arequirement and those
  affected by a CERCLA site. Two
j  commenters expressed concern about
  this factor. One  commenter was
  concerned that it could be used to
  disqualify standards from being relevant
  and appropriate simply because the
  requirement regulated entities different
  from those at a CERCLA. site. In
  contrast, another commenter was
  concerneSthat EPA would[broadly
  apply requirements to entities that were
  never intended to be subject to the
  requirement. EPA agrees that this factor
  is confusing. EPA believes that the
  characteristics intended to be addressed
  by this factor are adequately covered
  under other factors, such as purpose and
  type of facility. Therefore, this factor
  has been eliminated.
    (v): The actions or activities regulated
  by the requirement. This factor
"  compared the actions or activities
  addressed by a requirement to those
  undertaken in the remedial action at a
  CERCLA site. No comments were
  received on  this  factor, and the final rule
  is essentially unchanged from the
  proposal.
   (vi):Any variances, waivers, or
 exemptions of the requirement. This
 factor considered the availability of
 variances. Waivers, or exemptions from
 a requirement that might be available
 for the CERCLA site or action. One
 commenter asked for clarification on
 this factor and expressed his view that
 the CERCLA waiver provisions for
 ARARs were the only waivers
 allowable. However. EPA believes that
 it is reasonable to consider Hie
 existence of waivers, exemptions, and
 variances under other laws because
 generally there are environmental or
 technical reasons for such provisions.
 These provisions are generally
 incorporated into national regulations
 because there are specific circumstances
 where compliance with a requirement
 may be inappropriate for technical
 reasons or unnecessary to protect
 human health and the environment.
 Again, this factor is only one that should
 be considered; even if a waiver
 provision in a requirement matches the
 circumstances at the CERCLA site, there
 may be other reasons why the
 requirement is still relevant and
 appropriate.
   (vii): The type and size of structure-or
facility regulated by the requirement.
This factor compared the characteristics
 of the structure or facility addressed by
 a requirement to that affected by or
 contemplated by the remedial action.
 One commenter argued that regulations
 routinely contain cut-offs based on type
 or size of the structure or facility for
 administrative or enforcement
 convenience. EPA agrees that cut-offs
 based solely on administrative reasons
 may not be critical in determining
 whether a requirement is relevant and
 appropriate. However, EPA believes
 that it is necessary and appropriate to
 consider the physical type or size of
 structure regulated because
 requirements may be neither relevant
 nor appropriate to structures or facilities
 that are dissimilar to those that the
 requirement was intended to regulate. In
 many cases, this factor is a very basic
 one: in identifying requirements relevant
 to landfills, one would  turn to standards
 for landfills, not for tanks.
   (viii): Consideration of use or
potential use of affected resources in the
requirement This factor compared the
resource use envisioned in a
requirement to the use or potential use
at a CERCLA site.  One commenter
objected to this factor based primarily
on opposition to EPA's proposed ground
water policy, which, along with the
comments EPA has received on this
issue, is discussed in the section on
ground-water policy in  the preamble
discussion of § 300.430. EPA believes it
is appropriate to compare the resource
use considerations in a requirement with
similar considerations at a CERCLA
site.
   Final rule: 1. The following sentence is
added to the proposed definition of
"relevant and appropriate" in § 300.5
(see preamble discussion above on
"applicable"): "Only those state
standards that are identified by a state
in a timely manner and that are more
stringent than federal requirements may
be relevant and appropriate."
   2. Proposed $ 300.4OO(g}(2) is revised
as follows:
  (2) If, based upon paragraph (g)(l) of this
lection, it is determined that a requirement is
not applicable to • specific release, the
requirement may still be relevant and
appropriate to the circumstances of the
release. In evaluating relevance and
appropriateness, the factors in paragraphs
(8)(2)(i) through (viii) shall be examined.
where pertinent, to determine whether a
requirement addresses problems or situations
sufficiently similar to the circumstances of
the release or remedial action contemplated,
and whether the requirement is well-suited to
the site, and therefore is both relevant and
appropriate. The pertinence of each of the
following factors will depend, in part, on
whether a requirement addresses a chemical,
location, or action. The following
 comparisons shall be made, where pertinent,
 to determine relevance and appropriateness:
   (i) The purpose of requirement and the
 purpose of the CERCLA action;
   (ii) The medium regulated or affected by
 the requirement and the medium
 contaminated or affected at the CERCLA site;
   (iii) The substances regulated by the
 requirement and the substances found at the
 CERCLA site:
   (iv) The actions -or activities regulated by
 the requirement and the remedial action
 contemplated at the CERCLA site;
  .. (v) Any variances, waivers, or exemptions
 of the requirement and their availability for
 the circumstances at the CERCLA site;
   (vi) The type of place regulated and the
 type of place affected by the release or
 CERCLA action;
   (vii) The type and size of structure or
 facility regulated and the type and size of
 structure or facility affected by the release or
 contemplated by the CERCLA action:
   (viii) Any consideration of use or potential
 nse of affected resources in the requirement
 and the use or potential use of the affected
 resource at the  CERCLA site.

   Name: Section 30p.400(g}(3). Use of
 other advisories, criteria or guidance to-
 be-considered (TBC).
  Proposed rule: The preamble to the
 proposed rule provided that advisories,
 criteria or guidance to-be-considered
 (TBC) that do not meet the definition of
 ARAR may be necessary to determine
 what is protective or may be useful in
 developing Superfund remedies (53 FR
 51436). The ARARs preamble described
 three types of TBCs: health effects
 information with a high degree of
 credibility, technical information on how
 to perform or evaluate site
 investigations or remedial actions, and
 policy.
  For example, proposed § 300.400(g)(3)
 stated that other advisories, criteria, and
 guidance to be considered (TBCs) shall
 be identified, as appropriate, because
 they may  be useful in developing
 CERCLA remedies. Proposed
 5 300.415fJK§ 300.415(i) in the final rule)
 stated that other federal and state
 criteria, advisories, and guidance shall,
 as appropriate, be considered in
 formulating the removal action.
 Proposed  § 300.430[b) stated that during
project scoping the lead agency shall
initiate a dialogue with the support
agency on potential ARARs and TBCs.
Proposed  § 300.430(e)(2) provided that
 other pertinent information may be used
 to develop remediation goals. Proposed
 § 300.430[e)(8) provided that the lead
 agency shall notify the support agency
of the alternatives to be analyzed to
facilitate the identification of ARARs
and TBCs. Proposed § 300.430[f) on
selecting a remedy, however, referred to
compliance with ARARs only, not TBCs.
Proposed subpart F required that the

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            Federal Register / VoL 55. No. 46 / Thursday. March 8. 1990 / Rules and Regulations
                                                                                                           8745
lead and support agencies timely
identify ARARs and TBCs during the
remedial process.
  Response to comments: Several
commenters requested that the category
of "TBCs" be eliminated entirely.
Commenters argued that the use of
TBCs is not authorized by CERCLA, that
this category of information is too
broadly defined or open-ended, and that
references to TBCs in the NCP mandate
consideration of a seemingly limitless
category of information. One conunenter
was concerned that fay selecting a health
effect assessments as a TBC candidate,
the precedent for imposition of this TBC
for all sites would be set and may drive
remediation costs beyond cost-
effectiveness. Some commented that
using TBCs in the remedy selection
process will lead to much confusion,
uncertainty, and delay. Also.
commenters suggested that the use of
TBCs could lead to lengthy disputes or
litigation.
  Other commenters contended that the
broad definition of TBCs  will give lead
agencies too much discretion when
considering information and determining
cleanup levels. A commenter stated that
wide discretion could produce
inconsistent selection of cleanup goals.
  Several commenters argued that TBCs
have been given ARAR-like status in the
NCP because  the proposal requires that
lead and support agencies shall identify
ARARs and TBCs during the remedial
process. A commenter noted that the
proposal requires identification of TBCs
even when ARARs have been identified,
adding an additional layer of regulatory
activity not authorized by CERCLA.
Another commenter stated that the
proposed rule does not even require
TBCs to be relevant and appropriate.
One commenter stated that the proposal
requires that TBCs be identified for
remedial actions but does not specify
what is to be  done with them.
Commenters raised due process
concerns, arguing that, unlike ARARs,
TBCs are not legally promulgated and
may not have been subjected to public
or technical review and comment.
   Commenters suggested that TBCs are
unnecessary for establishing
contaminant levels because such levels
can be determined by regulations or
during risk assessments. A commenter
proposed that site-specific risk-based
remediation levels should be used.
Another commenter asserted that TBCs
are appropriate for use as general
guidelines, but not as requirements. The
TBCs listed in the preamble often are
 not subjected to thorough technical
 review and are inappropriate for use as
 substitutes for ARARs.
  If EPA retains TBCs in the NCP.
commenters suggested that the category
be more specifically defined and
referred to as helpful reference
information only, or used on a voluntary
basis. A commenter suggested that, if
TBCs are retained, references to their
•identification and consideration be
permissive, not mandatory (e.g.. "may.
as appropriate, identify TBCs * * *"
rather than "shall identify
TBCs * * *"). A commenter argued that
EPA should state that remedies selected
through the use of TBCs must be cost-
effective, and that TBCs may be used
only if the remedy selected falls within
the acceptable risk range.
  Commenters argued that if EPA uses
TBCs to determine cleanup levels. PRPs
must be provided with an opportunity to
challenge their use. A commenter
suggested that the preamble clarify that
requirements more stringent than
ARARs can be imposed only if ARARs
are not protective of human health and
the environment
  Some commenters requested
clarification that requirements existing
under Indian tribe law and enforced as a
matter of tribal law should be
considered ARARs rather than TBCs.
  On the other hand, one commenter
argued that some TBCs should be given
the same status as ARARs. The
commenter explained that most states
have ARARs for determining ground and
surface water cleanup levels, but
promulgated standards for soil cleanup
are largely unavailable. The commenter
suggested that state policies used to
determine guidance values, criteria or
standards should be given the same
status as ARARs. even if not
promulgated, as long as they are used
consistently within a state.
   In response, EPA believes it is
necessary to clarify how it intends TBCs
to be used. As a first matter, EPA agrees
with commenters that TBCs should not
be required as cleanup standards in the
rule because they are. by definition,
generally neither promulgated nor  .
enforceable so they do not have the
same status under CERCLA as do
ARARs. TBCs may, however, be very
useful in helping to determine what is
protective at a site, or how to carry out
certain actions or requirements.
   Because ARARs do not exist for every
 chemical or circumstance likely to be
 found at a Superfund site, EPA believes
 it may be necessary when determining
 cleanup requirements or designing a
 remedy to consult reliable information
 that would not otherwise be considered
 to be a potential ARAR. For example,
 when an MCLG or MCL does not exist
 for a particular contaminant. EPA
 intends that the lead or support agency
" use EPA-developed toxicity information
 such as cancer potency factors and
 reference doses for noncarcinogenic
 effects when developing preliminary
 remediation goals. Also, many action-
 specific ARARs have broad
 performance criteria. The technical
 information on how to implement such
 criteria may be contained in guidance
 documents only. The lead or support
 agency may need to consider these
 guidance documents in determining how
 to comply with the ARAR. Also, the lead
 or support agency may want to consider
 policy statements contained in
 advisories, criteria, or guidance when
 selecting or designing a remedy.
   Accordingly, even though the use of
 TBCs is not specifically discussed in
 CERCLA, EPA believes that their use is
 consistent with the statutory
 requirements to protect human health
 and the environment and to comply with
 ARARs. This opportunity to consider
 TBCs applies to both removal and
 remedial actions.
   EPA recognizes, as the commenters
 point out, that unlike ARARs, the
 identification and communication of
 TBCs should not be mandatory. EPA has
 revised the NCP references to TBCs to.
 make it clear that they are to be used on
 an "as appropriate" basis. EPA believes
 that TBCs are meant to complement the
 use of ARARs by EPA. states, and PRPs.
 not to be in competition with ARARs.
   In response to other comments, even
 when TBCs are used, the requirements
 imposed on the remedy, including that it
 be cost-effective, still apply. Moreover, a
 PRP can comment on information
 derived from TBCs, including the
 reliability and validity of a TBC itself,
 when it submits comments on the
 proposed plan. PRP challenges to the
 use of TBCs are not precluded by EPA's
 TBC policy because PRPs may still
 assert in their  comments that in a
 particular instance, the lead agency's
 consideration of TBCs in determining
 remediation goals and objectives is not
 appropriate or consistent with
 CERCLA's mandates that remedies
 protect human health and the
 environment and be cost-effective.
   Further, EPA does not agree that the
 use of TBCs will necessarily lead to
 inconsistent selection of cleanup goals.
 Better consistency may in fact be
 achieved if all lead agencies use EPA-
 developed toxicity information for
 contaminants  for which a standard has
 not yet been developed. Finally, Indian
  tribal laws may be potential ARARs
  when they meet the requirements for
  state ARARs (see introductory preambl<
  section on ARARs, above].

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                 Federal Register  / Vol. 55.  No. 46 / Thursday.  March 8, 1990 / Rules and Regulations
       Final rule: References to TBCs will be
     changed in the following sections to
     make it clear that their use is
     discretionary rather than mandatory:
     i§ 300.406feX3), 300.415(i). 30Q.430(b)(9).
     S00.430(d){3). 300.430(6) (8) and (9),
     3Q0.50S(d)(2)(iii), 300.515(d) and (d) (1)
     and (2). and 300.515{h){2).
            : Sections 300.400 (gj[4) and
     (g){5). ARARs under state laws.
      Proposed rule: Section 300.400{g)
     specified that only promulgated state
     standards may be considered potential
     ARARs. A promulgated state standard
     must be legally enforceable and of
     general applicability. The term "legally
     enforceable," according to" the preamble
     to the proposed NCP, means that state
     laws or standards which are considered
     potential ARARs must be issued in
     accordance with state procedural
     requirements and contain specific
     enforcement provisions or be otherwise
   |  enforceable under state law. The :
     preamble also explained that "of general
     applicability" means that potential state
     ARARs must be applicable to all
     remedial situations described in the
     requirement, not just CERCLA sites [53
     FR 51437-38).
      The preamble also discussed a
     dispute resolution process to be
     followed if there is disagreement about
     the identification of ARARs, as well as
     policies to be followed if a state insists
     that a remedy attain a requirement not
     dttermined to be ARAR (see 53 FR
     51437 and 5M57).
      Response to comments: Commenters
     on this subject called for EPA to
     establish a formal procedure to be
     followed by states to demonstrate that
     proposed state ARARs are legally
     enforceable and of generally
     applicability. Commenters suggested
     that states be required to provide legal
     Citations from appropriate sections of
     state laws, as well as appropriate
     citations to legal authority for issuing
     compliance orders, obtaining
     injunctions, or imposing civil or criminal
     penalties in the event of noncompliance.
     These citations, according to
     commenters, would'demonstrate that
     proposed ARARs are legally
     enforceable'
      Commenters suggested that general
     applicability could be demonstrated by
     requiring states to identify the
     chemicals, locations, and cleanup
     actions to which a proposed ARAR
     would apply.
      The proposed NCP did not prescribe a
     specific procedure to be used in
     evaluating state standards as potential
     ARARs. A formal process for
     demonstrating that state requirements
     are promulgated is not required by
 CERCLA. EPA believes that the
 imposition of a formal procedure on
 states would be a large administrative
 burden and could impede the cleanup
 process.
   EPA expects, however, that states will
 substantiate submissions of potential
 ARARs by providing basic evidence of
 promulgation, such as a citation to a
 statute or regulation and, where
 pertinent a date of enactment, effective
 date, or description of scope. Because a
 citation is the minimum needed to
 positively identify a requirement, EPA
 has added regulatory language requiring
 both lead and support agencies to
 provide citations when identifying their
 ARARs.
   Section 300.400(g)(4) specifies that
 only promulgated state standards that
 are more stringent than federal
 requirements and are identified by the
 state in a timely manner may  be
 considered potential ARARs. If a
 question is raised as to whether a
 requirement identified by a state
 conforms to the requirements  for being a
 potential state ARAR, or is challenged
 on the basis that it does not conform to
 the definition, the state would have the
 burden of providing additional evidence
 to EPA to demonstrate that the
 requirement is of general applicability,
 is legally enforceable, and meets the
 other prerequisites for being a potential
 ARAR. If EPA does not agree that a
 state standard identified by a state is an
 ARAR, EPA will explain the basis for
 this decision.
  Furthermore, the language of CERCLA
 section 121(d)(2)(A) makes clear, and
 program expediency necessitates, that
 the specific requirements that are
 applicable or relevant and appropriate
 to a particular site be identified. It is not
 sufficient to provide a general "laundry"
 list of statutes and regulations that
might be ARARs for a particular site.
The state, and EPA if it is the support
 agency, must instead provide a list of
requirements with specific citations to
 the section of law identified as a
potential ARAR, and a brief explanation
 of why that requirement is considered to
 be applicable or relevant and
appropriate to the site.
  Other comments oil this section raised
 objections to EPA's acceptance of
general goals as potential ARARs. One
 commenter questioned whether such
general goals were implementable and
satisfied the requirements of a
promulgated standard, requirement,
criteria, or limitation contained in
CERCLA section 121(d). Another
commenter argued that attempts to
interpret compliance with a general goal
will lead to confusion and delay. Several
commenters requested clarification of
.1 ;	".:	'"'  "[ • '"''•	
 the status pi: state nondegradation goals
 and whether such goals qualified as
 potential ARARs.
   In response, it is necessary to
 examine the nature of a general goal in
 order to determine whether it may be an
 ARAR. General goals that merely
 express legislative intent about desired
 outcomes or conditions but are non-
 binding are not ARARs. EPA believes,
 however, that general goals, such as
 nondegradation laws, can be potential
 ARARs if they are promulgated, and
 therefore legally enforceable, and if they
 are directive: in intent The more specific
 regulations that implement a general
 goal are usually key in identifying what
 compliance with the goal means.
  For example, in the preamble to the
 proposed NCP, EPA cited the example of
 a state antidegradation statute that
 prohibits the degradation of surface
 water below a level of quality necessary
 to protect certain uses of the water body
 (53 FR 51438). If promulgated, such a
 requirement is clearly directive in nature
 and intent. State regulations that
 designate uses of a given water body
 and state water quality standards that
 establish maximum in-stream
 concentrations to protect those uses
 define how the antidegradation law will
 be implemented are. if promulgated, also,
 potential ARARs.
  Even if a state has not promulgated
 implementing regulations, a general goal
 can be an ARAR if it meets the
 eligibility criteria for state ARARs.
 However, EPA would have considerable
 latitude in determining how to comply
 with the goal in the absence of
 implementing regulations. EPA may
 consider guidelines the state has
 developed related to the provision, as
 well as state practices in applying the
 goal, but such guidance or documents
 would be TBCs, npt ARARs.
  Final rule: 1. EPA has revised
 { 300.400(g)(4) as follows:
  (4) Only those state standards that are
 promulgated. lire identified by the state in a
 timely manner, and are more stringent than
 federal requirements may be applicable or
 relevant and appropriate. For purposes of
 identification and notification of promulgated
 state standards, the term "promulgated"
 means that the: standards are of general
 applicability and are legally enforceable.
  2. Also, language has been added to
 § 300.400(g)(S) requiring that specific
 requirements for a particular site be
 identified as ARARs, and that citations
 be provided.
  Name: Section 300.515(d)(l). Timely
 identification of state ARARs.
  Proposed rule: Section 300.515(d)(l)
 stated that the lead and support
 agencies shall identify their respective
	i	,
                                                                                              ,  i

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            Federal Register / Vol. 55.  No. 46  /  Thursday. March 8. 1990 / Rules and Regulations
                                                                                                          8747
ARARs (and may identify TBCs) and
communicate them to each other in a
timely manner such that sufficient time
is available for the lead agency to
incorporate all potential ARARs and
TBCs without inordinate delay and
duplication of effort.
  Section 300.515(d)(2) provided that a
SMOA may specify timeframes for
identification of ARARs and TBCs. In
the absence of a SMOA, § 300.515fh}(2)
provided that the lead and support
agencies shall discuss potential ARARs
and TBCs during the scoping of the RI/
FS. This section also required the
support agency to communicate in
writing potential ARARs to the lead
agency within 30 working days of the
receipt of a request from the lead agency
for potential ARARs at two steps in the
process: no later than when site
characterization data are available, and
prior to the initiation of the comparative
analysis. The preamble to the proposed
rule (53 FR 51438) explained that
different types of ARARs can be
identified at various points in the RI/FS
process: chemical-specific and location-
specific ARARs after site
characterization, and action-specific
ARARs after development of
alternatives.
  Response to comments: Several
commenters argued that even states
with SMOAs should be required to
identify potential ARARs within 30
working days of the receipt of a request
from the lead agency. EPA believes,
however, that it is appropriate to allow
the timeframes for identification of
potential ARARs to be negotiated as
part of a SMOA. and therefore does not
 agree with this comment.
   The purpose of the SMOA is for EPA
 and a state to agree on their respective
 roles and responsibilities during EPA-
 lead and state-lead response actions. A
 mutually acceptable timeframe for
 identifying ARARs is certainly an
 important component of the decision-
 making process. Such discussion may
 also lead to agreement on other
 important ARARs coordination issues
 such as the appropriate EPA/state
 management staff level for
 communication of ARARs.
    One commenter stated that the 30-day
 requirement is too short, especially for
 Indian tribes who may not have well-
  developed systems for identifying and
  compiling tribal laws. Another
  commenter suggested that states be
  given a minimum of 20 working days to
  respond to a request for ARARs to
  account for numerous levels of authority
  involved in the response. Based on
  program experience, EPA believes a
  period of 30 working days is appropriate
  for a support agency to respond to a
lead agency request for .ARARs in the
absence of a negotiated timeframe in a
SMOA. The necessity for a longer
period should be agreed upon during
SMOA negotiations.         ;
  Commenters suggested that the
iiiiscussion of timely identification of
.ARARs be revised to allow for ARARs
identified after the signing of the ROD to
ibe considered legally equivalent to
.ARARs identified prior to ROD signing.
Commenters pointed out that many
potential action-specific ARARs cannot
be identified until the remedial design
phase, which occurs after ROD signing.
EPA believes that remedial actions
should be required to comply with
ARARs identified by the lead and
support agencies before the ROD is
signed and should not be required to
comply with ARARs identified after that
time, provided such ARARs  could have
been identified before the ROD was
signed. However, if a component of a
remedy is not identified at the time of
ROD signing, requirements in effect
when the component is later identified
(e.g- during remedial design} will be
used to determine ARARs. In iaddition,
'remedies will comply with requirements
promulgated after ROD signature if
necessary to maintain protectiveness
(these issues are discussed in greater
detail below in the section on
"Consideration of newly promulgated or
modified requirements."')    ;
  Final rule: EPA is promulgating the
rule as proposed except that references
to TBCs have been modified (see
preamble section on TBCs).
  Name: Section 300.430(f)(l)(ii)(C).
 Circumstances in which ARARs may be
 waived.                   :
  Introduction: CERCLA reauthorization
 modified somewhat the 1985 NCP's five
 circumstances in which a specific ARAR
 need not be attained. Four of ;the original
 waivers were essentially codified, and
 two new waivers added (equivalent
 standard of performance and:
 inconsistent application of state
 requirements). These waivers, which by
 statute apply to on-site remedial
 activities, must be invoked  for each
 ARAR that will not be attained; the
 waivers apply only to attainment of
 ARARs and not to any other CERCLA
 statutory requirements for remedial
 actions, such as protection  of human
 health and environment. Since today's
 rule also requires removal actions to
 comply with ARARs to the extent
 practicable, these waivers  arte also
 available for removals, as discussed in
 the preamble for f  300.415(1).
    Proposed rule: The proposed NCP
 revisions essentially incorporated the
 statutory language of the waivers in the
 rule without amplification or significant
 modification in proposed
 f 300.430(f)(3)(ivJ (renumbered as final
 § 300.430(f)(l)(ii)(C)). The preamble to
 the proposal did, however, discuss
 criteria and circumstances under which
 the waivers might be invoked (53 FR
 51438).
   Each waiver is discussed below in
-terms of ihe.praposed criteria,
 comments on the criteria, and EPA's
 response to comments. Unless explicitly
 stated otherwise, the criteria under each
 waiver may be presumed to remain the
 same as described in the preamble to
 the proposed rule.
   Response to comnrcnte'Two general
 comments were made about use of
 waivers. One commenter suggested that
 the probability of exposure be allowed
 as grounds for a waiver; for example,
 the low probability of exposure at a
 remote site would allow an ARAR such
 as for drinking water levels  in
 groundwater to be waived. EPA does
 not believe that there is authorization to
 use exposure probability as grounds for
 a waiver. Exposure probability may
 suggest what standards have to be
 attained (as with groundwater that may
 be used for drinking), but cannot exempt
 a CERCLA response from what would
 otherwise be ARAR.
    Another commenter suggested that
 waivers be interpreted broadly and used
 more frequently to expedite response
 and conserve the Fund. The commenter
 gave as an example waiving MCLs for
 Class D groundwater that is not likely to
 be used for drinking water.  EPA.
 acknowledges that waivers of ARARs
 may be used more frequently in the
 future as more experience is gained
  about the practicability of remedies, the
 nature of state requirements, etc.
  However, EPA may invoke  waivers only
  when appropriate under the terms of the
  statute, and not simply when it might be
  desirable to expedite an action. EPA
  also notes that a specific waiver is
  available to help conserve the Fund.
    Final rule: EPA is promulgating the
  rule as proposed.
    Name: Section 300.430(f)(l)(ii)(C}(2).
  Interim measures.
    Proposed rale: This waiver is intended
  for interim measures which by their
  temporary nature do not attain all
  ARARs. The criteria proposed were that
  an interim measure for which this
  waiver is invoked should be followed
  within a reasonable time by complete
  measures that attain ARARs, and that
   the interim measure should not
   exacerbate site problems nor interfere
   with the final remedy (S3 FR 51438-39).

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                                                                               •»     • "        '
 8748      Federal  Register / Vol. 55.  No. 46  / Thursday.  March 8.  1990 / Rules of equivalent performance. In
Other words, they would use an
evaluation of exposure risk as the
measure of equivalent performance,
allowing an entirely different remedial
approach than that specified in a
requirement as long as the final risk
level is the same.
  EPA disagrees fundamentally with
this approach, which EPA believes is  far
broader than what Congress intended.
As another commenter noted, the
purpose of the waiver is to allow
alternative technologies that provide  a
degree of protection as great or greater
as the specified technology. The
language from the Conference Report on
SARA makes clear the narrower
purpose of this waiver for the use of
alternative but equivalent technologies;
comparison based on risk is only
permitted where the original standard is
risk-based:
  Tfais [waiver] allows flexibility in the
choice of technology but does not allow any
lesser standard or any other basis (such as a
risk-based calculation] for determining the
required level of control. However, an
alternative standard may be risk-based if the
original standard was risk-based.

H.R. Rep. No. 962,99th Cong.. 2d Sess.
(1986) ("Conference Report oa SARA")
at p. 249. Another commenter believed
that EPA's criteria are unnecessarily
restrictive, in that these criteria should
be balanced in evaluating an alternative
rather than required to be equaled or
exceeded. EPA believes that the first
three criteria, Le., degree of protection,
level  of performance, and future
reliability, should at least be equaled for
an alternative to be considered
equivalent While it is possible that

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            Federal Register / Vol.  55, No.  46 / Thursday. March 8. 1990 / Rules and Regulations
                                                                      8749
there may be redundancy among the
three, a lesser level in any of these
criteria would compromise equivalency
with the original standard.
  Regarding the fourth criterion, EPA
proposed that the time required to
achieve results using the alternative
remedy should not be significantly more
than that required under the waived
ARAR. Several commenters objected to
this criterion, arguing that it could
preclude less expensive technologies or
ones that provide greater protection or
reliability. They were also troubled by
the vagueness of the standard of
"significantly more."
  EPA appreciates the concerns raised
by these commenters regarding the role
of time in evaluating an alternative for
this waiver. The standard proposed was
not specific precisely in order to allow
cases where alternative methods may
provide great benefits even though
requiring longer time for
implementation, as with, for example,
the use of bioremediation instead of
incineration. While EPA still believes
that the time required to implement an
alternative should be considered in
using this waiver, with a bias toward
quicker remedies, EPA recognizes the
validity of commenters' claims that the
duration should be balanced  against
other beneficial factors and should not
be a necessary condition for
equivalence.
  A final commenter expressed concern
that this waiver as interpreted by EPA
would actually require the alternative to
exceed the level of protectiveness
provided by the ARAR. EPA does not
believe that the criteria that have been
proposed for this waiver in any way
require that the alternative be more
protective  than the ARAR, rather, that it
be at least as protective as the ARAR.
  Final rale: EPA is promulgating the
rule as proposed.
  Name: Section 300.430(f)(l)(ii3{C)(5).
 Inconsistent application of state
 requirements.
   Proposed rule: This waiver is intended
 to prevent application to Superfund sites
 of state requirements that have not been
 consistently applied elsewhere in a
 state. A standard is presumed to have
 been consistently applied unless there is
 evidence to the contrary. The preamble
 to the proposed NCP explained that
 consistency of application may be
 demonstrated by the similarity of sites
 or response circumstances, the
 proportion of noncompliance cases,
 reasons for noncompliance, and
 intentions to apply future requirements.
 Intent can be demonstrated by policy
 statements, legislative history, site
 remedial planning documents, or state
responses to federal-lead sites({53 FR
.'51440J.
  Response to comments: Several
commenters disagreed with EPA's
position that potential state ARARs will
be considered to have been consistently
applied in the past unless evidence
exists to the contrary. Commenters also
disagreed with EPA's position on state
•.intentions to consistently apply new
.ARARs. Commenters argued that the
statutory language and the legislative
history of CERCLA do not contain any
basis for EPA's position that potential
state ARARs will be presumed to have
been consistently applied unless
evidence exists to the contrary.
  Commenters suggested that EPA
develop a formal procedure to be
followed by states in demonstrating the
consistency of past and future
application of standards. One •
commenter argued that states !should
bear the burden of proof and should be
required to document past applications
of potential ARARs.
  For those ARARs with established
implementation records, commenters
favored a policy by which  consistent
application would be based on
documented evidence supplied by the
states. One commenter suggested that
states be required to provide a  list of
enforcement actions as evidence in
demonstrating consistent application.
Another commenter favored the
publication of all legally applicable state
ARARs in a publicly available
document, with appropriate review and
comment periods.           :
   For new ARARs without sufficient
records of application, one commenter
suggested that states should be required
to develop an implementation plan for
the new ARAR and demonstrate that
sufficient funds exist to carry out the
plan. Additionally, this commenter
proposed that PRPs should have the
opportunity to forego compliance with
an ARAR if a state does not Implement
 the  ARAR in accordance with
 announced intentions. Another
 commenter suggested that state
 intentions to consistently implement an
 ARAR be recorded in an official record.
   In response, the proposed NCP did not
 contain a specific procedure to be
 followed by states in demonstrating
 consistent application of state
 standards. Rather, the preamble
 describes what information can be
 submitted for EPA review when the
 consistency of application of a
 particular requirement is questioned.
   A standard is presumed to.have been
 consistently applied unless EPA
 questions that conclusion or requests
 additional information to substantiate
 the conclusion. EPA continues to believe
that it is proper to presume that a state
has consistently applied (or in the case
of a newly adopted standard "intends to
consistently apply") a standard unless
there is reason to believe otherwise.
CERCLA section 121(f)(4) is written such
that this waiver may be invoked when
the President finds that a state
requirement is inconsistently applied.
CERCLA does not require states to
demonstrate consistent application in
order for a requirement to be considered
an ARAR. Also, imposing an up-front
formal procedure on states for
demonstrating consistent application
would impose a heavy administrative
burden. A special implementation plan
for newly-promulgated requirements is
likewise not required by statute and
would be unnecessarily burdensome on
states. States have the option of
providing evidence of consistent
application if EPA is considering
waiving a standard. In such a case, the
type of evidentiary showings suggested
by commenters may be appropriate.
  Final rale: EPA is promulgating the
rule as proposed.
  Name: Section 300.430(fJ(a)(ii}(C)(e).
Fund-balancing.
  Proposed rule: The proposed section
is based on CERCLA section
121(d)(4)(F), which states that this
waiver may be used for Fund-financed
actions under CERCLA section 104 only.
The proposal stated that an alternative
may be selected that does not attain all
ARARs when EPA determines that the
ARAR-compliant alternative will not
provide a balance between the need for
protection of human health and the
 environment at the site and the
 availability of Fund monies to respond
 to other sites that may present a threat
 to human health and the environment.
 Further conditions for using this waiver
 were explained in the preamble to the
 proposed NCP (53 FR 51440).
'  The preamble solicited comment on
 EPA's intention to establish a dollar
 threshold and specific criteria for
 routinely invoking this waiver. The
 threshold would be based on an amount
 significantly higher than the average
 cost of remediating sites with problems
 similar to those at the site under
 consideration, e.g., the cost of
 addressing large municipal landfills.
   Response to comments: Many of the
 comments received on establishing a
 dollar threshold were opposed to it,
 generally because such a threshold
 would be arbitrary. One commenter
 argued that a site cleanup should not be
 compromised because of a possible
 future funding shortage elsewhere.
 Other commenters noted that the

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 8750      Federal Register / Vol. 55. No. 46 / Thursday. March 8, 1990 / Rules and Regulations
 amount of money in the Fund is in a
 steady state of flux and that a fixed
 dollar threshold would not recognize the
 dynamic nature of the Superfund
 program (e.g., PRP-fmanced responses
 may have an impact on the Fund.)
 Establishing an arbitrary dollar
 threshold is not the proper methodology
 for this waiver, asserted one commenter.
 Rather, if an alternative would not
 attain an ARAR, yet would still fall
 within the acceptable, risk range, then it
 would warrant selection. Another
 commenter disagreed with a threshold
 amount and advised EPA to focus on
 minimizing Fund-financed cleanups
 rather than raising the specter of a lower
 nationwide level of cleanup effort'
 because the Fund may be depleted.
  Some commenters supported
 establishing a dollar threshold. One
 commenter suggested a threshold of 15
 percent over the average cost of
 remediation at similar types of
 Superfund sites. Another stated that a
 threshold addresses the realities of a
 limited pot of money for the national
 remediation effort This commenter
 recommended calculating the average
 remedial cost for specific types of sites
 over 5 years. Such information would be
 updated periodically to account for
 inflation and increased costs of
 treatment and new technologies.
 Thresholds could be set at one standard
 deviation above the mean. Another
 commenter appeared to support the
 threshold but stated that Congress
 intended that this waiver be used only
 in extraordinary circumstances where
 the Fund resources may be seriously
 depleted. This commenter argued that
 exceeding a dollar threshold should
 result in only an examination of the
 waiver, not a presumption to invoke the
 waiver.
  In response, the reason for having a
 Fund-balancing waiver is to ensure that
 EPA's ability to carry out a
 comprehensive national response
 program is not compromised by the
 expenditure of the Fund at a single site.
 EPA has decided to establish a policy to
 routinely consider—not necessarily
 invoke—the Fund-balancing waiver at a
 threshold point. EPA will use this
 threshold as a guideline, rather than a
requirement, because of the dynamic
 nature of both the program and of the
 amount of funds annually appropriated
 to the program by Congress. EPA
believes that it is appropriate to
 consider the Fund-balancing waiver for
unusual, very costly cases. EPA believes
 that when a single action would be four
 times the cost of an average operable
unit, it could compromise EPA's ability
to conduct actions at other sites.
 Therefore, EPA has decided that the
 lead agency should routinely consider
 the Fund-balancing waiver when the
 cost of a remedy attaining an ARAR is
 four times the current average cost of an
 operable unit. EPA also reserves the
 right to invoke the waiver in specific
 situations when the cost of the remedy
 is expected to fall below the threshold
 and EPA determines that the single site
 expenditure would place a
 disproportionate burden on the Fund.
  In response to comments on use of
 this waiver by federal agencies other
 than EPA and by PRPs. EPA notes that
 CERCLA section 121(d)(4)(F) clearly
 restricts use of this waiver to response
 actions conducted under CERCLA
 section 104 using the Fund, i-e., financed
 by the Hazardous Substance Superfund.
 Therefore, this waiver is unavailable for
 other federal agencies.
  Final rule: EPA is promulgating the
 rule as proposed.
  Name: Section 300.430(e)(2)(i)(B). Use
 of maximum contaminant level goals for
 ground-water cleanups.
  Proposed rule: CERCLA section 121(d)
 states that a remedial action will attain
 a level or standard of control
 established under the Safe Drinking
 Water Act (SDWA), among other
 statutes, where such level or control is
 applicable or relevant and appropriate
 to any hazardous substance, pollutant or
 contaminant that will remain on-site.
 The  enforceable standards under the
 SDWA are maximum contaminant
 levels {MCLs) which represent the
 maximum permissible level of a
 contaminant which is delivered to any
 user of a public water system. Section
 121{d) also states that remedial actions
 shall attain maximum contaminant level
 goals (MCLGs) where such goals are
 relevant and appropriate to the
 circumstances of She release.
  Proposed | 300.430{e)(2)(i)(B) reflected
EPA's determination that MCLs
generally shall be considered relevant
 and appropriate standards when
 determining acceptable exposure for
ground water and surface water that is a
 current or potential source of drinking
water. This section also stated that in
cases involving multiple contaminants
or pathways where the risk is in excess
of 10"*, MCLGs may be considered
•when determining acceptable exposures.
  An MCLG is a health-based goal set
at a level at which no adverse health
effects may arise, with a margin of
safety. An MCL is required to be set as
close as feasible to its respective MCLG,
taking into consideration the best
technology, treatment techniques, and
other factors (including cost). MCLs for
noncarcinogens are nearly always set at
 MCLGs,. Many MCLGs for carcinogens,
 however, are set at zero. MCLs for
 carcinogens are set above zero.
   In the preamble to the proposed rule
 (53 FR 51441-42), EPA explained that
 MCLs rather than MCLGs generally are
 relevant and appropriate to the cleanup
 of ground water that is or may be used
 for drinking because MCLs are the
 enforceable standards under the Safe
 Drinking Water Act (SDWA), the MCLs
 for carcinogens are within EPA's
 acceptable risk range, and MCLs are
 protective. MCLs represent the level of  .
 water quality that EPA believes is
 acceptable for over ZOO million
 Americans to consume every day from
 public drinking  water supplies. EPA
 decided that Superfund cleanup of
 drinking water should use the same
 standards as EPA's drinking water
 program.
   Since MCLs are usually only legally
 applicable under the SDWA to the
 quality of drinking water at the tap,
 there will be few instances in which
 MCLs are applicable to cleanup of
 ground water at a Superfund site. For
 this reason, MCLs are generally
 considered "relevant and appropriate"
 to ground water that is or may be used
 for drinking. The preamble to the
 proposed rale further explained that
 MCLGs may be relevant and
 appropriate where the risk posed by
 multiple contaminants or pathways was
 in excess of 10~4 (53 FR 51441).
  Response to comments: The majority
 of commenters supported the proposed
 NCP's policy on the use of MCLs rather
 than MCLGs as  generally relevant and
 appropriate standards. Many of these
 commenters argued that MCLs should
 generally be the cleanup standard
 because they are protective of human
 health and the environment, are
 generally set at  practical limits of
 detection, fall within EPA's acceptable
 risk range, and are the enforceable
 standards under the Safe Drinking
 Water Act and other environmental
 programs, e.g., MCLs are used as
ground-water protection standards
 under RCRA.
  Some agreed with EPA that it makes
little sense to require MCLGs because
 the result would be that the water
 around Superfund sites would be
 cleaner than the water used for drinking.
 Others argued that requiring MCLGs
would undermine SDWA's use of MCLs
as enforceable drinking water
standards. Commenters argued that
MCLGs for ground-water cleanups equal
 to zero are unattainable and not
detectable, primarily because no
adequate; technologies are presently
available. A commenter further stated

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            Federal Register / Vol. 55,  No. 46 / Thursday, March 8,  1990 / Rules and Regulations      8751
that the purpose of MCLGs is not to
establish cleanup levels and that
MCLGs have no relationship to the
circumstances at a Superfund site.
Another conunenter argued that cleanup
standards other than MCLs are often
impractical to measure.
  Commenters also observed that
cleanup levels determined by MCLGs
may not be attainable. One commenter
argued that limitations in cleanup
techniques and analytical methodology
would make it impossible to achieve
MCLGs. waivers would have to be used.
and remediation schemes would become
needlessly complex and prolonged.
Some commenters agreed with EPA's
statement that CERCLA does not require
EPA to eliminate all risks.
  One commenter noted that MCLs for
carcinogens are all within EPA's
acceptable risk range. A commenter
further stated that the use of MCLGs is
inconsistent with the requirement that
additive risks not exceed 10~4. This
commenter argued that because MCLGs
represent zero  risk, the use of MCLGs
undermines EPA's risk assessment
policy.
  Other comments appeared to
generally support the use of MCLs but
advised that MCLs should not be used in
certain situations. A commenter
cautioned that EPA must assure that
technical problems with measuring
compliance are resolved. Also, this
commenter argued that MCLs must be
applied with flexibility because they
may be overly  conservative. Another
conunenter stated that MCLs should not
be used where aquifers are not likely to
be employed as drinking water sources
or where MCLs may be technically
unachievable.
  Other commenters generally
supported EPA's proposal but disagreed
that MCLGs should ever be used for
multiple contaminant or pathway
situations posing risk in excess of 10"4.
Another commenter contended that
MCLs provide adequate protection in
most cases of potential multiple
exposure.
  Several  of the comments opposed to
the proposal argued that the MCL policy
is in direct conflict with the statutory
language. These commenters contend
that MCLs are not sufficiently protective
of human health because cost and
technical feasibility factors are
considered when developing MCLs and
that cost considerations cannot be
considered until health standards are
determined. Some argued that cleanup
levels should be based on either MCLGs
or health-based standards.
  One commenter argued that it is
inappropriate for Superfund to use
MCLs because the technologies
available for Superfund cleanups are

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              Federal Register  / Vol. 55. No. 46 / Thursday. March 8.  1990 / Rules .and Regulations
  appropriate to the circumstances of a
  release. NCP § 300.400{g)(2)(i)."
    The purpose of MCLGs under the
  SDWA is to set goals for both
  carcinogens and noncarcinogens, at a
  level at which "no adverse or
  anticipated effects on the health of
  persons occur and which allow an
  adequate margin of safety." SDWA
  section 1412(b){I)(B). See also House
  Report No. 1185.93rd Cong., 2d Sess. at
  20 (July 10.1974). The MCLGs are the
  basis from which legally enforceable
  MCL standards are set; MCLs are
  designed to come as  close as feasible to
  the respective MCLG. taking into
  account the best technology, treatment
  techniques and other factors (including
  cost). SDWA section 1412{b)(3); 50 FR
 46881 (Nov. 13.1985). As explained in
 the House debate on the SDWA:
   The Administrator will have to make two
 judgment!. He will have to determine what
 the health go*]—recommended maximum
 contaminant level [now known as the
 MCLG)—should be. If there is no known safe
 threshold, the recommended level should be
 set at zero. But this is not a requirement
 which Is enforceable against public water
 systems,
 120 Cong. Rec. 36366-36403 (statement of
 Cong. Rogers) (daily ed., Nov. 19.1974),
 reprinted in  Senate Committee on
 Environment and Public Works. 97th
 Cong., 2d Sess.. A Legislative History of
 the Safe Drinking Water Act at 652
 (Comm. Print 1982) (emphasis added).
   EPA establishes MCLGs under SDWA
 at threshold  levels—with a margin of
 safety—for non-carcinogens, and at a
 zero level for carcinogens where the
 threshold level is not  known. Congress
 must be assumed to have been aware of
 this distinction when  it required
 CERCLA remedies to  use only those
 MCLG goals that are relevant  and
 appropriate in setting enforceable
 standards to be attained at a site.
   EPA also believes that MCLGs of zero
 are not appropriate for determining the
 actual cleanup levels  to be attained
 under CERCLA because CERCLA does
 not require the complete elimination of
 risk or of all known or anticipated
 effects; i.e., remedies under CERCLA are
 not required to entirely eliminate
 potential exposure to  carcinogens.
 CERCLA section 121 does direct, among
 other requirements, that remedies
 protect human health  and the
 environment, be permanent to the
 maximum extent practicable and be
 cost-effective. Remedies at Superfund
  sites comply with these statutory
  mandates when the amount of exposure
  is reduced so that the risk posed by
  contaminants is very smalt i.e., at an
  acceptable level. EPA's risk range of
  10~4 to 10~* represents EPA's opinion on
  what are generally acceptable levels. A
  contaminant level of zero, and the
  corresponding "no risk" level, are not
  consistent with the cleanup objectives of
  the CERCLA program. (Note that EPA  •"
  has determined that MCLs for
  carcinogens protect human health
  because they generally fall within this
  acceptable risk range. See 54 FR 22093-
  S4 (May 22,1989); 52 FR 25700-01 (July 8,
  1987).)
   Another reason that EPA believes that
  an MCLG of zero is not "appropriate" is
 that it is impossible to detect whether
 "true" zero has actually been attained.
 EPA discussed the scientific difficulty in
 demonstrating zero contaminant levels
 during the 1985 rulemaking on MCLGs:
   EPA has emphasized in the rulemaking that
 zero is not a measurable level in scientific
 terms and will continue to emphasize that
 point to the public. That zero is-not
 measurable or attainable is irrelevant to the
 purpose of setting RMCLs which is to set a
 beajth goal to prevent adverse effects with a
 margin of safety.
 50 ER at 46884,46896 (Nov. 13.1985)
 (emphasis added).18 EPA's experience
 and judgment is that determining that
 contaminant levels have been reduced
 to zero cannot be achieved in practice.
 and none of the many public comments
 on this issue provided evidence to the
 contrary. ARARs must be measurable
 and attainable since their purpose is to
 set a standard that an actual remedy
 will attain.
   EPA's interpretation gives effect to
 another important mandate in CERCLA
 section 121. In addition to requiring EPA
 to attain MCLGs where relevant and
 appropriate, the statute directs EPA to
 require  levels that attain the
 "requirements" under federal
 environmental laws, including the
 SDWA, where legally applicable or
 relevant and appropriate (section
 121(d)(2J(A)). MCLs are the legally
 enforceable requirements under the
 SDWA. Thus, section 121 appears to
 require EPA to attain both MCLs and
 MCLGs, where applicable or relevant
 and appropriate, at CERCLA sites.
 EPA's policy gives effect to these two
  " Similarly, the statute cites the "purpose for
which criteria were developed" «s a principal factor
to consider in deciding whether water quality
criteria under the CWA are "relevant and
appropriate under the circumstances of the release."
See CERCLA section 121(d)(2](B)(i).
  " See also 49 FR 2«47 flune 12.1984) (emphasis
added): "Due to limitations in analytical techniques.
it will always be impossible to aay with certainty
that the substance ii not present. In theory. RMCLs
at zero will always be unachievable (or at least not
demonstrable}. While zero could be the theoretical
Coal for carcinogens in drinking water, in practice, a
goal of achieving the analytical detection limits for
specific carcinogens would have to be followed."
  provisions by identifying the conditions
  under which either the MCLG or the
  MCL is the potential relevant and
  appropriate requirement
   EPA's determination that MCLGs
  equal to zero are not relevant and
  appropriate requirements is also
  consistent with CERCLA section
  121(d)(4)(C), which establishes technical
  impracticability as a basis for waiving a
  requirement'that would otherwise be
  applicable or relevant and appropriate.
  This waiver provision indicates that
  Congress did not intend standards to be
  attained if they are impracticable to
  meet under the circumstances of a
  specific release. EPA has determined
  that MCLGs equal to zero are not
 relevant end appropriate because
 whether that level has been attained
 cannot be verified under the
 circumstances of any release.
   Alternatively, EPA could have
 assumed 1faat all MCLGs (including
 those of zero) are relevant and
 appropriate requirements, and then used
 the waiver provision in CERCLA section
 121(d)(4)(C) at every site where the issue
 arises. However, this would result in
 needlessly complex and prolonged
 procedures, as one of the other
 commenters noted." Moreover, EPA
 believes the better approach is to
 resolve this issue as a matter of
 interpretation in its national rulemaking
 under CERCLA.
   Other issues were raised by
 commenters, such as determining where
 in the ground water MCLs should be
 attained, determining which ground
 waters are! or may be used for drinking,
 setting cleanup standards for several
 chemicals in an aquifer, and determining
 reasonable timeframes for ground water
 cleanups. These issues are addressed
 elsewhere in today's preamble.
   Final rule: For the reasons discussed
 above. EPA is amending
 § 300.430(e)(2)(i) (B) through (D) of the
 final rule to provide as follows:
  (B) Maximum contaminant levels goals
 (MCLGs}, established under the Safe
 Drinking Water Act, that are set at levels
 above zero, shall be attained by remedial
 actions for {round or surface waters that are
 current or potential sources of drinking
 water, where the MCLGs are relevant and
 appropriate under the circumstances of the
 release based on the factors in § 300.400fe)(2).
 If an MCLG is determined not to be relevant
 and appropriate, the corresponding maximum
contaminant level (MCL) shall be attained
  " Note, however, that the site-specific waivers in
CERCLA section 121(d}{4) may still be appropriately
considered under this rule in cases where a
standard (such as an MCL or an MCLG) a identified
as a relevant or appropriate requirement.

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            Federal Register / Vol. 55. No. 46 / Thursday, March 8,  1990 / Rules and Regulations
                                                                                                              8753
where relevant and appropriate to the
circumstances of the release.
  {C} Where the MCLG for a contaminant
has been set at a level of zero, the MCL
promulgated for thai contaminant under the
Safe Drinking Water Act shall be attained by
remedial actions for ground or surface waters
that are current or potential sources.of
drinking water, where the MCL is relevant
and appropriate under the circumstances of
the release based on the factors in
f 300.400(g)(2).
  (D) In cases involving multiple
contaminants or pathways where attainment
of chemical-specific ARARs will result in
cumulative risk in excess of 10~4. criteria in
paragraph (e){2)p)(A3 of this section may also
be considered when determining the cleanup
level to be attained.
  Name: Section 300.430(f)(5)(iii](A).
Location of point of compliance for
ground-water cleanup standards.
  Proposed rule: Section
300.430(e)(2Hi)(B) specified the
standards that shall generally be
considered relevant and  appropriate
when determining acceptable exposure
levels for ground water or surface water
that is a current or potential source of
drinking water.  Proposed
§ 300.430{fK4)(iii)(A) (renumbered as
final | 300.430(f](5)(iii)(A]} states that
performance shall be measured at  .
appropriate locations in the ground
water, etc. The preamble to the
proposed rule explained  that for ground
water, remediation levels should
generally be attained throughout the
contaminated plume, or at and beyond
the edge of the waste management area
when waste is left in place (53 FR
51426). (The preamble also discussed
points of compliance for other media
(Id.); see today's preamble to
§ 300.430(e), "Feasibility.study. 1.
Remedial action objectives and
remediation goals," for discussion  of
these other points of compliance.)
  Response to comments: Several
commenters essentially supported the
proposed policy regarding point of
compliance, but emphasized that the
ground-water classification scheme
should not be used to delay cleanup or
to "write-off aquifers.
   Several other commejiters opposed
the proposal that cleanup standards,
specifically MCLs or MCLGs, should be
met throughout the ground water. Most
proposed alternatively that the
standards be met only at the tap or
other realistic point of use, based on a
site-specific exposure or risk
assessment, and that higher levels be
allowed in the ground water, especially
immediately downgradient from a waste
management area, to take into account
natural attenuation. Some proposed that
compliance should be at the facility
property boundary, or beyond if
exposure is precluded under CERCLA
alternate concentration limits. One
commenter argued that point of
compliance is a site-specific, case-by-
case determination that should not be
iipecified in the preamble, while another
nought the same level of flexibility for
j;round-water contamination cleanup as
there is for contaminant source areas.
  These commenters fell that if
compliance is not linked to actual or
realistic future exposure, the resulting
cleanups would be unnecessary or not
<»st-effective. They also maintained that
using actual or likely points of exposure
would be more appropriate to ensure
that actual drinking water meets
ntandards. Also, they argued that the
proposed point of compliance violates
the intent of "relevant and appropriate"
in that it is inconsistent 'with and more
stringent than the compliance point
under SDWA itself, which is at the tap.
  EPA disagrees fundamentally with
1hese commenters. MCLs, which are
enforceable drinking water standards,
iuid MCLGs above zero, are indeed
relevant in considering cleanup levels
I'or water that is or may be used for
lirinking. Although SDWA does not
focus on general ground-water
contamination, EPA believes that the
MCL standards and non-zero MCLGs
promulgated  under SDWA are
potentially relevant and appropriate to
jjround-water contamination. CERCLA
nets out a mandate for remedies that are
protective of use of ground water by
private or public users. For example,
isection 104(c)(6) reflects Congress's
expectation that ground water ishould be
restored to protective levels. If ground
water can be used for drinking water,
CERCLA remedies should, where
practicable, restore the ground water to
isuch levels. Such restoration may be
achieved by attaining MCLs or non-zero
MCLGs in the ground water itself,
(excluding the area underneath any
waste left in place. Thus, these
standards and goals may appropriately
'be  used as cleanup levels in the ground
water as well as for the delivery of
drinking water by public water systems.
  Furthermore, as stated in the
preamble to the proposed rule, "EPA's
policy is to attain ARARs *  * * so as
to ensure protection at all points of
potential exposure" (53 FR 51440). Under
the approach proposed by many of these
commenters—meeting standards only at
the tap—most ground water would not
be restored or remediated, since meeting
standards through wellhead treatment
could conceivably always be substituted
for restoration of the ground water itself.
This approach, however, would not
protect many potential future users,
particularly those with private wells.
who may be unaware of the need to
treat the contaminated ground water
before using it for drinking water.
Moreover, this approach depends
entirely on institutional controls, which
should not be used as the primary
remedy when more active remediation
measures, which provide greater
reliability in the long term, are
practicable.
  Using the facility property boundary
as a point of compliance for MCLs, non-
zero MCLGs, or alternate concentration
limits raises similar problems. At many
CERCLA sites, the concept of a facility
property boundary is not meaningful
because a facility is not in operation
(CERCLA defines the concept in terms
of an area where contamination has
come to be located). Also, allowing
higher ACLs to be set at the boundary in
the hope that MCLs or non-zero MCLGs
will be achieved at a downgradient well
through attenuation does not meet the
statutory prerequisites for ACLs in
CERCLA section 121(d)(2)(B)(ii), which
requires (among other things) surface
discharge of the ground water and
enforceable means of protecting against
use of the contaminated ground water.
   One commenter objected that the
proposed policy was vague and failed to
give criteria for determining point of
compliance. The commenter specifically
cited the word "generally" in the policy
as a source of confusion. EPA believes
that the policy as reiterated above gives
clear direction, considering that there
will be situations, such as where
waivers are needed, where cleanup
levels cannot be attained throughout the
plume.
   EPA believes that remediation levels
should generally be attained  throughout
the contaminated plume, or at and
beyond the edge of the  waste
management area, when the waste is
left in place. However, EPA
acknowledges that an alternative point
of compliance may also be protective of
public health  and the environment under
site-specific circumstances.
   In particular, there may be certain
circumstances where a plume of ground
water contamination is caused by
releases from several distinct sources
that are in close geographical proximity.
In such cases, the most feasible and
effective ground-water cleanup strategy
may be to address the problem as a
whole, rather than source-by-source,
and to draw the point of compliance to
encompass the sources of release. In
determining where to draw the point of
compliance in such situations, the lead
agency will consider factors  such as the
proximity of the sources, the technical
practicability of ground-water

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Federal Register / Vol. 55, No. 46 / Thursday, March 8, 1990 / Rules and .Regulations
 remediation at that specific site, the
 vulnerability of the ground water and its
 possible uses, exposure and likelihood
 of exposure and similar considerations.
 Additional guidance on dealing with
 remote sites is provided in the preamble
 section above on ground-water policy.
   Final rule: EPA is promulgating in
 final § 300.430(fJ(5)(mlCA) the statement
 on points of compliance ("performance
 shall be measured at appropriate
 locations in the ground water, * *  *"}
 that was in proposed
 § 300.430(fK4)(Sii){A).
   Name: Section 300.430(e)(2)(i)(F). Use
 of alternate concentration limits (ACLs).
   Proposedru/a-The preamble to the
 proposed NCP (53 FR 51434) discussed
 conditions under which alternate
 concentration limits (ACLs) specified
 under CERCLA may be used as cleanup
 standards. The preamble explained that
 CERCLA ACLs may be used if the
 conditions of CERCLA section
 121(d)(2)(B)(ii) are met and cleanup to
 MCLs or other protective levels is not
 practicable,
   Response to comments: Several
 comments were made on the proposed
 preamble section explaining the use of
 CERCLA ACLs. Some commenters
 supported the proposed use of ACLs as
 is: others suggested that EPA should do
 more to emphasize their utility,
 particularly within a facility, and one
 commenter maintained that ACLs
 should not be less stringent than other
 standards.
   In support of the proposal, one
 commenter pointed out that use of
 institutional controls and ACLs are
 appropriate for the same reason, that is.
 when use of treatment  to attain drinking
 water standards is not practicable.
 Other commenters noted that ACLs
 provide desirable flexibility and are
 already well established under the
 RCRA program. One commenter pointed
 out that use of an ACL at a site should
not require a new risk assessment in
 addition to that done during the RI/FS.
  Some commenters suggested ways to
 expand the use of ACLs at CERCLA  .
 cleanups. One commenter wanted EPA
 to include the use of ACLs in the NCP's
 regulatory language. Another
 commenter, noting that Congress's
 concern was primarily with use of ACLs
 for exposure points outside a facility.
 suggested that ACLs could be expected
 to have great utility within the
 boundaries of a CERCLA facility: they
could be granted when contaminants in
ground water will attenuate to ARAR-
 compliant levels at the leading edge of
the plume. With this in mind the
commenter suggested that ACLs should
be an intrinsic consideration in the
                          initial step of ARARs identification. In a
                          similar vein another commenter
                          suggested that the facility boundary
                          should be defined to include the area
                          covered by institutional controls for the
                          purpose of the statutory criteria and for
                          defining the point of exposure.
                            •EPA disagrees generally with those
                          commenters who would extend the use
                          of CERCLA ACLs set above drinking
                          •water standards to areas within the
                          facility boundary or areas covered by
                          institutional controls. EPA interprets the
                          CERCLA section on ACLs not as an
                          entitlement but rather as a  limitation on
                          the use of levels in excess of standards
                          that would otherwise be appropriate for
                          a site. Although the limitation refers
                          only to areas outside the facility
                          boundary, EPA maintains that the same
                          principle holds within the boundary (to
                          the edge of any waste management area
                          left at the site), namely, that such ACLs
                          should only be used when active
                          restoration of the ground water to MCLs
                          or non-zero MCLGs is not practicable.
                          Clearly, the availability of institutional
                          controls in itself is not sufficient reason
                          to extend the allowance for levels above
                          drinking water standards or non-zero
                          goals: rather, as discussed elsewhere in
                          the preamble, institutional controls are
                          considered as the sole remedy only
                          where active remediation is not
                          'practicable.
                            EPA also disagrees with a commenter
                         . who asserted that ACLs cannot be less
                          stringent than state or tribal ARARs or
                          MCLGs. There is clearly no. point to the
                          ACL described in CERCLA  unless it is
                          above the standard normally applied to
                          ground water of a given class. EPA does,
                          however, believe that the policy
                          described above should mitigate the
                          commenter's fears that ground water
                          will be sacrificed.
                            These comments suggest some
                          confusion as to when MCLs or MCLGs
                          need to be waived under CERCLA
                          section I21(d)(4). EPA's policy is that
                          MCLs or MCLGs above zero should
                          generally be the relevant and
                          appropriate requirement for ground
                          water that is or may be used for
                          drinking, and that a waiver  is generally
                          needed in situations where a relevant
                          and appropriate MCL or non-zero MCLG
                          cannot be attained. If, however, a
                          situation fulfills the CERCLA statutory
                          criteria for ACLs, including  a finding
                          that active restoration of the
                          groundwater to MCLs or non-zero
                          MCLGs is deemed not to be practicable,
                          documentation of these conditions for
                          the ACL is sufficient and additional
                          documentation of a waiver of the MCL
                          or MCLG is not necessary.
                            In determining that a CERCLA ACL
                          may be used outside the facility
 boundary, the risk assessment and other
 analysis conducted in the RI/FS
 generally should provide the information
 required for the documentation that the
• statutory criteria and other guidelines
 given above are satisfied. EPA has
 added a reference to use of ACLs as
 prescribed in CERCLA in
 § 300.430{es)(2)(i)(F).
   Hno/ra/erEPA has added a
 § 300.430(e)(2)(i)(F) to the rule to
 reference lie language in CERCLA
 section 12-A(d)(2)(B)(U) on alternate
 concentration limits.

   Name: Section 300.430(e)(2). Use of
 federal water quality criteria (FWQC).
   Proposed rule: The preamble to the
 proposed rule discussed when federal
 water quality criteria are likely to be
 relevant and appropriate (53 FR 51442).
 EPA stated that a FWQC, or a
 component of a FWQC, may be relevant
 and appropriate when the FWQC is
 intended to protect the uses designated
 for the water body at the site, or when
 the exposures for which the FWQC are
 protective are likely to occur. In
 addition, whether a FWQC is relevant
 and appropriate depends on the
 availability of standards, such as an
 MCL or state water quality standard.
 specific for the constituent and use. In
 particular, when a promulgated MCL
 exists, an JWQC would not be relevant
 and appropriate for a current or
 potential drinking water supply.
   Response to comments: One
 commenter opposed EPA's policy on the
 relevance and appropriateness of
 federal water quality criteria (FWQC)
 for current or potential drinking water
 sources when both FWQC  and MCLs
 are available for a contaminant. The
 commenter stated that the test for
 relevance and appropriateness of an
 FWQC was whether it is protective of
 humans or aquatic organisms and
 whether that kind of exposure is an
 issue at the; site. The commenter
 maintained that if an FWQC is more
 stringent than an MCL, the FWQC
 should apply, consistent with the policy
 that the most stringent ARAR must be
 complied with.
   In response, FWQC are to be attained
 "where relevant and appropriate under
 the circumstances of the release or
 threatened release," as provided in
 CERCLA section 121(d)(2)(B). Final rule
 § 300.430(e)(2)(i)(E) reflects this fact
 However, 12PA believes that at many
 sites. FWQC will not be  both relevant
 and appropriate in light of other
 potential ARARs.
   EPA agrees with the commenter that
 the more stringent ARAR should
 generally be attained, especially in. the

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             Federal Register / Vol. 55. No. 46  / Thursday,  March 8,  1990 / Rules  and Regulations      8755
 case of "applicable" requirements.
 However, the determination of whether
 a requirement is relevant and
 appropriate is not based on its
 stringency; rather, other criteria are
 used, as discussed in the section on
 relevance and appropriateness, and the
 remedy must comply with the most
 stringent requirement determined to be
 ARAR. EPA also believes that in some
 situations, the availability of certain.
 requirements that more fully match the
 circumstances of the site may result in a
 decision that another requirement is not
 relevant and appropriate. EPA believes
 that one such situation is when an MCL
 or non-zero MCLG and an FWQC for
 human health are available for the same
 contaminant when a current or potential
 source of drinking water is of concern,
 and there are no impacts to aquatic
 organisms.
   As discussed in this preamble, EPA
 believes that an MCL or non-zero MCLG
 is generally the relevant and appropriate
 requirement for ground water that is a
 current or potential source of drinking
 water. EPA also believes that an MCL or
 non-zero MCLG, promulgated
 specifically to protect drinking water,
 generally is the appropriate standard for
 ground water even if an FWQC for
 human health is also available for the
 contaminant, for the following reasons.
   CERCLA section 121[d)(2](B)(y lists.
 among other factors, the purpose for
 which the criteria were developed and
 the designated or potential use of the
 water as factors in determining whether
 FWQC are relevant and appropriate.
 Since FWQC for human health are
 promulgated for exposures that include
 drinking water and consuming fish, on
 the one hand, and consuming fish only.
 on the other, it is not directly the
 purpose of such criteria to provide
 drinking water standards per se,
 although levels that protect such a use
 can be mathematically derived from
 these two values. Furthermore, such
 derived values for drinking water will
 not reflect the contribution of  other
 sources (through an apportionment
 factor), as MCLs and MCLGs do! Finally,
 for carcinogens FWQC are
 recommended at zero, although values
 corresponding to risks of 10~6.10"*, and
 10~* are also given. For the reasons
 given in the discussion of MCLs and
 MCLGs above, the zero value  is not
 considered relevant and appropriate
under CERCLA; MCLs. however,
represent a level determined to be both
protective of human health for drinking
water and attainable by treatment.
  For the same reasons. EPA believes
 that MCLs or non-zero MCLGs generally
will be the relevant and appropriate
 standards for surface water designated
 as a drinking water supply, unless the
 state has promulgated water quality
 standards (WQSJ for the water body
 that reflect the specific conditions of the
 water body. However, surface water
 bodies may be designated for uses other
 than drinking water supply, and
 therefore an FWQC intended to be
 protective of such uses, such as the
 FWQCior consumption offish Or for
 protection of aquatic life, may very well
 be relevant and appropriate in such
 raises. Also, where a contaminant does
 not have an MCL or MCLG, FWCJC
 adjusted to reflect drinking water use
 may be used as relevant and
 appropriate requirements.
  Final rule:'SPA is including in the
 filial rule at § 300.430(e)(2)(i)[E)
 language stating that FWQC are to be
 attained where relevant and appropriate
 under the circumstances of the release
 or threatened release.
  Name: Section 300.435(b}(2).
 Compliance with applicable or relevant
 and appropriate requirements {ARARs)
 during the remedial action.
  Proposed rule: CERCLA section 121
 requires that, at the completion of a
 remedial action, a level or standard of
 control required by an ARAR will be
 attained for wastes that remain on-site.
 However, consistent with the 19,85 NCP
 (§ 300.68{i). I 300.435(b)) of the proposed
 NCP also required compliance with
 AKARs during implementation of the
 action, stating that during the course of
 the remedial design/remedial action
 (RD/RA).  the lead agency shall be
 responsible for ensuring that all federal
 and state ARARs identified for the
 action are being met. unless a waiver is
 invoked. Examples of such requirements
 given in the preamble to the proposed
 rule included RCRA treatment, storage,
 and disposal requirements. Clean Air
 Act national ambient air quality
 standards, and Clean Water Act effluent
 discharge limitations (53 FR 51440).
  Response to comments: EPA received
 a number of comments that the NCP
 should not require compliance with
 ARARs during the remedial action.
 Commenters argued that this policy is
 inconsistent with the statute, which
 requires compliance with ARARs only
 at the completion of the remedial action.
 and questioned EPA's authority to
 require compliance with ARARs during
remedial design/remedial action.
  Several commenters pointed out that
 CERCLA section 121(d)(l) states that
remedial actions must be protective and
 "must be relevant and appropriate under
 the circumstances," and airgued that this
standard should govern how the action
itself is carried out. Design and '
 operation of the remedial action should
 be based on best professional judgment
 and undertaken in a manner that is
 protective. Other commenters suggested
 requiring compliance only with those
 ARARs that "can reasonably be
 achieved," or listing specific types of
 ARARs that must be met during RD/RA.
   Commenters were particularly
 concerned about problems created by
 requiring compliance with RCRA
 requirements and the land disposal
 restrictions in particular for remedial
 actions.
   EPA disagrees with these
 commenters. EPA believes that it is
 appropriate to require that remedial
 activities comply with the substantive
 requirements of other laws that apply or
 are relevant and appropriate to those
 activities. The reasons for complying
 with such laws during the conduct of the
 remediation are basically the same as
 the reasons for applying ARARs as
 remediation objectives: the laws help
 define how the activity can be carried
 out safely and with proper safeguards to
 protect human health and the
 environment. EPA is concerned that if
 the narrowest possible interpretation
 were applied to ARARs compliance,
 compliance with laws critical to
 protection of health and the
 environment would become subject to
 debate, laws such as those that govern
 surface water discharges or air '
 emissions, or that set operational
 standards for incineration of hazardous
 waste.
  Several commenters also stated that
 chemical-specific ARARs used as
 remediation goals, such as MCLs as
 ARARs for ground.water remediation,
 cannot be attained during
 implementation. EPA wants to clarify
 that it recognizes that ARARs that are
 used to determine final remediation
 levels app]y  only at the completion of
 the action.
  It is worthwhile to point out in the
 context of this policy on complying with
 ARARs pertaining to the remedial
 activity itself, that CERCLA provides a
 waiver from ARARs for interim actions,
provided the final action will attain the
waived standard. If there is doubt about
whether an ARAR represents a final
remediation goal  or an interim standard,
 and it cannot be met during the activity,
this waiver could be invoked.
  Comments were also received on
EPA's discussion of compliance with
ARARs during remedial investigations
in the preamble to the proposed NCP (53
FR 51442-43). hi that discussion, EPA
stated that on-site handling, treatment
or disposal of investigation-derived
waste must satisfy ARARs and that the

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8756       Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules and Regulations
field investigation teams should use best
professional judgment in determining
when such wastes contain hazardous
substances. One commenter
recommended that investigation-derived
samples be required to be handled,
treated, and disposed in accordance
with applicable RCRA requirements.
  In response, EPA wishes to clarity the
discussion in the preamble to the
proposed NCP. CERCLA section 101(23)
defines "removal" to include "such
actions as may be necessary to monitor,
assess, and evaluate the release or
threat of release of hazardous
substances *  *  " [including] action
taken under section 104(b) of
{CERCLA]." EPA has stated, therefore,
that studies and investigations
undertaken pursuant to CERCLA section
104(b), such as activities conducted
during the RI/FS, are considered
removal actions (54 FR13298. March 31,
1989). EPA's policy, explained elsewhere
in today's preamble, is that removal
actions will comply with ARARs to the
extent practicable, considering the
exigencies of the circumstances. Thus,
the field investigation team should.
when handling, treating or disposing of
Investigation-derived waste on-site,
conduct such activities in compliance
with ARARs to the extent practicable,
considering the exigencies of the
situation. Investigation-derived waste
that is transported off-site (e.g.. for
treatability studies or disposal) must
comply with applicable requirements of
the CERCLA off-site policy  (OSWER
Directive No. 9834.11 (November 13,
1987)) and § 300.440 when finalized (see
53 FR 48218, November 29.1988).20 EPA
notes that CERCLA section 104(c)(l)
provides that the statutory limits-on
removals do not apply to investigations,
monitoring, surveying, testing and other
information-gathering performed under
CERCLA section 104(b).
  Finalzute'EPfi. is promulgating  the
rule as proposed except for minor
editing revisions.
  Name: 300.5. Distinction between
substantive and administrative
requirements.
  Proposed ru/a-The proposed
definitions of "applicable" and "relevant
and appropriate" stated that they are
cleanup standards, standards of control,
and other substantive environmental
protection requirements, criteria or
limitations. The preamble to the
proposed rule explained that
requirements that do not in and of
  «BThe CERCLA off-site policy requires that
 receiving hcililkt are in compliance with
 "applicable lawj." Note that many treatabllity itudy
 wanes are exempt irora the permitting requirement
 under RCRA |tee 40 CFR 281.4(e) and (f)J.
themselves define a level or standard of
control are considered administrative
(53 FR 51443). Administrative
requirements include the approval of, or
consultation with, administrative
bodies, issuance of permits,
documentation, and reporting and
recordkeeping. Response actions under
CERCLA are required to comply with
ARARs, which are defined not to
include administrative requirements.
  Response to comments: Many
comments were received on EPA's
differentiation between substantive and
administrative requirements. Some
commenters supported the distinction
between substantive and administrative
requirements. Other commenters   _
disagreed with EPA's interpretation for
various reasons.
  Several commenters argued that
Superfund actions should not be exempt
from consultation requirements. One
commenter argued that consultation
with a state may be necessary to
determine how state ARARs apply to
the remedy. A commenter contended
that it is virtually impossible to meet
substantive requirements without
consultation. One commenter asserted
.that state procedures or methodology
necessary to determine permit levels
should be considered state ARARs.
Another argued that not requiring
consultation runs opposite to the spirit
of cooperation with states. One
' commenter suggested narrowing the
exemption to allow for consultation
through existing Superfund mechanisms
such as consent orders, SMOAs, and
.cooperative agreements.
  Commenters also objected to the
exemption from reporting and
recordkeeping requirements. One
contended that EPA had no legal
authority for such exemption. Others
 argued that reporting and recordkeeping
are necessary to ensure proper control
 of hazardous substances that will
 remain on-site and are also necessary
 for activities with local impacts: Long-
 term water diversions and air or surface
 water releases. Commenters asserted
 that the lead agency must meet reporting
 requirements to avoid gaps in a state's
 environmental data. One commenter
 noted that there are a number of federal
 and state programs 'Jhat require the
 maintenance of complete databases and
 that the NCP's approach is inconsistent
 with such programs. Under these
 programs, a state needs all discharge
 information in order to evaluate surface
 water toxicrity impacts in a stream or to
 establish total maximum daily loads.
   The concern was also raised that
 maintaining reporting and recordkeeping
 procedures on a site-by-site basis would
undermine a state's standardized
reporting requirements, e.g., ground-
water monitoring report forms, NPDES
forms, etc. Also, unique site approaches
to reporting and recordkeeping may
result in problems not detected by a
state. Further, these commenters stated
that they were not aware of Superfund
recordkeepiing and reporting
requirements. One commenter stated
that reporting requirements and
compliance mechanisms during remedy
implementation and O&M periods
should be specified through Superfund
mechanisms, as appropriate. One
commenter contended that if Superfund
insists on tliis distinction, a
determination whether a requirement is
substantive or administrative  must be
documented.
  EPA has reviewed these comments,
but concludes, as stated in the preamble
to the proposed NCP (S3 FR 51443),  that
CERCLA response actions should be
subject only to substantive, not
administrative, requirements. EPA
believes that this interpretation is most
consistent with the terms of CERCLA
and with the goals of the statute. Section
121(d)(2) provides that remedial actions
should require "a level or standard  of
control" wliich attains ARARs: only
substantive standards set levels or
standards of control. Moreover,
Congress made clear in sections 121
(d)(2) and (d)(4) that the "standards" or
"requirements" of other laws  that are
ARARs should be applied to actions
conducted on-site, and specifically
provided in section 121(e)(lJ that federal
and state permits would not be required
for such on-site response actions. These
subsections reflect Congress'  judgment
that CERCLA actions should not be
delayed by time-consuming and
duplicative administrative requirements
such as pennitting, although the
remedies should achieve the substantive
standards of applicable or relevant and
appropriate laws. Indeed, CERCLA has
its own comparable procedures for
remedy selection and state and
community involvement EPA's
approach is wholly consistent with the
overall goal of the Superfund program,
to achieve  expeditious cleanups, and
reflects an understanding of the
uniqueness of the CERCLA program,
which directly impacts more than one
medium (and thus overlaps with a
number of other regulatory and statutory
programs). Accordingly, it would be
inappropriate to formally subject
 CERCLA response actions to the
multitude of administrative
requirements of other federal and state
 offices and agencies.

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            Federal Register / Vol. K>, No. 46 / Thursday. March 8. 1990 / Rules  and Regulations      8757
   At the same time, EPA recognizes the
 benefits of consultation, reporting, etc.
 To some degree, these functions are
 accomplished through the state
 involvement and public participation
 requirements in the NCP. In addition,
 EPA has already strongly recommended
 that its regional offices (and states when
 they are the lead agency) 'establish
 procedures, protocols or memoranda of
 understanding that, while not recreating
 the administrative and procedural
 aspects of a permit, will ensure early
 and continuous consultation and
 coordination with other EPA programs
 and other agencies. CERCLA
 Compliance witb Other Laws Manual,
 OSWER Directive No. 9234.1-01 (August
 8,1988). In working with states, EPA
 generally will coordinate and consult
 with the state Superfund office. That
 state superfund office should distribute
 to or obtain necessary information from
 other state offices interested in activities
 at Superfund sites.
  The basis for this recommendation is
 a recognition that such coordination and
 consultation is often useful to determine
 how substantive requirements
 implemented under other EPA programs
 and by other agencies should be applied
 to a Superfund action. For example,
 although the Superfund office will make
 the final decisions on using ARARs, a
 water office may provide information
 helpful in determining ARARs when a
 surface water discharge is part of the
 Superfund remedy. Such information
 may include surface water
 classifications, existing use
 designations, technology-based
 requirements, and water quality
 standards. A water office may also be
 able to provide advice during the
 detailed analysis of alternatives on the
 effectiveness and implementability of
 treatment alternatives and the likely
 environmental fate and effects of
 surface or ground-water discharges.
 Other offices or agencies with different
 environmental responsibilities may
 similarly provide useful information, if it
 is given in a timely manner.
  EPA also recognizes the importance of
 providing information to other programs
 and agencies that maintain
 environmental data bases. This is
 particularly true where the remedy
 includes releases of substances into the
 air or water and the extent of such
 releases is integral for air and water
 programs to maintain accurate
 information on ambient air and surface
 water quality in order to set statutorily-
 specified standards. Monitoring
 requirements themselves are considered
 substantive requirements and are
necessary in order to document
 attainment of cleanup levels and
 compliance with emission limitations or
 discharge requirements identified as
 ARARs in the decision document. EPA
 strongly encourages its OSCs or RPMs,
 or the agency that is responsible for
 maintaining the operation and
 maintenance of an action (e.g., pump
 and treat system), to provide reports on
 monitoring activities to other offices in a
 form usable to those offices.
   In summary, cleanup standards must
 be complied with; although
 administrative procedures such as
 consultation are not required, 'they
 should be observed when, for example,
 they are useful in determining the
 cleanup standards for a site. EPA
 believes that in order to ensure that
 Superfund actions proceed as rapidly as
 possible it must maintain a distinction
 between substantive and administrative
 requirements.
  Final rule: EPA is promulgating the
 reference to "substantive" in the § 300.5
 definitions of "applicable" and "relevant
 and appropriate" as proposed;
  Name: Section 300.43Q(i)(l)(ii){B).
 Consideration of newly promulgated or
 modified requirements.
  Proposed rule: The preamble to the
 proposed rule discussed how new
 '.requirements or other information
 developed subsequent to the initiation of
 •the remedial action should be addressed
 i[53 FR 51440). It explained that new
requirements or other information
 should be considered as part of the five-
 year review (as provided for in
 § 300.430(f)(3)(v)) (renumbered as final
 | 300.430(f)(5){iii)(C)) to ensure that the
remedial action is still protective of
ihuman health and the environment. That
 is. if a requirement that would be
 applicable or relevant and appropriate
to the remedy is promulgated after the
iinitiation of remedial action, the remedy
will be evaluated in light of the new
requirement to ensure that the remedy is
istill protective.
  Response to comments: Several
eommenters objected to EPA's policy
requiring consideration of new
requirements on the grounds that the
 statute requires the five-year review
only to determine that a remedy is still
protective. These eommenters were
concerned that consideration of new
requirements would require additional
 analysis and perhaps drastic changes in
(design: would impose an open-ended
inability on PRPs; and would violate
PRPs1 right to due process. Two
eommenters suggested that making new
requirements part of a negotiation
process based on a reopener in the
isettlement agreement could alleviate the
 second and third concern.
    Based on the comments and its
  experience in carrying out remedies,
  EPA is modifying its policy on
  considering newly promulgated or
  modified requirements to address those
  requirements that are promulgated or
  modified after the ROD is signed, rather
  than those requirements promulgated or
  modified after the initiation of remedial
  action, as discussed in the proposal.
  Once a ROD is signed and a remedy
  chosen, EPA will not reopen that
  decision  unless the new or modified
  requirement calls into question the
  protectiveness of the selected remedy.
  EPA believes that it is necessary to
  "freeze ARARs" when the ROD is
•  signed rather than at initiation of
  remedial action because continually
  changing remedies to accommodate new
  or modified requirements would, as
  several eommenters noted, disrupt
  CERCLA cleanups, whether the remedy
  is in design, construction, or in remedial
  action. Each of these stages represents
  significant time and financial
  investments in a particular remedy. For
  instance, the design of the remedy
  (treatment plant, landfill, etc.) is based
  on ARARs identified at the signing of
  the ROD. If ARARs were not frozen at
  this point, promulgation of & new or
 modified requirement could result in a
 reconsideration of the remedy and a re-
 start of the lengthy design process, even
 if protectiveness is not compromised.
 This lack of certainty could adversely
 affect the operation, of the CERCLA
 program, would be inconsistent with
 Congress' mandate to expeditiously
 cleanup sites and could adversely affect
 PRP negotiations, as noted by
 commenters. The policy of freezing
 ARARs will help avoid constant
 interruption, re-evaluation, and re-
 design during implementation of
 selected remedies.
   EPA believes that this policy is
 consistent with CERCLA section
 12l(d)(2)(A), which provides that "the
 remedial  action selected * *  * shall
 require, at the completion of the
 remedial  action," attainment of ARARs.
 EPA interprets this language as
 requiring attainment of ARARs
 identified at remedy selection (i.e., those
 identified in the ROD), not those that
 may come into existence by the
 completion of the remedy.*1 Neither the
 explicit statutory language nor the
 legislative history supports a conclusion
 that a ROD may be subject to indefinite
 revision as a result of shifting
  11 No commenten objected to the position in the
 preamble to the proposed rule that CERCLA
 remedial actions should attain ARARs identified at
 the initiation—versus completion—of the action.

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8758       Federal Register / Vol.  55. No. 46 / Thursday. March 8.  1990 / Rules  and Regulations
requirements. Rather, given the need to
ensure finality of remedy selection in
order to achieve expeditious cleanup of
sites, and given the length of time often
required to design, negotiate, and
implement remedial acUons, EPA
believes that this is the most reasonable
interpretation of the statute.
  As EPA discusses elsewhere in this
preamble, one variation to this policy
occurs when a component of the remedy
was not identified when the ROD is
iigned. In that situation, EPA will
comply with ARARs in effect when that
component is identified (e.g., during
remedial design), which could include
requirements promulgated both before
and after the ROD was signed. EPA
cotes that newly promulgated or
modified requirements may directly
apply or be more relevant and
appropriate to certain locations, actions
or contaminants than existing standards
and, thus, may be potential ARARs for
future responses.
  It is important to note that a policy of
freezing ARARs at the time of the ROD
signing will not sacrifice protection of
human health and the environment,
because the remedy will be reviewed for
protectiveness every five years,
considering new or modified
requirements at that point, or more  ,
frequently, if there is reason to believe
that the remedy is no longer protective
of health and environment.
  In response to the specific comments
received, EPA notes that under this
policy, EPA does not intend that a
remedy must be modified solely to
attain a newly promulgated or modified
requirement. Rather, a remedy must be..
modified if necessary to protect human
health and the environment; newly
promulgated or modified requirements
contribute to that evaluation of
protectiveness. For example, a new
requirement for a chemical at a site may
indicate that the cleanup level selected
for the chemical corresponds to a cancer
risk of 10" * rather than 10~s. as
originally thought. The original remedy
would then have to be modified because
it would result in exposures outside the
acceptable risk range that generally
defines what is protective.
  This policy that newly promulgated or
modified requirements should be
considered during protectiveness
reviews of the remedy, but should not
require a reopening of the ROD during
implementation every time a new state
or federal standard is promulgated or
modified, was discussed in the preamble
to the proposed rule [53 FR at 51440) but
not in the rule section itself. For the
reasons outlined above, EPA believes
that this concept is critical to the
expeditious and cost-effective
accomplishment of remedies duly
selected under CERCLA and the NCP,
and thus is appropriate for inclusion in
§ 300.430(f)(l)(ii)(B} of the final NCP.
This will afford both the public and
implementing agencies greater clarity as
to when and how requirements must be
considered during CERCLA responses,
and thus will allow the CERCLA
program to carry out selected remedies
with greater certainty and efficiency. Of
course, off-site CERCLA remedial
actions are subject to the substantive
and procedural requirements of
applicable federal, state, and local laws
at the time of off-site treatment, storage
or disposal.
  Final rule: EPA is adding the
following language to the rule at
§ 300.430(f)(l)(ii)(B):
  (B) On-site remedial actions selected in a
ROD must attain those ARARs that are
identified at the time of ROD signature or
provide grounds for invoking a waiver under
5 300.430(f)(l)Cii)(CK3).
  (1] Requirements that are promulgated or
modified after ROD signature must be
attained (or waived) only when determined
to be applicable or relevant and appropriate
and necessary to ensure that the remedy is
protective of human health and the
environment.
  (2) Components of the remedy not
described in the ROD must attain (or waive]
requirements that are identified as applicable
or relevant and appropriate at the time the
amendment to the ROD or the explanation of
significant differences describing the
component is signed.

  Name: Applicability of RCRA
requirements.  .
  Proposed rule: The preamble to the
proposed rule discussed when RCRA
subtitle C requirements will be
applicable for site cleanups (53 FR
51443). It described the prerequisites for
"applicability" at length, which are that:
(1) The waste must be a listed or
characteristic RCRA hazardous waste
and (2) treatment, storage or disposal
occurred after the effective date of the
RCRA requirements under consideration
(for example, because the activity at the
CERCLA site constitutes treatment,
storage, or disposal, as defined by
RCRA).
  The preamble explained how EPA will
determine when a waste at a CERCLA
site is a listed RCRA hazardous waste.
It noted that it is often necessary to
know the origin of the waste to
determine whether it is a listed waste
and that, if such documentation is
lacking, the lead agency may assume it
is not a listed waste.
  The preamble discussed how EPA will
determine that a waste is a
characteristic hazardous waste under
RCRA. It stated that EPA can test to
determine whether a waste exhibits a
characteristic or can use best
professional Judgment to determine
whether testing is necessary, "applying
knowledge of the hazard characteristic
in light of the materials or process
used."
  The preamble also discussed when a
CERCLA action constitutes "land
disposal," defined as placement into a
land disposal unit under section 3004{k)
of RCRA, which triggers several
significant requirements, including
RCRA land disposal restrictions (LDRs}
end closure requirements (when a unit is
closed). It equated an area of
contamination (AOC), consisting of
continuous contamination of varying
amounts and types at a CERCLA site, to
a single RCRA land disposal unit and
stated that movement within the unit
does not constitute placement. It also
stated that placement occurs when
waste is redeposited after treatment in a
separate unit (e.g., incinerator or tank),
or when waste is moved from one AOC
to another. Placement does not occur
when waste is consolidated within an
AOC, when it is treated in situ, or when
it is left in place.
  Response to comments: EPA received
many comments on Its discussion of
when RCRA requirements can be
applicable to  CERCLA response actions.
On the issue of compliance with RCRA
in general, most of these commenters
argued that RCRA requirements are not
intended for site cleanup actions, that
such compliance will result in delays
and that RCRA requirements are often
unnecessary to protect human health
and the environment at CERCLA sites.
Other commenters argued,  however,
that EPA is trying to avoid  compliance
with RCRA. requirements. Most of the
comments, however, focused on when
LDRs are applicable to CERCLA actions
and on EPA's dis.cussion of what actions
associated with remediation trigger
LDRs.
  Some coimnenters opposed EPA's
interpretation of "land disposal" or
"placement" as too lenient, believing
that EPA is trying to avoid compliance
with RCRA laws, particularly LDRs.
These commenters argued  that LDRs
should be applicable when hazardous
wastes are managed, excavated, or
moved in any way. One argued that
ARARs waivers are available to address
situations when the LDR levels cannot
be  achieved and should be used as
necessary, rather than trying to
narrowly define the universe of ARARs
to avoid waivers. This commenter was
also concerned with EPA's use of (he
term "unit," calling it an inappropriate
concept for Superfund sites because it

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            Federal Register / Vol. 55, No. 46 / Thursday, March 8.  1990 I Rules and Regulations
                                                                        8759
will allow the excavation and
redeposition of waste within very large
areas without ever meeting RCRA
design and operating standards and
LDR. One commenter asserted that EPA
concerns on LDRs stem from an
unjustifiable belief that LDR cleanup
levels cannot be achieved.
  Other commenters believed that the
definition of "placement" should
provide more flexibility. One asserted
that replacement of treated residuals in
the proximate area should not constitute
placement. The commenter argued that
Congress intended to address,
preventively or prospectively. the
original act of disposal, and that an
innocent government or public entity
should not be required to assume the
entire environmental responsibility of
the original disposers. The commenter
also argued that establishing that
replacement of treated waste triggers
LDRs will be a serious disincentive to
treating wastes. Some commenters
argued that LDRs should not be relevant
and appropriate where the CERCLA
waste to be disposed on land is merely
similar in composition to RCRA banned
waste.
  Other commenters argued that LDRs
are inappropriate for CERCLA remedial
actions. They noted an inherent'conflict
between LDRs, which require treatment
to BOAT levels, and  the CERCLA
process, and claimed that LDRs will
supplant CERCLA's "carefully
articulated and balanced approach to
remedy selection." Commenters
asserted that compliance with LDRs will
create technical problems because of
differences between  CERCLA wastes
and those evaluated  for LDRs. The
solutions recommended by these
commenters primarily focused on
narrowing or eliminating RCRA
applicability, bul included suggestions
for creating treatability groups for
CERCLA-type waste and seeking
legislative waivers from LDRs, e.g., a
waiver from LDRs for Superfund actions
at NPL sites.
  One commenter believed that the
concept of "unit" is not readily
transferable to CERCLA sites due to the
age and former uses  of many of the sites
undergoing remediation. Given the
ramifications of LDRs, the commenter
argued, it may be more reasonable to
create a presumption of treating the
entire site as one "unit." even if
remediation includes a series of
operable units.
  Some comments were received on
EPA's statements on consolidating
waste. One stated that consolidation of
small amounts of waste across units
should not be considered placement,
because that will lead to less
 environmentally sound and less cost-
 effective solutions, particularly if LDRs
 are triggered. Another recommended
 that EPA should allow consolidation of
 small volumes of waste anywhere on-
 site, for purposes of storage or
 treatment, without triggering otherwise
 applicable RCRA standards. Another
 commenter requested clarification that
 consolidation within a unit included
 normal earthmoving and grading
 operations.
   1. Actions constituting land disposal.
 EPA disagrees with commenters who
 considered EPA's interpretation of the
 definition of "land disposal" under
 RCRA section 3004(k) to be too narrow.
 These commenters argued that any
 movement of waste should be
 considered "placement" of waste, and
 thus "land disposal" under RCRA
 section 3004(k).
   The definition of "land disposal" is
 central to determining whether the
 RCRA LDRs are applicable to a
 hazardous waste which is being
 managed as part of a CERCLA response
 action, or RCRA closure or corrective
 action. The term "land disposal" is
 defined under RCRA section 3004(k) as
 including, but not limited to, "any
 placement of such hazardous waste in a
'. landfill, surface impoundment, waste
 pile, injection well, land treatment
 facility, salt dome formation, salt bed
 formation, or underground mine or
 cave." The terms "landfill", "surface
 impoundment," and the others, refer to
 specific types.of units defined under
 RCRA regulations. Thus, Congress
 generally defined the scope of the LDR
 program as the placement of hazardous
 waste in a land disposal unit, as those
 units are defined under RCRA
 regulations.
   EPA has consistently interpreted the
 phrase "placement *  * *  in" one of
 these  land disposal units to mean the
 placement of hazardous wastes into one
 of these units, not the movement of
 waste within a unit. See e.g., 51 FR 40577
 (Nov.  7.1986) and 54 FR 41566-67
 (October 10,1989)(supplemental
 proposal of possible alternative
 interpretations of "land disposal"). EPA
 believes that its interpretation that the
 "placement  * * *  in" language refers to
 a transfer of waste into a unit (rather
 than mmply any movement of waste) is
 not only consistent with a
 straightforward reading of section
 3004(k). but also with  the Congressional
 purpose behind the LDRs. The central
 conceirn of Congress in establishing the
 LDR program was to reduce or eliminate
 the practice of disposing of untreated
 hazardous waste at RCRA hazardous
 waste facilities. The primary aim of
 Congress was prospective rather than
directed at already-disposed waste
within a land disposal unit. See 51 FR
40577 (Nov. 7.1986). Moreover.
interpreting section 3004(k) to require
application of the LDRs to any
movement of waste could be difficult to
implement and could interfere with
necessary operations at an operating
RCRA facility. For instance, when
hazardous waste is disposed of in a land
disposal unit at an operating RCRA
facility, there may well be some
"movement" of the waste already in the
unit. Under the commenters' approach,
such movement without pretreatment of
the moved waste could be in violation of
the LDRs. Thus, under the commenters'
interpretation, virtually no operational
activities could occur at any RCRA land
disposal unit containing hazardous
waste without pretreatment of any
waste disturbed by the operation;
clearly an infeasible approach.
  EPA also believes that this
interpretation of section 3004(k) is
supported by the legislative history for
this provision (see 129 Cong. Rec. H8139
(Oct. 6,1983)(statement of Rep. Breaux)).
and by the Congressional choice to
define  "land disposal" more narrowly
for purposes of application of the LDRs
than the already-existing term
"disposal", which has a much broader
meaning under RCRA. Under RCRA
section 1004(3), the term "disposal" is
very broadly defined and includes any
"discharge, deposit, injection, dumping.
spilling, leaking, or placing" of waste
into or on any land or water. Thus,
"disposal" (in a statutory, rather than
the regulatory subtitle C meaning of the
term) would include virtually any
movement of waste, whether within a
unit or across a unit boundary. In fact.
the RCRA definition of "disposal" has
been interpreted by numerous courts to
include passive leaking, where no active
management is involved (see. e.g., U.S.
v. Waste Industries, Inc.. 734 F.2d 159
(4th Cir. 1984)). However. Congress did
not use the term "disposal" as its trigger
for the RCRA land disposal restrictions.
but instead specifically defined the new,
and more narrow, term "land disposal"
in section 3004(k). The broader
"disposal" language continues to be
applicable to RCRA provisions other
than those in subtitle C, such as section
7003. Thus, for the reasons outlined
above, EPA believes that the existing
interpretation, that movement of waste
within  a unit does not constitute  "land
disposal" for purposes of application of
the RCRA LDRs, is reasonable.
  With respect to  the commenter who
asked whether normal earthmoving and
grading operations within a land
disposal unit constitute "placement into

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            Federal Register / Vol. 55, No. 46 / Thursday. March 8. 1990 / Rules and  Regulations
8760
the unit", under EPA's interpretation of
RCRA section 3004{k), such activity
would not be "placement into the unit"
and thui the RCRA LDRs and other
•iibtitle C disposal requirements would
not be applicable (nor would the
requirement to obtain a permit under
RCRA or minimum technology
requirements in RCRA section 3004(o)
apply).
  Given this interpretation of section
3004{k). EPA does not believe that it is
nfccessary to invoke ARAR waivers of
LDRs for any movement of waste within
a unit, which was the alternative
suggested by the commenters. Nor does
EPA believe that the widespread use of
*iich waivers would be practical or
desirable. 54 FR 41568-69 (October 10.

   EPA also does not fully agree with the
commenters who argued that the RCRA
concept of "unit" does not apply to
CERCLA sites. The commenters who
criticized the application of the RCRA
"unit" to the CERCLA  area of
cjpntamination for purposes of section
3004(k) believed it to be either too
broad, allowing large areas to escape
the LDRs. or too narrow, not allowing
 entire CERCLA sites to be considered a
 single "unit". In contrast to hazardous
 waste management units at a RCRA
 facility. CERCLA sites often do not
 involve discrete waste management
 units, but rather involve land areas  on
 or in which there can be widespread
 areas of generally dispersed
 contamination. Thus, determining the
 boundaries of the RCRA land disposal
 •'unit." for which section 3004(k) would
 require application of the LDRs at these
 sites, is not always self-evident.
   EPA generally equates the CERCLA
 area of contamination with a single
 RCRA land-based unit, usually a
 landfill. 54 FR 41444 (December 21.
 1988). The reason for this is that the
 RCRA regulatory definition of "landfill"
 is generally defined to mean a land
  disposal unit  which does not meet the
  definition of any other land disposal
  unit, and thus is a general "catchall"
  regulatory definition for land disposal
  units. As a result, a RCRA "landfill"
  could include a non-discrete land area
  on or in which there is generally
  dispersed contamination. Thus. EPA
  believes that it is appropriate generally
  to consider CERCLA  areas of
  contamination as a single RCRA land-
  baaed unit, or "landfill". However, since
  the definition of "landfill" would not
  include discrete, widely separated  areas
  of contamination, the RCRA "unit"
  would not always encompass an entire
  CERCLA  site.
    Waste  consolidation from different
  units or AOCs at a CERCLA site are
                                     subject to any applicable RCRA
                                     requirements regardless of the volume of
                                     the waste or the purpose of the
                                     consolidation. Thus. EPA disagrees with
                                     those commenters that asserted that
                                     small volumes of hazardous waste at a
                                     CERCLA site can be consolidated
                                     anywhere on-site for storage or
                                     treatment purposes without
                                     consideration of any applicable RCRA
                                     requirements. Such requirements may,
                                     however, be subject to ARAR waivers in
                                     appropriate circumstances.
                                        The remaining comments received
                                     with respect to EPA's interpretation of
                                     section 3004[k) discussed the
                                     achievability of LDR cleanup levels.
                                     questioned the appropriateness of
                                     applying the LDRs to remedial actions,
                                     and requested more flexibility regarding
                                     the LDRs. These comments were the
                                     basis for EPA's supplemental notice and
                                      proposed reinterpretation of section
                                      3004(k), which is discussed below.
                                        In light of the numerous comments
                                      received on the interpretation of "land
                                      disposal" in RCRA section 3004{k). as it
                                      relates to removal, treatment, and
                                      redeposition of hazardous wastes
                                      generated by CERCLA and RCRA
                                      remedial and other activities, and in
                                      view of the important policy decisions
                                      that RCRA LDRs pose for the CERCLA
                                      and RCRA programs. EPA decided to
                                      separately and more fully discuss the
                                      issue, the interpretation outlined in the
                                      proposed NCP, and possible alternative
                                      interpretations of "land disposal". In a
                                      supplemental notice to the proposed
                                      NCP (54 FR 41566 (Oct. 10.1989)), EPA
                                      outlined several technical, policy, and
                                      legal issues concerning LDR
                                      applicability to removal, treatment, and
                                      redeposition of hazardous wastes, and
                                      requested comment on two alternative
                                      interpretations of "land disposal". The
                                      first alternative would allow the
                                      excavation and replacement of
                                      previously disposed hazardous wastes
                                      in the same unit or area of
                                      contamination; since the same wastes
                                      would remain in the same unit, this
                                       activity would not constitute "land
                                       disposal". Under the second alternative.
                                       hazardous wastes could be excavated
                                       and redeposited either within the
                                       original unit or area of contamination, or
                                       elsewhere at the site in a new or
                                       existing unit. These interpretations
                                       would allow greater flexibility in
                                       remedial decision-making, in the context
                                       of both CERCLA actions and RCRA
                                       corrective actions and closures.
                                         On November 6 and 7.1989, EPA held
                                       a forum on contaminated soil and
                                       groundwater ("Contaminated Media
                                       Forum") to provide an opportunity for
                                       interested groups to further address
                                       these issues. The Contaminated Media
Forum was attended by representatives
from EPA. states, environmental groups.
Congress, and the regulated community.
A summary of the concerns raised and
suggested solutions appears in the
public docket for this rulemaking.
  2. Selection of LDR treatment
standards. Upon further examination,
EPA believes that many of the problems
discussed in the supplemental notice,
and raised by commenters. result from
treatment standards developed pursuant
to the RCRA LDR program that are
generally inappropriate or infeasible
when applied to contaminated soil and
debris. As discussed in the October 1989
notice. EPA's experience under CERCLA
has been that treatment of large
quantities of soil and debris containing
relatively low levels of contamination
using LDR "best demonstrated available
technology" (BOAT) is often
inappropriate. 54 FR 41567,41568
(October 10,1989). EPA noted that
  Experience with the CERCLA program has
shown that many tites will have  large
quantities—in some cases, many thousands
of cubic meters—of toils that are
contaminated with relatively low
concentrations of hazardous wastes. These
•oils often should be treated, but treatment
with the types of technologies that would
 meet the standard of BOAT may yield little if
 any environmental benefit over other
 treatment based remedial options.

 54 FR 4-.L568 (October 10.1989).
 Examples of these and other  situations
 reflecting EPA's experience concerning
 the inappropriateness of incinerating
 contaminated soil and debris are
 included in the record for this rule. In
 addition, as discussed below. EPA has
 experienced problems in achieving the
 current noncombustion LDRs for
 contaminated soil and debris. Based on
 EPA's experience to date and the"
 virtually unanimous comments
 supporting this conclusion, EPA has
 determined that, until specific standards
 for soils and debris are developed,
 current BOAT standards are generally
 inappropriate or unachievable for soil
 and debris from CERCLA response
  actions and RCRA corrective actions
 and closures. Instead. EPA presumes
  that, because contaminated  soil and
  debris is significantly different from the
  wastes evaluated in establishing the
  BOAT standards, it cannot be treated in
  accordance with those standards and
  thus qualifies for a treatability variance
  from those standards under  40 CFR
  268.44.
    Accordingly, persons seeking a
  treatability variance from LDR
  treatment standards for contaminated
  soil and debris do not need  to
  demonstrate on a case-by-case basis

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              Federal Register  / Vol. 55. Np. 46  / Thursday. March 8. 1990 / Rules and Regulations
  that BOAT standards for prohibited
  hazardous wastes are inappropriate or
  not achievable. As an alternative,
  persons seeking a treatability variance
  for soil and debris may meet the
  appropriate levels or percentage
  reductions in the currently available
  guidance (Superfund LDR Guidance
  #6A, "Obtaining a Soil and Debris
  Treatability Variance for Remedial
  Actions", EPA OSWER Directive 9347.3-
  06FS. July 1989). In the context of
  Superfund Records of Decision (ROD).
  this means that EPA will generally
  include such a variance in the proposed
  plan and ROD when treatment of
  contaminated soil and debris is an
  element of the remedial action. Further,
  EPA intends to issue guidance
  supplementing the Superfund Guidance
  #6A to expedite  the processing of such
  treatabifity variances in conjunction
  with established remedy selection
  procedures.
   Treatment standards for prohibited
  hazardous wastes are based on
  performance achievable by application
  of BOAT. 51 FR at 40578 (Nov. 7.1986).
 BDAT, however,  is not a technology-
  forcing program, nor does it always
 require the lowest possible levels of
 waste treatment achievable with any
 technology. See 130 Cong. Rec. S9178
 (July 25.1984) (Statement of Sen.
 Chaffee introducing the amendment that
 became RCRA section 3004(m)). Rather,
 what Congress contemplated is a
 scheme whereby hazardous wastes are
 to be treated using the technology (or
 technologies) generally considered to be
 suitable for the waste and that
 substantially diminish the toxicity of the
 waste or substantially reduce the
 likelihood of migration. Id.; see also H.
 Rep. No. 198, 98th Cong. 1st Sess. 33; S.
 Rep. No. 284. 98th Cong. 1st Sess. 16-17.
  EPA's rules developing treatment
 standards likewise recognize that the
 treatment standards be based on
 appropriate technologies even if more
 stringent treatment methods are
 technically feasible. 51 FR at 40588-592
 (Nov. 7,1986). For example, EPA has
 generally based treatment standards for
 organic contaminants in wastewaters
 (normally defined as aqueous materials
 containing less than 1% total organic
 compound (TOC) and total suspended
 solids (TSS)) on technologies other than
 incineration (or other combustion), even
 though such organics could be treated to
lower levels if the wastewaters were
incinerated. This is because incineration
(or other combustion) is not normally  an
appropriate technology for wastewaters,
notwithstanding its capability of
performing to lower levels than
conventional wastewater treatment.
  More generally. EPA's rules on.
  treatability variances recognize that
  prohibited wastes be treated by
  appropriate technologies. The rules thus
  state that a petitioner may request a
  treatability variance "where the
  treatment technology is mot appropriate
  to the waste". 40 CFR 268.44(a).
    Similarly, treatability variances are
  warranted where the applicable
  numerical treatment standard for the
  waste cannot be achieved. 40 CFR
  268.44(a). For this reason, EPA has found
  that current BDAT standards based on
  noncombustion technology also warrant
  a treatability variance for soil and
  debris. The complex matrices often
  present in soil and debris may reduce
  the effectiveness of stabilization and
, other noncombustion technologies in
  treating these wastes. For example, the
  presence of oil and grease or sulfites in
  the mixture may substantially interfere
  with the stabilization process. More
  generally, stabilization is a complex
  treatment process and its application to
  unique soil and debris mixtures is not
 yet well understood. EPA's development
 of alternative treatment levels in the
 Superfund Guidance #6A noted above
 was based on available data for soil and
 debris mixtures and thus is more
 tailored with respect to achievability
 than the existing BDAT standards for
 these waste mixtures. The difference
 between these levels and the existing
 BDAT standards for these wastes
 demonstrates the feasibility of achieving
 the current BDAT standards for soil and
 debris. These alternative numbers thus
 support EPA's presumption that the
 BDAT standards are generally
 inappropriate or not achievable for soil
 and debris.
  This presumption is supported by the
 commenters on the December, 1988 and
 October. 1989 proposals. EPA received
numerous comments from a wide range
of ccimmenters discussing (the
inappropriateness or infeasibility of
applying BDAT standards to
contaminated soil and "debris. The
principal reason given for the
inapjpropriateness of the current BDAT
standards was the complexity of soil
and debris mixtures and the interference
with treatability caused by unique
matrices of contaminants in the soil and
debris. Moreover, commenters noted
that wastestream-derived BDATs have
not been fully demonstrated for many
contaminated soils and debris and that
the presence of trace quantities of one
waste in soil and debris may
inappropriately require use of a
treatment method that would not
otherwise be applicable to the other
wastes present. These comments were
  further supported by comments made at
  the Contaminated Media Forum.
    The Agency's experience also
  supports this conclusion of general
  inappropriateness or infeasibility of
  current BDAT standards for soil and
  debris. For example, as indicated above.
  EPA has developed alternative
  treatment levels for soil and debris in
  the Superfund #6A guidance which are
  based on the application of the specific
  treatment technologies to soil and
  debris, rather than industrial process
  wastes. Thus, these alternative levels.
  which are better tailored to the
  treatability of the complex soil and
  debris mixtures found at Superfund
.  sites, reflect Agency experience
  concerning the inappropriateness or
  infeasibility of current BDAT for soil
  and debris.
   EPA has long indicated its intention to
  develop separate treatment standards
  for contaminated soil and debris
  (without regard, incidentally, to the
  origin of such waste, so that the
  treatment standards would apply
  whether the soil and debris is generated
  from a CERCLA action or some other
  activity). 51 FR 40577 (Nov. 7,1986).
 Although the Agency has already
 expended considerable effort on such
 standards, it has not been able to
 propose or promulgate regulations
 because of the more pressing need to
 implement the rest of the land disposal
 prohibition statutory provisions before
 the  various statutory deadlines. See
 RCRA sections 3004 (d). (e), and (g). EPA
 does not expect that the same level of
 treatment performance will be required
for soil and debris as for industrial
process wastes.
  In the interim period until EPA
promulgates these  treatment standards.
contaminated soil and debris are subject
to the same treatment standards as -the
prohibited hazardous wastes that they
contain, unless a variance is appropriate
and  is approved according to 40 CFR
268.44. 53  FR at 31146-149 (Aug. 17.1988)
and  Chemical Waste Management v.
EPA. 869 F.2d 1526.1535-46,1538-40
(D.C. Cir. 1989). Where standards for the
underlying waste are  based on the
performance of incineration, EPA has
granted national capacity variances for
the contaminated soils and debris
because there is insufficient national
capacity to treat these wastes. 40 CFR
268.30(c). 268.31(a)(l). 268.32(d)(l).
268.33(b). and 268.34(d). Where BDAT
treatment  standards are in effect, it is
possible to petition for a treatability
variance based on the inappropriateness
of the BDAT standards to treat the
contaminated soil and debris. 40 CFR
268.44(a). As discussed earlier. EPA

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             Federal Register / Vol 55, No. 46 / Thursday. March 8, 1990 / Rules and Regulations
 believes that it is unnecessary for
 petitioners (or the lead Agency in
 CERCLA response actions) to make site-
 specific demonstrations that BOAT
 standards are inappropriate for
 contaminated soil and debris. The
 numerous comments and Agency
 experience supporting a presumption
 that the BOAT standards are
 inappropriate or not achievable is
 clearly warranted at this time because
 the criteria in 40 CFR 268.44 for
 tre a lability variances are generally met
 for soil and debris. As a result, under
 EPA's established treatability variance
 procedures (40 CFR 268.44), variance
 applications for contaminated soil and
 debris do not need to demonstrate that
 the physical and chemical properties
 differ significantly from wastes
 analyzed in developing the treatment
 standard and thai, therefore, the waste
 cannot be treated to specified levels or
 fay specified methods. Petitions need
 only focus on justifying the proposed
 alternative levels of performance, using
 existing interim guidance containing
 suggested treatment levels for soil and
 debris (Superfund LDR Guidance #6A,
 "Obtaining a Soil and Debris
 Treatability Variance for Remedial
 Actions", EPA OSWER Directive 9347.3-
 06FS, July 1989) as a benchmark.
  Although the presumption is that
 BOAT standards are not appropriate for
 soil and debris, there may be special
 circumstances where EPA determines
 that the existing BOAT standards are
 appropriate for contaminated soils and
 debris at a particular site, such as where
 high levels of combustible organics in
 soil are present. In these circumstances,
 the Agency would make a determination
 that treatment to the BDAT standards
 was appropriate and would require such
 treatment
  EPA regulations provide that
 treatability variances may be issued on
 a site-Specific basis. 40 CFR 268.44(h)."
  " In light of today's determination, the
application of this rule requires clarification in two
respects, First. although EPA is today establishing a
general presumption that BOAT standards are
inappropriate or not achievable for treating soil and
debris, the Agency does not believe tbat this
presumption triggers the rulemaking variance
procedures in 40 CFR 268.4«{a). Even with the
presumption, treatment levels will be determined on
• ca»e>by-c«ie basis, and commenters may submit
fafofiMtfoft contending that the presumption is not
applicable in * particular case. Thus, it is EPA'a
view that the site-specific, non-rulemaking
procedures in 40 CFR 268 «(h) mn entirely
appropriate. See S3 FR 31199-31200 (August 17.
Thus, they may be approved
simultaneously with the issuance of a
RCRA permit, the approval of a RCRA
closure plan, orthe selection of a
remedy in a CERCLA response action in
the ROD. In the case of an on-site
CERCLA response action, the    •
procedural requirements of the variance
process do not apply. See CERCLA
sections 121(e)(l) and 121(d)(2). The
variance decision will be made as part
of EPA's remedy selection process,
during which data justifying alternative
treatment levels will be included in the
administrative record files, and public
participation opportunities and Agency '
response to comment will be afforded as
appropriate under this rule.
  In EPA's view, the Agency's
determination that the BDAT standards
are generally inappropriate for
contaminated soil and debris addresses
many of the practical concerns raised by
commenters in the supplemental notice
on the Agency's interpretation of the
term "land disposal". For this reason,
and because EPA has had insufficient
time to review and evaluate the many
lengthy and complex issues raised by
commenters on the supplemental notice,
EPA is deferring any final decision to
modify that interpretation. (EPA will
respond to comments on the alternatives
in die supplemental notice when the
Agency makes a final decision on the
proposed reinterpretation of land
disposal.) Until a final decision is made,
the' interpretation announced in the
preamble to the proposed NCP and
discussed in section 1 above will remain
in effect.
  Final rule: There is no rule language
on this issue.

  Name: Determination of whether a
waste is a hazardous waste.
  Proposed rule: The preamble to the
proposed rule discussed how to
determine whether hazardous waste
regulated under RCRA Subtitle C was
present at a site (53 FR 51444).
  Response to comments: Some
commenters raised questions about
EPA's discussion about determining
whether a waste exhibits a hazardous
characteristic. One argued that EPA
cannot assume a waste is not a
characteristic waste in the absence of
testing and should therefore adopt a
liberal and inclusive approach to
  Second. EPA does not interpret its file specific
varUnce procedures as invariably requiring
applicants to demonstrate that they cannot meet
Applicable treatment levels or methods. The first
sentence of 40 CFR 268,44th) makes it clear that an
applicant may make one of two demonstrations to
qualify for * variance: he may show either that he
cannot meet a treatment standard, or that a
treatment method (or the method underlying the
standard is inappropriate for his waste. The final
sentence of I 268.44[h). identifying the showing an
applicant must include in hie variance application,
on its terms applies only to applications submitted
under the first criterion. EPA'a presumption. .
however, applies to soil and debris regardless of
which of the two types of variances apply.
 determining whether RCRA applies to
 avoid expensive and time-consuming
 testing. Another commenter asked for
 clarification on who was responsible for
 applying "process knowledge" to
 determine whether a waste was a
 hazardous waste in the absence of
 testing. The commenter asserted that,
 under RCRA. EPA exercises
 prosecutorial discretion if a generator,
 acting in good faith, decides incorrectly
 that his waste is not hazardous. EPA
 notes that when it determines that there
 is a violation there will normally be
 some kind of enforcement action taken;
 the level and type of prosecutorial
 response will depend on a number of
 factors, for example, the size of the
 company, the significance of the
 violation, (the intent, etc.
  Under RCRA rules, a generator is not
 required to test, but may use knowledge
 of the waste and its constituents to
 judge whether the waste exhibits a
 characteristic. (See 40 CFR 262-ll(c).)
 EPA believes this should also apply if
 the lead agency or PRP at a CERCLA
 site is the '"generator." EPA wants to
 make clear, however, that a decision
 that a waste is not characteristic in the
 absence oi: testing may not be arbitrary,
 but must be based on site-specific
 information and data collected on the
 constituents and their concentrations
 during investigations of the site. Based
 on site data, it will be very clear in some
 cases that a waste cannot be
 characteristic; for example, if a waste
 does not contain a constituent regulated
 as EP toxic:, a decision that the waste
 does not e:diibit this characteristic can
 reliably be made without testing for EP
 toxicity. EPA does not expect to
 undertake testing when it can otherwise
 be determined with reasonable certainty
 whether or not the waste will exhibit a
 characteristic.
  In response to the second concern, the
 determination whether a waste is a
 hazardous waste may be made by EPA.
 the state, or a PRP, depending on the
 nature of the action. EPA will take any
 necessary or appropriate action if
 decisions about the hazardous nature of
 the waste are in error or are made
without proper basis.
  Several commenters discussed the
question ol: whether RCRA requirements
can be applicable to RCRA hazardous
waste disposed of before the RCRA
requirements went into effect in 1980.
One commenter argued that they could
not be, unless the waste exhibited a
characteristic at the time of the CERCLA
action. However, as one commenter
noted, EPA has consistently maintained
in enforcement actions that RCRA
requirements apply to any waste

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           Federal Register / Vol. 55, No. 46 / Thursday, March 8, 1990 / Rules and Regulations
                                                                                                          8763
materials disposed of prior to 1980 when
those materials are managed or
disposed of today. EPA agrees with this
latter comment and believes that this
policy applies to CERCLA actions as
well. This was also upheld in a recent
DC Court of Appeals decision, Chemical
Waste Management v. EPA, 869 F.2d
1526 (DC Cir. 1989). RCRA requirements
can apply when the CERCLA action
constitutes treatment, storage or
disposal of RCRA hazardous waste.
Note that RCRA requirements may also
be relevant and appropriate to pre-1980
waste.
  One commenter suggested that EPA  .
allow consolidation, for purposes of
storage or treatment, of small volumes
of wastes without triggering RCRA
standards, in response, while EPA
appreciates the concerns with meeting
substantive storage and treatment
requirements for small amounts of
waste, EPA believes that waste should
be managed according to standards
when those standards are ARARs
unless a waiver (such as for interim
measures} can be justified. It should be
noted that RCRA may not be applicable
for small quantity generators, as defined
under RCRA; however, a determination
would still have to be made about
whether any RCRA requirements would
be relevant and appropriate to small
quantities.
  Final rule: There is no rule language
on this issue.
  Name: When RCRA requirements are
relevant and appropriate to CERCLA
actions.
  Proposed rule: The preamble to
proposed § 300.400(g)(2)(i). identification
of applicable or relevant and
appropriate requirements, criteria for
relevant and appropriate, stated that
RCRA requirements may be relevant
and appropriate when a waste is similar
in composition to a RCRA listed waste
(53 FR 51446].
  Response to comments: 1. RCRA
requirements as relevant and
appropriate for wastes similar to RCRA
hazardous waste. Several commenters
expressed concern that RCRA
requirements may be potentially
relevant and appropriate for waste that
is not a RCRA hazardous waste, but is
similar to a RCRA hazardous waste.
Commenters argued that virtually any
waste or CERCLA substance is similar
to a RCRA hazardous waste in some
way. either in chemical composition, in
toxicity, in mobility, or in persistence,
and were concerned that this policy
represented an enormous expansion of
the RCRA program.
  EPA believes that RCRA requirements
can potentially be relevant and
appropriate to wastes other than those
that are known to be hazardous waste.
For example, some information or
records must be available that identify
the source of the waste in order to
determine that the waste is a listed
hazardous waste. As a result, two
separate wastes could be identical in
composition, but only one identified as a
RCRA hazardous waste because
manifests are available that identify it
as a listed waste. RCRA requirements
would be applicable for the manifested
waste, but not for the other, even though
the two wastes are physically the same.
EPA believes that RCRA. requirements
can be potentially relevant and
appropriate when the waste cannot be
definitively identified as a listed
hazardous waste.
  EPA wants to emphasize, however.
that a number of the factors identified in
§ 300.400[g](2) should be considered in
determining whether a RCRA1
requirement is relevant and appropriate.
The similarity of the waste to RCRA
hazardous waste or the presence of a
RCRA constituent alone does not create
a presumption that a RCRA requirement
will be relevant and appropriate. Nor is
it always necessary or useful to conduct
an in-depth, constituent-by-cbnstituent
comparison of a CERCLA waste with
RCRA hazardous wastes, because most
RCRA requirements are the same
regardless of the specific composition of
the hazardous waste. Indeed,'the statute
requires attainment of those
requirements that are relevant and
appropriate under the circumstances of
the release. Thus, the decision about
whether a RCRA requirement is relevant
and appropriate is based on  <
consideration of a variety of factors,
including the nature of the waste and its
hazardous properties, other site
characteristics, and the nature of the
requirement itself.
  EPA anticipates that it will often find
some RCRA requirements to be relevant
and appropriate at a site and .others not,
even for the same waste. This is
because certain waste characteristics
shared with RCRA hazardous wastes
may be more important than others
when evaluating whether a given
requirement is relevant and appropriate.
For example, the mobility of the waste,
among other factors, may be a key
concern in evaluating whether the
RCRA requirement that the cap used in
closing a landfill be less permeable than
the bottom liner (40 CFR 264.310(a)(5}} is
relevant and appropriate. Other
properties of the waste might be more
important in evaluating the relevance
and appropriateness of other.RCRA
requirements.
  2. RCRA requirements as relevant and
appropriate for mining wastes. Several
commenters asked EPA to state in the
NCP or its preamble that RCRA subtitle
C requirements will not be relevant and
appropriate to mining wastes. They
noted that recognizing the unique
characteristics of mining wastes.
Congress exempted certain mining
wastes from regulation as hazardous
wastes under RCRA until EPA
completed studies on these wastes to
determine specifically whether such
regulation was appropriate. On July 3,
1986, EPA published its determination
for beneficiation and'extraction wastes
which found that regulation under
subtitle C was not warranted for these
wastes, because EPA believes such
requirements," * * * if universally
applied, would be either unnecessary to
protect human health and the
environment, technically infeasible. or
economically impracticable to
implement" (51 FR Z4496.) The
commenters argue, therefore, that
subtitle C requirements, which are not
legally applicable to these mining
wastes, also cannot be relevant and
appropriate, since EPA has formally
made the determination that these
requirements are not appropriate for
such wastes.
  The commenters emphasized that
mining waste sites differ in a number of
ways from industrial wastes sites. They
argue that mining wastes are of
enormous volume and generally of lower
toxicity, that the sites typically cover
extremely large areas and may present
less hazard because they tend to be in
drier climates, reducing leaching
potential, or contain constituents that
are less mobile. For these reasons,
which formed the basis of EPA's
decision under RCRA, RCRA
requirements would not be relevant and
appropriate for mining sites remediated
under CERCLA. Commenters requested
that EPA give guidance specifically in
the NCP to ensure consistent decisions
on ARARs at mining sites.
  EPA agrees that RCRA requirements
for hazardous waste will not be
applicable to those mining wastes
excluded from regulation by the statute.
(Note, however, that EPA has recently
removed certain mineral processing
•wastes from the mining waste exclusion.
making them subject to subtitle C, 54 FR
36592, September 1,1989:55 FR 2322.
January 23.1990. EPA has also
promulgated regulations listing certain
wastes from mineral processing
operations as hazardous, 53 FR 35412,
September 13.1988.) In addition, EPA
agrees that RCRA subtitle C
requirements will generally not be

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 8764
             Federal Register / Vol.  55, No. 46 / Thursday. March 8, 1990 / Rules  and Regulations
 relevant and appropriate for those
 mining wastes for which EPA has
 •pacifically determined that such
 regulation is not warranted. The reason
 Is that the factors that caused EPA not
 to regulate these wastes as hazardous
 include many of the came factors that
 EPA considers in judging whether a
 requirement is relevant and appropriate
 at a particular site.
  However. EPA does not agree that
 RCRA requirements for hazardous
 waste can never be relevant and
 appropriate for CERCLA remediation of
 >nfaing sites. In its determination for
 bcneficiation and extraction wastes,
 EPA found that "if universally applied,"
 subtitle C requirements would not be
 appropriate for mining wastes. (51FR
 24500.) However, a decision about
 whether a requirement is relevant and
 appropriate is made on a case-by-case
 basis, based on the specific
 characteristics of the site and the
 release. There may be some sites where
 the site circumstances differ
 significantly from those which caused
 EPA to decide that subtitle C regulation
 is not warranted and where certain
 requirements are appropriate and well-
 suited to the site or portions of the site.
 In such a situation, some RCRA
 requirements may be relevant and
 appropriate.
  EPA is developing regulations under
 subtitle D of RCRA designed specifically
 for mining wastes that will not be
 regulated as hazardous waste. When
 promulgated, these regulations are likely
 to be either applicable or relevant and
 appropriate for remediation of mining
 sites.        •  •
  Another commenter stated that EPA
 needs to develop a long-term initiative
 to simplify the.use of RCRA ARARs.
 EPA recognizes that the interaction
 between the two laws can be very
 complicated and continues to work to
 resolve and give guidance on issues
 involving CERCLA compliance with
 RCRA laws.
  Final rule: There is no rule language
 on this issue.
  Name: Examples of potential federal
 and state ARARs and TBCs.
  Potential ARARs and TBCs include,
 but are not limited to. the following:
  3. Federal requirements which may be
potential applicable or relevant and
 appropriate requirements. L EPA's
 Office of Solid Waste administers, inter
 alia, the Resource  Conservation and
 Recovery Act of 1976, as  amended, (42
 U.S.C. 6901). Potentially applicable or
 relevant and appropriate requirements
 pursuant to that Act are:
  a. Open Dump Criteria—Pursuant to
 RCRA subtitle D criteria  for
 classification of solid waste disposal
 facilities (40 CFR part 257).
  Note: Only relevant to nonhazardous
 wastes.
  b. RCRA subtitle C requirements
 governing standards for owners and
 operators of hazardous waste treatment
 storage, and disposal facilities: (40 CFR
 part 264, for permitted facilities, and 40
 CFR part 265, for interim status
 facih'ties]:
  (1) Ground-Water Protection and
 Monitoring (40 CFR 264.90-264.109).
  (2) Closure and Post Closure (40 CFR
 264.110-264.120).
  (3) Containers (40 CFR 284.170-
 264.178).
  (4) Tanks (40 CFR 264.190-284.199).
  (5) Surface Impoundments (40 CFR
 264220-264249).
  (6) Waste Piles (40 CFR 264250-
 264259).
  (7) Land Treatment (40 CFR 264270-
 264299).
  (8) Landfills (40 CFR 264.300-264.339).
  (9) Incinerators (40 CFR 264.340-
 264.999).
  (10) Land Disposal Restrictions (40
 CFR 268.1-268.50).
  (11) Dioxin-containing wastes (50 FR
 1978).
  (12) Standards of performance for
 storage vessels for petroleum liquids (40
 CFR part 60, subparts K and K(a)).
  (13) Codification rule  for 1984 RCRA
 amendments (50 FR 28702, July 15,1985;
 52 FR 45788, December 1,1987).
  ii. EPA's Office of Water administers
 several potentially applicable or
 relevant and appropriate statutes and
 regulations issued thereunder:
  a. Section 142 of the Public Health
 Service Act as amended by the Safe
 Drinking Water Act as  amended, (42
 U.S.C. 300(f)).
  (1) Maximum Contaminant Levels (for
 all sources of drinking water exposure).
 (40  CFR 141.11-141.16).
  (2) Maximum Contaminant Level
 Goals (40 CFR 141.50-141.52,50 FR
46936).
  (3) Underground Injection Control
 Regulations (40 CFR parts 144.145.146,
 147).
  b. Clean Water Act as amended. (33
 U.S.C.1251).
  (1) Requirements established pursuant
 to sections 301,302,303  (including state
 water quality standards). 304,306,307,
 (including federal pretreatment
requirements for discharge into a
publicly owned treatment works), 308,
402,403 and 404 of me Clean Water Act
 (33  CFR parts 320-330.40 CFR parts 122,
123.325.131.230.231,233.400-469).
  (2) Available federal water quality
 criteria documents are listed at 45 FR
 7S318, November 28,1980:49 FR 5831.
February 15.1984; 50 FR 30784. July 29.
1985; 51FR 8012. March 7,1986; 51 FR
22978. June 28.1986; 51 FR 43665.
December 3.1986:52 FR 6213. March 2.
1987; 53 FR 177, January 5,1988; 53 FR
19028, May 26, 3988; 53 FR 33177. August
30, 3988; 54 FR 39227. May 4,1989.
   (3) Clean Water Act section 404(b)(l)
Guidelines! for Specification of Disposal
Sites for Dredged or Fill Material (40
CFR part 230).
   (4) Procedures for Denial or
Restriction of Disposal Sites for Dredged
Material (Clean Water Act section
404(c) Procedures, 33 CFR parts 320-330,
40 CFR part 231).
   c. Marine Protection. Research, and
Sanctuaries Act (33 U.S.C. 1401). (1)
Incineration at sea requirements {40
CFR parts 220-225,227-229. See also 40
CFR 325.1JSO-325.124).
   iii. EPA'n Office of Pesticides and
Toxic Substances administers the Toxic
Substances Control Act (15 ILS.C. 2601).
Potentially applicable or relevant and
appropriate requirements pursuant to
that Act are:
  PCB requirements generally: 40 CFR part
761; Manufacturing, Processing, Distribution
in Commerce, and Use of PCBs and PCB
Items (40 CFR 761.20-761.30); Markings of
PCBs and PCB Items [40 CFR 761.40-761.45);
Storage and Disposal (40 CFR 761.60-761.79):
Records and Reports (40 CFR 761.180-761.185.
761.167 and 761.193). See also 40 CFR 129.103,
750.
   iv. EPA'n Office of External Affairs
administers potentially applicable or
relevant and appropriate requirements
regarding requirements for floodplains
and wetlands (40 CFR part 6, Appendix
A).
  v. EPA's Office of Air and Radiation
administers several potentially
applicable or relevant and appropriate
statutes and regulations issued
thereunder:
  a. The Uranium Mill Tailings
Radiation (Control Act of 1978 (42 U.S.C.
2022) and Health and Environmental
Protection Standards for Urnm'mn and
Thorium Mill Tailings (40 CFR part 192).
  b. Clean Air Act (42 U.S.C 7401). (1)
National Primary and Secondary
Ambient Air QualityStandards (40 CFR
part 50).
  (2) Standards for Protection Against
Radiation (10 CFR part 20). See also 30
CFR parts 10.40.60. 61.72, 960.961.
  (3) National Emission Standards for
Hazardous Air Pollutants (40 CFR part
61). See alfio 40 CFR 427.110-427.116,
763.
  (4) New source performance
standards l[40 CFR part 60).
  vi. Other Federal Requirements:
  a. National Historic Preservation Act
(16 U.S.C. 470). Compliance with NHPA

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            Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990  /  Rules and Regulations
                                                                                                            8765
required pursuant to 7 CFR part 650.
Protection of Archaeological Resources:
Uniform Regulations—Department of
Defense (32 CFR part 229). Department
of the Interior (43 CFR part 7).
  b. DOT Rules for the Transportation
of Hazardous Materials, 49 CFR parts
107.171,172.
  c. The following requirements are also
potentially ARAR:
  (1) Endangered Species Act of 1973 (16
U.S.C. 1531). Generally, SO CFR parts 81,
225.402.
  (2) Wild and Scenic Rivers Act (16
U.S.C.1271).
  (3) Fish and Wildlife Coordination Act
(16U.S.C.661).
  (4) Federal insecticide. Fungicide, and
Rodenticide Act (7 U.S.C. 136). 40 CFR
part 165.
  (5) Wilderness Act (16 U.S.C. 1131).
  (6) Coastal Barriers Resources Act (16
U.S.C. 3501).
  (7) Surface Mining Control and
Reclamation Act (30 U.S.C. 1201).
  (8) Coastal Zone Management Act of
1972 (16 U.S.C. 1451). Generally, 15 CFR
part 930 and 15 CFR 923.45 for Air and
Water Pollution Control Requirements.
  (9) Magnuson Fishery Conservation
and Management Act (16 U.S.C. 1801 et
seq.).
  (10) Marine Mammal Protection Act
(16 U.S.C. 1361 et seq.}.
  2. Examples of potential state ARARs.
i. State requirements for disposal and
transport of radioactive wastes.
  ii. State approval of water supply
system additions or developments.
  iii. State ground-water withdrawal
approvals.
  iv. Requirements of authorized
(subtitle C of RCRA) state hazardous
waste programs.
  v. State Implementation Plans (SIPs)
and delegated programs under the Clean
Air Act
  vi. Approved state NPDES program
under the Clean Water Act
  vii. Approved state underground
injection control (U1C) programs under
the Safe Drinking Water Act.
  viii. Approved state •wellhead
protection programs.
  ix. State water quality standards.
  x. State air toxics regulations.
  3. Other federal criteria, advisories,
and guidance, to be considered, i.
Federal Criteria, Advisories, and
Procedures.
  a. Health Effects Assessments (HEAs)
and Proposed HEAs ("Health Effects
Assessment Summary Tables." updated
quarterly).
  b. Reference Doses (RiDs) ("Health
Effects Assessment Summary Tables,"
updated quarterly, or "Integrated Risk
Information System (IRIS)." updated
monthly).
  c. Slope Factors for Carcinogens
("Health Effects Assessment Summary
Tables," updated quarterly, or
"Integrated Risk Information iSystem
(IRIS)," updated monthly).
  d. Pesticide registrations and
registration data.
  e. Pesticide and food additive
tolerances and action levels.
  Note: Germane portion!! of tolerances and
action levels may be pertinent and therefore
are to be considered in certain situations.
  f. PCB Spill Cleanup Policy (52 FR
10688, April 2.1S87).
  g. Waste load allocation procedures
(40 CFR parts 125,130).
  h. Federal sole source aquifer
requirements (52 FR 6873, March. 5.
1987).
  L Public health basis for the decision
to list pollutants as bassardous under
section 112 of the  Clean Air Act
  j. EPA's Ground-Water Protection
Strategy.
  k. Guidance on Remedial Actions for
Contaminated Ground Water at
Superfund-Sites (Draft October 1986)
establishes criteria for the use of
background concentrations and ACLs.
  L Superfund Public Health Evaluation
Manual.
  m. TSCA health data.
  n. TSCA chemical advisories.
  o. ATSDR Toxicological Profiles.
  p. Advisories issued by FWS and
NWFS under the Fish and Wildlife
Coordination Act.
  q. TSCA Compliance Program Policy
('TSCA Enforcement Guidance Manual
Policy  Compendium," USEPA. OECM,
OPTS, March 1985).
  r. Health Advisories. EPA Office of
Water.
   s. EPA/DOT Guidance Manual on
Hazardous Waste Transportation.
   ii. USEPA RCRA Guidance
Documents.               \
   a. Alternate Concentration Limits
(ACL)  Guidance (draft).
   b. EPA's RCRA Design Guidelines.
   (1) Surface Impoundments'—Liner
Systems, Final Cover, and Freeboard
Control.                  ;
   (2) Waste Pile Design—Liner Systems.
   (3) Land Treatment Units.
   (4) Landfill Design—liner Systems
and Final Cover.           ,
   c. Permitting Guidance Manuals.
   (1) Permit Applicant's Guidance
Manual for Hazardous Waste Land
Treatment. Storage, and Disposal
Facilities.
   (2) Permit Applicant's Guidance
Manual for the General Facility
Standards of 40 CFR 264.
   (3) Permit Writer's Guidance Manual
for Hazardous Waste Land Treatment
Storage, and Disposal Facilities.
  (4) Permit Writer's Guidance Manual
for the Location of Hazardous Waste
Land Storage and Disposal Facilities:
Phase I, Criteria for Location
Acceptability and Existing Regulations
for Evaluating Locations.
  (5) Permit Writer's Guidance Manual
for Subpart F.
  (6) Permit Applicant's Guidance
Manual for the General Facility
Standards.
  (7) Waste Analysis Plan Guidance
Manual.
  (8) Permit Writer's Guidance Manual
for Hazardous Waste Tanks.
  (9) Model Permit Application for
Existing Incinerators.
  (10) Guidance Manual for Evaluating
Permit Applications for the Operation of
Hazardous Waste Incinerator Units.
  (11) A Guide for Preparing RCRA
Permit Applications for Existing Storage
Facilities.
  (12) Guidance Manual on Closure and
Post-Closure interim Status Standards.
  d. Technical Resource Documents
(TRDs).
  (1) RCRA Ground-Water Monitoring
Technical Enforcement Guidance
Document.
  (2) Evaluating Cover Systems for Solid
and Hazardous Waste.
  (3) Hydrologic Simulation of Solid
Waste Disposal Sites.
  (4) Landfill and Surface Impoundment
Performance Evaluation.
  (5) Lining of Water Impoundment and
Disposal Facilities.
  (6) Management of Hazardous Waste
Leachate.
  (7) Guide to the Disposal of
Chemically Stabilized and Solidified
Waste.
  (8) Closure of Hazardous Waste
Surface Impoundments.  .
  (9) Hazardous Waste Land Treatment
  (10) Soil Properties. Classification,
and Hydraulic Conductivity Testing.
  e. Test Methods for Evaluating Solid
Waste.
  (1) Solid Waste Leaching Procedure
Manual.
  (2) Methods for the Prediction of
Leachate Plume Migration and Mixing.
   (3) Hydrologic Evaluation of Landfill
Performance (HELP) Model Hydrologic
Simulation and Solid Waste Disposal
Sites.
   (4) Procedures for Modeling Flow
Through Clay Liners to Determine
Required Liner Thickness.
   (5) Test Methods for Evaluating Solid
Wastes.
   (6) A Method for Determining the
Compatability of Hazardous Wastes.
   (7) Guidance Manual on Hazardous
Waste  Compatability.

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                                                                                        j

 8766      Federal Register / VoL 55.  No. 46 / Thursday. March 8, 1990  / Rules and Regulations
  Hi. USEPA Office of Water Guidance
Documents.
  a. Pretreatment Guidance Documents.
(1) 304(g) Guidance Document on
Revised Pretreatment Guidelines (3
volumes).
  b. Water Quality Guidance
Documents. (1) Ecological Evaluation of
Proposed Discharge of Dredged Material
into Ocean Waters (1977).
  (2) Technical Support Manual:
Waterfaody Surveys and Assessments
for Conducting Use Attainability
Analyses (1933).
  (3) Water-Related Environmental Fate
of 129 Priority Pollutants (1979).
  (4) Water Quality Standards
Handbook (1983).
  (5) Technical Support Document for
Water Quality-Based Toxics Control.
  (6) Developing Requirements for
Direct and Indirect Discharges of
CERCLA Wastewater (1987).
  c. NPDES Guidance Documents. (1)
NPDES Best Management Practices
Guidance Manual (June 1981).
  (2) Case studies on toxicity reduction
evaluation (May 1983).
  d. Ground Water/UIC Guidance
Documents. (1) Designation of a USDW.
  (2) Elements of Aquifer Identification.
  (3) Definition of major facilities.
  (4) Corrective action requirements.
  (5) Requirements applicable to wells
injecting into, through, or above an
aquifer that has been exempted
pursuant to 40 CFR 146.104(b)(4).
  (6) Guidance for UIC implementation
on Indian lands.
  e. Clean Water Act Guidance
Documents.
 *f. Guidance for Applicants for State
Well Head Protection Program
Assistance Funds under the Safe
Drinking Water Act (Office of Ground-
Water Protection. June 1937).
  iv. USEPA Manuals from the Office of
Research and Development.
  a. EW 846 methods—laboratory
analytic methods.
  b. Lab protocols developed pursuant
to Clean Water Act section 304(h).
  v. Other.
  a. Data Quality Objectives. Volumes I
andn.
  b. Guidance for Conducting Remedial
Investigations and Feasibility Studies
Under CERCLA (Draft).
  c. Guidance on Preparing Superfund
Decision Document: The Proposed Plan
and Record of Decision (Draft).
  d. Standard Operating Safety Guides.

Community Relations

  Name: Sections 300.430{c). 300.430(f)
(2).  (3) and (6). Community relations
during RI/FS and selection of remedy.
  Existing rule: Sections 300.67(a) and
(c) require the lead agency to develop
and implement a community relations
plan (CRP) at NPL sites prior to
initiation of field activities. In the case
of removal actions or other short-term
actions, § 300.67(b) requires that a
spokesperson be designated and a CRP
prepared If the action exceeds 45 days.
Section 300.67(d) states that the lead
agency must provide the public with not
less than 21 calendar days to review and
comment on the feasibility study (FS).
Public meetings should be held during
the comment period and the lead agency
may also provide the public with an
opportunity to comment during the
development of the FS. A document
summarizing major issues raised by the
public is required by 5  300.67(e). The
summary must include how the issues
are addressed. Section 300.67(f)
indicates that in enforcement actions,
the CRP and public review of the FS
may be modified or adjusted at the
direction of the court Section 300.67(g)
states that when responsible parties
implement site remedies, the lead
agency shall provide public notice and a
30-day comment period. In addition, a
document summarizing the major issues
raised by the public and how they are
addressed must be prepared.
  Proposed rule:'la the 1986
amendments to CERCLA, Congress
added a new section 117 to provide for
involvement by the public in Superfund
decision-making. The NCP incorporates
these new statutory requirements and
those in existing policy, as well as
several additional requirements based
on program experience.
  Proposed § 300.430 [c) requires the
lead agency, to the extent practicable
prior to commencing field work for the
remedial investigation  (RI), to conduct
community interviews, prepare a formal
CRP, and to establish a local
information repository. Section
300.430(f) requires that a proposed plan
be prepared. After preparation of the
proposed plan. § 300.430(f)(2) requires
the lead agency to publish a notice of
availability and brief analysis of the
proposed plan, make the proposed plan
available in the administrative record,
provide a public comment period of not
less than 30 calendar days on the
proposed plan and supporting analysis
and information, including the RI/FS,
provide an opportunity for a public
meeting, keep a transcript of the public
meeting and make it available to the
public, prepare a written summary of
significant comments submitted along
with the lead agency response, and
make the summary available with the
record of decision (ROD). When the
ROD is signed, § 300.430(f)(S)
(§ 300.430(f}(6) in the final rule) requires
the lead agency to publish a notice of
availability and make the ROD
available for public inspection prior to
the start of remedial action. Section
300.815(a) requires the lead agency to
make the administrative record file
available for public inspection when the
RI begins.
  General discussion: CERCLA.
establishes the basic framework for
community relations activities during
response actions. Consistent with the
flexibility provided by CERCLA and to
allow public: participation activities to
be tailored to site-specific
circumstances, the NCP specifies the
minittmin level of public involvement
but does not preclude  the lead agency
front undertaking additional public
involvement! activities where
appropriate. EPA has implemented a
variety of additional public involvement
activities at Superfund sites over the
past nine years that have proven helpful
to affected communities in
understanding and participating in
response action decision-making.
  Shortly after the completion of the
public comment period on the proposed
NCP last year, EPA issued "A
Management Review of the Superfund
Program," William K. Reilly,
Administrator, U.S. Environmental
Protection Agency. One aspect of the
study was community involvement. The
study includes a series of
recommendations, some of which
reinforce existing practices while others
present new ideas. Many specific
recommendations in this report are
consistent with requirements in the final
rule. Other ideas discussed in the
management review are highlighted in
today's preamble as further examples of
good program practice that encourage
public involvement.
  Public participation and involvement
is also a major focus of administrative
record requirements under subpart I.
Requirements and recommendations on
subparts E and I on public participation
interrelate to a large degree. •Therefore,
there is some discussion in this section
of today's preamble on the
administrative record.
  Response to comments: Many
comments were received on the
community relations requirements in the
NCP. Some commenters addressed the
organization of community relations
requirements in the proposed NCP. One
commenter impported the reorganization
of community relations requirements
with the actions to which they apply.
Another coiamenter stated that the
requirements should be in a separate
subpart with subsections corresponding
to the phases of the process.

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            Federal Register / Vol. 155. No. 46  /  Thursday. March 8. 1990  / Rules and Regulations       8767
  EPA disagrees that community
relations should be in a separate
subpart. EPA purposely reorganized the
placement of community relations
requirements in order to ensure a clearer
and more orderly integration of
community relations into each
appropriate phase of the Superfund
process.
  Several commenters recommended
increased opportunities for public
participation, while one commenter
suggested that the proposed community
relations procedures that exceed those
required by CERCLA may hinder timely
cleanup efforts. The commenters
recommending increased participation
asserted that the NCP should specify
formal public involvement throughout
the entire process, beginning with
notification to communities at the
preliminary assessment/site inspection
(PA/SI) stage and continuing through
site closure and deletion. A commenter
stated that the Superfund process should
include regular input from the
community and another commenter
suggested that the public should be
informed about the project and any
problems that may arise in the short and
long term. Several commenters stated
that investigators should use citizens as
a source of information about sites in
their communities.
  fa response,'EPA does not agree that
the proposed community relations
requirements will hinder timely
cleanups because such requirements
have been carefully integrated into the
response process so as not to interfere
with other activities necessary for
cleanup. EPA encourages the lead
agency to involve the interested public
through all stages of the cleanup process
and to be responsive to the
communications needs of communities
near Superfund sites. It is EPA's .
experience, however, that not all
communities desire or request a
multitude of public involvement
activities. Moreover, the degree of
appropriate involvement will vary with
the characteristics of the site and the
nature of the response. Therefore, EPA
believes that it is inappropriate to
specify in a general ride, such as the
NCP, a detailed regimen of all potential
public involvement activities that may
be appropriate or desirable in certain
situations. Thus, EPA believes that the
provisions in the NCP which incorporate
statutory requirements and basic
community relations activities which
EPA has found through experience to be
necessary, establish  adequate minimum
public involvement requirements for all
Superfund sites.
  If, however, members of a community
desire more opportunities for
participation or involvement than
specified in the NCP, ibr example, public
involvement activities as early as the
PA/SI stage, they may request that the
lead agency conduct such activities.
Informal contact with interested
community members and local officials
during the early stages of the response
process may be desirable, for example,
in communities where it is suspected
that the site presents a high risk to the
population or where there is significant
citizen interest. A mailing list of
interested community members could be
compiled at this stage as necessary to
implement public involvement activities.
Moreover, a fact sheet could be
prepared during the SI to explain the
purpose of the SI and its possible
outcomes.
  EPA agrees that interviews of
residents of the community can be a
major source of information about
conditions at and the history of a site.
Through such interviews, the lead
agency can also identify community-
specific interests and concerns and may
also gather information helpful in
identifying PRPs. The NCP includes
community interviews as part of the
public involvement activities to be
conducted at Superfund sites.
  Another commenter suggested that the
public should be involved through
meetings and comment periods before
the proposed plan is issued. One
commenter suggested that the lead
agency be required to hold a public
meeting .on the work plan for the RI and
that the community should be allowed
to review the RI report The commenter
further suggested that written
responsiveness summaries be prepared
by the lead agency for the comments
raised at the public meeting on the RI.
Another commenter felt that the public
should receive  more education about the
ramifications of investigation results. In
addition, a commenter asserted that
information on risk should be included
in RI/FS reports and should be
explained to the public.
  The NCP provides one formal
comment period on the proposed
response action at all sites (except
certain time-critical removals}. In
addition, the administrative record is
available for public review prior to, and
following, the formal comment period.
While EPA agrees that additional
comment periods and meetings, both
formal and informal, may be appropriate
and desirable at certain sites, decisions
on what type of additional formal public
involvement activities are warranted
must be made on a site-specific basis,
and thus are not mandated in the NCP.
If a person needs more information
about a site, he/she may, at any time in
the remedial process, review the
ongoing compilation of documents in the
administrative record file or request that
the lead agency conduct a public
briefing or workshop in addition to that
required by the NCP. EPA may conduct
a public briefing-on the RI work plan or
provide some other type of public
information meeting when there is
sufficient public interest EPA
encourages all lead agencies to consider
such activities. Similarly, if a person
needs more explanation concerning the
RI and risk assessment and
ramifications  associated with them (a
description of the risk posed by a site
generally is included in the RI report).
he/she can request that the lead agency
conduct a public briefing. Lead agencies
are encouraged but not required to
prepare a responsiveness summary for
any comments submitted outside of
formal comment periods.
  Several commenters addressed the
development of CRPs. One commenter
argued that the start of community.
interviews should be publicized'and
should include mention of the
availability of technical assistance
grants (TAGs). Another commenter
objected to the limited, nonsubstantive
nature of community interviews. Other
commenters said there should be more
community involvement in developing
CRPs and that they should be a "two-
way communications tool", rather than
a "one-way dialogue" or "sell job" from
the agency to  the community. Additional
commenters suggested that the
community should review drafts of the
CRP.
  EPA does not agree that the lead
agency must publish a notice in a
newspaper on the initiation of
community interviews. The lead agency
generally will give notice to key
community leaders that interviews are
being conducted. Every effort is made to
obtain a broad representation of the
community in selecting individuals to
interview and additional names may be
gathered during the interview process.
The NCP identifies local officials,
community residents, public interest
groups, or other interested or affected
parties as individuals to interview, but
this is not meant to be an all inclusive
list EPA believes that any and all
interested parties are potential
interviewees.  EPA has added the
requirement that the lead agency inform
the members of the community of the
availability of technical assistance
grants [TAGs]. In response to comments
that the community should review drafts

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Federal Register / Vol. 55. No. 46 / Thursday. March 8, 1990 / Rules and Regulations
of the CRP, generally it is notEPA's
practice to publidy release draft
documents in order to protect the lead
agency's deliberative process. However,
persons may submit comments on the
final CRP to the lead agency, which
may, as appropriate, revise the CRP in
response to these comments. And, in
fact, since the CRP is itself a public
involvement tool, lead agencies may
modify public outreach activities based
on the interviews or other information
obtained through implementation of the
CRP.
  During the community interviews, the
lead agency is required to determine
"how and when citizens would like to be
involved in the Superfund program."
Once this is known, the public
participation activities desired can be
planned and implemented on a site-
•pecific basis appropriate to the level of
interest within that community. These
activities will be described in the CRP
that is developed for each site.
Therefore, because the interviews are
the primary source of information to the
lead agency about community concerns,
and such information is used to develop
the CRP. EPA does not agree with the
conunenters* description of the CRP as a
"one-way dialogue" or "sell job." EPA
intends that there be extensive public
involvement in developing the CRP.
namely In identifying community
concerns about the site and in
determining the appropriate
opportunities for community
involvement in site activities.
  However, because such comments
were received revealing an apparent
misunderstanding of the CRP. EPA is
revising § 300.430(c] to clarify the
purpose of the CRP which is: (1) To
ensure that the public receives
appropriate opportunities for
involvement in a wide variety of site-
related decisions, including during site
analysis and characterization,
alternatives  analysis, and selection of
remedy; (2) to determine, based on
community interviews, appropriate
activities to  ensure such public
involvement; and [3) to provide
appropriate  opportunities for the
community to leam about the site.
   One commenter claimed that while
potentially responsible parties {PRPs)
are involved at every step of the
remedial process, citizens are shut out of
decision-making concerning the scope of
the sampling programs, definitions of
affected populations, assumptions made
 during risk assessments, establishment
 of remedial action objectives, and many
other issues that are central to the final
selection of remedy. Other comments
were received on the availability and
                           accessibility of information- One
                           commenter observed that information
                           repositories should be locally available.
                           Several commenters suggested that free
                           copies of documents should be made
                           available and the repository should
                           include an index to facilitate document
                           retrieval. One commenter stated that
                           there should be citizen review of
                           contractor reports.
                            EPA.agrees that the lead agency
                           should provide citizens and PRPs with
                           access to the same technical information
                           about the site throughout the cleanup
                           process and believes that the NCP
                           provides this access. As required by the
                           statute, the NCP provides for the
                           establishment and public availability of
                           the administrative record files for each
                           response action. These files generally
                           will become available early in the
                           decision-making process and will
                           include the types of documents
                           mentioned by the commenter. Members
                           of the public are provided an
                           opportunity and are encouraged to
                           review the documents prior to or during
                           the comment period. In addition, citizen
                           understanding of complex, technical
                           issues will be improved if lead agencies
                           and PRPs, where conducting response
                           actions, produce clear and
                           understandable summaries of technical
                           documents. EPA intends to work with
                           PRPs in the preparation of summaries of
                           technical documents for the public to the
                           .extent that summaries are not already
                           included in fact sheets, updates, and the
                           proposed plan. Lead agencies should
                           provide copies of these summaries in the
                           information repository and, where
                           appropriate, the administrative record
                           file.
                           •  In addition to the administrative
                           record file discussed above, the NCP
                           further requires that the lead agency
                           establish an information repository
                           before field work for the RI begins. Like
                           the administrative record, the
                           information repository is located at or
                           near the site. This repository should
                           contain a  copy of items made available
                           to the public, including, unlike the
                           administrative record file, those not ,
                           directly related to selecting a remedy.
                           EPA generally provides for reasonable
                           access to  documents by making
                           information repositories convenient to
                           the interested public, in terms of
                           location, operating hours and copying
                           facilities,  and by indexing the materials.
                           Lead agency staff should complete any
                           necessary reviews of documents as
                           quickly as possible so they can be
                           released to the public and placed in the
                           information repository and the
                           administrative record file. The public
                           should receive notice of the availability
of documents through fact sheets or
other mailings.
  In response to the comment that
citizens should be able to review
contractor reports, EPA stresses that the
lead agency creates an administrative
record file containing those documents
that form the basis for the selection of a
response action. Reports developed by
contractors that are relevant to response
selection will be included in the
administrative record file. EPA is not
requiring, however, that all contractor
reports be made available to the public.
Contractor reports that are not relevant
to response selection decision-making
are not part of the administrative record
(see subpart I of the NCP for a
discussion of the administrative record).
  Another commenter asserted that EPA
should notify the public of meetings with
PRPs and allow a citizen representative
to be present Related to this issue.
another commenter requested
clarification of the provision in the
proposed NCP allowing the lead agency
to conduct technical discussions with
PRPs and tltte public separately from, but
contemporaneously with, negotiation/
settlement discussions. One commenter
recommended that citizen advisory
committee:: be created as  a part of the
Superfund community relations process
to facilitate a partnership between EPA
and community representatives.
  The rule does allow for technical
discussion); involving responsible
parties and the public. They are,
however, to be held separately from
settlement negotiation discussions in
which information on liability of a party
and other «nforcement sensitive issues
are discussed. Lead agencies should.
however, bring citizens into technical
discussions early in the RI/FS process.
Some mechanisms, such as community
work groups, task groups  and
information committees, have proven
successful in bringing together citizens,
local government officials, and PRPs.
EPA encourages communities to form
work groups and to keep these work
groups informed about lead agency
actions. EPA, however, is not revising
the NCP to require the establishment of
more formal groups such as citizen
advisory committees. Such committees
may not be necessary or appropriate for
every site. Further, if EPA were to
establish formal citizen advisory
committees, they may be subject to the
Federal Advisory Committee Act which
 sets specific restrictions on the
 composition and conduct of such
 committees.
   Several commenters indicated that the
 language in subpart I on administrative
 record, stating that EPA is not required

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            Federal Register / Vol. 55, No. 46 / Thursday, March 8, 1990 / Rules and Regulations      8769
 to respond to comments submitted
 before the public comment period, sends
 the'wrong message regarding EPA's
 interest in public participation. The
 commenters urged EPA to encourage
 response to early comments, thereby
 improving decision-making. Another
 commenter asked that the public be
 provided not only a summary of the
 support agency's comments on the
 proposed plan but the lead agency's
 response to those comments as well
  Although EPA agrees that a prompt
 response to comments is desirable hi
 most cases. EPA is only requiring a
 formal response to. comments to be
 prepared after the close of the public
 comment period on the proposed plan.
 EPA is not requiring that comments
 received before the public comment
 period be responded to  before the
 comment period for several reasons.
 First, it is likely that the lead  agency
 •would not have enough information to
 sufficiently respond to some comments
 early in the process of investigating and
 analyzing sites or prior  to receipt and
 consideration of all public comments.
 Second, if the NCP required comments
 (e.g., PRP volumes of comments and
 studies) to be responded to as they were
 received, site managers could
 continually be diverted  from their site
 cleanup tasks to spend time responding
 to comments. The NCP.  therefore,
 requires that comments must  be
 responded to only during specific times
 in the process. The NCP requires that
 the lead agency summarize the
 comments received during the comment
 period on the proposed  plan and provide
 its response  to these comments. This
 document, the "responsiveness
 summary." is part of the record of
 decision, and is placed in the
 administrative record file. Site managers
 may respond to comments received at
 other times at their discretion. However,
 as discussed in the preamble  to subpart
 I, EPA has revised the rule to encourage
 lead agencies to respond to significant
 comments submitted prior to  the formal
 comment period.
  Other commenters said there should
 be additional communication with the
 public, such as more public meetings.
 direct mailings, and an improved
'notification system. A commenter
 suggested that the lead  agency should
 be required to compile a site mailing list.
 EPA encourages such additional
 communication with the public in order
 to respond to their information requests.
 The lead agency will determine what is
 the most effective notification system
 for a particular site. Therefore, EPA
 believes that it is not appropriate or
 necessary in the NCP to require such
activities, e.g., a site mailing list, at all
sites.
  Some commenters suggested that the
NCP require the lead •agency to make
available at public meetings conducted
to discuss the proposed plan, those
consultants or lead agency ;
representatives who prepared the RI/FS
and selected the response.
  EPA does not agree that it is
necessary for the NCP to require at
every site that the consultants who
aided in the development of the
proposed plan or RI/FS attend public
meetings on the proposed plan. The lead
agency is responsible for conducting
such meetings and the presence of
consultants is not always necessary in
order for'the lead agency to explain the
proposed remedy and the supporting
analyses and to respond to questions
asked by the public.
  A series of commenters addressed the
specifics of the technical assistance
grant [TAG) program, the timing of TAG
awards in the remedial process, and
how TAGs should be implemented. One
commenter stated that TAG'should be
integrated into the community'relations
provisions of the NCP. Another
commenter recommended that TAGs be
referenced or directly incorporated in
the NCP in order to assist in promoting
participation in the TAG program. A'
commenter offered specific language to
be inserted into the NCP, which would
include stating that EPA would
encourage citizens to apply for TAGs.
  Specific comments on the TAG
program will be addressed in the TAG
final rule. However. EPA does agree that
TAGs also should be discussed in the '
NCP. Specifically, the availability of
TAGs is now referenced in § 300.430[c).
By including a reference to TAGs in the
NCP, EPA intends to encourage  citizens
to apply for TAGs.
  Additionally. EPA encourages PRPs to
provide grants to communities to enable
them to obtain independent technical
assistance as a complement to, and
separate from, the EPA TAG program.
EPA can provide information and advice
to PRPs and communities regarding how
such PRP grants have been used
successfully at other Superfund sites.
  A commenter stated that the cleanup
process in general, from the RI/FS to
remedy selection, is hindered by a lack
of a free flow of information' between
lead agencies and PRPs. Commenters
argued that PRPs need increased
opportunity to participate in the
decision-making process. They
recommended that the NCP provide an
opportunity for PRPs to receive copies of
and to formally-comment on all  key EPA
decision documents, including the work
plan, sampling results, the risk
assessment, and the detailed remedial
studies. One commenter contended that
allowing PRPs to comment only on the
proposed plan limited PRPs from
developing the administrative record in
a meaningful way, violated their due
process rights, and was contrary to the
intent of CERCLA. Another commenter
suggested that there should be a formal
mechanism for PRPs to participate in the
development of the administrative
record with regard to the selection of
remedy.
  In response to -the comments
suggesting more PRP involvement EPA
believes that the NCP provides
numerous opportunities for PRP
involvement. When the lead agency
identifies PRPs. they are presented with
the opportunity to undertake the
remedial investigation  and feasibility
study and cleanup under lead agency
oversight If PRPs choose not to
undertake these tasks,  they are provided
with the same opportunities for
involvement in site cleanup decisions  .
that the general public is afforded. The
regulations promulgated today require
that some of the documents specifically
requested by some commenters
(sampling results, risk assessments, and
others) are placed in the administrative
record file as soon as they are available
for public review. Such documents may
be commented on during the comment
period on the proposed plan. The NCP
provides PRPs with a full opportunity to
comment on key decision documents,
not just the proposed plan, and to
participate in the development of the
administrative record. Thus, public
involvement opportunities provided by
the NCP are fully consistent with
congressional intent and any due
process requirements. Subpart I also
includes a discussion of the
development of the administrative
record.
  One commenter asserted that states
should have discretion to vary the
community relations process, for
example, substituting news releases for
paid advertisements to announce the
proposed plan, comment periods, and
public meetings; substituting a tape
recording for a written transcript of
public meetings; and shortening the
public comment period in some cases to
less than 30 days.
  EPA does not agree that lead agencies
should have discretion to vary the
community relations requirements set
out in the NCP. In order to ensure
adequate minimum public participation
at all sites across the nation. EPA
maintains that the lead agency must

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 8770
            Federal  Register / Vol. 55. No. 46 / Thursday. March 8, 1990  / Rules and Regulations
 comply with the community relations
 requirements specified in the NCP.
  Final rule:  The following additions
 are made to proposed § 300.430(c):
  1, The purpose of the community
 relations plan is described, in
 § 300.430(c)(2J(ii).
  2. A statement on the availability of
 technical assistance grants (TAGs) has
 been added to § 300.430(c](2)(iv).
  Name: Sections 300.415(m](2)(ii],
 300.430{fX3)[iHq and3o6.435(c)(2){ii){C).
 Length of public comment period.
  Existing rule: Section 300.67 requires
 a minimum 21-calendar day public
 comment period on feasibility studies
 that outline alternative remedial
 measures.
  Proposed rule: Proposed
 ! 300.415{n)(2)(5J) (§ 300.415{m)(2){ii) in
 the final rule) required a minimum 30-
 day public comment period on the
 administrative record, as appropriate,
 for time-critical and non-time-critical
 removal actions. Proposed
 130a430ffl(2KiHC) {§ 300.430(fJ(3)ti){C)
 in the final rule) and
 § 300.435{c)(2){ii){C} required a minimum
 30-calendar day public comment period
 on the proposed plan and other
 documents for remedial actions.
  Response to comments: Several
 commenters requested that the minimum
 duration of the public comment period
 for remedial actions be increased. Most
 commenters recommended a 60-day
 minimum and some recommended at
 least a 90- or 120-day period. A few
 commenters requested that the minimum
 public comment period for non-time-
 critical removal actions be increased
 from 30 to 60 days. One commenter
 requested such an increase for time-
 critical and non-time-critical removal
 actions.
  Many reasons were given for
 increasing the minimum comment
 period, including that it would allow
 more time to review large volumes of
 technical information and complex
 issues and to obtain technical assistance
 in reviewing such information. Some
 commenters noted the importance of the
 comment period because it is the only
meaningful opportunity to provide input
 on the proposed remedial action. One
 commenter asserted that selection of a
remedy typically represents an
expenditure of millions of dollars and
 that a full airing of the alternatives with
 a meaningful opportunity to evaluate
and comment  on the alternatives is
warranted to avoid the squandering  of
public and private resources. Another
commenter added that a longer
comment period would not threaten the
environment because EPA retains its
ability to respond to imminent threats.
 One commenter suggested that a
 comment period of less than SO days
 may be adequate for emergency actions
 or when the community agrees with the
 remedy.
   There is no question that the public
 comment period should be long enough
 to allow sufficient review of the
 proposed plan and key documents in the
 administrative record file, and should
 take into account the length and
 complexity of the information under
 review at such time. EPA notes that
 some if not most of these lengthy
 technical documents are placed in the
 administrative record file and made
 available for public review well before
 the start of the comment period, thus
 allowing a longer time for review of key
 supporting documents. Also, the NCP
 does not preclude the lead agency from
 extending the period upon request and
 such requests have been typically
 granted. EPA believes, however, that
 because of the importance of the public
 comment period to response selection
 decision-making, further time for
 comment should be explicitly specified
 in the NCP. Therefore, EPA has revised
• the public comment period for remedial
 actions to State that the minimum
 comment period to be provided is 30
 days but that this period will be
 extended an additional 30 days upon
 timely request (in order to be "timely," a
 request generally must be received
 within 2 weeks after the initiation of the
 public comment period). The lead
 agency may extend the comment period
 on its own initiative when it is
 appropriate or necessary to do so or
 announce from the outset that the
 comment period will be longer than 30
 days. EPA has also revised the language
 on non-time-critical removal actions to
 provide that an additional 15 days to the
 public comment period will be granted
 upon timely request. EPA believes that a
 longer (Le^ 30-day) extension for
 removal actions is not necessary
 because the documents involved
 generally are not as lengthy or complex
 as for a remedial action. Any further
 extensions are within the discretion of
 the lead agency. This change is also
 consistent with the Superfund
 management review referenced above,
 which specifically recommended
 extending the comment period for
 remedial actions an additional 30 days,
 upon request
  Final rule:  The final rule will be
 revised as follows:
  1. Add to § 300.415(m)(4)(iii): "Upon
 timely request, the lead agency will
 extend the public comment period by a
 minimum of 15 additional days."
  2. Add to §1 300.430{f)(3)(i)(C) and
 300.43S{c)(2){ii)[C): "Upon timely
 request, the lead agency •will extend the
 public comment period by a minim^y of
 30 additional days."
   Name: Section 300.435(c). Community
 relations duiiing remedial design/
 remedial action.
   Existing rule: Section 300.67 addresses
 community relations in general, but does
 not include community relations
 requirement! during the RD/RA stage.
   Proposed ode: CERCLA section 117(c)
 requires publication of an explanation of
 significant differences (BSD) if the
 action differs in significant respects
 from the final plan. Proposed
 § 300.435(c) -provides for revision of the
 community relations plan prior to
 initiation of remedial design if necessary
 to address new concerns. It also
 specifies procedures for publishing an
 explanation of significant differences
 (ESD) from the ROD and for amending a
 ROD. The lead agency is required to
 provide an opportunity for public
 comment only when it proposes to
 amend a ROD.
  Response,to comments: Many
 commenters requested the opportunity
 for increased public participation
 throughout the post-ROD period. Several
 commenters strongly recommended
 keeping the public informed about
 changes and accomplishments during
 design and construction of the remedy.
 Some suggested that the states should
 continue to be provided with
 opportunities for substantial and
 meaningful p articipaticm through the
 post-ROD period. Others stated that the
 lead agency ishould be required to seek
 out and respond to observations of
 residents neiir the site during remedial
 action. One commenter recommended
 that public involvement be mandated in
 the NCP until final closure, stating that
 ouch action would encourage teamwork
 and reduce adversarial relationships
 and distrust (during cleanups.
  Some commenters objected to the
 proposed req;uirement for revising the
 community relations plan because it is
 not required by statute and will further
 slow down the cleanup process. One
 suggested that press releases will satisfy
information needs of the community.
  Some commenters stated that
community relations activities during
RD/RA other than those specified
 should be determined on a site-by-site
basis at the discretion of the lead
agency. Such activities should reflect the
degree of public concern communicated
through the community interviews and
the revision of the CRP.
  Another commenter recommended
that a fact sheet be issued or a public
meeting be held prior to completion of

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             Federal Register / Vol. 55. No. 46  /  Thursday. March 8, 1990  /  Rules and Regulations       877J-
  remedial design, that the information
  repository should continue to be
  maintained and that interviews be
  conducted when revising the community
  relations plan.
    EPA agrees that public participation
  throughout the remedial design/
  remedial action (RD/RA) stage of the
  remedial response is important It is
  EPA's intent to continue to undertake
  activities during RD/RA that involve
  affected communities and interested
  parties in actions taken at a site to
  ensure that the concerns of interested
  parties are addressed. The proposed
  rule provided for revision to the
  community relations plan (CRP) during
  RD/RA in cases where community
  concerns are not already addressed by
  the CRP. The final rule requires the lead "
.  agency to review the CRP prior to the
  initiation of the remedial design. This
  revision is more proactive  than the
  proposed rule because it ensures that
  the lead agency will reevaluate at every
  site the adequacy of the CRP for the ED/
 RA phase of response. If further public
 involvement activities during RD/RA
 are not already described in the CRP.
 the CRP will be revised so  that an
 appropriate level of public involvement
 will be maintained. EPA believes that it
 is necessary to reassess citizens'
 concerns after selection of the remedy in
 order to evaluate the effectiveness of
 EPA's communications efforts to date
 and to determine whether public
 involvement concerns have changed as
 a result of changes in the community.
 EPA recognizes that during the
 Super-fund process, elected officials may
 change and new people may move into
 the area. The review of the CRP at the
 RD/RA phase will allow the lead agency
 to take into account concerns raised by
 these new members of the community.
  Additionally, in response to comment,
 EPA has revised the NCP to require lead
 agencies to conduct further public
 involvement activities during RD/RA,
 including distributing a fact sheet on the
 final engineering design to the
 community and other interested persons.
 The fact sheet will enable the lead
 agency to inform the public about
 activities related to the final design,
 including the schedule for implementing
 the remedy, what the site will look like
 during operation of the remedy and an
 explanation, if appropriate, of the roles
 of the various government agencies that
 may be involved in the remedial action.
 e.g.. EPA, the state or the Corps of
 Engineers. A fact sheet generally can
 contain more information than a press
 release so it is preferred as a means of
 communication with the public. Site
.contingency plans and any potential
 inconveniences that may occur, such as
 excess traffic or noise, should also be
 explained.
   EPA is also requiring that a public
 briefing be provided, as appropriate,
 near the site prior to initiation of the
 remedial action. A public briefing could
 address issues such as construction
 schedules, changes in traffic patterns,
 location of monitors, and ways in  which
 the public will be informed of progress
 at the site. EPA believes that these types
 of activities can keep the community
 fully informed of activities at  the site
 throughout remedial! design and
 remedial action.       •  • *
   EPA encourages lead agencies to
 develop additional public involvement
 activities, in response to the specific
 needs of a community. Activities may
 include fact sheets on the status of
 negotiations with PRPs, continuing to
 maintain information repositories, as
 well as workshops to assist the public in
 understanding how the cleanup
 technology will work.    ;
   EPA does not agree that such
 activities will necessarily lead to
 substantial delays at sites. EPA places
 high value on full and deliberate public
 involvement because EPA believes it is
 important that the public is aware  of
 what is being done in the community.  In
 addition, the information received  from
 the public may be helpful in designing
 and conducting cleanup activities and in
 avoiding misunderstandings that may, in
 the long term, disrupt or delay cleanup
 efforts.                 :
   In response to the comment  requesting
 that the NCP specify opportunities  for
 state involvement after the ROD is
 signed, the amount of state' participation
 with respect to an explanation of
 significant differences (ESD) is
 discussed in the next preamble section.
 State involvement during RD/RA will  be
 specified in site-specific cooperative
 agreements or Superfund state contracts
 rather than in the NCP (see preamble
 section below corresponding to
 § 300.515(g)).
  Final rule: Proposed § 30
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 8772      Federal Register / Vol. 55. No. 46 / Thursday. March 8, 1990 / Rules and Regulations
out public input before proposing to
•mend the ROD because public
comments are of little use after a
decision has been made. Others argued'
that reopening a final decision for
additional public  comment can lead to
additional delay and cost in completing
remedial actions. A commenter stated
that CERCLA does not require a ROD
amendment to be subject to public
comment Several commenters
requested that the lead and support
agencies should concur on proposed
significant changes and ROD
amendments before proposed changes
are announced to the public. One of
these commenters recommended that
the lead agency be required to respond
to a support agency's disagreement with "
a proposed ROD amendment in the
notice of availability and in the new-
proposed plan.
  Many commenters contended that the
distinction between significant
difference and ROD amendment was not
clear and requested clarification. One
commenter recommended that the
public be given the opportunity to
comment on significant changes.
Another commenter recommended that
PRPs have an opportunity to comment
on proposed significant changes.
  One commenter recommended that
the preamble to the final NCP state that
the lead agency will reconsider its
remedy when new information indicates
that the selected remedy may not be
cost-effective or is otherwise
inconsistent with  the NCP.
  EPA responds to the above comments
by clarifying changes to the ROD after
the ROD has been signed. After the ROD
is signed, new information may be
generated during the RD/RA process
that could affect the remedy selected in
the ROD. Three types of changes can
occur (i) Nonsignificant changes: (2)
significant changes; and  [3] fundamental
changes. The lead agency must identify
when a remedial action,  settlement, or
decree differs significantly from the
ROD.
  Nonsignificant changes are minor
changes that usually arise during design
and construction,  when modifications
are made to the functional specifications
of the remedy to optimize performance
and Tninimfog cost. This may result in
minor changes to  the type and/or cost of
materials, equipment facilities, services
and supplies used to implement the
remedy. The lead agency need not
prepare an ESD for minor changes.
These changes should be documented in
the post-ROD file, such as the RD/RA
case file.
  Significant changes to a remedy are
generally incremental changes to a
component of a remedy that do not
 fundamentally alter the overall remedial
 approach. For example, the lead agency
 may determine that the attainment of a
 newly promulgated requirement is
 necessary, based on new scientific
 evidence, because the existing ARAR is
 no longer protective. Where this new
 requirement would aifect a basic feature
 of the remedy, such as timing or cost
 but not fundamentally alter the remedy
 specified in the ROD (i.e., change the
 •elected technology), the lead agency
 would need to issue an explanation of
 significant differences announcing the  •
 change. Another example would be
 when sampling during the remedial
 design'phase indicates the need to
 increase the volume of waste material to
 be removed and incinerated by 50
 percent requiring an increase in cost in
 order to meet remediation goals. This
 increase in the scope of the action
 represents a significant change and
 requires an ESD. Similarly, the lead
 agency may decide to use carbon
 adsorption instead of air stripping to
 conduct ground-water treatment This
 change requires an ESD to notify the
 public of the change: however, the basic
 pump arid treat remedy remains
 unaltered and the performance level
 specified hi the ROD will be met by the
 new technology, so a ROD amendment
 is not necessary.
   If the action, decree, or settlement
 fundamentally alters the ROD in such a
 .manner that the proposed action, with
 respect to scope, performance, or cost is
 no longer reflective of the selected
 remedy in the ROD. the lead agency will
 propose an amendment to the ROD. For
. example, the lead agency may have
 selected an innovative technology as the
 waste management approach in the
 ROD. Studies conducted during remedial
 design may subsequently indicate that
 the innovative technology will not
 achieve the remediation goals specified
 as protective of human health and the
 environment in the ROD. The lead
 agency, based on this information, may
 determine that a more conventional
 technology, such as thermal destruction,
 should be used at the site. In this event
 the lead agency will propose to amend
 the ROD. The public will have a full
 opportunity to comment on the proposed
 amendment. Thus, contrary to the
 commenters' suggestion, the final
 decision to amend is not made until
 after consideration of public comment
 as in the original ROD.
   EPA also disagrees with the
 commenter who suggested that public
 comment should not be provided for
 ROD amendments because CERCLA
 does not require it This comment
 apparently is based on the
 interpretation that once EPA selects a
final remedial plan, any further changes,
even those not contemplated in the
proposed plan or ROD and thus never
subject to public comment would need
no public comment EPA agrees that
CERCLA section 117 expressly provides
for public comment only on the
proposed plim and provides only a
notice requirement for significant
changes. However, EPA disagrees with
the commenter's interpretation that the
lack of an eicplicit requirement in the
statute means that no public comment is
necessary for any changes'to the ROD.
The public comment on the original
proposed plan required under section
117(a) could be rendered meaningless by
a revision which is fundamentally
different from the remedies suggested in
the proposed or final remedial plan. EPA
does not believe that Congress intended
that the critical public involvement
opportunities provided in section 117
could be made irrelevant in such a
manner. Moreover, because ROD
amendments are as important a part of
the remedial decision-making process as
the selection of the original remedy, EPA
believes that the public comment
opportunities on changes to the ROD
should be treated with equal
importance.
  One commenter stated that the public
should have the opportunity to comment
on the ESD. arguing that to do otherwise
would deny PRPs their due process
unless they were allowed to add to the
administrative record. EPA disagrees
with this comment
  EPA has attempted to develop an
administrative process which balances
.the public's continuing need for
information about, and input into, post-
ROD remedial action decisions, with the
lead agency's need to  move forward
expeditiously with design and
implementation of the remedy after
fundamental, decisions have been made
in the ROD. Thus. § 300.435[c) of the
final rule provides that where EPA plans
to make a fundamental alteration in a
selected remedy, EPA is required to
modify the ROD. and to follow a public
comment process similar to the
development of the original ROD.
However, where the change to the
action is "significant"—such that the
public should be notified of it—but is
not a fundamental alteration of the
selected remedy with respect to "scope,
performance, or cost" the lead agency
may publish an ESD without triggering a
new round of comment as provided in
§ 300.435[c) isnd section 117(c) of
CERCLA.
  This is not to say that the public is
excluded from the administrative
process when ESDs are issued; rather.

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           Federal Register / Vol. »5. No. 46 / Thursday. March 8. 1990 / Rules and Regulations
                                                                      8773
they have notice and a limited
opportunity to comment. Specifically,
EPA is required to document the
rationale for the changes contained in
an ESD, and to include such rationale in
the administrative record for public
review, pursuant to §§ 300.435[c) and
300.825(a). Then, if a commenter
presents new information which
substantially supports the need for
significant changes to the remedy (as
modified by the BSD), the lead agency is
required to consider such comments.
Section 300.825(c). EPA believes that
these provisions provide ample
opportunities for public participation,
and that a separate comment period for •
each ESD {plus a period for response to
comment) is not necessary or consistent
with the need to take prompt action,
especially where the change is not a
fundamental one. It should be noted
that, although Congress provided for a
comment period on the proposed plan, it
did not require one for an ESD.
  It is also important to note that at the
time of an ESD, the public will already
have had an opportunity to comment on
the alternative remedial options for the
site [including the recommended
remedial option) during the comment^
period on the FS and proposed plan; it is
at that time that commenters may bring
to EPA's attention fundamental issues
concerning the remedial action that
should be taken. When an ESD is issued,
after remedy selection. EPA is simply
modifying the remedy to enhance its
protectiveness, effectiveness, or cost; by
definition, it is not a. "fundamental"
reconsideration of the basic remedy
selection decision on which comment
was taken. Just as EPA may initially
select a remedy that differs somewhat
from  those  proposed without triggering a
new round of comment each time
(indeed, the changes may be a direct
result of the comments), so may EPA
issue an ESD that reflects a
nonfundamental change or refinement in
the remedy without requiring a separate
round of comment.
   Commenters also requested more
 information on the procedures for
 executing an ESD, specifically on the
 roles of lead and support agencies.
 Commenters also recommended that the
 lead agency seek the approval of the
 support agency before releasing the
 ESD. When an ESD is issued, the lead
 agency should consult with the support
 agency (unless a SMOA. cooperative
 agreement, or Superfund state contract
 requires concurrence) prior to notifying
 the public  in a major local newspaper of
 general circulation. The lead and
 support agency win generally reach
 agreement on the proposed significant
 change. If agreement cannotbe reached,
 and dispute resolution processes are not
 effective, then the support agency's
 comments should be summarized in the
 ESD and placed in the administrative
 record files. The public notice of the
 ESD will summarize the explanation of
 significant differences by identifying the
 significant changes and the reasons for
 the changes. The lead agency will also
 place the explanation of significant
 differences and information supporting
 the decision in the information
 repository and administrative record
 file. Further information concerning
 issuance of ESDs on ROD amendments
 is available in "EPA's Guidance on
 Preparing Superfund Decision
. Documents." OSWER Directive 9355.3-
 02, October 1989 (Interim Final).
   One commenter requested EPA to
 remove the institutional bias against
 reopening the ROD, especially in the
 light of new monitoring data developed
 in the design phase or in studies on
 other operable units, that indicate the
 site is less hazardous than previously
 thought EPA recognises that new
 information may warrant rethinking a
 remedy selected for a site. EPA has
 designed procedures, described in
 5 300.435(c), for amending fee ROD if it
 is warranted by new information.
   FinalmIe.-'EPA. is promulgating the
 rule as proposed.
   Name: Other community relations
 requirements.
   Proposed rale: Section 300.155 is a
 new section in the proposed NCP
 outlining the purpose, applicability and
 general procedures for establishing
 community relations at a site, as well as
 cross-referencing community relations
 components of the removal, RI/FS, and
 remedial design sections of ;the
 regulations. Sections 300.415,300.430
 and 300.435 govern community relations
 procedures for the removal, RI/FS, and
 remedial design phases, respectively.
    Response to comments: Several of
 those submitting comments requested a
 general description of the enforcement
 community relations process in the.
 preamble to die proposed NCP.
    While the sections cited above and
  the preceding discussion detail the
  processes governing community
  relations at various stages in a
  Superfund cleanup, including an
  enforcement action, Ihe following
  discussion is intended to assist in giving
  an overview of the role of community
  relations as it relates specifically to
  enforcement actions.
    In response to citizen concerns, EPA
  has made an effort to foster better two-
  way dialogue between communities and
  those designing  and conducting a site
cleanup. EPA believes that responsible
and timely communication with the
public is essential both to improving site
responses through citizen input, and to
improving the public's understanding of
a site response in their community.
Accordingly, EPA feels that community
relations during an enforcement action
is an integral part of the process. In
fostering community involvement during
enforcement actions, regional
community relations coordinators
(CRCs) follow the same steps as they
would for Fund-financed actions:
Conducting community interviews,
developing community relations plans.
sending out public notices periodically
and conducting public information
meetings. The lead agency at any site
develops a community relations plan
taking into account the concerns of the
community. In enforcement cases, the
plan should describe how the lead
agency wiD keep the public apprised of
the nature of the discussion with PRPs.
EPA retains control over developing,
writing and implementing these plans at
"PRP-lead" sites, but PRPs can assist in
the development of a plan at the
discretion of the regional office.
  Community relations activities in the
form of meetings with groups of citizens,
local officials and other interested
persons in the community, often occur
before the RI/FS special notice is  sent
(see preamble to the proposed NCP on
special notice and moratoria, 53 FR
51432). Discussions of PRP liability and
possible settlement terms will generally
be reserved for confidential negotiation
sessions, but the lead agency will
attempt to explain these issues in
general terms to the public. Lead
agencies should bring citizens into
technical discussions early in the RI/FS
process, and aid members of the public
seeking to apply for technical assistance
grants.
   EPA received a comment asking that
federal agencies conducting a response
 action be granted greater flexibility
when implementing public participation
 requirements, as long as they meet the
 overall public participation objectives.
   Section 120(a)(2) of CERCLA holds
 federal agencies to the same NCP
 standards and requirements as any
 other party. In addition, the public
 participation requirements in the NCP
 establish basic minimum public
 participation requirements. Exempting
 federal agencies from, or granting them
 discretion in, following specific public
 participation requirements would run
 contrary to Congressional intent to
 institutionalize certain public
 participation activities in response
 actions and EPA's experience

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             Federal Register / Vol. 55, No. 46 / Thursday. March 8. 1990 / Rules and Regulations
 concerning what requirements for public
 involvement are essential. Subpart K of
 the NCP will address in greater detail
 the role of federal agencies other than
 EPA in carrying out a response action.
   Final rule: See other preamble
 lections on community relations for
 descriptions of changes to the proposed
 rule.

 Enforcement
   Name: Superfund enforcement
 program strategy.
   Proposed .rate; The preamble to the
 proposed NCP includes a brief
 discussion of the 1986 SARA
 amendments to CERCLA enforcement
 provisions. This discussion states that
 the SARA amendments added
 provisions "intended to facilitate
 responsible party financing of response
 actions. CERCLA section 122. for
 example, provides mechanisms by
 which settlements between responsible
 parties and EPA can be made, and
 allows for 'mixed funding* of response
 actions, with both EPA.and responsible
 parties contributing to response costs"
 (53 FR 51395).  ,
   Response to comments: One
 commenter stated that EPA should
 minimize Fund depletion through less
 stringent cleanups at many sites in favor
 of increased use of administrative
 orders and penalties to force FRF
 cleanup wherever viable PRPs are
 located.
   Since the 1986 amendments were
 passed. EPA has embarked on a course
 that increasingly seeks PRP funding of
 response actions and relies less on Fund
 expenditures. In addition. EPA's
 recently completed internal
 management review of the Superfund
 program ("A Management Review of the
 Superfund Program," June 1989) ranked  .,
 the increased use of enforcement
 capabilities to encourage PRP-funded
 cleanups as one of EPA's highest
 priorities. The comment above reflects a
 need for clearer articulation of what is
 already a well-established EPA policy to
 emphasize enforcement
  EPA will use the fact and threat of
 enforcement, encompassing a broad
 range of administrative and legal tools,
 to increase the proportion of cleanups
 undertaken by private parties.
  Final rule: There is no rule language
 on this issue.
  Name: Special notice and moratoria.
  Proposed rule: There is a general
 discussion of special notice in the
 preamble to the proposed NCP and an
 overview of the Superfund program and
response process (S3 FR 51432).
  Response to comments: Several of
those who submitted comments believe
 that the discussion of special notice and
 moratoria in the preamble to the
 proposed NCP provides a good
 introduction to the Superfund program,
 but asked for more specific language
 articulating EPA's enforcement strategy
 for the program clarifying a priority for
 enforcement responses over Fund-
 financed responses. One commenter
 requested language stating that formal
••negotiations are not the only vehicle for
 reaching a settlement with PRPs, and
 that informal negotiations can and do
 extend beyond the 60-day formal
 negotiation period if "sufficient progress
 has been made."
   EPA believes that a clear articulation
 of its goals for program enforcement is
 necessary and appropriate, but that this
 articulation belongs in the form of
 guidance documents on general policy
 goals and not as part of these
 regulations. The preamble to the
 proposed NCP discussion of § 300.430,
 special notice and moratoria, already
 articulates EPA's preference for
 enforcement responses clearly: "A
 fundamental goal of the CERCLA
 enforcement program is to facilitate
 settlements, i.e., agreements securing
 voluntary performance or financing of
 response actions by PRPs" (53 FR
 51432). The discussion also recognizes
 the important role of informal
 negotiations:" formal' negotiations
 should not be viewed as the sole vehicle
 for reaching settlement *  * * *
 [FJrequent interaction between EPA and
 PRPs. through exchange and 'informal'
 discussions may be appropriate outside
 of the formal' special notice
 moratorium" (53 FR 51432). The
 discussion specifies that negotiations
 can continue beyond the 60-day
 negotiations period if EPA receives a
 "good faith offer," a stipulation more
 specific than the broader "sufficient
 progress" language proposed by the
 commenter and reflective of statutory
 directives under section 122(e)(2)(b).
  Final rule: There is no rule language
 on this issue.
  Name: Exemptions for federal
 faculties.
  Proposed rule: Section 300.2 outlines
 the statutory requirement for NCP
 revision to reflect changes made to
 CERCLA by the 1986 SARA
 amendments. Section 300.3 describes the
 NCP as applying to federal agencies and
 states for responses governed under
 CERCLA and in cases of oil discharges
 and other hazardous releases. The
 preamble to the proposed NCP describes
 the applicability of the NCP to federal
 facilities {53 FR 51395-QS).
  Response to comments: One
 commenter proposed that a general
  "grandfather" clause be added to the
  proposed N(3> exempting federal
  agencies from complying with new NCP
  regulations for actions and studies on
  federal facilities already in progress and
  Initiated under preexisting NCP
  regulations. A related comment asked
  that a grandfather clause exempt any
  party who has initiated response actions
  at a site under the provisions of the
  preexisting NCP. A commenter argued
  that any other policy would be
  "disruptive to environmental progress."
   EPA disagrees, and believes that the
  new NCP provisions should take  effect
  30 days after promulgation, as provided
  herein. The commenter's suggestion
  would result in a situation where
  response actions "initiated" before this
  rule would be exempt However, many
  response actions—especially
• remediation of contaminated ground
 •water—can lake years to complete; it
 would not bet appropriate to exempt
 from this rule actions that will continue
 for long periods of time. EPA did
  consider the option of making the rule
 effective for those "phases" of response
 actions begun, after the effective date;
 however, it is difficult to divide
 response actions into distinct phases,
 especially in the case of long-term
 remedial actions. On the general issue of
 whether the new requirements will be
 burdensome, several points are worth
 noting. First EPA's stated policy has
 been to use the proposed NCP revisions
 as guidance, and in fact EPA has done'
 so; thus, the majority of provisions in
 today's rule lire well known. Second, to
 a large degree, today's rule implements
 the SARA statutory requirements, which
 have been in effect since 1986; ongoing
 actions are already required to meet
 those requirements.
   With regard to the suggestion that
 generally applicable NCP requirements
 should apply to federal faculties on a
 different schedule than would apply to
 others, EPA notes that CERCLA section
 120(a) is very clear in prohibiting special
 treatment for federal facilities:
   All guidelines, rules, regulations, and
 criteria which are applicable to preliminary
 assessments * * *, applicable to such
 facilities under the National Contingency
 Plan, applicable to inclusion on the National
 Priorities List, or applicable to remedial
 actions at such facilities shall also be
 applicable to facilities which are owned or
 operated by a department, agency, or
 instrumentality of the United States in the
 same manner and to the same extent as such
guidelines, rales, regulations, and criteria are
 applicable to other facilities (emphasis
 added).

 EPA will, however, after a notice and
 comment rule making, issue a new

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           Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules and Regulations       8775
subpart K to the NCP that will address
some of the special concerns of the
federal facilities, and problems unique
to federal facility cleanups.
  Final rule: See preamble section on
§ 300.3 for revisions to proposed rale.
  Name: Sections 300.420, 300.430 and
300.435. Early notification and
involvement.
  Proposed rule: Section 300.420
describes the methods, procedures and
criteria used during remedial site
evaluation. Section 300.430 describes the
specific tasks and activities of the RI/FS
process and selection of remedy,
including a preamble to the proposed
NCP discussion section on special notice
and moratoria pursuant to CERCLA
section 122(e) that describes how EPA
can issue special notice letters to PRPs
in pursuit of a settlement agreement
Section 300.435 describes RD/RA
activities, including procedures for
public and PRP notification when
remedial actions differ significantly from
those outlined in the ROD.
  Response to comments: Several of
those wlHrcommented believe that the
NCP should explicitly identify
opportunities for early PRP notification
and involvement and agreed that
notification should be made to all
parties as soon as practicable after site
discovery, both to facilitate settlements
and information gathering, and to help
EPA make an informed decision on
deferred listing. One suggested that the
proposed NCP state that EPA regional
staff should involve "willing" PRPs in
project scoping, resulting in less
remedial alternatives to evaluate. The
comment did not specify whether
"willing" referred to settling PRPs or
cooperative, nonsettiing PRPs, or both.
The comment added a request to include
an overall site remediation management
plan as part of the RI/FS in the proposed
NCP. Another comment suggested that
introductions to all three sections at
issue above should state EPA's
commitment  to issue general and special
notice letters to known PRPs before
taking any action at the site, finally, one
comment outlined a revised process to
better involve PRPs in remedial action:
PRPs should  be notified of selection of
an RI/FS contractor and be given copies
(with an opportunity to comment) of
project scoping and work plans,
sampling plans and all sampling results
as they become available, a list of
ARARs. a list of potential alternatives
for the FS, and copies of the risk
assessment.   '
  Section 300.415(a](23 adds language
articulating EPA's commitment to
contact known PRPs "to the extent
practicable" in order to "determine
whether they can and will perform the
necessary removal action" (53 FR
51500). EPA believes that it must
preserve its discretion regarding timing
of PRP notification provided in the
statute to protect its enforcement and
response flexibility. The preamble to the
proposed NCP already reflects EPA's
commitment to early notification and
early PRP involvement at a site in the
discussion of § 300.430: "EPA believes
that settlements are most likely to occur
and will be most effective when EPA
interacts frequently and early in the
process with PRPs" (53 FR 51432).
Specific regulations would restrict EPA
discretion and the use of incentives in
enforcement activities 1:o bring about a
settlement Finally, the statute already
provides PRPs with an opportunity for
further involvement in ithe RI/FS process
by entering into an agreement with EPA
and conducting the RI/JFS and/or the
response action.
  Final rule: EPA is promulgating the
rule as proposed.

Subpart F—State Involvement in
Hazardous Substance Response
  Subpart F is completely new. It
combines concepts described.in
separate sections in the existing NCP on
state role and involvement into one
subpart, which codifies all regulatory
requirements for state participation and
involvement in CERCLA-authorized  •
response actions. It'also includes the
minimum requirements EPA will follow
to ensure that all states are provided an
opportunity for "substantial and
meaningful" involvement in the
initiation, development, and selection of
remedial actions as mandated by
CERCLA section 121(f)(l). Following are
summaries of major comments on the
proposed subpart F and EPA's
responses.
  Name: Section 300.5. Definitions of
cooperative agreement and Superfund
state contract.
  Proposed rule: "The proposed NCP.
§ 300.5, includes definitions of two terms
not previously defined: Cooperative
agreement and Superfund state contract
Cooperative agreement means a federal
assistance agreement in which
substantial federal involvement is
anticipated during the project
Superfund state contract means a joint
agreement between EPA and a state that
documents any required cost share and
assurances necessary to conduct a
response action.
  Response to comments: Some
comments were received on the
definition of cooperative agreement
One commenter argued that the
definition should be revised to recognize
the availability of state cooperative
agreements under section 311 of the
Clean Water Act and the Coast Guard's
authority to enter into such agreements
under the Clean Water Act and
CERCLA section 104(d). Another
commenter stated that the recipient of a
cooperative agreement should already
have been determined to be qualified
and responsible to conduct the response
actions described in the cooperative
agreement without substantial EPA
involvement "Substantial EPA
involvement" was also disputed by
another commenter who suggested that
cooperative agreement be defined as a
federal assistance agreement which
authorizes the performance of federal
duties and responsibilities within a
prescribed scope.
  Cooperative agreements under
CERCLA are subject to the Federal
Grant and Cooperative Agreement Act
31 U.S.C. 6301-8. which defines
cooperative agreement as a legal
instrument in which substantial federal
involvement is anticipated. This
definition applies as well to CERCLA
cooperative agreements. Moreover, EPA
believes that there •will be substantial
federal involvement or oversight under
most CERCLA cooperative agreements.
  In 1988. the Office of Management and
Budget revised Circular-A102 and
established a government-wide
"common rule" for all federal agencies
which prescribed the administrative
requirements for federal assistance to
states, local governments, and federally
recognized Indian tribes. EPA
implemented this common rule through
40 CFR part 31, which was developed at
the time the NCP was proposed. As a
supplement to 40 CFR part 31, EPA also
promulgated separate implementing
regulations for Superfund, 40 CFR part
35 subpart O, Cooperative Agreements
and Superfund state contracts for
Superfund Response Actions. Either a
cooperative agreement or a Superfund
state contract must be used to obtain the
necessary CERCLA section 104
assurances.
  The definitions of cooperative
agreement and Superfund state contract
in 40 CFR part 35 subpart O are
somewhat more detailed than the
definitions for the same terms in the
proposed NCP. The final NCP
incorporates the 40 CFR part 35 subpart
O definitions. The final NCP also cross-
references parts 31 and 35 subpart O
where appropriate. EPA acknowledges
the United States Coast Guard's
authority to enter into cooperative
agreements under section 311 of the
Clean Water Act and that E.0.12580
provides the Coast Guard and other

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             Federal Register / Vol. 55, No. 46 / Thursday, March 8, 1990 / Rules and Regulations
 federal agencies with certain authorities
 under CERCLA. However. EPA believes
 that it is not appropriate to include this
 in the definition of cooperative
 agreement since the definition of this
 term is already prescribed by the
 Federal Grant and Cooperative
 Agreement Act of 1977.
  Final rule: 1. Proposed definitions in
 5 300.5 are revised as follows:
  Cooperative agreement is a legal
 instrument EPA uses to transfer money.
 property, services, or anything of value to a
 recipient to accomplish a public purpose in
 which substantial EPA involvement is
 anticipated daring the performance of the
 project,
  Superfund state contract means a joint
 kjjally binding agreement between EPA and
 a state to obtain the necessary assurances
 before a federal-lead remedial action can
 begin at a site. In the case of a political
 subdivision-lead remedial response, a three-
 party Superfund state contract among EPA.
 the state, and political subdivision thereof, is
 required before a political subdivision takes
 the lead for any phase of remedial response
 to ensure state involvement pursuant to
 section 121(0(1) of CERCLA. The Superfund
 state contract may be amended to provide
 the state's CERCLA section 104 assurances
 before a political subdivision can take the
 lead for remedial action.
  2, Cross-references to the relevant
 portions' of 40 CFR part 31 and part 35.
 subpart O. have been added to the NCP
 in the following sections of subpart F:
 300.500(b). 300.505[c), 300.510(a),
 300.510{b){2}. 300.515{a), 30O515{g), and
 300.525(a).
  Name: Section 300.500. General.
 Section 300.505. EPA/state Superfund
 memorandum of agreement (SMOA).
 Section 300.515(h). Requirements for
 state involvement in absence of SMOA.
  Proposed rule: Proposed §.300305
 established general guidelines for
 developing and implementing a SMOA
 between EPA and a state (see preamble
 discussion in 53 FR 51455). A SMOA is
 an operating agreement that details how
EPA and a state shall conduct business
 for remediating sites within that state.
 This section further described the ways
 in which a SMOA can provide a
 framework for the EPA/state
 partnership and how a SMOA may be
 used to establish the nature and extent
 of EPA/state interaction during
 response activities, to define the roles
 and responsibilities of each agency, and
 to describe the general requirements for
EPA oversight.23 Proposed § 300.505(8)
  "Tie term "partnenhip" doe* not imply that
EPA and • state enter into a formal legal
partnenliip agreement.
 also specified that a SMOA is not
 required unless a state requests to be
 designated as a lead agency for non-
 Fund-financed response actions at NPL
 sites, or to recommend a remedy for
 EPA concurrence for Fund-financed
 response actions. As proposed, the
 regulation would have established a
 SMOA as a prerequisite for both types
 of state involvement
   Section 300.515(h} described
 categories of requirements for state
 involvement in the absence of a SMOA,
 or in the event that the SMOA did not
 address all the major requirements for
 state involvement in remedial and
 enforcement responses. This section
 required that in the absence of a
 SMOA, the support agency was
 responsible for providing the lead
 agency with potential ARARs and TBCs
 by the time site characterization data
 were available. The potential ARARs
 shall be communicated in writing within
 30 working days of the lead agency's
 request. After the initial screening of
 alternatives, and before comparative
 analyses are conducted, the support
 agency has the opportunity to
 communicate additional requirements
 that are relevant and appropriate within
 30 working days of receiving the
 request. Finally, the lead and support
 agencies shall remain in consultation so
 that ARARs and TBCs are updated, as
 necessary, until the ROD is signed.
  Response to comments: 1. SMOA as
prerequisite. Two commenters agreed
 that a SMOA should be required if a
 state requests to be designated as lead
 agency for non-Fund-financed actions at
 NPL sites or to recommend a remedy for
 EPA concurrence for Fund-financed
 actions. One of these commenters stated
 that if EPA requires a state to sign a
 SMOA for these purposes, EPA must
 reach agreement with the state on the
 SMOA within one year. Other
 commenters objected to linking the
 ability of a state to recommend a
 remedy for Fund-financed response to
 the existence of a SMOA. One
 commenter stated that delegation of
program components should not be
linked to the existence of a SMOA.
 Several commenters expressed the view
 that such requirements undermine the
 goal of a true partnership between EPA
 and the state. Commenters noted
 several concerns regarding this subject
  They argued that CERCLA section
121(f) mandates that EPA provide states
with meaningful and nubstantial
involvement in implementing Superfund.
 Since the SMOA is a voluntary,
nonlegally binding document
 commenters asserted that the lack of a
 SMOA should not prevent states from
participating meaningfully in the
 program. Commenters further argued
 that the existence of a SMOA will not
 improve the ability of states to select
 and recommend a remedy, particularly
 for those states already assuming lead
 roles. Degree of involvement should be a
 function of interest and ability, not of
 the existence of a SMOA at a particular
 moment in time. One commenter
 stressed that requiring a state to have a
 SMOA in older to be a contributing
 member in the Superfund program could
 create a serious problem for a state,
 particularly if the region declines to
 enter into a SMOA.
  Several commenters stressed that a
 SMOA should not be a prerequisite for a
 state to recommend a remedy for EPA
 concurrence: at a Fund-financed site. In
 such cases, a cooperative agreement
 would already be in existence and
 would address many of the issues
 otherwise contained in a SMOA.
 Furthermore, as lead agency, the state
 will have extensively analyzed the
 response needs and will be well
 qualified to .select and recommend a
 remedy.
  Many commenters mentioned that
 EPA can accept reject or modify any
 state recommendation for Fund-financed
 actions. This final authority over the
 state's remedy recommendation makes
 having a SMOA as a prerequisite
 unnecessary. Finally, several
 commenters asserted that EPA's
 decision to c:oncur or not concur with
 the state's recommended remedy should
 be based on whether the
 recommendation is sound and satisfies
 the nine remedy selection criteria, not
 on the  existence of a SMOA.
  Another concern expressed by
 commenters regarding concurrence is
 one of timing. Several commenters were
 worried that the process of negotiating a
 SMOA can take a significant amount of
 time and could delay designation of
 sites for state-lead cleanup in the
 meantime. States mat have
 demonstrated experience in Superfund
 implementation should not be restricted
 from recommending a remedy until
 negotiations are completed and a SMOA
 is in place.
  Commentcrs generally did not agree
 with requiring a SMOA as a prerequisite
for state lead during non-Fund-financed
response actions at NPL sites for two
reasons. First commenters asserted that
lead agency designation should be
based on a state's ability to manage the
necessary response activities, not on the
 existence of a SMOA. Second.
 commenters stated that if the SMOA
was required for the state to be
 designated the lead agency, some states
 could be denied the opportunity to

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                                                                                                           8777
assume the lead if regions declined to
enter into SMOAs. A few commenters
mentioned that so far it appears that
EPA has not placed a priority on
finalizing a SMOA even when the state
has initiated the drafting and
development process. A few
commenters were concerned that
imposing a prerequisite for non-Fund-
financed state leads may pose a
hardship for smaller states, which desire
only limited participation in lead
activities. The commenters point out
that a SMOA does not contain any
provisions that could not otherwise be
provided in a site-specific cooperative
agreement
  EPA agrees with commenters that the
SMOA should not be a prerequisite for
certain program activities, and has
modified the final rule accordingly. EPA.
will not require states to negotiate
SMOAs in order to recommend
remedies for EPA concurrence at Fund-
financed sites, or to be designated as
lead agencies for non-Fund-financed
actions at NPL sites. A SMOA is not the
appropriate mechanism to designate
sites for which a state will recommend a
remedy. EPA and a state will agree in a
cooperative agreement that the state
may recommend  a remedy at a site for
which the state has been designated as
the lead agency. EPA has decided to
remove the SMOA as a prerequisite for
these activities in order to emphasize
the primary purpose of SMOAs as
voluntary agreements through which
EPA and a state can agree on  .
communication and coordination
processes throughout the remedial
process. This approach will be more
 conducive to expanding the EPA/state
partnership in the Superfund program.
 EPA will enter into SMOA discussions if
 requested by a state.
   EPA agrees that the absence of a
 SMOA should not in itself limit the level
 of participation by a state in the
 Superfund program, nor does the
 existence of a SMOA improve the
 ability of a state to participate more
 fully in the program. A SMOA can,
 however, act as  an effective
 management tool and lead to a more
 effective EPA/state partnership through
 better defining roles and distributing
 responsibilities according to each
' party's resources and experience. Thuis.
 SMOAs may contribute to more
 consistent program implementation
 nationwide, while providing EPA and
 states flexibility in conducting certain
 program activities. Lead designations tor
 both Fund-financed and non-Fund-
 financed sites should be determined
 based on interest capability, and
 available resources.
  2. ARAR review times. Several
 commenters supported the 30-day
 deadline for support agencies to identify
 ARARs, which applies to states without
 a SMOA. In addition, a few commenters
 stressed that timely ARAR identification
 is important for sites in states with and
 without a SMOA to achieve rapid
 response actions, and suggested that
 states with a SMOA also be subject to
 the 30-day deadline. One commenter
 specifically stated tliiat review times set
 forth in the proposed rule do not provide
 a sufficient amount of time to identify
 and communicate ARARs to the lead
 agency. A ^ni-nimnm of 30 days is
 necessary to give support agencies the
 opportunity to review the information
 located in various documents
 adequately.
  EPA agrees that timely ARAR
 identification is important in expediting
 response actions. The 30-working day
 timeframe in § 300.S15(h)(2) generally
 will apply to all lead and support
 agencies in the absence of a SMOA.
 However, EPA believes it is also
 important to allow EPA and states
- flexibility to agree on site-specific
 ARAR identification timeframes. A
 SMOA may reference the language of
 § 300.515(h)[2), or specify a mutually
 agreed upon alternative: however, to be
 legally binding, any alternative
 timeframes negotiated in a SMOA must
 be documented in site-specific
 agreements.
    3. Impact of SMOA on response
 agreements. Several commenters
 expressed concern that entering into a
 SMOA could impact agreements already
 in place to which the state and/or EPA
 is  a party. In particular, this conflict
 could raise issues of due process,
 especially when existing agreements
 involve potentially responsible parties.
 To eliminate the possibility of this
 problem, commenters recommended that
 a  provision be added to ! 300505 to
 ensure that a SMOA will not impact
 existing enforcement orders, consent
 orders, or cooperative agreements. EPA
  agrees with the commenters and will
  revise the NCP accordingly. The SMOA
  is a non-binding document and
  therefore cannot after existing legally
  binding response agreements.
    4. Removal coordination and SMOAs.
  See preamble discussion to 5 300.415 on
  state involvement in removal actions.
    Final rule: Proposed § 300.505 is
  revised as follows:
    1. Language has been reordered and
  modified to better describe the purpose
  and contents of SMOAs.
    2. The final rule states Sn i 300.505(a)
  that EPA shall enter intoiSMOA
  discussions if requested by a state.
   3. Language in the proposed rule
 making the SMOA a prerequisite in
 order for a state to recommend a remedy
 for EPA concurrence at a Fund-financed
 site or to be designated as the lead
 agency at a non-Fund-financed NPL site
 has been deleted.
   4. Proposed f 300.505(aJ(4)(i)
 (renumbered as final § 300.505(a}(3}) is
 revised to state that review times
 established in a-SMOA must also be
 documented in a site-specific
 cooperative agreement or Superfund
 state contract to be legally binding.
   5. Proposed i 300.505(a](4)[ii)
 (renumbered as final § 300.505[c)) has
"been revised to state that site-specific
 agreements entered into pursuant to
 CERCLA section 104(d) (1} shall be
 developed in accordance with 40 CFR
 part 35 sufapart O and that the SMOA
 does not supersede any site-specific
 legal agreements.
   6. Anew § 300.505(d}(2](vjii) has been
 included to add other CERCLA
 implementation activity discussions to
 the SMOA process.
   7. Language is added to § 300.515(d)(2)
 stating that even though alternative
 timeframes for ARAR identification may
 be established in the SMOA. such
 timeframes must also be documented in
 a site-specific agreement to be binding.
   8 In final rule § I SOO'.S {definition of
 "SMOA"). 300.500(8). 300.505(a)(l). (a}(3)
 and (d)(l), the word "removal" is being
 added before the word "pre-remedial"
 (see preamble discussion on § 300.415.^
 "State involvement in removal actions").
   fl. Language on advisories, criteria or
 guidance in § 300.505(d)(2}(iii) has been
 modified (see preamble section on
 TBCs).
   Name: Sections 300.510(c)(l) and (c)(2)
 and (e). State assurances—operation
 and maintenance and waste capacity. -
   Existing rule: 1985 NCP I 300.68(b)(2)
 provided that states must have met the
 requirements of CERCLA section
 104(c){3) prior to initiation of a Fund-
 financed remedial action. CERCLA
  section 104(c)(3)(A) required a state to
 assure all future maintenance of the
  remedial action for the expected life of
  such action. CERCLA section
  104(c)(3)(C) provided that the state
  would pay or assure payment of 10
  percent of the cost of the remedial
  action, including all future maintenance.
    Proposed rale: Proposed
  5 300.510{c)[l) restated the requirements
  of the 1985 NCP (53 FR 51455-56). It
  indicated that pursuant to CERCLA
  section 104[c). the state must provide
  assurance, prior to the remedial action,
  that it will assume responsibility for
  operation and maintenance (O&M) of

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 the implemented remedial action for the
 expected life of such action. Proposed
 $ 300.510(c)(2) stated that EPA may
 •hare, for up to one year, in the cost of
 operation of the remedial action to
 ensure that the remedy is operational
 and functional. Proposed § 300.435{f]
 provided, pursuant to CERCLA section
 104(c)(6). that EPA will fund for up to 10
 years measures to restore ground or
 surface water quality. Proposed
 1300.510(e) described requirements for
 states providing a waste capacity
 assurance.
   Response to comments: Several state
 commenters argued that CERCLA
 section 104(c)(3)[C) requires that 90 (or.
 in some cases. 50] percent of the cost of
 O&M will be federally funded. Some of
 the commenters also tite CERCLA
 section 104(c){7}. which refers to federal
 funding of O&M pursuant to CERCLA
 sections 104{c}(3)(i) and (G) and S. Rep.
 No. 96-848 (I960). One commenter
 claimed that requiring a state to fund
 O&M costs entirely biases EPA's
 selection process to favor remedies that
 are less permanent and less effective, by
'minimizing short-term expenditures at
 the expense of greater state-funded
 O&M. Another commented that states
 have agreed to operation and
 maintenance of remedies.
  EPA has followed a general policy of
 requiring states to assure  the payment of
 operation and maintenance costs for
 Fund-financed remedial actions.
 Operation and maintenance costs are
generally identified in the ROD and
remedial design so that states have an
opportunity to comment and recommend
revisions to such costs. This policy is
consistent with section 104(c)(3} of
CERCLA. which provides  that Fund-
financed response actions may not take
place until "the state assure[s] all future
maintenance of the removal and
remedial actions provided for the
expected life of such actions as
determined by the President * * V
EPA further believes that Congress has
implicitly accepted this policy by
providing in CERCLA section 104(c)(6)
that a certain class of activities, namely
those to operate and maintain treatment
and other measures necessary to restore
surface or ground water for up to 10
years, are remedial action and,
therefore, are subject to the general 90/
10 or 50/50 cost share requirements. The
statute goes on to provide that activities
to maintain the effectiveness of those
restoration measures, once protective
levels are achieved or up to 10 years,
whichever is earlier, are to be
considered O&M (for which the state
pays 100 percent under a long-standing
 policy) (see preamble discussion on
 i 300.435(f)).
   CERCLA section 104(c)(3)(A) provides
 that "the state will assure all future
 maintenance of the removal and
 remedial action provided [in section 104]
 for the expected life of such actions as
 determined by the President" (emphasis
 added}. EPA believes that this language
 places this responsibility for the
 operation and maintenance of response
 actions—including the fanning aspect—-
 on the states. Indeed, Congress
 implicitly acknowledged this by carving
 out only a limited exception from O&M
 in CERCLA section 104(c}{6). As the _
 House Committee on Public Works and
 Transportation noted in a discussion of
 the precursor to section 104(c)(6),
 "« * * ground or surf ace water cleanup.
 will be completed as part of the
 remedial action, and not be left to
 operation and maintenance activities
 which must be funded by a state." H.
 Rep. 253,89th Cong. 1st Sess., part 5 at
 10 (1985) (emphasis added}. In addition,
 although a bill to require EPA to pay a
 cost share for O&M was considered
 during the SARA reauthorization
 process, it was not reported out of the
 96th Congress. (See H. Rep. 890,98th
 Cong., 2nd Sess., part 1 at 4.445 (1984),
 Report of the House Committee on
 Energy and Commerce.)
   In addition, as noted under
 § 300.430(a)(l)(ii)(D), institutional
 controls may be required to provide for
 the protectiveness of human health and
 such institutional controls have a valid
 role in the remediation of a site when
 active treatment of a site is not
 practicable. Where institutional controls
 are employed as part of a response
 action, care must be taken to ensure that
 such controls are reliable and will
 remain in place. Therefore, when
 appropriate, as part of the O&M
 assurance required by CERCLA section
 104[c)(3) and § 300.510[c) of this
 regulation, the state must assure  that
 any institutional controls implemented
 as part of a remedial action at a site are
 in place, reliable, and will remain in
 place after the initiation of O&M. The
final rule has been changed to reflect the
 need to maintain institutional controls
 •when appropriate.
  Further, the experience of the
Superfund program has been that EPA's
 •election process does not favor
remedies that are less permanent and
less effective, by minimizing short-term
expenditures at the expense of greater
state-funded O&M. On the contrary,
current data reveal that the trend has
been toward the use of more permanent
technologies. CERCLA section 121(b)(l)
requires that EPA select a remedial
 action that is protective of human health
 and the environment, is cost-effective,
 and utilizes permanent technologies to
 the maximum extent practicable. In
 order to formulate a more consistent
 approach in selecting remedies at sites,
 nine selection criteria are used (see
 § 300.430). A remedy is not selected
 based on cost share alone, rather the
 selection of remedy process is based on
 a balancing approach of the nine
 criteria. In fact EPA has modified the
 proposed approach to encourage
 selection of treatment alternatives by
 emphasizing the criteria of long-term
 effectiveness and permanence and
 reduction of toxitrity, mobility, or volume
 through treatment in the final rule (see
 §300.430(f)[l}(ii)(E}).
   In another change in this section, the
 language in S 300.5lO(e) describing the
 requirements for providing the waste
 capacity assurance has been revised to
 codify language from CERCLA section
 104(c)(9) and to reflect the passage of
 the October 17.1989 date for
 applicability of this assurance under
 CERCLA section 104(c)(8). EPA
 generally will use the following to
 determine the adequacy of the state's
 assurance: |[1) The plan submitted to
 EPA documenting the waste capacity
 availability, (2) the state's written
 commitment to implement the plan, and
 (3) the state's written commitment to
 implement any additional measures EPA
 deems necessary to provide for
 adequate waste capacity (see Assurance
 of Hazardous Waste Capacity
 Guidance, OSWER Directive No. 9010.00
 (December :1988) and OSWER Directive
 No. 9010.00a (October 1989}).
  Final rule: 1. EPA has revised
 § 30p.510(c)(l) to state that any
 institutional, controls associated with
 response actions are a part of the
 required CERCLA section 104(c)
 assurances.
  2. EPA has revised § 300.510(e) to
 codify language in CERCLA section
 104(c)(9) and to reflect the passage of
 the October 17.1989 date for
 applicability of the waste  capacity
 assurance. Also, the rule notes that the
 issue of whether or not Indian tribes are
 states for purposes of CERCLA section
 104(c)(9) halt not yet been  decided by
EPA.

  Name: Section 300.510(f}. State
 assurances—acquisition of real
property.
  Proposed rule: Section 300.510[f)
proposed that if an interest in real
property was to be acquired in order to
conduct a response action, as a general
rule, the state in which the property was
located must have agreed to acquire and

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                                                                                                            8779
hold the necessary property interest If it
was necessary for the United States to
acquire the interest in property to permit
implementation of the response, the
state must have agreed to accept
transfer'of the acquired interest on or
before the completion of the response
action.
  Response to comments: Several
commenters contended that CERCLA
section 104QK2) provides that a state is
required to assure that it will accept
transfer of the interest following
completion of the remedial action. They
argue that states do not have to accept
title to property until the remedial
response is completed, not earlier, and
that the determination of whether such
property must be acquired does not lie
solely with EPA, but must be made in
consultation with the affected state. The
commenters also object to the proposed
rule's application to "response actions"
instead of "remedial actions" as
provided by CERCLA section 104(j)(2)
because EPA does not have the
authority to force a state to accept title
to contaminated property after a
removal action. Some commenters
suggest that other mechanisms to
implement response actions, such as
voluntary consent, search warrants or
court orders, should be used to
implement response actions.
  EPA agrees that other mechanisms
such as voluntary consent, search
warrants, and court orders may be used
to implement response actions.
However, in some circumstances it may
be necessary to acquire an interest in
real property for implementation of the
response action. As stated in the
proposed rule, the state in which the
property is located must agree to
acquire and hold the necessary property
interest.
  If the state intends to acquire property
directly, but lacks authority to condemn
or otherwise acquire it or is unable to do
so in an expeditious manner, it may be
necessary for the United States to
acquire the interest in the property to
permit implementation of the response.
In such instances, the state must accept
transfer of the acquired interest on or
before completion of the response
action. EPA would prefer that a state
accept transfer of the acquired interest
prior to completion of the response
action. Of course, the state may pass
title to its interest to another entity such
as a political subdivision to hold, as the
state deems appropriate. While
ownership of such interest would not
result in CERCLA liability pursuant to
CERCLA section 104(j)(3). EPA
understands that states are concerned
about common law liability that could
result from ownership (e.g., arising from
injuries to persons coming on the
property) and that .they would prefer not
to take title to such property until
completion of the response action. EPA
believes that it is not going beyond the
statutory language to require a state to
accept title "on or before" completion of
title response action; the section merely
gives the states the option to accept title
prior to completion of the response
action.
  Although Indian tribes are not
required to provide the CERCLA section
104(c) assurances, federally recognized
Indian tribes are not exempt from
providing the CERCLA section 104Q)
assurance. However, EPA will consider,
on a case-by-case basis, what
assurances are necessary where there
are legal barriers to a tribe's taking title
to property rather than having it held in
trust for the tribe by the United States.
  Final rule: EPA is revising § 300.510(f)
to state that  the state must also accept
transfer of any interest in acquired
property that is needed to ensure the
reliability of institutional controls
restricting use of that property (see
discussion above on § 300.510(c}(l)).
  Name: Section 300.515{a).
Requirements for state involvement in
remedial and enforcement response.
  Proposed rule: Proposed
S 300.515(a)(l) stated that EPA would
designate a state agency as the lead
agency for a response action on the
basis of whether or not it had "the
capability to undertake such action."
language in  the preamble to the
proposed NCP (53 FR 51456) stated that
EPA was currently considering more
specific criteria, including: Overall
expertise,  legal authorities,
administrative and contracting
capability, financial management
systems, site complexity, availability of
site-specific  resources, past federal or
state actions at the site, and past state
cleanup activities.
  Proposed § 30a515[a)(Z) stated that
for EPA-lead Fund-financed remedial
planning activities, the state agency
acceptance of the support agency role
during an EPA-lead response shall be
documented in a letter or a SMOA.
  Section  300.515(a)(3) proposed that
site-specific agreements were generally
unnecessary for non-Fun d-financed
response actions unless a state intended
to later seek credit for its actions.
  Response  to comments: 1. Section
SOO.S15(a)(l). Commenters stated that
the criteria stated in the proposed
preamble should be revised to include:
Desire of the state to do (the work,
K»fri;nuiiT< legal ability to issue and
enforce orders, a history of state
involvement with federal Superfund
activities in the state, and an ability to
demonstrate adequate resources,
including experienced personnel.
  Criteria for lead agency designation
were suggested by EPA inthe preamble
to the proposed rule (53 CFR 51394) but
were not proposed as regulatory
requirements. EPA continues to believe
it appropriate to suggest rather than
require, that these criteria, along with
the criteria suggested by the
commenters, be considered during EPA
and state discussions oh designating a
lead agency. Since conditions may differ
among sites, EPA prefers to decide upon
lead agency status by entering into
separate discussions with the state for
each response. If the state is chosen as
the lead agency, 40 CFR part 35 sufapart
O contains the appropriate regulations
regarding criteria for eligibility and
award of funding for state involvement
in Superfund response actions.
Therefore, criteria for designating a lead
agency have not been added to today's
rule. A cross-reference to subpart  O  has
been added in  § 300.515(a).
  Another comment stated that   .
regulations governing Fund-financed
response actions are silent on whether
or not states are allowed to perform
enforcement response activities the
commenter contended were clearly
allowed under CERCLA section 104. The
comment proposed adding language  to
§ 300.515{a)(2) clarifying that states are
allowed to perform enforcement
response activities.
  EPA has modified § 300.515(e)(2)(i) to
explicitly acknowledge the authority of
states to conduct response actions at
NPL sites under state law. The language
specifies that a state will prepare the
ROD (i.e., select the  remedy), and  may
seek EPA's concurrence for non-Fund-
financed state-lead enforcement actions.
Such actions are conducted under
authority of state law. not CERCLA.
Additionally, revised § 300.50S[b)(2)(iv)
describes enforcement activities that
may be conducted by states.
  2. Section 3O0.51S(a)(2). One
commenter stated that the NCP should
also permit support agency acceptance
to be documented through a cooperative
agreement. EPA agrees that state
acceptance of the support agency role
may also be documented in a
cooperative agreement EPA allows
states to enter into support agency
cooperative agreements to defray  the
cost of their participation in EPA-lead
response, pursuant to 40 CFR part 35
subpart O. The support agency
cooperative agreement is the most
appropriate place to document the

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 •talc's acceptance of the support agency
 role.
  3. Section 3OO.SJS(a)(3). Since EPA has
 decided to not require the signing of a
 SMOA for specific state involvement
 activities, e.g.. recommending a remedy
 to EPA, the language in this section
 needs to clearly define when a
 cooperative agreement may be signed.
 In all cases, EPA may enter into a
 cooperative agreement only at Fund-
 financed sites unless a state intends to
 seek credit pursuant to § 300.515. As
 denned at 40 CFR part 35 subpart O,
 cooperative agreements are intended to
 implement CERCLA-funded response
 and should not-be used to aid cleanup at
 non-Fund-financed sites.
  Final rule: 1. A statement has been
 added at f 300-515(a)(l) to clarify that 40
 CFR part 35 subpart O contains further
 information regarding state involvement
 in response.
  2. Section 300.515(a)(2) is revised to
 state that the state may document its
 acceptance of the support agency role in
 a letter, SMOA. or cooperative
 agreement
  3. Language in § 300.515[a](3) is
 changed to clarify that cooperative
 agreements and Superfund state
 contracts are only appropriate for non-
 Fund-financed actions if a state intends
 to seek credit under § 300.510.
  Name: Section 300.515(b). Indian tribe
 involvement during response.
  Proposed rule: EPA proposed to
 provide for interaction with federally
 recognized Indian tribes whenever a
 CERCLA site was within Indian
 jurisdiction. As stated in proposed
 § 300.515(b), federally recognized Indian
 tribes generally may have the same
 roles and responsibilities under the NCP
 as do states. Indian tribes may be
 authorized to take the lead role for
 Fund-financed response activities
 through a cooperative agreement based
 on the following criteria: (1} The Indian
 tribe is federally recognized; (2) the tribe
 currently performs governmental
 functions to promote the health, safety,
 and welfare of its population or
 environment; (3) the tribe demonstrates
 the  ability to carry out the necessary
 response actions according to the
 priorities and criteria established by the
 NCP; (4) the tribe can demonstrate that
 the  necessary actions are within the
 tcope of its jurisdiction; and (5) the tribe
 can demonstrate a reasonable ability to
 effectively administer a cooperative
agreement.
  Response to comments: Several
coznmehters expressed concern that the
criteria used to judge states' ability to be
a lead agency seem to be different from
the  criteria used to judge the  ability of
Indian tribes to fulfill the same role. The
requirement that tribes establish
jurisdictional authority is not required of
states, and has not been consistently
applied to states in the past Several
commenters asserted that this is
"blatant discrimination" and
undermines EPA's efforts to work
effectively with Indian tribes. Many
commenters requested that EPA address
the apparent disparity between criteria
applied to states and Indian tribes.
  A few commenters were also
concerned about the criteria requiring
Indian tribes to be federally recognized
in order to undertake the lead role and
identified a need to clarify which agency
has the authority to govern cleanup
activities at sites within the jurisdiction
of an Indian tribe that is not federally
recognized. Similarly, commenters were
concerned about how EPA expects to
resolve hazardous substance releases
from sites on Indian land when the
release extends beyond the boundary of
the reservation. One commenter
requested clarification about whether
EPA will allow a state agency to work
with these tribal councils under two-
party agreements.
  In response, EPA proposed criteria in
§ 300.515[b) for evaluating whether
Indian tribes had the capability to take
the lead for Fund-financed response
activities through a cooperative
agreement. After reconsidering the
criteria based on public comment. EPA
believes that a distinction should be
made in the final rule between criteria
for Indian tribes to be treated
substantially the same as states and for
the eligibility of Indian tribal
governments to receive funding, which
is described in 40 CFR part 35 subpart
O, for involvement through a Superfund
cooperative agreement.
  For an Indian tribe to assume the
same responsibility as a state in
Superfund response actions, the Indian
tribe must be federally recognized and
must currently perform governmental
functions to promote the health, safety,
and welfare of its population or
environment In addition, the tribe must
have jurisdiction over the site at which
response is contemplated, including pre-
remedial activities. A similar
jurisdictiona! requirement was not
considered to be necessary for states
whose jurisdiction dearly covers the
entire state. However, the extent of
Indian tribal jurisdiction may be less
clear. A determination of whether a
tribe has jurisdiction over a site should
be made by EPA based on
documentation submitted by the
governing body of an Indian tribe.
However, by making a determination
that an Indian tribal government has
jurisdiction for purpose of CERCLA
response, EPA is not making a
determination regarding jurisdiction for
any other purpose.
  When a hazardous substance release
affects lands both within and beyond
the boundaries of lands within the
jurisdiction of an Indian tribal
government, state participation is
necessary. EPA will encourage
coordination between states and Indian
tribes when releases originate in the
jurisdicticin of one and affect the other.
There is nothing to prohibit the tribe and
state from entering into a two-party
agreement to identify roles and
responsibilities. The region will evaluate
requests for lead agency designation to
undertake! response at such sites on a
case-by-case basis in consultation with
the affected governing body of the tribe
and state. Federal-lead may be
appropriate in such situations. A three-
party Memorandum of Understanding
(MOU] among EPA, the state, and
governing body of die Indian tribe is
recommended to define and coordinate
roles, and ensure compliance with the
requirements of section 121 of CERCLA
for response activities prior to remedial
action.
  A federally recognized Indian tribe
can apply for Fund monies through a
Superfund cooperative agreement to
defray the cost of its participation as a
lead or support agency (the eligibility
criteria to receive funding under a
cooperative agreement are discussed at
40 CFR pert 35 subpart O).
  Final rale: The criteria in § 300.515(b)
are modified and renumbered to enable
an Indian tribe to assume the same
responsibility as a state in Superfund
response actions, if the tribe is federally
recognized and currently performs .
governmental functions to promote the
health, safety, and welfare of its
population or environment The tribe
must also have jurisdiction over the site
at which response is contemplated.
  Mzme-f Sections 300.425(e)(2). 300.515
(c)[2) and (c)(3). State involvement in
PA/SI and NPL process. Section
300.515(h)[3). State review of EPA-lead
documents.
  Proposed rale: Proposed •
§ 30O515(cK2) provided mat states have
a minimum of 20 calendar days and a
maximum of 30 calendar days to review
releases to be proposed to be listed on
the NPL Elections 300.425(e)(2) and
300.515(c)i;3) provided the same
TmniTmimy'mav'iimim timiframes for
states to review notices of intent to
delete releases from the NPL. Section
300.515(h){3) provided, in the absence of
a SMOA, 'that states have a minimum of

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             Federal Register / Vol. 55, No. 46  / Thursday, March 8, 1990 / Rules and Regulations
                                                                                                            8781
 10 working days and a maximum of 15
 working days to provide comments on
 EPA-prepared Ri/FSs, RODs. ARAR/
 TBC determinations, and RDs. States
 were provided a minimum of 5 working
 days and a maximum of 10 working
 days to comment on the proposed plan
 (see preamble to proposed rule at 53 FR
 51456-57).
   Response to comments: Several
 commenters disagreed with the
 mmimum/maximutn timeframes for
 review of EPA-lead documents. One
 stated that some of these documents,
 such as the KT/FS and ROD, are
 incredibly long and .complex and such
 deadlines would be impossible to meet.
 The commenter argued  that more time
 for review and comment must be
 provided but did not specify minimum/
 maximum timeframes. Another
 commenter argued that because
 reviewing-state agencies generally have
 to coordinate with other state agencies,
 the timeframe for state review of EPA-
 lead documents should be 25 to 30
 working days for Rl/FSs, RODs, and
 ARAR/TBC determinations. One
. commenter stated that the proposed five
 to 10 day timeframe for review of a
 proposed plan is too tight and that 10 to
 15 days would be more realistic.
 Another commenter stated that a
 minimum of 20 working days should be
 provided for state review of NPL listings
 and deletions. ARAR/TBC
 determinations. RODs, and RDs. The
 commenter also recommended a
 minimum of 30 working days on the final
 RI/FS and proposed plan. The
 commenter further suggested that all
 review times be expressed in terms of
 working and not calendar days.
   Other commenters stated that EPA
 should be held to the same review times
 as states, and that EPA regions should
 be authorized to approve and extend the
 state review period without regulatory
 limitations. One comment stated that
 EPA should be bound by the same
 requirements for response and
 concurrence at state-lead sites as states
 are at EPA-lead sites. The commenter
 added that the rule should be revised so
 that if EPA fails to meet its deadline for
 comment, this will be considered a
 concurrence.
   Further, several commenters made
 suggestions specifically regarding the
 procedures for state review of HRS
 packages. Two commenters stated that
 states should be given the opportunity to
 comment on and review sites before the
 listing-decision has been made. Another
 commenter contended that 20 days is
 not sufficient time to review sites and
 that the minimum period for review
 should be extended to 30 days.
  EPA accepts the recommendation that
it be held to the same review times as
states when it reviews state-lead
documents. EPA believes that such
review times should be the same for
each phase of response regardless of
lead agency designation. However,
failure of either the state or EPA to
respond shall not be construed as
concurrence. While EPA intends to
make all efforts necessary to meet
agreed-upon deadlines, if EPA does not
act within specified timeframes. it
should not be interpreted as EPA's
approval of an action.
  With regard to the comments that the
review times should be revised, EPA has
decided not to revise the number of days
specified in § 300.515(h){3) of the NCP
for review of lead agency prepared
documents by the support agency; such
review times can be modified by a
SiMOA and made legally binding in a
site-specific agreement, such as a
cooperative agreement or Superfund
state contract (the SMOA cannot be
used to alter review times on a site-
specific basis). If a different timeframe
agreement is not agreed to in the site-
specific agreement EPA and the state
will be required to meet the deadlines
stated in the NCP. EPA also has decided
to use working days for all review time
periods and has changed the rule
accordingly.
  With regard to the pre-remedial
process, states already are active
partners, and indeed, it is often the state
environmental agency that performs the
I'A/SI. Even when the state does not
perform a PA/SI, it often provides
essential information concerning a
release to EPA. Thus, states generally do
provide input on potential NPL sites
before the listing decision has been
made. However, EPA is willing to work
with states to develop procedures for
receiving more input on the listing
decision itself. EPA believes that two
considerations must be kept in'mind.
First, it may not be appropriate to
provide draft HRS packages to, those
irtates that would be required by their
fitate law to release such documents to
the public upon request EPA considers
these documents predecisional, and
does not release them to the public
during the rulemaking process. Second,
EPA believes that state review of NPL
sites should come toward the beginning,
rather than the end, of the HRS process;
in this way, new information provided
by states could be incorporated without
delaying a proposed NPL update.
   In the deletion process, where state
concurrence on notices of intent to
delete are required, EPA is revising the
duration of review in §§ 300.435(e)(2)
and 300.515{c)(3) to 30 working days.
  Final rule: Proposed |§ 300.425(eX2J.
3O0.515 (c) and (h) are revised as
follows:
  1. EPA is changing the language in
$| 300.425(e)(2), 300.515(0} (2) and (3)
regarding the time limit for review of
releases considered for listing on the
NPL and for review-of notices of intent
to delete releases from the NPL. The
timeframe is changed from a minimum
of 20 and a maximum of 30 calendar
days to 30 working days. The language
also notes that this timeframe will be
followed to the extent feasible.
  2. Section 300.515{h)(3) is renamed to
refer to "support agency" and "lead
agency" and revised to read that the
lead agency shall provide the support
agency an opportunity to review and
comment on the RI/FS, proposed plan,
ROD, RD, and any proposed
determinations on potential  ARARs and
TBCs. The support agency shall have a
minimum of 10 working days and a
maximum of 15 working days to provide
comments to the lead agency on the RI/
FS, ROD, ARAR/TBC determinations.
and RD. The support agency shall have
a minimum of five working days and a
maximum of 10 working days to
comment on the proposed plan.
  Name: Sections 300.505 and
300.515{d). Resolution of disputes.
  Proposed rule: The preamble to
proposed subpart F stated that a region
and a state may adopt a dispute
resolution process to be used to resolve
any differences that might impede the
response process (53 FR 51457).
Differences should be addressed at the
staff level first and raised to
management if a mutually acceptable
solution is not attained. The preamble
further stated that a region and a state
could jointly raise the dispute to the
Assistant Administrator for Solid Waste
and Emergency Response for a final
determination. Alternatively, a region
and a state may establish a  different
dispute resolution process in a SMOA.
  Proposed § 300.515(d) stated that if
EPA intended to waive any  state-
identified ARARs or did not agree with
the state that a certain state standard
was an ARAR, EPA shall formally notify
the state when it submitted  the RI/FS
report for state review or responded to
the state's submission of the RI/FS
report. The preamble also stated that
EPA, operating in its oversight role for
CERCLA enforcement actions, would
resolve ARARs disputes between the
lead agency and PRPs.
  Response to comments: Commenters
expressed dissatisfaction with the role

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   8782
              Federal  Register / Vol. 55, No. 46 / Thursday. March 8. 1990  / Rides and Regulations
  of EPA as the final judge in ARAR
  disputes. One commenter suggested the
  use of «n "alternate dispute resolution"
  process, with a third party offering a
  non-binding opinion. Another
  commenter proposed the incorporation
  of a state/EPA dispute resolution into a
  SMOA to be binding on both parties.
    in response, EPA believes that its
  responsibility to ensure that remedies
  conform to the mandates of CERCLA
  justify EPA's role in resolving ARARs
  disputes. ARARs determinations are a
  significant component of selecting such
  remedies. Moreover. ARARs
  determinations may directly affect the
  cost of a remedy and EPA is required by
  CERCLA to ensure consistent use of
  Fund monies. EPA concludes, therefore,
  that it is necessary and appropriate that
  EPA. rather than a third party, will
  resolve ARARs disputes.
    EPA encourages, but does not require,
  inclusion of dispute resolution clauses in
  their SMOAs. Any resolution process
  should encourage timely resolution of
  disputes which could impede the
  response process. EPA is currently
  developing guidance on dispute
.  resolution procedures.
    One commenter favored the resolution
  of all disagreements with states
  regarding ARARs waivers before the RI/ .
  FS report is completed and before the
  proposed plan is made  available to the
  public. EPA believes, as a policy matter,
  this is an appropriate suggestion and
  will, to the extent practicable, attempt to
  resolve all ARARs disputes before the
  proposed plan is issued to the public.
  Because some ARARs may still be
  unknown at the time of the RI/FS. it may
  not be possible to resolve all ARARs
  disputes by this time.
   Another commenter recommended the
  inclusion of PRPs into the dispute
  resolution process when a PRP disagrees
  with EPA's assessment of a site's
 ARARs. This commenter suggested an
  informal meeting between PRPs and the
 EPA Regional Administrator to discuss
  disagreements, followed by a written
  decision by the appropriate Regional
  Administrator. EPA believes that this is
  not necessary because PRPs have the ,
  opportunity to express disagreement
  over ARARs decisions in their
  comments on the proposed plan.
 Further, if the PRP conducts an RI/FS
 pursuant to a consent order or decree,
 procedures for resolving ARARs
 disputes are usually contained in such
  orders or decrees.
   Final rule: EPA is promulgating the
 rule as proposed except that the
 language on advisories, criteria or
 guidance in f § 30O5I5{d), (d)(l) and (2)
 and 300.515(h)(2) has been modified (see
 preamble section on TBCs above).
   Name: Section 30O515(e)(l) and (2).
 State involvement in selection of
 remedy.
   Proposed rale: Proposed § 300.515(e)
 discussed the roles of EPA and the state
 in the selection of remedy process. It
 reflected the evolution of the EPA/state
 partnership in recent years by providing
 the state, when it was the lead agency,
 with responsibilities in the selection of
 remedy process. This new concept
 would be applicable to both Fund-
 financed and non-Fund-financed actions
 in which the  state as lead agency would
 recommend the remedy and provide
 EPA an opportunity to concur with and-
 adopt the remedy. This
 recommendation/concurrence approach
 was in keeping with the statutory
 requirement to provide substantial and
 meaningful involvement in the initiation,
 development, and selection of remedial
 actions (see preamble to proposed NCP
 at 53 FR 51456-59).
   Specifically, § 300.515(e)(l) described
 how EPA and the state will interact
 during the development and
 concurrence of the proposed plan. The
 lead agency shall prepare a proposed
 plan upon conclusion of the RI/FS. Once
 completed the support agency shall be
 given an opportunity to comment and
 concur; however, if agreement cannot be
 reached the proposed plan shall be
.published with a statement explaining
 the support agency's concerns regarding
 the plan.
   Section 300.515(e)(2) provided further
 information regarding EPA and state
 involvement in the preparation of a
 ROD. For all EPA-lead sites. EPA shall
 prepare the ROD and provide the state  .
 an opportunity to concur with the
 recommended remedy. For Fund-
 financed state-lead sites, EPA and  the
 state shall designate sites  for which the
 state shall prepare 'the ROD and seek
 EPA's concurrence and adoption of the
 remedy specified therein and sites for
 which EPA shall prepare the ROD and
 seek the state's concurrence. For non-
 Fund-financed state-lead enforcement
 response actions taken at NPL sites,
 EPA and the state may designate sites
 for which the state shall prepare the
 ROD  and seek EPA's concurrence in and
 adoption of the remedy specified
 therein.*4 Either EPA or the state may
 choose not to designate a site as state-
 lead.
  Response to comments: 1. Review and
publication of proposed plan. In cases
  ** Non-Fund-financed atate-lead response action
meant (bat a (tale is responding to a release
pursuant to Hate law. not CERCLA. CERCLA
enforcement functions may not be delegated to
states, except as specifically authorized under
CERCLA.
 where the state has the lead, one
 commenter questioned whether the state
 should be allowed to publish a proposed
 plan without EPA's prior approval.
   EPA agrees that in Fund-financed
 state-lead remedial response. EPA shall
 always b& given the opportunity to
 review the proposed plan before it is
 published Whenever possible EPA and
 the state uhall try to come to agreement;
 however, if no" concurrence can be
 reached, fie state shall not publish the
 plan and EPA may assume the lead for
 completing the proposed plan and ROD.
 At non-Fund-financed state-lead sites,
 the state may publish the proposed plan
 without EPA's approval; however. EPA
 still retains the right to proceed under its
 own CERCLA authorities if necessary to
 ensure compliance with section 121 and
 other pertinent provisions of CERCLA. If
 the site is EPA-lead or EPA resumes the
 lead from the state, the EPA may
 publish the proposed plan without state
 approval; however, as discussed below
 the state must still provide its CERCLA
 104(c) assurances before remedial action
 can begin. As presented in the proposed
 and final regulation, when agreement
 cannot be reached die lead agency shall
 include a statement describing the
 support agency's concerns with the
 proposed plan.
   2. Development and selection of the
 ROD. Many commenters strongly
 supported concurrence by the support
 agency for remedies recommended by
 the lead agency, regardless of whether
 the state cir EPA has the lead. Several
 commenters strongly supported this
 concurrence as an important sign of
 progress toward smoothing the
 relationship between EPA and the states
 by placing them on more equal ground.
 These commenters stressed that
 concurrence indicates that EPA
 understands that the state is the
 ultimate caretaker of Superfund sites,
 and, therefore, must have a strong voice
 in what happens at a site. Several
 commenters emphasized that
 concurrence should be based on the
 principle that the lead agency is just that
 and support agency oversight should be
 minimized. Most commenters stressed
 that this is the best process to maximize
 the use of limited government resources
 and facilitate the timely cleanup of
 Superfund sites.
  A few commenters emphasized the
 distinction between giving the state the
 "opportunity to concur" and having
 concurrence as a prerequisite in various
stages  of EPA-lead actions. One
 commenter gave the example that state
 concurrence is not a prerequisite in the
issuance of a ROD by EPA. However,
EPA's concurrence is required in the

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            Federal Register / Vol. 55, No. 46 / Thursday, March 8. 1990 / Rules  and Regulations
                                                                                                            8783
 issuance of a ROD for state-lead Fund-
 financed actions. One commenter stated
 that "concurrence," as set forth in
 § 30O515(e), was contrary to the
 meaning of the word. The commenter
 noted that if the state does not concur
 with the remedy, EPA should not go
 forward with it
  EPA's intention in this section of the
 proposed rule on concurrence was to
 stress the opportunity for dialogue
 between EPA and the state in the
 remedy selection process. Although, as a
 matter of policy, EPA retains
 responsibility for selecting the remedy,
 it is important for both parties to concur
 in the selected remedy, whenever
 possible, to avoid problems during
 implementation of the remedy.
  EPA has decided not to revise the
 requirement that EPA's concurrence is
 required before a state may proceed
 with a Fund-financed response action.
 However, this does not prevent a state
 from attempting to proceed with the
 response action using their own funds or
 enforcement authorities, except as
"limited by CERCLA section 122(e)(6). If
 a state decides to pursue this avenue, it
 may not claim credit pursuant to
 § 300.510(b](2) for remedial action
 expenses since EPA never concurred
 with the selected remedy, and the state
 action may be subject to possible
 preemption under CERCLA section
 122{e)(6) if the state uses its own
 enforcement authorities to implement
 such action. EPA will not be bound by a
 state action or any EPA/state agreed-
 upon action since new information may
 arise and create the need for additional
 response at the site in order for the
 remedy to protect human health and the
 environment.
  Regardless of whether concurrence
 was obtained on the selected remedy at
 this stage in the response process, both
 EPA and the state have another
 opportunity available to them to express
 disapproval of the selected remedy. The
 state's CERCLA section 104 assurances
 are required prior to the implementation
 of remedial action conducted under
 section 104 of CERCLA. If the state, at
 this time, still disagrees with the
 selected remedy, it may demonstrate
 nonconcurrence with the remedy by
 withholding its assurances. Likewise, if
 EPA disagrees with the selected remedy,
 EPA may withhold Fund money for
 implementation of the remedial action or
 section 122(e] approval for a PRP
 remedial action. For state-lead sites, if
 no agreement can be reached, the state
 has die option of attempting to proceed
 with implementation of the remedy
 using its own funds,  although EPA is not
 bound by that action. EPA may not
proceed with a Fund-financed action
without the state's assurances.
  Some comments received regarding
the criteria for lead agency designation
(53 FR 51456) also identified the need to
address the criteria used to designate'
llhe lead in the preparation of the ROD
tiince the determination of whether the
iitate has the capability to prepare the
ROD is closely linked to this issue. As
discussed earlier. EPA is not  .
incorporating in today's role any criteria
i'or lead agency designation. Instead a
decision regarding preparation of the
ROD shall be made in consultation with
13PA and the state on a case-by-case
basis. All agreements and decisions
nhall be documented in a site-specific
jigreement and not in a 8MOA.
  Final rale: Proposed § 300.515(e) is
revised as follows:           '
  1. Language is added in final
$ 300.515(e)(l) to clarify that the state
may not publish a proposed plan which
EPA has not approved. In such event
EPA may assume the lead from the state
at Fund-financed sites if EPA and the
dtate cannot agree on a proposed plan.
  2. EPA is adding a clause in

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 8784
            Federal Register / Vol. 55, No. 46  / Thursday,  March 8, 1990 / Rules and Regulations
 to waive pursuant to CERCLA section
 121(d)(4), the state shall fund the entire
 additional cost associated with
 compliance with such ARARs. The state
 may be required to continue the lead for
 the RD/RA or for the additional
 requirements if it is a state-lead Fund-
 financed project or to assume the lead
 for remedial design and construction, or
 for the additional requirements only, if
 the project is federal-lead.
  The proposed rule further provided
 that if a state determines that a Fund-
 financed remedial action should exceed
 the scope of the selected remedy, i.e., an
 enhancement of the selected remedy, the
 state shall fund the entire additional
 cost associated with such enhancement
 The state may be required to assume the
 lead for the remedial design and
 construction of the remedy or only for
 the state-funded enhancement if that
 enhancement can be conducted as a
 separate phase or activity.
  The proposed rule also reflected
 CERCLA section 121(f){2) which
provides that if a state determines that a
remedial action under sections 106 and
122 of CERCLA should attain state
 requirements that EPA and a federal
 district court have determined need not
 be met in accordance with criteria in
 CERCLA section 121(d){4). the state
shall fund, and may be required to
undertake, the additional work.
  Response to comments: Several
commentere questioned the authority of
EPA to require states to pay for
enhancements or to assume the lead in
cleanups when state ARARs are waived
or state standards are deemed not to be
ARARs. Commenters argued that EPA
has no authority under CERCLA to
impose these requirements on states,
even if a state rejects the EPA-selected
remedy in favor of a more extensive
cleanup.
  In response, as a threshold matter, no
state is "required" to seek an
enhancement of a remedy selected
under CERCLA. The issue is, where a
state wishes to enhance or supplement
an EPA-selected remedy, under what
circumstances may it do so, and who
should pay for and supervise the
supplemental action. The answers to
these questions are complicated, and
require a thorough discussion of the
situations in which enhancements may
be appropriate, and EPA's view on state
and federal responsibilities for
enhancements.
  It is important to note at the outset
that states already have significant
opportunities during the RI/FS process
leading up to remedy selection to
suggest to EPA that a proposed remedy
should attain certain standards, or that
the proposed remedy should be
 expanded in scope. As explained earlier
 in this preamble, the states may either
 act as the lead or support agency for
.Fund-financedactions (5 3O0.500{b)),
 and have a dear opportunity to identify
 their potential ARARs—i.e.,
 promulgated state requirements that are
 more stringent than federal
 requirements (§ 300.400(g)(4))—early in
 the process (§ 300.400{g)(l} and (5)). The
 lead agency will then seek agreement
 from the support agency on a proposed
 ROD: certain requirements will then be
 found to be ARARs, and others may be
 found not to be ARARs, or to be
 appropriate for waiver under one of the
 limited waiver categories set out in
 § 300.430(f)(l](ii}(C}. The proposed plan
 will then be issued for public comment,
 and after consideration of state and
 public comments. EPA Will select the
 final remedy.
  Through this process. EPA hopes to
 reach agreement with the affected state
 both on the appropriate scope of the
 selected remedy, and on those state law
 standards that should be met EPA has
 specifically discussed in this rule a
 procedure for dispute resolution with the
 states in order to foster agreement on
 ARARs (i 300525(d)(3} and (4)). Thus.
 EPA contemplates that in many cases,
 state ARARs issues, and extent of
 remedy issues generally, will be
 resolved during the remedial evaluation
 and selection process outlined in the
 NCP. Where such requirements do
 become part of the EPA-selected
 remedy, they would be paid for
 according to the appropriate cost share
 in CERCLA section 104 (for Fund-
 financed actions)."
  Even after the ROD has been signed,
 the state may ask EPA to make changes
 in the selected remedy, or to expand the
 scope of the remedy. If EPA agrees that
 the state's suggestions are appropriate
 and necessary to protect human health
 and the environment EPA may include
 the changes in the selected remedy
 through a ROD amendment or
 explanation of significant differences
 (consistent with final rule
 i 300.435(c][2}); in the case of a Fund-
 financed remedy, EPA would share in
 the costs of the modified or additional
 activity. If EPA concludes that the state-
 suggested changes or expansions are not
  " Where EPA and the date disagree on a remedy
•election. • state has the option of withholding its
state assurances, thereby preventing the remedy
from proceeding as a Fund-financed action
(although EPA could initiate an enforcement action}.
and for EPA enforcement action!, a proceii is
available for slate* to challenge a decision by EPA
to waive an ARAR (CERCLA section 121(f)(2)(B)).
These are. however, extreme measures, and EPA's
goal is to reach agreement with states through the
normal remedy selection process.
necessary to the selected remedial
action, then EPA will not modify the
ROD or piay for (or order) the additional
action; however, EPA may still decide to
allow the additional action to proceed
concurrent with the EPA-selected
remedy.
  Where EPA finds that the proposed
change" or expansion is not necessary
to the EPA-selected remedy, but would
not conflict or be inconsistent with it
EPA may agree to integrate the
proposed change or expansion into the
planned CERCLA remedial work, but
only if the state agrees to fund all
necessary changes or additions, and to
assume the lead for supervising the
state-funded component of the remedy
(or, if EPA determines that the state-
funded component cannot be conducted
as a separate phase or activity, for the
remedial design and construction of the
entire remedy).*7 Although oae
commenter questioned the propriety of
having the state pay for such changes,
EPA believes that it is both reasonable
and appropriate for the states to pay for'
and supervise tasks that they have
requested and that EPA has not selected
as part of its remedy. Placing these
responsibilities on states is also
consistent with the approach set out by
Congress in CERCLA section
121(f)(2)03), when a state seeks to
implement an ARAR that has been
waived by EPA.
  For example, the state may want the
cleanup of ground water to attain water
quality levels beyond those required
under CERCLA, and thus may wish to
maintain a pump-and-treat system
longer thtm deemed necessary in the
ROD: Similarly, the state may request
additional work that falls outside the
scope of liie design and construction at
the site, such as the extension of a water
line outside the Superfund site. Such
changes or expansions that would not
conflict or be inconsistent with the EPA-
selected remedy would generally be
accommodated, on the condition that
the state fund and supervise the change
or expansion. (EPA would provide
notice to -the public where such
accommodations affect the selected
remedy.)
  However, in cases where EPA
concludes that a state-proposed change
or expansion would conflict or be
inconsistent with the EPA-selected
  " These proposed "changes'* could include the
attainment of a particular stole standard that EPA
found not to be an ARAR. or waived.
  1T Often tile state it the most appropriate entity to
lake the lead for such combinations of Fund-
financed and non-Fund-financed actions because of
contracting issues.

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             Federal Register / Vol. 55, No. 46 /  Thursday. March 6. 1990 / Rules and  Regulations       8?85
 remedy, the suggested change should
 not go forward.
   EPA does not believe it would be
 appropriate to allow the state to proceed
 with proposed changes to EPA's
 lawfully selected remedy without EPA
 approval. Indeed, to do so would be
 tantamount to giving the states a veto
 power over EPA remedial action
 decisions, contrary to Agency policy
 (discussed earlier in this preamble) that
 EPA should retain the final authority to •
 select CERCLA remedies. Further.
 allowing states to go forward with
 actions inconsistent with those being
 implemented by EPA would likely result
 in delays in the cleanup of Superfund
 sites, and could potentially create
 unsafe working conditions for remedial
 action contractors.
   Consistent with this discussion, final
 rule J 300.515(f) has been revised to
 better reflect the conditions under which
 state-suggested changes to, or
 expansions of, EPA-selected remedial
 actions should go forward.
   Finally, as noted above, there is a
 process provided for in CERCLA section
 121(f)(2) for states to seek to require
 remedial actions secured under
 CERCLA section 106 to conform to
 waived ARARs. EPA believes it is
 appropriate for the final rule simply to
 reference the procedures set out in the
 statute, rather than attempt to
 characterize them. Thus, the final rule
 on this point has also been changed.
   Final rule: Section 300.515[f) is revised
 as follows:
   (f) Enhancement of remedy. (1) A state may
 ask EPA to make changes in or expansions of
 a remedial action selected under subpart £.
   (i) If EPA finds that the proposed change or
 expansion is necessary and appropriate to
 the EPA-selected remedial action, the remedy
 may be modified (consistent with
 § 300.43£(c)(2]) and any additional costs paid
 as part of the remedial action.
   (ii} If EPA finds that the proposed change
 or expansion is not necessary to the selected
 remedial action, but would not conflict or be
 inconsistent with the EPA-selected remedy.
 EPA may agree to integrate the proposed
 change or expansion into the planned
 CERCLA remedial work if:
   (A) The state agrees to fund the entire
 additional cost associated with the change or
 expansion; and
   (B) The state agrees to assume the lead for
 supervising the state-funded component of
.the remedy or. if EPA determines that the
 state-funded component cannot be conducted
 as a separate phase or activity, for
 supervising the remedial design and
 construction of the entire remedy.
   (2) Where a state does not concur in a
 remedial action secured by EPA under
 CERCLA section 106. and the state desires to
 have the remedial action conform to an
 ARAR that has been waived under
 5 3OM30{f)(lHii)(C}. a state may seek to have
 that remedial action so conform, in
 accordance with the procedures set out in
 CERCLA section 121(f}{2).
  Nome: Section 300.515{g). State
 involvement in remedial design/
 remedial action.
  Proposed rule: Proposed § 300.515[g)
 lead that for Fund-financed remedial
 actions, the lead and support agencies
 shall conduct a joint inspection to
 determine that the remedy has been
 constructed in accordance with the ROD
 and the remedial design.
  Response to continents: Several state
 commenters contended that the states'
 interest in cleaning up irites and their
 participation in 10 percent of the costs of
 remedial actions demands a much larger
 role hi remedial design/remedial action
 than just a final joint inspection.
 Therefore, more  detailed and specific
 language should be provided in the final
 NCP as it pertains to state role in the
 implementation of remedial actions.
 Specific recommendations included that
 both EPA and a state, regardless of
 whether the action is EPA or state-lead,
 should review and comment on the 30,
 60. and 95 percent designs, as well as
 agree on the final design and
 specifications.              :
  Also, commenters recommended that
 both parties should discuss significant
 changes and must consult prior to
 reopening a ROD. Other suggested areas
 for EPA and state interaction were bid  •
 procurement, review of contract prior to
 award, construction progress meetings,
 construction oversight, change order
 negotiations and approvals above limits
 specified in the cooperative agreement.
 One of the commenters stated that while
 these issues may be addressed in a
 SMOA, minimum requirements should
 be specified in the NCP in the absence
 of a SMOA.
  EPA agrees that the state role during
remedial design and remedial action is
very important. However, rather than
 specify the minimum requirements for
 state involvement during remedial
 design and remedial action in the final
rule, the final rule will specify that
 state/EPA interaction during remedial
action will be described in site-specific
agreements: either a cooperative
 agreement or Superfund state contract.
This will provide flexibility on a site-by-
site basis. The range of responsibilities
assumed by states under site-specific
agreements or SMOAs is necessarily
constrained by the legal limits on
delegation of EPA authority, e.g.,
limitations on delegating enforcement
authority.
  Final rule: Section 300.515(g) will be
retitled as "State involvement in
remedial design and remedial action."
The following sentence is added to
 § 300.515(g): The extent and nature of
 state involvement during remedial
 design and remedial action shall be
 specified in site-specific cooperative
 agreements or Superfund state
 contracts, consistent with 40 CFR part
 35 subpart O."
  Name: Section 300.520(a) and (c).
 State involvement in EPA-lead
 enforcement negotiations.
  Proposed rule: Section 300-520faJ
 stated that "EPA shall notify states of
 response action negotiations to be
 conducted by EPA with potentially
 responsible parties during each fiscal
 year." Section 30O520(c) stated: "The
 state may be a party to such settlements
 in which it is a participant in the
 negotiations."
  Response to comments: One comment
 proposed revising § 300.520[c) so that
 states may become a party to a
 settlement whether or not they first
 participate in the negotiations. Another
 comment asked that J 300.520(a) be
 expanded to require EPA to notify states
 not only that PRP negotiations are going
 to be held, but where and when. One
 commenter stated that notice is
 frequently too late for states to
 participate meaningfully.
  EPA recognizes that there may be
 circumstances where the state is
 involved in initial negotiations, decides
 not to be heavily involved in all
 sessions, but may want to sign the
 negotiated decree without modifying it
 EPA agrees that the proposed revision
 would better reflect the statutory intent
 of CERCLA section 121(f](l)(F), which
 requires: "Notice to the state of
 negotiations with potentially
 responsible parties regarding the scope
 of any response action at a facility in
 the state and an opportunity to
participate in such negotiations and,
 subject to paragraph (2), be a party to
 any settlement." However, it is also
important to note that while it may be
appropriate to allow states to join
settlements at any time, EPA may
conclude settlement negotiations with
PRPs without state concurrence
 (CERCLA section 121(f)(2)(C)).
  Final rule: Proposed § 300.520(c) is
revised as follows: "The state is not
foreclosed from signing a consent decree
if it does not participate substantially in
the negotiations."
  Name: Dual enforcement standards.
  Proposed rule: Subpart F discussed
provisions for "substantial and
meaningful state involvement" in the
cleanup process. The subpart introduces
the EPA/state Superfund memorandum
of agreement (SMOA), a non-binding
agreement between EPA and a state to

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  8786      Federal Register / Vol. 55, No. 46 / Thursday,  March 8,  1990 / Rules  and Regulations
  define respective governmental roles for
  state participation in pre-remedial,
  remedial and enforcement response
  actions. The SMOA recognized state
  leadership while preserving EPA review
  and concurrence powers, and EPA's
  right to proceed under CERCLA to
  ensure compliance with section 121 and
  other provisions of CERCLA. At EPA-
  lead sites, the state may disagree with
  EPA's choice of remedy. Section 300.505
  described the procedures to develop
  SMOAs. Section 300.515 outlined state
  involvement in remedial actions.
  including a discussion of what options
  are available when states and EPA
  disagree on cleanup standards.
   Response to comments: EPA received
- comments stating that the proposed NCP
 was unclear on whether states have the
 right to require PRPs to meet more
 stringent state requirements in addition
 to CERCLA-specified ARARs for a
 Fund-Financed or an enforcement action.
 The large number of comments EPA
 received on this issue reflects a strong
 concern that dual and potentially
 conflicting standards will be enforced
 by EPA and states. EPA acknowledges
 that'this is an area requiring further
 review and evaluation. EPA believes,
 however, that mechanisms in the final
 NCP can be used to minimize the
 possibility of conflicting standards
 imposed upon PRPs.
   One such mechanism is the SMOA.
 An important purpose of SMOAs is to
 establish a working relationship
 between EPA and a state on
 coordinating their respective
 involvement in remedy selection and
 enforcement strategies at sites
 throughout that state. Another   '
 mechanism is the concurrence process
 described in the NCP. The  degree to
 which EPA (or another federal agency)
 and a state can concur on each other's
 remedies will reduce the need for EPA
 to take a separate action at a site or for
 the state to challenge remedies selected
 by EPA which are covered by CERCLA
 sections 121(f){2) or (3). The final NCP
 places great emphasis on the
 concurrence process (see § 300.5l5(e){2))
 and on dispute resolution (see preamble
 section above) to encourage EPA. other
 federal agencies and states to resolve
 differences among them and select the
 single remedy for a site that will fulfill
 the objectives and requirements of each
 agency.
   A commenter objected to the
 statement that EPA silence on a state-
 lead remedy (selected under state law)
 cannot be construed as concurrence and
 that EPA retains the right to proceed
 with a remedy under CERCLA In
 response, EPA may not be an active
 participant in negotiations between a
 state and PRPs at state-lead sites but
 EPA encourages states to notify EPA of
 such negotiations and seek EPA
 concurrence on the remedy selected. In
 the preamble to the proposed NCP,
 however. EPA cautioned that EPA will
 not be bound to any decisions made by
 a state if EPA does not concur on the
 remedy (see 53 FR 31458). EPA believes
 that it has a responsibility to bring an
 action under CERCLA when necessary
 to protect human health and the
 environment EPA intends that the
 processes established in the  final NCP
 will reduce the need for such action but
 EPA must maintain its ability to perform
 statutory mandates.
  Other commenters contended that
 states should not be allowed to contest
 an EPA-lead remedy if they did not
 participate in negotiations, and
 suggested that some mechanism be
 included in the NCP to require EPA and
 state participation and concurrence in
 all remedial action settlements at NPL
 Sites. A similar comment recommended
 that EPA and states be joint signatories
 on more settlements. In response, EPA
 encourages concurrence by both EPA
 and a state but does not believe that it is
 necessary to require such concurrence
 on all settlements or remedies. EPA and
 states are encouraged to plan ahead and
 decide on the extent of their
 involvement in the work necessary to
 reach settlements and decide on
 remedies. EPA and the state can also
 agree that even if one agency is not
 substantially involved in the  work, that
 agency may still sign or concur on the
 settlement or the ROD. In fact
 § 300.520(c} of the final NCP provides
 that a state is not foreclosed from
 signing a consent decree if it  does not
 participate substantially in the
 negotiations. In addition, a state is not
 required to participate in settlement
 negotiations in order to challenge a
 remedy under CERCLA section 121(f](2)
 or (3). EPA believes, however, that
 involving the state in such negotiations
 may reduce the circumstances under
 which a state would resort to a statutory
 challenge.
  Finally, a commenter recommended
 that the NCP grant states that
participate in settlement negotiations for
 actions taken under CERCLA sections
106 or 122, the right to review, comment
 on and approve/disapprove work
undertaken by PRPs. In response, a state
may participate in settlement
discussions for actions to be taken
under sections 106 or 122. The oversight
activities that may be conducted by a
state, however, are limited by the extent
 .. .. hich EPA can delegate enforcement
 responsibilities under CERCLA section
 106. States may approve or disapprove
 work by PRPs when conducting an
 enforcement action under state law.
   Final rale: There is no rule language
 on this issue.

 Subparf, G—Trustees for Natural
 Resources

   Section 107(a)(4)(C) of CERCLA
 impose!) liability for the injury.
 destruction, or loss of a natural
 resource, including the costs of a natural
 resources damage assessment resulting
 from the release of hazardous
 substances. Section 107(f)(l) of CERCLA
 provides that only properly designated
 federal trustees, authorized
 representatives of an affected  state, or
 Indian tribes can pursue a section
 107(a)(4)(C) action. Clean Water Act
 (CWA) section 311(f) imposes  similar
 liability for discharges of oil and
 hazardous substances into navigable
 waters of the United States.
   Pursuant to section l(c) of Executive
 Order 12580 (52 FR 2923. January 29.
 1987). and in accord with CERCLA
 section 107(f)(2)(A) and section 311(f) of
 the Clean Water Act the Secretaries of
 Defense, the Interior. Agriculture,
 Commerce, and Energy are among the
 agencies that are designated in the NCP
 as federal trustees for natural resources.
 Those federal trustees act on behalf of
 the President in assessing damages to
 natural resources from discharges of oil
 or releases of hazardous substances,
 pollutants, or contaminants. Subpart G
 outlines the designations of federal
 trustees under CERCLA. Although the
 1986 amendments to CERCLA
 necessitated few changes to the NCP
 provisions on natural resources, the
 major objective for this proposed
 revision is to make the subpart more
 readable and understandable to those
 who are not familiar with trustee agency
 authorities. Because the primary
 purpose of this subpart is to list natural
 resource trustee agency designations so
 as to ensure prompt notification as
 required by CERCLA, the proposed
 changes reflect an overriding concern
 that trustee jurisdictions be described as
 accurately as possible.
  Section 301(c) of CERCLA requires the
 promulgation of rules for the assessment
 of damages for injury to, destruction of,
 or loss of natural resources resulting
from a discharge of oil or a release of a
hazardous substance under CERCLA
 and the dean Water Act Pursuant to
Executive Order 12580. section  llfdj, the
responsibility to promulgate these
regulations has been delegated  to the
Department of the Interior (DOI). DOI
has promulgated rules for the

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             Federal Register  /  Vol. 55. No. 46  /Thursday,  March 8. 1990 / Rules and Regulations	8787
 assessment of damages for the injury to,
 destruction of, or loss of natural
 resources (see 43 CFR part 11). Parts of
 those rules were struck down by the
 U.S. Court of Appeals for the District of
 Columbia Circuit on July 14.1989, and
 remanded to the Department of the
 Interior for further consideration. See
 State of Ohio v. U.S. Department of the
 Interior, 880 F.2d 432 {D.C. Cir. 1989),
 and State of Colorado v. U.S.
 Department of the Interior, 880 R2d 481
 (D.C. Cir. 1989).
  The use of the procedures described
 in DOI's rule, 43 CFR part 11, is optional.
 However, the results-of an assessment
 performed in accordance with the DOI
 rule by a federal or state trustee, or
 Indian tribe, if reviewed by a federal or
 state trustee, shall be given the status of
 a rebuttable presumption in an action to
 recover damages for injuries to,
 destruction of, or loss of natural
 resources. Whetherpr not the
 procedures in 43 CFR part 11 are
 followed, a trustee agency may decide
 to proceed with a range of information
 gathering and other trust-related
 activities.
  The following are summaries of
 comments on the proposed subpart G
 and EPA's responses.
  Name: Section 300.600. Designation of
 federal trustees.
  Existing rule: Section 300.72 of the
 1S85 NCP designated those federal
 officials who are to act on behalf of the
 public as trustees of federal natural
 resources. It also described the types of
 resources that the agencies manage and
 gave examples of the resources that
 might be under their trusteeship.
  Proposed rule: In the proposed rule
 (renumbered | 300.600), EPA attempted
 to clarify and define as accurately as
possible the federal agencies
responsible for specific resources. It did
 this by delineating in the paragraph
headings the federal agency or type of
federal agency responsible for natural
resources. In addition, EPA proposed to
 change the narrative to describe in more
 detail the resources that agencies
manage and to give examples of
resources that might be under an
 agency's trusteeship.
  The proposed rule designated the
Secretary of Commerce as a trustee. The
proposed rule also provided that the
 Secretary shall act with the concurrence
 of other federal agencies when the
resources or authorities of other
 agencies are involved. The Secretary is,
 however, a trustee in his own right also,
pursuant to various statutory
authorities.
  The proposed rule also described
federal agency jurisdiction over certain
 natural resources. The 1985 NCP
 designated the Secretary of Commerce
 as the trustee for natural resources in or
 under "waters of the contiguous zone
 and parts of the high seas  *  * ,VThe
 proposed rule includes under the
 Secretary's jurisdiction, the natural
 resources "in or under tidally influenced
 •waters, the waters of the contiguous
 zone, the exclusive economic zone, and
 the outer continental shelf5'*-* ;*."
   The proposed rule also deleted the
 1!}85 NCP's (§§ 300.72(3) and (b))
 exclusion of lands or resources in or
 under U.S. waters. This was proposed
 because federal trusteeship derives
 primarily from authority to manage or
 protect affected resources regardless of
 where these resources are located.
   Response to comments: 1. Territorial
 sea—definition.'One commenter asked
 if subparts D and G will be revised to
 reflect the new definition of "territorial
 sea" in the January 1989 Presidential
 Proclamation.
   The term "territorial sea" is used in
 the NCP only in the definition of
 "cjontiguous-zone." "Territorial sea" is
 not defined in the NCP but is defined in
 CERCLA section 101(30) as having the
 SEime meaning provided in CWA section
 502. This section defines 'the term
 "territorial sea" as "the belt of the seas
 measured from the line of ordinary low
 water along that portion of the coast
 which is in direct contact with the open
 sea and the line marking the seaward
 limit of inland waters, and extending
 seaward a distance of three miles." On
 December 27,1988, the President issued
.a Proclamation (No. 5928, 54 FR 777,
 January 9,1989) extending the territorial
 sea of the United States to 12 nautical
 miles from the baselines of the United-
 States determined in accordance with
 international law. However, the
 Presidential Proclamation provides that
 nothing therein "extends or otherwise
 alters existing federal or state law ox-
 any jurisdiction, rights, legal interests, or
 obligations derived therefrom *' * *."
 Therefore, the CWA definition of
 territorial sea has not been revised by
 this proclamation. Accordingly, EPA
 •believes that it is unnecessary to change
 the use of territorial sea in the NCP.
   2. Trustees'authority. One commenter
 stated that trustee actions are
 authorized by CERCLA. but no specific
 responsibilities are delineated. The
 commenter stated that the main purpose
 of subpart G is to indicate the •
 responsibilities of trustees, not to be a
 "plan" or other listing of their activities.
 However, one commenter recognized the
 merit of including in subpart G examples
 of the kinds of activities that OSC/RPMs
 and others could expect of trustees. The
 commenter thought that the purpose of
 the subpart was not clearly understood
 in the preamble and should be clarified.
   Another commenter asserted that
 proposed § 300.600(b) could be
 construed as limiting trustees' activities
 to enumerated activities, and should be
 clarified, since trustees have many
 additional authorities other than those
 enumerated in that section.
   The purpose of subpart G is not to be
 an exclusive listing of the
 responsibilities of natural resource
 trustees, but to better inform the public
 of natural resource trustee designations.
 Proposed § 300.615 outlines some
 responsibilities of all trustees in general
 and federal trustees in particular.
 However, those responsibilities listed
 are not exclusive. Proposed § 300.615(e]
 lists some actions which may be taken
 by any trustee. Those actions are
 described as including but not being
 limited to certain enumerated actions.
 Nowhere in the preamble to the
 proposed rule or in the proposed rule
 itself is the suggestion mat the listed
 activities are the only activities which
 trustees may take. Trustees may act
 pursuant to any other authority they
 have besides the NCP. However, to
 clarify the issue, EPA has changed the
 final rule language  in the introduction to
 § 300.615(c) to read "Upon notification
 or discovery of injury to, destruction of,
 loss of, or threat to natural resources,
 trustees may, pursuant to section 107(f)
 of CERCLA or section 311(f)(5) of the
 Clean Water Act take the following or
 other actions as appropriate:". The
 addition of "take the following or other
 actions as appropriate" is intended to
 highlight that the enumerated actions
 are not the only actions a trustee might
 take under CERCLA or the Clean Water
 Act but are only examples of actions a
 trustee might take. EPA has also revised
 the final rule language in the
 introduction to § 300.615(e) to clarify
 that the trustee is acting pursuant to the
 Clean Water Act and CERCLA. The
 clarification is intended to highlight that
 trustees may also act pursuant to
 whatever authority they have and that
 the examples of responsibilities listed
 stem only from CERCLA and the Clean
 Water Act EPA has also revised the
 introduction to § 300.615(d) to specify
 that the trustees' authority includes, but
 is not limited to the enumerated actions.
  As to the comment concerning
 § 300.600[b), EPA believes that nothing
 in that proposed or final section Emits
 the trustees' authority to act in the
proper circumstances. The section does
not enumerate all the activities which
the trustees may undertake, it merely
describes situations under which they
may act pursuant to CERCLA and the

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  8788      Federal Register / Vol. 55. No. 46  / Thursday. March 8.  1990 / Rules  and Regulations
 Clean Water Act Those situations are
 •when "there is injury to, destruction of,
 loss of, or threat to natural resources as
 a result of a release of a hazardous
 substance or a discharge of oil."
 However, to clarify that the rule does
 not limit trustees to act under other
 authorities, EPA is changing the rule
 language in § 300.600(b] to read that
 trustees are authorized to act "pursuant
 to section 107(f) of CERCLA or section
 311(f)(5) of the Clean Water Act" in the
 listed instances.
   3. Authority of Secretary of
 Commerce. One commenter believed
 that proposed §  300.600(b)(l) implied
 that the Secretary of Commerce acts on
 behalf of other federal agencies with
 authorities to manage or protect natural
 resources in coastal or marine areas but
 has no management or protection
 authorities himself and suggested that
 the rule language be changed to reflect
 that the Secretary is a trustee in his own
 right.
   Another commenter questioned
 whether the requirement in
 § 30O600(b](l) that the Secretary of
 Commerce (through NOAA)  obtain the
 concurrence of other federal agencies
 before it acts is lawful. The commenter
 noted that this is particularly important
 where a federal  agency may be a PRP.
 and may have the incentive to diminish
 the actions of the Department of
 Commerce and therefore reduce its
 potential  liability. The commenter urged
 that the "concurrence" requirement be
 dropped.
   Certain natural resources (e.g., within
 coastal and marine areas) are indeed
• under the jurisdiction of the Department
 of Commerce. EPA has clarified final
 S 300.600(b)(l) to read: "Secretary of
 Commerce.  The  Secretary of Commerce
 f hall act as trustee for natural resources
 managed or protected by the
 Department of Commerce or by other
 federal agencies and that are found in or
 under waters navigable by deep draft
 vessels. • • •  (remainder as
 proposed)."
   Specific natural resources in areas
 under the trusteeship of DOC may also
 be managed or protected un'der statutes
 administered by other federal agencies.
 Therefore, it is appropriate that the
 Secretary of Commerce  shall, whenever
 practicable, seek the concurrence of the
 other agency when there is overlapping
 juris diction. Such concurrence is not
 required by law, however, and therefore,
 EPA will revise  § 300.600{b)(l) to
 eliminate the requirement of mandatory
 concurrence of another federal agency
 before the Secretary of Commerce takes
 an action with respect to an affected
 resource under the management or
 protection of that agency. Instead the
revised rule provides that the Secretary
of Commerce shall, whenever
practicable, seek such concurrence.
  Final rale: EPA is revising proposed
§ 300.600 as follows:
  1. EPA is revising the introduction to
§ 300.600{b) to make it clear that
trustees are authorized to act "pursuant
to section 107(f) of CERCLA or section
311(f)(5) of the Clean Water Act" given
the listed circumstances. Trustees may
also act pursuant to whatever other
authority they may possess.
  2. Section 300.600(b)(l) is being
revised to clarify that some natural
resources are managed or protected by
the Secretary of Commerce. It is being
further revised to eliminate the
requirement of concurrence of another
federal agency before the Secretary of
Commerce acts with respect to an
affected natural resource under the
management or protection of the other
federal agency. Concurrence of the other
federal agency shall be sought whenever
practicable, pursuant to the revised rule.
  Name: Section 300.610. Indian tribes
as trustees for natural resources under
CERCLA.
  Proposed rule: for purposes of a
release or threatened release of a
hazardous substance which causes the
incurrence of response costs, the 1986
amendments to CERCLA provide that an
Indian tribe may bring an action for
injury to, destruction of, or loss of
natural resources belonging to. managed
by.  controlled by, or appertaining to
such tribe, or held in trust for the benefit
of such tribe, or belonging to a member
of such tribe if such resources are
subject to a restriction on alienation.
The proposed rule provided that the
tribal chairmen (or heads of the
governing bodies], or other person
designated by tribal officials, are
trustees for those natural resources. The
proposed rule provided that the tribe, if
it designated a person other than the
chairman (or head of the tribal
governing body), notify the President of
the trustee designation. The tribal
trustee would have similar
responsibilities to state and federal
trustees under the proposed rule.
  Response to comments: 1.
Notification—timeliness of notice. A
commenter noted that tribal resources,
either on or off-reservation, may be
affected by off-reservation Superfund
sites. The commenter suggested that the
NCP should clearly state that tribal
natural resources trustees must be
notified when a tribe's resources are
injured by an oil discharge or a release
of hazardous substances because early
and proper notice will help Indian tribes
protect their limited resource base by
assuring timely assessments and
maximum protective efforts.
  EPA realizes that tribal resources, like
other natural resources, may be affected
by off-reservation Superfund sites.
Pursuant tci § 300.615(b), trustees are
responsible for designating to the
Regional Response Teams (RRTs), for
inclusion in the Regional Contingency
Plan, appropriate contacts to receive
notifications from the on-scene
coordinators (OSCs)/remedial project
managers (KPMs) of potential damages
to natural resources. Therefore, under
the final rule, if tribal trustees (or the
Secretary of the Interior, as appropriate)
have notified the RRT of an appropriate
contact they will likely receive the early
notification they seek.
  2.  Trustee designation. A commenter
wanted EPA tp contact affected tribes to
determine who will serve as tribal
trustee for Superfund activities. The
final rule provides that the tribal
chairmen (or heads of the governing
bodies) of Indian tribes, or a person
designated by tribal officials to act on
behalf of Indian tribes are natural
resources trustees for certain categories
of natural resources. For other
categories of resources, the Secretary of
the Interior continues to function as
trustee.
  Normally the tribal chairman (or head
of the governing body of the tribe) will
be the natural resource trustee.
However, tribal officials may choose to
designate {mother person as trustee.
When those officials designate another
person as trustee, the final rule provides
that  the tribal chairman or heads of the
tribal governing bodies notify the
President of the trustee designation.
EPA in the past has contacted states to
learn of state trustee designations and
will  contact federally recognized Indian
tribes to learn of tribal trustee
designations.      '
  In contrast to CERCLA, under CWA
section 311. Indian tribes ere not
trustees and thus may not bring actions
for injury to natural resources pursuant
to that Act. For purposes of the Clean
Water Act and for certain circumstances
under CERCLA, where the United States
continues to act as trustee on behalf of
an Indian tribe, the Secretary of the
Interior wiH function as trustee of those
natural resources for which the Indian
tribe would otherwise act as trustee.
Therefore, § 300.610 is being revised to
eliminate the reference to authority to
act of an Indian tribe when there is a
discharge of oil.
  3.  Tribal resources. A commenter
thought that the proposed rule failed to
recognize the scope of tribal resources,
e.g.,  hunting, fishing, and water rights.

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             Federal Register / Vol. 55, No. 46  / Thursday. March  8, 1990 / Rules  and Regulations
                                                                        8789
   EPA's description of natural resources
 in proposed § 300.600 was not intended
 to foe an exclusive list, bat only to give
 some examples of natural resources. It
 would be impossible to list every type of
 natural resource. CERCLA section
 301(16] defines "natural resources" as
 including land, fish, wildlife, biota, air,
 water, ground water, drinking water
 supplies, and other such resources
 belonging to the federal government, a
 state, or local government, or an Indian
 tribe, or if such resources are subject to
 a trust restriction on alienation, to any
 member of an Indian tribe.
   As to .the commenter's specific
 concern about hunting, fishing, and
 water rights, EPA believes that those
 rights are not themselves natural
 resources. The game to be hunted, the
 fish to be caught, and the water to be  '
 used are the resources, not the rights to
 those resources. Therefore, no change to
 rule language is necessary.
  4. Natural resource damage
 assessments. One commenter suggested
 that the language in the preamble to the
 proposed rule (at 53 FR 51460] stating
. that a natural resource damage
 assessment performed by an Indian
 tribe, when reviewed by federal or state
 natural resource trustees, will be
 allowed the rebuttable presumption.
 should be changed.28 The commenter
 suggested that the language should be
 changed to reflect that damage
 assessments performed by Indian tribes
 jointly with federal or state natural
 resource trustees would qualify for the
 rebuttable presumption. The commenter
 noted that similar language is found in
 the preamble to the natural resource.
 damage assessment regulations at 53 FR
 5168 (February 22,1988].
  EPA agrees with the commenter.
 When federal and state trustees and
 Indian tribes work closely together on
 assessments, such assessments may
 qualify for a rebuttable presumption.
  Final rule: Proposed § 300.610 is
 revised as follows:
  1. The second sentence is revised to
 read: "When the tribal chairman or head
 of the tribal governing body designates
 another person as trustee, the tribal
 chairman or head of the tribal governing
 body shall notify the President of such
 designation."
  « Section 107(f)(2)(C) of CERdA provide* that
««y determination or assessment of damages for
purposes of CERCLA or section 311 of the Clean
Water Act has the force and effect of a rebuttable
presumption on behalf of the trustee in any
administrative or judicial proceeding under
CERCLA or section 311 of the Clean Water Act if
made by a federal or state trustee in accordance
with the regulations promulgated under CERCLA
section 3Ol(c).
   2. The last sentence is revised to read:
 "Such officials are authorized to act
 when there is injury to, destruction of,
 loss of, or threat to natural resources as
 a result of a release of a hazardous
 icubstance."
  Name: Section 300.615.
 Responsibilities of trustees.
  Proposed rule: The proposed rule
 reorganized and substantively changed
 ji 300.74 of the 1985 NCR It sought to
 provide better information on the
 actions trustees  may take to carry out
 their responsibilities. The proposed rule
 lequired cooperation and coordination
 when there are multiple '.trustees
 because of coexisting or contiguous  '
 natural resources or concurrent
 Jurisdiction. It also described the
 responsibilities of all trustees in general.
 end of federal trustees in. particular.
 Finally, in accord with the amendment
 of CERCLA. the  proposed rale deleted
 the option of pursuing chums against the
 Fund for natural resource damage
 assessment and  restoration of natural
 resources.
  Response to continents: 1..
 Coordination— a. Multiple trustees.
 One commenter  suggested that the final
 role should discuss "lead trustee"
 designation and  exactly what
 responsibilities and authority the lead
 trustee has for the coordination  of
 assessment activities by multiple
 trustees. Another commenter asked if
 three-party agreements among the
 appropriate federal agency, the Indian
 tribe, and the state will be available in
promoting cooperation.
  EPA believes that it is important that
 only one person  (i.e., the lead agency
 OSC or RPM] manage activities  at the
 site of a release or potential release.
When there are multiple 'trustees, EPA
recommends that a lead authorized
official be designated to  coordinate all
aspects of the natural resource damage
assessment, investigation, and planning.
including federal trustees' participation
in negotiations with PRPs as provided
under CERCLA section 122(j)(l). This
coordination is designed to ensure
efficient response actions and avoid
duplication of efforts.
  An authorized official'iis a federal or
state official to whom is delegated the
authority to act on behalf of the federal
or state agency designated as trustee, or
an official designated by an Indian tribe,
to perform a natural resource damage
assessment (See the Department of the
Interior natural resource damage
assessment rules at 43 CFR 11.14(d).] A
lead authorized official is a federal or
state official authorized to act on behalf
of all federal or state agencies, or an
official designated by multiple tribes
 when there are multiple tribes, affected
 because of coexisting or contiguous
 natural resources or concurrent
 jurisdiction (43 CFR 11.14(w)}. The DOI
 damage assessment rules encourage the
 cooperation and coordination of
 assessments that involve multiple
 trustees because of coexisting or
 contiguous natural resources or
 concurrent jurisdiction. The DOI
 regulations also contain examples of a
 lead authorized official's responsibilities
 in a damage assessment. He acts as
 coordinator and contact regarding all
 aspects of the assessments and acts as
 final arbitrator of disputes if consensus
 among the trustees cannot be reached
 regarding the development
 implementation or any other aspect of
 the Assessment Plan. The lead
 authorized official is designated by
 mutual agreement of all the natural
 resource trustees. Pursuant to the
 damage assessment regulations (at 43
 CFR 11.32(a}(lXiiXAHD}). if consensus
 cannot be reached on a lead authorized
 official: (1] When the natural resources
 being assessed are located on lands or
 waters subject to the administrative
 jurisdiction of a federal agency, a
 designated official of the federal agency
 shall act as the lead official; (2] when
 the natural resources being assessed are
 located on lands or waters of an Indian
 tribe, an official designated by the
 Indian tribe shall act as the lead official;
 and  (3) for all other natural resources for
 which a state may assert trusteeship, a
 designated official of the state agency
 shall act as lead official.
  The final rule suggests that where
 there are multiple trustees, because of
 coexisting or contiguous natural
 resources or concurrent jurisdictions,
 they should coordinate and cooperate in
 carrying out their responsibilities as
 trustees. EPA has substituted the words
 "should coordinate and cooperate" for
 the words "shall coordinate and
 cooperate" in final § 300.615(a). EPA has
made this change because one trustee
cannot compel another trustee to
coordinate and cooperate in carrying out
trust responsibilities, no matter how
desirable that coordination and
cooperation might be. However. EPA
wishes to encourage such coordination.
  Three-party agreements are not
excluded by the NCP. Therefore,
coordination and cooperation may
include three-party agreements if
necessary to facilitate the
responsibilities of the trustees.
  b. Investigations. One commenter
suggested that biological assessment
groups or technical assistance groups
formed in various EPA regions provide a
model for coordination that could be

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Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules and Regulations
 valuable nationwide, and the preamble
 might include mention of these as
 mechanisms to implement CERCLA
 section 104{bl{2).
   Regional planning and coordination of
 preparedness and response actions is
 accomplished through the Regional
 Response Team (RRT). Such
 coordination may include biological
 assessment groups or other technical
 groups. Several EPA regional offices
 already include biological and technical
 assistance groups. Typically the groups
 arc comprised of representatives from
 the Department of the Interior. U.S. Fish
 and Wildlife Service, the Department of
 Commerce (NOAA), and state
 departments of environmental
.conservation under the direction of an
 EPA chairman.
   c. Mandatory coordination.  One
 commenter suggested that language in
 proposed §§ 300.615(c). 300.410(g), and
 300.430(b){7) should be changed to
 delete the words "as appropriate"
 referring to coordination of trustees'
 efforts. This language should be
 strengthened to be consistent with
 CERCLA section 104(b)[2). Such
 coordination would minimize
 duplicative efforts and costs in natural
 resource damage assessments and RI/
 FSs, and would lead to more settlements
 under section 122(j). 	
   Section 104(b}{2) of CERCLA provides
 that the "{President shall * * * seek to
 coordinate the assessments.
 investigations, and planning under this
 section with such federal and  state
 trustees." EPA agrees that in most
 places in the final rule the term "as
 appropriate" is not necessary. The term
 is not in section 104[b)(2) and is not
 needed to implement that section. EPA
 will eliminate the term "as appropriate"
 from §§ 300.410(g) and 300.430(b)(7), as
 the commenter requested, as well as in
 SS 300.135{j) and 300.305(d). However,
 EPA will retain the term "as
 appropriate" in § 300.615(c). That
 section discusses the types of actions
 Which a trustee may take under
 CERCLA. The trustee may have already
 taken the action or the action  may not
 be necessary or desirable. Therefore, it
 i» necessary to retain the term "as
 appropriate" in that section.
   EPA has also revised § 300.315{c) to
 require the OSC to make available to
 the trustee information and
 documentation that can assist the
 trustee in determination of actual or
 potential natural resource injury from oil
 discharges. EPA has added the following
 sentence to the end of | 300.315(c): "The
 OSC shall make available to the trustees
 of the affected natural resources
 information and documentation that nan
 assist the trustee in the determination of
                           actual or potential natural resource
                           injuries." EPA has revised § 300.315(c) to
                           facilitate coordination between the OSC
                           and the trustee, and to make the
                           provision on oil discharges consistent
                           with the provision on release of
                           hazardous substances (see
                           § 300.160[a)(3)).
                            As an editorial change, EPA is also
                           adding the words "the trustee" in
                           § 300.160(a)(3). so that it reads: "The
                           lead agency shall make available to the
                           trustees of affected natural resources
                           information and documentation that can
                           assist the trustees in the determination
                           of actual or potential natural resource
                           injuries." The addition of the words "the
                           trustees" does not substantively change
                           the meaning of the section, but
                           emphasizes that the trustees make the
                           determination of injury to natural
                           resources.
                            2. Notification—a. Criteria. A
                           commenter suggested that the section on
                           trustees should also provide criteria for
                           notifying them.
                            CERCLA section 104(b)(2) and final
                           NCP § 300.615(c] provide criteria for
                           notification of trustees. The statute
                           requires the President to promptly notify
                           appropriate federal and state natural
                           resource trustees of potential damages
                           to natural resources resulting from
                           releases under investigation pursuant to
                           section 104(b). Pursuant to § 300.135(c)
                           of the final rule, the OSC/RPM shall
                           collect pertinent facts about the release,
                           including the potential impact on natural
                           resources. This information is in turn
                           used to comply with § 300.135G) and (k).
                            b. Not dependent on OSC/RPM. One
                           commenter noted that natural resource
                           trustee notification should not be
                           dependent upon a decision by the OSC/
                           RPM as to whether resources are
                           affected by the release. The federal and
                           state trustee agencies should be notified
                           of the release; trustee agencies have
                           both the expertise to determine the
                           likelihood of injury to their resources
                           and the responsibility for making the
                           determination. The commenter
                           suggested that this issue should be
                           clarified in the preamble to the final rule
                           by incorporating the fallowing language:
                           "The OSC or lead agency is responsible
                           for ensuring that state and federal
                           trustees are notified promptly of natural
                           resources that may be exposed to, may
                           be at risk from, or may be injured by
                           discharges or releases."
                             EPA agrees that natural resource
                           trustee notification should not be
                           dependent upon a decision by the OSC/
                           RPM as to whether resources are
                           affected by the release. EPA also agrees
                           that the lead trustee should make the
                           determination of whether resources
                           •under its jurisdiction are affected. The
final rule is ^unchanged in this regard
because EPA believes that the final rule
S 300.135(j) and (k} adequately address
the commenter's concern.
  c. Duty to notify mandatory. One
commenter argued that "as appropriate"
or other phrases qualifying either the
responsibility to notify, or the timing of
notification, incorrectly lead OSCs and
RPMs to view trustee notification as
discretionary. The commenter suggested
that language in the preamble briefly
explain the intent or limitations of "as
appropriate" or similar qualifying
phrases, such as is done for those same
phrases in the preamble of subpart J on
dispersants. to make it clear that the
intent of the NCP provision is that
trustees be notified.
  EPA agrees that the OSC/RPM has
the mandatory duty to notify the trustee
of discharges or releases that are
injuring or may injure natural resources
under a trustee's jurisdiction. Final
§ 300.1350) codifies this requirement
The phrase '"as appropriate" has been
deleted from the second sentence of
i 300.1350). EPA also inadvertently
omitted necessary language and
included unnecessary language in .the
second sentence in proposed
§ 300.1350). Therefore, EPA has revised
that sentence to read: "The OSC or RPM
shall seek to coordinate all response
activities with natural resource
trustees." The words "seek to"
coordinate were added to track the
language of section 104(b)(2). The words
"* * * should consult with the natural
resources trustee in determining such
effects and * * *" were deleted from
the second sentence because those
words may have implied that the OSC
had a role in determining whether there
was injury or potential injury to natural
resources, when in fact that is a sole
determination of the trustee.
  3. Damage assessments—a.
Qualifications of assessor. One
commenter suggested that pursuant to
§ 300.615(cK4), EPA should identify the
qualifications that must be
demonstrated for an individual to assess
damages following 43 CFR part 11.
  The qualifications that must be
demonstrated for an individual to assess
damages an: determined by the trustee.
The Department of the Interior
regulations specify how to conduct a
damage assessment in order to qualify
for the rebuttable presumption, but the
qualifications of the person conducting
that assessment is a question for each
trustee to determine according to the
needs of the trustee for the injured
resources int question.
  b. Negotiations. One commenter
suggested that the following language,

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              Federal Register / Vol. 55. No. 46 / Thursday. March 8, 1990  / Rules and Regulations      8791
  which is similar to DOI's natural
  resource damage assessment rules, be
  included in § 300.615: "State and federal
  trustees are not required to conduct a
  natural resource damage assessment to
  effectively participate in settlement
  negotiations. State and federal trustees
  need not conduct a natural resource
  damage assessment in order to agree to
  a covenant not to sue for natural
  resource damages."
   The preamble to the DOI regulations
  (at 53 FR 5169, February 22.1988)
  concerning natural resource damage
  assessments contains language noting
  that it is not necessary to conduct a
  damage assessment in order to
  effectively participate in settlement
 negotiations. EPA agrees with the OOI
 position and further believes that such
 an assessment is not a prerequisite to a
 covenant not to sue. Therefore, since the
 preamble to the DOI regulations -
 provides the requested change already,
 no change to the NCP rule language is
 necessary.
   c. Duty to perform. A commenter felt
 that the statements in the subpart that
 the federal trustees "will" or "may" act
 pursuant to CERCLA section 107 and
 Clean Water Act (CWA) section
 311(f)(5} attempt to water down'the
 direct statutory command in those
 provisions that the trustees "shall"
 assess damages and carry out other
 trusteeship obligations. Another
 commenter suggested that the language
 in §§ 300.600(a) and 300.615(c) that is
 discretionary or unclear should be
 changed to state that the trustees "shall"
 carry out their duties established in
 CERCLA section 107(f) and CWA
 section 311(f)(5J.
   Section 107(f)(2)(A> confers authority
 on federal trustees to "act on behalf of
 the public as trustees for natural
 resources under this Act and under
 section 311" of the Clean Water Act and
 to "assess damages" for federal  natural
 resource injury, destruction or loss for
 purposes of CERCLA and section 311 of
 the Clean Water Act. Neither CERCLA
 nor the Clean Water Act require trustees
 to perform any other function. Other
 actions which the trustees may perform
 pursuant to CERCLA and the Clean
 Water Act are discretionary, to be
 performed as necessary on a case-
 specific basis.
  The language in CERCLA section
 107{f) and section 311(f){5) of the Clean
 Water Act providing that the trustee
 "shall" act as trustee or "shall" assess
 damages does not require action fay the
 trustee. Such language merely means
 that the trustee or his delegee are the
 only persons authorized to act as
trustees or to. assess damages.
Performance of the functions of a trustee
  is discretionary under CERCLA and the
  Clean Water Act. based on case-specific
  circumstances. Therefore, final
  § 300.615(c)(3) provides that trustees
  "may, pursuant to section 107(fJ of
  CERCLA or section 311(f)(5) of the Clean
 ' Water Act. take the following or other
  actions as appropriate", including
  carrying out damage assessments. And
  as noted earlier, a trustee may choose to
  act under other authority in addition to
  sections 107 and 311.
   d. Coordination. A commenter urged
  EPA to insert additional language that
  encourages the lead agency to  .
  coordinate cleanup levels with natural
  resource damage assessments-to the
  greatest extent possible.
   EPA has already done much of what
  the commenter asks In § 300.430(b)(7)
  (proposed as § 300.430(faJ[6}). Pursuant
 to that section the lead agency shall, if
 natural resources are or may be injured
 by the release, ensure  that state and
 federal trustees are promptly notified in
 order that the trustees may initiate
 appropriate actions, including those
 identified in subpart G of this part. The
 subsection further requires the lead
 agency to seek to coordinate necessary
 assessments, evaluations,
 investigations, and planning with state
 and federal trustees. As to coordination
 of cleanup levels, EPA believes that the
 decision as to whether selected cleanup
 levels satisfy natural resource trustee
 concerns is a decision for the trustee to
 make.
   4. Funding. A commenter suggested  ""
 that EPA, consistent with legal
 obligations, should construe sections
 lll(b)(2)(B) and 517(c)  of SARA to allow
 funding of natural resource damage
 assessments. The commenter urged EPA
 to seek amendment of section 517. if it is
 not possible to provide funding under
 current law. The commenter also noted
 that many states cannot carry out this
 responsibility without financial support
 from the Fund.
  Section 517(c) of SARA prohibits
 expenditures from the Fund to pay
 trustees' claims for natural resources
 damage assessment and restoration of
 natural resources. The SARA conference
 report states. "[TJhe conference
 agreement follows the House bill in
 deleting natural resource damage and
 assessment claims as a Superfund
 expenditure purpose." H.R. 99-962, 99th
 Congress. 2d Session, at 321 (October 3.
 1986).
  As to the commenter's request that
EPA seek amendment of SARA to
permit funding of natural resource
damage assessments, EPA does not take
positions on proposed amendments to
statutes in nilemaking proceedings.
    5. Federal trustees—covenant not to
  sue. A commenter asserted that while
  the preamble to the proposed rule
  mentions that the OSC/RPMs "shall
  coordinate the federal trustees'
  participation in negotiations with PRPs
  as provided under section 122(j)(l)" (53
  FR 51461), the proposed rule does not
  reflect the language in section 122(j)(l).
  The commenter suggested that a new
  provision be included in § 300.615 to
  provide for (1) Notification to trustees
  by OSC/RPMs of negotiations with
•  PRPs, and (2) covenants not to sue for
  damages to natural resources under the
  trusteeship of a federal trustee. The
  commenter asserted that the proposed
 NCP does not cover section 122
 settlement provisions, but that
 consideration should be given to
 including the requirement in section
 1220) regarding federal natural resource
 trustee notification of proposed
 settlements with PRPs. The commenter
 added, that early decisions as to the
 nature and amount of involvement must
 be made on the basis of available
 information, and that late notification
 and involvement may interfere .with the
 ability to pursue natural resource trust
 authorities under CERCLA.
   CERCLA section 122Q)(1) provides
 that "[WJhere a release or threatened
 release of any hazardous substance that
 is the subject of negotiations under this
 section may have resulted in damages to
 natural resources under the trusteeship
 of the United States, the President shall
 notify the federal natural resource
 trustee of the negotiations and shall
 encourage the participation of such
 trustee in the negotiations." The final
rule (§ 300.615(d)(2)) already provides
for trustee participation in negotiations
between the United States and PRPs to
obtain PRP-financed or PRP-conducted
assessments and restorations for injured
resources or protection for threatened
resources. The final rule is consistent
with statutory requirements in CERCLA
section 122Q).
  The authority of the federal trustees
contained in proposed and final NCP
§ 300.615(d)(2) to negotiate with a PRP
already includes discretionary authority
to agree to a covenant not to sue for
natural resource damages. However, to
clarify that authority EPA will revise
§ 300.615(d)(2) to read that federal
trustees have authority to agree to
covenants not to sue. as appropriate.
CERCLA section 122fj)(2) provides for
such discretionary covenants if the PRP
agrees to undertake appropriate actions
necessary to protect and restore the
natural resources damaged by the
release or threatened release of
hazardous substances.

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   6. States. A commenter suggested that
 the lead agency should have the
 responsibility for notifying state trustees
 of negotiations withPRPs, and
 encouraging .state trustees to participate
 in settlement negotiations. The
 commenter suggested that § 300.6l5[c]
 should be revised to acknowledge that
 state trustees may participate in
 negotiations as well.
   Section 300.520 of the NCP
 implements CERCLA section
 12l(fKlMF). Section 300.520(a) of the
, NCP already requires EPA to notify
 states of response action negotiations to
 be conducted by EPA with PRPs during
 each fiscal year.'After notification, the
 state then has the responsibility to
 notify its trustees of such negotiations
 and to encourage their participation.
 Pursuant to § 300.520(b), the state, in
 turn, must notify EPA of such
 negotiations in which it intends to
  ?articipate. Finally, pursuant to
   300.520{c), the state may be a party to
 such settlements. Given the foregoing
 provisions. EPA believes the
 recommended rule change is not
 necessary.
   7. Damages. A commenter suggested
 that the word "damage" should be
 changed to "injury" when referring to
 "damage" to natural resources. While
 the relevant statutes and regulations use
 the terms "damages" and "injury" in
 different contexts. EPA uses the terms
 as follows for purposes of the NCP.
 "Damages" means the amount of money
 sought by the natural resource trustees
 as compensation for injury to.
 destruction of. or loss of natural
 resources, as set forth in  section 107(a)
 or lll(b) of CERCLA. Pursuant to
 CERCLA section 107(a), damages also
 include the reasonable costs of
 assessing injury, destruction or loss of
 natural resources. "Injury" means a
 measurable adverse change, either long-
 er short-term, in the chemical or
 physical quality or the viability of a
 natural resource resulting either directly
 or indirectly from exposure to a
 discharge of oil or the release of a
 hazardous substance. "Injury"
 encompasses injury, destruction, or loss
 of natural resources.
   Final rule: Proposed §§ 300.615,
 300.1350). 300.160(a)[3), 300.305{d),
 300.315(c). 300.410(g) and 300.430(b)(7)
 are revised as follows:
   1. Section 300.615{a) has been revised
 to.read: "Where there are multiple
 trustees  * * * they should coordinate
 and cooperate in carrying out these
 responsibilities.''
   2, In final § 300.615{b). the word
 "damages" has been changed to
 "injuries."
   3. The introduction to § 300.615(c) has
 been changed to read as follows: "Upon
 notification • • • trustees
 may • •  • pursuant to section 107(fJ of
 CERCLA or section 311{fJ(5] of the Clean
 Water Act take the following or other
 actions as appropriate: * * *."
  • 4. The introduction to § 300.615(d) is
 revised 16 read: "The authority of
 federal trustees includes, but is not
 limited to the following actions: *  *  V"
   5. Section 300.615(d)[2) has been
 revised to read: "Participate in
 negotiations * *  * threatened
 resources and to agree to covenants not
 to sue, where appropriate."
   6. The introduction to § 300.615(e) has
 been revised to read: "Actions which
 may be taken by any trustee pursuant to
 section 107[f) of CERCLA or section
 311(f){5) of the Clean Water Act include.
 but are not limited to. any of the
 following: *  *  V
   7. Sections 300.135Q). 300.305(d).
 300.410(g) and 300.430(b)(7) are revised
 to delete the phrase "as appropriate"
 and to state that "the OSC or RPM shall
 seek to coordinate all response activities
 with the natural resource trustees."
   8. A new sentence is added to the end
 of § 300.315(c) on OSCs making
 information available to trustees.
   9. The word "trustees" is added to
 § 300.160[aH3).

 Subpart H—Participation by Other
. Persons
   The focus of this subpart is on those
 authorities of CERCLA that allow
 persons other than governments to
 respond to releases and to recover those
 response costs. Although this subpart is _
 new, it revises and consolidates
 provisions from current NCP § 300.25 on
 Nongovernment Participation and
 § 300.71'on Other Party Responses into
 one place in the NCP. Snfapart H also
 incorporates the new authorities from
 CERCLA, as amended, which address
 participation by other persons. The
 following discusses comments received
 on the proposed Subpart H and EPA'8
 responses.
   Name: Section 300.700(e). Consistent
 with the NCP.
   Proposed rule: The proposed section
 revised and consolidated provisions
 from the 1985 NCP (§§ 300.25 and
 300.71). The proposed section provided
 that any person may undertake a
 response action to reduce or eliminate a
 release of a hazardous substance. It also
 set out a list of those NCP provisions for
 which compliance would be required in
 order for a response action by "other
 persons" (i-e., persons who are not the
 federal government, a state, or an Indian
 tribe] to be considered "consistent with
  the NCP" for purposes of cost recovery
  actions under CERCLA section 107.
   Response to comments: 1. Substantial
  compliance. EPA received diverse
  comments on its proposal to set out
  requirements that must be met by
  private parties in order for their actions
  to be"consastent with the NCP" for the
  purposes of cost recovery under
  CERCLA section 107. Some coromenters
-' approved of the list of requirements,
  noting that such a list affords parties
  some certainty as to what type of
  response actions •will qualify for cost
  recovery under section 107; indeed,
  commenteis suggested that they would
  not undertake cost recovery actions if
  they did not have clear guidance on
  what constitutes "consistency with the
  NCP."
    On the other hand, an even greater
  number of commenters objected to
  EPA's proposal to define "consistency
  with the NCP" as a long list of largely
  procedural requirements, and urged EPA
  not to address the issue. A large number
  of commenters expressed the concern
  that defendants in private cost recovery
  litigation will seize on EPA's list as the
  definitive criteria for evaluating
  consistency with the NCP, and search
  for even minor discrepancies between a
  private party's actions and the criteria
  in an effort to block a cost recovery
  action. The effect will be to discourage
  private party cleanups. They request
  that EPA leave the question of
  "consistency with the NCP" to case-by-
  case adjudication in the federal courts.
  However, assuming the NCP does
  address this issue, they suggested that
  the rule should be clear that all of the
  listed elements of NCP consistency need
  not necessarily be met in a given case,
  and that substantial compliance with a
  given element is sufficient.
    Several other comm enters argued that
  EPA's criteria do not belong in the NCP
  as binding rules. A more appropriate
  forum is a non-binding guidance
  document which can be applied to the
  facts of a particular action. Another
  commenter suggested that "consistency
  with the NCP" does not require the
  replication of the entire governmental
  cleanup process. Activities that
  contribute to an effective response
  action should qualify for reimbursement,
  even if they do not follow precisely each
  of the requirements listed in subpart H
  or do not result in a complete cleanup.
    In response, EPA is sympathetic to the
  perspectives expressed in the comments.
  EPA believes that it is important to
  encourage private parties to perform
  voluntary cleanups of sites, and to
  remove unnecessary obstacles to their
  ability to recover their costs from the

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             Federal Register  / Vol. 55, No. 46 / Thursday, March 8. 1990 /  Rules and Regulations
                                                                        8793
 parties that are liable for the
 contamination. At the same time. EPA
 believes it is important to establish a
 standard against which to measure
 cleanups that qualify for cost recovery
 under CERCLA, so that only CERCLA-
 quality cleanups are encouraged. EPA
 has attempted to accomplish both of
 these somewhat divergent goals.
   EPA has continued the tradition of
 identifying the universe of requirements
 which are potentially relevant to private
 party actions (this would not include
 requirements that apply to
 intergovernmental consultation, the
 waiver of applicable requirements of
 other laws, and other provisions that are
 not appropriate for consideration by
 private parties).28 However, EPA agrees
 with commenters that this list should
 not be construed as a fixed list of
 requirements that must be met in order
 for a party to qualify for cost recovery
 under CERCLA section 107(a)(4)(B).
 Thus, in the final rule (§ 300.700(c)C3)),
 strict compliance with that list of NCP
 provisions is sot required in order to be
 "consistent with the NCP"; the list is
•provided in  § 300.700(c)(5H7) as
 guidance to  private parties on those
 requirements that may be pertinent to a
 particular site.
   Instead, in evaluating whether or not
 a private party should be entitled to cost
 recovery under CERCLA section
 107(a)(4)(B}, EPA believes that
 "consistency with the NCP" should be
 measured by whether the private party
 cleanup has, when evaluated as a
 whole, achieved "substantial
 compliance" with potentially applicable
 requirements, and resulted in a
 CERCLA-quality cleanup. (CERCLA
 section 107(a)(4)(B) requires that the
 private party also show that the costs
 incurred were "necessary" cleanup
 costs.)
   EPA believes that this formulation
 achieves two critical goals. First it
 responds to  commenters' concerns that
 rigid adherence to a detailed set of
 procedures should not be required in
 order to recover costs under CERCLA
 for private party cleanups. In addition,
 the approach taken today protects EPA's
 interest in ensuring that the benefit of a
 right of action under CERCLA section
 107(a)(4)(B)  should only be available for
 environmentally sound cleanups
•consistent with CERCLA requirements:
  * • There are a number of NCP requirements that
do not make sense for private parties, such as the
requirement* for state assurances (5 300510). or
other provisions related to use of the Fund:
similarly, there are self-imposed restrictions on
governmental action that are not relevant to private
actions, such as the requirement that a site be listed
on the NFL before Fund-financed remedial action
may be taken (5 300.425(bJ(l)).
 in essence, the more lenient "substantial
 compliance" test should not be an
• invitation to perform low quality
 cleanups.
  ifa order to achieve a "CERCLA-
 quality cleanup," the action must satisfy
 the three basic remedy selection'
 requirements of CERCLA section
 121(b)(l}—-i.e- the remedial action must
 be protective of human health and the
 environment," utilize "permanent
 solutions and alternative treatment
 technologies or resource recovery
 technologies to the maximum extent
 practicable," and be "cost-effective"—
 attain applicable and relevant and
 appropriate requirements
 (ARARsKCERCLA section 121(d)(4)).
 and provide for meaningful public
 participation (section 117). EPA believes
 that these statutory requirements are
 necessary to the achievement of a
 CERCLA-quality cleanup. (Although
public participation is not an explicit
requirement in section 121 on remedy
 selection, EPA believes that it is integral
 to ensuring the proper completion part
of any CERCLA cleanup action, as
 discussed below.) These requirements
 an: not new additions front the proposed
rule. Under the proposal, private parties
were required to strictly comply with the
detailed provisions of the NCP.
including provisions codifying these
statutory mandates (see filial rule
 § 300.430(f)(l)(ii)(A) (proteetiveness). (B)
(ARARs). (D) {cost-effectiveness). (E)
(permanence/treatment), and
 § 300.430(f)(3) (public participation)).
EPA has simply issued a substantial
compliance test while at the same time
identifying several requirements that
must be met in order to achieve
substantial compliance.
  EPA's decision to require only
"substantial" compliance with
potentially applicable requirements is
based, in large part, on the recognition
that providing a list of rigid
requirements may serve to defeat cost
recovery for meritorious cleanup actions
based on a mere technical failure by the
private parry that has taken the
response action. For example. EPA does
no'i believe that the failure of a private
party to provide a public hearing should
seive to defeat a cost recovery action if
the public was afforded an ample
opportunity for comment. A substantial
compliance test is appropriate as well in
light of the difficulty of judging which
potentially relevant NCP provisions
must be met in any given case. For
example, in most cases, a full range of
alternative remedial options should be
analyzed in detail as part of the
feasibility study ("FS"), yet to
appropriate cases, a "focused" FS—
 under which fewer alternative options
 would be studied—may be performed,
 consistent with the NCP (see
 5 300.430(e)(l)). EPA also recognizes
 that private parties generally will have
 limited experience in performing
 cleanups under the NCP, and thus may
 be unfamiliar with the detailed practices
 and procedures in this rather long and
 complex rule; an omission based on lack
 of experience with the Superfund
 program should not be grounds for
 defeating an otherwise valid cost
 recovery action, assuming the omission
 does not affect the quality of the
 cleanup.*0
  The decision to define a substantial
 compliance standard for private party
 cost recovery actions under CERCLA
 section 107(a)(4)(B) is within EPA's
 discretion. CERCLA section 107(a)(4)(B)
 provides that private persons may
 recover only those costs
 "incurred *  *  *• consistent with the
 NCP." and section 105(c) provides that
 the President shall promulgate and  .
 revise the NCP; thus, the statute directs
 the President to establish requirements
 for private cost recovery actions. In
 exercising that authority, EPA could
 have taken several different approaches
 in the NCP: Establish identical
 requirements for private 'and
 governmental actions; establish a subset
 of NCP provisions with which private
 party cleanups must comply; or
 alternatively, set a general standard of
 compliance (e.g., "substantial
 compliance") with certain requirements
 for private party cleanups. In response
 to comments, EPA has today elected to
 pursue the third option.
  EPA attempted to identify those NCP
 provisions with which-complian.ee
 would not be necessary to meet the
 "substantial compliance" test, but
 concluded that a hard line cannot be
 drawn on these questions, given the
 considerable variability in types of
 response actions, potential ARARs,
 communities, etc. EPA found that what
may be a significant deviation from
procedures under one set of
circumstances may be less serious in
another (for example, some types of
contaminants may be susceptible to
only a limited number of remedial
technologies, resulting in a more limited
  »° EPA does not believe that this substantial
compliance standard will lead to low quality
cleanups, especially in light of the express
requirement for a "CERCLA-quality cleanup."
However, it should be noted that even where a site
has been cleaned up "consistent with'the NCP."
EPA has the authority under CERCLA to take
appropriate action at the site should future releases
be discovered or future conditions so warrant. See
CERCLA sections l(M(a)(l). 105(e), 121(c) and 122(0-

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            Federal Register / Vol. 55. No. 46  / Thursday, March 8, 1990 / Rules  and Regulations
analysts of alternatives, and some
communities may express no interest in
a site, resulting in fewer public
meetings). Thus, this determination is
best left to the courts for a case-by-case
determination. A private party can, of
course, eliminate any risk or uncertainty
by meeting the full set of requirements
identified by EPA as potentially relevant
to private actions (see § 300.700{c){5}-
(7})-
  2. Nat inconsistent with theNCP. One
commehter asked why 1300.700{c)
retains the language "not inconsistent
with the NCP" when EPA attempted to
revise this language elsewhere. Other
commenters opposed EPA's proposal to
delete the requirement in the current
NCP {$ 300.71{a)(2)) that government
response actions must comply with the
«ame list of NCP provisions as private
parties in order to be "not inconsistent
with the NCP." They argued that private
party "consistency'* requirements
should be streamlined and apply to both
private parties and governmental
entities. Another commenter suggested
that a section in the NCP on the meaning
of the phrase "not inconsistent with the
NCP." would offer significant
clarification on what constitutes
CERCLA responses and lead to the most'
effective use of limited federal funds at
all sites. Several commenters claimed
that EPA applies a  double standard by
specifying steps a private party must
take but not those that a governmental
body must take.
  In response. CERCLA section 107(a)(4)
specifies a different burden of proof for
actions brought by the federal
government, states, or Indian tribes than
for actions brought by private parties.
Governmental response costs-may be
recovered from responsible parties
unless they are shown to have been
incurred "not consistent with the NCP."
CERCLA section 107(a)(4)(A). By
contrast, private parties may only
recover other "necessary" costs incurred
"consistent with the NCP." The final
rule reflects this statutory distinction.
  As to the commenters' request that
EPA further define when costs are "not
inconsistent with the NCP." several
points are important to note. First, the
CERCLA statute itself confirms that the
President should not be held to a
standard of strict adherence to all
provisions of the NCP. Section 121(a)
states:
  The President shall select appropriate
remedial actions determined to be necessary
to be canied out under section KM or secured
under section 106 which are in accordance
with this section and. to the extent
practicable, the national contingency plan.
and which provide for cost-effective
response. * *  * {Emphasis added.]
The legislative history confirms that this
section has special meaning in the.
context of the government's right to
recover costs "not inconsistent with the
NCP." As Senator Chafee'stated in the
debate over the 1936 SARA
Amendments,
  The legislation states that remedial actions
selected by the President shall, to the extent
practicable, comply with the National
Contingency Plan [NCPJ. This language is
intended to assure that alleged failures to
comply with the NCPf hall not be available
as a defense to any liability at an
enforcement proceeding brought under
section 106 or 107. (Emphasis added.]
132 Cong. Rec. S14925 (daily ed., Oct. 3.
1986).**
  Consistent with this language, EPA
does not believe that immaterial or
insubstantial deviations from the
detailed set of NCF provisions should
serve to defeat a cost recovery action,
whether federal or private (although it
may influence the amount of costs
allowed}. At the same time, EPA
believes that given the variability of
circumstances at Superfund sites, it is
impossible to define all cases (or to
establish a fixed rule) for which non-
compliance would be material. Thus,
whether or not governmental costs can
be shown to be "not inconsistent with
the NCP" should be judged by a review
of the cleanup action as a whole, not
based on a simple review of the cleanup
against the list of NCP provisions. EPA
believes that the application of these
principles is properly reserved to the
courts for resolution on a case-by-case
basis.
  The concept that de miziimis and
harmless deviations from specific NCP
provisions should not defeat a cost
recovery action is consistent with long-
standing judicial principles of harmless
error and materiality. It is also
consistent with the tenor and intent of
the CERCLA statute, that parties who
are liable for the contamination should
be held responsible for remediating it
where a governmental or private party
undertakes the cleanup (in the face of a
lack of action by the responsible party),
it would be inequitable to allow the
responsible party to use minor
procedural discrepancies to defeat
reimbursement for an environmentally
sound cleanup.
  3. Role of the courts. Several
commenters asserted that the criteria
proposed by EPA attempted to limit the
discretion of federal courts in
  •* The statement by Sen. Chafee goes cm to note
 that "ttjhe language » not intended to provide any
 independent authority to EPA or other agencies to
 fail to apply, to overtook, ignore or waive any
 standard, requirement criteria or limitation
 established under the law." Id.
determining what constitutes substantial
compliance with the NCP for making
CERCLA cost recovery awards. They
argue that EPA should not by regulation
attempt to establish matters that may be
in dispute entirely between private
parties.
  In response, section 105 of CERCLA
provides EPA with considerable
discretion in establishing its plan for
responding to releases of hazardous
substances, pollutants and
contaminants. There is no requirement
that EPA promulgate a rule that would
contain identical standards for
governmental and private party
response actions, and indeed, as
discussed above, that would not make
sense in areas such as
intergovernmental coordination and
Fund balancing. EPA has also noted that
due to the variability of site
circumstances, some provisions may or
may not be applicable in specific cases,'
and the failure to comply with one or
more provisions may or may not be
material. Thus, this rule defines actions
as "consistent with the NCP" for the
purposes of section 107(a)(4)(B), when
the private party cleanup, evaluated as-
a whole, is found to have achieved
"substantial compliance" with specified
requirements and resulted in a CERCLA-
quality cleanup; although a provision-
by-provision comparison is not required,
EPA has provided a list of those NCP
sections that are potentially relevant to
private persons. Thus, the final rule
provides a standard against which to
measure "consistency with the NCP."
but does not eliminate the very
important role of the courts in deciding,
on a case-specific basis, what costs
should be awarded to the party that has
undertaken the cleanup.
  As to the comment that EPA should
not issue; regulations on this matter, EPA
disagrees that the interpretation of
section 107(a)(4)(B) is a matter "entirely
between private parties." First the
government has a strong interest in
ensuring that cleanup actions that derive
a benefit from CERCLA section
107{a)(4J(B}—a statute under the charge
of EPA—are performed in an
environmentally sound manner; thus, it
is appropriate to provide a standard or
measure of consistency with the NCP.
EPA also believes that it is an important
public policy to encourage private
parties to voluntarily clean up sites, and
to remove unnecessary obstacles to
their recovery of costs. Further, as noted
above. CERCLA directs the President to
promulgate and revise NCP
requirements (section 105(c)), and then
directs that those requirements should
be used as the standard for private cost

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            Federal Register / Vol. 55.  No. 46  / Thursday.  March 8, 1990 / Rules and Regulations
                                                                                                            8795
recovery (section 107{a)(4)J: thus.
Congress contemplated that EPA would
issue standards to be used for cost
recovery actions.
  4. Retroactivity. Some commentets
expressed the concern that PRPs may
attempt to impose the new definition of
"consistency with the NCP" on private
cleanups that are already complete or
underway. They assert that it should be
made clear that the rule does not apply
to private response actions initiated
prior to the effective date of the revised
NCP.
  In response, EPA does uot believe that
it is appropriate to grandfather cleanups
that are already "underway." Such a
position would result in an exemption
from this rule for actions that were
initiated prior to the effective date, but
which may continue for years (such as
long-term ground-water remediation
actions). Further, EPA does not believe
that this issue will pose a serious
problem to private parties for several
reasons. First the rule's requirement of
"substantial compliance" with
potentially applicable NCP requirements
affords private parties some latitude in
meeting the full set of revised NCP
provisions. Second, private parties have
been on notice  for over a year that EPA
intended to require compliance with the
principal mandates of CERCLA—those
required for a "CERCLA-quality
cleanup," as discussed above—as a
condition for being "consistent with the
NCP." (See CERCLA section 105(b),
directing EPA to incorporate the SARA
requirements into the NCP; and the
December 21.1988 proposed NCP (at
§ 300.700(c){3)(iJ(H). 53 FR at 51513],
proposing to list among the requirements
for "consistency with the NCP"
compliance with § 300.430(f)(3](ii)
(protectiveness and ARAR compliance).
(f)(3)(iii) (permanence and treatment
and cost-effectiveness), and (f)(2)
(public participation) (53 FR at 51507)).
  Finally, the requirement for
"consistency with the NCP" has been a
precondition to cost recovery under
CERCLA section 107 since the passage
of the statute in 1980, and pursuant to
the 1985 NCP, consistency with the NCP
was measured by compliance with a
detailed list of NCP requirements; thus,
on-going actions should already comply
with the 1985 provisions.
  5. Public participation. One
commenter asserted that EPA is
misapplying statutory requirements by
stating that private parties must engage
in the full panoply of public
participation procedures under
CERCLA, even though the statute
imposes these requirements only on
EPA. Because no governmental actions
are involved, no public process should
be required as a precondition of cost
recovery.                     ;
  EPA disagrees. Public participation is
an important component of a CERCLA-
qutitity cleanup, and of consistency with
the NCP. The public—both PRPs and
concerned citizens—have a strong
interest in participating in cleanup
decisions that may affect them, and
their involvement helps to unsure that
these cleanups—which are performed
without governmental supervision —are
carried out in an environmentally sound
manner. Thus. EPA has decided that
providing public participation
opportunities should be a condition for
cost recovery under CERCLA. The rule
does not. however, require rigid
adherence to a set of procedural
requirements. For instance,
i 300.700(c)(6) (proposed NCP
5 300.700(c)(3)(u)(B)) provides that state
or local public participation procedures
may be followed, consistent with the
NCP. if they provide a substantially
equivalent opportunity for public
involvement
  6, CERCLA section 1O3 reporting
requirement Another comtaenter
suggested that EPA has misapplied the
statutory notification requirements in
the proposed NCP. According to the  •
conimenter, the proposal implies that
any violation of CERCLA's requirement
to report certain hazardous substance
releases to the National Response
Center (NRC) under CERCLA section
1031[a) is grounds for holding a
subsequent response action inconsistent
with the NCP. The commenter suggests
thai' there is no substantive connection
between the reporting requirement and
the adequacy of a response action.
  In response, the NCP requires any
person in charge of a facility or vessel to
notify the NRC of any releases of
hazardous substances into the
environment over a denned reportable
quantity (see 1300.405(b)). EPA believes
thai: this NCP requirement is integral to
EPA's decision as to whether a   .
government-funded or -supervised
clesinup is necessary at a site. Thus, the
failure to report such releases to die
NRC is an appropriate factor to consider
in evaluating whether a private party
has acted consistent with the NCP.
  7., Specific comments on consistency
with the NCP. One  commeriter
suggested that rather than cross- ,
referencing overly broad sections of the
NCP to describe compliance for cost
recovery purposes.  § 300.700(c)(3)
should repeat or paraphrase each
requirement that must be met
  As explained above, the rale attempts
to aid private parties by identifying
theme provisions that may lie  relevant to
voluntary cleanup actions. Repeating
each such provision in § 300.700 would
significantly complicate and lengthen
the section unnecessarily; as the reader
is clearly referred to the appropriate
sections by citation. Further. EPA has
made clear that rigid adherence to every
potentially relevant provision is not
required in order to be consistent with
the NCP.
  Another commenter noted that for
several of the cross-referenced sections,
determining which subsection is
"pertinent to the particular response
chosen for the particular facility" is very
difficult
  In response, two general points
require clarification. First as a threshold
matter, it appears that the commenter
may be confused by the roles and
responsibilities of "other persons" and
the "lead agency." In a private party
response action, the private party may
perform most of the functions of a lead
agency, except of course, waivers of
applicable laws, permit waivers, and
functions related to use of the Fund
(EPA has identified those sections of the
NCP that are potentially relevant to
private party cleanups in 5 300.700[c)
(5H7)); th616 is no support agency in a
private party cleanup action.
  It is also important to repeat that rigid
compliance with every potentially
applicable NCP provision is not required
to establish that a private cleanup
action was "consistent with the NCP";
rather, the substantial compliance test
outlined above should be applied. With
these two caveats, EPA has attempted
to respond to the commenters' concerns
regarding the potential applicability of
particular sections of the NCP to private
party cleanup actions.
  The following are specific examples
raised by the commenter where more
specificity on what is required for
recovery under section 107 is requested.
EPA's response is included in each
section.
  a. Natural resource trustees. Must
private parties coordinate with trustees
of affected natural resources to
determine the injury to these resources
(§ 300.160(a)(3)) or to initiate
appropriate actions (i 300.410(g))7
  In response, 5 300.160(a)(3) requires
the communication of information to
natural resource trustees that may assist
in the determination of actual or
potential injury to the resources. Section
300.410(g) requires notification to the
trustees when natural resources have
been or are likely to be damaged, and
requires the OSC or lead agency to seek
to coordinate, as appropriate, with
trustees for the performance of natural
resource damage assessments,
evaluations, investigations, and

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Federal Register / Vol. 55, No. 46 / Thursday, March 8, 1990 / Rules and Regulations
planning. Both sections are within the
universe of requirements that may
potentially apply to private party
cleanup actions, and compliance with
them may be important to ensuring a
cleanup consistent with the NCP.
  b. Technology. What precisely must
private parties do to "encourage the
involvement and sharing of technology
by industry and other experts"
fS300.«0{c)(7))?
  In response, § 300.400(c)l7) requires
the lead agency, to the extent
practicable, to encourage the
involvement and sharing of technology
by industry and other experts. EPA
believes that other persons should seek
the most appropriate technology and
expertise for a response action.
  c. ARARs and TBCs, Must private
parties coordinate with the lead and
support agencies to identify ARARs, and
ensure that the two agencies notify each
other of the ARARs they identified
(i 300.400{g](l) and (5))? What about
TBCs (§ 300.400{g)(3))?
  In response, § 300.400(g)[l) and (2)
require the Identification of applicable
requirements, and relevant and
appropriate requirements, respectively,
and specify the criteria upon which to
determine whether requirements are
ARARs. Section 300.400(g){5) requires
the lead agency and support agencies to
notify each other as to identified
ARARs. Although these sections provide
no specific consultation process for
coordination of ARARs where there is
no support agency, EPA encourages
private parties to notify the agency
responsible for oversight, if any, of the
ARARs they have identified, in order to
ensure that such requirements have
been properly identified, and in order to
ensure that a CERCLA-quality cleanup
will be achieved (which includes the
attainment of ARARs). Section
300.400{g](3] simply states  that lead and
support agencies may, as appropriate,
identify TBCs for a particular release
and defines what TBCs are: here again,
however, it may be advisable for private
parties to seek the advice of the relevant
agency as to which guidance documents
should usually be followed.
  d. Engineering evaluation/cost
analysts (EE/CA). If PA and SI reports
are required for removals,  why isn't an
EE/CA also required (§ 300.415(b){4))?
  In response, the preamble to the
proposed rule correctly excluded
S 300.415(b){5}—relating to time and
dollar limitations on removal actions—
from the List of sections that may be
relevant to cleanups by other persons
{53 ER at 51481). However, due to a
typographical error, proposed role
S 300.700{c){3){i)(F) mistakenly excluded
5 300.415(b)(4)—relating to EE/CAs—
                          from the list of potentially relevant
                          provisions. This error has been
                          corrected in today's final
                          § 30a700{c)C5)(vi).
                            e. ARARs—exigencies. How does the
                          private party determine that the
                          "exigencies of the situation" prevent the
                          attainment of ARARs during removals
                          {§ 300.415Q) (renumbered.as 5 300.415(i)
                          in the final rule)?
                            In response, one of the requirements
                          for cost recovery under CERCLA section
                          107(a)(4){B), as set out in today's rule, is

                          which includes the requirement to attain
                          ARARs—both "applicable
                          requirements" and "relevant and
                          appropriate requirements." However.
                          the NCP allows governmental agencies
                          to attain or waive ARARs: in the private
                          context, this possibility is more limited.
                            Governmental actions are taken under
                          the authority of CERCLA, and therefore
                          may invoke ARARs waivers under
                          CERCLA section 12l(d)(4). However.
                          private party actions are not carried out
                          under CERCLA authority but simply
                          seek to take advantage of aright of cost
                          recovery provided under CERCLA
                          section 107 for certain types of actions:
                          therefore, waivers of applicable
                          requirements of federal or state law are
                          unavailable in such private party
                          cleanups. Similarly, the concept of
                          complying with applicable requirements
                          to the extent practicable for removal
                          actions, applies only to actions taken or
                          secured by the President (or his
                          authorized representative). (In
                          .emergency situations where an
                          immediate response action is required
                          by a private party, noncompliance with
                          an applicable requirement should not
                          necessarily bar a claim for cost
                          recovery.)
                            Private parties shall also comply with
                          relevant and appropriate requirements.
                          However, relevant and appropriate
                          requirements do not legally apply  of
                          their own force to the private party
                          actions (see 5 300.5); thus, where one of
                          the waivers in § 300.430(fJ(J)(ii)(C) can
                          be justified, it may be appropriate for a
                          private party to waive a relevant and
                          appropriate requirement Similarly,
                          when undertaking removal actions, a
                          private party need only comply with
                          relevant and appropriate requirements
                          "to the extent practicable": best
                          professional judgment should be used in
                          determining which relevant and
                          appropriate requirements can
                          practicably be met Private parties also
                          have some discretion to decide whether
                          requirements are relevant and
                          appropriate under the circumstances of
                          the release, using the criteria set out in
                           5 300.400(g)(2).
  8. Recovery pursuant to other federal
or state law. A commenter suggested
that it should be made clear in
55 300.700(c)(l) and (2) that those
sections only apply to section 107(a)
cost recovery actions and not to cost
recovery actions taken pursuant to other
federal or state law. The commenter
believes that the requirement of
consistency, with the NCP for tens of
thousands of hon-NPL, non-CERCLA
site's and spills for entitlement to cost
recovery from responsible parties will
discourage many cleanups normally
performed -under state statutes.
  Another commenter beh'eved that the
NCP should recognize that cleanups
done pursuant to non-CERCLA federal
or state authority can be consistent with
the NCP. Titus could be accomplished in
one or more of the following ways. First
as part of its deferral policies, the NCP
could state that cleanups qualifying for
deferral an: presumptively consistent
with the N<3>. The commenter stated
that deferral of an NPL site to a state
government should mean that the
remedial action is considered to be in
conformance with the NCP for the
purpose of cost recovery. This approach
would provide an incentive for prompt
settlement Second, S 300.700(c) could be
revised to clarify that the list of NCP
provisions with which a private cost
recovery plaintiff must comply includes
the substantially similar provisions of
other authorities.
  In response to the first comment it is
important to note that CERCLA section
107(a)(4)(B] does not require private
parties to conduct cleanups consistent
with the NCP; rather, it establishes a
right of action under CERCLA for cost
recovery ixi those cases where non-
governmental parties have incurred
necessary response costs  consistent1
with the NCP. The result of not meeting
this standard is that cost recovery under
CERCLA may not be available;
however, this does not mean that the
action may not proceed, or that cost
recovery may not be available under
other federal or state law. Of course,
even if a party takes a cleanup action
under an authority other than CERCLA
(e-g., RCRA corrective action), it may
have a right of cost recovery under
CERCLA section 107 if the action was a
necessary response to a release of
hazardous substances, and was
performed consistent with the NCP.
  On the deferral issue, the decision by
EPA to defer a site from listing on the
NPL for attention by another authority
does not represent a determination that
the response action to be  taken will
presumptively be consistent with the
NCP. Indeed. EPA policy on deferral

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            Federal Register /  Vol. 55, No. 46 / Thursday. March 8, 1990 / Rules and Regulations
                                                                                                                8797
contemplates situations in which sites
that have been deferred may still be
listed on the NPL for attention under
CERCLA. e.g., if the owner/operator
proves to be unwilling or unable to
accomplish the cleanup. See, e.g., 53 FR
30005 {August 9,1988]. Each response
action taken under another authority
(e.g., RCRA) for which cost recovery is
sought under section 107(a)(4)(B) must
be justified on a case-by-case basis. As
to specific comments on a policy of
deferral to states. EPA has not made a
decision as to whether, or under what
circumstances, current deferral policies
should be expanded to include deferral
to states. EPA will consider all
comments concerning deferral to a state
authority or a non-CERCLA federal
authority separately from the NCP.
  9. Compliance with state standards/
aon-ARARs. A commenter asked, if a
state seeks to require additional
remediation, in excess of that required
by EPA (for example, in a section 106
order or a section 122 consent decree),
will such remediation be deemed to be
excessive, inconsistent with the NCP,
and not available for cost recovery
under CERCLA section 107(aK4)(A)?
   In response, there may be situations in
which additional remediation, while not
"required" by the NCP, is "not
•inconsistent with-the NCP"; at the same
time, there may be cases where such
additional remediation is inconsistent
with the NCP. Such a determination
must be made on a case-by-case basis,
considering the facts of each case. The
issue is too complex to be resolved by a
simple statement in the final NCP rule.
   10. Consistency with the NCP—
section 106/section 3.22 consent decrees.
A commenter alleged that there is a
double standard for site cleanups'
consistency with the NCP, one for
section 106 orders or section 122 consent
decrees, another for other persons to be
consistent with the NCP. with extensive
technical and public participation
requirements, many of which may not be
a part of a potential section 106 order or
section 122 consent decree. Another
commenter charged that the proposal
would create a non-rebuttable
presumption that severely
disadvantages defendants in private
cost recovery actions.
   In response, the final rule requires
 only "substantial compliance" with
 those potentially applicable NCP
 requirements, and a CERCLA-quality
 cleanup, in order for a private party
 action to be consistent with the NCP for
 cost recovery purposes; thus, the
 commenters' concerns (regarding non-
 rebuttable presumptions and a stricter
 standard for private party actions) have
 largely been addressed. As to section
1(16/122 orders or decrees, those
documents implement remedies that
have been selected in accordance with
CERCLA and the NCP, and they contain
the cleanup standards necessary for
consistency with the NCP. EPA believes
that defendants will have acted
"consistent with the NCP" when they
comply with a section 106 order or a
section 122 consent decree.
  11. Preauthorization. Section
300.700(d) provides a process under
which EPA may. in its discretion,
pireauthorize Fund reimbursement for
necessary response costs incurred by
private parties as a result of carrying out
the NCP. In order'to qualify for
^authorization, the requesting party
must establish, inter alia, that fee action
will be "consistent with the NCP"; this
showing should be site-specific, based
on an evaluation of the list of potentially
applicable  NCP provisions. Further,
where a PRP seeks preauJhorization, the
rule provides that the action must be
aimed out pursuant to an order or
settlement  agreement with EPA. In  both
cases, EPA's interpretation of
"consistency with the NCP" for the
purpose of CERCLA section 107(a)(4)(B)
would not override any site-specific
requirement as part of the
preauthorization or enforcement
processes.
  12. Waivers. As discussed above,
certain provisions of the NCP (and  of the
statute) are not appropriate to private
party response actions for which cost
recovery may be sought ander CERCLA.
These include the permit waiver in
CERCLA section 121(e)(l) (I 300.400(e))
and the waiver of applicable federal or
state requirements in CERCLA section
121(d)(4) (NCP § 300.430(f)(l)(ii)(B)).The
statute makes clear that those waiver
provisions are reserved for actions
carried out by the President (or his
delegate) or by a state or tribe under
CERCLA section 104(d)(l), or by a parry
pursuant to an order or decree under
CERCLA section 106 or 122. The final
rule has been revised to make clear that
private parties that quality for cost
recovery under CERCLA section 107 are
not entitled to the permit waiver of
C3ERCLA section 121(e)(l), and may not
invoke the waivers in CERCLA section
121(d)(4) for applicable requirements,
although "relevant and appropriate"
requirements may be waived upon a
proper showing under
 }, 300.430(f)(l)(ii)(C) of this rule.
  Final rule: The proposed rule has been
revised as follows:
   1. In order to more accurately reflect
the language of CERCLA sections
107{a)(4)(A) and (B), §| 300.700(c)(l) and
 (2) are revised to read:
  (1) Responsible parties shall be liable for
all response coats incurred by the United
States government or a state or an Indian
tribe not inconsistent with the NCP.
  (2) Responsible parties shall be liable for
necessary costs of response actions to
releases of hazardous substances incurred by
any other person consistent with the NCP.

  2. Consistent with the response to
comment discussed above, the list of
NCP provisions that are potentially
applicable to private parties has been
placed in new § 300.700(c)(5}-{7). and
consistency with the NCP has been
defined in revised § 300.700(c)(3) and
new £ 300.700(c)(4). Revised
§ 300.700(c](3) through (8) are as follows:
  (3) For the purpose of cost recovery under
lection 107(a)(4)(B) of CERCLA:
  (i) A private party response action will be
considered "consistent with the NCP" if the
action, when evaluated as a whole, is in
substantial compliance with the applicable
requirements in paragraphs (e)J5) and (6) of
this seciton, and results in a CERCLA-quality
cleanup;
  (ii) Any response action earned out in
compliance with the terms of an order issued
by EPA pursuant to section 106 of CERCLA,
or a consent decree entered into pursuant to
section 122 of CERCLA. will be considered
"consistent with the NCP."
  (4) Actions under § 300.700(c)(l) will not be
considered "inconsistent with the NCP." and
actions under 8 300.700(c}(2] will not be
considered not "consistent with the NCP."
based on immaterial or insubstantial
deviations from the provisions of 40 CFR part
300.
  (53 The following provisions of this part are
potentially applicable to private party
response actions:
  (i) Section 300.150 (on worker health and
safety):
  (ii) Section 300.160 {on documentation and
cost recovery);
  (iii) Section 300.400(c)(l). (4). (S), and (7)
(on determining the need for a Fund-financed
action): (e) (on permit requirements) except
that the permit waiver does not apply to
private party response actions; and fe) (on,
identification of ARARs) except that
applicable requirements of federal or state
law may not be waived by a private party:
  (iv) Section 300.405[b), (c). and (d) (on
reports of releases to the NEC);
  (v) Section 300.410 (on removal site
evaluation} except paragraphs (e)(5) and (6);
   (vi) Section 300.415 (on removal actions)
except paragraphs (a)(2). (b)(2Kvii). ft>)(5}.
«nd (I); and including S 300:415(i) with regard
to meeting ARARs where practicable except
that private party removal actions must
always comply with the requirements of
applicable law:
   (vii) Section 300.420 (on remedial site
evaluation);
   (viii) Section 300.430 (on RI/FS and
selection of remedy) except paragraph
 (f)(l)(U)(C)(8) and that applicable
requirements of federal or state Jaw may not
 be waived by a private party;
   (ix) Section 300.435 (on RD/RA and
 operation and maintenance).

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                Federal Register / Vol. 55. No. 46 / Thursday.  March 8, 1990  / Rules and Regulations
      (6} Private parties undertaking response
    actions should provide an opportunity for
    public comment concerning the selection of
    the response action based on the provisions
    set out below, or based on substantially
    equivalent elate and local requirements. The
    following provisions of this pan regarding
    public participation are potentially applicable
    to private party response actions, with the
    exception of administrative record and
    information repository requirements stated
    therein:  ,             	
      (!) Section 300.155 (on public information
    •no community relations);
      (lij Section 300,415(m) (on community
    relations during removal actions);
      (iii) Section 300.430(c) (on community
    relations during RI/FS1 except paragraph
    W(S);
      (iv) Section 300.43C(f)(2), (3). and (6) (on
    community relations during selection of
    remedy}; and
      (v) Section 300.435(c) (on community
    relations during RD/RA and operation and
    maintenance),
      (7) When •electing the appropriate
    remedial action, the methods of remedying
    releases listed in Appendix D of this part may
    also be appropriate to a private party
    response action.
   ,   (8) Except for actions taken pursuant to
    CERCLA, sections 104 or 106 or response
 ;   actions for which reimbursement from the
    Fund will be sought any action to be taken
    by the lead agency listed in paragraphs (c)(5)
    through (c}(7) may be taken by the person
    carrying out the response action.
      Afa/ne?Section 300.700{c). Actions
    under CERCLA section 107(a).
      Proposed rule: The proposed rule
    summarized the various authorities
    under CERCLA that are available to
    recover the costs of response actions.
    Including a section 107(a) cost recovery
    action. Proposed  § 300.70Q(g) also
••   provided that implementation of
    response measures by PRPs or by any
    other person does not release those
    parties from liability under section
    107(a). except as provided in a
    settlement under section 106 or 122 of
    CERCLA or a federal court judgment
      Response to comments: 1. Settlement
    policies—a. Mixed funding. One
    comrnenter suggested that EPA should
    become more forthcoming in providing
    mixed funding in support of settlement
    agreements. Greater use of this authority
    would encourage settlement of cases by
    cooperative parties, even where they do
    cot make up a majority of the PRPs.
      EPA supports mixed funding
    arrangements and is sympathetic to the
    commenter's concern that greater use be
    made of mixed funding to accelerate
    settlements. EPA plans increased use of
    mixed funding in appropriate cases.
      b. De minimi's parties. A commenter
    suggested that EPA should revise its
    existing de minimis buyout provisions to
    allow earlier resolution of claims against
    de minimis parties. EPA supports
 settlements with de minimis parties and
 plans increased use of settlements with
 de minimis parties in appropriate cases.
   2. Notice. One commenter urged that
 EPA should specifically note in the NCP
 that it is EPA's position that a private
 party need not provide notice to the
 government before instituting a cost
 recovery action because a notice
 requirement serves no significant policy
 goals and can only obstruct private
 cleanups.
   EPA agrees that a private party need
 not provide notice to the government
 before instituting a cost recovery action
 against another private party, but such
 party must provide concurrent notice to
 the government. Pursuant to CERCLA
 section 113(1), whenever any action is •
 brought under CERCLA in a federal
 court by a plaintiff other than the United
 States, the plaintiff must provide a copy
 of the complaint to the Attorney General
 of the United States and to the
 Administrator of EPA.
   3. Ripeness. According to one
 commenter. EPA should urge (in the
 NCP] that plaintiffs should not be
 required to have incurred all of the
 cleanup costs at a site before being
 entitled to bring a section 107 cost
 recovery action. The commenter
 acknowledged that while it is logical to
 require completion of cleanup actions in
 order to protect public health, requiring
 completion as a prior condition to the
.bringing of a cost recovery action could
 have an adverse effect on parties'
 willingness to undertake costly cleanups
 of hazardous waste releases. A party
 may be reluctant to assume all of the
 costs without some judicial assurance
 on the issue of the ultimate liability for
 cost recovery purposes. Few companies.
 the commenter added, have the
 resources necessary to completely fund
 a large, unilateral cleanup, even if they
 expect to be reimbursed.
   In response, EPA agrees with the
 commenter that a cost recovery action
 need not await the incurring of all
 response costs before it may be brought
 This interpretation is consistent with
 CERCLA section 113[g)(2). which allows
 courts to enter "declaratory judgments"
 on liability that are binding on
 subsequent cost recovery actions under
 CERCLA section 107. Further, as the
 commenter noted, requiring a party to
 incur all costs before bringing a cost
 recovery action may discourage and
 delay cleanups, contrary to the intent of
 Congress that sites be cleaned up
 expeditiously.
   4. Recoverable costs. One commenter
 stated that the NCP should expressly
 provide that the only limitation on the
 nature of recoverable private response
 costs deemed appropriate by EPA is that
they be consistent with the NCP.
Because the plaintiff in a cost recovery
action must bear the initial out-of-pocket
expenses itself, there is sufficient
private incentive to conduct cost-
effective response actions.
  EPA disagrees with the commenter
that the only limitation on appropriate
recovery be that the costs have been
incurred consistent with the NCP.
Pursuant to CERCLA section
107(a)(4)(B I, a person may be liable for
"any other necessary costs of response
incurred by any other person consistent
with the national contingency plan."
Therefore, plaintiffs must prove that
costs are both "necessary" and
"incurred consistent with the NCP."
  5. Standard'of'liability. One
commenter stated that the proposed
NCP fails to specify the standard of
liability that ought to be applied by the
courts in private actions, although courts
have agreed that strict liability is
appropriate for government cleanup
actions under Superfund. The
commenter alleged that the Act does not
suggest that differing standards of
liability are: appropriate under the
statute. The commenter argued that as
long as strict liability is applied in
government-initiated cases, it should be
applied as well to private cost recovery
claims.
  EPA has long taken the position that
the liability of potentially responsible
parties is strict joint and several,
unless they can clearly demonstrate that
the harm al: the site is divisible. This
standard of liability applies no matter
whether this plaintiff is governmental or
private.
  6. Consistency with NCP—political
subdivisions. One commenter asserted
that EPA's  'inclusion of political
subdivisions of states as parties whose
actions are presumed to be consistent  .
with the NC3> is contrary to the statute.
The plain words of the statute indicate
(hat only federal and state governments
and Indian tribes fall within section
107(a](4](A|. EPA appears to be
assuming that local governments are
subsumed within the definition of states,
and thus are subject to the same cost
recovery presumption as states.
However, there are numerous provisions
in CERCLA. in which states and local
govemmenits are both separately
referred to-—an illogical result if
Congress did not truly intend for the
latter to be considered legally different
entities from the former. Furthermore,
these provisions always referred to
these two entities as states or local
governments (or political subdivisions of
states), thereby reinforcing the .
presumption that Congress intentionally

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                                                                                                            8799
differentiated between these two levels
of government. Therefore, the
commenter urged, EPA should revise
proposed § 300.700(c)(l) by deleting the
text "including political subdivisions
thereof * * * ." Such a change will
retain the presumption of consistency
with the NCP only for those parties for
whom Congress intended such a
preference.
  EPA is revising the rule to be
consistent with the language in section
107{a)(4)(A). The issue of whether
political subdivisions can be treated like
states for purposes of cost  recovery
actions under section 107 is a matter to
be left to the courts:
  7. Not inconsistent with NCP—
governmental response actions. One
commenter asserted that EPA should not
delete language that defines what NCP
provisions constitute actions to be not
inconsistent with the NCP  (see 53 FR
51462). The commenter suggested EPA
should be clear in delineating the "not
inconsistent with" standard for all to
see and use on a case-by-case basis
consistent with the statute.
  EPA believes that it is not necessary
to define what actions are  "not
inconsistent with the NCP," and would
leave those determinations to case-by-
case decision-making. The "not
inconsistent" standard applies only to
removal or remedial actions conducted
by an agency of the federal government,
a state, or an Indian tribe.  Governmental
bodies, particularly states, may have
programs similar to the NCP, that
achieve the same objectives, but are not
congruent with the NCP in every
respect. EPA believes that these
governmental bodies, consistent with
the statute, should have flexibility to
implement response actions and bring
cost recovery actions for those response
actions as long as the response actions
are not inconsistent with the NCP. even
if achieved by different methods.
   8. Treble damages. A commenter
noted that CERCLA section 107(c)(3)
currently contains a provision for the
collection of punitive damages "in an
amount of at least equal to, and not
more than, three times" against
individuals who "without  sufficient
cause" fail to carry out a CERCLA
section 104 or 106 administrative order.
The commenter asserted that this
provision has not been used by EPA to
recover damages from recalcitrant
parties who do not respond and
participate in the cleanup  of wastes that
 they are responsible for at a given site.
The commenter urged that recalcitrant
 parties should not be led to believe that
 the government will not seek to extract
 punitive damages, or they may choose to
 wait for government action at the
expense of delaying a voluntary
cleanup.
  The commenter said that treble
punitive damages are especially
important where the identifiable
incremental cost of a response action
(assumed by a proactive company}
related to recalcitrant waste volumes
may be minimal. These damages, when
compared to a minimal total response
cost represent an incentive for early
cooperation by the potential  '
recalcitrant, and an incentive for EPA to
acquire funds to apply to a site
remediation project The need:for mixed
funding Superfund financing
requirements should also be reduced by
recalcitrant participation.
  The commenter added that EPA's use
of treble damages in cost recovery
actions will provide further incentive for
prompt response actions before and
after waste sites or other areas are
listed on the NPL. Such action would
help to limit the number of sites listed
on the NPL and encourage independent
action by both government (e.g.,
municipal) and private parties.
  It has been and continues  to be EPA's
policy that seeking treble damages in
cost recovery actions against
recalcitrant parties who fail  to comply
with administrative orders under
sections 104 or 106 is an important tool
and EPA considers its vise in appropriate
cases.
  Final rale: Proposed S 300.700{c)(l) is
revised to delete the reference to
political subdivisions.
  Name: Section 300.700(e).  Recovery
under CERCLA section 106(b).
  Proposed rule: The proposed section
provided that any person may undertake
a response action to reduce  or eliminate
a release of a hazardous substance,
pollutant or contaminant It  also
summarized the various authorities
under CERCLA that are available to
recover the costs of response actions.
Those mechanisms include section
106(b)—wherein any person who has
complied with a section 106(a) order
may petition the Fund for the
reimbursement of reasonable costs, plus
interest
  Response to comments: 1. Petitions for
reimbursement. One commenter noted
an error in the rule language in
 § 30O700(e). The preamble and the rale
language have conflicting dates. The
preamble uses an October 17,1988 date.
while the rale language: uses an October
10,1986 date. Final 5 300.700(e) has been
revised to read " * * * after October
 16,1986
   2. Effective date and waiver in section
 106(bJ(2J. One commenter noted that
 proposed 5 300.700{e) would provide
that persons who have complied with an
order "issued after October 17,1986"
may petition the Fund for
reimbursement "unless the person has
waived that right." The commenter
stated that neither of the quoted
limitations is in CERCLA, and both are
inappropriate attempts to narrow the
rights of PRPs to claim against the Fund.
The commenter alleged mat the
reimbursement provision was effective
as of October 17,1986, and applied to
"any order" issued under section 106(a).
The commenter believed that as long as
the recipient of the order petitions EPA
for reimbursement within 60 days after
completion of the required action,
reimbursement is potentially available
under the law. The commenter
requested that EPA delete the two
phrases quoted  above.
  EPA interpretation of section 106(b)(2)
is that it applies only to orders issued
after the date of enactment of SARA,
i.e., on or after October 17.1986. That
interpretation has been upheld in court
as a reasonable interpretation. (See
Wagner Seed Co. v. Bush. 709 F.Supp.
249 (D.D.C. 1989).)
  Pursuant to section 106(a), the
President may issue orders unilaterally
or on consent. Administrative orders
issued on consent generally contain a
waiver of a respondent's rights pursuant
to section 106(b)(2), therefore the
reference to "unless the person has
waived that right"
  Final rale: Proposed f 300.700{e) is
revised to include the date of October
16,1986.

Subpart I—Administrative Record for
Selection of Response Action
  Subpart I of the NCP is entirely new.
It implements CERCLA requirements
concerning the establishment of an
administrative record for selection of a
response action. Section 113{k)(l) of
CERCLA requires the establishment of
"an administrative record upon which
the President shall base the selection of
a response action." Thus, today's rule
requires the establishment of an
administrative record that contains
documents that form the basis for the
selection of a CERCLA response action.
In addition, section 113(k)(2)  requires
the promulgation of regulations
establishing procedures for the
participation of interested persons in the
development of the administrative
record.
   These regulations regarding the
administrative  record include
procedures for  public participation.
Because one purpose of the
 administrative  record is to facilitate
public involvement, procedures for

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            Federal Register / Vol. 55, No. 46 / Thursday. March 8, 1990 / Rules and Regulations
 establishing and maintaining the record
 arc closely related to the procedures
 governing public participation. General
 community relations provisions found in
 other parts of the proposed NCP are
 addressed elsewhere in this preamble.
  The following sections discuss the
 major comments received on the
 proposed aubpart I and EPA's responses.
  Name: General comments.
  Proposed rule: Subpart I details how
 the administrative record is assembled,
 maintained and made available to the
 public.
  Response to comments: Comments on
 the administrative record regulations
 Included the suggestion that the
 preamble provide a general statement
 differentiating between the
 administrative record and the
 information repository.
  EPA agrees that while subpart I
 includes ample information on the
 requirements of the administrative
 record, a brief clarification would help
 to differentiate the record from the
 information repository.
  The information repository includes a
 diverse group of documents that relate
 to a Superfund site and to the Superfund
 program in general, including documents
 on  site activities, information about the
 •lie location, and background program
 and policy guides. EPA requires an
 information repository at all remedial
 action sites and any site where a
 removal action is likely to extend
 beyond 120 days. The purpose of the
 information repository is to allow open
 and convenient public access to
 documents explaining the actions faHno
 place at a site.
  The administrative record discussed
 in this subpart, by contrast, is the body
 of documents that forms the basis of the
 agency's selection of a particular
 response at a site, i.e., documents
 relevant to a response selection that the
 lead agency relies on, as well as
 relevant comments and information that
 the lead agency considers but may reject
 in the ultimate response selection
 decision. Thus, the record/will include
 documents the lead and support agency
 generate, PRP and public comments, and
 technical and site-specific information.
These documents occasionally overlap
 with those included in the information
 repository. The administrative record
 includes such information as site-
 specific data and comments, guidance
 documents and technical references
 used in the selection of the response
 action. The information repository may
 include guides to the Superfund process.
background information, fact sheets,
press releases, maps, and other
information to aid public understanding
 of a site response, regardless of whether
 the information has bearing on the
 eventual response selection at that site.
   One commenter felt that there was no
 mechanism for FRPs to participate in the
 development of the administrative
 record. In response, PRPs are given a
 chance to participate in the development
 of the administrative record throughout
 its compilation. EPA will make available
 information considered in selecting the
 response action to PRPs and others
 through the administrative record file.
 Interested persons may peruse the
 record file, submit information to be
 included in the administrative record
 file, or may comment on its contents
 during the ensuing public f«n>ti^«»Tif
 period.
   Name: Section 300.800(a).
 Establishment of an administrative
 record. Section 300.810(a). Contents of
 the administrative record.
   Proposed rule: Section 113(k)(l) of
 CERCLA states that the "President shall
 establish an administrative record upon
 which the President shall base the
 selection of a response action." EPA
 used similar language in § 300.800(a) of
 the proposed rule: "The lead agency
 shall establish an administrative record
 that contains the documents that/arm
 the basis for the selection of a response
 action." (Emphasis added.) Section
 300.810[a] states that the
 "administrative record file for selection
 of a response action typically, but not in
 all cases, will contain the following
 types of documents  * *  *," followed by
 an enumeration of those documents.
   Response to comments: EPA's choice
 of the phrase "form the basis" in
 £ 300.800{a) drew many comments. The
 comments expressed concern that the
 lead agency would have the discretion
 to include in the administrative record
 only those documents that support
 EPA's selected remedy.
   These comments appear to be based
 on a misunderstanding of what the
 phrase "forms the basis of means as it
 was used in the proposed rule. The
 statute defines the administrative record
 as the "record upon which the President
•shall base the selection of a response
 action." EPA's intent in defining the
 record as the file that "contains the
 documents that form the basis for the
 selection of a response action" was
 simply to reflect the statutory language.
 For example, an administrative record
 will contain the public comments
 submitted on the proposed action, even
 if the lead agency rejects the comments,
 because the lead agency is required to
 consider these comments and respond to
 significant comments in making a final
 decision. Thus, these comments also
 "form the basis or* the final response
 •election decision. EPA intends that the
 regulatory language defining the
 administrative record file embody
 general principles of administrative law
 concerning what documents are
 included in an "administrative record"
 for an agency decision. As a result,
 contrary to the suggestion of the
 commenteni, the proposed definition of
 the administrative record does not mean
 that the record will contain only those
 documents iiupportmg the selected
 response action.
  A commenter asked that the.phrase
 "but not in till cases" be deleted from
 { 300.810{a), or specify the cases where
 documents are excluded from the
 administrative record. EPA believes it is
 better not to attempt to list excluded
 documents in the NCP since EPA cannot
 possibly anticipate all the types of
 documents fiat will be generated for a
 site or for future sites, and which of
 these documents should be excluded
 except as generally described in
 S 300.810(b). It should be noted, for
 example, that although a health
 assessment done by ATSDR would
 normally be included in the
 administrative record, it would not be if
 the assessment was generated by
 ATSDR after the response is selected.
  Others commented that certain
 documents should always be included in
 the administrative record. EPA believes
 that only a timall group of documents
 will always be generated for every type
 of CERCLA site, since each site is
 unique. Other documents may or may
 not be generated or relevant to the
 selection of a particular response action
 at a site. EPA understands that a
 definitive list of required documents
 would assist parties in trying to assess
 the completeness of the administrative
 record, but inch a list would not be
 practical Different sites require
 different documents.
  A related group of comments asked
 that the administrative record always
 include certain documents, including,
 specifically, "verified sampling data,"
 draft and "predecasional" documents,
 and technical studies. One comment
 stated that "invalidated" sampling data
 and drafts must be part of the
administrative record in some
situations. Verified sampling data. Le-
 data that have gone through the quality
 assurance and quality control process.
will be included in the record when  they
have been used in the selection of a
response  action. "Invalidated" data. Le.,
data which have been found to be
incorrectly gathered, are not used by
EPA in selecting the response action and
should therefore not be included in the

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            Federal Register / Vol. 515. No. 46  / Thursday. March 8. 1990 / Rules  and Regulations
                                                                     8801
record. These should be distinguished
from unvalidated data—data that have
not been through the quality control
process—which may in limited
circumstances be considered by the
agency in selecting the response action.
It is EPA's policy to avoid using
unvalidated data whenever possible.
Nonetheless, there are times when the
need for action and the lack of validated
data requires the consideration of such
data in selecting an emergency removal
action. If such data are used, they will
be included in the record.
  In general, only final documents are
included in the administrative record
files. Draft documents are not part of the
record for a decision because they
generally are revised or superseded by
subsequent drafts and thus are not the
actual documents upon which the
decision-maker relies. However, drafts
(or portions of them) generally will be
included in the administrative record for
response selection if there is  no final
document generated at the time the
response is selected and the draft is the
document relied on. In addition, a draft
which has been released to the public
for the purpose of receiving comments is
also part of the record, along with any
comments received.
  Similarly, predecisional and
deliberative documents, such as staff
notes or staff policy recommendations
or options papers, do not generally
belong in the administrative record
because they merely reflect internal
deliberations rather than final decisions
or factual information upon which the
response selection is based. However,
pertinent factual information or
documents stating final decisions on
response selection issues for a site
generally would be included in the
record.
  Technical studies are also part of the
record,  again, if considered by the lead
 agency  in selecting the response action.
The commenter seems to have
 misinterpreted EPA's intent by assuming
 that only factual portions  of a technical
 study are part of the record. The entire
 study, or relevant part of the study,
 should be part of lie record.
   Another comment stated that the
 administrative record should include
 any studies on cost, cost-effectiveness, _
 permanence, and treatment that underlie
 the record of decision. These studies are
 already part of the remedial
 investigation and feasibility study,
 which is always included in the record.
 Another party stated that sampling
 protocols should be in the
 administrative record. Sampling
 protocols are part of the RI/FS work
 plan, which is also part of the
 administrative record. And because
sampling protocols, like chain of custody
documents, are generally grouped
together, EPA has provided in this
rulemaking that such grouped or serial
documents may be listed as a group in
the index to the administrative record
file.
  A related comment requested that all
documents generated by contractors
should be included in the record. In
response, any document that forms the
basis of a response selection [decision
will be included in the administrative
record. It is immaterial who develops
the document—it can be a contractor,
the public (including a PEP), a state or
EPA.
  One commenter asked that ARAR
disputes involving a disagreement over
whether a requirement is substantive or
administrative be documented in the
record. Other comments stated that EPA
must ensure that complete ARAR
documentation and documentation of all
remedial options, not just the selected
remedy, be placed in the record. Where
ARAR issues are relevant to response
selection, lead and support agency-
generated documents and public
information submitted to the lead
agency on this issue would be part of
the record. The record will include
documentation of each alternative
remedy and ARAR studied during the
RI/FS process, and the criteria used to
select the preferred remedy during the
remedy selection process.
  EPA also received several comments
stating that every document contributing
to decision-making should be part of the
administrative record. EPA cannot
concur in this formulation of the
administrative record since it is unclear
what "contributing to" means and that
phrase may be overly broad. For
instance, the term "contributing to"
could be interpreted to include all draft
documents leading up to a final product
These draft documents do not generally
form the basis of the response selection.
However, because the administrative
record includes documents which form
the basis for the decision to select the
response action, EPA believes that most
"contributing" documents will be
included.
   One comment stated that the hazard
ranking system (HRSJ information
should be included in the administrative
record for selection of the response
action. Specifically, they suggested that
internal memoranda, daily notes, and
the original HRS score should be made
available. The National Priorities List
 (NPL) docket is a public docket and
 already contains the relevant ranking
 information. The information generally
 relevant to the listing of a site on the
 NPL is preliminary and not necessarily
relevant to the selection of the response
action. If, however, there is information
in the NPL docket that is relied on in
selecting the response action, it will be
included in the administrative record.
  Another commenter stated that all
materials developed and received during
the remedy selection process should be
made a part of the record, and stated
that the NCP currently omits inclusion of
transcripts. As noted above, certain
documents simply will not be relevant to
the selection of response actions. EPA
will, as required by the statute, include
in the record all those materials,
including transcripts, that form the basis
for the selection of a response action,
whether or not the materials support the
decision.
  Several commenters asked that the
lead agency be required to mail them
individual copies of documents kept in
the administrative record. These
requests included copies of sampling
data, a copy of any preliminary
assessment petitions, potential
remedies, the risk assessment a list of
ARARs. and notification of all future
work to be done. Commenters also
asked to be notified by mail when a lead
agency begins sampling at a site and
when a contractor is chosen for a
response action. In addition, many
asked for the opportunity to comment on
the documents mentioned above. A
related comment suggested that EPA
maintain a mailing list for each site and
mail copies of key documents in the
record to every party on the list.
  EPA believes that maintaining an
administrative record file in two places,
in addition to a more general
information repository, with provisions
for copying facilities reflects EPA's
strong commitment to keeping the
affected public, including PRPs,
informed and providing the opportunity
for public involvement in response
decision-making. Requiring EPA to mail
individual copies of documents
available in the record file is beyond
any statutory requirements, unnecessary
due to the ready availability of the
documents in the file, and a severe
burden on Agency staff end resources.
Most of the documents requested above
will generally be available in the
administrative record for public review
and copying. Additionally, the lead
agency should maintain a moiling list of
interested persons to whom key site
information and notice of site activities
 can be mailed as part of their
 community relations plan for a site.
   One commenter asked that all PRP
 comments and comments by other
 interested parties be included in the
 record, regardless of their

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Federal Register / VoL 55. No. 46 / Thursday. March 8,  1990 / Rules find Regulations
"»ignificance.'*EPA will include all
comments received during the comment
period in the administrative record,
regardless of their significance. When
the lead agency considers comments
submitted after the decision document
has been signed, the "significance" of a
comment has a bearing on whether it
will be included in the administrative
record, as specified in |300.a25(c). In
addition, while EPA is under no legal
obligation to place in the record or
consider comments submitted prior to
the comment period, EPA will generally,
as a matter of policy, consider
significant comments submitted prior to
the comment period, place them into the
record, and respond to them at an
appropriate time. However, persons who
wish to ensure that the comments they
submitted prior to the comment period
are included in the record must resubmit
such comments during the comment
period.
  FJnaJmle: Section SOO.BOOfa) is
promulgated as proposed.
  Name: Section 300.800(b).
Administrative record for federal
facilities.
  Proposed rule: Section 300.800(b)
states that the lead agency for a federal
facility, whether EPA, the U.S. Coast
Guard, or any other federal agency.
shall compile and maintain an
administrative record for that facility.
When federal agencies other than EPA
are the lead at a federal facility site.
they must furnish EPA with copies of the
record index, in addition to other
specified documents included in the
record. The preamble to the proposed
NCP discussion of § 300.800(b) (53 FR
51464) states that EPA will establish
procedures for interested parties to
participate in the administrative record
development and that EPA may furnish
documents which the federal agency is
required to place in the record.
  Response to comments: One comment
stated that EPA should be the custodian
for administrative records for federal
facilities, especially where the federal
facility is a PRP, to avoid any conflict of
interest in questions of liability or
litigation. Another comment stated that
the requirements in § 300.800{b) of the
proposed rule would be burdensome to
federal agencies in compiling and
maintaining the record.
  Executive Order 12580 grants federal
agendes the authority to "establish the
administrative record for selection of
response actions for federal facilities
under their jurisdiction, custody or
control" To avoid the potential for
conflicts of interest by federal agencies
who are PRPs and in charge of compiling
and maintaining the record, EPA retains
                           control over the development of the
                           record by specifying what goes into the
                           record, by supplementing the record and
                           by requiring an accounting of what is in
                           the record through a report of the
                           indexed contents. HPA believes that
                           these requirements represent sufficient
                           Agency oversight to avoid potential
                           conflicts of interest at federal faculties
                           while ensuring that federal lead
                           agencies remain responsible for
                           compiling and maintaining their own
                           administrative record.
                             EPA is making a minor editorial
                           change in § 300.800(b)(l) to reflect that
                           the federal agency compiles and
                           maintains an administrative record for a
                           facility, and not at & facility, since
                           § 300.800(a] already provides that the
                           record will be located at or near that
                           facility.
                             Final rale: EPA in promulgating the
                           rule as proposed, except for the
                           following minor editorial change in the
                           first sentence of 5 300-800(b}{l): "K a
                           federal agency other than EPA is the
                           lead agency for a federal facility, the
                           federal agency shall compile and
                           maintain the administrative record for
                           the selection of the response action for
                           that facility in accordance with this
                           subpart."
                             Nome: Section 300.BOOf c).
                           Administrative record for state-lead
                           sites.
                             Proposed rule: Section 113{k) of
                           CERCLA states that the  President "shall
                           establish an administrative record upon
                           which the President shall base  the
                           selection of a response action." Section
                           300.800(c). entitled "Administrative
                           record for state-lead sites," requires that
                           states compile administrative records
                           for state-lead sites in accordance with
                           the NCP.
                             Response to comments: Several
                           commenters believe that the new
                           administrative record procedures place
                           an onerous burden on the state, and
                           request that state requirements such as
                           Open Records Acts should be allowed
                           as a substitute for compliance with
                           subpart L Another commenter
                           recommended that states be allowed to
                           determine whether a complete
                           administrative record is  needed at or
                           near the site when a site is state-lead.
                           Where a response is taken under
                           CERCLA at a state-lead  site, EPA is
                           ultimately responsible for the selection
                           of a response action. Therefore, under
                           section 113(k}. EPA must establish an
                           administrative record for the CERCLA
                           response action at the site, and must, at
                           a minimum, comply with subpart L
                           There may be many different ways of
                           compiling administrative records and
                           involving the public in the development
of the record. Subpart I states the
minimum requirements for section
113(k). Lead agencies, including states,
may provide additional public
involvement opportunities at a site. In
response ito whether or not states should
maintain a complete administrative
record at or near the site, EPA believes
that stateu must have such a record in
order to meet GERCLA section 113[k)
requirements.    >
  EPA has included a minor editorial
change in f 30O800(c) to reflect that a
state compiles and maintains an
administrative record for rather than at
a given site.
  Final Title: EPA is promulgating
S 300.800(0) as proposed, except for a
minor editorial change in the first
sentence its follows: "If a state is the
lead agency for a site, the state shall
compile and maintain the  administrative
record for the selection of the response
action for that site in accordance with
this subpart."
  Name: flections 300.800(d) and
300.800(e), Applicability.
  Proposed rule: Section 300.800(d)
states that the provisions of subpart I
apply to all remedial actions where the
remedial investigation began after the
promulgation of these rules, and for all
removals where the action
memorandum is signed after the
promulgation of these rules. Section
300.800(d) also proposes that "[TJhis
subpart applies to all response actions
taken under section 104 of CERCLA or
sought secured, or ordered
administratively or judicially under
section 108 of CERCLA" Section
300.800(e) states that the lead agency
will apply subpart I to all response
actions not included in 5 300.600(d) "to
the extent practicable."
  Response to comments: One
commenter argued that the applicable
provisions of subpart I should be
amended to require agencies to comply
with the subpart for all sites where the
remedy selection decision was made
more than 90 days after proposal of the
revised NCP for comment Another
comment ntated that 5 300;800(e) be
revised to state that lead agencies must
comply with subpart I in any future
actions they take, and that all lead
agency actions must comply with
subpart I "to the maximum extent
practicable."
  In response, EPA will adhere as
closely as possible to subpart I for sites
where the remedial investigation began
before these regulations are
promulgated. EPA will not however,
require that these sites comply with
requirements which, because of the

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            Federal Register / Vol. 55, No. 46  / Thursday, March 8. 1990  /  Rales and Regulations
                                                                                                           8803
timing of the response action relative to
the promulgation of these rules, cannot
be adhered to. For example, under the
final rule the administrative record file
must be available at the beginning of the
remedial investigation phase. If these
regulations are promulgated when a site
is in the middle of the remedial
investigation process, and the
administrative record is not yet
available, the lead agency cannot at this
point comply with these regulations.
Additionally, EPA believes that adding
language to proposed NCP § 300.800(e)
to state that lead agencies will comply
with provisions of subpart I in any
future action after promulgation of the
new rule is unnecessary and redundant;
compliance will be legally required, and
applicability to all future response
actions is implicit in the rule. Likewise,
insertion of the word "maximum" before
the phrase "extent practicable" is
unnecessary since it would give
additional emphasis but would not
•ubstantiyely change the requirement or
the meaning of the rule.
  One comment agreed with>EPA's
interpretation that subpart I applies to
all response actions "sought secured or
ordered administratively or judicially,"
but others disagreed. Several stated that
the term "judicially" should be deleted
from § 300.800(d) because they argue
that response actions ordered judicially
would receive de nova adjudication,
instead of administrative record review.
CERCLA section 113(j)[l) states: "In any
judicial action under this Act, judicial
review of any issues concerning the
adequacy of any response action taken
or ordered by the President shall be
limited to the administrative record."
Commenters contend that this section
does not apply to injunctive actions
under CERCLA section 106 because
these are not actions "taken or ordered
by the President" To the contrary, the
 •election of a response action is a
 "response action taken * * * by the
 President" Accordingly, section 113(D(1]
 requires that judicial review of the
 response action selected by the agency^
 is "limited to the administrative record."
 Further, section 113Q)(2) stipulates that
 "in any judicial action under this
 chapter"—whether for injunctive relief,
 enforcement of an administrative order
 or recovery of response costs or
 damages—e party objecting to "the
 President's decision in selecting the ^
 response action" must demonstrate, "on
 the administrative record, that the
 decision was arbitrary or capricious or^
 otherwise not in accordance with law."
   EPA received several comments
 objecting to EPA's determination that
 judicial review of an endangennent
 assessment be limited to the
 administrative record. They stated that
 as a matter of administrative and
 (constitutional law, a finding of imminent
 and substantial endangennent'is not an
 (issue concerning "the adequacy of the
 response action," as stated in CERCLA
 iiection 113Q). and therefore must
 ireceive de novo review by a court A
 {second comment requested that EPA
 jitate in the regulation that review of
 IBPA's expenditures in the
 implementation of a remedy isde novo.
   An assessment of endangennent at a
 iiite is a factor highly relevant to the
 selection of a response action, and is in
 fact part of the remedial investigation
 [RTJ process central to the decision to
 nelect a response action. Therefore, the
 determination of endangennent (which
 •will generally be included in the
 decision document) will be included in
 the administrative record for selection
 of a response action and should be
 reviewed as part of that record. (EPA
 notes that the term "endangerment
 assessment" document has been
 superseded by the term "risk
 assessment" document and while
 assessments of endangerment at a site
 are still conducted during the KL it is the
 "risk assessment" document that
 becomes part of the record.) In response
 to the comment that Agency
 expenditures on a response action
 should receive denovo review, EPA
 notes that this issue was not raised in
 the proposed NCP, and is therefore not
 addressed in the final rule.
   Final rule: EPA is promulgating the
, rule as proposed.
   Name: Section 300.805. Location of the
 administrative record file.
   Proposed rule: Section 113(k)(l) of
 CERCLA states that "the administrative
 record shall be available to the public at
 or near the facility at issue. The
 President also may place duplicates of
 the administrative record at any other
 location." Section 300.805 of the
 proposed NCP provides five exemptions
 for information which need not be
 placed at or near the facility at issue:
 Sampling and testing data, guidance
 documents, publicly available technical
 literature, documents in the confidential
 portion of the file, and ijmergency
 removal actions Listing less than 30
 days.
   Response to comments: One
 commenter supported limiting the
 amount of information which must be
 located at or near the site, but many
 commenters stated that every document
 contributing to decision-making,
 including confidential documents which
 are part of the record, iihould be located
 at or near the site and .agency
 convenience is not a sufficient reason to
 exclude documents from the site. They
 asserted that such exclusions undermine
 active public involvement at the site and
 are contrary to statutory intent Another
 comment stated that requiring the
 administrative record to be kept in two
 places, at a central location and at or
 near the site, runs counter to the
 statutory requirement of keeping a
 record only "at or near the facility at
 issue." One commenter asked that EPA
 acknowledge that Indian tribal
 headquarters may be a logical place to
 keep the administrative record when a
 Superfund site is located on or near an
 Indian reservation. A final comment
 requested that EPA endorse through
 regulatory language that administrative
 records can be kept on microfiche or
 other record management technologies,
 and have the equivalent legal validity to
' paper records.
   Requiring sampling data and guidance
 documents to be placed at the site is
 both unnecessary and, in many cases.
 very costly. Administrative records are
 often kept at public libraries where
 space is limited and cannot
 accommodate voluminous sampling data
 for large, complex sites. Summaries of
 the data are included in the RI/FS,
 which is located at or near the site. In
 addition, requiring publicly available
 technical literature at the site will
 require copying copyrighted material, an
 additional expenditure of limited
 Superfund dollars. Moreover, Agency
 experience is that, as yet relatively few
 people view the administrative record
 file at or near the site or request review
 of the sampling data or general guidance
 documents listed in the index to the site
 file.
    However, EPA has revised the rule to
 specify that if an individual .wishes to
 review a document listed in the index
 but not available in the file located at or
 near the site, such document if not
 confidential, will be provided for
 inclusion in the file upon request. The
 individual will not need to submit a
 Freedom of Information Act Request in
 order to have the information made
 available for review in the file near the
 site. EPA believes that provision of such
 documents in the file near the site upon
 request meets the requirement of
 CERCLA section 113(k) that the record
 be "available" at or near the site. In
 addition, this rule does not bar lead
 agencies from deriding to place this
 information fa the site file without
 waiting for a request Lead agencies are
  encouraged to place as much of this
 information at or near the site as
 practical and to automatically place
  information at sites where there is a

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              Federal Register / Vol. 55, No. 46  / Thursday. March 8.  1990 / Rules and Regulations
  high probability that the information
  will be in demand or the information is
  central to the response selection
  decision.
   The confidential portion of the file
  need not be located at or near the site,
  and will not be available upon request
  either at the site or at the central
  location, since the information is not
  available for public review.
   EPA believes that requiring that the
  record be located in two places is
  necessary to ensure both adequate
  public access to the record files and
  better lead-agency control over the
  record documents. The statutory
  requirement in CERCLA section
  M3(k)(l) states that the President may
  also place duplicates of the
  administrative record at any other
  location. This section clearly provides
  authority to maintain a second
  administrative record at a central
 location. Section 300.805 of the proposed
 NCP (53 FR 51515) reflects EPA's
 decision to make this statutory option a
 regulatory requirement A centrally
 located record may offer easier access
 to interested parties located far from the
 response site.
   EPA agrees with the commenter that
 housing the centrally located copy of the
 record at Indian tribal headquarters may
 be appropriate when a Superfund site is
 located at or near an Indian reservation.
 In the 2986 amendments to CERCLA.
 Indian tribes are accorded status
 equivalent to states, and can be
 designated lead agencies for response
 actions, in which case they would also
 be required to compile and maintain the
 administrative record at or near the site.
   Finally, as EPA stated in  the preamble
 to the proposed NCP. maintaining the
 administrative record on microfiche is
 already recognized as a legally valid
 and effective practice: "EPA may make
 the administrative record available to
 the public in microform. EPA may
 microform-copy documents that form the
 basis for the selection of a CERCLA
 response action in the regular course of
 business" (S3 FR 51465). EPA agrees that
 this should be specified in the rule and
 has added § 300.605(c) accordingly.
 providing that the lead agency may
 make the record available in microform.
  Final rule: Section 300.805 is modified
 as follows:

  1. Section 30O805(b) is added to the
 rule as follows: "Where documents are
 placed in the central location but not in
 the file located at or near the site, such
 documents shall be added to the file
located at or near the site upon request,
except for documents included in
paragraph (a){4) of this section."
    2. Section 300.80!i(c) is added to the
  rule as follows: "The lead agency may
  make the administrative record file
  available to the public in microform."
   3. Hie lection hag been renumbered
  accordingly.

   Name: Sections 3Q0.810faHd).
  Documents not included in the
  administrative record file.
   Proposed rule: Section 300.810(b)
  discusses which documents may be
  excluded from the administrative record.
  Section (c) discusses privileged
  information that is not included in the
  administrative record. Section 300.810(d)
  discusses confidential information that
  is placed in the confidential portion of
  the administrative record.
   Response to comments: One
  commenter argued that § 300.810 should
  specifically include an exemption for
  classified documents related to national
 security. While the NCP currently does
 not address the potential conflict
 between national security concerns and
 the requirement to establish a publicly
 accessible administrative record, it is
 not clear that such an exemption could
 be adequately specified by rule or that
 an exemption would appropriately
 resolve this conflict. Section 121Q)
 provides a national security waiver by
 Presidential order of any requirements
 under CERCLA, which can be invoked
 in certain circumstances. Under this
 provision, protection of national security
 interests requires case-by-case review
 under section 1210) and not a blanket
 exemption in the NCP. Nothing in the
.NCP limits the availability of this
 waiver.
   Another comment received by EPA
 stated that the treatment of privileged
 and confidential documents in the
 records is unfair, because it denies
 access to documents that may be critical
 to the selection of a .'remedy. EPA has
 provided for a confidential portion of
 the administrative record where
 documents containing, for example,
 trade secrets of companies that have
 developed patented cleanup
 technologies being considered as a
response selection alternative can be
kept confidential. To Tnninfnin a fair
balance between the need for
confidentiality and the public's right of
review of the record, the lead agency
must summarize or redact a document
containing confidential information to
make available to the greatest extent
possible critical, factual information
relevant to the selection of a response
action in the nonconfidential portion of
the record.
  A final comment proposed that an
index to the privileged documents
should be included in the
  nonconfidential portion of the
  administrative record. EPA agrees,
  believing that an index will let
  interested parties know in general terms
  what documents are included in the
  record without compromising the
  confidential nature of the information
  contained in those documents.
   Finally, EPA is adding a sentence to
  § 300.810(a)(6j to clarify that the index
  can include a reference to a group of
  documents, if documents are
  customarily grouped. This will simplify
  EPA's task without compromising the
  integrity of the record.

   Final rule: 1. EPA is promulgating
  S§ 300.81Ci(b). (c) and (d) as proposed
  with a minor editorial change to clarify
  the first sentence of § 300.810(d).
   2. The following language is added to
  S 300.8IO(a)(6) to provide for listing
 grouped documents in the
 administrative record file index: "If
 document; are customarily grouped
 together, as with sampling data chain of
 custody documents, they may be listed
 as a group in the index to the
 administrative record file."
   Name: Section 300.815. Administrative
 record file for a remedial action.
.   Proposed rule: The term
 "administrative record file" is used
 throughout the proposed NCP. Section
 300.815(a) proposes that the
 administrative record file be made
 available for public inspection at the
 beginning of the remedial investigation
 phase.
  Response to comments: EPA received
 several comments objecting to the
 concept of an administrative record file.
They objected because there is no
 statutory authority for establishing a
file, and because they were concerned
that the lead agency could edit the file,
specifically by deleting public and PRP
comments and information that do not
support the; response action ultimately
chosen by .EPA, and that these
comments .and information would not
remain a part of the final administrative
record.
  The statute requires the President to
establish an administrative record.
Under subpart I of the NCP, the
administrative record file is-the
mechanism for compiling, and will
contain, the administrative record
required by section 113fk). One reason
EPA adopted the concept of an
administrative record file is that EPA
felt that it may be confusing or
misleading to refer to an ongoing
compilation of documents as an
"administrative record" until the
compilation is complete. Until the
response action has been selected, there

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            Federal Register / VoL 55. No. 46 / Thursday, March 8, 1990 / Rules and Regulations
                                                                                                          8805
is no complete administrative record for
that decision. Thus, to avoid creating the
impression that the record is complete at
any time prior to the final selection
decision, the set of documents is
referred to as the administrative record
file rather than the administrative
record.
  However, this does not mean, as the
comments appear to suggest, that the
lead agency may "edit" the
administrative record file in a manner
that removes comments and technical
data simply because they are not
supportive of the final selection
decision. Any comments and technical
information placed in the record file for
a proposed response action and relevant
to the selection of that response action,
whether in support of, or in opposition
to, the selected response action, become
part of the administrative record for the
final response selection decision. Such
materials will remain in the
administrative record file, and will
become part of the final administrative
record. However. EPA believes that as a
matter of law documents that are
erroneously placed in the administrative
record file (e.g., documents that have no
relevance to the response selection or
that pertain to an entirely different site)
would not necessarily become part of
the final administrative record.
   EPA received additional comments
stating that the administrative record
file should be available before the
beginning of the remedial investigation
phase. These comments suggested that
the file be available: When a site is
entered into the CERCLIS data base;
when the HRS score is calculated; when
proposed for inclusion on the NPL; after
the preliminary assessment report and
after the remedial site investigation.
   EPA believes that the point at which a
site is entered into the CERCLIS. data
base is  too early to put any information
which would be relevant to a selection
 of a response action into a record file
because at this point there has been no
site evaluation and therefore little
 factual information about the^site upon
 which to base a response decision.
Interested parties can already find any
 information on a site that would be
 included at the point of the HRS scoring
 and placement on the NPL in the NPL
 docket which is publicly available. The
 preliminary assessment and remedial
 investigation stages of a response are
 premature for making the administrative
• record available: at these points there is
 little information relevant to response
 selection on which to comment or to
 review. Once fee RI/FS work plan is
 approved, and the RI/FS study begins—
 including such activities as project
scoping, data collection, risk assessment
and analysis of alternatives—there is a
coherent body of site-specific
information with relevance to the
response selection upon which to
comment. EPA believes that the
beginning of the RI/FS phase is the point
in the process when, it makes sense to
start a publicly available record of
information relevant to the response
selection.
  One comment suggested that
interested persons would have no
chance to comment on the formation of
the RI/FS work plan. The comment
suggested that the record file should be
available before the RI/FS work plan is
approved, e-g., with a draft work plan or
statement of work. EPA disagrees.
Approved work plans ace often
amended. An interested, person may
comment on the scope or formation of
the work plan, and such comments can
be taken into account by the lead
agency and incorporated into a final or
amended work plan. Such comments
must be considered if submitted during
the comment period on the proposed
action.
  Final rule: EPA is promulgating
§ 300.815[a) as proposed.
  Name: Section 300.B1S. Administrative
record file fpr a remedial action. Section
300.820(a). Administrative record file for
a removal action.
  Proposed rule: Subpart I requires that
the administrative record for a remedial
action be available for public review
when the remedial investigation begins.
Thereafter, relevant do
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             Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules and Regulations
 the community relations coordinator or
 regional site manager, to ensure that the
 record location chosen is convenient to
 the public and that copying facilities are
 made available. Using public libraries to
 house the record should promote better
 availability of the record daring non-
 working hours and on weekends. In
 response to mandating deadlines for
 lead agencies to place documents into
 the administrative record file. Agency
 guidance already directs record
 compilers to place documents into the
 record file as soon as they are received.
 Agency  policy additionally prescribes a
 suggested timeframe for placing
 documents in the record file. EPA
 believes that mandatory deadlines in
 the NCP would do little to increase the
 rate at which records are already
 compiled. The decision to place free
 copies of key documents in the record at
 or near the site will be a site-specific
 decision based on the level of
 community interest in these documents.
 Those who wish to make copies of key
 documents or any document contained
 in the administrative record file should
 already have access to copying
 facilities.
   EPA received a comment requesting
 that it publish a joint notice of
 availability of the administrative record
 with a notice of availability of Technical
 Assistance Grants. Another comment
 stated that the removal site evaluation
 and engineering evaluation/cost
 analysis fEE/CA) must be included in
 the record for a non-time-critical
 removal  action.
   Publishing notice of the availability of
 the record in tandem with
 announcements of the availability of
 Technical Assistance Grants (TAGs) is
 a good idea where TAGs are available
 for a removal action. The TAGs.
 however, are generally designed to
 support citizen involvement in technical
 issues for sites undergoing remedial
 actions. The one-year, $2 million
 limitations on removals and the limited
 number of alternatives usually reviewed
 make further expense on a technical
 advisor less beneficial than it might be
 for a long-term remedial action. As for
 placing the removal site evaluation and
 EE/CA in the administrative record.
 EPA agrees that generally such
 documents would be part of the
 administrative record for the removal
 action.
  Finally. EPA is making a minor change
 to the language of § 300.820(a](4). EPA is
 substituting the term "decision
document" in place of action
memorandum to allow for situations
where the agency's decision document
  for a removal action is not named an
  action memorandum.
   Final rule: "i. The second sentences of
  51 300.815(b). 300.820(a)(2] and
  300.820(b)(2) are revised to reflect the
  new language on responding to
  comments as follows: "The lead agency
  is encouraged to consider and respond,
  as appropriate, to significant comments
  that were submitted prior to the public
  comment period."               •  •
   2. In §  300.820(a)(4), the term "decision
  document" is substituted for "action
  memorandum."
   3. The  remainder of § 300.820(a) is
  promulgated as proposed.
   Name: Section 300.820[b).
  Administrative record file for a removal
  action—time-critical and emergency.
   Proposed rule: Section 300.820(b)
  outlines steps for public participation
  and administrative record availability
  for time-critical and emergency removal
  responses (53 FR 51516): '^Documents
  included  in the administrative record
  file shall  be made available for public
  inspection no later than 60 days after
 initiation of on-site removal activity," at
 which point notification of the
  availability of the record must be
 published. The lead agency then, as
 appropriate, will provide a public
 comment period of not less than 30 days
 on the selection of the response action.
   Response to comments: Several
 comments suggested that public
•• comment requirements under
  § 300.820(b) were unnecessary and
 burdensome, especially the requirement
 to publish a notice of the availability of
 the record. One comment argued that
 requiring public notification of both
 record availability and of a site's
 inclusion on  the NPL was unnecessary
 and dunlicative. Another comment
 stated mat the requirements for public
 notification and public comment are not
 appropriate for all time-critical removal
 actions, and recommended that the
 administrative record be available for
 review only for those time-critical
 removal actions that do require public
 notice and comment. A related comment
 stated that the requirement to publish a
 notice of  availability of the
 administrative record for all time-critical
 removal actions be eliminated in favor
 of making the record available but not
 requiring  an advertisement or comment
 period, since some time-critical removal
 actions are completed before a public
 comment  period could be held. Others
 asked that the public comment period
 become mandatory, or at least
 mandatory for removal activities not
 already completed at the time the record
 is made available. Another comment
 requested that the record become
 available sooner—at least 30 days after
 initiation of on-site removal activity—
 because the current 60-day period
 prevented the consideration of any pre-
 work comments. A second comment
 supported the 60-day period. Finally, a
 commen ter argued that it made little
 sense to make the record available after
 60 days for an emergency response
 because the on-scene coordinator [OSCJ
 report containing most of the response
 information isn't required to be
• completed until one year following the
 response action.
   In general, the public participation
 requirements under $ 300.B20(b) are
 designed to preserve both the flexibility
 and discretion required by the lead
 agency in time-critical removal action
 situations as well as EPA's commitment
 to encouraging public participation and
 to keeping an affected community well-
 informed. EPA believes the notification
 and comment periods required in
 § 300.820(b) provide for both Agency
 flexibility and meaningful public
 involvement. The regulatory language
 stating that "The lead agency shall, as
 appropriate, provide a public comment
 period of not less than 30 days"
 provides the lead agency needed
 flexibility when the emergency nature of
 circumstances makes holding a
 comment period infeasible.
   While EPA believes that it is
necessary to announce the availability
of the administrative record for time-
critical and emergency removal actions
as well as non-time-critical actions. EPA
believes 'that requiring establishment of
the administrative record and publishing
a notice of its availability 30 days after
initiating a removal action in all cases,
instead of "no later (ban 60 days after
initiating a removal action," as
proposed, would be somewhat
premature. It has been EPA's experience
that it often takes 60 days to stabilize a
site (i.e., (those activities that help to
reduce, retard or prevent the spread of a
hazardous substance release and help to
eliminate an immediate threat). EPA
believes 1hat the overriding task of
emergency response teams during this
critical period must be the undertaking
of necessary stabilization, rather than
administrative duties. Compiling and
advertising the record before a site has
become stabilized would divert
emergency response  teams from
devoting their full attention to a
response. EPA believes that such
administrative procedures are better left
for after site stabilization.
  Public notice requirements for
announcing the availability of the
administrative record and for a site's
inclusion on the NPL are not duplicative,

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            Federal Register / Vol. 55, No. 46 / Thursday, March 8, 1990 / Rules and Regulations
                                                                                                           8807
but notify the public of two very
different decisions. Removal actions do
not always take place at sites on the
NPL, therefore, the notice requirements
are obviously not duplicative for these
removal actions. For remedial sites that
are on the NPL, the "administrative
record need not be established for some
time after listing on the NPL, so
publishing a notice of the availability of
the record would be essential to make
the affected public cognizant of site
progress and their opportunity for
review of documents included in the
record.
  Lastly, the procedures specified in
§ 300.820(b) are applicable to an
emergency removal that starts and
finishes within 60 days. However, as
provided in § 300.820[bX2), a comment
period is held only where the lead
agency deems it appropriate. But
because the administrative record is an
avenue for public information as well as
for public comment EPA also believes .
that even if the action is completed
before the record file is made available,
it is still appropriate to make the record
available to the public. There is also no
inherent contradiction in the OSC report
being available one year after
completion of the response action while
the administrative record becomes
available 60 days  after initiation of on-
site activities. Since the OSC report is  a
summary of the site events and is not a
document which is considered in the
selection of response action, it is not
generally included in the administrative
record.
  Final rule: EPA is promulgating
§ 300.820(b) as proposed, except that
  1. The second sentence of
§ 300.820(b)(2) is revised on responding
to public comments as described above.
  2. Section 300.820(b)(3) is revised
consistent with § 300.820(a)(4); the term
"action memorandum" is changed to
"decision document."
  Name: Section 300.825. Record
requirements after decision document is
 signed.
  Proposed rale: Section 300.825
 describes situations where documents
 may be added to the administrative
 record after the decision document is
 signed. Documents may be added to a
 record in the following circumstances:
 When the document addresses a portion
 of the decision which the decision
 document does not address or reserves
 for later; when the response action
 changes and an explanation of
 significant differences or an amended
 decision document is issued; when the
 agency holds additional public comment
 periods after the decision is signed; and
 when the agency receives comments
'Containing "significant information not
contained elsewhere in the record which
could not have been submitted during
the pubEc comment period which
substantially support the need to
significantly alter the response action"
(S3 FR 51516). In addition, subpart E of
the proposed NCP discusses ROD
amendments and Explanations of
Significant Differences. Explanations of
Significant Differences may be used for
significant changes which do not
fundamentally change the remedy, and
do not require public comment ROD
amendments must be used for
fundamental changes, and require a
public comment period.
  Response to comments: One
commenter asked that subpart I reflect
the factors consistently applied by
courts when determining whether the
record should be supplemented,
including such criteria as Agency
reliance on factors not included in the
record, an incomplete record, and strong
evidence that EPA engaged'in improper
behavior or acted in bad faitk A related
comment stated that since general
principles of administrative4ay apply to
administrative record restrictions and
supplementing the record, language
limiting supplementing 'the record should
be deleted from the NCP. EPA believes
that including specific tenets of
administrative law governing
supplementing of the record in the NCP
itself is unnecessary. These tenets apply
to record review of response actions
whether or not they are included in the
NCP. The requirements of § 300.825(c)
do not supplant principles on
supplementing administrative records.
   Another comment recommended that
EPA permit the record to be
supplemented with any issue contested
by a PRP, while granting an objective
third party the ability to accept or reject
record supplements. EPA already
requires, that any documents concerning
remedy selection submitted by PRPs
within the public comment period be
included in the record. All significant
evidence submitted after the decision
document is complete is already
included in the record, so long as it
meets the requirements of § 300.825(c),
is not included elsewhere in the record,
could not have been submitted during
 the public comment period, and supports
 the need to significantly alter the
 response action. EPA believes these
 criteria are reasonable and do not
 require the use of a third-party
 arbitrator.
   One comment stated that all PRP
 submissions must be placed in the
 record in order to protect a party's due-
 process right to be heard. EPA disagrees
 that all PRP submissions to the lead
agency must be placed in the record in
order to protect the party's due process
rights. The process provided in the
rules—including the notice of
availability of the proposed plan and the
administrative record for review, the
availability of all documents underlying
the response selection decision for
review throughout the decision-making
process, the opportunity to comment on
the proposed plan and all documents in
the administrative record file, the
requirement that the lead agency
consider and respond to all significant
PRP comments raised during the
comment period, the notice of significant
changes to the response selection, and
the opportunity to submit and
requirement that the lead agency
consider, any new significant
information that may substantially
support the need to significantly alter
the response selection even after the
selection decision—is sufficient to
satisfy due process. Moreover, the
opportunity provided for PRP and  public
involvement in response selection
exceeds the minimum public
participation requirements set forth by
the statute. Placing a reasonable limit on
the length of time in which comments
must be submitted, and providing  for
case-by-case acceptance of late
comments through § 300.825(c), does not
infringe upon procedural rights of PRPs.
  One commenter asked that the
permissive "may" in 5 300.825(a) be
changed so there is no lead-agency
discretion over whether to add to  the
administrative record documents
submitted after the remedy selection,
and stated that additional public
comment periods as outlined in
§ 300.825(b} should not be only at EPA's
option. A related comment stated that
the multiple qualifiers in 1300.825(c),
including the phrases "substantially
support the need" and "significantly
alter the response action" (53 FR 51516),
grant EPA overly broad discretionary
powers over what documents may be
added to the record. The commenter
suggests deleting the word
"substantially," as well as stating that
all comments, even those disregarded by
EPA, should be included in the record
for the purpose of judicial review. EPA
 disagrees mat the word "may" in either
 § 300.825(a) or 5 300.825[b) is too
 permissive. Section 300.825(b) of the
 proposal was simply intended to clarify
 the lead agency's implicit authority to
 hold additional public comment periods,
 in addition to those required under
 subpart E for ROD amendments.
 whenever the lead agency decides it
 would be appropriate. Because these
 additional comment periods are not

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required by statute or regulation, the
"permissive" language simply reflects
the lead agency's discretion with respect
to these additional public involvement
opportunities. Similarly, lead-agency
discretion to add to the administrative
record documents submitted after a
decision document has been signed
provides the lead agency the option to
go beyond the minimum requirements
for public participation outlined in the,
statute. In response to requests to delete
the qualifiers in I3QOB25{c), this
language is intentionally designed to
define carefully the circumstances in
which EPA must consider comments
submitted after the response action has
been selected. This standard recognizes
CERCLA's mandate to proceed
expedi tiously to implement selected
response actions, but also recognizes
that there will be certain instances in
which significant new information
warrants reconsideration of the selected
response action. Section 30O825(c) is
intended to provide a reasonable limit
on what comments EPA must review or
consider after a decision has been made.
  Several commenters requested that
PRPs not identified until after the close
of the public comment period should be
allowed an opportunity to comment on
the record within 60 days of EPA's
notification of potential liability. EPA
makes significant efforts to involve PRPs
as early in the process as possible.
When PRPs are identified late in the
process, they may provide EPA with
comments at that time. EPA will
consider comments which are submitted
after the decision document is signed in
accordance with the criteria of.
i 300.825(c). This is true no matter when
the PRP is identified in the process. EPA
believes that the current rule is
sufficient for granting these late-
identified PRPs the opportunity for
submitting late comments for the record.
  One cotnm enter stated that new
information that confirms or
substantiates prior public comment
should be made part of the record, even
after a ROD is signed. EPA is not
required by statute or regulation to
consider these comments, although a
lead agency may. and frequently does,
consider post-ROD comments it
considers to be significant—in which
case both the comment and the lead
agency's response are part of the record.
  Finally. EPA is making a minor change
to i 30O825(b] on additional public
comment periods to clarify that, in
addition to comments and responses to
comments, documents supporting the
request for an additional comment
period, and any decision documents
would be placed in the administrative
                          record file. Although this is what EPA
                          intended in the proposal, a clarification
                          is necessary to ensure consistency.
                            Final rule: EPA is promulgating
                          § 300.825 as proposed except for an
                          addition to the last sentence of section
                          (b) as follows: "All additional comments
                          submitted during such comment periods
                          that are responsive to the request and
                          any response to these comments, along
                          with documents supporting the request
                          and any final decision with respect to
                          the issue, shall be placed in the
                          administrative record file."

                          Sabpartf—Use of Dispersants and
                          Other Chemicals
                            The following sections discuss
                          comments received on subpart J and
                          EPA's responses.
                            Name: Sections 300.900-300.920.
                          General.
                            • Existing rale: Section 300.81 described
                          the purpose and applicability of existing
                          subpart H (now subpart J), and § 300.82
                          defines the key terms used in the
                          regulation. Section 300.83 provides that
                          EPA shall maintain a schedule of
                          dispersants and other chemical or
                          biological products that may be
                          authorized for nse on oil discharges
                          called the "NCP Product Schedule."
                            Section 300.84 sets forth the
                          procedures by which an OSC may
                          authorize the use of products listed on
                          the NCP Product Schedule. The section
                          provides that an OSC, with concurrence
                          of the EPA representative to the RRT
                          and the concurrence of the state(s) with
                          jurisdiction over the navigable waters
                          (as defined by the CWA) polluted by the
                          oil discharge, may authorize the use of
                          dispersants, surface collecting agents,
                          and biological additives listed on the
                          NCP Product Schedule.
                            This section also provides that if the
                          OSC determines that the use of a
                          dispersant surface collecting agent or
                          biological additive is necessary to
                          prevent or substantially reduce a hazard
                          •to human life, and there is insufficient
                          time to obtain the needed concurrences,
                          the OSC may unilaterally authorize the
                          use of any product including a product
                          not on the NCP Product Schedule. In
                          such instances, the OSC must inform the
                          EPA RRT representative and the
                          affected states of the use of a product as
                          soon as possible and must obtain their
                          concurrence for the continued use of the
                          product once the threat to human life
                          has subsided. This provision eliminates
                          delays in potentially life-threatening
                          situations, such as spills of highly
                          flammable petroleum products in
                          harbors or near inhabited areas.
                          Although they will not be listed on the
                          Schedule, this section also provides for
 authorization of the use of burning
 agents on a case-by-case basis. The nse
 of sinking agents is prohibited.
   Section 300.84 explicitly encourages
 advance planning for the use of
 dispersants and other chemicals. The
 OSC is authorized to approve the use of
 dispersante and other chemicals without
 the concurrence of the EPA
 representativeto the RRT and the
 affected states if these parties have
 previously approved a plan identifying
 the products that may be used and the
 particular circumstances under which
 their use is preauthorized.
   Section 300.85 details the data that
 must be submitted before a dispersant
 surface collecting agent or biological
 additive may be placed on the NCP
 Product Schedule. Section 300.86
 describes -the procedures for placing a
• product oit the Product Schedule and
 also sets forth requirements designed to
 avoid possible misrepresentation or
 misinterpretation of the meaning of the
 placement of a product on the Schedule,
 including the wording of a disclaimer to
 be used in product advertisements or
 technical literature referring to
 placement on the Product Schedule.
   Appendix C details the methods and
 types of apparatus to be used in carrying
 out the revised standard dispersant
 effectiveness and aquatic toxicity tests.
 Appendix C also sets forth the format
 required for summary presentation of
 product test data.
   Proposed rule: Proposed su'bpart J is
 very similar to subpart H and contains
 only minor revisions. Section numbers
 and references to other sections and
 subparts have been changed where
 appropriate. Technical changes and
 minor wording changes to improve
 clarity have also been made.
   Definitions formerly presented in
 subpart H have been moved to subpart
 A, and a new definition has been added
 for miscellaneous oil spill control
 agents. Accordingly, a list of data
 requirements for miscellaneous spill
 control agents is proposed to be added
 to § 300.915. The definition for navigable
 waters is us defined in 40 CFR 110.1.
   Section 300.910, which addressed
 "Authorization of use," was modified
 slightly in the proposed regulation to
 emphasize the importance of obtaining
 concurrence for the use of dispersants
 and other chemicals from the
 appropriate state representatives to the
 Regional Response Team {RRT) and the
 DOC/DOI natural resource trustees "as
 appropriate."
   Response to comments:—1.
 Involvement of DOC/DOI trustees.
 Many commenters opposed the
 inclusion of the DOC/DOI trustees in

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            Federal Register / Vol. 55. No. 46 / Thursday, March  8. 1990 / Rales and Regulations
                                                                     8809
the authorization of use procedure,
§ 300.910(a). Noting that dispersants
must be used quickly to be effective,
commenters asserted that the decision-
making process for responding to an oil
spill is already too time-consuming and
requires too many people to make a
timely decision. At most, several
commenters suggested, the DOC/DOI
trustees should be consulted rather than
having a concurrence. Other
commenters recommended that the OSC
be able to act unilaterally or be required
to obtain concurrences from only one
other entity such as the affected state
RRT representative or the National
Oceanic and Atmospheric
Administration (NOAA) Scientific
Support Coordinator (SSC).
  In response,  as discussed in the
preamble to the proposal, the decision to
use a chemical is highly dependent upon
specific circumstances, locations and
conditions which must be assessed by
the OSC, and the EPA and the state RRT
representative and DOC/DOI trustees
are in a unique position to understand
local conditions and to collect and
coordinate quickly the necessary local
information. Further, to facilitate a
timely decision, the preamble urged
early involvement of the EPA and state
RRT representatives and DOC/DOI
trustees, as appropriate. The intention of
the addition of the DOC/DOI trustees
was not to make the process more
cumbersome, but to reflect the
concurrence procedures that are already
actually applied. However, EPA believes
that the many comments concerning this
issue have raised a significant
distinction regarding concurrence during
an emergency, which should be a
streamlined procedure, and concurrence
 during a planning procedure. The final
rule will be revised, therefore, to
 recognize that distinction. It will return
 to the authorization language of the
 previous subpart H with the addition of
 the provision mat DOC/DOI trustees be
 consulted, as appropriate. Language has
 been added to § 300.910(eJ. however, to
 require that the DOC/DOI trustees
 concur with advance authorizations of
 the use of dispersants. surface collecting
 agents, biological additives, or
 miscellaneous oil spill control agents
. and the use of burning agents. EPA
 believes that this change reflects the
 current concurrence process that is
 actually used in both preplanning and
 operational approval situations and
 retains for the OSC the obligation to
 seek the consultation, when practicable,
 of the natural resource trustees in an
 emergency situations, but retains the
 flexibility to authorize the use of
chemicals in such situations by a
streamlined procedure when necessary.
  Some commenters supported the
extension of the concurrence authority
granted in § 30O910(a) to the DOC/DOI
trustee agencies to include pre-planning
for the use of chemical and biological
agents outlined in paragraph (e) of this
section. Although the DOC/DOI
concurrence requirement1, has been
deleted from paragraph (a)  of the
Authorization of use section.
concurrence of the DOC/DOI trustee
agencies will be required before a
chemical or biological agent can be pre-
nuthorized.
  2. Approval and concurrence. Several
commenters supported the concept of
"pre-approval" of dispersants suggesting
that the EPA encourage advance
planning, and several commenters
implied that this provision had been
removed in proposed subpart J. EPA
believes that 5 300-910(e) continues to
endorse the concept that RRTs make
preauthorization determinations. This
section is essentially unchanged from
1he previous subpart H.
  Some commenters suggested that the
responder be able to unilaterally
authorize the use of surface collecting
agents or similar compounds which limit
tie spread of oil or can enhance its
recoverability. EPA does not believe and
has been provided with no substantial
evidence to support a determination that
(there is any reason to exempt surface
collecting agents or similar products
iErom the general requirement for state
iand RRT concurrence. EPA intends that
RRT advance planning under
 § 300.910(e) be used to address where
•the use of such agents should be
encouraged or restricted on a regional
'basis.
   3. Dispersants. Severs! commenters
 supported a requirement that
 dispersants be considered  on an equal
 basis with other spill management tools
 or be considered as a first response
 option. Conversely, two commenters
 recommended that the NCP state a clear
 policy to the effect that dispersants are
 a less desirable choice and should be
 considered only when tide threat to
 human life and property will riot allow
 for containment and removal. EPA
 believes that the circumstances
 surrounding oil spills to navigable
 waters and the factors influencing the
 choice of a response method or methods
 are many and that the NCP should not
 indicate a preference for one cleanup
 method over another. Section 300.310(b]
 states that of the numerous chemical or
 physical methods that may be used to
 recover spilled oil or mitigate its effects,
 the chosen methods shall be the most
consistent with protecting public health
and welfare and the environment.
  4. NCP Product Schedule.
Commenters suggested that the listing of
a product on the NCP Product Schedule
should constitute "pre-approval" for the
use of those products, subject to a series
of well-defined guidelines such as those
developed by American Society of
Testing and Materials (ASTM)
Committee F-20. As an alternative, they
suggested that Subpart J should include
an additional section containing those
products that are "preapproved."
Placement of a product on the NCP
Product Schedule currently does not
mean that EPA has confirmed the safety
or effectiveness of the product or in any
. way endorses the product The purpose
of the standardized testing procedures
set out in Appendix C is to ensure that
OSCs have comparable data regarding
the effectiveness and toxiciry of
different products. The circumstances
under which dispersants and other
chemicals may be used are many. It is
inappropriate, therefore, to establish
generic criteria that could be used to
determine whether a product is or is not
appropriate for a particular use under aB
circumstances. As discussed earlier,
therefore, EPA believes mat the RRTs
deliberations provide the best forum to
make determinations as to whether the
use of a dispersant or other chermr.nl
should be approved for use in a
particular situation under all the
circumstances of the spill and its
location.
   A commenter noted that California, as
well as other states, has promulgated
more restrictive lists of permitted oil
 spill cleanup agents and recommended
 that this fact should fa.e noted in the
-NCP. EPA believes that the RCP is the
 appropriate document to recognize these
 products. In situations that pose a threat
 to human life, this same commenter
 objected to the provision that permits
 the OSC to authorize products not listed
 on the NCP Product Schedule and
 products that have not passed state
 tests which evaluate performance and
 safety. The commenter also questioned
 the efficacy of stockpiling such products
 in sufficient volumes and close enough
 to potential spill locations to be of any
 use. EPA does not agree with this
 recommendation. A life-threatening oil
 discharge such as a spill of highly
 flammable petroleum products in
 harbors or near inhabited areas may
 occur at a location where chemical
 agents on the Schedule or state lists are
 not immediately available for a wide
 variety of reasons. In such a case, EPA
 believes that the OSC must have the
 discretion to use any products that, in

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            Federal Register / Vol. 55. No. 46 / Thursday. March B. 1990 / Rules and Regulations
 his professional judgement would
 effectively and expeditiously mitigate
 the threat to human life.
  'Another commenter suggested that
 dispersant test applications be
 conducted on a spill concurrently with
 the deliberations of the RRT regarding
 the authorization of a dispersant in a
 specific situation. EPA believes that
 such a procedure could undermine the
 role of the RRT. Instead. EPA believes
 that the most effective way to
 streamline the decision to use or not  to
 tae chemical countenneasures, is for the
 RHTs to continue moving forward with
 prc-aulhorization planning efforts.
  A commenter asserted that
 acceptance of a proposed oil spill
 control agent for inclusion in the NCP
 Product Schedule must be predicated on
 EPA's judgement that the agent meets
 some minimum criteria for the proposed
 vae. Currently, the data requirements for
 placement of a product on the Schedule
 are designed to provide sufficient data
 for OSCs to judge whether and in what
 quantities a dispersant may safely be
 used to control a particular discharge.
 As noted earlier, the standardized
 testing procedures in Appendix C are
 intended to ensure that  OSCs have
 comparable data regarding the product's
 effectiveness, toxicity and other
 characteristics. EPA has historically
 recognized this situation by providing
 the type of case-specific approval that
 has been the NCP policy regarding the
 use of chemical countenneasures for  a
 great many years. EPA,  however,
 recognizes the value of establishing
 minimum criteria that would limit which
 such products could be considered by
 the Responsible Party and/or the OSC
 on spills into navigable waters.
 Therefore. EPA is in the process of
 examining the dispersant authorization
 policies of other countries, particularly
 with regard to the application of
 minimum criteria or standards. A study
 to re-evaluate the toxiciry test in light of
 state-of-the-art developments is also
 underway. EPA believes that denning
 minimum criteria should be considered
 and invites recommendations from
 Interested parties regarding threshold
 criteria for effectiveness and toxiciry of
 dispersants and other chemical agents.
  5. Other comments. Several
 commenters suggested that the NCP
 include a requirement to use the EPA's
 Computerized Decision Tree (CDT) for
 oil spill response. EPA recognizes that
 the CDT is a tool to assist in making
 dispersant use or non-use decisions but
 EPA believes that mandating its use in
 all situations is inappropriate.
  Some commenters suggested that all
parties to a dispersant use decision be
required to have hands-on training in oil
 spill containment recovery, cleanup,
 and dispersants and other chemical
 countenneasures from a recognized
 authority. While this appears to be a
 worthy goal, it would be difficult to
 regulate on a national basis, both from
 the perspective of certifying training
 programs and monitoring RRT members
 who have or have not received training.
 EPA believes that- these types of training
 requirements are best addressed on a
 regional basis and not by regulation.
  A commenter suggested that there
 should be a rapid and simplified way to
 obtain local approval to carry out field
 exercises and tests on real oil with real
 dispersants in limited quantities. EPA
 believes that the NCP does not need to
 be amended to address this point and
 refers the commenter to 40 CFR 110.9.
 State RRT representatives can offer  .'
 advice about compliance with their
 regulations on the authorization of
 intentional spills for research and
 demonstration purposes.
  One commenter recommended that
 the third sentence in § 30O910{e) should
 be changed to read: "If the RRT
 representative with jurisdiction over the
 waters of the area to which a RCP
 applies approves in advance the use of
 products as described in the NCP
 Product Schedule, the OSC may
 authorize the use of the products
without obtaining the specific
 concurrences described in paragraph (a)
 of this section." EPA disagrees with this
recommendation. 'While the addition to
the inclusion of the DOC/DOI trustee
agencies in any pre-authorization
 decision has been addressed earlier,
EPA would like to emphasize the
importance of obtaining the concurrence
 of the affected states in pre-planning
agreements and believes that specific
mention of the state role will accomplish
this.
  Final rule: Proposed snbpart J has
been revised as follows:

  1. "Hazardous Substance Releases
 [Reserved]" has been added to
 S 300.905(b) to clarify that § 30OS05(a)
applies only to oil discharge's.   .
  2. Sections 300510 (a), (fa), and (c)
have been revised to state that the OSC
should consult with the DOC and DOI
natural resource trustee, rather than
receive their concurrence, on the use of
dispersants, burning agents, etc.
  3. Section 300-910(e) has been revised
to add a reference to the DOC and DOI
natural resource trustees.
  4. The references to ASTM standards
in § 300.915 have been revised.
 Appendix C to Part 300—Revised
 Standard Dispersant Effectiveness and
 Toxiciry Tests

   No comments were received on the
 proposed revisions to Appendix C to
 part 300. The two proposed technical
 corrections have been made to
 Appendix C. First in the calculations
 sections, 2.5 and 2.6, the formulas of
 equations (2). (3), and (5) for
 concentration of oil (C*,) in the sample.
 dispersant blank correction (D), and oil
 blank correction (OBC) have been
 corrected. Second, the units of viscosity
 [item 3, part IX in section 4,0) have been
 changed from furol seconds to
 centistokes. Last the new 1988 ASTM
 standards have been cited for reference
 to viscosity in centistokes.

 Appendix D to Part SOD—Appropriate
 Actions and Methods of Remedying
 Releases

  No comments were received on the
 proposed Appendix D to part 300. EPA
 is promulgating Appendix D at!
 proposed. .Appendix D includes
 materials irom existing  § 300.6SQ) on
 appropriate actions at remedial sites
 and existing $ 300.70 on methods for
 remedying releases. The appendix
 describes general approaches and lists
 specific techniques but is not intended
 to be inclusive of all possible methods of
 addressing releases. A lead agency may
 respond to types of releases and employ
 techniques other than those that are
 listed, depisnding on the particular
 circumstances. EPA believes that the
 provisions in existing §§ 300.68Q) and
 300.70 are not appropriate for inclusion
 in proposed subpart E. which has been
 structured to focus on the sequence of
 response procedures. Because the
 materials do not impose any
 requirements or restrictions, they are
 appropriate for an appendix. It is
 intended that parties conducting
 response actions should consider the
 information! provided in Appendix D.

 m. Summary of Supporting Analyses

A. Regulatory Impact Analysis of
Revisions ito CERCLA and the NCP
  There are two economic documents
 supporting today's final rule. The first
 (the September 1988 RIA) was prepared
in September 1S88 and supported the
proposed rule (53 FR 51394).** EPA has
  n Environmental Protection Agency. "Regulatory
Impact Analysis in Support of the Proposed
Revision* to the National Oil and Hazardous
Substances Pollution Contingency Plan." Office of
Solid Waste tad Emergency Response. September
1968.

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           Federal Register / Vol. 55, No. 46 / Thursday, March 8, 1990 / Rules and Regulations
                                                                                                          8811
since updated several of the key
assumptions used in the September 1988
economic analysis and has prepared a
second economic document entitled,
"Regulatory Impact Analysis of
Revisions to CERCLA and the National
Contingency Plan" (November 1989
RIA). Both the September 1988 R1A and
the November 1989 RIA are available in
the Superfund Document Room of the
ILS. Environmental Protection Agency.
401M Street SW.. Washington, DC.
20460.
  Both RIAs estimate total and
incremental costs to the Fund, states,
federal agencies, and responsible parties
of implementing the remedial program
during the period FY87 through FY91,
the duration of reauthorization of the
Superfund program. EPA has focused its
analyses on four provisions with
incremental costs and benefits
attributable directly to the 1986
CERCLA amendments: (1) Selection of
remedy; (2) removals; (3) water
restoration; and (4) publicly-operated
sites. Ike impacts of these provisions
are attributable directly to the 1986
CERCLA amendments, rather than to
the NCP revisions, because in these
areas EPA chose to retain the flexibility
of the statutory language: the NCP
essentially codifies the statutory
requirements. The RLAs estimate the
incremental costs of the provisions
against a baseline defined by the
requirements of CERCLA as specified in
the 1985 NCP. The 1985 NCP is the
proper baseline for the analysis of
changes attributable to the statutory
amendments because the 1985 NCP is
the legal framework that defines
response activities in the absence of the
amendments to CERCLA.
  The November 1989 RIA updates
estimates for only the selection of
remedy and water restoration provisions
in today's final regulation. The analyses
of the other provisions have not been
updated because they did not rely on
quantitative analyses, and no new data
have been developed that would allow a
quantitative analysis. In addition, the
November 1989 RIA provides a new
analysis of the costs of narrowing the
range of risks to be considered in
developing and selecting remedies. A
brief summary of the analyses presented
in the November 1989 RIA is provided
below.
  1. Selection of remedy. The new
CERCLA preference for reducing
mobility, toxicity. and volume of
contaminants at a site is assumed to be
a preference for remedies that use
treatment as a principal element The
analysis of the overall cost of the
selection of remedy incorporates several
assumptions:
  • The estimated costs of treatment
and containment remedies have not
been updated since the September 1988
RIA. The estimates of selection of
remedy costs were developed using cost
data from 30 RODs, signed during die
FY82 to FY86 period, that contained
information on capital and operation
and maintenance (O&M) costs for both.
treatment-based remedies and
containment-based remedies at a site.
  • The percentage of remedial action
(RA) starts in FY87 and FY88 selecting
treatment over containment was
assumed to be the same as the
percentage of RODs sifoied that selected
treatment alternatives in the same year.
Because of the time lag. between ROD
signature and the actual RA start this
assumption leads to an. overestimate of
the cost over the period studied, but
provides a more accurate estimate of the
potential impacts beyond the
reauthorization period of CERCLA.
  • The estimated number of RA starts
in FY87 and FY88 was based on actual
RA starts as reported in the CERCLA
Information System (GERCLIS).
  • The number of RA starts in FY89
through FY91 were estimated; based on
the mandatory schedules in section 116
of CERCLA for 175 RA starts by the end
of FY89 and an additional 200 starts by
FY91.
  • The fraction of RA starts in FY89
through FY91 that would have treatment
as the selected option was assumed to
rise to 66 percent in FY89 and 80 percent
in FY90 and FY91 as a consequence of
the selection of remedy provisions in the
1986 CERCLA amendments.
  EPA estimates that the total cost of
the selection of remedy provisions in the
1986 amendments to CERCLA. during
the FY87 through FY91 period, is $8.7
billion: $3.95 billion to the Fund; $038
billion to states; $3.15 billion to
responsible parties; and $1.03 billion to
federal agencies. The 5-year present
value of the estimated incremental cost
of the selection of remedy provisions
over the costs imposed already by the
1985 NCP is $2.9 billion: $1.32, billion to
the Fund; $0.14 billion to states; $1.05
billion to responsible parties; and $0.41
billion to federal agencies. Changes in
program administrative costs, are cot
included in these estimates.
  A sensitivity analysis was included in
the September 1988 RIA to determine
how the cost estimates change if the
most important assumptions used to
derive the estimates are altered. In
addition to varying the cost parameters
used in the analysis, the frequency of
use of treatment under the 1986
 CERCLA amendments is varied between
 50 percent of sites or operable units
 using treatment to 100 percent using
 treatment for the period FY89 through
 FY91. In the November 1989 RIA. the
 analysis of the effects of the frequency
 of use of treatment has been updated;
 the results of the sensitivity analysis
 estimates the total incremental costs of
 the selection of remedy provisions to be
 between $1.3 and $4.3 billion, with a
 best estimate of $2.9 billion.
  The 1986 amendments to CERCLA
 require RAs to comply with state
 applicable or relevant and appropriate
 requirements (ARARs) that are more
 stringent than federal ARARs. To the
 extent possible, therefore, cost estimates
 used in the November 1989 RIA are for
 remedies expected to comply with
 federal ARARs and those state ARARs
 more stringent than the federal
 standards. The September 1988 RIA
 concluded that compliance with more
 stringent state ARARs may increase the
 costs of an RA by about $6.6 million.
 However, EPA does not believe that an
 additional $6.6 million will be incurred
 to meet state ARARs  for every RA under
 CERCLA because many RODs signed
 prior to the 1986 CERCLA amendments
 already showed evidence of compliance
 with state ARARs and many states do
 not have relevant standards more
 stringent than federal standards.
  2. Water restoration provisions.
 Under the 1985 NCP, states held primary
 responsibility for financing O&M costs
 associated with an RA at a Fund-lead
 site. During the first fiscal year after
 completion of the capital expenditure at
 a site, the Fund financed a maximum of
 90 percent of the  operational costs until
 EPA was assured that the remedy was
 operational and functional. In each
 subsequent year, the state financed 100
 percent of O&M costs. The 1986
• amendments to CERCLA change  this
 funding relationship for RAs involving
 treatment to restore ground water or
 surface water. Long-term costs of
. treatment of contaminated ground water
 or surface water now are defined to be a
 component of the RA when treatment is
 being used to restore  an aquifer or
 surface-water body. Hence, this
 provision transfers financing
 responsibilities at Fund-lead sites using
 water restoration as part of the selected
 remedy from the  states to the Fund.
 Under the new provision, the Fund
 finances 90 percent of the costs of water
 restoration for up to 10 years; states
 finance the remaining 10 percent of
 costs during these years. As discussed
 in the November 1989 RIA. EPA
 estimates that approximately $50.5
 million in obligations to pay for water

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Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules and Regulations
restoration will be transferred from
states to the Fund over the F)T87-91
period as a result of the provisions on
ground-water and surface-water
restoration in the 1986 amendments to
CERCLA. Because the provision results
only in transfers of obligations to pay
from states to the Fund, it does not give
rise to real economic costs or real
economic benefits.               T-"
  3. Use of risk range. As part of its
continuing analysis. EPA has evaluated
the incremental costs between remedies
•elected at the 10~«and the 1(T7 risk
levels. EPA identified two potential
activities that would likely be affected:
p) Evaluation of remedies capable of
achieving a Itr'risk level; and [2)
•election of such a remedy.
  Most feasibility studies (FSs) and
Records of Decision (RODs) completed
to date include estimates of costs of
achieving some stated threshold goal
(eg, MCLs, ARARs); other FSs and
RODs are more detailed and estimate
the effectiveness of various remedial
alternatives in achieving specific risk
target levels (e-g., ICr'risk. "high."
"medium." or "low" risk). Only a few
FSs or RODs completed to date,
however, actually contain cost estimates
associated with achieving different risk
levels or with achieving a risk level as
low as IO"7.
  Because of the sparsity of data. EPA
could not perform a detailed analysis of
the incremental cost or cost savings
attributable to different acceptable
cleanup levels and, in particular, to
establishing a broader or narrower
acceptable risk level In analyzing the
costs incurred to date in developing
different FSs, however, it became clear
that generally the incremental cost of
conducting a detailed evaluation of an
alternative at one risk level versus "n"
risk levels is minor relative to the cost of
the FS. Essentially, the risk assessment
and costing exercise relies on some sunk
(Le, fixed) costs associated with
developing relationships (e-g., curves)
that relate the amount of material to be
treated to  the risk levels that can be
achieved. Once the relationship is
developed, it is a relatively simple
matter to generate estimates for one or
any number of risk levels. EPA
acknowledges, however, that the
breeder risk range may. in certain
instances, result in an increased level of
effort expended to evaluate additional
alternatives or to do a more detailed
analysis of existing alternatives.
  EPA believes the greatest cost
attributable to a broader risk range is
associated with the implementation of a
remedy that can achieve a 10~7risk
level. Based on data from the few sites
that evaluated different alternatives at a
                          range of risk levels. EPA estimates that
                          the incremental cost of cleaning up to a
                          id"7 versus a io~'riak level ranges from
                          approximately $700,000 to $10.4 million
                          per site. These incremental costs
                          represent a percentage cost increase
                          from 13 to 50 percent Because the
                          survey was limited, there may be other
                          sites where die percentage cost increase
                          associated'with cleanup to 10~7 rather
                          than 10~*may be lower or higher than 13
                          to 50 percent
                          B. Executive Order No. 32291
                            Regulations must be classified as
                          major or nonmajor to satisfy the
                          rulemaking protocol established by
                          Executive Order (E.O.) No. 12291. This
                          Executive Order establishes the'
                          following criteria for a regulation to
                          qualify as a major role.
                            1. An annual effect on the economy of
                          $100 million or more;
                            2. A major increase in costs or prices
                          for consumers, individual industries,
                          federal, state, or local government
                          agencies or geographic regions; or
                            3. Significant adverse effects on
                          competition, employment investment
                          productivity, innovation, or on the
                          ability of United States-based
                          enterprises to compete with foreign-
                          based enterprises in domestic or export
                          markets.
                            Based on the economic analyses
                          summarized above, the revised NCP is a
                          major rule because it •will have an
                          annual effect on the economy of $100
                          million or more. This regulation has
                          been submitted to the Office of
                          Management and Budget for review
                          under Executive Order Nos. 12291 and
                          12580.
                          C. Regulatory Flexibility Act
                            In accordance with the Regulatory
                          Flexibility Act of 1980, agencies must
                          evaluate the effects of a regulation on
                          small entities. If the rule is likely to have
                          a "significant impact on a substantial
                          number of small entities," then a
                          Regulatory Flexibility Analysis must be
                          performed. EPA certifies that today's
                          rule will not have a iiignificant impact
                          on a substantial number of small
                          entities.
                             Small businesses generally will be
                          affected only by the changes that
                          address selection of remedy. The cost of
                          a Superfund cleanup, whether using
                          containment-based remedies or
                          treatment-based remedies, can be quite
                          large and. in some cases, may be
                          beyond the financial resources of a
                          responsible party (RP). Because RPs can
                          be in different industry sectors and face
                          different market structures, each RP's
                          ability to finance Superfund response
                          actions could be very different The
analytical framework used in Chapter 8
of the September 1988 RIA to estimate
the economic effects of the CERCLA
provisions on typical RPs relies heavily
on publicly-available financial
information and makes the conservative
assumption that each RP would be
solely responsible for the entire RA cost
The analysis includes two financial tests
performed on a sample of IS firms
selected randomly and varying in size.  '
One test (the net income test) compares
average response costs to the sample
firm's net income or cash flow. The
second test (a modified Beaver ratio)
compares the sample firm's cash flow to
its total liabilities, including response
costs. On the basis of this analysis, EPA
has determined that the revisions to the
NCP will not result in a significant
additional impact on a substantial
number of small businesses. That is, to
the extent 'that small businesses are
significantly impacted under the
revisions to the NCP. they were already
significantly impacted under the 1985
NCP.
  Municipalities also could be affected
by the revisions to the selection of
remedy provisions in the NCP because
municipalities can be RPs. NPL sites >
owned by municipalities tend to be
municipal wellfields and landfills. The
cleanup of wellfields is undertaken to
restore drinking water to a community
either by pumping and treating a
contaminant plume or building an
alternative water distribution system.
The contaminant plume usually has not
been created by municipality actions;
instead, the plume may have migrated
from a nearby industrial waste site. As a
result, the municipality is not likely to
be liable for the costs of response
actions. At. municipal fandfill sites, or
other landfill sites that have accepted
municipal wastes, the municipality also
is not likely to be liable for 100 percent
of response costs, because other entities
typically have contributed to the site
problem. The range of capital costs of
cleanups at municipally-owned sites
with RODai signed over the FY82  to FY86
period is from $304.000 for construction
of an alternative water supply system to
$23.2 million to cap a 90 acre landfill
site.
  The level of involvement of iimall
municipalities in the Superfund program
is not expected to change under the 1986
CERCLA amendments. The sites  at
which municipalities are most likely to
be involved are not expected to be
affected greatly by the new CERCLA
selection of remedy provisions. The
costs of cleaning up municipal l«mHfill«
in particular are not expected to
increase substantially as a result of the

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       1990 Final NCP
1

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                                                                                                                  8813
CERCLA amendments because the
typical size of such sites limits the
feasibility of implementing treatment-
based remedies.

D. Paperwork Redaction Act

  The information collection
requirements contained in today's rule
have been approved by the Office of
Management and Budget (OMB) under
the provisions of the Paperwork
Reduction Act. 44 U.S.C. 3501 et seg. and
have been assigned OMB control
number 2050-0096.
  Public reporting burden for this
collection of information is estimated to
be a weighted average of 2.620 hours per
respondent, including time for reviewing
instructions, searching existing data
sources, gathering and maintaining the
data needed, and completing and
reviewing the collection of information.
Respondent means states and other
entities (excluding the federal
government) conducting required
activities associated with remedial
actions.
  Send comments regarding the burden
estimate or any other aspect of this
collection of information, including
suggestions for reducing this burden, to
Chief, Information Policy Branch, PM-
223, U.S. Environmental Protection
Agency, 401M Street SW., Washington,
DC. 20460: and to the Office of
Information and Regulatory Affairs,
Office of Management and Budget,
Washington. DC, 20503, marked
"Attention: Desk Officer for EPA."

list of Subjects in 40 CFR Part 300

  Air pollution control. Chemicals,
Hazardous materials. Hazardous
substances. Incorporation by reference.
Intergovernmental relations. Natural
resources, Occupational safety and
health. Oil pollution, Reporting and
recordkeeping requirements, Superfund,
Waste treatment and disposal. Water
pollution control. Water supply.
  Dated: February 2,1990.
William K-ReiUy,
Administrator.
   Therefore, 40 CFR part 300 is amended
as follows:

PART 300-{ AMENDED]

   1. The authority citation for part 300 is
revised to read as follows:
   Authority: 42 U.S.C. 9601-9657; 33 U.S.C.
13ZI(cH2): E.0.11735.38 FR 21243: E.0.12580.
52FR2923.
   2. Subparts A through H of part 300
 are revised, subparts I and J are added,
 and snbpart K is added and reserved to
 read as follows:
PART 300—NATIONAL OIL AND
HAZARDOUS SUBSTANCES
POLLUTION CONTINGENCY PLAN

Subpart A—Introduction

Sec.
300.1  Purpose and objectives.
300.2  Authority and applicability.
3003  Scope.
300.4  Abbreviations.
300.5  Definitions.
300.6  Use of number and gender.
300.7  Computation of time.

Subpart B—fiesponsibWty and Organization
for Response
300.100  Duties of President delegated to
    federal agencies.
300.105  General organization concepts.
300.110  National Response Team.
300.115  Regional Response Teams.
300.120  Oil-scene coordinators and remedial
    project managers: general
    responsibilities.
300.125  Notification and communications.
300.130  Determinations to initiate response
    and special conditions.
300.135  Response operations.
300.140  Multi-regional responses.
300.145  Special teams and other assistance
    available to OSCs/RPMs.
300.150  Worker health and safety.
300.155  Public information and community
    relations.
300.160  Documentation and cost recovery.
300.165  OSC reports.
300.170  Federal agency participation.
30O.175  Federal agencies: additional
    responsibilities and assistance.
300.180  State and local participation in
    response.
300.185  Nongovernmental participation.

Subpart C—Planning and Preparedness
300.200  General.
300205  Planning and coordination structure.
300.210  Federal contingency plans.
300.215  Title ffl local emergency response
    plans.
300220  Related Title IE issues.
Subpart D—Operational: Response Phases
for OU Removal
300.300  Phase I—Discovery or notification.
300.305  Phase B—Preliminary assessment
    and initiation of action.
300310  Phase ffl—Containment,
    countermessures, cleanup, and disposal.
300315  Phase IV—Documentation and cost
    recovery.
300320  General pattern of response.
300330  Wildlife conservation.'
300335  Funding.
Subpart E—Hazardous Substance
Response
300.400  General.
300.405  Discovery or notification.
300.410  Removal site evaluation.
300.415  Removal action.
300.420  Remedial site evaluation.
300.425  Establishing remedial priorities.
300.430  Remedial investigation/feasibility
    study and selection of remedy.
 300.435  Remedial design/remedial action.
    operation and maintenance.
300.440  Procedures for planning and
    implementing off-site response actions.
    (Reserved]
Subpart F—State Involvement in Hazardous
Substance. Response
300.500  General.
300.505  EPA/State Superfund Memorandum
    of Agreement (SMOA).
300.510  State assurances.
300315  Requirements for state involvement
    in remedial and enforcement response.
300.520  State involvement in EPA-lead
    enforcement negotiations.
300.525  State involvement in removal
    actions.
Subpart G—Trustees for Natural Resources
300.600  Designation of federal trustees.
300.605  State trustees.
300.610  Indian tribes.
300.615  Responsibilities of trustees.

Subpart H—Participation by Other Persons
300.700  Activities by other persons.

Subpart I—Administrative Record for
Selection of Response Action
300300  Establishment of an administrative
    record.
300.805  Location of the administrative
    record file.
300.810  Contents of the administrative
    record file.
300315  Administrative record file for a
    remedial action.
300.820  Administrative record file for a
    removal action.
300325  Record requirements  after the
    decision document is signed.

Subpart J—Use of DIspersants and Other
Chemicals
300.900  General.
300.905  NCP Product Schedule.
300.910  Authorization of use.
300.915  Data requirements.
300.920  Addition of products to schedule.

Subpart K—Federal Facilities [Reserved]
Subpart A—Introduction

§300.1  Purpose and objective*.
   The purpose of the National Oil and
Hazardous Substances Pollution
Contingency Plan (NCP) is to provide
the organizational structure and
procedures for preparing for and
responding to discharges of oil and
releases of hazardous substances,
pollutants, and contaminants.

§3002  Authority and mppflcsbBtty.
   The NCP is required by section 105 of
the Comprehensive Environmental
Response, Compensation, and Liability
Act of 1980.42 U.S.C. 9605. as amended
by the Superfund Amendments and
Reanthorization Act of 1986 (SARA),
Pub.L, 99-499, (hereinafter CERCLA),
and by section 311(c)(2) of the Clean
Water Act (CWA), as amended. 33

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  8814      Federal Re^ster / Vol. 55. No. 46 / Thursday. March 8, 1990 / Rules  and Regulations
 U.S.C. 1321(c)(2). In Executive Order
 (E.O.) 12580 (52 FR 2923, January 29.
 1987], the President delegated to the
 Environmental Protection Agency (EPA)
 the responsibility for the amendment of
 the NCP. Amendments to the NCP are
 coordinated with members of the
 National Response Team (NUT) prior to
 publication for notice and comment
 This includes coordination with the
 Federal Emergency Management
 Agency and the Nuclear Regulatory
 Commission In order to avoid
 inconsistent or duplicative requirements
 in the emergency planning
 responsibilities .of those agencies. The
 NCP is applicable to response actions
 taken pursuant to the authorities under
 CERCLA and section 311 of the CWA.

 §300.3 Scope.
   (a) The NCP applies to and is in effect
 fon
   (1) Discharges of oil into or upon the
 navigable waters of the United States
 and adjoining shorelines, the waters of
 the contiguous zone, and the high seas
 beyond the contiguous zone in
 connection with activities under the
 Outer Continental Shelf Lands Act or
 the Deepwater Port Act of 1974, or
 which may affect natural resources
 belonging to. appertaining to, or under
 the exclusive management authority of
 the Un|ted States (including resources
 under the Magnuson Fishery
 Conservation and Management Act).
 (See sections 311(b)(l) and 502(7) of the
 CWA.)
   (2) Releases into the environment of
• hazardous substances, and pollutants or
 contaminants which may present an
 imminent and substantial danger to
 public health or welfare.
   (b) The NCP provides for efficient
 coordinated, and effective response to
 discharges of oil and releases of
 hazardous substances, pollutants, and
 contaminants in accordance with the
 authorities of CERCLA and the CWA. It
 provides fon
   (1) The national response organization
 that may be activated in response
 actions. It specifies responsibilities
 among the federal, state, and local
 governments and describes resources
 that are available for response.
   (2) The establishment of requirements
 for federal regional and on-scene
 coordinator (OSC) contingency plans. It
 also summarizes state and local
 emergency planning requirements under
 SARA Title m.
   (3) Procedures for undertaking
 removal actions pursuant to section 311
 of the CWA.
   (4) Procedures for undertaking
 .response actions pursuant to CERCLA.
  (5) Procedures for involving state
governments in the initiation,
development selection, and
implementation of response actions.
  (6) Designation of federal trustees for
natural resources for purposes of
CERCLA and the CWA.
  (7) Procedures for the participation of
other persons in response actions.
  (8) Procedures for compiling and
making available an administrative
record for response actions.
  (9) National procedures for the use of
dispersants and other chemicals in
removals under the CWA and response
actions under CERCLA.
  (c) In implementing the NCP,
consideration shall be given to
international assistance plans and
agreements, security regulations and
responsibilities based on international
agreements, federal statutes, and
executive orders. Actions taken
pursuant to the NCP shall conform to the
provisions of international  joint
contingency plans, where they are
applicable. The Department of State
shall be consulted, as appropriate, prior
to taking any action which  may affect its
activities.

§300.4 Abbreviations.
  (a) Department and Agency Title
Abbreviations:
ATSDR—Agency for Toxic Substances
    and Disease Registry
DOC—Department of Commerce
DOD—Department of Defense
DOE—Department of Energy
DOI—Department of the Interior
DOJ—Department of Justice
DOL—Department of Labor
DOS—Department of State
DOT—Department of Transportation •
EPA—Environmental Protection Agency
FEMA—Federal Emergency
    Management Agency
HHS—Department of Health and
    Human Services
NIOSH—National Institute for
    Occupational Safety and Health
NOAA—National Oceanic and
    Atmospheric Administration
RSPA—Research and Special Programs
    Administration
USCG—United States Coast Guard
USDA—United States Department of
    Agriculture
  Note: Reference is made in the NCP to both
the Nudear Regulatory Commission and the
National Response Center. In order to avoid
confusion, the NCP will spell out Nuclear
Regulatory Commission and use the
abbreviation "NRC" only with respect to the
National Response Center.
  (b) Operational Abbreviations:
ARARs—Applicable or Relevant and
    Appropriate Requirements
CERCLIS—CERCLA Information System
CRC—Community Relations
    Coordinator
CRP—Community Relations Plan
ERT—Environmental Response Team
FCO—Federal Coordinating Officer
FS—Feasibility Study
HRS—Hazard Ranking System
LEPC—Local Emergency Planning
    Committee
NCP—National Contingency Plan
NPL—National Priorities List
NRC—National Response Center
NRT—National Response Team
NSF—National Strike Force
O&M—Operation and Maintenance
OSC—On-Scene Coordinator
PA—Preliminary Assessment
PIAT—Public Information Assist Team
RA—Remedial Action
RAT—Radiological Assistance Team
RCP—Regional Contingency Plan
RD—Remedial Design
RI—Remedial Investigation
ROD—Record of Decision
RPM—Remedial Project Manager
RRC—Regional Response Center
RRT—Regional Response Team
SAC—Support Agency Coordinator
SERC—State Emergency Response
    Commission
SI—Site Inspection
SMOA—Superfund Memorandum of
    Agreement
SSC—Scientific Support Coordinator

§3005 DwflnHIbra.
  Terms not denned in this section have
the meaning given by CERCLA or the
CWA.
  Activation means notification by
telephone or other expeditious manner
or, when required, the assembly of some
or all appropriate members of die RRT
or NRT.
  Alternative water supplies as defined
by section 101(34} of CERCLA, includes,
but is not limited to, drinking water and
household water supplies.
  Applicable requirements means those
cleanup standards, standards of control,
and other substantive requirements,
criteria, or limitations promulgated
under federal environmental or state
environmental or facility siting laws that
specifically address a hazardous
substance, pollutant, contaminant
remedial action, location, or other
circumstance found at a CERCLA site.
Only those state standards that are
identified by a state in a timely manner
and that are more stringent than federal
requirements may be applicable.
  Biological additives means
microbiological cultures, enzymes, or
nutrient additives that are deliberately
introduced into an oil discharge for the
specific purpose of encouraging

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             Federal Register / Vol. 55. No. 46  / Thursday. March 8, 1990 / Rules and Regulations      8815
  biodegradation to mitigate the effects of
  the discharge.
   Burning agents means those additives
  that, through physical or chemical
  means, improve the combustibility of the
  materials to which they are applied.
   CERCLA is the Comprehensive
  Environmental Response,
  Compensation, and Liability Act of I960,
  as amended by the Superfund
  Amendments and Reauthorization Act
  of1986.
   CERCUS is the abbreviation of the
  CERCLA Information System, EPA's
  comprehensive data base and
 management system that inventories
  and tracks releases addressed or
 needing to be addressed by the
 Superfund program. CERCLIS contains
• the official inventory of CERCLA sites
 and supports EPA's site planning and
 tracking functions. Sites that EPA
 decides do not warrant moving further
 in the site evaluation process are given a
 "No Further Response Action Planned"
 (NFRAP) designation in CERCLIS. This
 means that no additional federal steps
 under CERCLA will be taken at the site
 unless future information so warrants.
 Sites'are not removed from the data
 base after completion of evaluations'in
 order to document that these
 evaluations took place and to preclude
 the possibility that they be needlessly
 repeated. Inclusion of a specific site or
 area in the CERCLIS data base does not
 represent a determination of any party's
 liability, nor does it represent a finding
 that any response action is necessary.
 Sites that are deleted from the NPL are
not designated NFRAP sites. Deleted
sites are listed in a separate category in
the CERCLIS data base.
   Chemical agents means those
elements, compounds, or mixtures that
coagulate, disperse, dissolve, emulsify.
foam, neutralize, precipitate, reduce,
solubilize, oxidize, concentrate, congeal,
entrap, fix, make the pollutant mass
more rigid or viscous, or otherwise
facilitate the mitigation of deleterious
effects or the removal of the pollutant
from the water.
   Claim as defined by section 101(4) of
CERCLA, means a demand in writing for
a sum certain.
   Coastal waters for the purposes of
classifying the size of discharges, means
the waters of the coastal zone except for
the Great Lakes and specified ports and
harbors on inland rivers.
   Coastal zone as defined for the
purpose of the NCP. means all United
States waters subject to the tide. United
States waters of the Great Lakes,
specified ports and harbors on inland
rivers, waters of the contiguous zone,
other waters of the high seas subject to
the NCP. and the land surface or land
  substrata, ground waters, and ambient
  air proximal to those waters. The term
  coastal zone delineates an area of
  federal responsibility for response
  action. Precise boundaries are
  determined by EPA/USCG agreements
  and identified in federal regional
  contingency plans.
   Community relations means EPA's
  program to inform and encourage public
  participation in the Superfund process
  and to respond to community concerns.
  The term "public" includes citizens
  directly affected by tlie site,1 other
  interested citizens or parties, organized
  groups, elected officials, and potentially
  responsible parties.
   Community relations coordinator
 means lead agency staff who work with
 the OSC/RPM to involve and inform the
 public about the Superfund process and
 response actions in accordance with the
 interactive community relations
 requirements set forth in the NCP.
   Contiguous zone means the zone of
 the high seas, established by the United
 States under Article 24 of the
 Convention on the Territorial Sea and
 Contiguous  Zone, which is contiguous to
 the territorial sea and which extends
 nine miles seaward from the outer limit
 of the territorial sea.
   Cooperative agreement is a legal
 instrument EPA uses to transfer money,
 property, services, or anything of value
 to a recipient to accomplish a public
 purpose in which substantial EPA
 involvement is anticipated during the
 performance of the project
   Discharge as defined by section
 311(a}(2) of the  CWA, includes, but is
 not limited to, any spilling, leaking,
 pumping, pouring, emitting, emptying, or
 dumping of oil. but excludes discharges
 in compliance with a permit under
 section 402 of the CWA, discharges
 resulting from circumstances identified
 and reviewed and made a part of the
 public record with respect to,a permit
 issued or modified under section 402 of
 the CWA, and subject to a condition in
 such permit, or continuous or
 anticipated intermittent discharges from
 a point source, identified in a permit or
 permit application under section 402 of
 the CWA, that are caused by events
 occurring within the scope of relevant
 operating or treatment systems. For
 purposes of the NCP, discharge also
 means threat of discharge.
  Dispersants means those chemical
 agents that emulsify, disperse, or
 solubilize oil into the water column or
 promote the surface spreading of oil
 •licks to facilitate dispersal of the oil
 into the water column.
  Drinking watersupply as defined by
 section 1O1(7) of CERCLA, means any
taw or finished water i:ource that is or
  may be used by a public water system
  (as defined in the Safe Drinking Water
  Act) or as drinking water by one or more
  individuals.
   Environment as defined by section
  101(8) of CERCLA, means the navigable
  waters, the waters of the contiguous
  zone, and the ocean waters of which the
  natural resources are under the
  exclusive management authority of the
  United States under the Magnuson
  Fishery Conservation and Management
  Act; and any other surface water,
  ground water, drinking water supply,
  land surface or subsurface strata, or
  ambient air within the United States or
  under the jurisdiction of the United
  States.
   Facility as defined by section 101(9} of
  CERCLA, means any building, structure,
 installation, equipment pipe or pipeline
  (including any pipe into a sewer or
 publicly owned treatment works), well,
 pit pond, lagoon, impoundment ditch,
 landfill, storage container, motor
 vehicle, rolling stock, or aircraft or any
 site or area, where a hazardous
 substance has been deposited, stored.
 disposed of, or placed, or otherwise
 come to be located; but does not include
 any consumer product in consumer use
 or any vessel.
   Feasibility study (FS) means a study
 undertaken by the lead agency to
 develop and evaluate options for
 remedial action. The FS emphasizes
 data analysis and is generally performed
 concurrently and in an interactive
 fashion with the remedial investigation
 (RI), using data gathered during the RL
 The RI data are used to define the
 objectives of the response action, to
 develop remedial action alternatives,
 and to undertake an initial screening
 and detailed analysis of the alternatives.
 The term also refers to a report that
 describes the results of the study.
  First federal official means the first
 federal representative of a participating
 agency of the National Response Team
 to arrive at the scene of a discharge or a
 release. This official coordinates
 activities under the NCP and may
 initiate, in consultation with the OSC,
 any necessary actions until the arrival
 of the predesignated OSC. A state with
 primary jurisdiction over a site covered
 by a cooperative agreement will act in
 the stead of the first federal official for
 any incident at the site.
  Fond 01 Trust Fund means the
Hazardous Substance Superfund
 established by section 9507 of the
Internal Revenue Code of 1986.
  Ground water as defined by section
101(12) of CERCLA. means water in a
saturated zone or stratum beneath the
 surface of land or water.

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 8816      Federal Register / VoL 55. No. 46 / Thursday, March 8, 1990 / Rules and Regulations
  Hazard Ranking System (HRS) means
 the method used by EPA to evaluate the
 relative potential of hazardous
 substance releases to cause health or
 safety problems, or ecological or
 environmental damage.
  Hazardous substance as denned by
 section 101(14) of CEKCLA. means: Any
 substance designated pursuant to
 section 3W{b](2){A) of the CWA; any
 element, compound, mixture, solution, or
 substance designated pursuant to
 section 102 of CERCLA; any hazardous
 waste having the characteristics
 identified under or listed pursuant to
 section 3001 of the Solid Waste Disposal
 Act (bat not including any waste the
 regulation of which under the Solid
 Waste Disposal Act has been suspended
 by Act of Congress); any toxic pollutant
 listed under section 307(a) of the CWA:
 any hazardous air pollutant listed under
section 112 of the Clean Air Act; and '
any imminently hazardous chemical
 substance or mixture with respect to
•which the EPA Administrator has taken
 action pursuant to section 7 of the Toxic
 Substances Control Act. The term does
 cot include petroleum, including crude
 oil or any fraction thereof which is not
 otherwise specifically listed or
 designated as a hazardous substance in
 the first sentence of this paragraph, and
the term does not include natural gas,
natural gas liquids, liquefied natural gas,
or synthetic gas usable for fuel (or
mixtures of natural gas and such
synthetic gas).
  Indian tribe as defined by section
101(38) of CERCLA. means any Indian
tribe, band, nation, or other organized
group or community, including any
Alaska Native village but not including
any Alaska Native regional or village
corporation, which is recognized as
eligible for the special programs and
services provided by the United States
to Indians because of their status as
Indians.
  Inland waters, for the purposes of
classifying the size of discharges, means
lho»e waters of the United States in the
inland zone, waters of the Great Lakes,
and specified ports and harbors on
inland rivers.
  Inland zone means the environment
inland of die coastal zone excluding the
Great Lakes and specified ports and
harbors on inland rivers. The term
inland zone delineates an area of
federal responsibility for response
action. Precise boundaries are
determined by EPA/USCG agreements
and identified in federal regional
contingency plans.
  Lead agency-means the agency that
provides the OSC/RPM to plan and
implement response action under the
NCP. EPA, the USCG, another federal
 agency, or a state (or political
 subdivision of a state) operating
 pursuant to a contract or cooperative
 agreement executed pursuant to section
 104(d)(l) of CERCLA, or designated
 pursuant to a Superfund Memorandum
 of Agreement (SMOA) entered into
 pursuant to subpart F of the NCP or
 other agreements may be the lead
 agency for a response action. In die case
 of a release of a hazardous substance,
 pollutant, or contaminant where the
 release is on, or the sole source of the
 release is from, any facility or vessel
 under the jurisdiction, custody, or
 control of Department of Defense (DOD)
 or Department of Energy (DOE), then
 DOD or DOE will be the lead agency.
 Where the release is on, or the sole
 source of the release is from, any facility
 or vessel under the jurisdiction, custody,
 or control of a federal agency other than
 EPA. the USCG, DOD. or DOE, then that
 agency will be the lead agency for
 remedial actions and removal actions
 other than emergencies. The federal
 agency maintains its lead agency
 responsibilities whether the remedy is
 selected by the federal agency for non-
 NPL sites or by EPA and the federal
 agency or by EPA alone under CERCLA
 section 120. The lead agency will consult
 with the support agency, if one exists,
 throughout the response process.
   Management of migration means
 actions that are taken to minimize and
 mitigate the migration of hazardous
 substances or pollutants or
 contaminants and the effects of such
 migration. Measures may include, but
 are not limited to, management of a
 plume of contamination, restoration of a
 drinking water aquifer, or surface water
 restoration.
   Miscellaneous oil spill control agent
 is any product other than a dispersant
 sinking agent surface collecting agent
•biological additive, or burning agent
 that can be used to enhance oil spill
 cleanup, removal, treatment or
 mitigation.
   National Priorities List (NPL) means
 the list compiled by EPA pursuant  to
 CERCLA section 105, of uncontrolled
 hazardous substance releases in the
 United States that are priorities for long-
 term remedial evaluation and response.
   Natural resources means land, fish,
 wildlife, biota, air. water, ground water.
 drinking water supplies, and other such'
 resources belonging to, managed by.
 held in trust by, appertaining to, or
 otherwise controlled by the United
 States (including the resources of die
 exclusive economic zone defined by the
 Magnuson Fishery Conservation and
 Management Act of 1976), any state or
 local government any foreign
 government any Indian tribe, or, if such
. resources are subject to a trust
 restriction on alienation, any member of
 an Indian tribe.   •
  Navigable waters, as defined by 40
 CFR 110.1, means die waters of die
 United States, including die territorial
 seas. Thi; term includes:
  (a) All waters that are currently used,
 were used in die past or may be
 susceptible to use in interstate or foreign
 commerce, including all waters diat are
 subject to die ebb and flow of die tide;
  (fa) Interstate waters, including
 interstate wetlands;
  (c) AQ other waters such as intrastate
 lakes, rivers, streams (including
 intermittent streams), mudflats,
 sandflatit, and wetlands, die use,
 degradation, or destruction of which
 would affect or could affect interstate or
 foreign commerce including any such
 waters:
  (1) That are or could be used by
 interstate or foreign travelers for
 recreational or other purposes;
  (2) From which fish or shellfish are or
 could be taken and sold in interstate or
 foreign commerce; •
  (3) That are used or could be used for
 industrial purposes by industries in
 interstate commerce;
  (d) All impoundments of waters
 otherwise defined as navigable waters
 under this section;
  (e) Tributaries of waters identified in
 paragraphs (a) through (d) of this
 definition, including adjacent wetlands;
 and
  (f) Wetlands adjacent to waters
 identified in paragraphs (a) through  (e)
 of this definition: Provided, that waste
 treatment systems (other than cooling
 ponds meeting die criteria of this
 paragraph) are not waters of die United
 States.
  Offshore facility as defined by section
101(17} of CERCLA and section
Sll(a)(ll) of the CWA, means any
facility of any kind located in, on. or
under any of die navigable waters of die
United States and any facility of any
kind which is subject to die jurisdiction
of die United States and is located in.
on, or under any other waters, other
 than a vessel or a public vessel.
  Oil as denned by section 311(a)(l) of
die CWA, means oil of any kind or in
any form, including, but not limited to,
petroleum, fuel oil, sludge, oil refuse.
and  oil mixed with wastes other man
 dredged apoiL
  Oil pollution fund means Hie fund    '
established by section 311(k] of die
 CWA.
  On-scene coordinator (OSC) means
die federal official predesignated by
EPA or die USCG to coordinate and
 direct federal responses under subpart

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            Federal Register / Vol. 55, No. 46 / Thursday, March 8, 1990 /  Rules and Regulations       8817
D. or the official designated by the lead
agency to coordinate and direct removal
actions under subpart E of the NCR
  Onshore facility as defined by section
101(18) of CERCLA, means any facility
(including, but not limited to, motor
vehicles and rolling stock) of any kind
located in. on. or under any land or non-
navigable waters -within the United
States; and, as defined by section
311(a)(10) of the CWA, means any
facility (including, but not limited to,
motor vehicles and rolling stock) of any
land located in, on, or under any land
within the United States other than
submerged land.
  On-site means the areal extent of
contamination and all suitable areas in
very dose proximity to the
contamination necessary for
implementation of the response action.
  Operable unit means a discrete action
that comprises an incremental step
toward comprehensively addressing site
problems. This discrete portion of a
remedial response manages migration,
or eliminates or mitigates a release,
threat of a release, or pathway of
exposure. The cleanup of a site can be
divided into a number of operable units,
depending on the complexity of the
problems associated with the site.
Operable units may address
geographical portions of a site, specific
site problems, or initial phases of an
action, or may consist of any set of
actions performed over time or any
actions that are concurrent but located
in different parts of a site.
  Operation and maintenance (O&M)
means measures required to maintain
the effectiveness of response actions.
  Person as defined by section 101(21)
of CERCLA, means an individual, firm,
corporation, association, partnership,
consortium, joint venture, commercial
entity. United States government state.
municipality, commission, political
subdivision of a state, or any interstate
body.
  Pollutant or contaminant as defined
by section 101(33) of CERCLA, shall
include, but not be limited to, any
element, substance, compound, or
mixture, including disease-causing
agents, which after release into the
environment and upon exposure,
ingestion. inhalation, or assimilation
into any organism, either directly from
the environment or indirectly by
ingestion through food chains, will or
may reasonably be anticipated to cause
death, disease, behavioral
abnormalities, cancer, genetic mutation.
physiological malfunctions (including
malfunctions in reproduction) or
physical deformations, in such
organisms or their offspring. The term
does not include petroleum, including
crude oil or any fraction thereof which is'
not otherwise specifically listed or
designated as a hazardous substance
under section 101(14) (A) through (F) of
CERCLA, nor does it include natural
gas, liquified natural gas, or synthetic
gas of pipeline quality (or mixtures of
natural gas and such synthetic gas). For
purposes of the NCP, the term pollutant
or contaminant means any pollutant or
(contaminant that may present an
iimminpnt and substantial danger to
public health or welfare..
  Post-removal site control means those
activities that are necessary to sustain
•the integrity of a Fund-financed removal
action following its conclusion. Post-
iremoval site control may be a removal
or remedial action under CERCLA. The
term includes, without being limited to,
activities such as relighting gas flares,
replacing filters, and collecting leachate.
  Preliminary assessment (PA) means
ireview of existing information and an
off-site reconnaissance, if appropriate,
•to determine if a release may require
additional investigation or action. A PA
may include an on-site reconnaissance,
iif appropriate.
  Public participation, see the definition
lor community relations.
  Public vessel as defined by section
311(a)(4) of the CWA, means a vessel
owned or bareboat-chartered and
operated by the United States, or by a
state or political subdivision thereof, or
iby a foreign nation, except when such
vessel is engaged in commerce.
  Quality assurance project plan
IQAPP) is a written document,
associated with all remedial site
sampling activities, which presents in
specific terms the organization (where
applicable], objectives, functional
activities, and specific quality assurance
fQA) and quality control (QC) activities
designed to achieve the data quality
objectives of a specific projects) or
continuing operations). The QAPP is
prepared for each specific project or
continuing operation (or group of similar
projects or continuing operations). The
QAPP will be prepared by the
responsible program office, regional
office, laboratory, contractor, recipient
of an assistance agreement, or other
organization. For an enforcement action,
potentially responsible parties may
prepare a QAPP subject to lead agency
approval.
  Release as defined by section 101(22)
of CERCLA, means any spilling, leaking,
pumping, pouring, emitting, emptying,
discharging, injecting, escaping,
leaching, dumping, or disposing into the
environment (including  the
abandonment or discarding of barrels,
containers, and other closed receptacles
containing any hazardous substance or
pollutant or contaminant), but excludes:
Any release which results in exposure to
persons solely within a workplace, with
respect to a claim which such persons
may assert against the employer of such
persons; emissions from the engine
exhaust of a motor vehicle, rolling stock,
aircraft vessel, or pipeline pumping
station engine; release of source,
byproduct or special nuclear material
from a nuclear incident as those terms
are-defined in the Atomic Energy Act of
1954, if such release is subject .to
requirements with respect to financial
protection established by the Nuclear
Regulatory Commission under section
170 of such Actor, for the purposes of
section 104 of CERCLA or any other
response action, any release of source,
byproduct, or special nuclear material
from any processing site designated  •
under section 102(a)(l) or 302(a) of the
Uranium Mill Tailings Radiation Control
Act of 197ft and the normal application
of fertilizer. For purposes of the NCP.
release also means threat of release.
  Relevant and appropriate
requirements means those cleanup
standards, standards of control, and
other substantive requirements,  criteria,
or limitations promulgated under federal
environmental or state environmental or
facility siting laws that while not
"applicable" to a hazardous substance,
pollutant contaminant remedial action,
location, or other circumstance at a
CERCLA site, address problems or
situations sufficiently similar to  those
encountered at the CERCLA site that
their use is well suited to the particular
site. Only those state standards  that  are
identified in a timely manner and are
more stringent than federal
requirements may be relevant and
appropriate.
  Remedial design (RD) means the
technical analysis-and procedures which
follow the selection of remedy for a site
and result in a detailed set of plans and
specifications for implementation of the
remedial action.
  Remedial investigation (RI) is a
process undertaken by the lead agency
to determine the nature and extent of
the problem presented by the release.
The RI emphasizes data'collection and
site characterization, and is generally
performed concurrently and in an
interactive fashion with the feasibility
study. The RI includes sampling and
monitoring, as necessary, and includes
the gathering of sufficient information to
determine the. necessity for remedial
action and to support the evaluation of
remedial alternatives.
  Remedial project manager (RPM)
means the official designated by the
lead agency to coordinate, monitor, or

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 8818      Federal Register / Vol. 55. No. 46 / Thursday, March 8, 1990 / Rules and Regulations
direct remedial or other response
actions under subpart E of the NCR
  Remedy or remedial action (RA)
means those actions consistent with
permanent remedy taken instead of, or
in addition to, removal action in the
event of a release or threatened release
of a hazardous substance into the
environment, to prevent or minimize the
release of hazardous substances so that
they do not migrate to cause substantial
danger to present or future public health
or welfare or the environment Hie term
includes, but is not limited to. such
actions at the location of the release as
storage, confinement perimeter
protection using dikes, trenches, or
ditches, clay cover;neutralization.
cleanup of released hazardous
substances and associated
contaminated materials, recycling or
reuse, diversion, destruction,
segregation of reactive wastes, dredging

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            Federal Register / Vol. 55. No. 46  / Thursday. March 8.  1990 / Rules  and Regulations      8819
  State means the several states of the
 United States, the District of Columbia,
 the Commonwealth of Puerto Rico,
 Guam, American Samoa, the Virgin
 Islands, the Commonwealth of Northern
 Marianas, and any other territory or
 possession over which the United States
 has jurisdiction. For purposes of the
 NCP, the term includes Indian tribes as
 defined in the NCP except where
 specifically noted. Section 126 of
 CERCLA provides that the governing
 body of an Indian tribe shall be afforded
 substantially the same treatment as a
 state with respect to certain provisions
 of CERCLA. Section 300.515(b) of the
 NCP describes the requirements
 pertaining to Indian tribes that wish to
 be treated as states.
  Superfund Memorandum of
Agreement (SMOA) means a
 nonbinding, written document executed
 by an EPA Regional Administrator and
 the head of a state agency that may
 establish the nature and extent of EPA
 and state interaction during the removal,
pre-remedial, remedial, and/or
 enforcement response process. The
 SMOA is not a site-specific document
 although attachments may address
 specific sites. The SMOA generally
 defines the role and responsibilities of
both the lead and the support agencies.
  Superfund state contract is a joint,
legally binding agreement between EPA
and a state to obtain the necessary
assurances before a federal-lead
remedial action can begin at a site. In
the case of a political subdivision-lead
remedial response, a three-party
 Superfund state contract among EPA,
the state, and political subdivision
thereof, is required before a political
subdivision takes the lead for any phase
of remedial response to ensure state
involvement pursuant to section 121(f)(l)
of CERCLA. The Superfund state
contract may be amended to provide the
state's CERCLA section 104 assurances
before a political subdivision can take   •
the lead for remedial action.
  Support agency means the agency or
agencies that provide the support
agency coordinator to furnish necessary
data to the lead agency, review
response data and documents, and
provide other assistance as requested by
the OSC or RPM. EPA. the USCG.
another federal agency, or a state may
be support agencies for a response
action if operating pursuant to a
contract executed under section
104(d)[l] of CERCLA or designated
pursuant to a Superfund Memorandum
of Agreement entered into pursuant to
subpart F of the NCP or other
agreement The support agency may also
concur on decision documents.
  Support agency coordinator (SAC)
 means the official designated by the
 support agency, as appropriate, to
 interact and coordinate with the lead
 agency in response actions under
 subpart E of this part.
  Surface collecting agents means those
 chemical agents that form a surface film
 to control the layer thickness'of oil.
  Threat of discharge or release, see
 definitions for discharge and release.
  Threat of release, see definition for
 release.
  Treatment technology mesas any unit
 operation or series of unit operations
 that alters the composition of a
 hazardous substance or pollutant or
 contaminant through chemical
 biological, or physical means so as to
 reduce toxicity, mobility, or volume  of
 the contaminated materials being
 treated. Treatment technologies are  an
 alternative to land disposal of
 hazardous wastes without treatment
  Trustee means an official of a federal
 natural resources management agency
 designated in subpart G of the NCP or a
 designated state official or Indian tribe
 who may pursue claims for damages
 under section 107(fJ of (CERCLA.
  United States when used in relation to
 section 311(a)(5) of the CWA, means the
 states, the District of Columbia, the
 Commonwealth of Puerto Rico, the
Northern Mariana Islands, Guam,
American Samoa, the United States
Virgin Islands, and the Pacific Island
 Governments. United States, when used
in relation to section 101(27) of CERCLA.
includes  the several states of the United
 States, the District of Columbia, the
 Commonwealth of Puerto Rico, Guam;
American Samoa, the United States
Virgin Islands, the Commonwealth of
the Northern Marianas, and any other
 territory or possession over which the
United States has jurisdiction.
  Vessel as defined by section 101(28)
of CERCLA. means every description of
watercraft or other artificial contrivance
used, or capable of being used, as a
means of transportation on water; and,
 as defined by section 311(a)(3) of the
 CWA, means every description of
watercraft or other artificial contrivance
used, or capable of being used, as a
means of transportation on water other
than a public vessel.
  Volunteer means any individual
accepted to perform services by the lead
agency which has authority to accept
volunteer services (examples: See 16
U.S.C. 742f(c)). A volunteer is subject to
the provisions of the authorizing statute
and the NCP.

§ 300.6  Use of number and aerator.
  As used in this regulation, words in
the singular also include the plural and
 words in the masculine gender also
 include the feminine and vice versa, as
 the case may require.

 §300.7  Computation of time.
  In computing any period of time
 prescribed or allowed in these rules of
 practice, except as otherwise provided,
 the day of the event from which the
 designated period begins to run shall not
 be included. Saturdays. Sundays, and
 federal legal holidays shall be included.
 When a stated time expires on a
 Saturday, Sunday, or legal holiday, the
 stated time period shall be extended to
 include  the next business day.

 Subpart B— Responsibility and
 Organization for Response
 §300.100 Dutfe* of President delegated to
  In Executive Order 11735 and
Executive Order 12580, the President
delegated certain functions and
responsibilities vested in him by the
CWA and CERCLA, respectively.

§300.105 General organization concepts.
  (a) Federal agencies should:
  (1) Plan for emergencies and develop
procedures for addressing oil discharges
and releases of hazardous substances.
pollutants, or contaminants;
  (2) Coordinate their planning,
preparedness, and response activities
with one another;
  (3) Coordinate their planning,
preparedness, and response activities
with affected states and local
governments and private entities; and
  (4) Make available those facilities or
resources that may be useful in a
response situation, consistent with
agency authorities and capabilities.
  (b) Three fundamental kinds of
activities are performed pursuant to the
NCP:
  (1) Preparedness planning and
coordination for response to a discharge
of oil or release of a hazardous
substance, pollutant, or contaminant;
  (2) Notification and communications;
and
  (3) Response operations at the scene
of a discharge or release.
  (c) The organizational elements
created to perform these activities are:
  (1) The National Response Team -
(NRT), responsible for national response
and preparedness planning, for
coordinating regional planning, and for
providing policy guidance and support
to the Regional Response Teams. NRT
membership consists of representatives
from the agencies specified in 5 300.175.
  (2) Regional Response Teams (RRTs),
responsible for regional planning and
preparedness activities before response

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 8820
            Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules  and Regulations
actions, and for providing advice and
support to the on-scene coordinator
(OSC) or remedial project manager
fRPM) when activated during a
response. RRT membership consists of
designated representatives from each
federal agency participating in the NRT
together with state and (as agreed upon
by the states) local government
representatives.
  (3) The OSC and the RPM, primarily
responsible for directing response
efforts and coordinating all other efforts
at the scene of a discharge or release.
The other responsibilities of OSCs and
RPMs are described in § 300.135.
  (d)(l) The organizational concepts of
the national response system are
depicted in the following Figure 1:
BOJJNC CODE •SCO-50-H

-------
                                  Figure 1
            National Response System Concepts
                                                                             8821
notified tion
         'iteiease Incident
         ^t ~ «• At •• *>'.• ; « *sr*.  ;-J
. f _ «u I
NRC |f
§300.125 £ 1
B"
^^^^^^l Local Respondere planning & prepare
^^^^^^)
§300.1130

^^^^l St
ite Respondere planning & prepare
§300.180

nol"'ca^|| Federal OSCyRPM response support Special Tearm
§300.120
I
O
V>
0
•g
£
S- I
I. 1
<# «°
2 |
g I
CO in
"5. £
i
RRT
§§300.1
and 300.
to
to
o
1 I
! f
s. g
oB g
? 8-
g
D.
policy guidance URT
	 §§300.1
and 300J
/
15 /
-\v
^
^

y
10
20;;
§300.145
i
JNSFJERT SSCJR

State Government
§300.180
I
Local Government
§300.180
.
DOD ; DOI DOC
I I
{ I
EPA USCG
Participating Federal Agencie
§§300.170 & 300.175
FEMA DOJ
I f

DOL DOE

dness LEPCs
"" §300.205

*»ss SERCs
§300.205



AT PIATJ

USDA
I

- RSPA

s* MUG. REG.
COMM.

-j HHS


DOS

    The same federal agencies participate on both the National Response Team (NRT)
    and the Regional Response Team (RRT). Federal agencies en the RRT are
    represented by regional staff. Abbreviations used in this figure are explained
    in §300.4.

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 8822
            Federal Register / Vol. 55, No. 46 / Thursday, March  8, 1990 / Rules and Regulations
  (2J The standard federal regional
boundaries (which are also the
geographic areas of responsibility for
the Regional Response Teams) are
shown in the following Figure 2:
BtUJNC CODE 1560-SO-M

-------
Figure 2 -- Standard Regional Boundaries for Ten Regions
                                                                   PENNSYLVANIA? O\

                                                                   I  PtiUKMpNi^ 'NEW JERSEY
GUAM      °  
                                                                                             ft)
                                                                                             a
                                                                                             cu

                                                                                             »

                                                                                             <§

                                                                                             I*
                                                                                               00
                                                                                               c»
                                                                                               to

-------
ii          .       .       •    ,             .         ,      ,          ,      •   ,   .....    '  I  *,
             Federal Register / Vol. 55, No. 46  / Thursday, March 8, .1990 / Rules and Regulations
   (3) The USCG District boundaries are
  shown in the following Figure 3:
  WCJLINS CODE tStO-SO-U

-------
                                        U,S. Coast Guard Districts
                                      Atlantic and Pacific Area Commands
   Pacific Area
   San Francisco
Guam
Northnm Mariana Wand*
Pacific Itland Government!
Amet lean Samoa
                                                                                          I
                                                                                         Cn
                                                                                         5"
9
a
                                                                                         a.
                                                                                         (U
                                                                                         3
                                                                                         I
                                                                                         IB
                                                                                         g.

                                                                                         i
a
3
                                                                                           NJ
                                                                                           U1

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8826     Federal Register / Vol. 55. No. 46 / Thursday, March 8, 1990  /  Rules and Regulations

                                                                          and coordination of preparedness
                                                                          activities before a response action is
                                                                          taken and for coordination of assistance
                                                                          and advice to the OSC/RPM during such
                                                                          response actions.
                                                                            (b] The two principal components of
                                                                          the RRT mechanism are a standing
                                                                          team, which consists of designated
                                                                          representatives from each participating
                                                                          federal agency, state governments, and
                                                                          local governments (as agreed upon by
                                                                          the states); and incident-specific teams
                                                                          formed from the standing team when the
                                                                          RRT is activated for a response. On
                                                                          incident-specific teams, participation by
                                                                          the RRT member agencies will relate to
                                                                          the technical nature of the incident and
                                                                          its geographic location.
                                                                            (1) The standing team's jurisdiction
                                                                          corresponds to the standard federal
                                                                          regions, except for Alaska, Oceania in
                                                                          the Pacific, and the Caribbean area,
                                                                          each of wJiich has a separate standing
                                                                          RRT. The role of the standing RRT
                                                                          includes communications systems and
                                                                          procedures, planning, coordination,
                                                                          training, evaluation, preparedness, and
                                                                          related matters on a regionwide basis.  -
                                                                            (2) The irole of the incident-specific
                                                                          team is determined by the operational
                                                                          requirements of the response to a
                                                                          specific discharge or release.
                                                                          Appropriate levels of activation and/or
                                                                          notification of the incident-specific RRT.
                                                                          including participation by state and
                                                                          local governments, shall be determined
                                                                          by the designated RRT chair for the
                                                                          incident based on the Regional
                                                                          Contingency Plan (RCP). The incident-
                                                                          Bpetific RRT supports the designated
                                                                          OSC/RPM. The designated OSC/RPM
                                                                          directs response efforts and coordinates
                                                                          all other efforts at the scene of a
                                                                          discharge or release.
                                                                            (c} The representatives of EPA and
                                                                          the USCG shall act as co-chairs of RRTs
                                                                          except when the RRT is activated.
                                                                          When the RRT is activated for response
                                                                          actions, the chair shall be the member
                                                                          agency providing the OSC/RPM.
                                                                            (d) Each participating agency should
                                                                          designate one member and at least one
                                                                          alternate member to the RRT. Agencies
                                                                          whose regional subdivisions do not
                                                                          correspond to the standard federal
                                                                          regions may designate additional
                                                                          representatives to the standing RRT to
                                                                          ensure appropriate coverage of the
                                                                          standard federal region. Participating
                                                                          states may also designate one member
                                                                          and at least one alternate member to the
                                                                          RRT. Indian tribal governments may
                                                                          arrange for representation with the RRT
                                                                          appropriate to their geographical
                                                                          location. All agencies and states may
                                                                          also provide additional representatives
                                                                          as observers to meetings of the RRT.
 S3O0.110 National Response T*«m.
   National planning and coordination is
 accomplished through the National
 Response Team (NRTJ.
   (a) The NRT consists of
 representatives from the agencies
 named in § 300.175. Each agency shall
 designate a member to the team and
 sufficient alternates to ensure
 representation, as agency resources
 permit The NRT will consider requests
 for membership on the NRT from other
 agencies. Other agencies may request
 membership by forwarding such
 requests to the chair of the NRT.
   (b) The chair.of the NRT shall be the
 representative of EPA and the vice chair
 •hall be the representative of the USCG,
 with the exception of periods of
 activation because of response action.
 During activation, the chair shall be the
 member agency providing the OSC/
 RPM. The vice chair shall maintain
 records of NRT activities along with
 national regional, and OSC plans for
 response actions.
   (c) WhJle the NRT desires to achieve a
 consensus on all matters brought before
 it certain matters may prove
 unresolyable by this means. In such
 cases, each agency serving as a
 participating agency on the NRT may be
 accorded one vote in NRT proceedings.
   (d) The NRT may establish such
 bylaws and committees as it deems
 appropriate to further the purposes for
 which it is established.
   (e) The NRT shall evaluate methods of
 responding to discharges or releases,
 shall recommend any changes needed in
1 the response organization, and may
 recommend revisions to the NCP.
   (f) The NRT shall provide policy and
 program direction to the RRTs.
   fe) The NRT may consider and make
 recommendations to appropriate
 agencies on the training, equipping, and
 protection of response teams and
 necessary research, development
 demonstration, and evaluation to
 improve response capabilities.
   (h) Direct planning and preparedness
 responsibilities of the NRT include:
   (1) Maintaining national preparedness
 to respond to a major discharge of oil or
 release of a hazardous substance.
 pollutant or contaminant that is beyond
 regional capabilities:
   (2) Publishing guidance documents for
 preparation and implementation of
 SARA Title ffl local emergency response
 plans:
   (3) Monitoring incoming reports from
 all RRTs and activating for a response
 action, when necessary;
   (4) Coordinating a national program to
 assist member agencies in preparedness
 planning and response, and enhancing
 coordination of member agency
 preparedness programs;
   (5) Developing procedures to ensure
 the coordination of federal, state, and
 local governments, and private response
 to oil discharges and releases of
 hazardous substances, pollutants, or
 contaminants;
   (8) Monitoring response-related
 research and development testing, and
 evaluation activities of NRT agencies to
 enhance coordination and avoid
 duplication of effort;
   (7) Developing recommendations for
 response training and for enhancing the
 coordination of available resources
 among agencies with training
 responsibilities under the NCP; and
   (8} Reviewing regional responses to oil
 discharges and hazardous substance,
 pollutant, or contaminant releases,
 including an evaluation of equipment
 readiness and coordination among
 responsible public agencies and private
 organizations.
   (i) The NRT will consider matters
 referred to it for advice or resolution by
 an RRT.
 ,  0] The NRT should be activated as an
 emergency response team:
   (1} When an  oil discharge or
 hazardous substance release:
   (i] Exceeds the response capability of
 the region in which it occurs;
   (ii) Transects regional boundaries; or
   (iii) Involves  a significant threat to
, public health or welfare or the
 environment substantial amounts of
 property, or substantial threats to
 natural resources; or
   (2) If requested by any NRT member.
   (kj When activated for a response
 action, the NRT shall meet at the  call of
 the chair and may:
   (1) Monitor and evaluate reports from
 the OSC/RPM and recommend to the
 OSC/RPM, through the RRT, actions to
 combat the discharge or release;
   (2] Request other federal, state, and
 local governments, or private agencies,
 to provide resources under their existing
 authorities to combat a discharge or
 release, or to monitor response
 operations; and
   (3) Coordinate the supply of
 equipment personnel, or technical
 advice to the affected region from other
 regions or districts.

 § 300.115  Regional R«spoft*« Taants.
   (a) Regional planning and
 coordination of preparedness and
 response actions is accomplished
 through the RRT. The RRT agency
 membership parallels that of the NRT.
 as described in $ 300.110. but also
 includes state and local representation.
 The RRT provides the appropriate
 regional mechanism for development

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           Federal Register /  VoL 55. No. 46 / Thursday. March 8. 1990 / Rules and Regulations
                                                                                                          8827
  (e) RRT members should designate
representatives and alternates from
their agencies as resource personnel for
RRT activities, including RRT work
planning, and membership on incident-
specific teams in support of the OSCs/
RPMs.                       .
  (f) Federal RRT members or their
representatives should provide OSCs/
RPMs with assistance from their
respective federal agencies
commensurate with agency
responsibilities, resources, and
capabilities within the region. During a
response action, the members of the
RRT should seek to make available the
resources of their agencies to the OSC/
RPM as specified in the RCP and OSC
contingency plan.            _
  (g) RRT members should designate
appropriately qualified representatives
from their agencies to work with OSCs
in developing and maintaining OSC
contingency plans, described in
 § 300.210, that provide for use of agency
resources in responding to discharges
and releases.
   (h) Affected states are encouraged to
participate actively in all RRT activities.
Each state governor is requested to
 assign an office or agency to represent
 the state on the appropriate RRT; to
 designate representatives to work with
 the RRT and OSCs in developing RCPs
 and OSC contingency plans; to plan for.
 make available, and coordinate state
 resources; and to serve as the contact
 point for coordination of response with
 local government agencies, whether or
 not represented on the RRT. The state's
 RRT representative should keep the
 State Emergency Response Commission
 (SERC}. described in § 300.205(c),
 apprised of RRT activities and
 coordinate RRT activities with the
 SERC. Local governments and Indian
 tribes are invited to participate in
 activities on the appropriate RRT as
 provided by state law or as arranged by
 the state's representative.
    (i) The standing RRT shall recommend
  changes in the regional response
  organization as needed, revise the RCP
  as needed, evaluate the preparedness of
  the participating agencies and the
  effectiveness of OSC contingency plans
  for the federal response to discharges
  and releases, and provide technical
  assistance for preparedness to the
  response community. The RRT should:
    (1} Review and comment to the extent
  practicable, on local emergency
  response plans or other issues related to
  the preparation, implementation, or
  exercise of such plans upon request of a
  local emergency planning committee;
    (2) Evaluate regional and local
  responses to discharges or releases on a
  continuing basis, considering available
kgal remedies, equipment readiness,
and coordination among responsible
public agencies and private
organizations, and recommend.
improvements;
  (3) Recommend revisions of the NCP
to the NRT. based on observations of
response operations;
  (4) Review OSC actions to ensure that
RCPs and OSC contingency plans are
effective;
  (5) Encourage the state and local
response community to improve its
preparedness for response;   :
  (6) Conduct advance planning for use
of dispersants, surface collection agents,
burning agents, biological additives, or
other chemical agents in accordance
with subpart J  of this part
  (7) Be prepared to provide response
resources to major discharges or
releases outside the region;
  (8) Conduct or participate in: training
iind exercises as necessary to encourage
preparedness activities of the response
lEommunity within the region;
  (9) Meet at least semiannually to
review response actions carried out
during the preceding period and
consider changes in RCPs and OSC
.contingency plans: and
   (10) Provide letter reports on RRT
 activities to the NRT twice a year, no
 later than January 31 arid July 31. At a
 TniTiiiniiTn- reports should summarize
 recent activities, organizational changes,
 operational concerns, and efforts to
 improve state and local coordination.
   0)(1) The RRT may be activated by
 the cto»»r as an incident-specific
 response team when a discharge or
 release:
   til Exceeds  the response capability
 available to the OSC/RPM in the place
 where it occurs;
   fli) Transects state boundaries; or
   (iii) May pose a subs tantial threat to
 the public health or welfare or the
 environment or to regionally [significant
 amounts of property. RCPs shall specify
 detailed criteria for activation of RRTs.
   (2) The RRT will be activated during
 any discharge or release upon a request
 from the OSC/RPM. or from any RRT
 representative, to die chair of the RRT.
 Requests for RRT activation shall later
 be confirmed in writing. Each
 representative, or an appropriate
  alternate, should be notified .
  immediately when the RRT is activated.
    (3) During prolonged removal or
  remedial action, the RRT may not need
  to be activated or may need to be
  activated only in a limited sense, or may
  need to have available only those
  member agencies of the RRT who are
  directly affected or who can provide
  direct response assistance.
  (4) When the RRT is activated for a
discharge or release, agency
representatives shall meet at the call of
the chair and may:
  (i) Monitor and evaluate reports from
the OSC/RPM. advise the OSC/RPM on
the duration and extent of response, and
recommend to the OSC/RPM specific
actions to respond-to the discharge or
release;
  (ii) Request other federal state, or
local governments, or private agencies,
to provide resources under thejr existing
authorities to respond to a discharge or
release or to monitor response
operations;
  (iii) Help the OSC/RPM prepare
information releases for the public and
for communication with the NRT;
  (iv) If the circumstances warrant
make recommendations to the regional
or district head of the agency providing
the OSC/RPM that a different OSC/
RPM should be designated; and
  (v) Submit pollution reports to the
NRC as significant developments occur.
  (S) At the regional level, a Regional
Response Center (RRC) may provide
facilities and personnel for
communications, information storage,
and other requirements for coordinating
response. The location of each RRC
 should be provided in the RCP.
   (6) When the RRT is activated,
 affected states may participate in all
 RRT deliberations. State government
 representatives participating in the RRT
 have the same status as any federal
 member of the RRT.
   (7) The RRT can be deactivated when
 the incident-specific RRT chair
 determines that the OSC/RPM no longer
 requires RRT assistance.
   (8) Notification of the RRT may be
 appropriate when full activation is not
 necessary* with systematic
 communication of pollution reports or
 other means to keep RRT members
 informed as to actions of potential
 concern to a particular agency, or to
 assist in later RRT evaluation of
 regionwide response effectiveness.
   (k) Whenever there is insufficient
 national policy guidance on a matter
 before the RRT. a technical matter
 requiring solution, or a question
 concerning interpretation of the NCP, or
 there is a disagreement on discretionary
 actions among RRT members that
 cannot be resolved at the regional level,
 It may be referred to the NRT. described
 in § 300.110, for advice.
  §300.120  On-»e«n« coordinator* and
  remedial project manager*: g«n«fal
  raspomibUtti**.
    (a) The OSC/RPM directs response
  efforts and coordinates all other efforts

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 8828      Federal Register / Vol. 55. No. 46 / Thursday, March 8. 1990 / Rules and Regulations
at the scene of a discharge or release.
As part of the planning and
preparedness for response, OSCs shall
be predesignated by the regional or
district head of the lead agency. EPA
and the USCG shall predesignate OSCs
for all areas in each region, except as
provided in paragraphs (b) and (c) of
this section. RPMs shall be assigned by
the lead agency to manage remedial or
other response actions at NPL Bites,
except as provided in paragraphs (b)
and (c) of this section.
  (1) The USCG shall provide OSCs for
oO discharges, including discharges from
facilities and vessels under the
jurisdiction of another federal agency,
within or threatening the coastal zone.
The USCG shall also provide OSCs for
the removal of releases of hazardous
substances, pollutants, or contaminants
into or threatening the coastal zone,
except as provided in paragraph (b) of
this section. The USCG shall not provide
predesignated OSCs for discharges or
releases from hazardous waste
management facilities or in similarly'
chronic incidents. The USCG shall
provide an initial response to discharges
or releases from hazardous waste
management facilities within the coastal
zone in accordance with DOT/EPA
Instrument of Redelegation (May 27,
1883} except as provided by paragraph
(b) of this section. The USCG OSC shall
contact the cognizant RPM as soon as it
is evident that a removal may require a
follow-up remedial action, to ensure that
the required planning can be initiated
and an orderly transition to an EPA or
state lead can occur.
  (2) EPA shall provide OSCs for
discharges or releases into or
threatening the inland zone and shall
provide RPMs for federally funded
remedial actions, except in the case of
state-lead federally funded response
and as provided in paragraph (b) of this
section. EPA will also assume all
remedial actions at NPL sites in the
coastal zone, even where removals are
initiated by the USCG, except as
provided in paragraph (b} of this section.
  fb) For releases of hazardous
substances, pollutants, or contaminants.
when the release is on, or the sole
 •UUXlrC- WA IUC A&JL&aob- 
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            Federal Register / Vol. 5i>. No. 48 / Thursday,  March 8. 1990 / Rules and Regulations
                                                                                                           8829
with the NRC. The NRC evaluates
incoming information and immediately
advises FEMA of a potential major
disaster or evacuation situation.
  (b) The Commandant, USCG. in
conjunction with other NET agencies,
shall provide the necessary personnel,
communications, plotting facilities, and
equipment for the NRC.
  (c) Notice of an oil discharge or
release of a hazardous substance in an
amount equal to or greater than the
importable quantity must be made ^^
immediately in accordance with 33 CFR
part 153, subpart B, and 40 CFR part 302,
respectively. Notification shall be made
to the NRC Duty Officer, HQ USCG.
Washington, DC, telephone (800] 424-
8802 or (202] 267-2675. All notices of
discharges or releases received at the
NRC will be relayed immediately by
telephone to the OSC.

§300.130 Determination* to initiate
nsponse and special conditions.
  (a) In accordance with CWA and
CERCLA, the Administrator of EPA or
the Secretary of the Department in
which the USCG is operating, as
appropriate, is authorized to act for the
United States to take response measures
deemed necessary to protect the public
health or welfare or environment from
discharges of oil or releases of
hazardous substances, pollutants, or
contaminants except with respect to
such releases on or from vessels or
facilities under the jurisdiction, custody,
or control of other federal agencies.
  (b] The Administrator of EPA or the
Secretary of the Department in which
the USCG is operating, as appropriate, is
authorized to initiate appropriate
response activities when the
Administrator or Secretary determines
that:
  (1) Any oil is discharged from any
vessel or offshore or onshore facility
into or upon the navigable waters of the
United States, adjoining shorelines, or
into or upon the waters of the
contiguous zone, or in connection with
activities under the Outer Continental
Shelf Lands Act or the Deepwater Port
Act of 1S74. or which may affect natural
resources belonging to. appertaining to,
or under exclusive management
authority of the United States;
  (2) Any hazardous substance is
released or there is a threat of such a
release into the environment or there is
a release or threat of release into the
environment of any pollutant or
contaminant which may present an
imminent and substantial danger to the
public health or welfare: or
   (3) A marine disaster in or upon the
navigable waters of the United States
has created a substantial threat of a
pollution hazard to the public health or
welfare because of a discharge or
release, or an imminent discharge or
release, from a vessel of large quantities
of oil or hazardous substances
designated pursuant to section
311(b)(2](AJ of the CWA.
  (c] Whenever there is such a marine
disaster, the Administrator of EPA or
Secretary of the Department in which
the USCG is operating may:
  (1} Coordinate and direct all public
and private efforts to abate the threat;
and
  (2] Summarily remove and, if
necessary, destroy the vessel by
whatever means are available without
regard to any provisions of law
governing the employment of personnel
or the expenditure of appropriated
funds.
  (d) In addition to any actions taken by
a state or local government the
Administrator of EPA or the Secretary of
the Department in which the USCG is
operating may request the US. Attorney
General to secure  the relief necessary to
abate a threat if the Administrator or
Secretary determines:
  (1) That there is an imminent and
substantial threat  to the public health or
welfare or the environment because of
discharge of oil from any offshore or
onshore facility into or upon the
navigable waters of the United States;
or
  (2] That there may be an imminent
and substantial endangennent to the
public health or welfare or the
environment because of a release of a
hazardous substance from a facility.
  (e] Response actions to remove
discharges originating from operations
conducted subject to the Outer
Continental Shelf Lands Act shall be in
accordance with the NCP.   <
  (fj Where appropriate, when a
discharge or release involves
radioactive materials, the lead or
support federal agency shall act
consistent with the notification and
assistance procedures described in the
appropriate Federal Radiological Plan.
For the purpose of the NCP, the Federal
Radiological Emergency Response Plan
(FRERP) (50 FR 48542, November 8,1985)
is the appropriate plan.,
  (g) Removal actions involving nuclear
weapons should be conducted in
accordance with the joint Department of
Defense, Department of Energy, and
Federal Emergency Management
Agency Agreement for Response to
Nuclear Incidents and Nuclear Weapons
Significant Incidents (January 8.1981).
  (h) If the situation is beyond the
capability of state and local
governments and the statutory authority
of federal agencies, the President may.
 under the Disaster Relief Act of 1974, act
 upon a request by the governor and
 declare a major disaster or emergency
 and appoint a Federal Coordinating
 Officer (FCO) to coordinate all federal
 disaster assistance activities. In such
 cases, the OSC/RPM would continue to
 carry out OSC/RPM responsibilities
 under the NCP. but would coordinate
 those activities with the FCO to ensure
"consistency with other federal disaster
 assistance activities.

 §300.135  Response operations.
   (a) The OSC/RPM, consistent with
 §5 300.120 and 300.125. shall direct
 response efforts and coordinate all other
 efforts at the scene of a discharge or
 release. As part of the planning and
 preparation for response, the OSCs/
 RPMs shall be predesignated by the
 regional or district head of the lead
 agency.
   (b] The first federal official affiliated
 with an NRT member agency to arrive at
 the scene of a discharge or release
 should coordinate activities under the
 NCP and is authorized to initiate, in
 consultation with the OSC, any
 necessary actions normally carried out
 by the OSC until the arrival of the
 predesignated OSC. This official may
 initiate federal Fund-financed actions
 only as authorized by the OSC or. if the
 OSC is unavailable, the authorized
 representative of the lead agency.
   (c] The OSC/RPM shall, to the extent
 practicable, collect pertinent facts about
 the discharge or release, such as its
 source and cause; the identification of
 potentially responsible parties: the
 nature, amount and location of
 discharged or released materials; the
 probable direction and time of travel of
 discharged or released materials; the
 pathways to human and environmental
 exposure; the potential impact on human
 health, welfare, and safety and the
 environment; the potential impact on
 natural resources and property which
 may be affected; priorities for protecting
 human health and welfare and the
 environment; and appropriate cost
 documentation.
   (d) The OSC'8/RPM's efforts shall be
 coordinated with other appropriate   '
 federal, state, local and private
 response agencies. OSCs/RPMs may
 designate capable persons from federal.
 state, or local agencies to act as their
 on-scene representatives. State and
 local governments, however, are not
 authorized to take actions under
 subparts D  and E of the NCP that
 involve expenditures of CWA section
 311(k} or CERCLA funds unless an
 appropriate contract or cooperative
 agreement has been established.

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             Federal Register / Vol. 55. No. 46 / Thursday, March 8. 1990 / Rules and Regulations
   (ej The OSC/RPM should consult
 regularly with the RRT in carrying out
 the NO? and keep the RRT informed of
 activities under the NCP.
   (f) The OSC/RPM shall advise the
 support agency as promptly as possible
 of reported releases.
   (g) The OSC/RPM shall immediately
 notify FEMA of situations potentially
 requiring evacuation, temporary
 housing, orpermanent relocation. In
 addition, the OSC/RPM shall evaluate
 incoming information and immediately
 advise FEMA of potential major disaster
 situations.
   (h) In those instances where a
 possible public health emergency exists,
 the OSC/RPM should notify the HHS
 representative to the RRT. Throughout
 response actions, the OSC/RPM may
 call upon the HHS representative for
 assistance in determining public health
 threats and call upon the Occupational
 Safety and Health Administration
 f OSHA) and HHS for advice on worker
 health and safety problems.
   (i) All federal agencies should plan for
 emergencies and develop procedures for
 dealing with oil discharges and releases
 of hazardous substances, pollutants, or
 contaminants from vessels and facilities
 under their jurisdiction. All federal
 agencies, therefore, are responsible for
 designating the office that coordinates
 response to such incidents in
 accordance with the NCP and applicable
 federal regulations and guidelines.
   Q) The OSC/RPM shall promptly
 notify the trustees for natural resources
 of discharges or releases  that are
 injuring or may injure natural resources
 under their jurisdiction. The OSC or
 RPM shall seek to coordinate all
 response activities with the natural
 resource trustees.
   (k) Where the OSC/RPM becomes
 aware that a discharge or release may
 adversely affect any endangered or
 threatened species, or result in
 destruction or adverse modification of
 the habitat of such species, the OSC/
 RPM should consult with the DOI or
 DOC(NOAA).
   (1) The OSC/RPM is responsible for
 addressing worker health and safety
 concerns at a response scene, in
 accordance with § 300.150.
   (m) The OSC shall submit pollution
 reports to the RRT and other •
 appropriate agencies as significant
 developments occur during response
 actions, through communications
 networks or procedures agreed to by the
 RRT and covered in the RCP.
  (n) OSCs/RPMs should ensure that all
 appropriate public and private interests
 are kept informed and that their
 concerns are considered throughout a
response, to the extent practicable.
 consistent with the requirements of
 § 300.155 of this part

 £300.140 Mutti-ragionalraponMS.
   (a) If a discharge or release moves
 from the area covered by one RCP or
 OSC contingency plan into another area,
 the authority for response actions
 should likewise shift If a discharge or
 release affects areas covered by two or
 more RCPs, the response mechanisms of
 both may be activated. In this case,
 response actions of all regions
 concerned shall be fully coordinated as
 detailed in the RCPs.
   (b) There shall be only one OSC and/
 or RPM at any time during the course of
 a response operation. Should a
 discharge or release affect two or more
 areas, EPA, the USCG, DOD. DOE, or
 other lead agency, as appropriate, shall
 give prime consideration to the area
 vulnerable to the greatest threat, in
 determining which agency should
 provide the OSC and/or RPM. The RRT
 shall designate the OSC and/or RPM if
 the RRT member agencies who have
 response authority within the affected
 areas are unable to agree on the
 designation. The NRT shall designate
• the OSC and/or RPM if members of one
 RRT or two adjacent RRTs are unable to
• agree on the designation.
 ' (c) Where the USCG has initially
 provided the OSC for response to a
 release from hazardous waste
 management facilities located in  the
 coastal zone, responsibility for response
 action shall shift to EPA or another
 federal agency, as appropriate.

 §300.145 Special team* and other
 assistance available to OSCs/RPMs.
  (a) Strike Teams, collectively known
 as the National Strike Force (NSF), are
 established by the USCG on the Pacific
 coast and Gulf coast (covering the
Atlantic and Gulf coast regions), to
provide assistance to the OSC/RPM.
  (1) Strike Teams can provide
communications support, advice, and
assistance for oil and hazardous
substances removal These teams also
have knowledge of shipboard damage
control, are equipped with specialized
containment and removal equipment
and have rapid transportation available.
When possible, the Strike Teams  will
provide training for emergency task
forces to support OSCs/RPMs and assist
in the development of RCPs and OSC
contingency plans.
  (2) The OSC/RPM may request
assistance from the Strike Teams.
Requests for a team may be made
directly to the Commanding Officer of
the appropriate team, the USCG member
of the RRT. the appropriate USCG Area
 Commander, or the Commandant of the
 USCG through the NRG.
   (b] Each USCG OSC manages
 emergency task forces trained to
 evaluate, monitor, and supervise
 pollution responses. Additionally, they
 have limited "initial aid" response
 capability to deploy equipment prior to
 the arrival of a cleanup contractor or
 other response personnel.
   (c)(l) The Environmental Response
 Team (ERT) is established by EPA in
 accordance with its disaster and
 emergency responsibilities. The ERT has
 expertise in treatment technology,
 biology, chemistry, hydrology, geology.
 and engineering.
   (2) The ERT can provide access to
 special decontamination equipment for
 chemical releases and advice to the
 OSC/RPM in hazard evaluation; risk
 assessment; multimedia sampling and
 analysis program; on-site safety,
 including development and
 implementation plans; cleanup
 techniques and priorities; water supply
 decontamination and protection;
 application of dispersants;
 environmental assessment; degree of
 cleanup required; and disposal of
 contaminated material.
   (3] The ERT also provides both
 introductory and intermediate level
 training courses to prepare response
 personnel.
   (4} OSC/RPM or RRT requests for
 ERT support should be made to the EPA
 representative on the RRT; EPA
 Headquarters, Director, Emergency
 Response Division; or the appropriate
 EPA regional emergency coordinator.
   (d) Scientific support coordinators
 {SSCs) are available, at the request of
 OSCs/RPMs, to assist with actual or
 potential responses to discharges of oil
 or releases of hazardous substances,
 pollutants, or contaminants. The SSC
 will also provide scientific support for
 the development of RCPs and OSC
 contingency plans. Generally, SSCs are
 provided by NOAA in coastal and
 marine areas, and by EPA in inland
 regions. In the case of NOAA, SSCs may
 be supported in the field by a team
 providing, as necessary, expertise in
 chemistry, trajectory modeling, natural
 resources at risk, and data management
  (1) During a response, the SSC serves
 under the direction of the OSC/RPM
 and is responsible for providing
 scientific support for operational
 decisions and for coordinating on-scene
 scientific activity. Depending on the
 nature of the incident the SSC can be
 expected to provide certain specialized
 scientific skills and to work with
governmental agencies, universities,
community representatives, and

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            Federal Register / Vol. 5i>. No. 46 / Thursday. March 8, 1990 / Rules and Regulations
                                                                                                          8831
industry to compile information that
would assist the OSC/RPM in assessing
the hazards and.potential effects of
discharges and releases and in
developing response strategies.
  (2} If requested fay the OSC/RPM, the
SSC will serve as the principal liaison'
for scientific information and will
facilitate communications to and from
the scientific community on response
issues. The SSC, in this role, will strive
for a consensus on scientific issues
surrounding the response but will also
ensure that any differing opinions within
the community are communicated to the
OSC/RPM.
  (3) The SSC will assist the OSC/RPM
in responding to requests for assistance
from state and federal agencies
regarding scientific studies and
environmental assessments. Details on
access to scientific support shall be
included in the RCPs.
  (e) For marine salvage operations,
OSCs/RPMs with responsibility for
monitoring, evaluating, or supervising
these activities should request technical
assistance from DOD, the Strike Teams.
or commercial salvors as necessary to
ensure that proper actions are taken.
Marine salvage operations generally fall
into five, categories: Afloat salvage;
offshore salvage: river and harbor
clearance; cargo salvage; and rescue
towing. Each category requires different
knowledge and specialized types of
equipment. The complexity of such
operations may be further compounded
by local environmental and geographic
conditions. The nature of marine salvage
and the conditions under which it occurs
combine to make such operations
imprecise, difficult, hazardous, and
expensive. Thus, responsible parties or
other persons attempting to perform
such operations without adequate
knowledge, equipment, and experience
could aggravate, rather than relieve, the
situation.
  (f) Radiological Assistance Teams
(RATs) have been established by EPA's
Office of Radiation Programs (ORP) to
provide response and support for
incidents or sites containing radiological
hazards. Expertise is available in
radiation monitoring, radionuclide
analysis, radiation health physics, and
risk assessment Radiological
Assistance Teams can provide on-site
support including mobile monitoring
laboratories for field analyses of
samples and fixed laboratories for
radiochemical sampling and analyses.
Requests for support may be made 24
hours a day to the Radiological
Response  Coordinator in the EPA Office
of Radiation Programs. Assistance is
also available from the Department of
Energy and other federal agencies.
   (g) The USCG Public Mormation
 Assist Team (PIATj is available to assist
 OSCs/RPMs and regional or district
 offices to meet the demands for public
 information and participation. Its use is
 encouraged any time the OSC/RPM
• requires outside public .affairs support.
 Requests for the FIAT may be made
 through the NRC.           :

 {300.150  Worker health and safety.
   (a) Response actions under the NCP
 will comply with the provisions for
 response action worker safety and
 health in 29 CFR 1910.120.
   (b) In a response action taken by a
 responsible party, the responsible party
 must assure that an occupational safety
 and health program consistent with 29
 CFR 1910.120 is made available for the
 protection of workers alt the response
 site.
   (c) In a response taken under the NCP
 by a lead agency, an occupational safety
 and health program should be made
 available for the protection of workers
 at the response site, consistent with, and
 to the extent required by, 29 CFR
 1910.120. Contracts relating to a
 response action under the NCP should
 contain assurances that the contractor
 at the response site will comply with
 this program and with any apph'cable
 provisions of the OSH Act and State
 OSHlaws.
   '(d) When a state, or political
 subdivision of a state, without an
 OSHA-approved state plan is the lead
 agency for response, the state or
 political subdivision must comply with
 standards in 40 CFR part 311.,
 promulgated fay EPA pursuant to section
 126[f)ofSARA.             ;
   {e} Requirements, standards, and
 regulations of the Occupational Safety
 and Health Act of 1970 (29 U.S.C 651 et
 seq.) (OSH Act) and of state laws with
 plans approved under section 18 of the
 OSH Act (state OSH laws), not directly
 referenced in paragraphs (a) through (d)
 of this section, must be complied with
 where applicable. Federal OSH Act
 requirements include, among other
 things. Construction Standards  (29 CFR
 part 1926), General Industry Standards
 (29 CFR part 1910), and the general duty
 requirement of section 8(a)(l) of the
 OSH Act (29 US.C. 6S4f a)(l)). No action
 by the lead agency with respect to
 response activities under the NCP
 constitutes an exercise of statutory
 authority within the meaning of section
 4(b)(l) of the OSH Act AH
 governmental agencies and private
 employers are directly responsible for
 the health and safety ol' their own
 employees.
§ 300.155 Public Information and
community rotations.
  (a) When an incident occurs, it is
imperative to give the public prompt
accurate information on the nature of
the incident and the actions underway
to mitigate the damage. OSCs/RPMs
and community relations personnel
should ensure that all appropriate public
and private interests are kept informed
and that their concerns are considered
throughout a response. They should
coordinate with available public affairs/
community relations resources to carry
out this responsibility.
  (b) An on-scene news office may be
established to coordinate media
relations and to issue official federal
information on an incident Whenever
possible, it will be headed by a
representative of the lead agency. The
OSC/RPM determines the  location of
the on-scene news office, but every
effort should be made to locate it near
the scene of the incident If a
participating agency believes public
interest warrants the issuance of
statements and an on-scene news office
has not been established, the affected
agency should recommend its
establishment All federal  news releases
or statements by participating agencies
should be cleared through  the OSC/
RPM.
  (c) The community relations
requirements specified in §5 300.415,
300.430. and 300.435 apply  to removal,
remedial, and enforcement actions and
are intended to promote active
communication between communities
affected by discharges or releases and
the lead agency responsible for response
actions. Community Relations Plans
(CRPsJ are required by EPA for certain
response actions. The OSC/RPM should
ensure coordination with such plans
which may be in effect at the scene of a
discharge or release or which may need
to be developed during follow-up
activities.
$300.160 Documentation and cost
recovery.
  (a] For releases of a hazardous
substance, pollutant or contaminant the
following provisions apply:
  (1) During all phases of response, the
lead agency shall complete and
jnamtain documentation to support all
actions taken under the NCP and to
form the basis for cost recovery. In
general, documentation shall be
sufficient to provide the source and
circumstances of the release, the
identity of responsible parties, the
response action taken, accurate
accounting of federal, state, or private
party costs incurred for response

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  8832      Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules and Regulations
 actions, and impacts and potential
 impacts to the public health and welfare
 and the environment Where applicable,
 documentation shall state when the
 NRC received notification of a release of
 a importable quantity.
   (2j The information and reports '
 obtained by the lead agency for Fund-
 fintncedresponse actions shall, as
 appropriate, be transmitted to the chair
 of the RRT. Copies can then be
 forwarded to the NRT, members of the
 RUT, and others as appropriate. In
 addition, OSCs shall submit reports as
 required under § 300.165.
   (3) The lead agency shall make
 available to the'trustees of affected
 natural resources information and
 documentation that can assist the
 trustees In the determination of actual or
 potential natural resource injuries.
  (b) For discharges of oil,
 documentation and cost recovery
 provisions are described in § 300.315.
  (c) Response actions undertaken by
 the participating agencies shall be
 carried out under existing programs and
 authorities when available. Federal
 agencies are to make resources
 available, expend funds, or participate
 in response to discharges and releases
 under their existing authority.
 Interagency agreements may be signed
 when necessary to ensure that the
 federal resources will be available for a
 timely response to a discharge or
 release,. The ultimate decision as to the
 appropriateness of expending funds
 rests with the agency that is held
 accountable for such expenditures.
 Further funding provisions for
 discharges of oil are described in
 §300.335.
  (d) The Administrator of EPA and the
 Administrator of the Agency for Toxic
 Substances and Disease Registry
 (ATSDR) shall assure that the costs of
 health assessment or health effect
 studies conducted under the authority of
 CERCLA section 104(i) are documented
 in accordance with standard EPA
 procedures for cost recovery.
 Documentation shall include
 information on the nature of the
 hazardous substances addressed by the
 research, information concerning the
 locations where these substances have
 been found, and any available
 information on response actions taken
 concerning these substances at the
 location.

 §900.165 OSC report*.
  (a) Within one year after completion
 of removal activities at a major
 discharge of oil, a major release of a
hazardous substance, pollutant or
 contaminant, or when requested by the
RRt, the OSC/RPM shall submit to the
 RRT a complete report on the removal
 operation and the actions taken. The
 OSC/RPM shall at the same time send a
 copy of the report to the Secretary of the
 NRT. The, RRT shall review the OSC
 report and send to the NRT a copy of the
 OSC report with its comments or
 recommendations 'within 30 days after
 the RRT has received the OSC report
   (b) The OSC report shall record the
 situation as it developed, the actions
 taken, the resources committed, and the
 problems encountered.
   (c) The format for the OSC report
 shall be as follows:
   (1) Summary of Events—a
 chronological narrative  of all events.
 including:
   (i) The location of the hazardous
 substance, pollutant, or contaminant
 release or oil discharge, including, for oil
 discharges, an indication of whether the
 discharge was in connection with
 activities regulated under the Outer
 Continental Shelf Lands Act (OCSLA),
 the Trans-Alaska Pipeline Authorization
 Act or the Deepwater Port Act;
   pi) The cause of the discharge or
 release;
   {iii) The initial situation;
   (iv) Efforts to obtain response by
 responsible parties;
   (v) The organization of the response,
 including state participation;
   (vi) The resources committed;
   (vii) Content and time of notice to
• natural resource trustees relating injury
 or possible injury to natural resources;
   (viii} Federal or state trustee damage
 assessment activities and efforts to
 replace or restore damaged natural
 resources;
   (ix) Details of any threat abatement
 action taken under CERCLA or under
 section 311(c) or (d) of the CWA;
   (x) Treatment/disposal/alternative
 technology approaches pursued and
 followed; and
   (xi) Public information/community
 relations activities.
   (2) Effectiveness of removal actions
 taken by:
   (i) The responsible party(ies);
   {ii} State and local forces;
   (iii) Federal agencies and special
 teams; and
   (iv) Contractors, private groups, and
 volunteers, if applicable.
   (3) Difficulties Encountered—A list of
 items that affected the response, with
 particular attention to issues of
 intergovernmental coordination.
   (4) Recommendations—OSC/RPM
 recommendations, including at a
•minimnmr
   (i) Means to prevent a recurrence of
 the discharge or release;
   (ii) Improvement of response actions;
 and
   (iii} Any recommended changes in the
 NCP. RCP, OSC contingency plan. and.
 as appropriate, plans developed under
 section 303 of SARA and other local
 emergency response plans.

 $300.170  Federal agency participation.
   Federal agencies listed in § 300.175
 have duties established by statute,
 executive order, or Presidential directive
 which may apply to federal response
, actions following, or in prevention of,
 the discharge of oil or release of a
 hazardous substance, pollutant or
 contaminant Some of these agencies
 also have duties relating to the
 rehabilitation, restoration, or
 replacement of natural resources injured
 or lost as a result of such discharge or
 release as described in subpart G of this
 part The NRT and RRT organizational
 structure, and the NCP, federal regional
 contingency plans (RCPs), and OSC
 contingency plans, described in
 § 300.210, provide for agencies to
 coordinate with each other in .carrying
 out these duties.
   (a) Federal agencies may be called
 upon by an OSC/RPM during response
 planning and implementation to provide
 assistance in their respective areas of
 expertise, as described in § 300.175,
 consistent with the agencies'
 capabilities and authorities.
   (b) In addition to their general
 responsibilities, federal agencies should:
   (1) Make necessary information
 available to the Secretary of the NRT,
 RRTs, and OSCs/RPMs.
   (2) Provide representatives to the NRT
 and RRTs and otherwise assist RRTs
 and OSCti, as necessary, in formulating
 RCPs and OSC contingency plans.
   (3) Infonn the NRT and RRTs,
 consistent with national security
 considerations, of changes in the
 availability of resources that would
 affect the operations implemented under
 the NCP.
   (c) All federal agencies are
 responsible for reporting releases of
 hazardous substances from facilities or
 vessels under their jurisdiction or
 control in accordance with section 103
 of CERCLA.
   (d) All federal agencies are
 encouraged to report releases of
 pollutants or contaminants or discharges
 of oil from vessels under their
 jurisdiction or control to the NRC.

 {300.175  FWtonrfagwtefes: additional
 twsponslbffiltitt and assistance.
   (a) During preparedness planning or in
 an actual response, various federal
 agencies may be called upon to provide
 assistance in their respective areas of
 expertise, as indicated in paragraph (b)

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            Federal Register / Vol. 55, No. 48 / Thursday. March 8.1990 / Rules and Regulations
                                                                      8833
 of this section, consistent with agency
 legal authorities and capabilities.
  (b) The federal agencies include:
  (1) The United States Coast Guard
 (USCG). as provided in 14 U.S.C. 1-3. is
 an agency in the Department of
 Transportation (DOT), except when
 operating as an agency in the United
 States Navy in time of war. The USCG
 provides the NRT vice chair, co-chairs
 for the standing KRTs, and
 predesignated OSCs for the coastal
 zone, as described in § 300.120(a)(l). The
 USCG maintains continuously manned
 facilities which can be used for
 command, control, and surveillance of
 oil discharges and hazardous substance
 releases occurring in the coastal zone.
. The USCG also offers expertise in
 domestic and international fields of port
 safety and security, maritime law
 enforcement, ship navigation and
 construction, and the manning,
 operation, and safety of vessels and
 marine facilities. The USCG may enter
 into a contract or cooperative agreement
 with the appropriate state in order to
 implement a response action.
   (2) The Environmental Protection
 Agency (EPA) chairs the NRT and co-
 chairs,  with the USCG. the standing
 RRTs: provides predesignated OSCs for
 the inland zone and RPMs for remedial
 actions except as otherwise provided;
 and generally provides the SSC for
 responses in the inland zone- EPA
 provides expertise on environmental
 effects  of oil discharges or releases of
 hazardous substances, pollutants, or
 contaminants, and environmental
 pollution control techniques. EPA also
 provides legal expertise on the
 interpretation of CERCLA and other
 environmental statutes. EPA may enter
 into a contract or cooperative agreement
 with the appropriate state in order to
 implement a response action.
   (3) The Federal Emergency
 Management Agency (FEMA) provides
 guidance, policy and program advice,
 and technical assistance in hazardous
 materials and radiological emergency
 preparedness activities (planning.
 training, and exercising). In a response,
 FEMA provides advice and assistance
 to the lead agency on coordinating
 relocation assistance and mitigation
 efforts with other federal agencies, state
 and local governments, and the private
 sector. FEMA may enter into a contract
 or cooperative agreement with the
 appropriate state or political subdivision
 in order to implement relocation
 assistance in a response. In the event of
 a hazardous materials incident at a
 major  disaster or emergency declared by
 the President, the lead agency shall
 coordinate hazardous materials
 response with the Federal Coordinating
Officer (FCO) appointed by the
President
  (4) The Department of Defense (DOD)
has responsibility to take all action
necessary with respect to releases
where either the release is on, or the
sole source of the release is from, any
facility or vessel under the jurisdiction,
custody, or control of DOD. DOD may
also, consistent with its operational
requirements and upon request of the
OSC, provide locally deployed United
States Navy oil spill equipment and
provide assistance to other federal
agencies on request The following two
branches of DOD have particularly ,
relevant expertise:
  (i) The United States Army Corps of
Engineers has specialized equipment
and personnel for maintaining
navigation channels, for removing  :
navigation obstruction,  for
accomplishing structural repairs, and for
performing maintenance to hydropower
electric generating equipment The
Corps, can also provide design services,
perform construction, and provide
contract writing and contract
administrative services for other federal
agencies.
  pi) The United States Navy (USN) is
the federal agency most knowledgeable
and experienced in ship salvage,
shipboard damage control, and diving.
The USN has an extensive array of
specialized equipment and personnel
available for use in these areas as well
as specialized containment collection,
and removal equipment specifically'
designed for salvage-related and open-
sea pollution incidents.
  (5) The Department of Energy (DOE)
generally provides designated OSCs/
RPMs; that are responsible for taking all
response actions with respect to
releases where either the release is on.
or the sole source of the release is from.
any facility or vessel under its
jurisdiction, custody, or control.
including vessels bareboat-chartered
and operated. In addition, under the
Federal Radiological Emergency
Response Plan (FRERP). DOE provides
advice and assistance to other OSCs/
RPMs for emergency actions essential
 for the control of immediate radiological
hazards. Incidents that qualify for DOE
 radiological advice  and assistance are
 those believed to involve source, by-
 product or special nuclear material or
 other ionizing radiation sources.
 including radium, and other naturally
 occurring radionuclides. as well as
 particle accelerators. Assistance is
 available through direct contact with the
 appropriate DOE Radiological
 Assistance Coordinating Office.
   (6) The Department of Agriculture
 (USDA) has scientific and technical
capability to measure, evaluate, and
monitor, either on the ground or by use
of aircraft situations where natural
resources including soil, water, wildlife,
and vegetation have been impacted by
fire, insects and diseases, floods.
hazardous substances, and other natural
or man-caused emergencies. The USDA
may be contacted through Forest Service
emergency staff officers who are the
designated members of the RRT.
Agencies within USDA have relevant   •
capabilities and expertise as follows:
  (i) The Forest Service has
responsibility for protection and
management of national forests and
national grasslands. The Forest Service
has personnel, laboratory, and field
capability to measure, evaluate,
monitor, and control as needed, releases
of pesticides and other hazardous
substances on lands under its
jurisdiction.
  (if) The Agriculture Research Service
(ARS) administers an applied and
developmental research program in
animal and plant protection and
production; the use and improvement of
soil, water, and air the processing.
storage, and distribution of farm
products: and human nutrition. The ARS
has the capabilities to provide
regulation of. and evaluation and
training for, employees exposed to
biological, chemical, radiological, and
industrial hazards. In emergency
situations, the ARS can identify, control.
and abate pollution in the areas of air,
soil, wastes, pesticides, radiation, and
toxic substances for ARS facilities.
  (iii) The Soil Conservation Service
(SCS) has personnel in nearly every
county in the nation who are
knowledgeable hi soil, agronomy,
engineering, and biology. These
personnel can help to predict the effects
of pollutants on soil and their  ^.
movements over and through soils.
Technical specialists can assist in
identifying potential hazardous waste
sites and provide review and advice on
plans for remedial measures.
   (iv) The Animal and Plant Health
Inspection Service (APHIS) can respond
in an emergency to regulate movement
of diseased or infected organisms to
 prevent the spread and contamination of
 nonaffected areas.
   (v) The Food Safety and Inspection
 Service (FSIS) has responsibility to
 prevent meat and poultry products
 contaminated with harmful substances
 from entering human food channels. In
 emergencies, the FSIS works with other
 federal and state agencies to establish
 acceptability for slaughter of exposed or
 potentially exposed animals and their
 products. In addition they are charged

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  8834       Federal Register / VoL 55, No. 46 / Thursday, March 8. 1990 / Rules and Regulations


  with managing the Federal Radiological
  Emergency Response Program for the
  USDA.
   (7) The Department of Commerce
  (DOC), through NOAA, provides
  scientific support for response and
  contingency planning in coastal and
  marine areas, including assessments of
  the hazards that may be involved,
  predictions of movement and dispersion
  of oil and hazardous substances through
  trajectory modeling, and information on
  the sensitivity of coastal environments
  to oil and hazardous substances;
 provides expertise on living marine
 resources and their habitats, including
 endangered species, marine maTnmnlg
 and National Marine Sanctuary
 ecosystems; provides information on
 actual and predicted meteorological.
 hydralogical, ice, and oceanographic
 conditions for marine, coastal, and
 inland waters, and tide and circulation
 data for coastal and territorial waters
 and for the Great Lakes.
   (8) The Department of Health and
 Human Services (HHS) is responsible
 for providing assistance on matters
 related to the  assessment of health
 hazards at a response, and protection of
 both response workers and the public's
 health. HHS is delegated authorities
 under section  l(M(b) of CERCLA relating
 to a determination that illness, disease.
 or complaints  thereof may be
 attributable to exposure to a hazardous
 substance, pollutant, or contaminant
 HHS programs and services may be
 carried out through grants,  contracts, or
 cooperative agreements. The basic
 research programs shall be coordinated
 with the, Superfund research,
 demonstration, and development
 program conducted by EPA and DOD
 through the mechanisms provided for in
 CERCLA. Agencies within HHS have
 relevant responsibilities, capabilities.
 and expertise as follows:
  CO The Agency for Toxic Substances
 and Disease Registry (ATSDR), under
 section 304(i) of CERCLA. is required to:
 Establish appropriate disease/exposure
 registries; provide medical care and
 testing of exposed individuals in cases
 of public health emergencies; develop,
 maintain, and provide information on
 health effects of toxic substances;
 maintain a list of areas restricted or
 dosed because of toxic substances
 contamination; conduct research to
 determine relationships between
 exposure to toxic substances and
 illness; conduct health assessments at
 all NPL sites; conduct a health
assessment in response to a petition or
provide a written explanation why an
assessment will not be conducted;
together with EPA, identify the most
 hazardous substances related to
 CERCLA sites; together with EPA,
 develop guidelines for toxicological
 profiles for hazardous substances;
 develop a toxicological profile for all
 such substances; and develop
 educational materials related to health
 effects of toxic substances for health
 professionals.
   pi] The National Institutes for
 Environmental Health Sciences (NIEHSJ
 has been given the responsibilities
 under section 311(a) of CERCLA, to
 conduct and support programs of basic
 research, development, and
 demonstration; and to establish short
 course and continuing education
 programs,  and graduate or advanced
 training. In addition, section 126(g) of
 SARA authorizes NIEHS to administer
 grants for training and education of
 workers who are or may be engaged in
 activities related to hazardous waste
 removal, containment, or emergency
 responses.
   (9) The Department of the Interior
 (DOI) may be contacted through
 Regional Environmental Officers
 (REOs), who are the designated
 members of RRTs. Department land
 managers have jurisdiction over the
 national park system, national wildlife
 refuges and fish hatcheries, the public
 lands, and  certain water projects in
 western states. In addition, bureaus and
• offices have relevant expertise as
 follows:
   (i) Fish and Wildlife Service:
 Anadromous and certain other fishes
 and wildlife, including endangered and
 threatened species, migratory birds, and
 certain marine mammals; waters and
 wetlands; contaminants affecting
 habitat resources; and laboratory
 research facilities.
   (ii) Geological Survey: Geology,
 hydrology (ground water and surface
 water], and natural hazards.
   (iii] Bureau of Land Management:
 Minerals, soils, vegetation, wildlife,
 habitat, archaeology, and wilderness;
 and hazardous materials.
   (iv) Minerals Management Service:
Manned facilities for Outer Continental
 Shelf (DCS) oversight
   (v) Bureau of Mines: Analysis and
identification of inorganic hazardous
substances and technical expertise in
metals and metallurgy relevant to site
cleanup.
   (vi) Office of Surface Mining: Coal
mine wastes and land reclamation.
   (vii] National Park Service: Biological
and general natural resources expert
personnel at park units.
   (viiij Bureau of Reclamation:
Operation and maintenance of water
  projects in the West; engineering and
  hydrology; and reservoirs.
    (ix) Bureau of Indian Affairs:
  Coordination of activities affecting
  Indian lands; assistance in identifying
  Indian tribal government officials.
    (x) Office of Territorial Affairs:
  Assistance in implementing the NCP in
  American Samoa, Guam, the Pacific
.. Island Governments, the Northern
  Mariana Islands, and the Virgin Islands.
    (10) The Department of Justice (DO]]
  can provide expert advice on
  complicated legal questions arising from
  discharges or releases, and federal
  agency responses. In addition, the DOJ
  represents the federal government,
  including its agencies, in litigation
  relating to such discharges or releases.
    (11] The Department of Labor (DOL),
  through the Occupational Safety and
  Health Administration (OSHA) and the
  states operating plans approved under
  section 18 of the Occupational Safety
  and Health Act of 1970 (OSH Act], has
  authority to conduct safety and health
  inspections of hazardous waste sites to
  assure that employees are being
  protected and to determine if the site is
  in compliance with:
   (i] Safety and health standards and
  regulations promulgated by OSHA (or
  the states) to accordance with section
  126 of SARA and all other applicable
  standards; and
   (ii) Regulations promulgated under the
  OSH Act and its general duty clause.
  OSHA inspections may be self-
 generated, consistent with its program
  operations and objectives, or may be
 conducted in response to requests from
 EPA or another lead agency. OSHA may
 also conduct inspections in response to
 accidents or employee complaints.
 OSHA may also conduct inspections at
 hazardous waste sites in those states
 with approved plans that choose not to
 exercise their jurisdiction to inspect
 such sites. On request OSHA will
 provide advice and assistance to EPA
 and other NRT/RRT agencies as well as
 to the OSC/RPM regarding hazards to
 persons engaged in response activities.
 Technical assistance may include
 review of site safety plans and work
 practices, assistance with exposure
 monitoring, and help with other
 compliance questions. OSHA may also
 take any other action necessary to
 assure that (employees are properly
 protected at such response activities.
 Any questions about occupational
 safety and health at these sites nhould
 be referred to the OSHA Regional
 Office.
   (12) The Department of
 Transportation (DOT) provides response
 expertise pertaining to transportation of

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            Federal Register / Vol. 55, No. 46  / Thursday. March  8. 1990  /  Rules and Regulations
                                                                     8835
oil or hazardous substances by all
modes of transportation. Through the
Research and Special Programs
Administration (RSPA), DOT offers
expertise in the requirements for
packaging, handling, and transporting
regulated hazardous materials.
  (13) The Department of State (DOS)
will lead in the development of
international joint contingency plans. It
will also help to coordinate an
international response when discharges
or releases cross international
boundaries or involve foreign flag
vessels. Additionally, DOS will
coordinate requests for assistance from
foreign governments and U.S. proposals
for conducting research at incidents that
occur in waters of other countries. .
  (14) The Nuclear Regulatory
Commission will respond,  as
appropriate, to releases of radioactive
materials by its licensees, in accordance
with the NRC Incident Response Plan
(NUREG-O728) to monitor  the actions of
those licensees and assure that the
public health and environment are
protected and adequate recovery
operations are instituted. The Nuclear
Regulatory Commission will keep EPA
informed of any significant actual or
potential releases in accordance with
procedural agreements. In addition, the
Nuclear Regulatory Commission will
provide advice to the OSC/RPM when
assistance is required in identifying the
source and character of other hazardous
substance releases where  the Nuclear
Regulatory Commission has licensing
authority for activities utilizing
radioactive materials.
  (15) The National Response Center
(NRC), located at USCG Headquarters.
is the national communications center,
continuously manned for handling
activities related to response actions.
The NRC acts as the single federal point
of contact for all pollution'incident
reporting and as the NRT
communications center. These response
actions include: Oil and hazardous
substances, radiological, biological,
etiological. surety materials, munitions,
and fuels. Notice of discharges must be
made telephonically through a toll free
number or a special local number
(Telecommunication Device for the Deaf
(TDD) and collect calls accepted.) The
telephone report is distributed to any
interested NRT member agency or
federal entity that has established a
written agreement or understanding
with the NRC. Each telephone notice is
magnetically voice recorded and
manually entered into an on-line
computer data base. The NRC tracks
medium, major, and potential, major
spills and provides incident summaries
 to all NRT members and other interested
 parties. The NRC evaluates incoming
 information and immediately advises
 FEMA of a potential major disaster or
 evacuations situation. The NRC
 provides facilities for the NRT to use in
 coordinating a national response action,
 when required; assists in arrangements
 for iregular as well as special KRT
 meetings and maintains information on
 the time and place of such meetings; and
 sends representatives to RRT meetings
 as appropriate. The NRC is available to
 assist all NRT agencies as needed,

 §303.180  State and toes) participation hi
 respionse.
   (a) Each state governor is requested to
 designate one state office/       :
 representative to represent 'the state on
 the appropriate RRT. The state's office/
 representative may participate fully in
 all activities of the appropriate RRT.
 Each state governor is also requested to
 designate a lead state agency that will
 direct state-lead response operations.
 This agency is responsible for
 designating the OSC/RPM for state-lead
' response actions, designating SACs for
 federal-lead response actions, and
 coordinating/communicating with any
 other state agencies, as appropriate.
 Local governments are invited to
 participate in activities on the
 appropriate RRT as may be provided by
 state law or arranged by the state's
 representative. Indian tribes wishing to
 participate should assign one person or
 office to represent the tribal government
 on (he appropriate RRT.
   (b) In addition to meeting the
 requirements for local emergency £lans
 under SARA section 303, state and local
 government agencies are encouraged to
 include contingency planning for
 responses, consistent with (he NCP and
 the RCP. in all emergency and disaster
 planning..
   (<:) For facilities not addressed under
 CERCLA, states are encouraged to
 undertake response actions themselves
 or to use their authorities to compel
 potentially responsible parties to
 undertake response actions.
   (d) States are encouraged to enter into
 cooperative agreements puirsuant to
 section 104(c)(3) and (d) of'CERCLA to
 enable them to undertake actions
 authorized under subparts D and E of
 the NCP. Requirements for entering into
 these agreements are included in '
 subpart F of the NCP. A state agency
 that acts pursuant to such agreements is
 referred to as the lead agency. In the
 event there is no cooperative agreement
 the lead agency can be designated in a
 SMOA or other agreement.
   (e) Because state and local public
 safety organizations would normally be
 the first government representatives at
 the scene of a discharge or release, they
 are expected to initiate public safety
 measures that are necessary to protect
 public health and welfare and that are
 consistent with containment and
 cleanup requirements in the NCP, and
 are responsible for directing evacuations
 pursuant to existing state or local
 procedures.

.§300.185 Nongovernmental participation.

   (a) Industry groups, academic
 organizations, and others are
 encouraged to commit resources for
 response operations.  Specific
 commitments should  be listed in the
 RCP and OSC contingency plans.
   (b) The technical and scientific
 information generated by the local
 community, along with  information from
 federal, state, and local governments,
 should be used to assist the OSC/RPM
 in devising response  strategies where
 effective standard techniques are
 unavailable. The SSC may act as liaison
 between the OSC/RPM and such
 interested organizations.
   (c) OSC contingency  plans shall
 establish procedures to allow for well
 organized, worthwhile, and safe use of
 volunteers, including compliance with
 § 300.150 regarding worker health and
 safety. OSC contingency plans should
 provide for the direction of volunteers
 by the OSC/RPM or by other federal.
 state, or local officials knowledgeable in
 contingency operations and capable of
 providing leadership. OSC contingency
 plans also should identify specific areas
 in which volunteers can be used, such as
 beach surveillance, logistical support.
 and bird and wildlife treatment Unless
 specifically requested by the OSC/RPM,
 volunteers generally  should not be used
 for physical removal or remedial
 activities. If, in the judgment of the
 OSC/RPM. dangerous conditions exist.
 volunteers shall be restricted from on-
 scene operations.
   (d) Nongovernmental participation
 must be in compliance  with the
 requirements of subpart H of this part if
 any recovery of costs will be sought

 Subpart C—Planning and
 Preparedness

 5300.200  General.
   This subpart summarizes emergency
 preparedness activities relating to
 discharges of oil and releases of
 hazardous substances, pollutants, or
 contaminants; describes the federal,
 state, and local planning structure;
 provides for three levels of federal
 contingency plans; and cross-references
 state and local emergency preparedness

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              Federal Register / Vol. 55, No. 46 / Thursday. March 8, 1990 / Rules and Regulations
  activities under SARA Title IE, also
  known as the "Emergency Planning and
  Community Right-to-Know Act of 1986"
  but referred to herein as "Title m."
  Regulations implementing Title m are
  codified at 40 CFR subchapter J.

  §300.205  Planning andcoordination
  ctntcture.
   (a) National. As described in
  S 200410. the NRT is responsible for
  national planning and coordination.
   (b) Regional. As described in
  § 300415. the RRTs are responsible for
  regional planning and coordination.
   (c) State. As provided by sections 301
  and 303 of SARA, the state emergency
  response commission (SERC) of each
  state, appointed by the Governor, is to
  designate emergency planning districts,
  appoint local emergency planning
  committees (LEPCs), supervise and
  coordinate their activities, and review
 local emergency response plans, which
 are described in § 300.215. The SERC
 also is to establish procedures for
 receiving and processing requests from
 the public for information generated by
 Title in reporting requirements and to
 designate an official to serve as
 coordinator for information.
   (d) Local As provided by sections 301
 and 303 of SARA, emergency planning
 districts are designated by the SERC in
 order to facilitate the preparation and
 implementation of emergency plans.
 Each LEPC is to prepare a local
 emergency response plan for the
 emergency planning district and
"establish procedures for receiving and
 processing requests from the public for
 information generated by Title in
 reporting requirements. The LEPC is to
 appoint a chair and establish rules for
 the LEPC. The LEPC is to designate an
 official to serve as coordinator for
 information.

 {30O210  FKferat contingency plans.
   There are three levels of federal
 contingency plans: The National
 Contingency Plan, regional contingency
plans (RCPa), and OSC contingency
plans. These plans are available  for
Inspection at EPA regional,offices or
USCG district offices. Addresses and
telephone numbers for these offices may
be found in the United States
Government Manual, issued annually, or
in local telephone directories.
   (a) The National Contingency Plan.
The purpose and objectives, authority,
and scope of the NCP are described in
f § 3004 through 300.3.
   (b) Regional contingency plans. The
RRTs. working with the states, shall
develop federal RCPs for each standard
federal region, Alaska, Oceania in the
Pacific, and the Caribbean to coordinate
  timely, effective response by various
  federal agencies and other organizations
  to discharges of oil or releases of
  hazardous substances, pollutants, or
  contaminants. RCPs shall, as
  appropriate, include information on all
  useful facilities and resources in the
  region, from government, commercial,
  academic, and other sources. To the
  greatest extent possible, RCPs shall
  follow the format of the NCP and
  coordinate with state emergency
  response plans, OSC contingency plans,
  which are described in § 30Q.210(c), and
  Tide HI local emergency response plans,
 which are described in S 300.215. Such
  coordination should be accomplished by
 working with the SERCs in the region
  covered by the RCP. RCPs shall contain
 lines of demarcation between the inland
 and. coastal zones, as mutually agreed
 upon by USCG and EPA.
   (c}(l) OSC contingency plans. In order
 to provide for a coordinated, effective
 federal, state, and local response, each
 OSC, in consultation with the RRT, may
 develop an OSC contingency plan for
 response in the OSC area of
 responsibility. OSC contingency plans
 shall be developed in all areas in the
 coastal zone, because OSCs in the
 coastal zone have responsibility for
 discharges and releases offshore, which
 often exceed the jurisdiction and
 capabilities of other responders.
 Boundaries for OSC contingency plans
 shall coincide with those agreed upon
 among EPA, USCG. DOE, and DOD,
 subject to functions and authorities
 delegated in Executive Order 12580, to
 determine OSC areas of responsibility
 and should be clearly indicated in the
 RCP. Jurisdictions] boundaries of local
 emergency planning districts established
 by states, described in § 300.205(c).
 shall, as appropriate, be considered in
 determining OSC areas of responsibility.
 OSC areas of responsibility may include
 several such local emergency planning
 districts, or parts of such districts. In
 developing the OSC contingency plan,
 OSCs shall coordinate with SERCs and
 LEPCs affected by the OSC area of
 responsibility.
  (2) The OSC contingency plan shall
 provide for a well-coordinated response
 that is integrated and compatible with
 all appropriate response plans of state.
 local, and other nonfederal entities, and
 especially with Title IQ local emergency
response plans, described in $ 300.215.
or in the OSC area of responsibility. The
OSC contingency plan ahull, as
appropriate, identify the probable
locations of discharges or releases; the
available resources to respond to multi-
media incidents; where such resources
can be obtained; waste disposal
methods and facilities consistent with
  local and state plans developed under
  the Solid Waste Disposal Act 42 U.S.C.
  6901 et seq.; and a local structure for
  responding to discharges or releases.

  §300.215 Title III toca! •mergoncy
  response plane.
   This section describes and cross-
  references the regulations that
  implement Title IK of SARA. These
  regulations are codified at 40 CFR part
  355.
   (a) Each LEPC is to prepare an
  emergency response plan in accordance
  with section 303 of SARA Title HI and
  review the plan once a year, or more
  frequently as changed circumstances in
  the community or at any subject facility
  may require. Such Title HI local
  emergency response plans should be
  closely coordinated with applicable
  federal OSC contingency plans and
  state emergency response plans.
   (b) A facility, as defined in 40 CFR
 part 355, is subject to emergency
 planning requirements if an extremely
 hazardous substance, as defined in 40
 CFR part 355. is present at the facility in
 an amount equal to or in excess of the
 threshold planning quantity established
 for such substance. In addition, for the
 purposes  of emergency planning, a
 Governor or SERC may designate
 additional facilities that shall be subject
 to planning requirements, if such
 designation is made after public notice
 and opportunity for comment EPA may
 revise the list of extremely hazardous
 substances and threshold planning
 quantities, taking into account the
 toxicity, reactivity, volatility,
 dispersabiility, combustibility, or
 Qammability of a substance. Facility
 owners or operators are to name a
 facility representative who will
 participate in the planning process as a
 facility emergency coordinator.
   (c) In accordance with section 303 of
 SARA, each local emergency response
 plan is to include, but is not limited to,
 the following:
   (1) Identification of facilities subject
 to Title m emergency planning
 requirements that are within the
 emergency planning district: routes
 likely to be used for the transportation
 of substances on the list of extremely
hazardous substances; and any
 additional facilities, such as hospitals or
natural gas facilities, contributing or
subjected to additional risk due to their
proximity  to facilities subject to Title HI
emergency planning requirements:
  (2) Methods and procedures to be
followed by facility owners and
operators and local emergency and
medical personnel to respond to any
                                                                                                                :	l: ::.:::.:„

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             Federal Register / Vol. 55. No. 46  / Thursday.  March 8.  1990 / Rules and Regulations^8837
 release, as defined in 40 CFR part 355, of.
 extremely hazardous substances;
   (3) Designation of a community
 emergency coordinator and a facility
 emergency coordinator for each facility
 subject to Title ffl emergency planning
 requirements, -who will make
x determinations necessary to implement
 the emergency response plan;
   (4) Procedures providing reliable,
 effective, and timely notification by the
 facility emergency coordinators and the
 community emergency coordinator to
 persons designated in the emergency
 response plan, and to the public, that a
 release has occurred;
   (5) Methods for determining the
 occurrence of a release and the area or
 population likely to be affected by such
 .a release;
   (6) A description of emergency
 equipment and facilities in the
 community and at each facility in the
 community subject to Title E
 emergency planning requirements,
 including an identification of the
 persons responsible for such equipment
 and facilities;
   (7) Evacuation plans, including
 provisions for precautionary evacuation
 and alternative traffic routes;
   (8) Training programs, including
 schedules for training of local
 emergency response and medical
 personnel; and
   (9) Methods and schedules for
 exercising the emergency response plan.
   (d) In accordance with section 303 of
 SARA, the SERC of each state is to
 review the emergency response plan
 developed by the LEPC of each
 emergency planning district and make
 recommendations to the LEPC on
 revisions that may be necessary to
 ensure coordination of the plan with
 emergency response plans of other
 emergency planning districts. RRTs may
 review a local emergency response plan
  at the request of the LEPC. This request
  should be made by the LEPC, through
  the SERC and the state representative
  on the RRT.
    (e) Title III establishes reporting
  requirements that provide useful
  information in developing emergency
  plans.
    (1) Upon request from the LEPC,
  facility owners or operators shall
  provide promptly to such LEPC.
  information necessary for developing
  and implementing the emergency
  response plan.
    (2) Facilities required to prepare or
  have available a material safety data
  sheet (MSDS) for a hazardous chemical.
  as defined in 40 CFR part 370, under the
  Occupational Safety and Health Act of
  1970.29 U.S.C. 651 et seq., and
  regulations promulgated under that Act
shall nubmit a MSDS for each hazardous
chemical or a list of hazardous
chemicals to the appropriate SERC.
LEPC and local fire department in
accordance with 40 CFR part 370.
  (3) Facilities subject to the
requirements of paragraph [e]{2] of this
section shall also submit an inventory
form to the SERC. LEPC, and the local
fire department, which contains an
estimate of the maximum amount of
hazardous chemicals present at the <
facility during the preceding year, an
estimate of the average daily amount of
'hazardous chemicals at the facility, and
the location of these hazardous
chemicals at the facility, in accordance
with 40 CFR part 370:
  (4) (Certain facilities with 10 or more
employees and which manufacture,
process, or use a toxic chemical, as
defined in 40 CFR part 372, in excess of
a statutorily prescribed quantity, shall
submit annual information on the
chemical and releases of the chemical
into the environment to EPA and the
state in accordance with 40 CFR part
372..
  (f) Immediately after a release of an
extremely hazardous substance, or fc
hazardous substance subject to the
notification requirements of CERCLA
section 103(a), the owner or operator of
a facility, as defined in 40 CFR part 355,
shall notify the community emergency
coordinator for the appropriate LEPC
and tide appropriate SERC in accordance
with •«) CFR part 355. As soon as
practicable after such a release has
occurred, the facility owner or operator
shall provide a written follow-up
emergency notice, or notices, if more
information becomes available, setting
forth and updating the information
contained in the initial release
notification and including additional
information with respect to response
 actions taken, health risks associated
 with the release, and, where
 appropriate, advice regarding medical
 attention necessary for exposed
 individuals..For releases of hazardous
 substances subject to the notification
 requirements of CERCLA section 103(a),
 immediate notification must also be
 made to the NRC as provided in
 § 30G.405(b).
   (g) Title IE requires public access to
 information submitted pursuant to its
 reporting requirements; Each emergency
 response plan. MSDS. inventory form,
 toxic chemical release form, and follow-
 up emergency release notification is to
 be made available to the general public
 during normal working hours at the
 localion(s] designated by the EPA
 Administrator. Governor, SERC. or
 LEPC, as appropriate.
§300220 Related TOe 111 tones.
  Other related Title ffl requirements
are found in 40 CFR part 355.

Subpart D—Operational Response
Phases for Oil Removal
§300.300 Phase I—Discovery or
notification.
  (a) A discharge of oil may be
discovered through:
  (1) A report submitted by the person
in charge of a vessel or facility, in
accordance with statutory requirements;
  (2} Deliberate search by patrols;
  (3) Random or incidental observation
by government agencies or the public; or
  (4) Other sources.
  (b) Any person in charge of a vessel or
a facility shall, as soon as he or she has
knowledge of any discharge from such
vessel or facility in violation of section
311(b)(3) of the Clean Water Act,  .
immediately notify the NRC If direct
reporting to the NRC is not practicable,
reports may be made to the USCG or
EPA predesignated OSC for the
geographic area where the discharge
occurs. The EPA predesignated OSC
may also be contacted through the
regional 24-hour emergency response
telephone number. All such reports shall
be promptly relayed to the NRC If it is
not possible to notify the NRC or
predesignated OSC immediately, reports
may be made immediately to the nearest
Coast Guard unit In any event such
person in charge of the vessel or facility
shall notify the NRC as soon as possible.
  (c) Any other person shall, as
appropriate, notify the NRC of a
discharge of oil.
  (d) Upon receipt of a notification of
discharge, the NRC shall promptly notify
the OSC. The OSC shall proceed with
the following phases as outlined in the
RCP and OSC contingency plan.
§300.305  Phase H—Preliminary
assessment and initiation of action.
   (a) The OSC is responsible for
promptly initiating a preliminary
assessment
   (b] The preliminary assessment shall
be conducted using available
information, supplemented where
necessary and possible'by an on-scene
 inspection. The OSC shall undertake
 actions to:
   (1) Evaluate the magnitude and
 severity of the discharge or threat  to
 public health or welfare or the
 environment;
   (2) Assess the feasibility of removal;
   (3) To the extent practicable, identify
 potentially responsible parties; and
   (4) Ensure that authority exists for
 undertaking additional response actions.

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  8838
Federal  Register / Vol. 55, No. 46 / Thursday, March 8, 1990 / Rules and Regulations
   (c) The OSC, in consultation with
• legal authorities when appropriate, shall
moke a reasonable effort to nave the
'discharger voluntarily and promptly
perform removal actions. The OSC shall
ensure adequate surveillance over
whatever actions are initiated. If
effective actions are not being taken to
eliminate the threat, or if removal is not
being properly done, the OSC shall, to
the extent practicable under the
circumstances, so advise the responsible
party. If the responsible party does not
take proper removal actions,  or is
unknown, or is otherwise unavailable,
the OSC shall, pursuant to section
311(c]{l) of the CWA. determine
whether authority for a federal response
exists, and, if so, take appropriate
response actions. Where practicable.'
continuing efforts should be made to
encourage response by responsible
parties.
  (d) If natural resources are  or may be
injured by the discharge, the OSC shall
ensure that state and federal  trustees of
affected natural resources are promptly
notified in order that the trustees may
initiate appropriate actions, including
those identified in subpart G. The OSC
shall seek to coordinate assessments.
evaluations, investigations, and
planning with state and federal trustees.

5300.310  Phase 111—Containment,
countermetsures, cleanup, and disposal.
  (a) Defensive actions shall begin as
«oon as possible to prevent minimize, or
mitigate threat(s) to public health or
welfare or the environment. Actions
may include but are not limited to:
Analyzing water samples to determine
the source and spread of the oil;
controlling the source of discharge;
measuring and sampling: source and
spread control or salvage operations;
placement of physical barriers to deter
the spread of the oil and to protect
natural resources; control of the water
discharged from upstream
impoundment; and the use of chemicals
and other materials in accordance with
subpart ] of this part to restrain the
spread of the oil and mitigate its effects.
  {b) As appropriate, actions  shall be
taken to recover the oil or mitigate its
effects. Of the numerous chemical or
physical methods that may be used, the
chosen methods shall be the most
consistent with protecting public health
and welfare and the environment
Sulking agents shall not be used.
  (c) Oil and contaminated materials
recovered in cleanup operations shall be
disposed of in accordance with the RCP
and OSC contingency plan and any
applicable laws, regulations, or
requirements.
                           5300.315  Ph*s* IV—Documentation and
                           cost recovery.
                             (a) Documentation shall be collected
                           and maintained to support all actions
                           taken under the CWA and to form the
                           basis for cost recovery. Whenever
                           practicable, documentation shall be
                           sufficient to prove the source and
                           circumstances of the incident the
                           responsible party or parties, and impact
                           and potential impacts to public health
                           and welfare and the environment When
                           appropriate, documentation shall also
                           be collected for scientific understanding
                           of the environment and for the research
                           and development of improved response
                           methods and technology. Damages to
                           private citizens, including loss of
                           earnings, are not addressed by the NCP.'
                           Evidentiary and cost documentation
                           procedures are specified in the USCG
                           Marine Safety Manual (Commandant
                           Instruction M16000.11) and further
                           provisions are contained in 33 CFR part
                           153.
                             {b} OSCs shall submit OSC reports to
                           the RRT as requited by 5 300.165.
                             (c) OSCs shall ensure the necessary
                           collection and safeguarding of  ......
                           information, samples, and reports.
                           Samples and information shall be
                           gathered expeditiously during the
                           response to ensure an accurate record of
                           the Impacts incurred. Documentation
                           materials shall be made available to the
                           trustees of affected natural resources.
                           The OSC shall make available to
                           trustees of the affected natural
                           resources information and
                           documentation that  can assist the
                           trustees in the determination of actual or
                           potential natural resource injuries.
                             (d) Information and reports obtained
                           by the EPA or USCG OSC shall be
                           transmitted to the appropriate offices
                           responsible for follow-up actions.

                           § 300.320  General pattern of response.
                             (a) When the OSC receives a report of
                           a discharge, actions  normally should be
                           taken in the following sequence:
                             (1) When the reported discharge  is an
                           actual or potential major discharge,
                           immediately notify the RRT. including
                           the affected state, if appropriate, and the
                           NRC.
                             (2) Investigate the report to determine
                           pertinent information such as the threat
                           posed to public health or welfare or the
                           environment the type and quantity of
                           polluting material, and the source of the
                           discharge.
                             (3) Officially classify the size of the
                           discharge and determine the course of
                           action to be followed.
                             (4) Determine whether a discharger or
                           other person is properly carrying out
                           removal. Removal is being done
                           properly when:
   (i) The cleanup is fully sufficient to
 minimize or mitigate threat[s).to pubh'c
 health and welfare and the environment
 Removal efforts are improper to the
 extent that federal efforts are necessary
 to minimise further or mitigate those
 threats; and
   (ii) The removal efforts are in
 accordance with applicable regulations,
 including the NCP.
   (5] Determine whether a state or
 political subdivision thereof has the
 capability to carry out response actions
 and whether a contract or cooperative
 agreement has been established with the
 appropriate fund administrator for this
 purpose.
   (6) Notify the trustees of affected
 natural resources in accordance with the
 applicable RCP.
   (b) The preliminary inquiry will
 probably show that the situation falls
 into one of four categories. These
 categories and the appropriate response
 to each are outlined below:
  (1} If the investigation shows that no
 discharge occurred, or it shows a minor
 discharge with no removal action
 required, the case may be closed for
 response purposes.
  (2] If the investigation shows a minor
 discharge with the responsible party
 taking proper removal action, contact
 shall be established with the party. The
 removal action shall, whenever possible,
 be monitored to ensure continued proper
 action.
  (3) If the investigation shows a minor
 discharge with improper removal action
 being taken, the following measures
 shall be taken:
  (i) An immediate effort shall, as
 appropriate, be made to stop further
 pollution and remove past and ongoing
 contamination.
  (ii] The renponsible party shall be
 advised of what action will be
 considered appropriate.
  (iii) If the responsible party does not
properly respond, the party shall be
notified of potential liability for federal
response performed under the CWA.
This liability includes all costs of
removal and may include the costs of
assessing and restoring, rehabilitating,
replacing, or acquiring the equivalent of
damaged natural  resources, and other
actual or necessary costs of a federal
response.
  (iv) The OSC shall notify appropriate
state and local officials, keep the RRT
advised, and initiate Phase ffi
operations, as described in 5 300310, as
conditions warrant
  (v) Information shall be collected for
possible recovery of response costs in
accordance with § 300.315.

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            Federal Register / Vol. 55. No. 46 / Thursday, March 8.  1990 / Rules and Regulations      8839
  (4) When the investigation shows that
an actual or potential medium or major
oil discharge exists, the OSC shall
follow the same general procedures as
for a minor discharge. If appropriate, the
OSC shall recommend activation of the
RRT.

$300.330 Wildlife conservation.   •
  Hie Department of the Interior.
Department of Commerce, and state
representatives to the RRT shall .arrange
for the coordination of professional and
volunteer groups permitted and trained
to participate in wildlife dispersal,
collection, cleaning, rehabilitation, and
recovery activities, consistent with 16
U.S.C. 703-712 and applicable state
laws. The RCP and OSC contingency
plans shall, to the extent practicable, .
identify organizations or institutions
that are permitted to participate in such
activities and operate such facilities.
Wildlife conservation activities will
normally be included in Phase in
response actions, described in § 300.310.

5300.335 Funding.
  (a) If the person responsible for the
discharge does not act promptly or take
proper removal actions, or if the person
responsible for the discharge is
unknown, federal discharge removal
actions may begin under section
311(c)(l) of the CWA. The discharger, if
known, is liable for costs of federal
removal in accordance with section
311(f) of the CWA and other federal
laws.
  (b) Actions undertaken by the
participating agencies in response to
pollution shall be carried out under
existing programs and authorities when
available. Federal agencies will make •
resources available, expend funds, or
participate in response to oil discharges
under their existing authority. Authority
to expend resources will be in
accordance with agencies' basic statutes
and, if required, through interagency
agreements. Where the OSC requests
assistance from a federal agency, that
agency may be reimbursed in
accordance with the provisions  of 33
CFR 153.407. Specific interagency
reimbursement agreements may be
signed when necessary to ensure that
the federal resources will be available
for a timely response to a discharge of
oiL The ultimate decisions as to the
appropriateness of expending funds rest
with the agency that is held accountable
for such expenditures.
  (c) The OSC shall exercise sufficient
control over removal operations to be
able to certify that reimbursement from
the following funds is appropriate:
  (1) The oil pollution fund,
administered by the Commandant.
 USCG, that has been established
 pursuant to section 311(k) of 'the CWA
 or any other spill response fund
 established by Congress. Regulations
 governing the administration and use of
 the section 311(k) fund are contained in
 33 CFR part 153.
   (2) The fund authorized by the
 Deepwater Port Act is administered by
 'the Commandant, USCG. Governing
 regulations are contained in 33 CFR part
 137.
   (3) The fund authorized by the Outer
 Continental Shelf Lands Act. as
 amended, is administered by the
 Commandant, USCG. Governing;   •
 regulations are contained in 33 CFR
 parts 135 and 136.
   (4) The fund authorized by the Trans-
 Alaska Pipeline Authorization Act is
 administered by a Board of Trustees
 under the purview of the Secretary of
 the Interior. Governing regulations are
 contained in 43 CFR part 29.       :
   (d) Response actions other than
 removal, such as scientific
 .investigations not in support of removal
 actions or law enforcement, shall be
 provided by the agency with legal
 responsibility for those specific actions.
   (ej The funding of a response to a
 discharge from a federally operated or
 supervised facility or vessel is the
 responsibility of the operating or
 supervising agency.
   (f) The following agencies have funds
 available for certain discharge removal
 actions:
   (1) EPA may provide funds to begin
 timely discharge removal actions when
 the OSC is an EPA representative.  .
   (2) The USCG pollution control efforts
 are funded under "operating expenses."
 These funds are used in accordance
 with agency directives.            !
.   (3) The Department of Defense has
 two specific sources of funds that may
 be applicable to an oil discharge under
 appropriate circumstances. This does
 not consider military resources that
 might be made available under specific
 conditions.
   (i) Funds required for removal of a
 sunken vessel or similar obstruction of
 navigation are available to the Corps of
 Engineers through Civil Works
 Appropriations, Operations and
 Maintenance, General.            :
   (ii) The U.S. Navy may conduct
 salvage operations contingent on
 defense operational commitments, when
 funded by the requesting agency. Such
 funding may be requested on a direct
 cite basis.
   (4) Pursuant to section 311{c)(2](H) of
 the CWA, the state or states affected by
 a discharge of oil may act where
 necessary to remove such discharge and
 may, pursuant to 33 CFR part 153, be
reimbursed from the oil pollution fund
for the reasonable costs incurred in such
a removal.
  0} Removal by a state is necessary
within the meaning of section
311(c)[2)(H} of the CWA when the OSC
determines that the owner or operator of
the vessel, onshore facility, or offshore
facility from which the discharge occurs
does not effect removal properly, or is
unknown, and that
  (A) State action is required to
minimize or mitigate significant threat(s)
to the public health or welfare or the
environment that federal action cannot
minimize or mitigate; or
  (B) Removal or partial removal can be
done by the state at a cost that is less
than or not significantly greater than the
cost that would be incurred by the
federal agencies.
  (ii) State removal actions must be in
compliance with the NCP in order to
qualify for reimbursement.
  (iii) State removal actions are
considered to be Phase M actions,
described in § 300.310, under the  same
definitions applicable to federal
agencies.
  (iv] Actions taken by local
governments in support of federal
discharge removal operations are
considered to be actions of the state for
purposes of this section. The RCP and
OSC contingency plan shall show what
funds and resources are available from
participating agencies under various
conditions and cost arrangements.
Interagency agreements may be
necessary to specify when
reimbursement is required.

Subpart E—Hazardous Substance
Response

§300.400 General.
  (a) This subpart establishes methods
and criteria for determining the
appropriate extent of response
authorized by CERCLA:
  (1) When there is a release of a
hazardous substance into the
environment; or
  (2) When there is a release into the
environment of any pollutant or
contaminant that may present an
imminent and substantial danger to the
public health or welfare.
  (b) Limitations on response. Unless
the lead agency determines that a
release constitutes a public health or
environmental emergency and no other
person with the authority and capability
to respond will do so in a timely
manner, a removal or remedial action
under section 104 of CERCLA shall not
be undertaken in response to a release:

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 8840      Federal Register / Vol.  55. No. 46 / Thursday. March 6. 1990 / Rules md Regulations
   (1) Of a naturally occurring substance
 in its unaltered form, or altered solely
 through naturally occurring processes or
 phenomena, from a location where it is
 naturally found;
   (2) From products that are part of the
 structure  of, and result in exposure
 within, residential buildings or business
 or community structures; or
   (3) Into public or private drinking
 water supplies due to deterioration of
 the system through ordinary use.
   (c) Fund-financed action. In
 determining the need for and in planning
 or undertaking Fund-financed action, the
 lead agency shall, to the extent
 practicable:
   (1) Engage in prompt response;
   (2) Provide for state participation in
 response actions, as described in
 fubpart F of this part;
   (3) Conserve Fund monies by
 encouraging private party response;
   (4) Be sensitive to local community
 concerns;^
   (5) Consider using treatment
 technologies;
   (6) Involve the Regional Response
 Team (RRTJ in both removal and
 remedial response actions at
 appropriate decision-making stages;
   (7) Encourage the involvement and
 sharing of technology by industry and
 other experts; and
   (8) Encourage the involvement of
 organizations to coordinate responsible
 party actions, foster site response, and
 provide technical advice to the public,
 federal and state governments, and
 industry.
   (d) Entry and access. (1) For purposes
 of determining the need for response, or
 choosing or taking a response action, or
 otherwise enforcing the provisions of
 CERCLA,  EPA. or the appropriate
 federal agency, and a state or political
 subdivision operating pursuant to a
 contract or cooperative agreement under
 CERCLA section 104(d)fl), has the
 authority to enter any vessel, facility,
 establishment or other place, property,
 or location described in paragraph (d}(2)
 of this section and conduct complete,
 operate, and maintain any response
 actions authorized by CERCLA  or these
 regulations.
   (2){i) Under the authorities described
 in paragraph (d](l) of this section, EPA.
 or the appropriate federal agency, and a
 state or political subdivision operating
 pursuant to a contract or cooperative
 agreement under CERCLA section
 I04(d)(l), may enter:
   (A) Any vessel, facility,
 establishment, or other place or property
 where any hazardous substance or
pollutant or contaminant may be or has
been generated, stored, treated.
 disposed of. or transported from;
   (B) Any vessel facility, establishment,
 or other place or property from which, or
 to which, a hazardous substance or
 pollutant or contaminant has been, or
 may have been, released or where such
 release is or may be threatened;
   (C] Any vessel, fatality, establishment,
 or other place or property where entry is
 necessary to determine the need for
 response or the appropriate response or
 to effectuate a response action; or
   (D) Any vessel fatality, establishment,
 or other place, property, or location
 adjacent to those veasels. facilities,
 establishments, places, or properties
 described in paragraphs [dH2)(ij(A], {?),
 or (C) of this section.
   (ii] Once a determination has been
 made that there is a reasonable basis to
 believe that there has been or may be a
 release, EPA, or the appropriate federal
 agency, and a state or political
 subdivision operating pursuant to a
 contract or cooperative agreement under
 CERCLA section 104(d)(l), is authorized
 to enter all vessels, facilities,
 establishments, places, properties, or
 locations specified in paragraph (d)[2)[i)
 of this section, at which the release is
 believed to be, and all other vessels,
 facilities, establishments, places,
 properties, or locations identified in
 paragraph (d)[2)(i) of this section that
 are related to the response or are
 necessary to enter in responding to that
 release.
.  (3) The lead agency may designate as
 its representative solely for the purpose
 of access, among others, one or more
 potentially responsible parties, including
 representatives, employees, agents, and
 contractors of such parties. EPA, or the
 appropriate federal agency, may
 exercise the authority contained in  •
 section 104(e) of CERCLA to obtain
 access for its designated representative.
 A potentially responsible party may
 only be designated as a representative
 of the lead agency where that
 potentially responsible party has agreed
 to conduct response activities pursuant
 to an administrative order or consent
 decree.
  {4](i} If consent is not granted under
 the authorities described in paragraph
 fd)[l) of this section, or if consent is
 conditioned in any manner, EPA, or the
 appropriate federal agency, may .issue
 an order pursuant to section l«(e)(5) of
 CERCLA directing compliance with the
request for access made under
 § 300.400(d)[l}. EPA or the appropriate
federal agency may ask the Attorney
General to commence a civil action to
compel compliance with either a request
for access or an order directing
compliance.
  (ii] EPA reserves the right to proceed,
where appropriate, under applicable
 authority other than CERCLA nection
 104(e).
   (iii) The administrative order may
 direct compliance with a request to
 enter or inspect any vessel, facility,
 establishment place, property, or
 location described in paragraph (d)(2) of
 this section.
   (tv) Each order shall contain:
   (A) A determination by ERA, or the
 appropriate federal agency, that it is
 reasonable to believe that there may be
 or has been a release or threat of a
 release of & hazardous substance or
 pollutant or contaminant and a
 statement of the facts upon which the
 determination is based;
   (B) A description, in light of CERCLA
 response authorities, of the purpose and
 estimated « cope and duration of the
 entry, including a description of the
 specific anticipated activities to be
 conducted pursuant to the order;
   (C) A provision advising the person
 who failed to consent that an officer or
 employee of the agency that issued the
 order will be available to confer with
 respondent prior to effective date of the
 order; and
   IP) A provision advising the person
 who failed to consent that a court may
 impose a penalty of up to $25,000 per
 day for unreasonable failure to comply
 with die order.
   (v) Orders shall be served upon the
 person or responsible party who failed
 to consent prior to their effective date.
 Force shall not be used to compel
 compliance with an order.
  (vi) Orders may not be issued for any
 criminal investigations.
  (e) Permit requirements. (1) No
 federal, state, or local permits are
 required for on-site response actions •
 conducted pursuant to CERCLA sections
 104.108.120.121. or 122. The term "en-
 sile" means the areal extent of
 contamination and all suitable areas in
 very close proximity to the
 contamination necessary for
 implementation of the response action.
  (2) Permils, if required, shall be
 obtained for all response activities
conducted off-site.
  (fj Health assessments. Health
assessments shall be performed by
ATSDR at faculties on or proposed to be
listed on the NPL and may be performed
at other releases or facilities in response
to petitions made to ATSDR. Where
available, these health assessments may
be used by the lead agency to assist in
determining whether response actions
should be taken and/or to identify the
need for additional studies to assist in
the assessment of potential human
health effects associated with releases

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            Federal Register / Vol. 55,  No. 46 / Thursday, March 8. 1990 / Rules and Regulations
                                                                                                             8841
 or potential releases of hazardous
 substances.
   (g) Identification of applicable or
 relevant and appropriate requirements.
 (1) The lead and support agencies shall
 identify requirements applicable to the
 release or remedial action contemplated
 based upon an objective determination
 of whether the requirement specifically
 addresses a hazardous substance,
 pollutant, contaminant, remedial action,
 location, or other circumstance found at
 a CERCLA site.
   (2) If, based upon paragraph (g)[l) of
 this section, it is determined that a
 requirement is not applicable to a
 specific release, the requirement may
 still be relevant and appropriate to the
 circumstances of the release. In
 evaluating relevance and
 appropriateness, the factors in
 paragraphs [g)(2)(i) through (viiij of this
 section shall be examined, where
 pertinent to determine whether a
 requirement addresses problems or
 situations sufficiently similar to the
 circumstances of the release or remedial
 action contemplated, and whether the
 requirement is well-suited to the site,
 and therefore is both relevant and
 appropriate. The pertinence of each of
 the following factors wil! depend, in
 part, on whether a requirement
 addresses a chemical, location, or
 action. The following comparisons shall
 be made, where pertinent, to determine
 relevance and appropriateness:
  (i)  The purpose of the requirement and
the purpose of the CERCLA action;
  (ii) The medium regulated or affected
 by the requirement and the medium
 contaminated or affected at the
 CERCLA site:
  (iiij The substances regulated by the
 requirement and the substances found at
 the CERCLA site;
  (iv) The actions or activities regulated
by the requirement and the remedial
 action contemplated at the CERCLA
site;
  (v) Any variances, waivers, or
exemptions of the requirement and their
 availability for the circumstances at the
CERCLA site;
  (vij The type of place regulated and
 the type of place affected by the release
or CERCLA action:
  (vii) The type and size of structure or
facility regulated and the type and size
of structure or facility affected by the
release or contemplated by the CERCLA
action;
  (viii) Any consideration of use or
potential use of affected resources in the
requirement and the use or potential use
of the affected resource at the CERCLA
site.
  (3) In addition to applicable or
relevant and appropriate requirements.
 the lead and support agencies may. as
 appropriate, identify other advisories,
 criteria, or guidance to be considered for
 a particular release. The "to be
 considered" (TBC) category consists of
 advisories, criteria, or guidance that
 were developed by EPA, other federal
 agencies, or states that may be useful in
 developing CERCLA remedies;.
  (4) <>nly those state standards that are
 promulgated, are identified by the state
 in a timely manner, and are more
 stringent than federal requirements may
 be applicable or relevant and
 appropriate. For purposes of
 identification and notification of
 promulgated state standards, ithe term
 "promulgated" means that the standards
 are of general applicability and are
 legally enforceable.
  (5} line lead agency and support
 agency shall identify their specific
 requirements that are applicable or
 relevant and appropriate for a particular
 site. These agencies shall notify each
 other, in a timely manner as described
 in § 3CO.515(d), of the requirements they
 have determined to be applicable or
 relevant and appropriate. When
 identifying a requirement as aa ARAR,
 the lend agency and support agency
 shall include a citation to the statute or
 regulation from which the requirement is
 derived.
  (6) Notification of ARARs shall be
 according to procedures and timeframes
specified in § 300.515 (d)(2) and (h)(2).
  fh) Oversight. The lead agency may
provide oversight for actions taken by
potentially responsible parties to ensure
that a response is conducted consistent
with tins part. The lead agency may also
monitor the actions of third parties
preauthorized under subpart M of this
part. EPA will provide oversight when
 the response is pursuant to an EPA .
order or federal consent decree.
  (i) Other. (1) This subpart does not
establish any preconditions to      ;
enforcement action by either tine federal
or state governments to compel    :
response actions by potentially
responsible parties.
  (2} While much of this subpart is  \
oriented toward federally funded   '
response actions, this subpart may be
used as guidance concerning methods
and criteria for response actions by
other parties under other funding
mechanisms. Except as provided in .
subpart H of this part, nothing in this
part is intended to limit the rights of any
person: to seek recovery of response
costs from responsible parties pursuant
to CERCLA section 107.
  (3) Activities by the federal and state
governments in implementing this
subpart are discretionary governmental
functions. This subpart does not create
 in any private party a right to federal
 response or enforcement action. This
 subpart does not create any duty of the
 federal government to take any response
 action at any particular time.

 §300.405  Discovery or notification.
  (a) A release may be  discovered
 through:
  (1) A report submitted in accordance
 with section 103(a) of CERCLA, Le.,
 reportable quantities codified at 40 CFR
 part 302;
  (2) A report submitted to EPA in
 accordance with section 103(c) of
 CERCLA;
  (3) Investigation by government
 authorities conducted in accordance
statutory authority;
  (4] Notification of a release by a
federal or state permit holder when
required by its permit:
  (5) Inventory or survey efforts or
random or incidental observation
reported by government agencies or the
public;
  (6) Submission of a citizen petition to
EPA or the  appropriate federal facility
requesting a preliminary assessment in
accordance with section 105(d) of
CERCLA: and
  (7) Other sources.
  (b) Any person in charge of a vessel or
a facility shall report releases as
described in paragraph (a)(l) of this
section to the National Response Center
(NRC). If direct reporting to the NRC is
not practicable, reports may be made to
the United States Coast Guard (USCG)
on-scene coordinator (OSC) for the
geographic  area where the release
occurs. The EPA predesignated OSC
may also be contacted through the
regional 24-hour emergency response
telephone number. All such reports shall
be promptly relayed to the NRC. If it is
not possible to.notify the NRC or
predesignated OSC immediately, reports
may be made immediately to the nearest
USCG unit In any event such person in
charge of the vessel or facility shall
notify the NRC as soon as possible.
  (c) All other reports of releases
described under paragraph (a) of this
section, except releases'reported under
paragraphs (a) (2) and (6) of this section,
shall as appropriate, be made to the
NRC.
  (d) The NRC will generally need
information that will help to
characterize the release. This will
include, but not be limited to: Location
of the release: typefs) of material(s)
released; an estimate of the quantity of
material released; possible source of the
release: and date and time of the
release. Reporting under paragraphs (b)

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   8842      Federal Register  / VoL 55. No. 46 / Thursday, March  8, 1990 / Rules and Regulations
  and (c) of this section shall not be
  delayed due to incomplete notification
  information.
    (c) Upon receipt of a. notification of a
  release, the NRC shall promptly notify
  the appropriate OSC. The OSC shall
  notify the Governor, or designee, of the
  state affected by the release.
    (fj(l) When the OSC is notified of a
  release that may require response
  pursuant to § 300.415{b), a removal site
  evaluation shall as appropriate, be
  promptly undertaken pursuant to
  §300.416.
    (2) When notification indicates that
  removal action pursuant to § 300.415(b)
  is not required, a remedial site
  evaluation shall, if appropriate, be
  undertaken by the lead agency pursuant
  to § 300.420, if one has not already been
  performed.
    (3) If radioactive substances are
  present in a release, the EPA
  Radiological Response Coordinator
  should be notified for evaluation and
  assistance, consistent with §§ 300.130{f)
i!  and300l45{fj.
    (g) Release notification made to the
  NRC under this section does not relieve
  the owner/operator of a facility from
  any obligations to which it is subject
  under SARA Title IE or state law. In
  particular, it does not relieve the owner/
  operator from the requirements of  	
  •eetion 304 of SARA Title ni and 40 CFR
  part 355 and § 300.215(fj of this part for
  notifying the community emergency
  coordinator for the appropriate local
  emergency planning committee of all
  affected areas and the state emergency
  response commission of any state
  affected that there has been a release.
  Federal agencies are notlegaily
  obligated to comply with the
  requirements of Title III of SARA.
  {300.410 Removal site evaluation.
    (a) A removal site evaluation includes
  a removal preliminary assessment and.
  if warranted, a removal site inspection.
    (b) A removal site evaluation of a
  release identified for possible CERCLA
  response Jjursiiant to § 3d0.415 shall, as
  appropriate, be undertaken by the lead ^
  agency a"§ promptly as possible. The
  lead agency may perform a removal
  preliminary assessment in response to
  petitions submitted by a person who is.
  Or may be. affected by a release of a
  hazardous substance, pollutant or
  contaminant pursuant to § 3O0.420(b)(5).
    (cj{l) The lead agency shall, as
  appropriate, base the removal
  preliminary assessment on readily
  available information. A removal
  preliminary assessment may include,
  but is not limited to:
    (i) Identification of the source and
  nature of the release or threat of release;
   (ii) Evaluation by ATSDR or by other
 sources, for example, state public health
 agencies, of the threat to public health;
   (iii) Evaluation of the magnitude of the
 threat;
   (iv) Evaluation of factors necessary to
 make the determination of whether a
 removal is necessary, and
   (v) Determination of whether a
 nonfederal party is undertaking proper
 response. •
   (2) A removal preliminary assessment
 of releases from hazardous waste
 management facilities may include
 collection or review of data such as site
 management practices, information from
 generators, photographs, analysis of
 historical photographs, literature
 searches, and personal interviews
 conducted, as appropriate.
   (d) A removal site inspection may be  .
 performed if more information is
 needed. Such inspection may include a
 perimeter (Le» off-site) or on-site
 inspection, taking into consideration
 whether such inspection can be
 performed safely.
   (e) A removal site evaluation shall be
 terminated when the OSC or lead
 agency determines:
   (1) There is no release;
   (2] The source is neither a vessel nor a
'facility as denned in § 300.5 of the NCP;
   (3) The release involves neither a
 hazardous substance, nor a pollutant or
 contaminant that may present an
 imminent and substantial danger to
 public health or welfare;
   (4) The release consists of a situation
 specified in § 300.400[b)(l) through (3)
 subject to limitations on response;
   (5) The amount, quantity, or
 concentration released does not warrant
 federal response;
   (6) A party responsible for'the release,
 or any other person, is providing
 appropriate response, and on-scene
 monitoring by the government is not
 required; or
   (7} The removal site evaluation is
 completed.
   (f) The results of the removal site
 evaluation shall be documented.
   (g) If natural resources are or may be
 injured by the release, the OSC or lead
 agency shall ensure that state and
 federal trustees of the affected natural -
 resources are promptly notified in order
 that the trustees may initiate
 appropriate actions, including those
 identified in subpart G of this part. The
 OSC or lead agency shall seek to
 coordinate necessary assessments,
 evaluations, investigations, and
 planning with such state and federal
 trustees.
   (h) If the removal site evaluation
 indicates that removal action under
 § 300.415 is not required, but that
remedial action under § 300.430 may be
necessary, the lead agency sh'all, as
appropriate, initiate a remedial site
evaluation pursuant to § 300.420.

§300.415 Removal action.
  (a)(l) In determining the appropriate
extent of action to be taken in response
to a given release, the lead agency shall
first review the removal site evaluation,
any information produced through a
remedial site evaluation, if any has been
done previously, and the current site
conditions, to determine if removal
action is appropriate.
  (2) Where the responsible parties are
known, an effort initially shall be made,
to the extent practicable, to determine
whether they can and will perform the
necessary removal action promptly and
properly.       •  •
  (3} This section does not apply to
removal actions taken pursuant to
section 104f fa) of CERCLA. The criteria
for such actions are set forth in section
104 (b) of CERCLA.
  (b)[l) At any release, regardless of
whether the site is included on the
National Priorities List, where the lead
agency makes the determination, based
on the factors in paragraph (b)(2) of this
section, that there is a threat to public
health or welfare or the environment,
the lead agency may take any
appropriate removal action to abate.
prevent minimize, stabilize, mitigate, or.
eliminate the release or the threat of
release.
  {2} The following factors shall be
considered in determining the
appropriateness of a removal action
pursuant to this section:
  (i] Actual or potential exposure to
nearby human populations, animals, or
the food chain from hazardous
substances or pollutants or
contaminants;
  (ii) Actua! or potential contamination
of drinking water supplies or sensitive
ecosystems;
  (iii) Hazardous substances or
pollutants or contaminants in drums.
barrels, tanks, or other bulk storage
containers, that may pose a threat of
release;
  (iv) High levels of hazardous
substances or pollutants or
contaminants in soils largely at or near
the surface, that may migrate;
  (v) Weather conditions that may
cause hazardous substances or
pollutants or contaminants to migrate or
be released;
  (vi) Threat of fire or explosion;
  (vii) The availability of other
appropriate federal or state response
mechanism!: to respond to the release;
and

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            Federal Register / Vol. 55,  No. 46 / Thursday. March 8, 1990 / Rules and Regulations      8843
  (viii) Other situations or factors that
may pose threats to public health or
welfare or the environment.
  {3} If the lead agency determines that
a removal action is appropriate, actions
shall, as appropriate, begin as soon as
possible to abate, prevent, minimize,
stabilize, mitigate, or eliminate the
threat tb public health or welfare or the
environment The lead agency shall, at
the earliest possible time, also make any
necessary determinations pursuant to
paragraph (b}(4) of this section.
  (4) Whenever a planning period of at
least six months exists before on-site
activities must be initiated, and the lead
agency determines, based on a site
evaluation, that a removal action is
appropriate:
  (i) The lead agency shall conduct an
engineering evaluation/cost analysis
(EE/CA) or its equivalent. The EE/CA is
an analysis of removal alternatives for a
site.
  pi) If environmental samples are to be
collected, the lead agency shall develop
sampling and analysis plans that shall
provide a process for obtaining data of
sufficient quality and quantity to satisfy
data needs. Sampling and analysis plans
shall be reviewed and approved by EPA.
The sampling and analysis plans shall
consist of two parts:
  (A) The field sampling plan, which
describes the number, type, and location
of samples and the type of analyses: and
  (BJ The quality assurance project plan.
which describes policy, organization,
and functional  activities and the data
quality objectives and measures
necessary to achieve adequate data for
use in planning and documenting the
removal action.
  (5) Fund-financed removal actions,
other than those authorized under
section 104(b) of CERCLA, shall be
terminated after $2 million has been
obligated for the action or 12 months
have elapsed from the date that removal
activities begin on-site, unless the lead
agency determines that:
  (i) There is an immediate risk to
public health or welfare or the.
environment; continued response
actions  are immediately required to
prevent, limit or mitigate an emergency;
and such assistance will not otherwise
be provided on a timely basis; or
  (ii) Continued response action is
otherwise appropriate and consistent
with the remedial action to be taken.
  (c) Removal  actions shall, to the
extent practicable, contribute to the
efficient performance of any anticipated
long-term remedial action with respect
to the release concerned.
.  (d) The following removal actions are,
as a general rule, appropriate in the
types of situations shown; however, this
list is not exhaustive and is not intended
to prevent the lead agency from taking
any other actions deemed necessary
under CERCLA or other appropriate
federal or state enforcement or response
authorities, and the list does not create a
duty on the lead agency to take action at
any particular time:          '
  (1) Fences, warning signs, or other
security or site control precautions—
where humans or animals have access
to the release;
  (2} Drainage controls, for example,
run-off or run-on diversion—where
needed to reduce migration of
hazardous substances or pollutants or
contaminants off-site or to prevent
precipitation or run-off from other
sources, for example, flooding, from
entering the release area from other
areas;
  (3) Stabilization of berms. dikes, or
impoundments or drainage or'dosing of
lagoons—where needed to maintain the
integrity of the structures;
  {4} Capping of contaminated soils or
sludges—where needed to reduce
migration of hazardous substances or
pollutants or contaminants into soil,
ground or surface water, or air;
  (5) Using chemicals and other
materials to retard the spread of the
release or to mitigate its effects—where
the use of such chemicals will reduce
the spread of the release:
  (6) Excavation, consolidation, or
removal of highly contaminated soils
from drainage or other areas—-where
such actions will reduce the spread of,
or direct contact with, the
contamination;
  (7) Removal of drums, barrels, tanks,
or other bulk containers that contain or
may contain hazardous substances or
pollutants or contaminants—where it
will reduce the likelihood of spillage;
leakage; exposure to humans, animals.
or food chain: or fire or explosion;
  (8] Containment treatment disposal.
or incineration of hazardous materials—
where needed to reduce the likelihood
of human, animal, or food chain
exposure; or                ,
  (9) Provision of alternative water
supply—where necessary immediately
to reduce exposure to contaminated
household water and continuing until
such time as local authorities can satisfy
the need for a permanent remedy.
  (e) Where necessary to protect public
health or welfare, the lead agency shall
request that FEMA conduct a temporary
relocation or that state/local officials
conduct an evacuation.
  (fj ff the lead agency determines that
the removal action will not fully address
the threat posed by the release and the
release may require remedial action, the
lead agency shall ensure an orderly
transition from removal to remedial
response activities.
  (g) Removal actions conducted by
states under cooperative agreements,
described in subpart F of this part shall
comply with all requirements of this
section.
  (h) Facilities operated by a state or
political subdivision at the time of
disposal require a state cost share of at
least 50 percent of Fund-financed
response costs if a Fund-financed
remedial action is conducted.
  (i) Fund-financed removal actions
under CERCLA section 104 and removal
actions pursuant to CERCLA section 106
shall, to the extent practicable
considering the exigencies of the
situation, attain applicable or relevant  .
and appropriate requirements under
federal environmental or state
environmental or faculty siting laws.
Waivers described in
§ 300.430(f)(l)(iiJ(C) may be used for
removal actions. Other federal and state
advisories, criteria, or guidance may. as
appropriate, be considered in
formulating the removal action (see
i 300.400[g](3}). In determining whether
compliance with ARARs is practicable,
the lead agency may consider
appropriate factors, including:
  fi] The urgency of the situation; and
  (2) The scope of the removal action to
be conducted
  (j) Removal actions pursuant to
section 106 or 122 of CERCLA are not
subject to the following requirements of
this section:
  (1] Section 300.415(a](2) requirement
to locate responsible parties and have
them undertake the response;
  (2) Section 300.415(b}(2Kvii)
requirement to consider the availability
of other appropriate federal or state
response and enforcement mechanisms
to respond to the release;
  (3) Section 300.415(b)(5) requirement
to terminate response after $2 million
has been obligated or 12 months have
elapsed from the date of the initial
response; and
  {4} Section 300.415(5 requirement to
assure an orderly transition from
removal to remedial action.
  (k) To the extent practicable,
provision for post-removal site control
following a Fund-financed removal
action at both NPL and non-NPL sites is
encouraged to be made prior to the
initiation of the removal action. Such
post-removal site control includes
actions necessary to ensure the
effectiveness and integrity of the
removal action after the completion of
the on-site removal action or after the $2
million or 12-month statutory limits are
reached for sites that do not meet the

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  8844      Federal Register / Vol. 55,  No. 46 / Thursday. March 8. 1950  /  Rules and Regulations
 exemption criteria in paragraph (b)(5) of
 this section. Post-removal site control
 ihay be conducted by:
   (1) The affected state or political
 subdivision thereof or local units of
' ^venimehf for any removal:  .
   (2) Potentially responsible parties; or
   (3) EPA's remedial program for some
 federal-lead Fund-financed responses at
 NPL sites.
  * (1) OSCs/RPMs conducting removal
 actions *hali submit OSC reports to the
 RRT as required by § 300.165.
   (m) Community relations in removal
 actions. (1) In the case of all removal
 actions taken pursuant to § 300.415 or
 CERCLA enforcement actions to compel
 removal response, a spokesperson shall
 be designated by the lead agency. The
 spokesperson shall inform the
 community of actions taken, respond to
 inquiries, and provide information
 concerning the release. All news
 releases orsUtements madeby
 participating agencies shall be
 coordinated with the OSC/RPM. The
 spokesperson shall notify, at a
 rnSnimiim, immediately affected citizens,
 state and local officials, and, when
 appropriate, civil defense or emergency
 management agencies.
   (2) For actions where, based on the
 site evaluation, the lead agency
 determines that a removal is
 appropriate, and that less than six
 months exists before on-site removal
 activity must begin, the lead agency
 shall:
   (i) Publish a notice of availability of
 the administrative record file
 established pursuant to § 300.820 in a
 major local newspaper of general
 circulation within 60 days of initiation of
 on-site r.emoval activity;
   (ii) Provide a public comment period,
 as appropriate, of not less than 30 days
 from the time die administrative record
 file is made available for public
 inspection, pursuant to i  300.820(b)(2};
 and
   (iii) Prepare a written response to
 significant comments pursuant to
 1300.820(b){3).
   (3) For removal actions where on-site
 action is expected to extend beyond 120
 days from the initiation of on-site
 removal activities, the lead agency shall
 by the end of the 120-day period:
   (i) Conduct interviews with local
 officials, community residents, public
 interest groups, or other interested or
 affected parties, as appropriate, to
 solicit their concerns, information needs,
 and how or when citizens would like to •
 be involved in the Superfund process;
   (ii) Prepare a formal community
 relations plan (CRPJ based on the
 community interviews and other
 relevant information, specifying the
 community relations activities that the
 lead agency expects to undertake during
 the response; and
   (iii) Establish at least one local
 information repository at or near the
 location of the response action. The
 information repository should contain
 items made available for public
 information. Further, an administrative
 record file established pursuant to
 subpart I for all removal actions shall be
 available for public inspection in at
 least one of the repositories. The lead
 agency shall inform the public of the
 establishment of the information
 repository and provide notice of
 availability of the administrative record
 file for public review. All items in the
 repository shall be available for public
 inspection and copying.
   (4) Where, based on the site
 evaluation, the lead agency determines
 that a removal action is appropriate and
 that a planning period of at least six
 months exists prior to initiation of the
 on-site removal activities, the lead
 agency shall at a minimum;
   (i) Comply with the requirements set
 forth in paragraphs (m)(3){i), (ii), and (iii)
 of this section, prior to the completion of
 the engineering evaluation/cost analysis
 (EE/CA), or its equivalent, except that
 the information repository and the
 administrative record file will be
 established no later than when the EE/
 CA approval memorandum is signed;
  . (ii) Publish a notice of availability and
 brief description of the EE/CA in a
 major local newspaper of general
• circulation pursuant to § 300.820;
   (iii) Provide a reasonable opportunity,
 not less than 30 calendar days, for
 submission of written and oral
 comments after completion of the EE/
 CA pursuant to § 300.820(a). Upon
 timely request, the lead agency will
 extend the public comment period by a
 minimum of 15 days; and
   (iv) Prepare a written response to
 significant comments pursuant to
 § 300.820(a).

 f 300.420  Remedial site evaluation.
   (a) General The purpose of this
 section is to describe the methods,
 procedures, and criteria the lead agency
 shall use to collect data, as required
 and evaluate releases of hazardous
 substances, pollutants, or contaminants.
 The evaluation may consist of two
 steps: a remedial preliminary
 assessment (PA) and a remedial site
 inspection (SI).
   (b) Remedial preliminary assessment
 (1) The lead agency shall perform a
 remedial PA on all sites in CERCLIS as
 defined in § 3003 to:
   (i) Eliminate from further
 consideration those sites that pose no
threat to public health or the •
environment
  (ii) Determine if there is any potential
need for removal action;
  (iii) Set priorities for site inspections;
and
  (iv) Gather existing data to facilitate
later evaluation of the release pursuant
to the Hazard Ranking System (HRS) if
warranted.
  (2) A remedial PA shall consist of a
review of existing information about a
release such as information on the
pathways of exposure, exposure targets,
and source and nature of release. A
remedial PA shall also include an off-
site reconnaissance as appropriate. A
remedial PA may include an on-site
reconnaissance where appropriate.
  (3) If the remedial PA indicates that a
removal action may be warranted, the
lead agency shall initiate removal
evaluation pursuant to § 300.410.
  (4) In performing a remedial PA. the
lead agency may complete the EPA
Preliminary Assessment form, available
from EPA regional offices, or its
equivalent and shall prepare a PA
report which shall include:
  (i) A description of the release;
  (ii) A description of the probable
nature of the release; and
  (iii) A recommendation on whether
further action is warranted, which lead
agency should conduct further action,
and whether an SI or removal action or
both should be undertaken.
  (5) Any person may petition the lead
federal agency (EPA or the appropriate
federal agency in the case of a release
or suspected release from a federal
facility), to perform a PA of a release
when such person is, or may be, affected
by a release of a hazardous substance,
pollutant or contaminant Such petitions
shall be addressed to the EPA Regional
Administrator for the region in which
the release is located, except that
petitions for PAs involving federal
facilities should be addressed to the
head of the appropriate federal agency.
  (i) Petitions shall be signed by the
petitioner and  shall contain the
following:
  (A) The full name, address, and phone
number of petitioner:
  (B) A description, as precisely as
possible, of the location of the release:
and
  (C) How the petitioner is or may be
affected by the release.
  (ii) Petitions should also contain the
following information to the extent
available:
  (A) What type of substances were or
may be released:

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             Federal Register / Vol. 55, No. 46 / Thursday. March 8, 1990 / Rules and Regulations      8845
   (B) The nature of activities that have
 occurred where the release is located;
 and
   (C) Whether local and state
 authorities have been contacted about
 the release.
   (in) The lead federal agency shall
 complete a remedial or removal PA
 within one year of the date of receipt of
 a complete petition pursuant to
 paragraph (b)(5) of this section, if one
 has not been performed previously.
 unless the lead federal agency
 determines that a PA is not appropriate.
 Where such a determination is made.
 the lead federal agency shall notify the
 petitioner and will provide a reason for
 die determination.
   (iv) When determining if performance
 of a PA is appropriate, the lead federal
 agency shall take into consideration:
   (A) Whether there is information
 indicating that a release has occurred or
 there is a threat of a release of a
 hazardous substance, pollutant, or
 contaminant; and
   (B) Whether the release is eligible for
 response under CERCLA.
   (c) Remedial site inspection. (1) The
 lead agency shall perform a remedial SI
 as appropriate to:
   (i) Eliminate from further
 consideration those releases that pose
• no significant threat to public health or
 the environment'
   (ii) Determine the potential need for
 removal action;
   (iii) Collect or develop additional
 data, as appropriate, to evaluate the
 release pursuant to the HRS; and
   (iv) Collect data in addition to that
 required to score the release pursuant to
 the HRS, as appropriate, to better
 characterize the release for more
 effective and rapid initiation of the RI/
 FS or response under other authorities.
   (2) The remedial SI shall build upon
 the information collected in the remedial
 PA. The remedial SI shall involve, as
 appropriate, both on- and off-site field
 investigatory efforts, and sampling.
   (3) If the remedial SI indicates that
 removal action may be appropriate, the
 lead agency shall initiate removal site
 evaluation pursuant to § 300.410.
   (4) Prior to conducting field sampling
 as part of site inspections, the lead
 agency shall develop sampling and
 analysis plans that shall provide a
 process  for obtaining data of sufficient
 quality and quantity to satisfy data
 needs. The sampling and analysis plans
 shall consist of two parts:
   (i) The field sampling plan, which
 describes the number, type, and location
 of samples, and the type of analyses.
 and
   (ii) The quality assurance project plan
 [QAPP], which describes policy.
organization, and functional activities,
and the data quality objectives and
measures necessary to achieve adequate
data for use in site evaluation and
hazard ranking system activities.
  (5) Upon completion of a remedial SI,
the lead agency shall prepare a report
that includes the following:
  (i) A description/history/nature of
waste handling;
  pi] A description of known
contaminants:
  (iii) A description of pathways of
migration of contaminant;;
  (iv] An identification and description
of human and environmental targets;
aid
- (v) A recommendation on whether
further action is warranted.

§300.425 Establishing remedial priorities.
  (a) General The purpose of this
station is to identify the criteria as well
as the methods and procedures EPA
uses to establish its priorities for
remedial actions.
  (b) National Priorities List, The NPL is
the list of priority releases for long-term
remedial evaluation and response.
  (1) Only those releases included on
the NPL shall be considered eligible for
Fund-financed remedial action. Removal
actions (including remedial planning
activities, RI/FSs, and other actions
taken pursuant to CERCLA section '
I«4(b)) are not limited to NPL sites.
  (2) Inclusion of a release on the NPL
does not imply that monies will be
e;cpended, nor does the rank of a release
on the NPL establish the precise
priorities for the allocation of Fund
resources. EPA may also pursue other
appropriate authorities to remedy the
release, including enforcement actions
under CERCLA and other laws. A site's
Kink on the NPL serves, along with other
factors, including enforcement  actions.
a:i a basis to guide the allocation of
Fund resources among releases..
  (3) Federal facilities that meet the
criteria identified in paragraph [c) of this
suction are eligible for inclusion on the
NPL. Except as provided by CERCLA
sections lll{e)(3) andlllfc). federal
facilities are not eligible for Fund-
financed remedial actions.
  (4) Inclusion on the NPL is not a
precondition to action by the lead
agency under CERCLA sections;106 or
122 or to action under CERCLA section
107 for recovery of non-Fund-financed
costs or Fund-financed costs other than
Fund-financed remedial construction
costs.
  (c) Methods for determining eligibility
for NPL. A release may be included on
the NPL if the release meets one of the
following criteria:
  (l).The release scores sufficiently high
pursuant to the Hazard Ranking System
described in Appendix A to this part.
  (2) A state (not including Indian
tribes) has designated a release as its
highest priority. States may make only
one such designation; or
  (3) The release satisfies all of the
following criteria:
  (i) The Agency for Toxic Substances
and Disease Registry has issued a health
advisory that recommends dissociation
of individuals from the release;
  (ii) EPA determines that the release
poses a significant threat to public
health; and
  (iii) EPA anticipates that it will be
more cost-effective to use its remedial
authority than to use removal authority
to respond to the release.
  (d) Procedures for placing sites on the
NPL. Lead agencies may submit
candidates to EPA by scoring the
release using the HRS and providing the
appropriate backup documentation.
  (1) Lead agencies may submit HRS
scoring packages to EPA anytime
throughout the year.
  (2) EPA shall review lead agencies'
HRS scoring packages and revise them
as appropriate. EPA shall develop any
additional HRS scoring packages on
releases known to EPA.
  (3) EPA shall compile the NPL based
on the methods identified in paragraph
(c) of this section.
  (4) EPA shall update the NPL at least
once a year.
  (5) To ensure public involvement
during the proposal to add a release to
the NPL, EPA shall:
  (i) Publish the proposed rule  in the
Federal Register and solicit comments
through a public comment period; and
  (ii) Publish the final rule in the Federal
Register, and make available a response
to each significant comment and any
significant new data submitted during
the comment period.
  (6) Releases may be  categorized on
the NPL when deemed appropriate by
EPA.
  (ej Deletion from the NPL. Releases
may be deleted from or recategorized on
the NPL where no further response is
appropriate.
  (1) EPA shall consult with the state on
proposed deletions from the NPL prior to
developing the notice of intent to delete.
In making a determination to delete a
release from the NPL, EPA shall
consider, in consultation with the state,
whether any of the following criteria has
been met:
  (i) Responsible parties or other
persons have implemented all
appropriate response actions required;

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 8846	Federal Register / Vol. 55, No. 46 / Thursday. March 8, 1990 / Rules and Regulations
   (ii) AQ appropriate Fund-financed
 response Under CERCLA has been
 implemented, and no further response
 action by responsible parties is
 appropriate: or
   (Hi) The remedial investigation has
 shown that the release poses no
 significant threat to public health or the
 environment and, therefore, taking of
 remedial measures is not appropriate.
   (2) Releases shall not be deleted from
 the NFL until the state in which the
 release was located has concurred on
 the proposed deletion. EPA shall
 provide the state 30 working days for
 review of the deletion notice prior to its
 publication in the Federal Register.
   (3) All releases deleted from the NPL
 are eligible for further Fund-financed
 remedial actions should future
 conditions warrant such action.  ,
 Whenever there is a significant release
 from a, site deleted from the NPL, the
 site shall be restored to the NPL without
 application of the HRS.
   (4) To ensure public involvement
 during the proposal to delete a release
 from fiie NPL, EPA shall:
   (!) Publish a notice of intent to delete
 jta the Federal Register and solicit
 comment through a public comment
 period of a minimum of 30 calendar
 days;
   (ii) In a major local newspaper of
 general circulation at or near the release
 that is proposed for deletion, publish a
 notice of availability of the notice of
 intent to delete;
   (iii} Place copies of information
 supporting the proposed deletion in the
 information repository, described in
 § 300.430{c)(2)(iii). at or near the release
 propose^ for deletion. These items shall
 be available for public inspection and
 copying; and
   (iv) Respond to each significant
 comment and any significant new data
 submitted during the comment period
 and include this response document in
 the final deletion package.
   (5) EPA shall place the final deletion
 package in the local information
 repository once the notice of final
 deletion has been published in the
 Federal Register.
       Ill;	! •        	Ni  • i.  	
 §300.430 Remedial Investigation/
 feasibility study and selection of remedy.
   (a) General—(!) Introduction. The
 purpose of the remedy selection process
 is  to implement remedies that eliminate.
 reduce, or control risks to human health
 and the environment Remedial actions
 are to be implemented as soon as site
 data and information make it possible to
 do so. Accordingly. EPA has established
 the following program goal,
expectations, and program management
principles to assist in the identification
 and implementation of appropriate
 remedial actions.
   (i) Program goal. The national goal of
 the remedy selection-process is to select
 remedies that are protective of human
 health and the environment, that
 maintain protection over time, and that
 minimize untreated waste.
   (ii) Program management principles.
 EPA generally shall consider the
 following general principles of program
 management during the remedial
 process:
   (A) Sites should generally be
 remediated in operable units when early
 actions are necessary or appropriate to
 achieve significant risk reduction
 quickly, when phased analysis and
 response is necessary or appropriate
 given the size or complexity of the site,'
 or to expedite the completion of total
 site cleanup.
   (B) Operable units, including interim
 action operable units, should not be
 inconsistent with nor preclude
 implementation of the expected final
 remedy.
   (C) Site-specific data needs, the
 evaluation of .alternatives, and the
 documentation of the selected remedy
 should reflect the scope and complexity
 of the site problems being addressed.
   (iii) Expectations. EPA generally shall
 consider the following expectations in
 developing appropriate remedial
 alternatives:
   (A) EPA expects to use treatment to
 address the principal threats posed by a
 site, wherever practicable. Principal
 threats for which treatment is most
 likely to be appropriate include liquids,
 areas contaminated with high
 concentrations of toxic compounds, and
 highly mobile materials.
   (B) EPA expects to use engineering
 controls, such as containment, for waste
 that poses a relatively low long-term
 threat or where treatment is
 impracticable.
   (C) EPA expects to use a combination
 of methods, as appropriate, to achieve
 protection of human health and the
 environment In appropriate site
 situations, treatment of the principal
 threats posed by a site, with priority
 placed on treating waste that is liquid,
 highly toxic or highly mobile, will be
 combined with engineering controls
 (such as containment) and institutional
 controls, as appropriate, for treatment
residuals and untreated waste.
  (O) EPA expects  to use institutional
controls such as water use and deed
restrictions to supplement engineering
controls as appropriate for short- and
long-term management to prevent or
limit exposure to hazardous substances,
pollutants, or contaminants. Institutional
controls may be used during the conduct
 of the remedial investigation/feasibility
 study (RI/FS) and implementation of the
 remedial action and, where necessary,
 as a component of the completed
 remedy. The use of institutional controls
 shall not substitute for active response
 measures (e.g., treatment and/or
 containment of source material,
 restoration of ground waters to their
 beneficial uses) as the sole remedy
 unless such active measures are
 determined not to be practicable, based
 on the balancing of trade-offs among
 alternatives that is conducted during the
 selection of remedy.
   (E) EPA expects to consider using
 innovative technology when such
 technology offers the potential for
 comparable or superior treatment
 performance or implementability, fewer
 or lesser adverse impacts than other
 available approaches, or lower costs for
 similar levels of performance than
 demonstrated technologies.
   (F) EPA expects to return usable
 ground waters to their beneficial uses
 wherever practicable, within a"
 timeframe that is reasonable given the
 particular circumstances of the site.
 When restoration of ground water to
 beneficial uses is not practicable, EPA
 expects to prevent further migration of
 the plume, prevent exposure to the
 contaminated ground water, and
 evaluate further risk reduction.
   (2) Remedial investigation/feasibility
study. The purpose of the remedial
 investigation/feasibility study (RI/FS) is
 to assess site conditions and evaluate
 alternatives to the extent necessary to
 select a remedy. Developing and
 conducting an RI/FS generally includes
 the following activities: project scoping,
data collection, risk assessment,
 treatability studies, and analysis of
alternatives. The scope and timing of
these activities should be tailored to the
nature and complexity of the problem
and the response alternatives being
considered.
  (b) Scoping. In implementing this
section, die lead agency should consider
the program goal, program management
principles, and expectations contained
in this rule. The investigative and
analytical studies should be tailored to
site circumstances so that the scope and
detail of the analysis is appropriate to
the complexity of site problems being
addressed. During scoping, the lead and
support agencies shall confer to identify
the optimal set and sequence of actions
necessary to address site problems.
Specifically, the lead agency shall:
  (1} Assemble and evaluate existing
data on the site, including the results of
any removal actions, remedial

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            Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules and Regulations       8847
preliminary assessment and site
inspections, and the NPL listing process.
  (2] Develop a conceptual
understanding of the site based on the
evaluation of existing data described in
paragraph (b)(l) of this section.
  (3) Identify likely response scenarios
and potentially applicable technologies
and operable units that may address site
problems.
  (4) Undertake limited data collection
efforts or studies where this information
will assist in scoping the RI/FS or
accelerate response actions, and begin
to identify the need for testability
studies, as appropriate.
  (5) Identify the type, quality, and
quantity of the data that will be
collected during the RI/FS to support
decisions regarding remedial response
activities.
  (6) Prepare site-specific health and
safety plans that shall specify, a.t a
minimum, employee training and
protective equipment medical
surveillance requirements, standard
operating procedures, and a contingency
plan that conforms with 29 CFR 1910.120
0}(l) and 0X2).
  (7) If natural resources are or may be
injured by the release, ensure that state
and federal trustees of the affected
natural resources have been notified in
order that the trustees may initiate
appropriate actions, including those
identified in sufapart G of this part. The
lead agency shall seek to coordinate
necessary assessments, evaluations,
investigations, and planning with such
'state and federal trustees.
  (8) Develop sampling and analysis
plans that shall provide a process for
obtaining data of sufficient quality and
quantity to satisfy data needs. Sampling
and analysis plans shall be reviewed
and approved by EPA. The sampling
and analysis plans shall consist of two
parts:
  {i} The field sampling plan, which
describes the number, type, and location
of samples and the type of analyses: and
  (ii)  The quality assurance project plan.
which describes policy, organization,
and functional activities and the data
quality objectives and measures
necessary to achieve adequate data for
use in selecting the appropriate remedy.
  (9)  Initiate the identification of
potential federal and state ARARs and.
as appropriate, other criteria, advisories,
or guidance to be considered.
  (c)  Community relations. (1) The
community relations requirements
described in this section apply to all
remedial activities undertaken pursuant
to CERCLA section 104 and to section
106 or section 122 consent orders or
decrees, or section 106 administrative
orders.
  (2] The lead agency shall provide for
the conduct of the following community
relations activities, to the extent
practicable, prior to commencing field
work for the remedial investigation:
  (i) Conducting interviews 'with local
officials, community residents, public
interest groups, or other interested1 or
affected parties, as appropriate, to
solicit their concerns and information
needs, and to learn how and when1
citizens would like to be involved in the
Superfund process.              ,
  pi) Preparing a formal community
relations plan (CEP), based on the
community interviews and other  ,
relevant information, specifying the
community relations activities that the
lead agency expects to undertake during
the remedial response. The purpose of
tfaeCRPisto:                   '•
  (A) Ensure the public appropriate
opportunities for involvement in a wide
variety of site-related decisions,
including site analysis and
characterization, alternatives analysis.
and selection of remedy;         ;
  (Bjl Determine, based on community
interviews, appropriate activities to
ensure such public involvement, and
  (C) Provide appropriate opportunities
for the community to learn about the
site.                           ;
  (Hi) Establishing at least one local
information repository at or near the
location of the response action. Each
information repository should contain a
copy of items made available to the
public, including information that
describes  the technical assistance grants
application process. The lead agency
shall inform interested parties of the
establishment of the information  !
repository.
  (iv) Informing the community of the
availability of technical assistance
grants.                         '
  (3} ForPRP actions, the lead agency
shall plan and implement the community
relations program at a site. PRPs may
participate in aspects of the community
relations program at the discretion of
and with oversight by the lead agency.
  (4]l The lead agency may conduct
technical discussions involving PRPs
and the public. These technical
discussions may be held separately
from, but contemporaneously with, the
negotiations/settlement discussions.
  (5}| In addition, the following
provisions specifically apply to
enforcement actions:            ;
  (i) Lead agencies entering into an
enforcement agreement with de minimis
parties under CERCLA section 122{g) or
cost recovery settlements under section
122[fa) shall publish a notice of the
proposed agreement in the Federal
Register at least 30 days before the
 agreement becomes final, as required by
 section 122(i). The notice must" identify
 the name of the facility and the parties
 to the proposed agreement and must
 allow an opportunity for comment and
 consideration of comments; and
   pi) Where the enforcement agreement
 is embodied in a consent decree, public
 notice and opportunity for public
 comment shall be provided in
 accordance with 28 CFR 50.7.
   (d) Remedial investigation. (l)The
 purpose of the remedial investigation
 QRI} is to collect data necessary to
 adequately characterize the site for the
 purpose of developing and evaluating
 effective remedial alternatives. To
 characterize the site, the lead agency
 shall as appropriate, conduct field
 investigations, including treatability
 studies, and conduct a baseline risk
 assessment. The RI provides information
 to assess the risks to human health and
 the environment and to support the
' development evaluation, and selection
 of appropriate response alternatives.
 Site characterization may be conducted
 in one or more phases to focus sampling
 efforts and increase the efficiency of the
 investigation. Because estimates of
 actual or potential exposures and
 associated impacts on human and
 environmental receptors may be refined
 throughout the phases of the RI as new
 information is obtained, site
 characterization activities should be
 fully integrated with the development
 and evaluation of alternatives in the
 feasibility study. Bench- or pilot-scale
 treatability studies shall be conducted,
 when appropriate and practicable, to
 provide "additional data for the detailed
 analysis and to support engineering
 design of remedial alternatives.
   (2) The lead agency shall characterize
 the nature of and threat posed by the
 hazardous substances and hazardous
 materials and gather data necessary to
 assess the extent to which the release
 poses a threat to human health or the
 environment or to support the analysis
 and design of potential response actions
 by conducting, as appropriate, field
 investigations to assess the following
 factors:
   (i) Physical characteristics of the site,
 including important surface features,
 soils, geology, hydrogeology,
 meteorology, and ecology;
   (ii) Characteristics or classifications
 of air, surface water, and ground water;
   (iii) The general characteristics of the
 waste, including quantities, state.
 concentration, toxicity, propensity to
 bioaccumulate, persistence, and
 mobility;

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             8848
Federal Register / Vol. '55. No. 46 /  Thursday. March 8. 1990 / Rules  and Regulations
               (5vJ The extent to which the source
            can be adequately identified and
            characterized;
               (v) Actual and potential exposure
            pathways through environmental media;
               (vi) Actual and potential exposure
            routes, for example, inhalation and
            ingestion; and
               (vii) Other factors, such as sensitive
            populations, that pertain to the
            characterization of the site or support
            the analysis of potential remedial action
            alternatives.
               (3) The lead and support agency shall
            identify their respective potential
            ARARs related to the location of and
            contaminants at the site in a timely
            manner. The lead and support agencies
            may also, as appropriate, identify other
            pertinent advisories, criteria, or
            guidance in a timely manner (see
            13qpOO{g)(3)).
               (4) Using the data developed under
            paragraphs (d) (1) and (2) of this section,
            the lead agency shall conduct a site-
            spetiflc baseline risk assessment to
            characterize the current and potential
            threats to human health and the
            environment that may be posed by
            contaminants migrating to ground water
            or surface water, releasing to air.
            leaching through soil, remaining in the
            soil, and bioaccumulating in the food
            chain. The results of the baseline risk
            assessment will help establish   •
            acceptable exposure levels for use in
            developing remedial alternatives in the
            FS, as described in paragraph (e) of this
            section.
               (e] Feasibility study, (i) The primary
            objective of the feasibility study (FS) is
            to ensure that appropriate remedial
            alternatives are developed and
            evaluated such that relevant information
            concerning the remedial action options
            can be presented to a decision-maker
            and an appropriate remedy selected.
            The lead agency may develop a
            feasibility study to address a specific
            site problem or the entire site. The
            development and evaluation of
             alternatives shall reflect the scope and
             complexity of the remedial action under
             consideration and the site problems
             being addressed. Development of
             alternatives shall be fully integrated
             with the site characterization activities
             of the remedial investigation described
             Jn paragraph (d) of this section. The lead
             ageScy shall include an alternatives
             screening step, when needed, to select a
             reasonable number of alternatives for
             detailed analysis.
               p| Alternatives shall be developed
             that protect human health and the
             environment by recycling waste or by
             eliminating, reducing, and/or controlling
             risks posed through each pathway by a
             site. The number and type of
                           alternatives to be analyzed shall be
                           determined at each site, taking into
                           account the scope, characteristics, and
                           complexity of the site problem that is
                           being addressed. In developing and, as
                           appropriate, screening the alternatives,
                           the lead agency shall:
                             (i) Establish remedial action
                           objectives specifying contaminants and
                           media of concern, potential exposure
                           pathways, and remediation goals.
                           Initially, preliminary remediation goals
                           are developed based on readily
                           available information, such as chemical-
                           specific ARARs or other reliable
                           information. Preliminary remediation
                           goals should be modified, as necessary,
                           as more information becomes available
                           during the RI/FS. Final remediation
                           goals will be determined when the
                           remedy is selected. Remediation goals-
                           shall establish acceptable exposure
                           levels that are protective of human
                           health and the environment and shall be
                           developed by considering the following:
                             (A) Applicable or relevant and
                           appropriate requirements under federal
                           environmental or state environmental or
                           facility siting  laws, if available, and the
                           following factors:
                             (2) For systemic toxicants, acceptable
                           exposure levels shall represent
                           concentration levels to which the human
                           population, including sensitive
                           subgroups, may be exposed without
                           adverse effect during a lifetime or part
                           of a  lifetime, incorporating an adequate
                           margin of safety;
                             (2) For known or suspected
                           carcinogens, acceptable exposure levels
                           .are generally concentration levels that
                           represent an excess upper bound
                           lifetime cancer risk to an individual of
                           between 10"* andiO~6 using information
                           on the relationship between dose and
                           response. The 10~srisk level shall be
                           used as the point of departure for
                           determining remediation goals for
                           alternatives when ARARs are not
                           available or are not sufficiently
                           protective because of the presence of
                           multiple contaminants at a site or
                           multiple pathways of exposure;
                              (3) Factors related to technical
                           limitations such as detection/
                           quantification limits for contaminants;
                              [4] Factors related to uncertainty; and
                              (5) Other pertinent-information.
                              (B) Maximum contaminant level goals
                           (MCLGs), established under the Safe
                           Drinking Water Act that are set at
                           levels above  zero, shall be attained by
                           remedial actions for ground or surface
                           waters that are current or potential
                           sources of drinking water, where the
                           MCLGs are relevant and appropriate
                           under the circumstances of the release
                           based on the factors in § 300.400(g){2). If
                           an MCLG is determined not to be
relevant and appropriate^ the
corresponding maximum contaminant
level (MCL) shall be attained where
relevant and appropriate to the
circumstances of the release.
  (CJ Where the MCLG for a
contaminant has been set at a level of
zero, the MCL promulgated for that
contaminant under the Safe Drinking
Water Act shall be attained by remedial
actions for ground or surface waters that
are current or potential sources of
drinking water, where the MCL is
relevant and appropriate under the
circumstances of the release based on
the factors in § 300.400(g)(2).
  (D) In cases involving multiple
contaminants or pathways where
attainment of chemical-specific ARARs
will result in cumulative risk in excess   -
of 10"4, criteria in paragraph (e)(2)(i)(A)
of this section may also be considered
when determining the cleanup level to
be attained.
  (E) Water quality criteria established
under sections 303 or 304 of the Clean
Water Act shall be attained where
relevant and appropriate under the
circumstances of the release.
  (F) An alternate concentration limit
(ACL) may'be established in accordance
with CERCLA section 121(d)(2)(B){ii).
  (G) Environmental evaluations shall
be performed to assess threats to the
environment especially sensitive
habitats and critical habitats of species
protected under the Endangered Species
Act
  (ii) Identify and evaluate potentially
suitable technologies, including
innovative technologies;
  (iii) Assemble suitable technologies
into alternative remedial actions.
  (3) For source control actions, the lead
agency shall develop, as appropriate:
  (i) A range of alternatives in which
treatment that reduces the toxicity,
mobility, or volume of the hazardous
substances, pollutants, or contaminants
is a principal element As appropriate,
this range shall include an alternative
that removes or destroys hazardous
substances, pollutants, or contaminants
to the maximum extent feasible,
eliminating or minimizing, to the degree
possible, the need for long-term
management The lead agency also shall
develop, as appropriate, other
alternatives which, at a minimum, treat
the principal threats posed by the site
but vary in the degree of treatment
employed and the quantities and
characteristics of the treatment
residuals and untreated waste that must
be managed; and
  (ii) One or more alternatives that
involve little or no treatment, but
provide protection of human health and
111

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             Federal Register / VoL 55. No. 46  /  Thursday. March 8, 1990 /  Rules and Regulations      8849
 the environment primarily by preventing
 or controlling exposure to hazardous
 substances, pollutants, or contaminants,
 through engineering controls, for
 example, containment and, as
 necessary, institutional controls to
 protect human health and the
 environment and to assure continued
 effectiveness of the response action.
   (4) For ground-water response actions,
 the lead  agency shall develop a limited
 number of remedial alternatives that
 attain site-specific remediation levels
 within different restoration time periods
 utilizing  one, or more different
 technologies.
   (5) The lead agency shall develop one
 or more innovative treatment
 technologies for further consideration if
 those technologies offer the potential for
 comparable or superior performance or
 impiementability; fewer or lesser
 adverse impacts than other available
 approaches; or lower costs for similar
 levels of performance than
.demonstrated treatment technologies.
   (6) The no-action alternative, which
 may be no further action if some
 removal  or remedial action has already
 occurred at the  site, shall be developed.
   (7) As appropriate, and to the extent
 sufficient information is available, the
 short- and long-term aspects of the
 following three criteria shall be used to
 guide the development and screening of
 remedial alternatives:
   (i) Effectiveness. This criterion
 focuses on the degree to which an
 alternative reduces toxicity, mobility, or
 volume through treatment, minimizes
 residual risks and affords long-term
 protection,  complies with ARARs,
 minimizes short-term impacts, and how
 quickly it achieves  protection.
 Alternatives providing significantly less
 effectiveness than other, more promising
 alternatives may be eliminated.
 Alternatives that do not provide
 adequate protection of human health
 and the environment shall be eliminated
 from further consideration.
   (ii) Impiementability. This criterion
 focuses on the technical feasibility and
 availability of the technologies  each
 alternative would employ and the
 administrative feasibility of
 implementing the alternative.
 Alternatives that are  technically or
 administratively infeasible or that
 would require equipment, specialists, or
 facilities  that are not available within a
 reasonable period of time may be
 eliminated from further consideration.
   (iif) Cost. The costs of construction
 and any long-term costs to operate and
 maintain the alternatives shall be
 considered. Costs that are grossly
 excessive compared to the overall
 effectiveness of alternatives may be
 considered as one of several factors
 used to eliminate alternatives.
 Alternatives providing effectiveness and
 impk'mentability similar to that of
 another alternative by employing a
 similar method of treatment or
 engineering control, but at greater cost,
 may be eliminated.
   (8) The lead agency shall notify the
 support agency of the  alternatives that
 will be evaluated in detail to facilitate
 the identification of ARARs and, as
 appropriate, pertinent advisories.
 criteria, or guidance to be considered.
   (9) Detailed analysis of alternatives.
 (i) A detailed analysis shall be     ,
 conducted on the limited number of
- alternatives that represent viable  |
 approaches to remedial action after
 evaluation in the screening stage. The
 lead and support agencies must identify
 their ARARs related to specific actions
 in a timely manner and no later than the
 early stages of the comparative analysis.
 The lead and support agencies may also,
 as appropriate, identify other pertinent
 advisories, criteria, or guidance in a
 timely manner.
   (ii) The detailed analysis consists of
 an assessment of individual alternaJBves
 against each of nine evaluation criteria
 and a comparative analysis that focuses
 upon the  relative performance of each
 alternative against those criteria.   ;
   (iiij Nine criteria for evaluation. The
 analysis of alternatives under review
 shall reflect the scope and complexity of
 site problems and alternatives being
 evaluated and consider the relative
 significance of the factors within each
 criteria. The nine evaluation criteria are
 as follows:
   (A] Overall protection of human '.
 health and the environment.
 Alternatives shall be assessed to
 determine whether they can adequately
 protect human health and the
 environment,.in both the short- and
 long-term, from unacceptable risks
 posed: by hazardous substances,   '
 pollutants, or contaminants present at
 the site by eliminating, reducing, or ,
 controlling exposures to levels
 established during development of
 remediation goals consistent 'with
 § 300.430(e}(2)"(i). Overall protection of
 human health and the environment
 draws; on the assessments of other '
 evaluation criteria, especially long-term
 effectiveness and permanence, short-
 term effectiveness, and compliance with
 ARARs.                         '•
   (B) Compliance with ARARs. The
 alternatives shall be assessed, to
 determine whether they attain
 applicable or relevant and appropriate
 requirements under federal
 environmental laws and state
 environmental or facility siting laws or
  provide grounds for invoking one of the
  waivers under paragraph (f)(l)(ii](C} of
  this section.
    (C) Long-term effectiveness and
  permanence. Alternatives shall be
  assessed for the long-term effectiveness
  and permanence they afford, along with
  the degree of certainty that the
  alternative will prove successful.
•> Factors that shall be considered, as
  appropriate, include the following:
    (2) Magnitude of residual risk
  remaining from untreated waste or
  treatment residuals remaining at the
  conclusion of the remedial activities.
  The characteristics of the residuals
  should be considered to the degree that
  they remain hazardous, taking into
  account then* volume, toxicity, mobility.
  and propensity to bioaccumulate.
    (2) Adequacy and reliability of
  controls such as containment systems
  and institutional controls that are
  necessary to manage treatment
  residuals and untreated waste. This
  factor addresses in particular the
  uncertainties associated with land
  disposal for providing long-term
  protection from residuals: the
  assessment of the potential need to
  replace technical components of the
  alternative, such as a cap. a slurry wall.
  or a treatment system; and the potential
  exposure pathways and risks posed
  should the remedial action need
  replacement.
    (D) Redaction of toxicity, mobility, or
  volume through treatment The degree to
  which alternatives employ recycling or
  treatment that reduces toxicity, mobility,
  or volume shall be assessed, including
  how treatment is used to address the
  principal threats posed by the site.
  Factors that shall be considered, as
  appropriate, include the following:
   [I] The treatment or recycling
 processes the alternatives employ ana
  materials they will treat;
   (2) The amount of hazardous
  substances, pollutants, or contaminants
  that will-be destroyed, treated, or
  recycled;
   [3} The degree of expected reduction
  in toxicity. mobility, or volume of the
 waste due to treatment or recycling and
 the specification of which reduction(s)
  are occurring:
   [4) The degree to which the treatment
 is irreversible;
   .(5) The type and quantity of residuals
  that will remain following treatment,
 considering the persistence, toxicity,
 mobility, and propensity to
 bioaccumulate of such hazardous
 substances and their constituents: and
   (6) The degree to which treatment
 reduces the inherent hazards  posed by
 principal threats at the site.

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  8850      Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules  and Regulations
   (E) Short-term effectiveness. The
., short-term impacts of alternatives shall
 be assessed considering the following:
   (2) Short-term risks that might be
 posed to the community during
 implementation of an alternative;
   (2) Potential impacts on workers
 during remedial action and the
 effectiveness and reliability of
 protective measures;
   (35 Potential environmental impacts of
" tlie remedial action and the	  ,
 effectiveness and reliability of
 mitlgative measures during
 implementation: and
   (fl Time until protection is achieved.
   (F) Implemcntability. The ease or
 difficulty of implementing the
 alternatives shall be assessed by
 considering the following types of
 factors as appropriate:
   (2) Technical feasibility, including
 technical difficulties and unknowns
 associated with the construction and
 operation of a technology, the reliability
 of the technology, ease of undertaking
 additional remedial actions, and the
 ability to monitor the effectiveness of
 the remedy.
   (2) Administrative feasibility.
 including activities needed to coordinate
 with other offices and agencies and the
 ability and time required to obtain any
 necessary approvals and permits from
 other agencies (for off-site actions];
   (3) Availability of services and
 materials, including the availability of
 adequate off-site treatment storage
 capacity, and disposal capacity and
 services; the availability of necessary
 equipment and specialists, and
 provisions to ensure any necessary
 additional resources; the availability of
 services and materials: and availability
 of prospective technologies.
   (G) Cost. The types of costs that shall
 be assessed include the following:
   (2) Capital costs, including both direct
 and indirect costs:
   (2) Annual operation and maintenance
 costs; and
    (3) Net present value of capital and
 O&M costs.
    (H) State acceptance. Assessment of
 state concerns may ric-t be completed
 until comments on the RI/FS are
 received but may be discussed, to the
 extent possible, in the proposed plan
 issued for public comment The state
 concerns that shall be assessed include
 the following:
    [I] The state's position and key
 concerns related to the preferred
 alternative and other alternatives; and
    (2) State comments on ARARs or the
 proposed use of waivers.
    fl) Community acceptance:. This
 assessment includes determining which
 components of the alternatives
interested persons in the community
support, have reservations about or
oppose. This assessment may not be
completed until comments on the
proposed plan are received.
  (f) Selection of remedy—(!) Remedies
selected shall reflect the scope and
purpose of the actions being undertaken
and how the action relates to long-term,
comprehensive response at the site.
  (i) The criteria noted in paragraph
(e)(9)(iii) of this section are used to
select a remedy. These criteria are
categorized into three groups.
  (A) Threshold criteria. Overall
protection of human health and the
environment and compliance with
ARARs (unless a specific ARAR is
waived) are threshold requirements that
each alternative must meet in order to
be eligible for selection.
  (B) Primary balancing criteria. The
five primary balancing criteria are long-
term effectiveness and permanence;
reduction of toxicity. mobility, or volume
through treatment; short-term
effectiveness; implementability; and
cost
  (C) Modifying criteria. State and
community acceptance are modifying
criteria that shall be considered in
remedy selection.
  (ii) The selection of a remedial action
is a two-step process and shall proceed
in accordance with § 3QO-515(e). First
the lead agency, in conjunction with the
•support agency, identifies a preferred
alternative and presents it to the public
in a proposed plan, for review and
comment. Second, the lead agency shall
review the public comments and consult
with the state (or support agency) in
order to determine if the alternative
remains the most appropriate remedial
action for the site or site problem. The
lead agency, as specified in § 30O515(e).
makes the final remedy selection
decision, which shall be documented in
the ROD. Each remedial alternative
selected as a Superfund remedy will
employ the criteria as indicated in
paragraph (fj{l)(i) of this section to
make the following determination:
  (A) Each remedial action selected
shall be protective of human health and
the environment
  (B) On-site remedial actions selected
in a ROD must attain those ARARs that
are identified at the time of ROD
signature or provide grounds for
invoking a waiver under
 § 300.430(fJ(l](iiXC).
  (2) Requirements Jhat are promulgated
 or modified after ROD signature must be
attained (or waived) only when
 determined to be applicable or relevant
 and appropriate and necessary to ensure
 that the remedy is protective of human
 health and the environment
 - ''£3 Componenl&bf' the remedy not
described in the ROD must attain (or
waive) requirements that are identified
as applicable or relevant and
appropriate at the time the amendment
to the ROD or the explanation of
significant difference describing the
component is signed.
  (C) An alternative that does not meet
an ARAR under-federal environmental
or'state environmental or faculty siting
laws may be selected under the
following circumstances:
  (2) The alternative is an interim
measure and will become part of a total
remedial action that will attain the
applicable or relevant and appropriate
federal or state requirement;
  (2) Compliance with the requirement
will result in greater risk to human
health and 'the environment than other
alternatives;
  {3} Compliance with the requirement
is technically impracticable from an
engineering perspective;
  {4} The alternative will attain a
standard of performance that is
equivalent to that required under the
otherwise applicable standard,
requirement or limitation through use of
another method or approach;
   (5) With respect to a state
requirement the state has not
consistently applied, or demonstrated
the intention to consistently apply, the
promulgated requirement in similar
circumstances at other remedial actions
within the state; or
   (6) For Fund-financed response
actions only, an alternative that attains
the ARAR 'will not provide a balance
between the need for protection of
human health and the environment at
the site and the availability of Fund
monies to respond to other sites that
may present a threat to human health
and the environment.
   (D) Each remedial action selected
shall be cost-effective, provided that it
first satisfies the threshold criteria set
forth in § 300.430(f)(l)(ii) (A) and (B).
Cost-effectiveness is determined by
evaluating the following three of the five
balancing criteria noted in
 § 300.430(fJ(l)(i)(B) to  determine overall
effectiveness: long-term effectiveness
and permanence, reduction of loxicity,
mobility, or volume through treatment
and short-term effectiveness. Overall
effectiveness is then compared to cost to
ensure that  the remedy is cost-effective.
A remedy shall be cost-effective if its
 costs are proportional to its overall
 effectiveness.
   (E) Each remedial action shall utilize
 permanent solutions and alternative
 treatment technologies or resource
 recovery technologies to the maximum

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            Federal Register  / Vol. 55, No. 46 / Thursday. March 8. 1990 / Rules and Regulations
                                                                                                            8851
extent practicable. This requirement
shall be fulfilled by selecting the
alternative that satisfies paragraph
(fj(l)pi) {A] and (B) of this section and
provides the best balance of trade-offs
among alternatives in terms of the five
primary balancing criteria noted in
paragraph (f)(l)(i}(B) of this section. The
balancing shall emphasize long-term
effectiveness and reduction of toxicity.
mobility, or volume through treatment
Hie balancing shall also consider the
preference for treatment as a principal
element and the bias against off-site
land disposal of untreated waste. In
making the determination under this
paragraph, the modifying criteria of  ,
state acceptance and community
acceptance described in paragraph
(f}(l)(i)(C) of this'section shall also be
considered.
  (2) The proposed plan. In the first step
in the remedy selection process, the lead
agency shall identify the alternative that
best meets the requirements in
$ 300.430(f)(l). above, and shall present
that alternative to the public in a
proposed plan. The lead agency, in
conjunction with the support agency and
consistent with § 300.515(e), shall
prepare a proposed plan that briefly
describes the remedial alternatives
analyzed by the lead agency, proposes a
preferred remedial action alternative,
and summarizes the information relied
upon to select the preferred alternative.
The selection of remedy process for an
operable unit may be initiated at any
time during the remedial action process.
The purpose of the proposed plan is to
supplement the RI/FS and provide the
public with a reasonable opportunity to
comment on the preferred alternative for
remedial action, as well as alternative
plans under consideration, and to
participate in the selection of remedial
action at a site. At a minimum, the
proposed plan shall:
  (i) Provide a brief summary
description of the remedial alternatives
evaluated in the detailed analysis
established under paragraph (e)(9) of
this section;
  (ii) Identify and provide a discussion
of the rationale that supports the
preferred alternative;
  (iii) Provide a summary of any formal
comments received from the support
agency; and
  (iv) Provide a summary explanation of
any proposed waiver identified under
paragraph (f)(l)(ii)[C) of this section
from an ARAR.
  (3)' Community relations to support
the selection of remedy, (i) The lead
agency, after preparation of the
proposed plan and review by the
support agency, shall conduct the
following activities:
  (A) Publish a notice of availability
and brief analysis of the proposed plan
in a major local newspaper of general
circulation;
  (B) Make the proposed plan and
supporting analysis and information
available in the administrative record
required under subpart I of this part;
.  (C] Provide a reasonable opportunity,
not less than 30 calendar days, for
submission of written and oral
comments on the proposed plan and the
supporting analysis and information
located in the information repository,
including the RI/FS. Upon timely
request the lead agency will extend the
public comment period by a minimum of
30'additional days;
  (D) Provide the opportunity for a
public meeting to be held during die
public comment period at or near the
site at issue regarding fie proposed plan
and the supporting analysis and
information;
  (E) Keep a transcript of the public
meeting held during the public comment
period pursuant to CERCLA section
117(a) and make such transcript
available to the public; and
  (F) Prepare a written summary of
significant comments, criticisms, and
new relevant information submitted
during the public comment period and
the lead agency response to each issue.
This responsiveness summary shall be
made available with the record of
decision.
  (ii) After publication of the proposed
plan and prior to adoption of the
selected remedy in the record of
decision, if new information is made
available that significantly changes the
basic features of the remedy with
respect to scope, performance, or cost,
such that the remedy significantly
differs from the original proposal in the
proposed plan and the supporting
analysis and information, the lead
agency shall:
  (A) Include a discussion in the record
of decision of the significant changes
and reasons for such changes, if the lead
agency determines such changes could
be reasonably anticipated by the public
based on the alternatives and other
information available in the proposed
plan or the supporting analysis and
information in the administrative record;
or                        :
  (B) Seek additional public comment
on a revised proposed plan, when the
lead agency determines the change
could not have been reasonably
anticipated by the public based on the
information available in the proposed
plan or the supporting analysis and
information in the administrative record.
The lead agency shall, prior to adoption
of the selected remedy in the ROD, issue
a revised proposed plan, which shall
include a discussion of the significant.
changes and the reasons for such
changes, in accordance with the public
participation requirements described in
paragraph (fj(3](ij of this section.
  (4) Final remedy selection, (ij In the
second and final step in the remedy
selection process,-the lead agency shall
reassess its initial determination that
the preferred alternative provides the
best balance of trade-offs, now factoring
in any new information or points of
view expressed by the state (or support
agency) and community during the
public comment period. The lead agency
shall consider state (or support agency)
and community comments regarding the
lead agency's evaluation of alternatives
with respect to the other criteria. These
comments may prompt the lead agency
to modify aspects of the preferred
alternative or decide that another
alternative provides a more appropriate
balance. The lead agency, as specified
in § 300.515(e), shall make the final
remedy selection decision and document
that decision in the ROD.
  [ii) If a remedial action is selected that
results in hazardous substances,
pollutants, or contaminants remaining at
the site above levels that allow for
unlimited use and unrestricted exposure,
the lead agency shall review such action
no less often than every five years after
initiation of the selected remedial
action.
  (iii) The process for selection of a
remedial action at a federal facility on
the NPL, pursuant to CERCLA section
120, shall entail:
  (A) Joint selection of remedial action
by the head of the relevant department
agency, or instrumentality and EPA; or
  (B) If mutual agreement on the remedy
is not reached, selection of the remedy
is made by EPA.
  (5) Documenting the decision, (i) To
support the selection of a remedial
action, all facts, analyses of facts, and
site-specific policy determinations
considered in the course of carrying out
activities in this section shall be
documented, as appropriate, in a record
of decision, in a level of detail
appropriate to the site situation, for
inclusion in the administrative record
required under subpart I of this part
Documentation shall explain how the
evaluation criteria in paragraph
(e)(9)(iii) of this section were used to
select the remedy.
  (ii) The ROD shall describe the
following statutory requirements as they
relate to the scope and objectives of the
action:
  (A) How the selected remedy is
protective of human health and the

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   8852
              federal Register / Vol. 55. No. 48 / Thursday, March 6. 1990 / Rules and Regulations
   environment, explaining how the
   remedy eliminates, reduces, or controls
   exposures to human and environmental
:   leceptdS;	
    (BJ Tie federal and state requirements
   that are applicable or relevant and
   appropriate to the site that the remedy
   Will attain;
    (Q Hie applicable or relevant and
   appropriate requirements of other
   federal and state laws that the remedy
   wall not meet, the waiver invoked, and
   the justification for invoking the waiver;
    (D) How the remedy is cost-effective,
   Le., explaining how the remedy provides
   overall effectiveness proportional to its
   costs;  		
    (E) How the remedy utilizes'
  permanent solutions and alternative
  treatment technologies or resource
  recovery technologies to the maximum
  extent practicable; and
    (F) Whether the preference for
  remedies employing treatment which
  permanently and significantly reduces
  the toxiciry, mobility, or volume of the
  hazardous substances, pollutants, or
  contaminants as a principal element is
  or is not satisfied by the selected
  remedy. If this preference is not
  satisfied, the record of decision must
  explain why a remedial action involving
  ouch reductions in toxiciry. mobility, or
  volume was not selected.
    (iii) The ROD also shall:
    (A) Indicate, as appropriate, the
  remediation goals, discussed in
  paragraph (e)(2)(i) of this section, that
  the remedy is expected to achieve.
  Performance shall be measured at
  appropriate locations in the ground
i  water, surface water, soils, air. and
  Other affected environmental media.
  Measurement relating to the
  performance of the treatment processes
  and the engineering controls may also
 be identified, as appropriate;
   (B) Discuss significant changes and
 the response to comments described in
 paragraph (f](3){i)(F] of this section;
   (C) Describe whether hazardous
- substances, pollutants, or contaminants
 will remain at the site such that a
 rfeyiew of Jhe remedial action under
 paragraph (f)(4)(ii) of this Mection no less
 often than every five years shall be
 required; and
   (D) When appropriate, provide a
* commitment for further analysis and
 selection of long-term response
 measures within an appropriate tune-
 frame.
   (8)  Community relations when the
record of decision is signed. After the
ROD  is signed, the lead agency shall:
   (i) Publish a notice of the availability
of the ROD in a major local newspaper
of general circulation: and
    (si) Make the record of decision
  available for public inspection and
  copying at or near the facility at issue
  prior to the commencement of any
  remedial action.

  §300.435  Renwdlal
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            Federal Register / Vol. 55.  No. 46 / Thursday, March 8. 1990 / Rules and Regulations
                                                                                                            8853
affiliates, as potentially responsible
parties at the site.
  (ii) Require potential prime
contractors to certify that, to the best of
their knowledge, they and their potential
subcontractors, parent companies, and
affiliates have disclosed all information
described in § 300.435fd)(l)(i) or that no
such information exists, and that any
such information discovered after
submission of their bid or proposal or
contract award will be disclosed
immediately.
  (2) Prior to contract award,  the lead
agency shall evaluate the information
provided by the potential prime
contractors and:
  (i) Determine whether they have
conflicts of interest that could
significantly impact the performance of
the contract or the liability of potential
prime contractors or subcontractors.
  (ii) If a potential prime contractor or
subcontractor has a conflict of interest
that cannot be avoided or otherwise
resolved, and using that potential prime
contractor or subcontractor to conduct
RD/RA or O&M work under a Fund-
financed action would not be  in the best
interests of the state or federal
government, an offerer or bidder
contemplating use of that prime
contractor or subcontractor may be
declared nonresponsible or ineligible for
award in accordance with appropriate
acquisition regulations, and the contract
may be awarded to the next eligible
offerer or bidder.
  (e) Recontracting. (1) If a Fund-
financed contract must be terminated
because additional work outside the
scope of the contract is needed, EPA is
authorized to take appropriate steps to
continue interim RAs as necessary to
reduce risks to public health and the
environment. Appropriate steps may
include extending an existing contract
for a federal-lead RA or amending a
cooperative agreement for a state-lead
RA. Until the lead agency can reopen
the bidding process and recontract to
complete the RA. EPA may take such
appropriate steps as described above to
cover interim work to reduce such risks,
where:
  (i) Additional work is found to be
needed as a result of such unforeseen
situations as newly discovered sources,
types, or quantities of hazardous
substances at a facility: and
  (ii) Performance of the complete RA
requires the lead agency to rebid the
contract because the existing contract
does not encompass this newly
discovered work.
  (2) The cost of such interim actions
shall not exceed $2 million.
  (f) Operation and maintenance. fl)
Operation and maintenance (O&M)
measures are initiated after the remedy
has achieved the remedial action
objectives and remediation goals in the
ROD, and is determined to be '
operational and functional, except for
jground- or surface-water restoration
actions covered under § 300.435(f}(4). A
state must provide its assurance to
assume responsibility for O&M.
Including, where appropriate,
requirements for maintaining ;
{institutional controls, under § 300.510(c).
  (2) A remedy become:! "operational
iand functional" either one year after
construction is complete:, or when the
iremedy is determined concurrently by
IEPA and the state to be functioning
jproperly and is performing as designed,
whichever is earlier. EPA may grant
extensions to the one-year period, as
appropriate.
  (3) For Fund-financed remedial
actions involving treatment or .other
measures to restore ground- or surface-
water quality to a level Jhat assures
{protection of human health and the
environment, the operation of such
treatment or other measures for a period
of up to 10 years after the remedy
becomes operational and functional will
be considered part of the remedial
action. Activities required to maintain
the effectiveness of'such treatment or
measures following the 10-year period,
or after remedial action is complete,
whichever is earlier, shall be considered
O&M. For the purposes of federal
:Funding provided under CERCLA section
104(c](6), a restoration activity will be
considered administratively "complete"
when:
  (i) Measures restore ground- or
surface-water quality to a level that
assures protection of human health and
the environment;
  (ii) Measures restore ground or
surface water to such a point that
reductions in contaminant
concentrations are no longer significant;
or               '
  (iii) Ten years have elapsed,
whichever is earliest.        •
  (4) The following shall not be deemed
to constitute treatment or other
measures to restore contaminated
.ground or surface water under
§ 300.435(f)(3):
  (i) Source control maintenance
measures; and
  (ii) Ground- or surface-water
measures initiated for the primary
purpose of providing a drinking-water
supply, not for the purpose of restoring
ground water.
 § 300.440  Procedures for planning and
 implementing off-site response actions
 [Reserved].

 Subpart F—State Involvement in
 Hazardous Substance Response

 §300.500  General.
   (a) EPA shall ensure meaningful and
 substantial state involvement in
 hazardous substance response as
 specified  in this subpart EPA shall
 provide an opportunity for state
 participation in removal, pre-remedial,
 remedial, and enforcement response
 activities. EPA shall encourage states to
 enter into an EPA/state Superfund
 Memorandum of Agreement (SMOA)
 under § 300.505 to increase state
 involvement and strengthen the EPA/
 state partnership.
   (b) EPA shall encourage states to
 participate in Fund-financed response in
. two ways. Pursuant to 5 300.515(a),
 states may either assume the lead
 through a cooperative agreement for the
 response  action or may be the support'
 agency in EPA-lead remedial response.
 Section 300.515 sets forth requirements
 for state involvement in EPA-lead
 remedial  and enforcement response and
 also addresses comparable
 requirements for EPA involvement in
 state-lead remedial and enforcement
 response. Section 300.320 specifies
 requirements for state involvement in
 EPA-lead enforcement negotiations.
 Section 300.525 specifies requirements
 for state involvement in removal
 actions. In addition to the requirements
 set forth in this subpart. 40 CFR part 35.
 subpart O. "Cooperative Agreements
 and Superfund State Contracts for
 Superfund Response Actions," contains
 further requirements-for state
 participation during response.

 §300.505  EPA/State Superfund
 Memorandum of Agreement (SMOA).
   (a) The SMOA may establish the
 nature and extent of EPA and state
 interaction during EPA-lead and state-
 lead response (Indian tribes meeting the
 requirements of § 300.515(b) may be
 treated as states for purposes of this
 section). EPA shall enter into SMOA
 discussions if requested by a state. The
 following may be addressed in a SMOA:
   (1) The EPA/state or Indian tribe
 relationship for removal, pre-remedial.
 remedial, and enforcement response.
 including a description of the roles and
 the responsibilities of each.
   (2) The general requirements for EPA
 oversight. Oversight requirements may
 be more specifically defined in
 cooperative agreements.
   (3) The general nature of lead and
 support agency interaction regarding the

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I'll':!"	yc1
                                                                                        	!	"1	
                                                                                                                      	imp	(	I
     885A
                        Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rules  and Regulations
    reviewof key documents and/or
    decision points in removal, pre-
    remedial, remedial, and enforcement
    response. The requirements for EPA and
    state review of each other's key
 ;: .. documents when each is serving as the
    support agency snail be'equivalent to
    the extent practicable. Review times
    agreed loin the SMOA must also be
    documented in site-specific cooperative
    agreements or Superfund state contracts
    in order to be binding.
      (4) Procedures for modification of the
    SMOA (e.g., if EPA and a state agree
    that the lead and support agency roles
    «nd responsibilities nave changed, or if
    modifications are required to achieve
    desired goals).
   •   (b) The SMOA and any modifications
    thereto shall be executed by the EPA
    Regional Administrator and the head of
    the state agency designated as lead
    agency for state implementation of
    CERCLA.
      (c) Site-specific agreements entered
    tote pursuant to section 104[d](l) of
    CERCLA shall be developed in
    accordance with 40 CFR part 35, subpart
    O. The SMOA shall not supersede such
    agreements. '  '
      (d)(l) EPA and the state shall consult
    annually to determine priorities and
    make lead and support agency
    designations for removal, pre-remedial.
    remedial, and enforcement response to
    be conducted during the next fiscal year
    and to discuss future priorities and long-
    term requirements for response. These
    consultations shall include the exchange
   of information on both Fund- and npn-
   Fund-financed response activities. The
   SMOA may describe the timeframe and
   process for the EPA/state consultation.
     (2) The following activities shall be
   discussed in the EPA/state
   consultations, established in the SMOA,
   or otherwise initiated and documented
   In writing in the absence of a SMOA, on
   a site-specific basis with EPA and the
   state identifying the lead agency for
   each response action discussed:
     (i) Pre-remedial response actions,
   including preliminary assessments and
   site inspections;
     (ii) Hazard Ranking System scoring
   and NFL listing and deletion activities:
     (iii) Remedial phase activities.
   including remedial investigation/
   feasibility study, identification of
   potential applicable or relevant and
   appropriate requirements (ARARs)
   under fed|eral'and state .environmental
   laws and. as appropriate, other
   advisories, criteria, or guidance to be
   considered fTBCs), proposed plan, ROD,
   remedial design, remedial action, and
  operation and maintenance;
     (iv) Potentially responsible party
  (PRP) searches, notices to PRPs,
  response to information requests. PRP
  negotiations, oversight of PRPs, other
  enforcement actions pursuant to state
  law, and activities where the state
  provides support to EPA;
   (v) Compilation and maintenance of
  the administrative record for selection
  of a response action as required by
  subpart I of this part;
   (vi) Related site support activities:
   (vii) State ability to share in the cost
  and timing of payments; and
   (viii) General CERCLA
  implementation activities.
   (3) If a state is designated as the lead
 agency for a non-Fund-financed action
 at an.NPL site, the SMOA shall be
 supplemented by site-specific
 enforcement agreements between EPA
 and the state which specify schedules
 and EPA involvement.
   (4) In the absence of a SMOA, EPA
 and the state shall comply with the
 requirements in § 30O515(b.}. If the
 SMOA does not address all of the
 requirements specified in § 300.515(h),
 EPA and the state shall comply with any
 unaddressed requirements in that
 section.

 §300.510  State assurances.
   (a) A Fund-financed remedial action
•undertaken pursuant to CERCLA section
 104(a) cannot proceed unless a state
 provides its applicable required
 assurances. The assurances must be
 provided fay the state prior to the
.initiation of remedial action pursuant to
 a Superfund state contract for EPA-lead
 (or political subdivision-lead] remedial
 action or pursuant to a cooperative
 agreement for a state-lead remedial
action. The SMOA may not be used for
this purpose. Federally recognized
Indian tribes are not required to provide
CERCLA section 104(c)(3) assurances
for Fund-financed response actions.
Further requirements pertaining to state,
political subdivision, and federally
recognized Indian tribe involvement in
CERCLA response are found in 40 CFR
part 35. subpart O.
  (b)[l) The state  is not required to
share in the cost of state- or EPA-lead
Fund-financed removal actions
(including remedial planning activities
associated with remedial actions]
conducted pursuant to CERCLA section
104 unless the facility was operated by
the state or a political subdivision
thereof at the time of disposal of
hazardous substances therein and a
remedial action is ultimately undertaken
at the site. Such remedial planning
activities include,  but are not limited to,
remedial investigations (RIs), feasibility
studies (FSs), and  remedial design (RD).
States shall be required to share 50
percent, or greater, in the cost of all

  Fund-financed response actions if the
  facility was publicly operated at the
  time of the disposal of hazardous
  substances. For other faculties, except
  federal facilities, the state shall be
  required to share 10 percent of the cost
  .of the remedial action.
    (2) CERCLA section 104(c}(5] provides
  that EPA shall grant a state credit for
  reasonable, documented, direct, out-of-
  pocket, non-federal expenditures subject
  to the limitations specified in CERCLA
  section 104(c)(5). For a state to apply
  credit toward its cost share, it must
  enter into a cooperative agreement or
  Superfund state contract. The state must
  submit as soon as possible, but no later
  than at the time CERCLA section 104
  assurances are provided for a remedial
  action, its accounting of eligible credit
  expenditures for EPA verification.
  Additional credit requirements are
  contained in 40 CFR part 35, subpart O.
    (3] Credit may be applied to a state's
  future cost share requirements at NPL
  sites for response expenditures or
  obligations incurred by the state or a
  political subdivision from January 1,
  1978 to December 11,1980, and for the
  remedial action expenditures incurred
  only by the state after October 17.1986.
    (4] Credit that exceeds the required
  cost share at the site for which the credit
  is granted may be transferred to another
  site to offset a state's required remedial
  action cost share.
    (c)(l) Prior to a Fund-financed
 remedial action, the state must also
 provide its assurance in accordance
 with CERCLA section 104(c](3)(A) to
 assume responsibility for operation and
 maintenance of implemented remedial
 actions for the expected life of such
 actions. In addition, when appropriate,
 as part of the O&M assurance, the state
 must assure that any institutional
 controls implemented as part of the
 remedial action at a site are in place,
 reliable, and will remain in place after
 the initiation of O&M. The state and
 EPA shall consult on a plan for
 operation and maintenance prior to the
 initiation of a remedial action.
•'- (2] After a joint EPA/state inspection
 of the implemented Fund-financed
 remedial action under § 300.515(g], EPA
 may share, for a period of up to one
 year, in the cost of the operation of the
 remedial action to ensure that the
 remedy is operational and functional In
 the case of the restoration of ground or
 surface water, EPA shall share in the
 cost of the state's operation of ground-
 or surface-water restoration remedial
 actions as specified in § 300.435(f}(3).
   (d) hi accordance with CERCLA
 sections 104 (c}(3)(B) and 12t(d)(3), if the
 remedial action requires off-site storage.

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            Federal Register / Vol. 3>5. No. 46 / Thursday. March 8. 1990 / Rules and Regulations
                                                                                                           8855
destruction, treatment or disposal, the
state must provide its assurance before
the remedial action begins on the
availability of a hazardous waste
disposal facility that is in compliance
with CERCLA section 121(d}(3} and is
acceptable to EPA.       	
  (e)(lj In accordance with CERCLA
section 104(c)[9). EPA shall not provide
any remedial action pursuant to
CERCLA section 104 until the state in
which the release occurs enters into a
cooperative agreement or Supetfund
state contract with EPA providing
assurances deemed adequate by EPA
that the state will assure the availability
of hazardous waste treatment or
disposal facilities which:
  (i) Have adequate capacity for the
destruction, treatment or secure
disposition of all hazardous wastes that
are reasonably expected to be generated
within the state during the 20-year
period following the date of such
cooperative agreement or Superfund  .
state contract and to be destroyed,  '
treated, or disposed;
  pi) Are within the state, or outside the
state in accordance with an interstate
agreement or regional agreement or
authority;
  (iii) Are acceptable to EPA: and
  (iv) Are in compliance with the
requirements of Subtitle C of the Solid
Waste Disposal Act.
  (2) This rule does not address whether
or not Indian tribes are states for  .
purposes of this paragraph (e).
  (f) EPA may determine that an interest
in real property must be acquired in
order to conduct a response  action. As a
general rule, the state in which the
property is located must agree to
acquire and hold the necessary property
interest  including any interest in
acquired property that is needed to
ensure the reliability of institutional
controls  restricting the use of that
property. If it is necessary for the United
States government to acquire the
interest in property to permit
implementation of the response, the
state must accept transfer of the
acquired interest on or before the
completion of the response action.

§ 300.515 Requirements for slat*
involvement to remedial and «nforc«n«nt
response.
   (a) General (1) States are encouraged
to undertake actions authorized under
subpart E. Section 104(d}(I]  of CERCLA
authorizes EPA to enter into cooperative
 agreements or contracts with a state.
political subdivision, or a federally
 recognized Indian tribe to carry out
 Fund-financed response actions
 authorized under CERCLA, when EPA
 determines that the state, the political
' subdivision, or federally recognized
 Indian tribe has the capability to
 undertake such actions. EPA will use a
 cooperative agreement to transfer funds
 to those entities to undertake Fund-
 financed response activities. The
 requirements for states, political
 subdivisions, or Indian tribes to receive
 funds as a lead or support agency for
 response are addressed at 40 CFR part
 35, subpart O.
   (2) For EPA-lead Fund-financed
 remedial planning activities, including,
 but not limited to, remedial
 investigations, feasibility studies, and
 remedial designs, the ntate agency
 acceptance of the support agency role
 during an EPA-lead response shall be
 documented in a letter, SMOA, or
 cooperative agreement Superfund state
 contracts are unnecessary for this
 purpose.
   (3} Cooperative agreements and
 Superfund state contracts are only
 appropriate for non-Fund-financed
 response actions if a state intends to
 seek credit for remedial action expenses
 under § 300.510.
   (b) Indian tribe involvement daring
 response. To be afforded substantially
 the same treatment as states under
 section 104 of CERCLA, the governing
 body of the Indian tribe must
   (1) Be federally recognized; and
   (2) Have a tribal governing body that
 is currently performing governmental .
 functions to promote the health, safety,
 and welfare of the affected population
 or to protect the environment within a
 defined geographic area; and
   (3) Have jurisdiction over a site at
 which Fund-financed response,
 including pre-remedial activities, is
 contemplated.
   (c) State involvement in PA/SI and
 National Priorities List process. EPA
 shall ensure state involvement in the
 listing and deletion process by providing
 states opportunities for review,
 consultation, or concurrence specified in
 this section.
   (1) EPA shall consult with1 states as
 appropriate on the information to be
 used in developing HRS scores for
 releases.
   (2) EPA shell, to the extent feasible,
 provide the state 30 working days to
 review releases which were scored by
 EPA and which will be considered for
 placement on the National Priorities List
  (NPL).
    (3] EPA shall provide the state 30
  working days to review and concur on
  the Notice of Intent to Delete a release
  from the NPL. Section 300.425 describes
  the EPA/state consultation and
  concurrence process JFor deleting
  releases from the NPL.
  (d) State involvement in Rl/fS
process. A key component of the EPA/
state partnership shall be the
communication of potential federal and
state ARARs and, as appropriate, other
pertinent advisories, criteria, or
guidance to be considered (TBCs).
  (1) In accordance with 5 S 300.400(g]
and 300.430. the lead and support
agencies shall identify their respective
potential ARARs and communicate
them to each other in a timely manner,
Le-, no later than the early stages of the
comparative analysis described in
5 300.430[e)(9), such that sufficient time
is available for the lead agency to
consider and incorporate all potential
ARARs without inordinate delays and
duplication of effort The lead and
support agencies may also identify TBCs
and communicate them in a timely
manner.
  (2) When a state and EPA have
entered into a SMOA. the SMOA may
specify a consultation process which
requires the lead agency to solicit
potential ARARs at specified points in
the remedial planning and remedy
selection processes. At a minimum, the
SMOA shall include the points specified
in § 300.515(h)(2). The SMOA shall
specify timeftames for support agency
response to lead agency requests to
ensure that potential ARARs are
identified and communicated in a timely
manner. Such timeframes must also be
documented in site-specific agreements.
The SMOA may also discuss
identification and communication of
TBCs.
   (3) If EPA in its statement of a
proposed plan intends to waive any
state-identified ARARs. or does not
agree with the state that a certain state
standard is an ARAR. it shall formally
notify the state when it submits the RI/
.FS report for state review or responds to
the state's submission of the RI/FS
report
   (4) EPA shall respond to state
comments on •waivers from or
disagreements about state ARARs, as
well as the preferred alternative when
making the RI/FS report and proposed
plan available for public comment
   (e) State involvement in selection of
remedy. (1) Both EPA and the state shall
 be involved in preliminary discussions
 of the alternatives addressed in the FS
 prior to preparation of the proposed plan
 and ROD. At the conclusion of the RI/
 FS, the lead agency, in conjunction with
 the support agency, shall develop a
 proposed plan. The support agency shall
 have an opportunity to comment on the
 plan. The lead agency shall publish a
 notice of availability of the RI/FS report
 and a brief analysis of the proposed

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     8856      Federal Register / Vol. 55. No. 46 / Thursday, March  8. 1990 / Rules and Regulations
    plan pursuant to § 300.430(e] and {£).
    Included in the proposed plan shall be a
    statement that the lead and support
    agencies have reached agreement or.
. i i   where this is not the case, a statement
1 "  explaining the concerns of the support
    agency with the lead agency's proposed
    plan. The a tale may not publish a
    proposed plan that EPA has not
    approved. EPA may assume the lead
    from the state if agreement cannot be
 ! -"reached! ......................
      (2j{i) EPA and the state shall identify.
    at least annually, sites for which RODs
    will be prepared during the next fiscal
    year, in accordance with § 30a515(h)(l).
    For all EPA-lead sites. EPA shall
    prepare the ROD and provide the state
    an opportunity to concur with the
    recommended remedy. For Fund-
  • financed state-lead si{es. EPA and the
    state shall designate sites, in a site-
    specific agreement, for which the state
    •hall prepare the ROD and seek EPA's
    concurrence and adoption of the remedy
    specified therein, and sites for which
    EPA shall prepare the ROD and seek the
    state's concurrence. EPA and the state
    may designate sites for which the state
    shall prepare the ROD for non-Fund-   •
    financed state-lead enforcement
    response actions [i.e.. actions taken
    under state law} at an NPL site. The
    state may seek EPA's concurrence in the
    remedy specified therein. Either EPA or
    the state may choose not to designate a
    site as state-lead.
     (ii) State concurrence on a ROD is not
    « prerequisite to EPA's selecting a
    remedy, le, signing a ROD. nor is EPA's
    concurrence a prerequisite to a state's
    selecting a remedy at a non-Fund-
 i   financed state-lead enforcement site
    under state law. Unless EPA's Assistant
                   ii
   Emergency Response or Regional
   Administrator concurs in writing with a
   state-prepared ROD. EPA shall not be
   deemed to have approved the state
   decision, A state may not proceed with
   a Fund-financed response action unless
   EPA has first concurred in and adopted
   the ROD, Section 30O510(a] specifies
   limitations on EPA's proceeding with a
   remedial action without state
 : .. .assurancjes. ....................................... _
     (Hi) The lead agency shall provide the
   support agency with a copy of the
 n »igned ROD for remedial actions to be
   conducted pursuant to CERCLA.
     pv) On state-lead sites identified for
   EPA concurrence, the state generally
   •hall be expected to maintain its lead
   igency status through the completion of
   the remedial action.
     (f) Enhancement of remedy. (I) A
   state may ask EPA to make changes in
   or expansions of a remedial action
   selected under subpart E.
    (i) If EPA finds that the proposed
  change or expansion is necessary and
  appropriate to the EPA-selected
  remedial action, the remedy may be
  modified (consistent with
  § 300.435(c)(2)) and any additional costs
  paid as part of the remedial action.
   (ii) If EPA finds that the proposed
  change or expansion is not necessary to
  the selected remedial action, but would
  not conflict or be inconsistent with the
  EPA-selected remedy. EPA may agree to
  integrate the proposed change or
  expansion into the planned CERCLA
  remedial work if:
   (A) The state agrees to fond the entire
  additional cost associated with the
  change or expansion; and
   (B) The state agrees to assume the
  lead for supervising the state-funded
*  component of the remedy or, if EPA
  determines that the state-funded
  component cannot be conducted as a
  separate phase or activity, for
  supervising the remedial design and
  construction of the entire remedy.
   (2] Where a state does not concur in a
  remedial action secured by EPA under
  CERCLA section 106, and the state
  desires to have the remedial action
  conform to an ARAR that has been
  waived under § 300.430[fJ(l)(iiJf.C}, a
  state may seek to have that remedial
  action so conform, in accordance with
  the procedures set out in CERCLA
  section 121[f)(2).
   (g) State involvement in remedial
 design/remedial action. The extent and
 nature of state involvement during
 remedial design and remedial action
•shall be specified in site-specific
 cooperative agreements or Superfund
 state contracts, consistent with 40 CFR
 part 35. subpart O. For Fund-financed
 remedial actions, the lead and support
 agencies shall conduct a joint inspection
 at the conclusion of construction of the
 remedial action to determine that the
 remedy has been constructed in
 accordance with the ROD and with the
 remedial design.
   (hj Requirements for state
involvement in absence ofSMOA. In the
 absence of a SMOA. EPA and the state
shall comply with the requirements in
 § 300.51S(h). If the SMOA does not
address all of the requirements specified
in § 300.515(h), EPA and the state shall
comply with any unaddressed
requirements in that section.
   (1) Annual consultations. EPA shall
conduct consultations with states at
least annually to establish priorities and
identify and document in writing the
lead for remedial and enforcement
response for each NPL site within the
state for the upcoming fiscal year. States
shall be given the opportunity to
participate in long-term planning efforts
 for remedial and enforcement response
 during these annual consultations.
   (2) Identification ofARARs and TBCs.
 The lead and support agencies shall
 discuss potential ARARs during the
 scoping of the RI/FS. The lead agency
 shall request potential ARARs from the
 support agency no later than the time
 that the site characterization data are
 available. The support agency shall
 communicate in writing those potential
 ARARs to the lead agency within 30
 working days of receipt of the lead
 agency request for these ARARs. The
 lead and support agencies may also
 discuss and communicate other
 pertinent advisories, criteria, or
 guidance to be considered (TBCs). After
 the initial screening of alternatives has
 been completed but prior to initiation of
 the comparative analysis conducted
 during the detailed analysis phase of the
 FS. the lead agency shall request that
 the support agency communicate any
 additional requirements that are
 applicable or relevant and appropriate
 to the alternatives contemplated within
 30 working days of receipt of this
 request The lead agency shall (hereafter
 consult the support agency to erasure
 that identified ARARs and TBCs are
 updated as appropriate.
   (3) Support agency review of lead
 agency documents. The lead agency
 shall provide the support agency an
 opportunity to review and comment  on
 the RI/FS, proposed plan, ROD, and
 remedial design, and any proposed
 determinations on potential ARARs  and
 TBCs. The support agency shall have a
 minimum of 10 working days and a
 maximum of 15 working days to provide
 comments to the lead agency on the RI/
 FS. ROD. ARAR/TBC determinations,
 and remedial design. The support  -
 agency shall have a minimum of five
 working days and a maximum of 10
 working days to comment on the
 proposed plan.
   (i) Administrative record
 requirements. The state, where it is the
 lead agency for a Fund-financed site,
 shall compile and maintain the
 administrative record for selection of a
 response action under subpart I of this
 part unless specified otherwise in the
 SMOA.

 §300.520 Stete Involvement In EPA-toad
 enforcement negotiations.
  (a) EPA shall notify states of response
 action negotiations  to be conducted by
EPA with .potentially responsible parties
during  each fiscal year.
  (fa) The state must notify EPA of such
negotiations in which it intends to
participate.

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            Federal Register / Vol. 55. No. 46  / Thursday. March 8. 1990 / Rules and Regulations      8857
  (c) The state is not foreclosed from
signing a consent decree if it does not
participate substantially in the
negotiations.

§ 300.525 State involvement In removal
actions.
  (a) States may undertake Fund-
financed removal actions pursuant to a
cooperative agreement with EPA. State-
lead removal actions taken pursuant to
cooperative agreements must be
conducted in accordance with § 300.415
on removal actions, and 40 CFR part 35,
subpart O.
  (b) States are not required under
section 104[c)(3) of CERCLA to share in
the cost of a Fund-financed removal
action, unless the removal is conducted
at an NPL site that was operated by a
state or political subdivision at the time
of disposal of hazardous substances
therein and a Fund-financed remedial
action is ultimately undertaken at the
site. In this situation, states are required
to share, 50 percent or greater, in the
cost of all removal (including remedial
planning) and remedial action costs at
the time of the remedial action.
  (c) States are encouraged to provide
for post-removal site control as
discussed in § 300.415(k) for all Fund-
financed removal actions.
  (d) States shall be responsible for
identifying potential state ARARs for all
Fund-financed removal actions and for
providing such ARARs to EPA in a
timely manner for all EPA-lead removal
actions.
  (e) EPA shall consult with a state on
all removal actions to be conducted in
that state.

Subpart G—Trustees for Natural
Resources

§ 300.600 Designation of federal trustees.
  (a] The President is required to
designate in the National Contingency
Plan those federal officials who are to
act on behalf of the public as trustees
for natural resources. Federal officials
so designated will act pursuant to
section 107(f) of CERCLA and section
311(f)(S) of the Clean Water Act. Natural
resources include:
  (1) Natural resources over which the
United States has sovereign rights; and
  (2) Natural resources within the
territorial sea. contiguous zone.
exclusive economic zone, and outer
continental shelf belonging to. managed
by, held in trust by, appertaining to,  or
otherwise controlled (hereinafter
referred to as "managed or protected")
by the United States.
  (b) The following individuals shall be
the designated trustee(s) for general
categories of natural resources. They are
authorized to act pursuant to section
107(f) of CERCLA or section 31I(f)[5) of
the Clean Water Act when there is
injury to, destruction of. loss of, or
threat to natural resources as a result of
a release of a hazardous substance or a
discharge of oil. Notwithstanding the
other designations in this section, the
Secretaries of Commerce and the
Interior shall act as trustees of those
resources subject to their respective
management or protection.
  (1) Secretary of Commerce. The
Secretary of Commerce shall act as
trustee for natural resources managed or
protected by the Department of
Commerce or by other federal agencies
and that are found in or under waters
navigable by deep draft vessels, in or
under tidally influenced waters, or
waters of the contiguous zone, the
exclusive economic zone, and the outer
continental shelf, and in upland areas
serving as habitat for marine mammals
and other protected species. However,
before the Secretary takes an action
with respect to an affected resource
under the management or protection of
another federal agency, he shall
whenever practicable, seek to obtain the
concurrence of that other federal
agency. Examples of the Secretary's
trusteeship include marine fishery
resources and their supporting
ecosystems: anadromous fish; certain
endangered species and marine
mammals: and National Marine
Sanctuaries and Estuarine Research
Reserves.
  (2) Secretary of the Interior.fhe
Secretary of the Interior.shall act as
trustee for natural resources managed or
protected by the Department of the
Interior. Examples of the Secretary's
trusteeship include migratory birds:
certain anadromous fish, endangered
species, and marine mammals; federally
owned minerals; and certain federally
managed water resources. The Secretary
of the Interior shall also be trustee for
those natural resources for which an
Indian tribe would otherwise act as
trustee in those cases where the United
States acts on behalf of the Indian tribe.
  (3) Secretary for the land managing
agency.. For natural resources located
on, over, or under land administered by
the United States, the trustee shall be
the head of the Department in which the
land managing agency is found. The
trustees for the principal federal land
managing agencies are the Secretaries of
the Department of the Interior, the
Department of Agriculture, the
Department of Defense, and the
Department of Energy.       ;
  (4) Head of authorized agencies. For
natural resources located in the United
States but not otherwise described in
this section, the trustee shall be the head
of the federal agency or agencies
authorized to manage or protect  those
resources.

§300.605 State trustees.
  State trustees shall act on behalf of
the public as trustees for natural
resources within the boundary of a state
or belonging to, managed by, controlled
by. or appertaining to such state. For the
purposes of subpart G of this part, the
definition of the term "state" does not
include Indian tribes.  .-

§300.610 Indian tribe*.
  The tribal chairmen (or heads of the
governing bodies) of Indian tribes, as
defined in § 300.5, or a person
designated by the tribal officials, shall
act on behalf of the Indian tribes as
trustees for the natural resources
belonging to. managed by, controlled by,
or appertaining to such Indian tribe, or
held in trust for the benefit of such
Indian tribe, or belonging to a member
of such Indian tribe, if such resources
are subject to a trust restriction on
alienation. When the tribal chairman or
head of the tribal governing body
designates another person as trustee,
the tribal chairman or head of the tribal
governing body shall notify the
President of such designation. Such
officials are authorized to act when
there is injury to, destruction of, loss of,
or threat to natural resources as a result
of a release of a hazardous substance.

§300.615 Responsibilities of trustees.
  (a) Where there are multiple trustees.
because of coexisting or contiguous
natural resources or concurrent
jurisdictions, they should coordinate
and cooperate in carrying out these
responsibilities.
  (b) Trustees are-responsible for
designating to the RRTs, for inclusion in
the Regional Contingency Plan,
appropriate contacts to receive
notifications from the OSCs/RPMs of
potential injuries to natural resources.
  (c) Upon notification or discovery of
injury to, destruction of. loss of, or
threat to natural resources, trustees
may. pursuant to section 107(f) of
CERCLA or section 311(f)(5) of the Clean
Water Act take the following or other
actions as appropriate:
  (1) Conduct a preliminary survey of
the area affected by the discharge or
release to determine if trust resources
under their jurisdiction are, or
potentially may be, affected;
• (2) Cooperate with the OSC/RPM in
coordinating assessments,
investigations, and planning;
  (3) Carry out damage assessments; or

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      8858       Federal Register / Vol. 55, No. 46 / Thursday. March 8. 1990 / Rules and Regulations
        (4) Devise and cany out a plan for
      restoration, rehabilitation, replacement,
      or acquisition of equivalent natural
     " resources. In assessing damages to
      natural resources, the federal, state, and
      Indian tribe trustees have the option of
      following the procedures for natural
      resource damage assessments located at
, .i!!' .,!•
        (d) The authority of federal trustees
      includes, but is not limited to the
      following actions:
        (1) Requesting that the Attorney
      General seek compensation from the
      responsible parties for the damages
      assessed and for the costs of an
      assessment and of restoration planning;
      and   	'	 -
        (2) Participating in negotiations
      between the United States and
      potentially responsiblef parties {PRPs) to
      obtain PjRJP-financed or PRP^cpnducted
      assessments and restorations for injured
      resources or protection for threatened
      resources and to agree to covenants not
      to sue, where appropriate.
    *    (3) Requiring, in consultation  with the
   •   lead agency, any person to comply with
      the requirements of CERCLA section
      104{e) regarding information gathering
      and access.
        (e) Actions which may be taken by
      any trustee pursuant to section  107(f) of
      CERCLA or section 311(fj(S) of the Clean
      Water Act include, but are not limited
      to. any of the following:
       (1) Requesting that an authorized
      agency issue an administrative  order or
      pursue injunctive relief against the
      parties responsible for the discharge or
      release; or
       (2) Requesting that the lead agency
      remove, or arrange for the removal of, or
      provide for remedial action with respect
      to, any hazardous substances from a
      contaminated medium pursuant to
      section IPfoJ, CERCLA.	

      Subpart H—Participation by Other
      Persons

      § 300.700  Activities by other persons.
       (a) General* Any person may
      undertake a response action to reduce
      or eliminate a release of a hazardous
      substance, pollutant or contaminant.
       (b) Summary of CERCLA authorities.
      The mechanisms available to recover
      the costs of response actions under
      CERCLA are. in summary:
       (1) Section I07(a), wherein any person
      may receive a court award of his or her
      response costs, plus interest, from the
      p"arty or plrties found to be liable:
       (2) Section lll(a)(2), wherein a private
     party, a potentially responsible party
      pursuant to a settlement agreement, or
      certain foreign  entities may file  a claim
 against the Fund for reimbursement of
 response costs:
   (3) Section 106[b). wherein any person
 who has complied with a section 106[a)
 order may petition the Fund for
 reimbursement of reasonable costs, plus
 interest; and
   (4) Section 123. wherein a general
 purpose unit of local government may
 apply to the Fund under 40 CFR part 310
 for reimbursement of the costs of
 temporary emergency measures that are
 necessary to prevent or mitigate injury
 to human health or the environment
 associated with a release.
   (c) Section I07(a)  cost recovery
 actions. (1) Responsible parties shall be
 liable for all response costs incurred by.
 the United States government or a State
 or an Indian tribe not inconsistent with
 theNCP.
   (2) Responsible parties shall be liable
 for necessary costs of response actions
 to releases of hazardous substances
 incurred by any other person consistent
•with theNCP.
   (3] For the purpose of cost recovery
 under section 107(a)(4)(B) of CERCLA:
   (i) A private party response action
 will be considered "consistent with the
 NCP" if the action, when evaluated as a
 whole, is in substantial compliance with
 the applicable requirements in ,
 paragraphs (c}(5) and (6) of this section.
 and results in a CERCLA-quality
 cleanup;
  {ii} Any response action carried out in
 compliance with the terms of an order
 issued by EPA pursuant to section 106 of
 CERCLA, or a consent decree entered
 into pursuant to section 122 of CERCLA .
 will be considered "consistent with the
 NCP."
  (4) Actions under  § 300.700{c}(l) will
 not be considered "inconsistent with the
 NCP." and actions under i 300.700(c)(2)
 will not be considered not "consistent
 with the NCP," based on immaterial or
 insubstantial deviations from the
 provisions of 40 CFR part 300.
  (5) The following provisions of this
 part  are potentially applicable to private
 party response actions:
  (i) Section 300.150 (on worker health
 and safety);
  (ii) Section 300.160 (on documentation
 and cost recovery):
  (iii) Section 300.400(c){l). (4), (5), and
 (7) (on determining the need for a Fund-
 financed action); (e)  (on permit
 requirements) except that the permit
 waiver does not apply to private party
 response actions; and (g) (on
 identification of ARARs) except that
 applicable requirements of federal or
 state law may not be waived by a
 private party:
  (iv) Section 300.40S(b). (c). and (d) (on
 reports of releases to the NRC):
  (v) Section 300.410 (on removal site
 evaluation) except paragraphs (e)(S) and
 (6);
  (vi) Section 3O0.415 (on removal
 actions) except paragraphs (a)(2),
 (b)(2)(vii). (b)(5), and (f); and including
 § 300.415(i] with regard to meeting
 ARARs where practicable except that
 private parly removal actions must
 always comply with the requirements of
 applicable law;
  (vii) Section 300.420 (on remedial site
 evaluation);
  (viii) Section 300.430 (on RI/FS and
 selection of remedy) except paragraph
 (f)(l}(ii)(C)(5) and that applicable
 requirements of federal or 'state law may
 not be waived by a private party; and
  (ix) Section 300.435 (on RD/RA and
 operation and maintenance).
  (6) Private parties undertaking
 response actions should provide an
 opportunity for public comment
 concerning the selection of the response
 action based on the provisions set out
 below, or based on substantially
 equivalent state and local requirements.
 The following provisions of this part
 regarding public participation are
 potentially applicable to private party
 response actions, with the exception of
 administrative record and information
 repository requirements stated therein:
  (i) Section 300.155 (on public
 information and community relations);
  (ii) Section 300.415(m) (on community
 relations during removal actions);
  (iii) Section 300.430(c) (on community
 relations during RI/FS) except
 paragraph (c)(5):
  (iv) Section 300.430(f}(2), (3), and (6)
 (on community relations during       :
 selection of remedy); and
  (v) Section 300.435(c) (on community
 relations during RD/RA and operation
 and maintenance).
  (7) When selecting the appropriate
remedial action, the methods of
 remedying releases listed in Appendix D
 of this part may also be appropriate to a
private party response action.
  (SJExcept for actions taken pursuant
to CERCLA sections 104 or 106 or
response actions for which
reimbursement from the Fund will be
sought, any action to be taken by the
lead agency listed in paragraphs (c)(5)
through (c)(7) may be taken by the
person carrying out the response action.
  (d) Section lll(a)(2) claims. (1)
Persons, other than those listed in
paragraphs (d)(l)(i) through (iii) of this
section, may be able to receive
reimbursement of response costs by
means of a claim against the Fund. The
categories of persons excluded from
pursuing this claims authority are:
  (i) Federal government;

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            Federal Register / VoL 55. No.  46 / Thursday. March 8. 1990 / Rules  and Regulations       8859
  pi) State governments, and their
political subdivisions, unless they are
potentially responsible parties covered
by an order or consent decree pursuant
to section 122 of CERCLA; and
  (iii) Persons operating under a
procurement contract or an assistance
agreement with the United States with
respect to matters covered by that
contract or assistance agreement, unless
specifically provided therein.
  (2) In order to be reimbursed by the
Fund, an eligible person must notify the
Administrator of EPA or designee prior
to taking a response  action and receive
prior approval Le., "preauthorization."
for such action.
  (3) Preauthorization is EPA's prior
approval to submit a claim against the
Fund for necessary response costs
incurred as a result of carrying out the
NCP. All applications for
preauthorization will be reviewed to
determine whether the request should
receive priority for funding. EPA, in its
discretion, may grant preauthorization
of a claim. Preauthorization will be
considered only for.
  (i) Removal actions pursuant to
§ 300.415;
  pi] CERCLA section 104(b) activities;
and
  (iii] Remedial actions at National
Priorities List sites pursuant to § 300.435.
  (4) To receive EPA's prior approval,
the eligible person must:
  p) Demonstrate technical and other
capabilities to respond safely and
effectively to releases of hazardous
substances, pollutants, or contaminants;
and
  pi] Establish that the action will be
consistent with the NCP in accordance
with the elements set forth in
paragraphs (c){5) through (8) of this
section.
  (5] EPA will grant preanthorization to
a claim by a party it  determines to be
potentially liable under section 107 of
CERCLA only in accordance with an
order issued pursuant to section 106 of
CERCLA, or a settlement with the
federal government in accordance with
section 122 of CERCLA.
  (6) Preauthorization does not establish
an enforceable contractual relationship
between EPA and'the claimant
  (7] Preauthorization represents EPA's
commitment that if funds are
appropriated for response actions, the
response action is conducted in
accordance with the preauthorization
decision document, and costs are
reasonable and necessary.
reimbursement will be made from the
Superfund, up to the maximum amount
provided in the preauthorization
decision document
  (8) For a claim to be awarded under
section 111 of CERCLA, EPA must
certify that the costs were necessary
and consistent with the preauthorization
decision document.
  (e) Section 106(b) petition. Subject to
conditions specified in CERCLA section
106(b). any person who has complied
with an order issued after October 16,
1986 pursuant to section 106(a) of
CERCLA. may seek reimbursement for
response costs incurred, in complying
with that order unless the person has
waived that right
  (fj Section 123 reimbursement to local
governments. Any general purpose unit
of local government for a political
subdivision that is affected by a release
may receive reimbursement for the costs
of temporary emergency measures
necessary to prevent or mitigate injury
to human health or the environment
subject to the conditions set forth in 40
CFR part 310. Such reimbursement may
not exceed $25,000 for a single response.
  (g) Release from liability.
Implementation of response measures
by potentially responsible parties or by
any other person does not release those
parties from liability under section
107{a] of CERCLA. except as provided in
& settlement under section 122 of
CERCLA or a federal court judgment

Subpart I—Administrative  Record for
Selection of Response' Action

5 300.800 Establishment of «n
administrative record.
  (a] General requirement The lead
agency shall establish tin administrative
record that contains the documents that
form the basis for the selection of a
response action. The lead agency shall
compile and maintain the administrative
record in accordance with this subpart
  (b) Administrative records for federal
facilities. (1) If a federal agency other
than EPA is the lead agency for a
federal facility, the federal agency shall
compile and maintain the administrative
record for the selection of the response
action for that facility in accordance
with this subpart EPA may furnish
documents which the federal agency
shall place in the administrative record
file to ensure that the administrative
record includes all documents mat form
the basis for the selection of the
response action.
  (2} EPA or the VS. Coast Guard shall
compile and maintain the administrative
record when it is the lead agency for a
federal facility.            ;
  (3) If EPA is involved! in the selection
of the response action at a federal
facility on the NFL, the federal agency
acting as the lead  agency shall provide
EPA with a copy of the index of
documents included in the
administrative record file, the RI/FS
workplan, the RI/FS released for public
comment the proposed plan, any public
comments received on the RI/FS and
proposed plan, and any other documents
EPA may request on a case-by-case
basis.
  (cj Administrative record for state-
lead sites. If a state is the lead agency
for a site, the state shall compile and
maintain the administrative record for
the selection of the response action for
that site in accordance with this
subpart EPA may require the state to
place additional documents in the
administrative record file to ensure that
the administrative record includes all
documents which form the basis for the
selection of the response action. The
state shall provide EPA with a copy of
the index of documents included in the
administrative record file, the RI/FS
workplan, the RI/FS released for public
comment the proposed plan, any public
comments received on the RI/FS and
proposed plan, and any other documents
EPA may request on a case-by-case
basis.
  (A] Applicability. This subpart applies
to all response actions taken under
section 104 of CERCLA or sought
secured, or ordered administratively or
judicially under section 106 of CERCLA.
as follows:
  (1) Remedial actions where the
remedial investigation commenced after
die promulgation of these regulations;
and
  (2) Removal actions where the action
memorandum is signed after the
promulgation of these regulations.
  (e] For those response actions not
included in paragraph (d) of this section,
the lead agency shall comply with this
subpart to the extent practicable.

$300.805  Location of the adintitUtraUv*
•"•COfO nM*
  (a] The lead agency shall establish a
docket at an office of the lead agency or
other central location at which
documents included in the
administrative record file shall be
located and a copy of the documents
included in the administrative record
file shall also be made available for
public inspection at or near the site at
issue, except as provided below:
  (1) Sampling and testing data, quality
control and quality assurance
documentation, and chain of custody
forms, need not be located at or near the
site at issue or at the central location,
provided that the index to the
administrative record file indicates the
location and availability of this
information.

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                                                                                      1 ;  '!
   8860      Federal Register / Vol. 55, No. 46 / Thursday. March 8. 1990 / Rules and Regulations
    (2) Guidance documents not generated
  specifically for the site at Issue need not
  be located at or near the site at issue,
  provided that they are maintained at the
  central location and the index to the
  administrative record file indicates the
  location and availability of these
  guidance documents.
    (3) Publicly available technical
  literature not generated for the site at
  issue, such as engineering textbooks,
  articles from technical journals, and
  lexicological profiles, need not be
  located at or near the site at issue or at
 , the central location, provided that the
  literature is listed in the index to the
  administrative record file or the
  literature is cited in a document in the
  record,	
    (4) Documents included in the
  confidential portion of the
  administrative record file shall be
  located only in the central location.
    (5) The administrative record for a
  removal action where the release or
  threat of release requires that on-site
  removal activities be initiated within
  hours of the lead agency's determination
  that a removal is appropriate and on-
  site removal activities cease within 30
  days of initiation, need be available for
  public inspection only at the central
  location.
   (b) Where documents are placed in
  the central location but not in the file
 located at or near the site, such
 documents shall be added to the file
 located at or near the site upon request.
 except for documents included in
 paragraph (a){4) of this section.
   (c) Tne lead agency may make the
 administrative record file available to
 the public in microform.

 §300.810  Contents of fie administrative
" «»cordflfe.	
   (a) Contents. The'administrative
 record file for selection of a response
 action typically, but not in all cases, will
 contain the following types of
 documents:
   (1) Documents containing factual
 information, data and analysis of the
 factual information, and data that may
 form a basis for the selection of a
 response action. Such documents may
 include verified sampling data, quality
 control and quality assurance
 documentation, chain of custody forms,
 site inspection reports, preliminary
 assessment .andjite evaluation reports,
 ATSDR health assessments, documents
 supporting the lead agency's
 determination of imminent and
 substantial endangerment public health
 evaluations, and technical and
 engineering evaluations. In addition, for
 remedial actions, such documents may
 include approved workplans for the
  remedial investigation/feasibility study,
  state documentation of applicable or
  relevant and appropriate requirements,
  and the RI/FS;
    (2) Guidance documents, technical
  literature, and site-specific policy
  memoranda that may form a basis for
  the selection of the response action.   /
  Such documents may include guidance
  on conducting remedial investigations
  and feasibility studies, guidance on
  determining applicable or relevant and
  appropriate requirements, guidance on
  risk/exposure assessments, engineering
  handbooks, articles from technical
  journals, memoranda on the application
  of a specific regulation to a site, and
  memoranda on off-site disposal
  capacity;
    (3) Documents received, published, or
  made available to the public under
  § 300.815 for remedial actions, or
  § 300.820 for removal actions. Such
  documents may include notice of
  availability of the administrative record
  file, community relations plan, proposed
  plan for remedial action, notices of
  public comment periods, public
  comments and information received by
  the lead agency, and responses to
  significant comments;
   (4) Decision documents. Such
  documents may include action
. memoranda and records of decision;
   (5) Enforcement orders.' Such '
 documents may include administrative
•orders and consent decrees; and   '
   (8} An index of the documents
 included in the administrative record
 file. If documents are customarily
. grouped together, as with sampling data
 chain of custody documents, they may
 be listed as a group in the index to the
 administrative record file.
   (b) Documents not included in the
administrative record file. The lead
agency is not required to include
documents in the administrative record
file which do not form a basis for the
selection of the response action. Such
documents include but are not limited to
draft documents, internal memoranda,
and day-to-day notes of staff unless
such documents contain information
that forms the basis of selection of the
response action and the information is
not included in any other document in
the administrative record file.
  (c) Privileged documents. Privileged
documents shall not be included in the
record file except as provided in
paragraph fd) of this section or where
such privilege is waived. Privileged
documents include but are not limited to
documents subject to the attorney-client,
attorney work product, deliberative
process,  or other applicable privilege.
  (d) Confidential file. If information
which forms the basis for the selection
  of a response action is included only in
  a document containing confidential or
  privileged information and is not
  otherwise available to the public, the
  information, to the extent feasible, shall
  be summarized in such a way as to
  make it disclosable and the summary
  shall be placed in the publicly available
  portion of the administrative record file.
  The confidential or privileged document
  itself shall be placed in the confidential
  portion of the administrative record file.
  If information, such as confidential
  business information, cannot be
  summarized in a disclosable manner,
  the information shall be placed only in
 the confidential portion of the
  administrative record file. All
  documents contained in the confidential
 portion of the administrative record file
 shall be listed in the index to the file.

 §300415 AdndnMntiv*fvconffU«for«
 remedial action.
   (a) The administrative record file for
 the selection of a remedial action shall
 be made available for public inspection
 at fee commencement of the remedial
 investigation phase. At such time, the
 lead agency shall publish in a major
 local newspaper of general circulation a
 notice of the availability of the
 administrative record file.
   (b) The lead agency shall provide a
 public comment period as specified in'
 § 300.43D(:FJ(3) so that interested persons
 may submit comments on the selection
 of the remedial action for inclusion in  •
 the administrative record file. The lead
 agency is encouraged to consider and
 respond as appropriate to significant
 comments that were submitted prior to
 the public comment period. A written
 response to significant comments
 submitted during the public comment
 period shall be included in the
 administrative record file.
   (c) The lead agency shall comply with
 the public participation procedures
 required in § 300.430[fJ(3j and shall
 document such compliance in the
 administrative record.
   (d) Documents generated or received
 after the record of decision is signed
 shall be added to the administrative
record file only as provided in § 300X25.

§300420 Administrative racordfite for a
removal «ctkm.
  (a) If, based on the site evaluation, the
lead agency determines that a removal
action is appropriate and that a planning
period of at least six months exists
before on-site removal activities must be
initiated:
  (1) The administrative record file shall
be made available for public inspection
when the engineering evaluation/cost

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              Federal Register / Vol. 155. No. 46 / Thursday. March 8,  1990 / Rules and Regulations       8861
   analysis (EE/CA) is made available for
   public comment At such time, the lead
   agency shall publish La a major local
   newspaper of general circulation a
   notice of the availability of the
   administrative record file.
    (2) Tie lead agency shall provide a
   public comment period as specified in
   { 300.415 so that interested persons may
   submit comments on the selection of the
   removal action for inclusion in the
   administrative record file. The lead
  agency is encouraged to consider and
  respond, as appropriate, to significant
  comments that were submitted prior to
  the public comment period. A written
  response to significant comments
  submitted during the public comment
  period shall be included in the
  administrative record file.
    (3] The lead agency shall comply with
  the public participation procedures of
  § 300.4I5(m) and shall document
  compliance with § 300.415(m)(3)fi)
  through (iii) in the administrative record
  file.
   (4) Documents generated or received
  after the decision document is signed
  shall be added to the administrative
  record file only as provided in $ 300.825.
   [b) For all removal actions not
  included in paragraph (a) of this section:
   (1) Documents included in the
  administrative record file shaD be made
  available for public inspection no later
  than 60 days after initiation of on-site
  removal activity. At such time, the lead
  agency shall publish in a major local
  newspaper of general circulation a
  notice of availability of the
  administrative record file.
   (2) The lead agency shall, as
  appropriate, provide  a public comment
 period of not less than 30 days beginning
 at the time the administrative record file
 is made available to the public. The lead
 agency is encouraged to consider and.
 respond, as appropriate, to significant
 comments that were submitted prior to
 the public comment period. A written
 response to significant comments
 submitted during the public comment
 period shall be included in the •
, administrative record file.
   (3) Documents generated or received
 after the decision document is signed
 shall be added to the administrative
 record file only as provided in § 30O825.

 {300.825  Record requirements after tit*
 decision document is signed.
   (a] The lead agency may add
 documents to the administrative record
 file after the decision document
 selecting the response action has been
 signed if:
   (1) The documents concern a portion
 of a response action decision that the
  decision document does not address or
  reserves to be decided at a later date; or
    (2] An explanation of significant
  differences required by § 30Q.435(c], or
  an amended decision document is
  issued, in which case, the explanation of
  significant differences or amended
  decision document and all documents
  that form the basis for the decision to
  modify the response action shall be
  added to the administrative record file.
    (b) The lead agency may hold
  additional public comment periods or
  extend the time for the submission of
  public comment after a decision
  document has been signed on any issues
  concerning selection of .the response
  action. Such comment shall be limited to
  the issues for which the lead agency has
  requested additional comment All
  additional comments submitted during
  such comment periods that are
  responsive to the request, and any
  response to these comments, along with
  documents supporting the request and
  any final decision with respect to the
  issue, shall be placed in the '
  administrative record file.
   (c) The lead agency is required to
  consider comments submitted by
 interested persons after the close of the
 public comment period only to the
 extent that the comments contain
 significant information mot contained
 elsewhere in the administrative record •
 file which could not have been
 submitted during the public comment
 period and which substantially support
 the need to significantly alter the
 response action. All such comments and
 any responses thereto shall be placed in
 the administrative record file.

 Subpart J—Use of Dlspermant* and
 Other Chemicals

 {300000  GMMtai.
  (a) Section 311(c)(2)[G) of the Clean
 Water Act requires that EPA prepare a
 schedule of dispersants and other
 chemicals, if any. that may be used in
 (Carrying out the NCP. This subpart
 makes provisions for such a schedule.
  (b) This subpart applies to the
 navigable waters of the United States
 land adjoining shorelines, the waters of
 1the contiguous zone, and the high seas
 beyond the contiguous zone in
 connection with activities under the
 Outer Continental Shelf Lands Act,
 activities under the Deepwater Port Act
 of 1974, or activities  that may affect
natural resources belonging to,
appertaining to, or under the exclusive
management authority of the United
States, including resources under the
Magnuson Fishery Conservation and
Irfanagement Act of 1976.
    (c) This subpart applies to the use of
  any chemical agents or other additives
  as defined in subpart A of this part that
  may be used to remove or control oil
  discharges.

  §300.905  HOP Product Schedule.
    (a) Oil Discharges. (1) EPA shall
  maintain a schedule of dispersants and
  other chemical or biological products
  that may be authorized for use on oil
  discharges in accordance with the
  procedures set form in $ 300510. This
  schedule, called the NCP Product
  Schedule, may be obtained from the
  Emergency Response Division fOS-210),
  U.S. Environmental Protection Agency,
  Washington, DC 20460. The telephone
  number is 1-202-382-2190.
   (2) Products may be added to the NCP
  Product Schedule by the process
  specified in 5 30O920.
   (b} Hazardous Substance Releases
  {Reserved].

  5300.910 Authorization of use.
   (a) The OSC. with the concurrence of
  the EPA representative to the RRT and,
  as appropriate, the concurrence of die
 RRT representatives from the states
 •with jurisdiction over the navigable
 waters threatened by the release or
 discharge, and in consultation with the
 DOC and DOI natural resource trustees,
 when practicable, may authorize the use
 of dispersants, surface collecting agents,
 biological additives, or miscellaneous oil
 spill control agents on the oil discharge,
 provided that the dispersants, surface
 collecting agents, biological additives, or
 miscellaneous oil spill control agents are
 listed on the NCP Product Schedule.
   (b] The OSC. with-the concurrence of
 the EPA representative to the RRT and,
 as appropriate, the concurrence of the
 RRT representatives from the states *
 with jurisdiction over the navigable
 waters threatened by die release or
 discharge, and in consultation with the
 DOC and DOI natural resource trustees,
 when practicable, may authorize the use
 of burning agents on a case-by-case
 basis.
  (c) The OSC may authorize the use of
 any dispersant surface collecting agent
 other chemical agent burning agent
 biological additive, or miscellaneous oil
 spill control agent including products
 not listed on die NCP Product Schedule.
 without obtaining the concurrence of the
 EPA representative to die RRT. die RRT
 representatives from die states with
jurisdiction over die navigable waters
 threatened by die release or discharge,
when, in die judgment of die OSC, die
use of die product is necessary to
prevent or substantially reduce a hazard
to human life. The OSC is to inform die

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   8862
             Federal Register / Vol. 55. No. 46 / Thursday. March 8. 1990 / Rides and Regulations
  EPA RRT represents live and. as
  appropriate, the KRT representatives
  from the affected states and, when
  practicable, the DOC/DOI natural
  resource trustees of the use of a product
  not on the Schedule as soon as possible
  and, pursuant to the provisions in
  paragraph (a) of this section, obtain
  their concurrence or their comments on
  its continued use once the threat to
  human life has subsided.
    (d) Sinking agents shall not be
  authorized for application to oil
  discharges.
    (e) RRT* shall, as appropriate,
  consider, as part of their planning
  activities., the appropriateness of using
  the dispersanls, surface collecting
  agents, biological additives, or
  miscellaneous oil spill control agents
 * listed on the NCP Product Schedule, and
  the appropriateness of using burning
  agents. Regional Contingency Plans
  (RCPs) shall, as appropriate, address the
  nse of such products in specific
  contexts, if the RRT representatives
  from the, states with jurisdiction over the
  waters of the area to which an RCP
  applies and the DOC and DOI natural
  resource" trustees approve in advance
  the use of certain products under
  specified circumstances as described in
  the RC3*. the OSC may authorize the use
  of the products without obtaining the
  specific concurrences described in
  paragraphs (a) and (b) of this section.

  5300,915  D«ta requirements.
    (a) DJspersants. (1) Name, brand, or
  trademark, if any. under which the
  dispersant is sold.
    (2) Name, address, and telephone
  number of the manufacturer, importer.
• or vendor.
    (3) Name, address, and telephone
  number of primary distributors or sales
  outlets.
    (4] Special handling and worker
  precautions for storage and field
  application. Maximum and minrmnni
  storage temperatures, to include
  optimum ranges as well as temperatures
  that will cause phase separations.
  Chemical changes, or other alterations to
  the effectiveness of the product
    (5) Shelf life.
    (6) Recommended application
  procedures, concentrations, and
  conditions for us e depending upon water
  salinity, water temperature, types and
  ages of the pollutants, and any other
  application restrictions.
    (7) Dispersant Toxicity. Use standard
  toxicity test methods described in
  Appendix C to part 300.
    (S) Effectiveness. Use standard
  efiectiveness test methods described in
  Appendix C to part 300. Manufacturers
  are also encouraged to provide data on
product performance under conditions
other than those captured by these tests.
  (9} The following data requirements
incorporate by reference standards from
the 1988 Annual Book of ASTM
Standards. American Society for Testing
and Materials, 1916 Race Street,
Philadelphia, Pennsylvania 19103. This
incorporation by reference was
approved by the Director of the Federal
Register in accordance with 5 U.S.C.
552(a) and 1CFR part SI.1
  (i) Flash Point—Select appropriate
method from the following:
  (A) ASTM—D 56-87, "Standard Test
Method for Flash Point by Tag Closed
Tester";
  (B) ASTM—D 92-85. "Standard Test
Method for Flash and Fire Points by
Cleveland Open Cup";
  (C) ASTM—D 93-85. "Standard Test
Methods for Flash Point by Pensky-
Martens Closed Tester";
  (D) ASTM—D1310-65. "Standard
Test Method for Flash Point and Fire
Point of Liquids by Tag Open-Cup
Apparatus"; or
  (E) ASTM—D 3278-82, "Standard Test
Methods for Flash Point of Liquids  by
Setaflash Closed-Cup Apparatus."
  [ii) Pour Point—Use ASTM—D 97-87.
"Standard Test Method for Pour Point of
Petroleum Oils."
  (in) Viscosity—Use ASTM—D 445-86.
"Standard Test Method for Kinematic
Viscosity of Transparent and Opaque
Liquids (and the Calculation of Dynamic
Viscosity}."
  (iv) Specific Gravity—Use ASTM—D
1298-85. "Standard Test Method for
Density, Relative Density (Specific
Gravity], or API Gravity of Crude
Petroleum and Liquid Petroleum
Products by Hydrometer Method."
  (v) pH—Use ASTM—D1293-84,
"Standard Test Methods for pH of
Water."
  (10] Dispersing Agent Components.
Itemize by chemical name and
percentage by weight each component
of the total formulation. The percentages
will include  maximum, minimum, and
average weights in order to reflect
quality control variations in .
manufacture or formulation. In addition
to the chemical information provided in
response to the first two sentences,
identify the major components in at
least the following categories: surface
active agents, solvents, and additives.
  (11] Heavy Metals, Cyanide, and
Chlorinated Hydrocarbons. Using
  1 Copies of time standards may be obtained from
the publisher. Copies may be Inspected ml the U.S.
Environmental Protection Agency, 401M SU SW,
Room LG. Washington. DC. or at the Office of the
Federal Register. 1100 L Street. NW, Room 8401.
Washington. DC.
standard test procedures, state the
concentrations or upper limits of the
following materials:
  (i) Arsenic, cadmium, chromium,
copper, lead, mercury, nickel, zinc, plus
any other metals that may be
reasonably expected to be in the
•ample. Atomic absorption methods
should be used and the detailed
analytical methods and sample
preparation shall be fully described.
  (ii) Cyanide. Standard calorimetric
procedures should be used.
  (iii) Chlosinated hydrocarbons. Gas
chromatography should be used and the
detailed analytical methods and sample
preparation shall be fully described.
  (12] The technical product data
submission shall include the identity of
the laboratory that performed the
required tests, the qualifications of the
laboratory staff, including professional •
biographical information for individuals
responsible for any tests, and laboratory
experience with similar tests.
Laboratories performing toxicity tests
for dispersant toxicity .must demonstrate
previous toxicity test experience in
order for their results to be accepted. It
is the responsibility of the submitter to
select competent analytical laboratories
based on the guidelines contained
herein. EPA reserves the right to refuse
to accept a submission of technical
product data because of lack of
qualification of the analytical
laboratory, significant variance between
submitted data  and any laboratory
confirmation performed by EPA, or other
circumstances that would result in
. inadequate or inaccurate information on
the dispersing agent
  £b) Surface collecting agents. (1)
Name, brand, or trademark, if any,
under which the product is sold.
  (2} Name, address, and telephone
number of die manufacturer, importer,
or vendor.
  (3} Name, address, and telephone
number of primary distributors or sales
outlets.
  (4) Special handling and worker
precautions for storage and field
application. Maximum and minimum
storage temperatures, to include
optimum ranges as well as temperatures
that will cause phase separations,
chemical changes, or other alterations to
the effectiveness of the product
  (5] Shelf life.
  (6) Recommended application
procedures, concentrations, and
conditions for use depending upon water
salinity, water temperature, types and
ages of the pollutants, and any other
application restrictions.

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             Federal Register / Vol. 5i>, No. 46 / Thursday, March 8, 1990  / Roles and Regulations
                                                                                                             8863
    (7) Toxicity. Use standard toxicity test
 methods described in Appendix C to
 Part 300.
    (8) The following data requirements
 Incorporate by reference standards from
 the 1888 Annual Book of ASTM
 Standards. American Society for Testing
 and Materials, 1916 Race Street
 Philadelphia, Pennsylvania 19103. This
 incorporation by reference was
 approved by the Director of the Federal
 Register in accordance with 5 U.S.C.
 552(a) and 1CFR part SI.1
   (i) Flash Point—Select appropriate
 method from the following:
   (A) ASTM—D 56-87, "Standard Test
 Method for Flash Point by Tag Closed
 Tester";
   (B) ASTM—D 92-85, "Standard Test
 Method for Flash and Fire Points by
 Cleveland Open Cup";
   (C) ASTM—-D 93-85, "Standard Test
 Methods for Flash Point by Pensky-
 Martens Closed Tester";
   (DJ ASTM—D1310-86. "Standard
 Test Method for Flash Point and Fire
 Point of Liquids by Tag Open-Cup
 Apparatus"; or
   (E) ASTM—D 3278-82, "Standard Test
 Methods for Flash Point of Liquids by
 Setaflash Closed-Cup Apparatus."
   (ii) Pour Point—Use ASTM—D 97-87,
 "Standard Test Method for Pour Point of
 Petroleum Oils."
   (iii) Viscosity—Use ASTM—D 445-86.
 "Standard Test Method for Kinematic
 Viscosity of Transparent and Opaque
 Liquids (and the Calculation of Dynamic
 Viscosity)."
   (iv) Specific Gravity—Use ASTM—D
 1298-85, "Standard Test Method for
 Density, Relative Density (Specific
 Gravity), or API Gravity of Crude
 Petroleum and Liquid Petroleum
 Products by Hydrometer Method."
   (v) pH—Use ASTM—D1293-84,
 "Standard Test Methods for pH of
 Water."
   (9) Test to Distinguish Between
 Surface Collecting Agents and Other
 Chemical Agents.
   (i) Method Summary—Five milliliters
 of the chemical under test are mixed
 with 95 milliliters of distilled water and
 allowed to stand undisturbed for one
 hour. Then the volume of the upper
 phase is determined to the nearest one
 milliliter.
   (ii} Apparatus.
   (A) Mixing Cylinder: 100 milliliter
 subdivisions and fitted with a glass
 stopper.
    (B) Pipettes: Volumetric pipette. 5.0
  milliliter.
    (C) Timers.
    (iii) Procedure— Add 95 milliliters of
  distilled water at 22 *C, plus or minus 3
  *C, to a 100 milliliter mixing cylinder. To
  the surface of the water in the mixing
  cylinder, add 5.0 millilitere of the
  chemical under test. Insert the stopper
  and invert the cylinder five times in ten
  seconds. Set upright for one hour at 22
  "C, plus or minus 3 *C, «nd then measure
  the chemical layer at the surface of the
  water. If the major portion of the
  'chemical added (75 percent) is at the
 water surface as a separate and easily
 'distinguished layer, the product is a
 surface collecting agent.
   (10) Surface Collecting Agent
 'Components. Itemize by chemical name
 land percentage by weight each
 component of the total formulation. The
 percentages should include
  * Copin of these (tandardi nay be obtained from
the publiiher. Copiei may be inspected at the US.
Environmental Protection Agency. 401M SU SW_
Room 1C, Washington. DC. or at the Office of the
Federal Register. 1100 L Street. NW-. Room 0401.
Wuhington. DC.
          and average weights in order
 t'.o reflect quality control variations in
 manufacture or formulation. In addition
 to the chemical information provided in
 response to the first two sentences,
 identify the major components in at
 least the following categories: surface
 action agents, solvents, and additives.
   (11) Heavy Metals, Cyanide, and
 Chlorinated Hydrocarbons. Follow
 specifications in paragraph (a)(15) of
 this section.
   (12) Analytical Laboratory  <
 Requirements for Technical Product
 Data. Follow specifications in paragraph
 (a)(16) of this section.
   (c) Biological Additives. (1) Name,
 brand, or trademark, if any, under which
 the additive is sold.
   (2) Name, address, and telephone
 number of the manufacturer, importer.
 or vendor.
   (3) Name, address, and telephone
 number of primary distributors or sales
 outlets.
   (4) Special handling and worker
 precautions for storage and field
 application. Maximum and mininmm
 storage temperatures.
   (5) Shelf life.               i
   (6) Recommended application
 procedures, concentrations, and
 conditions for use. depending upon
 water salinity, water temperature, types
 and ages of the pollutants, and any other
 application restrictions.
   (7} Statements and supporting data on
 the effectiveness of the additive.
 including degradation rates, and on the
 test conditions under which the
 effectiveness data were obtained.
   (8} For microbiological cultures,
furnish the following information:
   (i] Listing of all microorganisms by
queries.                      ;
    (ii) Percentage of each species in the
  composition of the additive.
    (iii) Optimum pH. temperature, and
  salinity ranges for use of the additive,
  and maximum and minimum pH,
  temperature, and salinity levels above
  or below which the effectiveness of the
  additive is reduced to half its optimum
  capacity.
    (iv] Special nutrient requirements, if
  any.
    (v) Separate listing of the following,
  and test methods for such
  determinations: Salmonella, fecal
  coliform. Shigella, Staphylococcus
  Coagulase positive, and Beta Hemolytic
  Streptococci.
   (9] For enzyme additives furnish the
 following information:
   (i) Enzyme name(s).
   (ii) International Union of
 Biochemistry (LUJ3.) numberfs).
   (iii) Source of the enzyme.
   (iv) Units.
   (v) Specific Activity.
   (vi) Optimum pH, temperature, and
 salinity ranges for use of the additive,
 and maximum and minimum pH,
 temperature, and salinity levels above
 or below which the effectiveness of the
 additive is reduced to half its optimum
 capacity.
   (vii) Enzyme shelf life.
   (viii) Enzyme optimum storage
 conditions.
   (10) Laboratory Requirements for
 Technical Product Data. Follow
 specifications in paragraph (a)(18) of
 this section.
   (d) Banting Agents. EPA does not
 require technical product data
 submissions for burning agents and does
 not include burning agents on the NCP
 Product Schedule.
   (e) Miscellaneous Oil Spill Control
 Agents. (1) Name, brand, or trademark,
 if any. under which the miscellaneous
 oil spill control agent is sold.
   (2) Name, address, and telephone
 number of die manufacturer, importer,
 or vendor.
  (3) Name, address, and telephone
 number of primary distributors or sales
 outlets.
  (4) Special handling and worker
 precautions for storage and field
 application. Maximum and minimum
 storage temperatures, to include
 optimum ranges as well as temperatures
 that will cause phase separations,
chemical changes, or other alternatives
to the effectiveness of the product
  (5) Shelf life.
  (6) Recommended application
procedures, concentrations, and
conditions for use depending upon water
salinity, water temperature, types and

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  8864
              Federal Register / Vol. 55. No. 46 / Thursday. March 8, 1990 / Rules and Regulations
 ages of the pollutants, and any other
 application restrictions.
    (?) Toxirity. Use standard toxicity test
 methods described in Appendix C to
 part 300.
    (8) The following data requirements
 incorporate by reference standards from
 the 1988 Annual Book of ASTM
 Standards. American Society for Testing
 and Materials, 1916 Race Street.
 Philadelphia. Pennsylvania 19103. This
 incorporation by reference was
 approved by the Director of the Federal
 Register in accordance with 5 U.S.C.
 552(a) and 1 CFR part 51.3
    (i) Flash Point—Select appropriate
 method from the following:
    (A) ASTM— D 56-87. "Standard Test
 Method for Flash Point by Tag Closed
 Tester^; .................. ...........
    (B) ASTM— D 92-85, "Standard Test
 Method for Flash and Fire Points by
 Cleveland Open Cup";
   (C) ASfM— D 93-85. "Standard Test
 Methods for Flash i Point by Pensky-
        ''e?'
                    „
                    „_
 Test Method for Flash Point arid Fire
 Point of Liquids by Tag Open-Cup
 Apparatus"; or
   (E) ASTM—D 32T&-82, "Standard Test
" MethodsfprKashPoinipf Liquids by
 SeUfiash Closed-Cup Apparatus."
   (ii) Pour Point— Use ASTM— D 97-87,
 "Standard Test Method for Pour Point of
 Petroleum Oils."
   (Hi) Viscosity— Use ASTM— D 445-86,
 Viscosity of Transparent and Opaque
 Liquids (and the Calculation of Dynamic
 Viscosity)."
   (iv) Specific Gravity— Use ASTM— D
 1298-85; "Standard Test Method for
 Density. Relative Density (Specific
 Gravity), or API Gravity of Crude
 Petroleum and Liquid Petroleum
 Product? fey Hydrometer Method."
   (v) pH— Use ASTM— D 1293-84.
 "Standard Test Methods for pH of
 Water."
   (9) Miscellaneous Oil Spill Control
 Agent Components. Itemize  by chemical
 name and percentage by weight each
 component of the total formulation. The
 percentages should include maximum.
 minimum, and average weights in order
 to reflect quality control variations in
 manufacture or formulation. In addition
 to the chemical information  provided in
 response to the first two sentences,
 identify the major components in at
 least the following categories: surface
 active agents, solvents, and  additives.
  * Copic* of (bete itandanli may be obtained bom
 lit publube.-. Copies nuy be inspected at the US.
 Enviroammul Protection Agency. 401 MSuSW,
 Room LC. Wi ihinslon. DC or at the Office of the
 Federal Register. 1100 L Street NW_ Room 8401.
   (10) Heavy Metals, Cyanide, and
 Chlorinated Hydrocarbons. Follow
 specifications in paragraph (a)(15) of
 this section.
   (11) For any miscellaneous oil spill
 control agent that contains
 microbiological cultures or enzyme
 additives, furnish the information
 specified in paragraphs (c){8) and (c)(9)
 of this section, as appropriate.
   (12) Analytical Laboratory
 Requirements for Technical Product
 Data. Follow specifications in paragraph
 (a)(16) of this section.

 §300.920 Addition of products to
 schedule.
   (a) To add a dispersant surface
 collecting agent, biological additive, or •
 miscellaneous oil spill control agent to
 the NCP Product Schedule, the technical
 product data specified in § 300.915 must
 be submitted to the Emergency
 Response Division (OS-210), U.S.
 Environmental Protection Agency, 401M
 Street, SW., Washington. DC 20460. If
 EPA determines that the required data
 were submitted, EPA will add the
 product to the schedule.
   (b) EPA will inform the submitter in
 writing, within 60 days of the receipt of
 technical product data, of its decision on
 adding the product to the schedule.
   (c) The submitter may assert mat
 certain information in the technical
 product data submissions is confidential
 business information. EPA will handle
 such claims pursuant to the provisions
 in 40 CFR part 2, subpart B. Such
 information must be submitted
 separately from non-confidential
 information, clearly identified, and
'clearly marked "Confidential Business
 Information." If the submitter fails to
 make such a claim at the time of
 submittal. EPA may make the
 information available to the public
 without further notice.
   (d) The submitter must notify EPA of
 any changes in the composition,
 formulation, or application of the
 dispersant surface collecting agent
 biological additive, or miscellaneous oil
 spill control agent On the basis of this
 data, EPA may require retesting of the
 product if the change is likely to affect
 the effectiveness or toxicity of the
 product.
   (e) The listing of a product on the NCP
 Product Schedule does not constitute
 approval of the product To avoid
 possible misinterpretation or
 misrepresentation, any label,
 advertisement or technical literature
 that refers to the placement of the
 product on the NCP Schedule must
 either reproduce in its entirety EPA's
 written statement that it will add the
 product to the NCP Product Schedule
 under § 300.920[b), or include the
 disclaimer shown below. If the
 disclaimer is used, it must be
 conspicuous and must be fully  >   • •
 reproduced. Failure to comply with
 these restrictions or any other improper
 attempt to demonstrate the approval of
 the product by any NRT or other U.S.
 Government agency shall constitute
 grounds for removing the product from
 the NCP Product Schedule.
 Disclaimer
  (PRODUCT NAME] is on the U.S.
 Environmental Protection Agency's NCP
 Product Schedule. This listing does NOT
 mean that EPA approves, recommends,
 licenses, certifies, or authorizes the use of
 (product name] on an oil discharge. This
 listing meana  only that data have been
 submitted to EPA as requited by subpart J of
 the National Contingency Plan, $ 300.915.

 Subpart K—Federal Facilities
 [Reserved]

  3. Units 1.0.2.0, and 4.0 of Appendix C
 to part 300 are amended by revising the
 first sentence of subunit 1.1, and
 subunits 2£  (step 13), and 2.6 (steps 15
 and 16) and IX,  to read as follows:
 Appendix C to Part 300—Revised Standard
 Dispersant Effectiveness and Toxicity Tests
UO Introduction
  1.1  Scope and Application. These
methods apply to "diipersants" involving
subpart ) (Use of Dispersants and Other
Chemicals) in 40 CFR part 300 (National Oil
and Hazardous Substances Pollution
Contingency Plan). * * *


ZJO Revised Standard Dispersant
Effectiveness Test

  25* * *
«    •    «    *    *
  13. SpectrophotometricaHy determine the
absorbance of the extract using the identical
wavelength and cell used to calibrate the
•pectrophotometer. From the calibration
curve, determine the concentration of oil in
the chloroform.
  Compute the concentration of oil in the
•ample as follows:
CiX (volume of chloroform used)
---
      (volume of sample)
                                  (2)
where:
C«» is the concentration of dispersed oil in the
sample aniCi is the measured concentration
of oil in the chloroform extract.
  Note that the standard sample volume is
SOD ml and the volume of chloroform used
should also be expressed in ml.
  Repeat steps 1 through 13 at least three
time* for each of the three required volumes
of dispersant.

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              Federal Register  / Vol.  55, fco. 46  / Thursday. WarCh  8,  1990  / Rules and Regulations
                                                                                                                          8865
  2.6
  15. Spectrophotometrically determine the
•bsorbance of the extract using the identical
wavelength and cell used to calibrate the
spectrophotometer. From the calibration
curve, determine the corresponding
concentration of oil in the chloroform.
Compute the dispersant blank correction for
25 ml of dispersant as follows:

       &X (volume of chloroform used)
  D «=•——	(3)
             (volume of sample)
where:
D is the blank correction for 25 ml of
dispersant, and Ci is the measured
concentration of oil in the chloroform extract.
  Note that the standard sample volume is
500 mi and the volume of chloroform used
should also be expressed in ml.
  The Dispersant Blank Correction (DEC) for
other volumes of dispersant used in a test
may then be computed as:

              OX (volume in ml of
     DEC  =   dispersants used)    j4j

                    25ml
  16. Clean the test tank and prepare the
synthetic seawater at 23±1 *C as described
in Step l..Do not install the containment
cylinder. Prepare 100 ml of test oil as
described in Steps 4 and 5. and add it to the
test tank. Continue the test procedure as
described in Steps 8 through 13. The Oil
Blank Correction (OBC) is:
           Ci X (volume of chloroform
 OBC
                                      (5)
              (volume of sample)
4.O  Summary Technical Product Test Data
Format
K. Physical Properties of Dispersant/
Surface Collecting Agent
  I. Rash Point: (*F).
  2. Pour Point ('F).
  3. Viscosity.	at	"F
(centistokes).
  4. Specific Gravity:	at	T.
  5. pH: (10 percent solution if hydrocarbon
based).
  6. Surface Active Agents (Dispersants).1
  7. Solvents {Dispersants}.'
  8. Additives (Dispersants).
  S. Solubility (Surface Collecting Agents).

  4. Appendix D is being added to part
300 to read as follows:
  1 If the submitter claims thai the information
presented under this subheading it confidential this
information should be submitted on a separate
•heel of paper clearly labeled according to the
subheading and entitled "Confidential Information."
Appendix D to Put MO—Appropriate Actions
and Methods of Remedying Releases
  (a) This Appendix D to part 300 describes
types of remedial actions generally
appropriate for specific situations commonly
found at remedial sites and lists methods for
remedying releases that may be considered
by the lead agency to accomplish a particular
response action. This list shall not be
considered inclusive of all possible methods
of remedying releases and does not limit the
lead agency from selecting tiny other actions
deemed necessary in response to any
situation,
  (b) la response to contaminated soil.
sediment, or waste, the following types of
response actions shall generally be
considered: removal, treatment, or'
containment of the soil, sediment or waste to
reduce or eliminate the potential for
hazardous substances or pollutants or
contaminants to contaminate other media
(i;round water, surface water, or air) and to
reduce or eliminate the potential for such
substances to be inhaled, absorbed, or
ingested.                       '
  (1) Techniques for removing contaminated
soil, sediment, or waste include the following:
  (i) Excavation.
  (ii) Hydraulic dredging.
  {iii) Mechanical dredging.      !

  (2) Techniques for treating contaminated
soil, sediment, or waste include the following:
  (i) Biological methods, including the
following:
  (A) Treatment via modified conventional
wastewater treatment techniques.
  (B) Anaerobic, aerated, and facultative
lagoons.
  (C) Supported growth biological reactors.
  (D) Microbial biodegradalion.
  (ii) Chemical methods, including the
following:
  (A) Chlorination.
  (B) Precipitation, flocculation,   i
sedimentation.                  :
  (C) Neutralization.
  (D) Equalization.
  (E) Chemical oxidation.
  (iii) Physical methods,  including the
following:
  (A) Air stripping.
  (B) Carbon absorption.
  (C) Ion exchange.
  (D) Reverse osmosis.
  (E) Permeable bed treatment.
  (F) Wet air oxidation.
  (G) Solidification.
  (H) Encapsulation.
  P) Soil washing or flushing.
  fj) Incineration.
  (c) In response to contaminated ground
water, the following types of response
actions will generally be considered:
Elimination or containment of the
contamination to prevent further
contamination, treatment and/or removal of
such ground water to reduce or eliminate the
contamination, physical containment of such
ground water to reduce or eliminate potential
exposure to such contamination, and/or
restrictions on use of the ground water to
eliminate potential exposure to the'
contamination.
  (1) Techniques that can be used to contain
or restore contaminated ground water include
the following:         '              >
  (i) Impermeable barriers, including the
following:
  (A) Slurry walls.
  (B) Grout curtains.
  (C) Sheet pilings.
  (ii) Permeable treatment beds.
  (iii) Ground-water pumping, including the
following:
  (A) Water table adjustment
  (B) Plume containment
  (iv) Leachate control, including the
following:
  (A) Subsurface drains.
  (B) Drainage ditches.
  (C) Liners.
  (2) Techniques suitable for the control of
contamination of water and sewer lines
include the following:
  (i) Grouting.
  (ii) Pipe refining and sleeving.
  (iii) Sewer relocation.
  (d)(l) In response to contaminated surface .
water, the following types of response
actions shall generally be considered:
Elimination or.containment of the
contamination to prevent further pollution,
and/or treatment of the contaminated water
to reduce or eliminate its hazard potential
  (2) Techniques that can be used to control
or remediate surface water include the
following:
  (i) Surface seals.
  (ii) Surface water diversions and collection
systems, including the following:
  (A) Dikes and benns.
  (B) Ditches, diversions, waterways.
  (C) Chutes and downpipes.
  (D) Levees.
  (E) Seepage basins and ditches.
  (F) Sedimentation basins and ditches.
  (G) Terraces and benches.
  (iii) Grading.
  (iv) Revegetation.
  (e) In response to air emissions, the
following techniques will be considered:
  (1) Pipe vents.
  (2) Trench vents.
  (3) Gas barriers.
  (4) Gas collection.
  (5) Overpacking.
  (6) Treatment for gaseous emissions,
including the following:
  p) Vapor phase adsorption.
  (ii) Thermal oxidation.
  (f) Alternative water supplies can be
provided in several ways, including the
following:
  (i) Individual treatment units.
  (ii) Water distribution system.
  (iii) New wells in a new location or deeper
wells.
  (iv) Cisterns.
  (v) Bottled or treated water.
 • (vi) Upgraded treatment for existing
distribution systems.
  (g) Temporary or permanent relocation of
residents, businesses, and community
facilities may be provided where it is
determined necessary to protect human
health and the environment
JFR Doc. 90-2928 Filed 3-7-*0; &45am]
KUJHQ CODE •560-60-M

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	I1
I     III
                                                                                                                                                                                                                                                                                                                            II    I        III III 111
                                                                                                                                                                                                                                                                                                                                "        -nil   If

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      PartV:
Index of Key Terms

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-------
  Abbreviations
                                                                                 Administrative Record
  Abbreviations  8671,8814-8815

  Acceptable exposure levels (see "Kxposure -
  Levels")

  Acceptable risk range (see "Risk range - Acceptable
  risk range")

  Access (see also "Entry and access")  8667, 8676
  8681, 8683-8684,8687-8688, 8692:, 8703,8730,
  8818, 8830-8831,8837, 8840,8843,8858

  Access restrictions (see "Access" and "Entry and
  access")

  ACL(s) (see "Ground water - Cleanup levels -
 Alternate concentration limits")

 Acquisition of real property by stats (see "State -
 Assurances — Acquisition of real property")

 Action-specific ARARs (see "Applicable or relevant
 and appropriate requirements — Types of ARARs")

 Actions under CERCLA section 107(a)  8668, 8786
 8788, 8792-8795

 Activation/activate  8668, 8672-8674,8814, 8820,
 8826-8827, 8830,8839

        Definition of 8814

 Activities by other persons (see also "Private party
 cleanups," "Person(s)," and "Consistent with the
 NCP")  8858, 53 FR 51461

 Addition of products to NCP Product Schedule (see
 "NCP Product Schedule")

Additive risk or additivity (see also "Risk range" and
"Multiple contaminants or pathways")  8701, 8712-
8713, 8716, 8718, 8726, 8729, 8751, 8753, 8808-
8809, 8814-8818, 8827, 8848, 8861-8865

Administrative orders 8669, 8687, 8774, 8799
8803, 8828, 8840, 8847,8858, 8860

        Entry and access (see "Entry and access -
        Administrative orders for access")
    I
Administrative record (see also "Information
repository" and "Public participation requirements —
Information repository")  8668-8669, 8682, 8688,
8694, 8730, 8798-8808, 8851-8852, 8854, 8856,
8858,8861,53 FR 51459, 53 FR 51463

       Adding to administrative record after ROD
     •  is signed 8772, 8800, 8807-8808,8851-
       8852,8859-8861

       Applicability of Subpart I requirements
    :   8802-8803, 8859, 53 FR 51465

   -   Availability of 8690, 8730, 8767-8768,
       8800-8801,8805-8806, 8814,8844,8851-
       8852,8859-8861

   -   Close of 8770,8861

       Contents of 8682, 8694, 8730, 8732, 8762,
       8766-8770,8773, 8800-8803, 8805-8807,
       8851, 8852, 8859-8861

           Confidential documents  8803-8804,
           8860, 53 FR 51466, 53 FR 51468

           Documents not included 8732, 8800,
           8804,8860

       .   Draft documents  8767-8768,8800-
           8801, 53 FR 51467

          Privileged documents  8804, 8860, 53
          FR 51467

      Establishment of 8668, 8704, 8707, 8769,
      8799-8800, 8806, 8844, 8854, 8856, 8859,
      53 FR 51464-51465

  -  '  Federal facilities 8802,8859,8864

      Interim record requirements  8704-8705,
      8732

      Judicial review of administrative record
      (see also "Judicial review") 8668, 8803,
      8807,53 FR 51463

 -  ,  Late comments  8807-8808
                                                V-l

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Administrative record
                       Applicable or relevant and
                        appropriate requirements
       Location of 8803-8804, 8806, 8859-8860,
       53 £R51465	

       Microform 8803-8804, 8860, 53 FR 51465

       Public participation requirements 8668,
       8724,8757, 8773,8795,879p803, 8805-
       8807,8844, 8851,8852,8858-8861,53 FR
       51463

       Records coordinator 8805-8806

       Remedial action  8669,8694,8731-8732,
       8800, 8804-8806,8813, 8851-8852, 8859-
       8861,  53 ER 51466,53 1^51468
                       8694, 8801, 8803, 8805-
        8807,8844, 8859-8860, 53 FR 51469

            Emergency  8694,8801,8803, 8806-
            8807,8839-8840? 8844,53 FR 51466

            Non-time-critical  8669, 8805-8807,
            8860-S861

            Time-critical 8694, 8806-8807, 8860-
            8861

        Requirements after decision document is
        signed 8707, 8731-8732, 8807-8808, 8851-
        8852,8856, 8860-8861, 53 FR 5i516

    -    Start of 8707-8708,8854,8856,8859

    -    State-lead site  8669,8730,8802,8854,
        8856,8859, 53 FR 51464-51465

Administrative requirements (see also "Applicable or
relevant and appropriate requirements — Substantive
versiu administrative requirements") 8670,8689,
8756-8757,8775,8856
   Si;11 ',i. , '     ,;' !»ii ' ;"*   ',- '    ,   .' '  't
Agency  for Toxic Substances and Disease Registry
(AfSDR)  8667-8668, 8678,8681, 8709, 8765,
8814, 8832, 8834,8840,8842,8845, 8860, 53 FR
51402

    -    ATSDR health assessments 8667, 8681,
        8709, 8723, 8726,8800,8832,8834, 8840,
        8860
 Alternatives, remedial (see "Feasibility study —
 Alternatives (remedial)")

 Alternate concentration limits (ACLs) (see "Ground
 water — Cleanup levels — Alternate concentration
 Alternate selection of remedy approaches  53 FR
 51430-51432 ...............

 Alternative treatment technologies (see "Remedies
 (types of) — Treatment (or treatment technology) —
 Alternative'')

 Alternative (or alternate) water supplies 8695, 8733,
 8812, 8814-8815, 8818, 8843, 8865

 Annual consultations (see "State — Annual
 consultations with EPA")

 AOC (see "RCRA ARARs - Area of
 contamination")

Applicable or relevant and appropriate requirements
(ARARs)  8667, 8669-8670, 8679, 8687, 8694-8696,
8700-8701, 8703-8704, 8706-8709, 8711-8713, 8715-
8720, 8723-8733, 8741-8758, 8760, 8763-8765,
8772, 8775-8777, 8781-8786, 8793, 8795-8797,
8801, 8811-8812, 8814, 8841, 8843, 8847-8858,
8860, 53 FR 51438

       Applicable requirements  8667-8671, 8675,
       8679-8681, 8683, 8687, 8694, 8696, 8707,
       8709, 8711, 8714-8715, 8720, 8725-S727,
       8731, 8733, 8742, 8756, 8793, 8796-8798,
       8814, 8841, 8858, 53 FR 51435
                             'i
            Definition of 8814, 53 FR 51398

       Categories of 8711, 8741
                                                           'V ,:;,,£ , ..... i". i-i .""*r v ai'i.'J  , ..  !]"">  I  ;   .•'    .•',.',
                                                           Compliance with (see "CERCLA section
                                                           121 requirements for selection of remedy —
                                                           Compliance with applicable or relevant and
                                                           appropriate requirements")

                                                           Definitions of  8814, 8817, 53 FR 51435

                                                           Difference between "applicable" and
                                                           "relevant and appropriate" 53 FR 51436
                                              V-2

-------
Applicable or relevant and
appropriate requirements (cont.)
                   Applicable or relevant and
              appropriate requirements (cont.)
       Disputes over ARARs (see "Disputes —
       ARARs")

       Examples of potential ARARs and TBCs
       (see also "To-be-considereds")  8680, 8765-
       8766,8811

       Federal water quality criteria (FWQC) (see
       also "Water quality criteria") 8695, 8715,
       8741, 8754-8755, 8764, 88418,53 FR. 51442

       "Freezing" ARARs at signing of ROD (see
       entry below under this heading, "Newly
       promulgated or modified requirements")

       History of 53 FR 51435

       Identification of 8687, 8695, 8707, 8709,
       8711-8712,8726, 8744-8747, 8763, 8777,
       8796-8797,8841,8847-8849, 8858, 53 FR
       51438

           Methods to identify ARARs  S3 FR
           51438

       Indian tribe (or tribal) laws as ARARs
       8741-8742, 8745, 8747

       Investigation-derived waste (see "Wastes —
       Investigation-derived waste")

       Maximum contaminant levels (MCLs) and
       Maximum contaminant level goals (MCLGs)
       8669-8670, 8712-8713, 8715-8718, 8727,
       8732, 8737, 8741, 8743, 8745, 8747-8748,
       8750-8756,8764,8812, 8845,8848,53 FR
       51441

       Newly promulgated or modified
       requirements 8747, 8757-8758, 8772, 8850

       Points of compliance (see "Points of
       compliance")

       RCRA ARARs (see  "RCRA ARARs")

       Relevant and appropriate requirements
       8669, 8671,8674, 8679, 8687,8695, 8711,
       8720, 8727, 8731-8733, 8741-8744, 8751-
       8753, 8755, 8763-8764, 8793, 8796-8797,
     8811, 8817, 8850-8853, 8856, 8860, 53 FR
     51436

         Definition of 8817,53 FR 51398

 -  :  Remedial actions, compliance with ARARs
     during  8701,8712,8720,8726,8741,
     8745, 8748-8749,8754, 8756,8852, 53 FR
     51441

     Removal actions (see "Removal action(s) ~
     Applicable or relevant and appropriate
     requirements")

 -    State ARARs 8667,8691,8695,8706,
     8713-8714,8720,8724, 8726,8732,8741,
     8745-8746,8749,8755-8756, 8764-8765,
     8781, 8783-8784,8786, 8811,8841,8847,
     8855,8857, 53 FR 51437-51438, 53 FR
     51457

         Challenge to ARARs determination (see
         "Disputes - ARARs")

        Definition of 8847

        Identified in timely manner 8741-
        8742, 8744, 8746-8747, 8841, 8847-
        8850,8854-8855, 53 FR 51437

        Inconsistent application of state
        requirements •waiver (see entry  below
        under this heading, "Waivers —
        Inconsistent application of state
        requirements'')

        Nondegradation laws  8746

        Promulgated (i.e., legally enforceable
        and of general applicability)  8746,
        8841

    Substantive versus administrative
    requirements  8669-8670,8691,8741,8755-
    8757, 8801, 8814, 8817,8840, 8850, 8855,
    8858, 53 FR 51443

-  , To-be-considereds (TBCs) (see "To-be-
    considereds")
                                              V-3

-------
 Applicable or relevant and
 appropriate requirements (conL)
     -•   TypesofARARs 8727, 8741, 53 FR 51437

     r   Waivers  8695, 8719-8720,8726, 8731,
         8741-8742, 8744, 8747-8748, 8750-8753,
         8758,8760,8782,8784-8785,8793,8795-
'  ;;; :;   • 8797, 8799,8841,8843,8849-8852, 8855-
  :!!',,;;: ,,   ,,8856, SI58-8860,53 ^ 51438
  •Hills t •    : , V. in'W ' 'IB!  ." ' ;  .F.1-	'  : i:   'J.  1  . ';." ,','  .  .
  I'Jl'lll, ,N !      '  ,i  '"Sii  rWiviii  ,li  , " l', "'	'  "'', 	  M*
             Equivalent standard of performance
             8670,8747-8748,8798, 8850,53 FR
             51439

             Fund-balancing  8750,8794,8850,53
             FR 51440

             Greater^rfsk to human^alfk^and the
             environment 8670,8703, 872445725,
             8748,8850, 53 FR 51439

            Inconsistent application of state
             requirements 8670, 8706, 8709-8710,
             8747,8749,  8780,8784-8785,8850, 53
             FR 51438,53 FR 51440
  	.'" J '  " . ;  V '(I !  Ill	111!!  '	  '•. ,,"„>', , t
            Interim measures (see also
             "Remedies — Interim" and "Operation
            and maintenance — Temporary or
            interim measures")  8703-8706, 8725,
            8738, 8747-874878850, 53 ER^ 51438
  III,,:;  •         I I III |l    lii   ' ''"'Hi' ,' i'l' • .1 . ,„  — .r—     	

            Removal actions  8695,8747,8843,
            8849-8850,8852,8855

            "Technical impracticability  8670, 8703,
            8748^ 875J2, 8850,53 ER 51439

        When and where to attain ARARs 8695,
        8720, 8726, 8748,8753,8796, 53 FR 51440

Amendment to K6b (see "Record of decision -
Amendment to")

ARARs (see "Applicable or relevant and appropriate
requirements")
                                                                                                            .  . .
                                Biological additive
                    f I1!1;:1!
               i11!1'!1!!";!!   !":"!	i
Area of cpntamination (AOC) (see "RCRA ARARs -
- Area of contamination")

Assessment Plan 8789
  Assistance agreements)  8775, 8817,8859,53 FR
  51463

  Assurances (see "State - Assurances")

  Attenuation, natural (see "Ground water -
  Restoration - Natural attenuation").
       ;:', , i ft"'.!••/1 /f'fi+jifeSia/SrrViifi' nt"1,11;*:1,*11'!;''' i	'"'  '*. !• ;,  •<
     ;! „  N   ii; ..'"f'lii «*",;, »' ' 	 i1,, , 'fail1,1;	ill:1;' . ' J I1!1  "i|, S1' i|  j,":1"1..-!.  i „ , I'V .'
  ATSDR (see "Agency for Toxic Substances and
  Disease Registry")

  ATSDR health assessments (see "Agency for Toxic
  Substances Disease Registry - ATSDR  health
  assessments")

  Authority for and applicability of the NCP 8666,
  8813

  Authorization of use (of dispersants and other
  chemicals)  8808-8810, 8861, 53 FR 51471

  Authorized official 8789

  Balancing criteria (see "Feasibility study - Nine
  criteria (functional categories) - Primary balancing
  criteria")

  Baseline risk assessment (see "Remedial
  investigation - Risk assessment — Baseline risk
"  assessment)

  BOAT (see "RCRA ARARs - Land disposal
  restrictions — Best demonstrated available
  technology requirements")

  Best demonstrated available technology (BDAT) (see
  "RCRA ARARs — Land disposal restrictions — Best
  demonstrated available technology requirements")

  Best professional judgement (BP'J)  53 FR 51437

 Bias for action (see "Remedial
 investigation/feasibility study — Program
 management principles — Bias for action")
      '  ) !i "i1,. Wlii; 7 :. ,j 	&ii.	,	i	-. ,rn,,'  ^ 1,1	v, '	, '   /-
      •• i , •,	'',,;;;' ' ,  "'«J"i[	\. 'I": f>.	l, . ;,!•  -n -   ••	f  , ,; f,
 Biological additive(s) 8808-8809, 8814, 8816, 8827,
 8861-8864  	

    -    Definition of 8814
                                                 V-4

-------
  Bioremediation
                                                                                       Citizens suits
  Bioremediation (see "Remedies — Treatment —
  Bioremediation")

  BPJ (see "Best professional judgement")

  Burning agent(s)  8669, 8808-8809, 8815-8816,
  8S27, 8863-8864

     -    Definition of 8671,8815

  CA (see "State - Cooperative agreement")

  Cancer potency factors (CPFs) 8712-8713, 8715,
  8745

 Carcinogen(s) (see also "Noncarcinogens") 8711-
 8718, 8729, 8748, 8750-8752, 8755,8765,8848

 CERCLA

        Definition of  8815

        CERCLA section 106(b) (see also
        "Documentation and cost  nscovery —
        Hazardous substance response — Recovery
        under CERCLA section 106(b)") 8858-
        8859,53 FR 51461-51462

        CERCLA  section 107(a) (see also "Actions
        under CERCLA section 107(a)") 8792-
        8798,8858-8859, 53 FR 51460

        CERCLA section lll(a) (see also
        "Claims(s)") 8858-8859, 53 FR 51461

        CERCLA section 123 (see also
        "Reimbursement - Local governments")
        8858-8859, 53 FR 51461-51462

        Information system (see "CERCLIS")

CERCLA section 121 requirements for selection of
remedy  8700-8702, 8719-8721, 8724-8732, 8752,
8850-8852

        Compliance with applicable or relevant and
        appropriate requirements (see also
        "Applicable or relevant and appropriate
        requirements")  8680, 8687, 8699-8701,
        8719-8720, 8724-8732, 8783-8784, 8791,
        8795, 8850, 8852, 53 FR 51438
     -   Cost-effectiveness  8668,8700,8716,8719,
      1   8722, 8724-8732, 8738, 8752-8753, 8758-
      :   8759,8772, 8778,8793-8795, 8801,8850,
         8852

         Permanent solutions and treatment to the
         maximum extent practicable 8668, 8700,
         8706,8716, 8719-8720, 8724-8732,8752,
      ;  -8778,-8793; 8795y 8850-8852

         Protection of human health and the
         environment (see also "Protection of human
         health and the environment")  8700-8702,
         8709, 8712-8713,8716, 8719-8720, 8724-
         8732, 8737-8738, 8741, 8745, 8752,8778,
      i   8793,8850-8852

        Reduction of toxicity, mobility, or volume as
        a principal element 8668, 8701, 8720-8721,
        8724-8732,8851-8852

 CERCLA information system (see "CERCLIS")

 CERCLA-quality cleanup (see "Consistent with the
 NCP - CERCLA-quality  cleanup")

 CERCLIS (CERCLA information system)  8668-
 8669,8671, 8692-8693,8805, 8811, 8814^815,
 8844

    -   Definition of 8815, 53 FR 51399

    - ',  Listing sites in CERCLIS  8669,8693

    - :  No Further Response Action Planned
        (NFRAP) 8692-8693,8815,8846

 Chemical agent(s) 8809-8810, 8815, 8819, 8827,
 $861, 8863

    -  ;  Definition of  8815

 Chemical-specific ARARs (see "Applicable or
 relevant and appropriate requirements — Types of
ARARs")

 Citizen petition® (see "Preliminary assessment -
 Citizen petitions")

Citizen suits 8668, 8684
                                               V-5

-------
                                                                                   H	
 CIalm(s)
                          	  :!•; -I••:••:.•.:: ,   -:.
                           Consistency exemption
 Clafii^) (see also ^^^^ _ CERCLA section
 211(0)°) 8783,8791, 8796, 8798-8799,8815

     =3,   Against the Fund 8789, 8799, 8858

     7...  Definition, of 8815

         Preauthorization or prior approval  8797,
         8809.8858-8859.53 FR 51462

         Natural resource damages (see also
         "Natural resoarce(s) — Claims (limits on
         Fund use)") 8707-8708,8789,8791,8858-
     ."	'""8859	
     '»' '„,! „" i . , '!" ,  „ " 1.11, ''Ills   ""',!""!" "• '  '   ' '   .1 ' ill ,' 	    ' ',  i •
 Clean closure (see "RCRA ARARs - Closure -
 Clean closure'")

 Cleanup goals, lewis, and standards (see also
 "Applicable or Relevant and Appropriate
 Requirements — Maximum contaminant levels and
 Maximum contaminant level goals? "Remedial
 investigatH>n/feasibBity studies - Remediation
 goals," and "Ground water — Cleanup levels")  8667,
 8669-8670,8677,8679-8681, 8684, 8687-8692,
 8695-8707,8709,8714-8717? 8724, 8726:8727,
 8729";	§7324735,	8^,^740-8742, 874i8746,	
 8749-8754,8756-8760,8765,8767-8771,  8773-8776,
 8778J7JO, 8782-8786, 8791:8796,8798:8799, 8804,
 8809-8812,8814,8816-S818,8828, 8830, 8834-
 8835,8838,8846,8848-8849,8852-8853,8858

 Close Out Report(s) 8698-8700

 Closure (see "RCRAARARs - Closure"')

 Coastal waters)  8818

    -   Definition of 8815

 Coastal zone(s) 8672, 8674, 8816,8828,8830,
8833j8836

        Definition of 8815

Coast Guard (see "United States Coast Guard")

Comment period (see "Public participation
requirements — Public comment period")
 Community acceptance (see "Feasibility study —
 Nine criteria — Community acceptance")
 	      	'	i	I : •
                                 n :•
 Community interviews (see "Public participation
 requirements — Community interview(s)")

 Community relations (see "Public participation
 requirements — Community relations")

 Community relations coordinator (CRC) (see "Public
 participation requirements — Community Relations
 Coordinator")

 Community relations plan (CRP) (see "Public
 participation requirements - Community relations
 plan")
                                 ' 'I
 Comparative analysis (see "FeasibiQity study —
 Alternatives (remedial) - Detailed analysis of-
 Comparative analysis")

 Compliance with ARARs (see "CERCLA section
 121 requirements for selection of remedy -
 Compliance -with applicable or relevant and
 appropriate requirements")

 Comprehensive Environmental Response,
 Compensation, and Liability Act of  1980, as
 amended by the Superrund Amendments and
 Reauttiprizatipn Act of 1986 (see "CERCLA")

 Computation of time 8819

 Conceptual site model (see "Remedial
 investigation/feasibility study — Conceptual site
 model")

 Concurrence (see also "State - Concurrence") 8669,
 8699, 8703, 8739,8773,8776-8777, 8779, 8781-
 8783, 8785-87897880ir8808-88ia"88i9i 8845,
 8855-8857,8861-8862, 53 FR 51457-51458

 Conflict of interest (see "Remedial designAemedial
 action — Conflict of interest")

 Consent decree (see "Potentially responsible
party(ies) - Settlements ~ Consent decree(s)")

 Consistency exemption (see "Removal action(s) -
Exemptions from statutory limits ~ Consistency
exemption")
                                                V-6
                                                                     ":i • ':	i	i"il1,;":;
                                                                     J  .'i ',	!,•  "SHC .  ••  ,'fl -I

                                                                     "	P"^''"':	if;'	»!!"''"fj	i"!
                                                                                                              i I:»
                                                                                                               i -	
                                                                                                               J *.• 11;,"

-------
  Consistent with the NCP
                                                                                                  Cost
  Consistent with the NCP (see also "Private party
  cleanups" and "Nongovernmental participation")
  8798

          CERCLA-quality cleanup 8793-8797,8858

          Not inconsistent -with the NCP 8699, 8794,
          8797, 8799, 8858,53 FR 51462

          Role of courts in determining 8792, 8794

          Substantial compliance  8792-8795, 8797
          8858

 Construction Completion category of the NPL (see
 "National Priorities List - Construction completion
 category")

 Consult/consultation 8666, 8669, 8677, 8691,8697
 8724, 8745, 8756-8757, 8773, 8777, 8779-8780,
 8785,8790-8791,8797, 8809-8810,8854-8858

         Annual (see "State - Annual consultations
         with EPA")

         Interagency 8666,  8669, 8790, 8793, 8809

         Lead/support agency 8677, 8707-8708,
         8724, 8730, 8776, 8780,  8783-8784, 8796,
         8809-8810

         Potentially responsible party/EPA (see also
         "Potentially responsible paily(ies)" and
         "Enforcement") 8707,8858

 Containment (see "Remedies (types of) -
 Containment")

 Containment, countermeasures, cleanup, and disposal
 (see "Discharge of oil - Containment,
 countermeasures. cleanup, and disposal")

 Contaminant (see "Pollutant or contianinant
 (definition of)")

 Contaminants, multiple (see "Multiple contaminants
 or pathways")

 Contaminated soil and debris (see  "RCRA ARARs —
Land disposal restrictions - Presumption that BDAT
 is not appropriate for contaminated soil and debris")
  Contaminants of concern 8701,8709,8713,8721

  Contiguous zone 8689, 8787, 8814-8815, 8829.
  8857,8861

         Definition of 8815

  Contingency plan(s) (see also "Preparedness
  planning") 8669, 8671,8673-8674, 8677, 8679,
  8683-8685,8687, 8698, .8754, 8771, 8813-8815,
  8818, 8826-8828,8830-8832, 8834-8839, 8847,
  8857, 8862, 8864

     -   Federal 8669, 8674, 8684-8685, 8687,
         8836

     -   Local (LCP) 8674,8678,8683-8687,8826,
         8836-8837

         National (NCP) (see "National Contingency
         Plan(s)," "1985 NCP," "Purpose and
      ;   objectives of the NCP," "Scope of the
      \   NCP," and "NGP product schedule")

    -   OSC 8673,8684-8685,8687,8814,8826-
         8828, 8830, 8832, 8835-8838, 8862, 53 ER
      ,   51403

    -    Regional  8677-8678,8682,8684-8687,
         8788,8814-8816, 8818, 8826-8827, 8830-
         8832, 8835-8838, 8862

    -    State 8683-8685,8698

Contracting (see also "Remedial design/remedial
action — Recontracting" and "Remedial
designAemedial action - Conflict of interest") 8704-
8705,; 8735-8736,  8779, 8784-8785

Contribute to the efficient performance (see
"Removal action(s) — Contribute to the efficient
performance of the remedial action")

Cooperative agreements) (see "State - Cooperative
agreement")

Core Grant Program 8698

Cost (see also "CERCLA section 121 requirements
for selection of remedy - Cost-effectiveness,"
"Feasibility study — Nine criteria (to evaluate
                                                V-7

-------
 Cost (cent)
                                      Delegation
 alternatives) — Cost," and "Documentation and cost
 recovery")  8668-8669, 8677, 8681-8682, 8687-8688,
 8691,8694-8697, 8700-8702, 8704-8707, 8712,
 8714-8716,8718-8719, 8721-8733, 8736-8738, 8740,
 8743,8745, 8747-8748, 8750-8751, 8772-8774,
 8777-8780,8782-8786, 8788, 8790, 8792-8799,
 8801,8803, 8805-8806, 8811-8812,8818,8828-
 8829,8831-8832,8835,8838-8839,8841,8843-
 8847,8849-8854,8856-8860

    -   Capital costs 8727,8772, 8812,8850

        Cost-effectiveness, role in determination of
        8726-8729

        Cost-share (see "State — Assurances —
        Cost-share")

        Discount rate  8722

        Net present value 8722,8850

        O&M cost (see also "Operation and
        maintenance") 8722,8740,8850

        Practicability, role in determination of
        8695-8696, 8706,8729-8730, 8748, 8751,
        8818

Cost-effective(ness) (see "CERCLA section 121
requirements for selection of remedy" and
"Feasibility study — Nine criteria (functional
categories) — Cost")

Cost recovery (see "Documentation and cost
recovery — Recovery under CERCLA section 106(b)"
and "Consistent with the NCP")

Cost share (see "State - Assurances — Cost share")

Countermeasures (see "Discharge of oil —
Containment, countermeasures, cleanup, and
disposal)

Covenant not to sue (see "Potentially responsible
partyGes) — Settlements — Covenant not to sue")

CPF(s) (see "Cancer potency factors")

CRC (see "Public participation requirements -
Community Relations Coordinator")
 CRP (see "Public participation requirements —
 Community Relations Plan")

 Credit (see "State - Credit (against cost share)')

 Cumulative Risk (see "Additive risk or additivity")

 Data quality objectives (DQOs) (see ."Remedial
 investigation/feasibility study — Data quality
 objectives'')

 Data requirements 8808-8810

 Decision document (see also "Record of decision"
 and "Documenting the decision") 8670, 8705, 8731-
 8732, 8757, 8766,8769, 8773, 8802-8803, 8806-
 8808
                              ;  i
 Deferral policies  8667, 8796-8797,53 FR 51415

        Applicability to final sites 53 FR 51421

        Current policies  53 FR 51416

        Definition of 53 FR 51415

        Enforcement orders 53 FR 51419

        Other federal authorities 53 FR  51417

        Oversight 53 FR 51417

    -   Purpose of the NPL 53 FR 51415
                  1              i
        Response to comments 8667

        State authorities  53 FR 51418

Definitions 8671,8814-8819
                                i
        Deletion of definitions 53 FR 51400

    (Note:  Terms defined in the NCJP are included
    as separate entries in this "Index of Key Terms.")
Delegation
        Of duties of President to federal agencies
        8667-8668, 8674, 8676-8677, 8686, 8688,
        8726-8727,8814, 8819
                                                 V-8

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  Delegation (cant)
                                                                                          Dispersants
         Of remedy selection authority to states
         8855

 Deminimis parties or settlement (see "Potentially
 responsible party(ies) — Settlements — Deminimis
 parties")

 De minimis risk  8716-8718

 Dense non-aqueous phase liquids (DNAPLs)  8735

 Department of Agriculture (USDA) 8814, 8833,
 8857

 Department of Commerce (DOC) (see also "National
 Oceanic and Atmospheric Association")  8683, 8786-
 8788, 8790, 8814, 8834, 8839, 8857, 53 FR 51460

 Department of Defense (DOD) 8674-8677, 8683,
 8685, 8688, 8765, 8786, 8814, 8816, 8829, 8833,
 8839

 Department of Energy (DOE) 8675-8676,8683,
 8685-8786, 8814, 8816, 8829, 8831, 8833

 Department of Health and Human Services (HHS)
 8677, 8814, 8834

 Department of the Interior (DOI)  8765, 8786-8791,
 8814, 8834, 8839, 53 FR 51460

 Department of Justice (DOJ) 8682, 8771, 8814,
 8834

 Department of Labor (DOL)  8679, IS814, 8834

 Department of State (DOS)  8814, 8835

 Department of Transportation (DOT)  8672, 8674-
 8675, 8685, 8765, 8814, 8833-8834

 Detailed analysis of alternatives (see "Feasibility
 study — Alternatives (remedial) — Detailed analysis
Determination of whether a waste is a hazardous
waste (see "Testing - RCRA waste")

Determinations to initiate response and special
conditions 8669, 8676, 8708-8709, 8774, 8791,
8794-8795, 8829, 53 FR 51401
  Development of alternatives (see "Feasibility study —
  Alternatives (remedial) - Development of)

  Discharge of oil (see also "Threat of discharge or
  release" and "Release")  8670, 8672-8678, 8680-
  868718695,8740,8753, 8755-8757, 8759, 8764,
  8766^ 8774, 8786, 8788, 8790, 8792, 8798, 8808-
  8810; 8815,8819,8826, 8829, 8832, 8837-8839,
  8857:

         Containment', countermeaswes, cleanup,
      :   and disposal 8687,8810,8838,8869

    -1'   Definition of 8815

    - -   Discovery or notification (see "Discovery or
         notification")

        Documentation and cost recovery (see
         "Documentation and cost recovery")

    -:   General pattern of response 8687,8838

    -  ;  Oil pollution funds 8674,8816-8818, 8839

        Preliminary assessment and initiation of
        action 8686-8687,8831,8837

        Size classes of discharge (definition of)
        8818

    -  ;  Threat of discharge or release of oil (see
      :  "Threat of discharge or release")

Discount rate (see "Cost - Discount rate")

Discovery of release  S3 FR 51408

Discovery or notification (see also "Potentially
responsible party(ies)  - Notice letters")  8669, 8686-
8687,8692,8707-8708,8785,8787, 8797,8837,
8841-8842, 53 FR 51404, 53 FR. 51408

        Hazardous substance releases  8698, 8707-
        8708,8795,8841

   -    Oil spills 8681,8686,8809,8837

Dispersants 8666,8669, 8790, 8808-8810, 8814-
8815,  8827, 8830, 8861-8862, 8864-8865, 53 FR
51471
                                                V-9

-------
Dispersants (coot.)
                                           EHS
        Definition of  8815

Disposal (see also "RCRA ARARs — Land disposal
restrictions") 8668-8669, 8687-8691, 8695, 8708,
8714,8721, 8725,8731,8741, 8755, 8758-8765,
8813,8816, 8818-8819, 8830,8832, 8836,8838,
8843,8849-8851,8854^8857, 8860, 53 FR 51444

Disputes 8670,8731, 53 FR 51458

   -    ARARs  8731,8745-8746,8773,8784,53
        FR 51437. S3 FR 51457

        EPA versus state 8746,8786

   -    Resolution of 8724, 8731, 8772, 8781-
        8782, 8784, 8786,8789,8794

DNAPLs (see "Dense non-aqueous phase liquids")

DOC (see "Department of Commerce")

Docket (see "Federal agencies — Hazardous waste
compliance docket")

Documentation and cost recovery (see also
"Consistent with the NCP" and "Private party
cleanups")  8680- 8682, 8687, 8723, 8736, 8797,
8831-8832, 8838,8858-8859,53 FR 51402

        Hazardous substance response 8723,8831-
        8832

            Documentation 8831-8832

            Health effects  53 FR 51402

            Local governments 8858

            Private party cleanups  8792-8799,
            8858-8859

            Recoverable costs 8723, 8792-8795,
            8798-8799, 8803,8835, 8838-8839,
            8841

            Recovery under CERCLA section
            106(b) (see also "Removal action(s) —
            Actions under CERCLA section 106")
            8670, 8680-8682, 8687, 8726, 8799,
            8858
        Oil spills 8809,8838
                             !  II
Documenting the decision (see also "Record of
decision" and "Decision Document")  8670, 8704-
8705,8731, 53 FR. 51430

DOD (see "Department of Defense")
                               il -
DOE (see "Department of Energy")

DOI (see "Department of the Interior")

DOJ (see "Department of Justice")

DOL (see "Department of Labor")

DOS  (see "Department of State")

DOT (see "Department of Transportation")

Dollar and time limitations (see "Removal action(s) -
- Statutory limits — Time and dollar limits")

DQOs (see "Remedial investigation/feasibility
study — Data quality objectives")

Drinking water supplies  8717, 8732-8733, 8736,
8750, 8754-8755, 8789, 8815-8816, 8840, 8842

       Definition of 8815

Dual enforcement standards (see "Enforcement —
Dual enforcement standards")

Duties of President delegated to federal agencies (sees
"Delegation - Of duties of President to federal
agencies")

Early notification (see "Potentially responsible
party(ies) ~ Early notification ofPRPs")

EE/CA (see "Removal action(s) - Engineering
evaluation/cost analysis")

Effectiveness  (see "Feasibility study ~ Nine criteria
(to evaluate alternatives)  ~ Long-term effectiveness
and permanence" and "Feasibility study — Nine
criteria (to evaluate alternatives) - Short-term
effectiveness")

EHS (see "Extremely hazardous substance")
                                               V-10

-------
  Emergency removal
                                                                                            Evacuation
  Emergency removal (see "Removal action(s) -
  Emergency removar)

  Emergency exemption (see "Removal action(s) -
  Exemptions from statutory limits — Emergency
  exemption")

  Endangerment assessment (see "Imminent and
  substantial endangerment")

  Enforcement (see also "Potentially responsible
  partyaes)") 8667-8668, 8670,8675, 8679, 8684,
  8692-8693, 8698, 8735-8736, 8744, 8762, 8765-
  8766, 8768, 8773-8777, 8779, 8782-8783, 8785-
  8786,8794, 8797,8817-8819,8831,8833,8839,
  8841, 8843-8845, 8847, 8852-8856,, 8860, 53 FR
  51458-51459

         Administrative order (see "'Administrative
         orders")

         Dual enforcement standards 8670, 8785-
         8786

         Enforcement agreement or orders 8670,
         8720, 8736, 8774-8775, 8797, 8847,8854,
         8860

         EPA strategy on enforcement  8774

        Public participation (see "Public
        participation requirements — Enforcement
        actions")

        Special notice and moratoria (see
        "Potentially responsible panty(ies) - Special
        notice and moratoria")

Engineering Evaluation/Cost Analysis (EE/CA) (see
"Removal action(s) — Engineering Evaluation/Cost
Analysis")

Enhancement of remedy (see "State - Enhancement
of remedy")

Entry and access (see also "Access")  8669, 8687-
8688, 8800, 8804, 8806, 8814, 8840, 8858, 53 ER
51406

       Administrative orders for access  8687,
       8858
          Designating PRPs as access representatives
          (see "Potentially responsible pady(ies) -
      ;    Designating PRPs as access
          representatives")

  Environment (definition of) (see also
  "Environmental") 8815

  Environmental, (see also "Environment — Definition
  of);

         Assessment 8682, 8830

         Fate and transport modeling (see "Fate and
         transport modeling")

         Protection (see Feasibility study - Nine
         criteria (to evaluate alternatives) —
      :   Protection of human health and the
         environment" and "CERCLA section 121
      ,   requirements for selection of remedy —
         Protection of human health and the
         environment")

    -.;   Risk  8709-8710,8830,8847

 Environmental Response Team (ERT) 8678, 8814,
 8830

 Environment-based 53 PR 51436

 EPA Radiological Assistance Teams (RATs) 8671,
 8678-8679,8814, 8831

 EP Toxicify Test (see "Extraction Procedure Toxicity
 Test")

 Equivalent standard of performance waiver (see
 "Applicable or relevant and appropriate requirements
 — Waivers — Equivalent standard of performance")

 ERT (see "Environmental Response Team")

 ESD (see "Record of Decision - Explanation of
 Significant Differences")

Establishing remedial priorities (see "National
Priorities List — Establishing remedial priorities")

Evacuation 8818, 8829-8830, 8837, 8843
                                                V-ll

-------
  Evaluation criteria
                                                                                      Feasibility study
  Evaluation qriteria (see "Feasibility study — Nine
  criteria (to evaluate alternatives)'")

  Executive Orders 8666, 8671, 8674, 8676, 8679,
  8680, 8731, 8814,8819,8832, 8837, 53 FR 51396,
  53 FR 51398,53 FR 51400

  Exemptions 8667, 8669-S670, 8688-8692,8696,
  8741,8744, 8747,8756,8763,8766, 8773-8774,
  8795, 8803-8804,8841,8844

         From statutory Imitations on removal
         actions (see "Removal action(s) -
         Exemptions from statutory limits"')

         For federal facilities (see "Federal
         facilily(5es) - Exemptions for federal
        faalitiesH)
                  I,   : i
 Exigencies of die situation (see "Removal  action(s) -
 - Applicable or relevant and appropriate
 requirements - Urgencies of the situation")

 Expectations (see "Remedial investigationtfeasibility
 stu'dy -Program expectations")

 Explanation of significant differences (BSD) (see
 "Record of Decision — Explanation of Significant
 Differences^

 Exposure  8680,8701-8703, 8705-8706, 8708-8713,
 8715-8718, 8720,8722-8723, 8725-8726, 8729-8730,
 8731-8734, 8747-8748, 8750-8755, 8758, 8764,
 8792,8817,8834,8840,8842^844,8846-8849,
 8851-8852, 8865

    -   Assessment 8708-8710,8753,8860

    -   Levels 8708-8710,8712,8715,8718,8753,
        8848-8849,8851

 •   -   Pathways 8707, 8709-8710, 8712-8713,
        8715,8717, 8719, 8726, 8751,8817, 8829,
        8844,8848-8849

        Scenario  (see also "Remedial investigation -
        - Risk assessment — Reasonable maximum
        exposure  scenario")  8710, 8713,8716-8717

Extraction Procedure (EP) Toxicity Test  53 FR
51444
 Extremely hazardous substance (EHS) (see also
 "Title m" and "Saperfund Amendments and
 Reauthorization Act of 1986") 8667, 8672, 8686
 8836-8837

 Facility 8667-8668, 8674-8676, 8678, 8686,8688,
 8690-8693, 8698, 8706, 8709, 8714, 8731-8732,
 8736, 8738, 8740-8744, 8753-8754, 8759, 8764-
 8766,8768, 8772, 8774-8775, 8785, 8795, 8802-
 8803, 8805, 8814.*817,8828-8829, 8833,8836-
 8837, 8839-8844, 8847-8855, 8859

    -   Definition of 8689, 8690,8815, 53 FR
        51403

        Off-shore 8829,8839

             Definition of 8816
                              ;  ;|
        On-shore 8829,8839

             Definition of 8817
                             1 :  i
Facility-siting laws (see "Siting laws")

Fact sheet (see "Public participation requirements —
Remedial design/remedial action — Fact sheet")

Fate and transport modeling 8709

FCO (see "Federal Coordinating Officer")

Feasibility study (FS) (see also "Remedial
investigation" and "Remedial rnvestigation/feasibility
study")  8668,8670,8684,8687,8700,8702-8709,
8711-8716, 8718-8719, 8721-8724; 8728-8730,8775,
8793, 8801, 8812, 8814-8815, 8817, 8828, 8846-
8848, 8850-8851, £854-8856, 8860

        Alternatives (remedial) 8675,8686, 8694,
        8711-8717-8720, 8722, 8724-8728, 8730-
        8731, 8747, 8775-8776, 8778, 8793-8794,
        8804-8805, 8811-8812,8815, 8817-8819,
        8832, 8837, 8843, 8846-8852, 8855-8856,
        8863-8865

            Detailed analysis of 8669,8701, 8707,
            8715, 8719, 8723, 8731, 8747, 8757,
            8776, 8793, 8812, 8815,8847-8849,
            8851,8855-8856, 53 FR 51428
                                               V-12

-------
Feasibility study (cont)
                   Feasibility study (cont)
                Comparative analysis 8712,
                8849, S855-885<5

            Development of 8701, 8711,8713-
            8715, 8727, 8731,8747,8775, 8777,
            8782, 8787,8848,53 ER 51426

            Nine criteria (see entries below under
            this heading, "Nine criteria (to
            evaluate alternatives)" and "Nine
            criteria (functional categories)")

            No-action, (see also "Ground water ~
            Restoration - Natural attenuation")
            8680,8701, 8710-8712, 8715, 8732,
            8748-8749,8798, 53 FR 51427

            Preferred  8711, 8714, 8722,8724-
            8725, 8730-8731,8850-8851, 8855

           Range of 8701, 8704-8705, 8708,
            8711-8712,8714-8715, 8720, 8723-
           8725, 8727-8729, 8731-8732, 8793,
           8848-8849

           Screening of 8700, 8702-8703, 8706,
           8711-8712,8714-8715,8717, 8719-
           8720,8722-8730, 8739, 8775-8776,
           8794,8801, 8804,88]S, 8849, 8856,
           53 FR 51426-51427

      Definition of 8815, 53 FR 51399

      Nine criteria (to evaluate alternatives)
      8669-8702, 8706, 8711-8712,  8719-8732,
      8743, 8776, 8778, 8801, 8849-8851
                           v
          Community acceptance  8712, 8719,
          8723-8725, 8730-8731, 8850-8851

          Compliance with ARARs (see also
          "Applicable or relevant and appropriate
          requirements") 8712,8719-8720,
          8724-8728, 8731,8795, 8849-8851

          Cost  8702,8706, 8712,8719, 8722-
          8732, 8793,8801, 8811-8812, 8850-
          8851, 53 FR 51427-51428
      Implementabitity 8712, 8719, 8722,
      8724-8725, 8727, 8731-8732, 8850-
      8851

      Long-term effectiveness and
      permanence 8688-8669, 8701-8702,
      8712, 8719-8720, 8722, 8725, 8727-
      8729, 8731-8732,8778., 8788, 8795,
      8801,8849-8851

      Protection of human health and the
      environment 8702, 8712, 8719-8720,
      8724-8728,8731,8849-8851

      Reduction oftoxicity, mobility, or
      volume through treatment (see also
      "CERCLA section 121 requirements
      for selection of remedy") 8669, 8701-
      8702, 8712, 8719-8725, 8727-8729,
      8731-8732, 8778.8849-8851

      Short-term effectiveness  8712,8719-
      8722, 8724-8725, 8727-8728, 8731-
      8732, 8850-8851

      State acceptance  8712, 8719, 8723-
      8726,8730-8731,8850-8851

 Nine criteria (functional categories)  8669-
 8702, 8719, 8723-8732,8850-8851

     Modtfying criteria 8669, 8719, 8723-
     8724, 8729-8731,8850-8851

     Primary balancing criteria  8669,
     8719, 8723-8726, 8728-8731, 8850-
     8851

     Threshold criteria 8669, 8719, 8723-
     8726,8728-8729, 8731, 8810, 8850-
     8851

Remediation goals (see "Remedial
investigation/feasibility study - Remediation
goals" and "Cleanup goals, levels, and
standards")

Risk assessment (see "Remedial
investigation - Risk assessment" and
"Remedial investigation - Baseline risk
assessment")
                                             V-13

-------
 .Federal agencies
                                                                                                Fund
 Federal agencies (see also "Federal facility(ies)")
 8666-8667,8669-8671, 8673-8684, 8689, 8693-8694,
 8716-8718, 8724, 8736, 8741, 8750, 8774-8776,
 8786^8789, 8802,8811,8832-8835, 53 FR 51394-
 51406,53 FR 51412-51414, 53 FR 51417, 53 FR
 51436, 53 FR 51450,53 fifc 51455, 53 FR 51460,
 53 JFR. 51464-51467,53 FR_ 51471-51472

        Additional responsibilities and. assistance
        8669,8676, 8683,8773-8774,8832-8835

    -   Capabilities 53 FR 51402

        General organization concepts 8671,8819

        Hazardous vaste'compliance docket 8668,
        8676-8677

        Participation 8667,8682-8683,8724,
        8832-8835

Federal Coordinating Officer (FCO) 8814, 8829,
8833

Federal Emergency Management Agency' (FEMA)
8683,8685,8814,8829-8830,8833,8835,8843

Federal racility(ies)  8666-8668, 8674, 8676-8677,
8684,8689-8690, 8693, 8695, 8698-8699, 8706,
8731, 8774-8775, 8802, 8841,8844-8845,8851,
8854,8859,8864, 53 FR 51395, 53 FR 51405

        Administrative record requirements (see
        "Administrative record — Federal facilities")

        Applicability ofNCP (see also "Authority
        for and applicability of the NCP")  8874-
        8875,53 FR 51458

        Exemptions for federal facilities  8774

        Interagency agreements (lAGs)  8668, 8674,
        8731

        Joint selection of remedy  8851

        State involvement (see "State — Federal
       facilities and states")

        SubpartK  8666-8667,8671,8683-8684,
        8774-8775, 8813
 Federal-lead  8749, 8776, 8780, 8784, 8819, 8828,
 8835, 8843-8844, 8853

 Federally permitted release 53 FR 51400

 Federal Radiological Emergency Response Plan
 (FRERP)  8829,8833

 Federal trustees designation (see "Trustees for
 natural resources — Designation of and "Trustees
 for natural resources - Federal")  8707-8708,8814,
 8819, 8830, 8857

 Federal water quality criteria (FWQC) (see
 "Applicable or relevant and appropriate requirements
 — Federal voter quality criteria" and "Water quality
 criteria")
       ;  ' .    '        : •  "  .  ! ' i
 FEMA (see "Federal Emergency Management
 Agency'O

 Held sampling plan (see "Project plans - Sampling
 and analysis plan — Field sampling plan")

 Final remedy selection (see "Selection of remedy")

 First federal official  8677,8829

        Definition of 8815

 Five-year review  8699-8701, 8725, 8730-8731,
 8757,8851-8852,53 FR 51430

 "Freezing" ARARs (see "Applicable or relevant and
appropriate requirements - Newly promulgated or
modified requirements")

FRERP (see "Federal Radiological Emergency
Response Plan")

FS (see "Feasibility snidy")

Fund (see also "Fund-financed" and "Non-Fund-
financed")  8674, 8677, 8681, 8695-8698, 8737-
8739, 8747, 8749-8750, 8814-8819, 8828-8829,
8832, 8834, 8838-8841, 8843-8847, 8850, 8852-8859

        Definition of 8815
                                               V-14

-------
  Fund-balancing waiver
                                                                                          Ground water
  Fund-balancing waiver (see "Applicable or relevant
  and appropriate requirements — Waivers — Fund-
  balancing")

  Fund-financed 8667, 8669, 8674, 8677, 8681, 8690,
  8694-8699, 8723, 8729, 8735-8736, 8739-8740,
  8749-8750, 8766,8773-8774, 877(>-8780, 8782-8787,
  8797,8817, 8843-8844, 8846, 885D, 8852-8856,
  8858

  Fundamental alteration of remedy (see "Record of
  decision —Amendment to")

-Funding 8674, 8676, 8683, 8693, 8695, 8697, 8698,
  8707,8774, 8778-8780, 8791, 8798-8799, 8811,
  8839,8841, 8853,8859

         Mixed funding (see "Potentially responsible
         party(ies) - Settlements - Mixed funding")

         Oil pollution funds (see "Discharge of oil —
         Oil pollution funds")

 FWQC (see "Applicable or relevant and appropriate
 requirements — Federal -water quality criteria")

 General organization concepts  (see "Federal agencies
 — General organization concepts")

 General pattern of response (see "Discharge of oil —
 General pattern of response")

 Goal (see "Remedial investigation/fiasibility study -
Program goal" and "Remedial
investigation/feasibility study — Remediation goals"
and "Cleanup goals, levels, and standards")

Good faith offer (see "Potentially responsible
paity(ies) ~ Negotiations with PRPs - Good faith
offer")

Grants (see "Core Grant Program,"  "Public
participation requirements — Technical assistance
grants," and "Delegation")

Gfeater risk  to human health and the environment
waiver (see "Applicable or relevant and appropriate
requirements — Waivers - Greater risk to human
health and the  environment")
Ground water  8695-8696,8702, 8705,8708, 8710,
8713, 8715-8717, 8723, 8727, 8732-8739, 8743-
8744, 8747, 8750, 8752-8757,8765-8766,8774
8778, 8789, 8815-8816, 8834, 8846-8848,8852-
8853, 8865

       Cleanup levels (see also "Cleanup
       goals/levels/standards")  8701, 8709, 8716-
       8718, 8724, 8733-8734, 8784

            Alternate concentration limits (ACLs)
            8699, 8715, 8732, 8753-8754, 8765,
            8848

            Maximum contaminant levels and
            maximum contaminant level goals (see
            "Applicable or relevant and appropriate
            requirements  — Maximum contaminant
            levels" and "Applicable or relevant and
            appropriate requirements — Maximum
           contaminant level goals")

      Definition of 8815

      Guidelines for ground water classification
      (i.e.. Class I, II, or HI well) 8732-8733
    !  8753

      Management of migration  8703-8705,
      8710, 8734-8735, 8816-8818, 8842-8846,
      8848

          Definition of  53 FR  51399

  -    Policy 8670,8717,8732,8744,8754

      Point of compliance (see "Points of
      compliance - Ground water")

      Protection Strategy 8732-8733,8750,53
    •  FR 51433

 -    Restoration 8669,8734-8737,8750,8752-
      8755,  8765, 8772, 8778, 8811-8812, 8832,
      8846, 8849, 8852, 8854, 8858

          Cleanup levels (see entry above under
          this heading, "Cleanup levels")
                                                V-15

-------
Ground water (conk)
                                   Indian Tribe
            Measures (see "Operation and
            maintenance — Ground water
            restoration measures")

            Methods  8732, 8736-8737, 8743

            Natural attenuation  8706,' 8733-8735,
            8753,8757-8758,8768, 8771,8773

            Timeframe 8705,8732,8734,8774,
            8849

Hazard Ranking System (HRS) (see also "National
Priorities List" and "Non-NPL site") 8668,8699,
8781,8801,8805,8814-8815,8844-8846,8854-
8855,53 FR. 51413-51414

        Definition of 8816

Hazardous substance (definition of) (see also
"Pollutant or contaminant (definition of)") 8816

Hazardous waste determination (see "Testing -
RCRA waste")

Hazardous waste management facility  8674, 8725

Hazardous Waste Treatment Council petition   8691

Health and safety plan (see also "Project-plans -
Health and safety plan") 8707

Health assessments) (see also "Agency for Toxic
Substances Disease Registry - ATSDR health
assessments")  8667, 8681,8709, 8723, 8800, 8832,
8834,8840,8860, S3 FR 51402, 53 FR 51407

Health-based requirements) 53 FR 51436

Health effects study  8681,53 FR 51402

HHS (see "Department of Health and Human
Services")

HRS (see "Hazard Ranking System")

Human health and the environment (see "CERCLA
section 121 requirements for selection of remedy -
Protection of human health and the environment"
and "Feasibility study — Nine criteria (to evaluate
alternatives) — Protection of human health and the
environment")

Hybrid closure (see "RCRA ARARs — Closure —
Hybrid closure")

IAG (see "Interagency Agreement")

Identification of applicable or relevant and
appropriate requirements .(see "Applicable or relevant
and appropriate requirements — Identification of)

Imminent and substantial endangerment  8675, 8677,
8709-8710, 8803,8814, 8817, 8829, 8839, 8842,
8860,53 FR 51467

        Endangerment assessment 8675, 8677,
        8709-8710

Implementability (see "Feasibility study — Nine
criteria (to evaluate alternatives) —
Implementability")

Incident-specific teams  8671-8673, 8680, 53 FR
51401

Incineration (see "Remedies — Treatment (or
treatment technology) — Incineration")

Inconsistent application of state requirements waiver
(see "Applicable or relevant and appropriate
requirements —  Waivers — Inconsistent application
of state requirements")

Index (i.e., Table of Contents)

    -    Preamble to final NCP  8669

        NCP distribution table S3 FR 51397

    -    Final NCP rule  8813

Indian tribe  8698, 8741, 8745-8747, 8766, 8775,
8778,8780, 8786-8789, 8792, 8794, 8797-8799,
8804, 8816, 8818-8819, 8827, 8835, 8845, 8853-
8855, 8857-8858, 53 FR 51401

        Definition of 8816

        Involvement during response 8668-8671,
        8673,8686, 8730, 8779-8780
                                                V-16

-------
 Indian tribe (cont.)
                                         Liability
         Treated as states 8733, 8780,53 FR 51398

             Applicability of state involvement
             requirements  S3 FR 51456

         Tribal laws as ARARs (see "Applicable or
         relevant and appropriate requirements —
         Indian tribe (or tribal) laws as ARARs")

         Trustees for natural resources under
         CERCLA (see "Trustees for natural
         resources — Indian tribe")

 Information repository (see also "Administrative
 record" and "Public participation requirements —
 Information repository")  8755,876(5,8768, 8771,
 8773,8844, 8846-8847, 8851-8852, 8858, 53 FR
 51465

 Initiation of action   8686-8687, 8704-8705, 8775,
 8777, 8782, 8806-8807, 8829,8846

 Injunction/injunctive relief 8746, 8803,8858

 Inland water(s)  8787,8816,8818,8834

        Definition of  8816

 Inland zone 8672,8816, 882S, 8833

        Definition of  8816

 Innovative technologies (see "Remedies - Treatment
 (or treatment technology)  — Innovative")

 Institutional controls (see "Remedies — Institutional
 controls")

 Interagency Agreement (IAG) (see also "Federal
 facilities — Interagency agreements") 8698, 8731,
 8832, 8839

 Interim action/measure/remedy (see "Remedies —
Interim")

 Interviews (see "Public participation requirements —
 Community interviewfs)")

 Investigation-derived waste (see "Wastes —
Investigation-derived -waste")
 Joint inspection (see "State — Joint inspection with
 EPA")

 Judicial review (see also "Administrative record -
 Jitdicial review of administrative record")  8663,
 8803,8807

 Land disposal restrictions (LDRs) (see "RCRA
 ARARs — Land disposal restrictions'*)

 Landfill closure (see "RCRA ARARs - Closure -
 Landfill closure")

 Land use (see "Remedial investigation — Risk
 assessment — Land use")

 LCP (see "Contingency plan(s) - Local")

 LDRs:(see "RCRA ARARs - Land disposal
 restrictions")

Lead agency 8667-8669,8674,8676-8677,8679-
 8681,8688,8690-8692, 8694, 8696-8697, 8704,
 8706-8708,8711-8712,8715-8716, 8720, 8723-8724,
 8727,8730-8731, 8733, 8776-8777, 8779-8784,
8789-8792,8795-8796,8798, 8800-8808, 8810, 8816

    -   Definition of 8668, 8816, 53 FR 51398

        State as (see "State — Lead agency, state
        as")

Lead authorized official 8789

Lead trustee (see "Trustees for natural resources -
Lead trustee")

LEPCs (see "Local Emergency Planning
Committees")

Level of remediation (see "Remedial
investigation/feasibility study — Remediation goals"
and "Cleanup goals, levels, and standards")

Liability 8666, 8687, 8691-8693, 8708,8736, 8757,
8768, 8779, 8786,8788, 8793-8794, 8802,8807-
8808, 8S38, 8858-8859

        Release from liability 8691,8798,8859

   -  ,  Standard of liability 8798,8858-8859
                                                V-17

-------
  Limitations on response
               Miscellaneous oil spill control agent:
  Limitations on response (see "Response action —
  Limitations on")

  Listing sites in CERCLJS (see "CERCLIS - Listing
  sites in CERCLIS")

  Local contingency plan (LCP) (see "Contingency
  plan(s) - Local")

  Local emergency planning committees (LEPCs)
  8667,8671-8674,8678,8682, 8684-8686, 8693,
  8814,8827, 8S36, 8842

  Local emergency response plans 8669,8682,8684-
  8686,8693,8826-8827,8832,8836-8837

  Local governments (see also "State and local
  participation in response") 8671-8674, 8677-8679,
  8684-8685,8706,8733, 8738, 8775,8789, 8812,
  8814,8819,8826-8829,8833,8835,8839,8858-
  8859

         Reimbursement for response costs 8798-
         8799,8858-8859,53 FR 51411

         Requirements as TBCs (see "To-be-
         considereds")

  Local participation (see "State and local-participation
  in response")

  Location-specific ARARs (see "Applicable or
  relevant and appropriate requirements — Types of
 ARARs'')

  Long-term effectiveness and permanence (see
  "Feasibility study — Nine criteria (to evaluate
  alternatives} — Long-term effectiveness and
 permanence")

• Long-term management controls (see also "Operation
 and maintenance," "Remedies — Source control —
 Maintenance measures," and "State — Assurances —
 Operation and maintenance") 8700-8701,8706,
 8720, 8722-8723,8727-8728, 8848-

 Long-term response (or remedial) actions (LTRAs)
 8667,8698-8700,8774, 8806,8843

 Low-level threat (see "Threats")
 LTRAs (see "Long-term response (or remedial)
 actions")

 Maintenance measures (see "Remedies — Source
 control — maintenance measures,'' "State —
 Assurances - Operation and Maintenance," and
 "Operation and maintenance")

 Management of migration (see "CJround water -
 Management of migration")

 Management principles (see "Remedial
 investigation/feasibility study - Program
 management principles")

 Material Safety Data Sheet (MSDS) (see "Title m -
 Material safety data sheet")

 Maximum contaminant levels (MCLs) (see
 "Applicable or relevant and appropriate requirements
 — Maximum contaminant levels and Maximum
 contaminant level goals")

 Maximum contaminant level goals (MCLGs) (see
 "Applicable or relevant and appropriate requirements
 — Maximum contaminant levels and Maximum
 contaminant level goals")

 Maximum extent practicable (MEP) (see "CERCLA
 section 121 requirements for selection of remedy -
 Permanent solutions and treatment to the maximum
 extent practicable")

 MCL(s) (see "Applicable or relevant and appropriate
 requirements — Maximum contaminant levels")

 MCLG(s) (see "Applicable or relevant and
 appropriate requirements — Maximum contaminant
 level goals")

 MEP (see "CERCLA section 121 requirements for
 selection of remedy — Permanent solutions and
 treatment to the maximum extent possible")

Mining waste (see "Wastes - Mining -waste")

Miscellaneous oil spill control agent 8808-8809
8816,8861-8862,8864

   -   -Definition of 8816, 53 FR 51399
                                                V-18

-------
 Mixed funding
      National System for Emergency Coordination
 Mixed funding (see "Potentially responsible
 party(ies) - Settlements - Mixed funding")

 Mobility (see "Feasibility study — Nine criteria (to
 evaluate alternatives) — Reduction oftoxicity,
 mobility, or volume through treatment")

 Modifying criteria (see "Feasibility study ~ Nine
 criteria (functional categories) — Modifying
 criteria")

 Motatoria (see "Potentially responsible party(ies) —
 Special notice and moratoria")

 MSDS (see "Title in - Material safety data sheet")

 Multiple contaminants or pathways (see also
 "Additive risk or additivity" and "Risk range")
 8701, 8712-8713, 8715, 8717,8719, 8729,8750-
 8751,8753, 884$

 Multi-regional response (see "Response action —
 Multi-regional")

 Municipal landfills (see also "RCRA ARARs -
 Closure - Landfill closure")  8704, 8714, 8725,
 8749, 8812

 National capacity variance (see "Variances —
 National capacity variance")

 National Contingency Plan(s) (NCP) (see also "1985
 NCP," "Purpose and objectives of the NCP," "Scope
 of the NCP," and "NCP product schedule") 8668-
 8671, 8673, 8679-8680, 8682, 8692, 8754, 8771,
 8815-8816, 8818, 8827, 8862

 National Emission Standards for Ha2;ardous Air
 Pollutants (NESHAPs) 53 FR 51447

 National Institute for Occupational Safety and Health
 (NIOSH) 8814

National Marine Sanctuary ecosystems 8683-8684

National Oceanic and Atmospheric Administration
 (NOAA) (see also "Department of Commerce")
 8678-8679,  8788, 8790, 8809, 8814, 8830

National Priorities List (NPL) (see also "Non-NPL
site" and "Hazard Ranking System") 8666-8671,
 8676r8677, 8680, 8682-8683, 8692-8694, 8698-8700,
 8702> 8704, 8706, 8709, 8732, 8737, 8774,8776-
 8777,8779-8783, 8786, 8796-8797, 8799, 8801,
 8805-8807,8812,8814-8816, 8828, 8834,8840,
 8842-8843,8845-8847, 53 FR 51414

         Construction completion category 8699-
         8700, 8704-8705,8712, 8720

         Deferral from (see "Deferral policies")

         Definition of 8816

    -    Deletion from  8689-8700,8702,8706,
         8845-8846,53 FR 51414

         Establishing remedial priorities 8687,
         8698, 8845, 53 FR 51414

    - .   Listing procedures 8845,53 FR. 51414

         Public participation (see "Public
         participation requirements — NPL process
         (listing and deletion)")

    -    Purpose of the NPL  8845, 53 FR 51415

        Recategorizing sites  8699-8700, 8845,53
         FR 51415

        Removal actions at (see "Removal
        action(s) — NPL sites, removal actions at")

National Response Center (NRC)  8667,8669,8671-
8672, 8675-8677,8683-8684,  8686, 8693, 8795,
8797,8814, 8827-8831, 8835,8837-8838, 8841-
8842,8858

National Response System Concepts flow diagram
8821

National Response Team (NRT) 8666, 8668-8669,
8671-8672,8675-8678, 8680-8683,8685,8814-8815,
8819-8820, 8826-8830,8834-8836, 8864, 53 FR
51414

National Strike Force (NSF) 8678,8814, 8830-8831

National System for Emergency Coordination  53 FR
51403|
                                               V-19

-------
  Natural attenuation
                                                                                  Notice of availability
  Natural attenuation (see "Ground water —
  Restoration — Natural attenuation")

  Natural resourceCs) (see also "Trustees for natural
  resources") 8666, 8669^670, 8678-8679,8681-
  868,5, 8687, 8694, 8704; 8707-8708, 8715, 8720,
  8722-8723,8786-8792, 8795,8814-8816, 8819,
  882tf,8829-8831,8834,8838,8842,8847,8857-
  8858,886i; 53^.51408

         Claims (limits on Fund use) (see also
         "Claims — Natural resource damages")
         8707-8708,53  FR 51461

         Contiguous  8789

         Damage assessments  8682-8683, 8707-
         8708,8786-8787,8789-8791,  8795, 8809-
         8810,8842, 8847,8857-8858

         Response actions  8682-8683,8707-8708,
         8838

         Restoration of  8789

 Naturally occurring substances (see "Response action
 — Limitations on — Naturally occurring substances")

 Navigable waters (see also "Non-navigable waters")
 8668.8671,8814-8817,8829,8857,8861

        Definition of 8816

 NCP (see "National Contingency Plan(s)")

 NCP Product Schedule (see also "National
 Contingency Plan(s),"  "Purpose and objectives of the
 NCP," "Scope of the NCP," and "1985  NCP")
 8808-8810,8861-8862, 8864

Negotiations (see "Potentially responsible party(ies) -
- Negotiations with PRPs")

NESHAPs (s«e "National Emission Standards for
Hazardous Air Pollutants")

Net present value (see "Cost - Net present value")

Newly promulgated or modified requirements (see
"Applicable or relevant and appropriate requirements
— Newly promulgated or modeled requirements")
  NERAP (see "CERCLIS - No further response
  action planned")
 Nine criteria (see "Feasibility study - Nine criteria
 (to evaluate alternatives)" and "Feasibility study -
 Nine criteria (functional categories)")

 1985 NCP (see also "National Contingency Plan(s),"
 "Purpose and objectives of the NCP," "NCP Product
 Schedule," and "Scope of the NCP") 8684-8685,
 8698-8708, 8711-8712, 8719, 8723-8724, 8726-8728
 8741, 8747, 8775, 8777, 8787, 8789, 8792, 8794-
 8795,8811-8812

 NIOSH (see "National Institute for Occupational
 Safety and Health")

 No-action (see  "Feasibility study — Alternatives
 (remedial) — No-action" and "Ground water —
 Restoration — Natural attenuation")

 No Further Response Action Planned (NFRAP) (see
 "CERCLIS - No further response action planned")

 Noncarcinogens (see also "Carcinogens") 8711-
 8713, 8745, 8750, 8752, 8848

 Noncontiguous  facilities (see "On-site —
 Noncontiguous facilities" and "Natural resources -
 Contiguous")

 Non-Fund-financed (see also "Fund" and "Fund-
 financed") 8669, 8695-8696, 8776-8777, 8779-8780,
 8782-8783,8828,8845,8854-8856

 Nongovernmental participation (see also "Private
 party cleanups," "Person(s)," and "Consistent with
 the NCP") 8669, 8684, 8793,8835, 53  FR 51403

 Non-navigable waters (see also "Navigable waters")
 8817

 Non-NPL  she (see also "National Priorities List" and
 "Hazard Ranking System") 8667, 8676, 8689, 8694,
 8698, 8783, 8796,8816,8843

 Non-time-critical (see "Removal actiqn(s) — Non-
 time-critical")

Notice of availability 8766, 8772, 8805-8807,8844,
8846,8851-8852,8855,8860-8861
                                                V-20

-------
 Notice of availability (cont.)
                            Oil-scene coordinator
         Administrative record (see "Administrative
         record — Availability of)

         Proposed plan (see "Proposed plan —
         Availability of)

 Notification  8741, 8746, 8767, 8769, 8775, 8781,
 8785-8792,8795,8801,8805-8808,8842,8847,
 8857, 53 FR 5140&

         And communications 8669,, 8672, 8675-
         8676, 8741, 8828, 53 FR 51401

         Notice letters (see "Potentially responsible
         party(ies) -Notice letters")

         Of natural resource trustee (see "Trustees
         for natural resources — Notification of)

         Of potentially responsible parties (see
         "Potentially responsible party(ies) — Early
         notification ofPRPs" and "Potentially
         responsible party(ies) — Notice letters")

         Of states (see "Potentially responsible
         party(ies) - Negotiations with PRPs —
         Notice to states")

         Or discovery (see "Discovery or
         notification")

         Out-of-state transfer of CERCLA wastes
         (see "Transfer of Superfund waste — Out-of-
        Reportable quantity (see "R«iportable
        quantity")

Not inconsistent with the NCP (see "Consistent with
the NCP - Not inconsistent with the NCP")

NPL (see "National Priorities List")

NRC (see "National Response Center" and "Nuclear
Regulatory Commission")

NRT (see "National Response Team")

NSF (see "National Strike Force")
 Nuclear Regulatory Commission (NRQ  8683,8814,
 8817,8835

 Number and gender (as used in the NCP) 8819

 O&M (see "Operation and maintenance")

 Occupational Safety and Health Act (OSHA)
 programs (see also "Worker Health and Safety")
 8679-8680,8831

 Office of Management and Budget (OMB) Circular
 A-94  8722-8723

 'Offshore facility (see "Facility - Off-shore")

 Off-site (see also "State - Assurances — Off-site
facility compliance") 8689, 8691-8692, 8701,8737,
 8756,8758, 8817-8818,8840,8842-8845,8850,
 15860

        Preference against off-site disposal without
        treatment  8695,  8714-8715, 8725, 8731,
        8818, 8851

        Procedures for planning and implementing
        off-site response actions 8666

    -   ; Requirements for off-site transfer 8667-
        8668, 8725.8731,8756,8842,8844-8845,
        8860

Oil 8666,8672, 8675-8677,8680-8681, 8683-8687,
8697, 8774, 8786,8788, 8790, 8792, 8808-8810,
8813-8819,8826,8828-8830, 8835-8839,  8857,
8861-8862,8864-8865

       Definition of 8816

Oil pollution funds (see "Discharge of oil  — Oil
pollution funds")

Oil spill (see "Discharge of oil")

Oil spill control agent  8809

OMB Circular A-94 (see "Office of Management
and Budget Circular A-94")

On-scene coordinator (OSQ (see also "Removal
action(s)" and "Special teams and other assistance
                                               V-21

-------
On-scene coordinator (conk)
                                           OU
available to OSCs/RPMs")  8672-8673,8818, 53 FR
51401

   -    Definition of 8816,53 FR 51398

   -    General responsibilities  8671,8674,8693,
        8789-8792,8795,8808-8810,9816, 8820,
        8S26-SS39

   -    Predesignated OSC 8675-8676,8678,
        8686-8687,8693,8697,8815-8816, 8818,
        8826,8828-8829,8837
      •,  '"          ,',, S,    i'
   -    OSC reports 8669.8681-8682,8806-8807,
        8832,8838,8857,53 FR 51402, 53 FR
        51410

On-shore faculty (see "Facility - On-shore")

On-site  8667,8671,8684, 8688-8692,8701, 8706,
8725,8738,8741-8742,8747,8750,8755-8760,
8762,8777,8806-8807,8830-8831,8840,8842-
8844,8850,8860-8861

   -    Definition of 8817,53 FR 51406-51407

        Permit exemption (see also "Testing —
        Treatability testing") 8688-8692,8840,53
        FR 51407

        Noncontiguous facilities  8690-'8691. S3 FR
        51407

Operable unit (see also "Remedies - Interim,"
"Applicable or relevant and appropriate requirements
— Waivers — Interim measures," and "Operation and
maintenance — Temporary or interim measures")
8671,8704-8708,8713, 8731,8738-8739, 8750,
8759,8846-8847

        Bias for action (see "Remedial
        investigation/feasibility study — Program
        management principles — Bias for action")

   -    Definition of 8817,53 FR 51399

        Threshold for Fund-balancing •waiver  (see
        "Applicable or relevant and appropriate
        requirements — Waivers — Fund-
        balancing")
Operational and functional  8736-8737,8739-8740,
8778,8811,8853-8854
                    ,i   '. .:          J
Operation and maintenance (O&M) (see also "Long-
term management controls." "Remedies — Source
control - Maintenance measures," and "State -
Assurances —Operation and maintenance") 8668,
8699-8700.8706,8720, 8722,8727-8729,8735-
8740,8756-8757,8777-8778, 8797»8798,8814,
8850,8852, 8858,53 FR 51453

        Cost-share (see also "State — Assurances —
        Cost-share") 8777-8778,8854

   -    Definition of 8817,53 FR 51399

        Ground -water restoration measures 8736-
        8738,8753, 8811, 8834,88534854,53 FjJ
        51454

        Reporting and recordkeeping  8736, 8740,
        8756-8757, 8811

        State assurance of (see "State — Assurances
        — Operation and maintenance")

        Temporary or interim measures (see also
        "Remedies — Interim" and "Applicable or
        relevant and appropriate requirements —
        Waivers - Interim measures") 8669, 8699,
        8738

Opportunity to concur (see "Concurrence")

Oral reference doses (see "Reference doses")

OSC (see "On-scene coordinator")

OSC contingency plans (see "Contingency plan(s) —
OSC")

OSC reports (see "On-scene coordinator — OSC
reports")

OSHA programs (see "Occupational Safety and
Health Act (OSHA) programs")

Other persons (see "Private party cleanups" and
Terson(s)n)

OU (see "Operable Unit")
                                                V-22

-------
 Oversight
                                      Population
 Oversight 8834

         Lead agency oversight of support agency
         8704, 8735, 8769, 8776, 8731-8782, 8841,
         8847

         Of contractors 8735-8736  .

         OfPJXPs (see "Potentially responsible
         party(les) — Oversight of PRPs")

         Of response action 8692,8796

    -    Of states 8775-8776,8853

    -    OSC oversight (see "On-sceae coordinator —
         General responsibilities")

 Owner/operator 8667, 8687-8689, 8698, 8764, 8797,
 8842

 PA (see "Preliminary assessment")

 Pathway(s) (see "Exposure - Pathways")

 PCBs (see "Polychlorinated biphenylj;")

 Permanence or permanent solutions Gsee "Feasibility
 study — Nine criteria (to evaluate alternatives) —
 Lang-term effectiveness and permanence" and
 "CERCLA section 121 requirements ifor selection of
 remedy — Permanent solutions and treatment to the
 maximum extent practicable")

 Permits (see also "Applicable or relevant and
 appropriate requirements - Substantive versus
 administrative requirements' and "On-site — Permit
 exemption") 8669, 8674, 8686, 8688-8692, 8697,
 8698,8706, 8714,8741,8756-8757,8760,8762,
 8764-8765,8841,8850,8855,8858

 Person(s) (see also "Private party cleanups")  8668,
 8672, 8675, 8676,8686,8690, 8693, 8752, 8761,
 8769, 8771,8773,8788-8789,8792, {S795-8798,
 8814, 8817,8828-8829,8831,8835-8837,8839-
 8842, 8844-8845, 8850, 8857-8861

        Definition of  8817

 Petitions (see "Preliminary assessment — Citizens'
petitions")
 Placement (see "RCRA ARARs - Land disposal
 restrictions — Placement")

 Planning

         And coordination structure  8669,8673,
         8684-8685,8836

         And preparedness 8666,8671-8672,8684-
         8685,8814,8819,8826,8828,8835,53 FR
         51403

         Planning period (see "Removal actions —
         Planning period")

         Procedures for planning and implementing
       •  off-site response actions (see "Off-site -
         Procedures for planning and implementing
         off-site response actions")

 Points of compliance  8713

    -  ! Air and surface water 8713,8753

         Ground water 8713,8753-8754

            Remote location 8734, 8753-8754

            Several sources in close geographical
            proximity 8753-8754

 Point of departure (see "Risk range — Point of
 departure")

 Political subdivisions  8798-8799, 8854-8857, 8859

 Pollutant or contaminant (definition of) (see also
 "Hazardous substance (definition of)")  8817, 53 FR
 51407 ;

 Pollution report (Polrep) 8674, 8678, 8682, 8818,
 8827, 8830

 P'olrep (see "Pollution report")

Poiychliorinated biphenyls (PCBs) 8704, 8725,8748,
 8764-8765

Population  8686, 8691, 8722, 8768, 8837, 8842,
 8855
                                                V-23

-------
Population (cent.)
                          Preliminary assessment
        Factor in determining cleanup levels  8713,
        8717-8718, 8734, 8848

Post-removal site control (see "Removal action -
Post-removal site contror and "Operation and
maintenance")

Potentially responsible partyQes) (PEP) (see also
"Enforcement") 8667,8674-8675,8678-8681,8686,
8691,8695-8696, 8705, 8707,8711,8716, 8720,
8723-8724,8735-8736, 8739, 8745, 8748,8750,
8757,8762,8767-8769, 8772-8773; 8777,8781-
8783, 8785, 8788, 8794,8796-8798,8800-8802,
8804,8807, 8811,8815,8817,8829,8831,8835,
8837-8838,8840-8845, 8847, 8853-8854

        Designating PRPs as access representatives
        8687-8688

        Early notification-of PRPs 8694,8775,53
        FR 51432

   -    Negotiations with PRPs  8668,8716,8724,
        8757, 8771, 8773-8774,8785-8786, 8789,
        8791-8792,8847,8854,8856-8858

            Good faith offer  8774

            Notice to EPA  8798

            Notice to states 8697, 8740-8741,
            8785, 8792,8856

   -    Notice letters  8774-8775,8785,8791,
        8798,8854, 53 FR 51467

   -    Oversight of PRPs "8670,8675,8692-8693,
        8725,8735-8736,8769, 8775-8776, 8781-
        8782,8785^8786,8796, 8802,8841,8847,
        8853-8854

   -    PRP-lead activities  8668,8692-8693,8695-
        8697,8729, 8670,8735-8736,8741, 8755,
        8766,8773-8744

   -    Settlements 8694, 8705. 8716,8724,8757,
        8768,8772-8775, 8791, 8785-8786, 8791,
        8796-8797,8847

            Consent decree(s) 8687, 8692, 8735,
            8739.8771,8777,8785-8786, 8797,
             8828, 8S40-8S4L, 8847, 8852, 8857-
             8860

             Covenant not to sue 8791-8792

             De minimis parties 8798,8847

             Mixed finding 8668, 8774, 8798-8799,
        Special notice and moratoria  8670, 8677,
        8773-8775, 53 FR 51432

 Practicable (see also "CERCLA section 121
.requirements for selection of remedy — Permanent
 solutions and treatment to the maximum extent
 practicable") 8667-8668,8675,8677,8682,8684,
 8686, 8693-8696, 8698, 8700-8705, 8714-8716,
 8719-8721, 8724-8726, 8728-8735, 8739, 8741,
 8747-8748, 8752-8754, 8756, 8763, 8766, 8775,
 8778, 8782, 8788, 8793-8794, 8796-8797, 8802-
 8803, 8809, 8827-8830, 8837-8843, 8846-8847,
•8850-8852, 8854, 8857-8859, 8861-8862

 Preauthorization or prior approval (see "Claims —
 Preauthorization or prior approvaT)

 Predesignated OSC (see "On-scene coordinator —
 Predesignated OSC")

 Predesignated On-scene Coordinator (OSC) (see
 "On-scene coordinator — Predesignated OSC")

 Preferred alternative (see "Feasibility study —
 Alternatives (remedial) — Preferred")

 Preliminary assessment (PA) (see also "Preliminary
 assessment/site inspection," "Response action — Pre-
 remedial." and "Site inspection") 8668 8676,  8693,
 8814, 8818, 8845, 8847, 8854, 8860

        Citizen petitions 8801,8841,8844-8845,53
        FR 51412

    -   Definition of 8817, 53 FR 51399

        Preliminary assessment and initiation of
        action (see "Discharge of oil — Preliminary
        assessment and initiation of action")

    -   Removal PA 8693,8842-8845
                                               V-24

-------
 Preliminary assessment (cont)
                                    Proposed plan
     -   Remedial PA 8844-8845, 53 FR 51412-
         51413

     -   State role 53 FR 51456

 Preliminary assessment/site inspection (PA/SI) (see
 also "Preliminary assessment," "Site; inspection,"
 "Response action — Pre-remedial," and "Public
 participation requirements — Preliminary
 assessment/site inspection")  8668,8694.8767,
 8780-8781,8858

 Preliminary remediation goals (see "Remedial
 investigation/feasibility study - Remediation goals -
 Preliminary")

 Preparedness planning (see also "Contingency
 plan(s)"> 8671-8672, 8683, 8790,8814,8818-8819,
 8826-8828,8835-8837, 8842

 Pre-remedial response (see "Response action — Pre-
 remedial," "Preliminary assessment," "Preliminary
 assessment/site inspection," and "Sits inspection")

 Primary balancing criteria (see "Feaidbility study —
 Nine criteria (functional categories) — Primary
 balancing criteria"')

 Principal threats (see "Threats - Principal")

 Prior approval (see "Claims — Preaiafiorization or
 prior approvaT)

 Private party(ies)  8670, 8678,8681,8688, 8694,
 8774, 8792-8799, 8831, 8840-8841, 8858

 Private party cleanups (see also "Consistent with the
 NCP," "Nongovernmental participatiisn," and
 "Person(s)") 8666,8670,8678, 86811,8688,8694,
 8703, 8707, 8711, 8826-8827, 8829-iS831, 8834,
 8838, 8840-8842,8845, 8858-8859, 53 FR 51452

        Documentation and cost recovery (see
         "Documentation and cost recovery —
        Private party cleanups")

 Procedures for planning and implementing off-site
 response actions (see "Off-site — Procedures for
planning and implementing off-site response
 actions")
  Product schedule (see "NCP Product Schedule")

  Program expectations (see "Remedial
  investigation/feasibility study — Program
  expectations'}

  Program goal (see "Remedial investigation/feasibility
  study j— Program goal")

  Program management principles (see "Remedial
  investigation/feasibility study — Program
.  management principles")

  Project plans 8694,8707-8708,8715

          Health and safety plan 8707

              Field sampling plan 8708,8843, 8845,
           -   8847

          Quality assurance project plan (QAPP)
          8694,8708,8735, 8817,8843,8845, 8847,
       :  8859-8860

             Definition of 8817

         Remedial action

         Removal actions 8843

     -    RItFS workplan 8707-8708, 8712, 8730,
         8767, 8769, 8775, 8801, 8805, 8827, 8859-
       .  8860

     -  :  Sampling and analysis plan  8694,8707-
         8708,8735, 8775, 8817,8843,8845, 8847,
         8852,8859-8860

         Site investigation 8845

 Property boundary of facility

 Proposed plan  8694, 8712, 8719, 8730-8733, 8745,
 8748,8761, 8766-8773, 8780-8784, 8805, 8850-
 8851,8854-8856,8859-8860, 53 FR 51430

     -    Availability of  8731, 8807,8850-8851,
         8855,8859

     -  !  Contents of 8704, 8720, 8730,8850-8851,
         8856
                                                V-25

-------
 Proposed plan (cont)
         Public participation requirements
         Public renew and comment' 8668-8669,
         8694,8705,8708,8730,8733,8767-8773,
         8780-8784,8850-8851,8855, 8858-8859

     -    State involvement 8668, 8723-8724, 8730-
         8733,8850-8851,8854-8856, 53 FR 51457

 Protection of human health and the environment (see
 "Feasibility study—Nine criteria (to evaluate
 alternatives) — Protection of human health and the
 environment" and "CERCLA section 121
 requirements for selection of remedy — Protection of
 human health and the environment")

 PRP (see "Potentially responsible partypes)")

 Public comment period (see "Public participation
 requirements — Public comment period^)

 Public information and community relations (see also
 "Public participation requirements — Community
 relations")  8669, 8680,8707,8724, 8730,8844,
. 8846-8847,53 FR 51402

 Public Information Assist Team (PIAT)  8678,8814,
 8831

 Public participation requirements 8668, 8724, 8757,
 8766-8771,8773,8793, 8795,8797-8801,8805-
 8808,8814-8815, S817, 8830-8832, 8836-8837,
 8840,  8S44-SS47, 8850-8852, 8855, 8858,8860-
 8861,53 FR 51402,53 FR 51405

        Administrative record (see "Administrative
        record — Public participation
        requirements")

        Amendment to Record of Decision (see also
        "Record of Decision — Amendment to")
        8850,8852

        Community interviewfs)  8776-8768,8844,
        8847, S3 FR 51450

        Community relations  8680,8687,8707,
        8730,8766-8771,8773, 8798,8817,8831-
        8832,8844, 8847,8851-8852, 8858, 53 FR
        51450-51453   •"

            Definition of 8815
 Community Relations Coordinator (CRQ
 (see also "Administrative Record — Records
 Coordinator")

     Definition of 8814-8815, 53 FR 51399

 Community Relations Plan (CRP) 8707,
 8766-8768,8801,8814,8831, 8844,8860,
 53 FR 51450

 Enforcement actions 8701,53 FR 51452

 Explanation of Significant Differences
 (BSD) (see "Record of Decision -
 Explanation of Significant Differences")

 Fact sheet (see entry below under this
 heading, "Remedial design/remedial action -
 - Fact sheet")

 Information repository (see also
 "Administrative record" and "Information
 repository") 8766, 8768, 53 FR 51450
                       i  i         '
 NPL process (listing and deletion) 8766,
 8844-8845

 Preliminary assessment/site inspection
 8767

 Proposed plan (see "Proposed plan — Public
 review and comment")

 Public briefing (see entry below under this
 heading, "Remedial design/remedial action -
 - Public briefing')

 Public comment 8681, 8691,8694, 8699,
 8751-8752,8766-8767, 8769-8773, 8780,
 8784, 8798, 8800, 8805-8808, 8814, 8836,
 8845-8847,8850-8852, 8855, 8858, 8860-
 8861

Public comment period 8669, 8694, 8704-
 8705,8708, 8711,8719,8723-8724,8730-
 8731,8766-8767,8769-8772, 8800, 8802,
 8805-8808, 8844-8847,88151-8852, 8858,
8860-8861

    Extending public comment period
    8669,8770, 8844, 8851-8852,8861
                                                V-26

-------
Public participation requirements (cont.)
                                 RCRA ARARs
            Length of public comment period
            8766,8769-8770,8807-8808,8844,
            8846,8861

            On administrative record (see
            "Administrative record! — Public
            participation requirements")

            Public meeting 8697, 8707, 8766-
            8767,8769-8770, STB, 8794,8851-
            8852

                Transcript required  8766,8769,
                8851-8852

            Response to early comments
            encouraged 8769, 8805-8806,8861

            Written response required  8844, 8846,
            8851-8852,8860-8861,53 FR S14S1

       Public information and community relations
       8680, 8707,8724,8730, 8767, 8773, 8798,
       8851-8852,8858,8860-8861, 8864

       Record of Decision (see "R<:cord of
       Decision")

       Remedial design/remedial action (see also
       "Remedial design/remedial action")  8850,
       S3 FR S14SO. 53 FR 5I4S2

            Fact sheet 8669, 8767-8768, 8770-
            8771, 8852

            Public briefing 8669, 8767, 8771

       Removal actions 8669,8805,8831, 8844,
       8858, 53 FR 51450

       RI/FS and selection of remedy  8668, 8688,
       8762, 8766, 8768, 8770, 8793,8855, 8858-
       8861

       Significant changes (see entry above under
       this heading, "Explanation of Significant
       Differences")

       Technical Assistance Grants (TAGs)  8668,
       8767, 8769, 8770,8773,8806
 Public vessel (definition of) 8817, 53 FR 51400

 Pump and treat (see "Remedies — Treatment —
 Pump'and treat")

 Purpose and objectives of the NCP (see also
 "National Contingency Plan(s)," "Scope of the NCP,"
 "1985 NCP," and "NCP product schedule") 8666,
 8668,8670, 8677,8685,8836

 QAPP (see "Project plans — Quality assurance
 project plan")

 QA/QC (see "Quality assurance/quality control")

 Quality assurance project plan (QAPP) (see "Project
 plans — Quality assurance project plan")

 Quality assurance/quality control (QA/QC)  8694,
 8735,8817,8852,8859-8860,8862-8864

 RA (see "Remedial design/remedial action -
 Remedial action" and "Regional Administrator")

 Radiological Assistance Teams (RATs) (see "EPA
 Radiological Assistance Teams")

 Radiological Plan (see "Federal Radiological
 Emergency Response Plan")

 Range of alternatives (see "Feasibility study —
Alternatives (remedial) — Range of)

RATs (see "EPA Radiological Assistance Teams")

RCP (see "Contingency plan(s) — Regional")

RCRA 8689,8690, 8737,8754, 8764,. 8786-8797

RCRA ARARs 8667, 8743-8744,  8754, 8756, 8758-
8765, S3 FR 51443

       Applicable to CERCLA actions  8689-8691,
       8714,8732, 8741, 8756, 8758-8760, 8762,
       8765, 53 FR 51443

       Area of contamination (AOC) 8688-8689,
      ; 8692,8758, 8760,53 FR 51444

   -  ; Closure  8743,8758-8760,8762,8764-
      ; 8765, 8767, 8770, 53 FR 51445
                                              V-27

-------
RCRA ARARs (cont)
                               Recoverable costs
            Clean closure 8743.53 FR 51445
                      IP1                jnii

            Hybrid closure 8743,53 FR 51446

            Landfill closure (see also "Municipal
            landfills") 8737,8743,8760, 53 FR
            51446

        Corrective action 8759-8760.8766.53 FR
        51445

    -    Design and operating  8758-8759,8765,53
        FR. 51445

        Determination whether waste is a hazardous
        waste (see "Testing — £CKA waste")

        Land disposal restrictions (LDRs) 8721,
        8741,8755,8758-8762,8764,8819,8849,
        8851.53 FR 51444

            Best demonstrated available technology
            (BDAT) requirements  8704,8759-
            8762, S3 FR 51445

            Placement 8725,8731, 8758-8760,
            8767,53 FR 51445

            Presumption that BDAT is not
            appropriate for contaminated soil and
            debris 8721,8741, 8760^8762

            Treatability variance 8691, 8692,
            8721,8741, 8760-8762

        Relevant and appropriate to CERCLA
        actions 8741,8743-8744,8759-8763, 53
        FR 51446 -

    -    Storage  8690,8755,8758,8760,8763,53
        M51444

    -    Treatment 8673,8679,8681,8688-8692,
        8695,875518758,8760, 8778,8811-S813,
        53 FR 51444

RD (see "Remedial deagn/nemedial action —
Remedial design")
 Reasonable maximum exposure scenario (see
 "Remedial investigation — Risk assessment —
 Reasonable maximum exposure scenario")
                       :!	    !  I
 Recategorizing sites (see "National Priorities List —
 Recategorizing sites")

 Recontracting (see "Remedial design/remedial
 action — Recontracdng")

 Record of Decision (ROD) (see also "Decision
 document" and "Documenting the decision") 8699-
 8700,8704-8705,8720, 8729-8732, 8735-8736,
. 8738-8740, 8761,8766, 8770-8773,8775-8776,
 8778-8779,8781-8786,8801, 8811-8812,8814,
 8828,8850-8856,8860-8861, 53 FR 51430

        Amendment to (see also "Public
        participation requirements — Amendment to
        Record of Decision") 8758,8770-8772,
        8807,8852

        Changes to  8739-8740,8747,8757-8758,
        8771-8772,8785, 8807-8808,8852, 53 FR
        51451-51452

        Contents of  8720, 8730-8732, 8757-8758,
        8850-8851

        Explanation of.Significant Differences
        (BSD) 8731,8758,8770-8773,8784-8785,
        8807,8850-8852, 8861,53 FR 51451

        Fundamental alteration (see entry above
        under this {leading, "Amendment to")

    -   Notice of availability 8731,8766,8772-
        8773,8852, 53 FR 51451

        Responsiveness summary 8731, 8767, 8769,
        8851-8852,53 FR 51451

 Records coordinator (see "Administrative record —
 Records Coordinator" and "Public participation
 requirements — Community Relations Coordinator")

 Recoverable costs (see "Documentation and cost
 recovery — Recoverable costs")
                                               V-28

-------
 Recovery under RCRA section 106 (b)
                  Remedial design/remedial action
Recovery under CERCLA section 106(b) (see
"Documentation and cost recovery — Recovery under
CERCLA section 106(b)")

Reduction of 90 to 99 percent of toxicity or mobility
(see "Remedies (types of) — Treatment (or treatment
technology) — Reduction of 90 to 99 percent in
toxicity or mobility")

Reduction of toxicity, mobility, or volume through
treatment (see "CERCLA. section 121  requirements
for selection of remedy" and "Feasibility study —
Nine criteria (to evaluate alternatives) — Reduction
of toxicity, mobility, or volume through treatment")

Reference doses (RfDs) 8711-8713, 8715, 8745,
8765

Regional Administrator (RA) 8698, 8782, 8819,
8844,8854,8856

Regional contingency plan (RCP) (set; "Contingency
plan(s) — Regional")

Regional Response Center (RRC)  8814,8827

Regional Response Team (RRT)  8668,8671-8674,
8676-8678, 8681-8682, 8684-8686, 8788, 8790,
8808-8809, 8814,8819-8820, 8822, 8826-8828,
8830, 8832, 8834-8838,  8840, 8844, 8857, 8861-
8862

Regional site manager 8806

Regulatory impact analysis (RIA)  8810-8811. 53 FR
51471

Reimbursement 8681, 8697, 8702-8703, 8798-8799

       Local governments (see also
        "Documentation and cost recovery — Local
       governments")  8799,53 FR 51411

       Section 106(b) costs (see "Documentation
       and cost recovery — Recovery under
       CERCLA section 106(b)")

Relationship between removal and remedial activities
(see also  "Removal action(s) — Contribute to
efficient performance of the remedial .action") 8817,
  8828, 8843, 53 FR 51405,53 FR 51409,53 FR
  51411

  Release (see also "Threat of discharge or release"
  and "Discharge of oil")

     -    Definition of  8817,53 FR 51403

         Size classes of release  8818

         Threat of (see. "Threat of discharge or
        , release")

  Release from liability (see "Liability — Release from
  liability")

  Relevant and appropriate requirements (see
  "Applicable or relevant and appropriate requirements
  — Relevant and appropriate requirements")

  Relocation  8818,8830,8833,8843,8865

  Remedial design/remedial action (RD/RA)  8684, '
.  8687,8735-8736, 8755, 8770-8772, 8775,8784-
  8785, 8797-8799, 8852-8858, 53 FR 51453

         Compliance -with ARARs (see "Applicable or
         relevant and appropriate requirements —
         Remedial actions, compliance with ARARs
         during"')

     -    Conflict of interest 8735-8736,8852-8853,
        . 53 FR 51453

         Operation and maintenance (see "Operation
         and maintenance")

         Public participation (see "Public
         participation requirements — Remedial
         design/remedial action")

     -   : Recontracting (see also "Contracting")
         8853,53 FR 51453

         Remedial action (RA)

             Definition of 8818

             Removal action, relationship to (see
             "Relationship between removal and
             remedial activities")
                                               V-29

-------
Remedial design/remedial action (cont.)
           Remedial investigation/feasibility study
    - •  Remedial action objectives (see "Remedial
     •   investigation/feasibility study — Remediation
        goals')

    <*•   Remedial design (RD)  8704-8705,8739,
        8747,8758, 8771-8773, 8778,8784-8785,
        8814,8817,8852,8854

            Definition, of 8817,53 FJfc 51399

        Stale involvement (see "State involvement")

Remedial investigation (RI) (see also "Remedial
investigation/feasibility stndy" and "Feasibility
study*1)  8684,8694,8700,8702-8714, 8719,8721,
8724,8729-8730,8755-8756,8766-8768, 8801-8805,
8814*8815,8817,8846-8852,8860, 53 FR 51425

        Baseline risk assessment (see entry below
        under this heading, "Risk assessment —
        Baseline risk assessment")

    -    Definition of 8817,53 FR_ 51399

        Preliminary remediation goals (see
        "Remedial Investigation/feasibility study —
        Remediation goals — Preliminary")

        Remedial  action objectives (see'"Remedial
        investigation/feasibility study — Remedial  •
        action objectives")

        Remediation goals, levels, and standards
        (see "Remedial investigation/feasibility
        study — Remediation goals" and "Cleanup
        goals, levels, and standards")

   -    Risk assessment 8700, 8704, 8708-8713,
        8715-8718,8745,8748, 8751,8753-8754,
        8767-9769,8775, 8801, 8803,8805,8830r
        8831

            Baseline risk assessment  8704, 8708-
            8714, 8716-8718,8847-8848, 53 FR
            51425

            Exposure assessment  8708-8710,
            8860,53 Fg. 51425

            Exposure assumptions 8847-8848,
            8860
            Exposure levels 8708,8710,8712,
            8715, 8717-8718, 8753, 8848

            Exposure pathways 8709-8710,8712-
            8713, 8715, 8717, 8719,8726

            Land use 8710

            Purpose of risk'assessment 8709,
            8847-8848

            Reasonable maximum exposure
            scenario  8710, 8712-8713,8715-8717

            Toxicity assessment 8708-8711, 53 FR
            51425

        Sampling and analysis plan (see "Project
        plans — Sampling and analysis plan")

Remedial investigation/feasibility study (RI/FS) (see
also "Remedial investigation" and "Feasibility
study")  8668-8670,8676, 8687-8688, 8698, 8703,
8775,8781-8784,8790, 8797-8798, 8801,8803,  -
8805,8828, 8845-8848, 8850-8851, 8854-8856,
8858-8860, 53 FR 51422

        Conceptual site model 8707-8708,8847

        Data quality objectives (DQOs)  8708,
        8766, 8817,8843,8845,8847

        Program expectations  8669, 8677,8700-
        8707, 8713-8714, 8720-8725, 8734-8735,
        8831, 8835, 8844,8846-8847, 8849, 8854-
        8855,8862

   -    Program goal  8669, 8696, 8700-8702,
        8704-8707,8711-S716,8718-8719,8721,
        8724-8670, 8727, 8729, 8731-8734, 8738-
        8741,8744-8746,8750-8756, 8764, 8772,
        8774,8776,8783, 8793, 8798, 8810, 8812

        Program management principles 8722,53
        FR 51423
                   '•    i       •  j •,.
            Bias for action 8702-8707,8722,8846

            Streamlining  8702-8707,8713-8715,
            8725
                                                V-30

-------
 Remedial investigation/feasibility study (cent,)
                             Remedies (types of)
         Project plans (see "Project plans")

         Remedial action objectives 8712-8713,
         8735,8738-8740, 8747, 8753-8754, 8756,
         8766-8769,8773,8848,53 FR 51425

    -    Remediation goals 8709-8711,8721,8727,
         8733-8734, 8738-8740,8744-8745, 8753,
         8755,8766, 8769,8772,8791, 8812,8852-
         8853

             Final  8718

             Preliminary  8707,8709,8712-8718,
             8723-8724, 8729,8732, 8745

        Remediation levels 8705,8718

        RIIFS workplan (see "Project plans - RI/FS
        •workplan")

        Scoping 8704-8708,8712,8714,8731,
        8733,8744, 8747, 8766,8774-8775,8797,
        8805,8846-8847, 53 FR 51424

        Site management planning  8702, 8706,
        8815, 8827-8828, 8853-8858, 8860-8861

        Treatability testing (see Testing —
        Treatabitity testing")

Remedial Preliminary Assessment (PA) (see
"Preliminary Assessment — Remedial PA")

Remedial priorities (see also "National Priorities List
- Establishing remedial priorities")  8687, 8698,
8774, 8780,8845

Remedial Project Manager (RPM) (see also "Special
teams and other assistance available, to
OSCs/RPMs") 8668-8669,8677-8682, 8684, 8697,
8757, 8787-8788,8814-8817,88I9-SS20,8826-8828,
8830-8831, 8834-8835, 8844, 53 FR  51401

   -    Definition of 8828, 53 FR 51398

        General responsibilities 8671-8675, 8789-
        8792, 8820, 8827-8830
Remedial response  8698, 8740,8771,8776, 8779,
8782, 8816-8817, 8819, 8840, 8845, 8847, 8853-
8856

Remedial site evaluation (see "Site evaluation —
Remedial")

Remediation goals or levels (see "Remedial
investigation/feasibility study "'Remediation goals")

Remedies (types of)  8700-8741,8743-8750, 8752-
8758,l8761-8762,8766,8768-8773,8775-8780,
8782-8786,8793,8797-8798, 8800-8804,8807,
8810,8813,8816-8818, 8827, 8841, 8845-8848,
S850-S856,8858,8865

   -   Containment 8684,8687,8701-8703,8706,
     ;  8708-8723,8727,8731-8738, 8809-8812,
       8830,8833-8835,8840,8843,8846,8849,
       8865, 53 FR 51427

       Definition of remedy or remedial action
       8818

       Engineering controls 8846, 8848-8849,
     :  8852,53 FR 51423

       Innovative technologies (see entry below
       under this heading, "Treatment —
       Innovative")

   -  .  Institutional controls (see also "State —
     1  Assurances — Institutional controls")  8701-
     ;  8703,8706-8707,8709-8711, 8714, 8717,
       8720, 8722, 8732,8734, 8740, 8753-8754,
       8778-8779,8846, 8849, 8853-8856, 53 FR
       51423, 53 FR 51440

           Access restrictions (see "Access" and
           "Entry and access")

       Interim (see also "Applicable or relevant
       and appropriate requirements — Waivers —
     .  Interim measures" and "Operation and
       maintenance — Temporary or interim
       measures")  8703-8707,8720,8722,8732,
       8738-8739,8747-S748,8763

   -    Source control  8671,8712,8732,8736-
       8740,8853,  53 FR 51454
                                               V-31

-------
Remedies (types of) (coat)
                               Removal actk)n(«;)
            Action or measures 8711,8721,8738-
            873j>, 8747-8748, 8763,8818
            g,   "I!, i'
            Definition of 8818,53 FR 51399

            Maintenance measures (see also
            "Operation and maintenance — Ground
            water restoration methods" and
            "State—Assurances — Operation and
            maintenance") 8711,8735-8740,8788,
            8818

                Definition of 8818

       Treatment (or treatment technology)  8688-
       8691,8695, 8700-8703, 8708,8714,8716,
       8717,8719-8721,8724-8727,8729, 8731-
       8732,8736-8741,8749-8765, 8772,8801,
       8804, 8811, 8816-8819, 8830,8840,8849-
       8855,8865

           Alternative 8668,701,8708,8711-
           8715, 8719-8720, 8724-8727, 8729,
           8751, 8793, 8811, FR 51427

           Bioremediadon 8715,8721-8722,
           8726,8749

           Definition of S3 FR 51400

           Incineration 8691,8721,8726,8728,
           8749, 8755, 8761,8764,8818,8843,
           8865

           Innovative 8669,8701-8702,8712,
           87I4^S715. 8721-8722, 8748, 8772,
           8846,8848

           Limitations on use  of treatment 8729,
           8735

           Preference for  8667,8700, 8719- .
           8721,8809, 8811
                   , "I11
           Program goal or expectations (see
           "Remedial investigation/feasibility
           study - Program goal" and "Remedial
           investigation/feasibility study —
           Program expectations")
             Pump and treat 8705,8708,8720,
             8734,8757,8772
                     ..   '   'J  i
             Reduction of 90 to 99 percent in
             toxidty or mobility 8701,8721,8732

             Residuals  8703,8720, 8722, 8727-
             8728,8759,8846, 8848-8849

             Resource recovery 8668, 8700, 8719-
             8720,8724,8726, 8728-8729,8731,
             8751,8793,8850, 8852

             Soil-washing 8715

             SoUdtfication 8721

             Stabilization  8695-8696,8698,8701,
             8704,8722, 8739, 8761,8806

             Thermal destruction (see also entry
             above under mis heading,
             "Incineration") 8721,8772

             Thermal oxidation  8865

             Treatability variance (see "RCRA
             ARARs — Land disposal restrictions —
             Treatability variance")

             Treatment trains 8701, 8721

Remedy, selection of (see "Selection of remedy" and
"Public participation requirements — RIIFS and
selection of remedy")

Removal action(s)  8677,8682-8683,8687-8689,
8693-8694,8696-8698, 8703-8704, 8707-8708, 8715,
8737,8740-8741,8744-8745, 8747, 8755-8756,
8760, 8764, 8766-8767, 8770,8772-8773,8775,
8777-8779,8796-8802,8805-8807,8813,8816-8817,
8827-8830, 8834-8835,8837-8840, 8842-8846, 8849,
8853-8854,8857-88S8,8860-8861,8865, 53 FR
51404, 53IJR 51409

       Action memorandum  8859, S3 FR 51469

       Actions wider CERCLA section 106 (see
       also "Documentation and cost recovery —
       Recovery under'CERCLA section 106(b)")
       8668, 8726, 8843, 8859
                                              V-32
                                                                                                            1	i!;':;  ;; 	

-------
Removal action(s) (conL)
                 Removal action(s) (cont)
       Administrative record (see "Administrative
       record — Removal action")

       Applicable or relevant and appropriate
       requirements 8694-8696,8707, 8741, 8747,
       8756,8797,8814,8857

            Compliance with ARAKs during
            removals to the extent practicable
            8843,8858

            Scope of the removal action  8694-
            8696,8843,53 FR 51411

            Urgencies of the situation  8694-8696,
            8704,8741, 8756,8796,8843,53 FR
            51411

            Waivers (see "Applicable or relevant
            and appropriate requirements —
            Waivers - Removal actions")

       Appropriateness of removal action 8704,
       8706, 8715, 8842-8844, 8860

       ARARs (see entry above under this heading,
       "Applicable or relevant and appropriate
       requirements")

       Community relations (see "Public
       participation requirements — Removal
       actions")

       Compliance with other laws (see entry
       above under this  heading, "Applicable or
       relevant and appropriate requirements")

       Consistency exemption (see 
-------
 Removal scfkm(s) (cent)
                            Response operations
        Resmedlal action, relationship to (see
        "Relationship between removal and remedial
        activities'1)

        Sampling and analysis plan (see "Project
        plans — Sampling and analysis plan")

        Scope of the removal action (see entry
        above under this heading, "Applicable or
        relevant and appropriate requirements —
        Scope of the removal action")

        Site inspection (see "Site inspection")

        State involvement (see "State involvement")

        Statutory exemption (see entry above under
       ' this heading, "Exemptions from statutory
        limits")

        Statutory limits (see also entry above under
        this heading, "Exemptions from statutory
        limits")  8694, 8696,8703-8704, 8756,
        8806.8843. 53 FR 51409. S3 FR S1411

             Federal facility sites  8731

             Time and dollar limits  8667, 8694,
             8696,8703-8704,53 FR 51409

    -    Time-critical  8693-8697,8767,8770,8806-
        8807,8860-8861,53 FR 51409

        "Trigger" levels 53 FR 51411

        Types of removal activities 8703-8704,
        8708

        Waivers from ARARs (see "Applicable or
        relevant and appropriate requirements —
        Waivers — Removal actions")

Removal site evaluation (see "Site evaluation —
Removal")

Remove (see "Removal action(s)")

Reportable quantity (RQ)  8667, 8675-8677, 8686,
8741,8795,8829,8841
Reporting and investigation  8667, 8675-8676,8682-
8683,8685-8687,8693, 53 FR 51394

Reporting and recordkeeping 8667, 8675-8676,
8683,8686, 8693,8704, 8756-8757, 8795,8813,
8818,8826-8830,8835-8838

        Administrative requirements (see
        "Applicable or relevant and appropriate
        requirements — Substantive versus
        administrative requirements")
               •'    '   • :      . i  |          '• '
        Component of operation and maintenance
        (see "Operation and maintenance  —
        Reporting and recordkeeping")
             1   ".	V   "        :  i
Research and Special Programs Administration
(RSPA) 8814,8835

Resolution of disputes (see "Disputes — Resolution
of')

Resource Conservation and Recovery Act (see
"RCRA")

Respond (definition of)  8818

Response action

        Definition of 8818

        Determination to initiate (see "Initiation of
        action")

   -    Limitations on  8668,8672,8695-8696,
        8698,8717, 8734, 8739,8839,8842, 53 FR
        51405
                              1 ' I
            Drinking water supplies  8840

            Naturally occurring substances  8706,
            8734,8753, 8756,8840

            Part of structures  8840

        Multi-regional  8678,8830

   -    Pre-remedtal 8819,8853-8855

Response operations 8671,8677,8684,8826-8827,
8829-8830, 8835,53 FR 51402
                                                V-34

-------
 Responsible parties
                                  Sinking agents
Responsible parties (see "Potentially responsible
party(ies)")

Responsibilities of trustees (see "Trustees for natural
resources — Responsibilities")

Responsiveness summary (see "Record of Decision -
- Responsiveness summary")

KL (see "Remedial investigation")

RIA (see "Regulatory Impact Analysis")

Ripeness 8798

Risk assessment (see "Remedial investigation — Risk
assessment")

Risk range (see also "Additive risk or additivity" and
"Multiple contaminants or pathways") 8715-8718,
8745, 8848, 53 FR 51426

        Acceptable risk range  8669,8713,8715-
        8718,8727, 8729,8750-875:!, 8758, 8811-
        8812

   -    Point of departure  8669,8701,8713,8715-
        8719, 8729

ROD (see "Record of Decision")

RP (see "Potentially responsible party(ies)")

RPM (see "Remedial  Project Manager")

RQ (see "Reportable quantity")

RRC (see "Regional Response Center")

RRT (see "Regional Response Team")

RSPA (see "Research and Special Programs
Administration")

SAC (see "Support Agency Coordinator")

Sampling and analysis plan (see "Project plans —
Sampling and analysis plan")

SARA (see "Superfund  Amendments and
Reauthorization Act of 1986" and "Tide El")
 Scientific Support Coordinator (SSC) 8678-8679,
 8684, 8809, 8814, 8830-8831, 8835

 Scope of the NCP (see also "National Contingency
 PIan(s)") 8659-8670, 8746, 8759, 8772, 8814, 8836,
 8840,8850-8853, 8864

 Scoping (see "Remedial investigationtfeasibility
 sJudy — Scoping")    ;,v

 Screening of alternatives (see "Feasibility study —
 Alternatives — Screening of)

 Selection of remedy  8677, 8670,8687,8700, 8706,
 8716, 8720, 8723-8724, 8727,8731,8766,8768-
 8769,8775, 8778,8782-8784,8797-8798,8801-
 £1802,8805,8811-8812,8816-8817,8846-8848,
 8850-8852,8854-8856, 8858, 8860, 8865,53 FR
 51422-51423, 53 FR 51429,53 FR 51457

        Nine criteria (see "Feasibility study — Nine
        criteria (functional categories)")

        Public .participation requirements (see
        "Public participation requirements — Rl/FS
       ; and selection of remedy")

        State involvement (see "State — Selection of
       • remedy") .

        Statutory mandates for (see "CERCLA
        section 121 requirements for selection of
        remedy")

 Settlements (see "Potentially responsible party(ies) —
 Settlements")

 Short-term effectiveness (see "Feasibility study — '
Nine criteria (to evaluate alternatives) — Short-term
 effectiveness")

 SI (see "Site inspection")

 Significant change  or difference (see "Record of
 decision — Explanation of Significant Differences"
 and "Public participation requirements — Explanation
 of Significant Differences")

 Sinking agents 8687, 8808, 8816, 8818, 8838, 8862
                                                V-35

-------
Site characterization
                                           State
Site Characterization  8702-8704,8708-8709,8747,
8763, 8776,8817,8835,8841,8845,8847-8848,
8856

Site control (see "Removal action(s) — Post-removal
site control — Site characterization")

Site evaluation  53 FR 51404,53 FR 51413

   -   Remedial 8669,8687.8693-8694,8775,
        8797,8842,8844,8858,53 FR. 51411

   -   Removal  8669,8687,8693,8797,8806,
        8842, 8844-8845, 8858, 8860,53 FR
        51408-51409

Site  inspection (SI) (see also "Response action —
Pre-remedtal," "Preliminary assessment," and
"Preliminary assessment/site inspection")  8668,
8676,8694, 8767,8796,8814,8842, 8844-8845,
8847,8854-8855,8860,53 FR 51413

   -   Definition of 8818,53 FR 51399

        Removal Sf  8842

   -   "Remedial SI  8694,8844-8845
                       ill!".!
Site  investigation  8668,8693-8694, 8705, 8744,
8805,8818
                  •
Site  management planning (see "Remedial
investigation/feasibility study — Site management
planning")

SITE program (see "Superfund Innovative
Technology Evaluation program")

Siting laws 8741,8814,8817,8843,8848-8850,53
FR 51459

Size classes of discharges (see. "Discharge of oil —
Size  classes of discharge")

Size classes of releases (see "Release — Size classes
of release")'

SMOA (see "State —  Superfund Memorandum, of
Agreement")
Soil and debris (see "RCRA ARARs - Land
disposal restrictions")

Soil washing (see "Remedies - Treatment (or
treatment technology) — Soil washing")

Solidification (see "Remedies — Treatment (or
treatment technology) — Solidification")

Source control (see "Remedies — Source control")

Special notice and itnoratoria (see "Potentially
responsible party(ies) — Special notice and
moratoria")

Special teams and other assistance available to
OSCs/RPMs (see also "Remedial Project Manager"
and "On-scene coordinator") 8671,8678,8830,53
FR 51402

Specified ports and harbors  8815-8816,8818

        Definition of 8818

SSC (see "Scientific Support Coordinator" or
"Superfund state contract")

Stabilization (see "Remedies — Treatment —
Stabilization")

Standard of liability (see  "Liability — Standard of
liability")

Standing team  8826

State  8667, 8670,8673-8674, 8679-8682, 8685-
8687, 8689-8690,8712-8716, 8718,  8750, 8753-
8758, 8760-8761,8763-8766, 8769-8782, 8785-8786,
8816-8817,8819, 8826-8828, 8831-8862

        Administrative record (see "Administrative
        record — State-lead site")

   -    Agreements with states (see also entries
        below under this heading, "Cooperative
        agreement," "Superfund Memorandum of
        Agreement," and "Superfund state contract")
        8668, 8670-8671, 8674, 8677, 8683-8688,
        8696, 8697,'8771, 8773, 8814,8819, 8828-
        8829,8833,8853-8856
                                                V-36

-------
State (cont)
                                  State (conL)
       Amatol consultations with EPA 8691, 8697,
       8854-8856

       ARARs (see "Applicable or relevant and
       appropriate requirements — State ARARs")

       Assurances 8670, 8680,8696,8706,8736-
       8740,8775-8779, 8782-8784, 8793, 8798,
       8802,8819,8831-8832,8843,8845,8847,
       8854-8857,8859-8860, 53 JR 51455

           Acquisition of real property 8670,
           8736,8778-8779,53 FR 51456

           Cost-share (see also "Operation and
           maintenance — Cost-share') 8696,
           8736-8740,8775,8777-8778, 8784,
           8843,8854, 8857,8855,8875, 8878

           Institutional controls (sse also
           "Remedies — Institutional controls")
           8740,8753-8754,8846,, 8848-8849,
           8853-8855

           Off-site facility compliance (see also
           "Off-site") 8854-8855. 53 FR 51456

           Operation and maintenance (see also
           "Operation and maintenance")  8706,
           8739, 8777-8778,  8854-8855, 53 FR
           51456

           20-year capacity  8741,8777-8779,
           88544855, 53 FR 51456

       Concurrence (see also "Concurrence")
       87818786, 8808-8810, 8855-18857,8861-
       8862, 53 FR 51457-51458

       Cooperative agreement (see also entry
       above under mis heading, "Agreements with
       states") 8668,8671,8674,8677, 8683,
       8684, 8687, 8688, 8696-8698!, 8740, 8756,
       8771-8773, 8775-8777, 8779-8781, 8785,
       88144816,8828-8829, 8833-8836, 8838,
       8840,8843, 8853-8857

           Definition of 8815, 53 FR 51399

       Cost-share (see entry above under this
       heading, "Assurances")
     Credit (against cost-share) 8779-8780,
     8783,8854-8855

     Deferral policies (see "Deferral policies")

 - !  Definition of 8819,53 FR 51398, 53 FR
     51400

     Dual enforcement standards (see
     "Enforcement — Dual enforcement
   ':  standards")

     Enforcement (see "Enforcement")

 - :  Enhancement of remedy 8670, 8783-8785,
     8856

     Federal facilities and states 8667, 8676,
     8683-8684,8687-8688

     Inconsistent application of state
     requirements -waiver (see "Applicable or
     relevant and appropriate requirements —
     Waivers — Inconsistent application of state
     requirements")

     Joint inspection with EPA  8699, 8739,
     8785,8856

     Lead agency, state as 8669-8670, 8680,
     8684,8688, 8694, 8696-8698, 8756, 8776,
     8787,8816, 8819,8827,8831, 8835, 8853-
     8854

     Notification of negotiations with PRPs (see
     "Potentially responsible party(ies) —
     Negotiations with PRPs")

     NPL process (listing and deletion)  8667,
   !  8670,8680, 8693,8699-8700,  8780-8781,
     8845,8854-8855, 53 FR 51456

     Preliminary assessment/site inspection
     8668, 8670, 8767, 8780-8781,  8819, 8828,
     8854-8855

-    Proposed plan  8850-8851,8854-8856

-  i  Remedial designfremedial action 8668,
     8670, 8672, 8683-8684, 8696,  8698, 8739,
                                               V-37

-------
Slate (cent)
                           Substantial compliance
        8771,8782-8785,8819, 8828,8850,8853-
        8856

   -    Remedial investigation/feasibility study
        8668,8670,8684; 8776, 8779,8819, 8828,
        8853-8855
    "JP'I •'     ,.     '•',:.'
        Removal actions 8671-8672,8677,8683,
        8695-8698,8777,8856-8857,8819,8828,
        8839,8843, 8853-8854, 8857. S3 ER 51455

       Review of documents 8669,8673, 8681-
        8682,8700, 8780-8781,8853-8857

   -   Selection of remedy  8668-8669,8687,
       8691,8766,8768-8769, 8782-8783,8814,
       8828,8853-8856,53 FR 51456-51457

       Siting laws (see "Siting laws")
                 ,'i'!    :•!  ,
       State acceptance (see "Feasibility study —
       Nine criteria (to evaluate alternatives) —
       State acceptance")

   -    State-lead sites  8684,8688,8694,8696-
       8700

           Remedial  8827-8828,8853-8854

           Removal 8827-8828,8853,8857,53
           FR 51410              •

       Superfjtnd Memorandum of Agreement
       (SM&A) (see also entry above under this
       heading,  "Agreements with states")  8669,
       8671,8696-8698,8739, 8747,8756, 8773,
       8776-8777, 8779-8783, 8785-8786, 53 FR
      51454

           Definition of 8819, 53 FR 51398

           Requirements in absence of 53 FR
           51457, 53 FR 51459

      Superfund state contract (SSC) (see also
      entry above under this heading,
      "Agreements with states") 8671, 8674,
      8683,8688, 8696-8697, 8736,8771, 8773,
      8775-8777,8780-8781.8785,8819,  8829,
      8836,8840
              Definition of 8819, 53 FR 51398

  State and local participation in response (see also
  "Local governments") 8666, 8668-8675,8677, 8679-
  8681,8683-8684, 8686-8698, 8738, 8775,8785-
  8786,8795,8814,8819,8826^829, 8832,8835,
  8838-8839

  State and public participation 53 FR. 51395

  State ARARs (see "Applicable or relevant and
  appropriate requirements — State ARARs")
                              ,  •! ' :|
  State assurances (see "State — Assurances'')

  State contract (see "State - Superfund state
  contract")
            ''':'•    '  .   '•' . , .     .i
 State Emergency Response Commission (SERQ
 8671-8673, 8677,8682, 8684-8686, 8693,8814,
 8827,8836-8837,8842

. State involvement 8671, 8673,8677.8687,8696,
 8697, 8698,8723, 8739,8756-8757, 8771, 8775-
 8780,8782-8786,8819, 8839,8843,8853-8857,53
 FR. 51454, 53 FR 51456, 53 FR 51459
                          *L™      •  |  • •

 State-lead (see "State - State-lead sites")
               :	'••  -  > .  •;;•! i/-
 State trustees (see Trustees for natural resources -
 State")
                    ,      •         j
 Statutory exemptions (see "Removal action(s) —
Exemptions from statutory Knots")

Statutory limits (see "Removal action(s) - Statutory
limits")

Statutory overview 8667-8668,53 Eg.'51394

Streamlining (see "Remedial mvestigation/feasibility
study — Program management principles —
Streamlining")

Strike Teams (see "National Strike Force")

Subpart K (see "Federal fecility(ies) - Subpart K")

Substantial compliance (see "Consistent with the
NCP — Substantial compliance")
                                              V-38

-------
 Substantive versos administrative requirements
                                          Time
• Substantive versus administrative requirements (see
 "Applicable or relevant and appropriate requirements
  — Substantive versus administrative requirements")

 Superfund Amendments and Reauthorization Act of
 1986 (definition of) (see also "Title :OF and
 "Extremely hazardous substance") 8818,53 FR
 51400

 Superfund enforcement program strategy (see
 "Enforcement— EPA strategy on enforcement")

 Superfund Innovative Technology Evaluation (SITE)
 program  8721

 Superfund Memorandum of Agreement (SMOA) (see
 "State — Superfund Memorandum of Agreement")

 Superfund state contract (see "State — Superfund
state contract*)

Support agency 8677,8704, 8706-8707, 8723-8724,
8730-8732, 8744-8747,8769, 8771-8:773,8779-8782,
8784, 8795-8796, 8800-8801; 8814, JJ816,8819,
8828,8830,8841,8846,8848-8849,8850-8856, 53
FR 51394-51402, 53 FR 51405-51406,53 FR
51412-51414, 53 FR 51417, 53 FR 51436, 53 FR '
51450, 53 FR 51455.53 FR 51460, 53 FR 51464-
51467, 53 FR 51471-51472

        Definition of 8819

Support Agency Coordinator (SAC) 8.675, 8677,
8814, 8819, 8828,8835

        Definition  of 8819

Surface collecting agents 8808-8809,8816,8819,
8861-8865

        Definition  of 8819

Synergy or synergistic effect (see "Additive risk or
additivity")

Systemic toxicants  (see "Noncarcinogens")

TAGs (see "Public participation requirements —
Technical Assistance Grants")

TAT (see "Technical Assistance Team")
 TBC(s) (see "To-be-considereds")

 Technical Assistance Grants (TAGs) (see "Public
 participation requirements — Technical Assistance
 Grants^')

 Technical Assistance Team (TAT)  8678,8697

 Technical impracticability waiver (see "Applicable or
 relevant and appropriate requirements - Waivers -
 Technical impracticability")

 Technology (see "Remedies (types of) - Treatment
 {or treatment technology)")

 Ten year cost-share (see "State - Assurances -
 Cost-share")

 Testing

    - ;  RCRA waste 8709,8743,8758,8762-8763

    -   Treatability testing  8669,8691-8692.8721,
        53 FR 51407-51408  (see also "On-site -
        Permit exemption")

 Thermal destruction (see "Remedies (types of) —
 Treatment (or treatment technology) — Thermal
 destruction")

Threat of discharge or release (see also "Discharge
of oil" iand "Release")  8675-8677,8687, 8690,
8695, 8698, 8707-8708, 8815, 8817-8819,8829,
8840, 8842, 8844,8860

Threats  8667,8676-8677, 8686-8687, 8690-8691,
8693, 8695-8696, 8698, 8701, 8703-8704, 8707-
8711, 8716, 8720,8723, 8733,8749, 8756, 8774,
8787-8789,8806,8808-8809

   -    Principal 8701-8703,8706-8707,8720-
        8721,53 FR 51427

Threshold, balancing, and modifying criteria (see
"Feasibility study — Nine criteria (functional
categories)")

Threshold planning quantities (TPQs) (see "Title
El — Threshold planning quantities")

Time (see "Computation of time")
                                                V-39

-------
                                                                                                              	j-:-::
 Time and dollar limits
                                                                                     Treatment trains
 Time and dollar limits (see "Removal action(s) —
 Statutory limits — fane and dollar limits")
     !:'       ...  '..   !'i	"    Vi
 Time-critical removal actions (see "Removal
 actkxi(s) — Time-critical'1)

 Timely identification of state ARARs (see
 "Applicable or relevant and appropriate requirements
 — State ARARs — Identified in timely manner")

 Timeliness of notice 8682, 8788,8837, 8841

 Timely manner (see "Applicable or relevant and
 appropriate requirements — State ARARs — Identified
 in. timely manner")

 Title HI (see also "Superfund Amendments and
 Rcaulhorization Act of 1986" and "Extremely
 hazardous snbstance") 8667,8672,8684-8686,
 8693,8818, 8836-8837, 8842,53 FR. 51401, 53 FR
 51403

        Indian tribes (see "Indian tribe —
        Involvement during response")

    •*   Local emergency response plans (see "Local
        emergency response plans")

        Material safety data sheet (MSDS)  8684,
        8837
                                   ".
        Reporting requirements 8667, 8675-8676,
        8683,8685-8686,8693, 8756,8814,8836-
        8837,8842

        Threshold planning quantities (TPQs) 8836

To-be-considereds (TBCs) (see also "Applicable or
relevant and appropriate requirements — Examples of
potential ARARs and TBCs") 8680, 8694-8696,
8707,8711-8713, 8715, 8719-8720, 8722,8725,
8728,8741-8747,8749, 8751,8760,8764-8765,
8776-8778, 8781-8782, 8792, 8796, 8799, 8811,
8841,8847, 8849,8854-8856,53 FR 51435-51436,
53 M 51440

       Local government requirements  8798

Toxicity (see "Feasibility study — Nine criteria (to
evaluate alternatives) —Reduction oftoxidty,
mobility, or volume through treatment^)  '
 Toxicity assessment (see "Remedial investigation —
 Risk assessment — Toxidty assessment")
       : ,   I,.  ..',• • ',.   V.  ,:.'H  j.,.    . •    -'..
 Toxicological information  8709,8711-8715, 8745,
 8836

 Toxicological profiles  53 FR 51402

 TPQs (see "Title M — Threshold planning
 quantities")

 Transfer of Superfund waste  8690-8691

        Off-site (see "Off-site — Requirements for
        off-site transfer")

    -    Out-of-state 8670,8740-8741

 Transcript (see "Public participation requirements —
 Public comment period — Public meeting —
 Transcript required™)

 Transport quantification  8708

 Transportation/transport  8688,8690, 8708-8709,
 8722, 8725, 8765, 8778,8814, 8818-8819,8830,
 8834-8836,8840
                                 I

 Treatability study(ies)  8708, 8714,8756,8846-8847

 Treatability testing (see "Testing — Treatability
 testing")

Treatability variance (see "RCRA ARARs - Land
disposal restrictions — Treatability variances")

Treatment or treatment technology (see "Remedies
(types of) - Treatment (or treatment technology)")

Treatment to the maximum extent practicable (see
"CERCLA section 121  requirements for selection of
remedy — Permanent solutions and treatment to the
maximum extent practicable")

Treatment, storage, and disposal facility (see "RCRA
ARARs - Storage" and "RCRA ARARs -
Treatment")
                   •    '•''•,    :il'
Treatment trains (see "Remedies — Treatment —
Treatment trains")
                                                V-40

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 Trustees for natural resources
                                         Wastes
 Trustees for natural resources (see also "Natural
 resources")  8685,8687,8708, 8786-8792,8795,
 8809-8810,8814,8861-8862, 53 FR 51459-51460

        Communication of information to 8681,
        8683, 8707, 8790,8795,8838,8858

        Concurrent jurisdiction  8787-8789,8857

    -   Definition of 8819,53 FR 51399

    -   Designation of 8670,8707-8708,8786-
        8789.8857

    -   Federal 8681-8683,8687,18694,8786-
        8791,8847, 8857

    -   Indian tribe 8670,8786-8790,8857,53 FR.
        51399,53 FR 51460

        Lead trustee  8789-8790

    -   Multiple trustees 8669,8715,8789,8792,
        8857

    -   Notification of  8669, 8678,8682-8683,
        8694,  8707-8708, 8786, 8788, 8790-8792,
        8830,8838, 8842, 8847, 8857, 53 FR 51408

    -   Responsibilities  8670,8682,8707,8787-
        8790,8857, 8858, 53 FR 51460

    -   State  8682-8683,8687,8694,8786-8792,
        8847,  8857

Trust Fund (see "Fund")

TSDF (see "RCRA ARARs - Storage" and "RCRA
ARARs — Treatment")

USDA (see "Department of Agriculture")

United States (definition of)  8819

United States Coast Guard (USCG)  8672-8678,
8683,8686-8687,8693, 8775, 8802, ;8814-8816,
8818-8819,8824,8826, 8828-8831,5833, 8835-
8839,8841,8859

        United States Coast Guard Districts map
        8825
 Urgencies of the situation (see "Removal action(s) -
 Applicable or relevant and appropriate requirements
 — Urgencies of the situation")

 USCG (see "United States Coast Guard")

 Variances  8741,8744,8761-8762,8841

    -  . Treatability variance (see "RCRA ARARs -
      :  - Land disposal restrictions — Treatability
        variance")

    - '  National capacity variance (see "State —
      ;  Assurances — 20-year capacity")

 Vessel 8667,8678, 8788, 8795,8815-8817,8819,
 8828-8830,8835,8837,8839-8842, 8857

 "   -  Definition of 8819, 53 FR 51400

 Volunteer 8671, 8684,8687,8819, 8835

       Definition of 8819

 Volume (see "Feasibility study — Nine criteria (to
 evaluate alternatives) —Reduction oftoxicity.
 mobility, or volume through treatment")

Waivers (see "Applicable or relevant and appropriate
 •requirements — Waivers")

Wastes (see also "RCRA ARARs")

       Characteristic waste  8762

       Hazardous waste  8666, 8668, 8674, 8676-
      ; 8677, 8679-8680, 8688, 8691-8692, 8703,
       8720, 8725,8743,8756, 8758-8760,8762-
       8765,8788,8798

       Investigation-derived waste  8755-8756, 53
      1 FR 51442

   -  ; Listed waste  8758, 8763

       Mining waste 8763-8764

   -  ; Solid waste  8688-8699,8714,8764-8765,
       8811
                                               V-41

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                                                                         '"I	!'
                  1" I M'.'' ' v  	'"'i
                    ii
Water qnality criteria
                        Workplan
Waier quality criteria (WQQ (see also "Applicable
or relevant and appropriate requirements — Federal
water quality criteria*) 8670.8695.8712-8713.
8716,8718,8848

Wildlife conservation  8683,8687

Worker health and safety (see also "Occupational
Safety and Health Act") 8679-8686.8702.8707.
8710-8711,8722,8797.8830-8831,8835,8858.53
£R. 51402

Woriqplan (see ."Project plans—RI/FS -workplaif)
                                               V-42
* U.S. G.P.O.:1992-311-893:60669

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