United States       Office of Air Quality       EPA-340/1-83-008
            Environmental Protection  Planning and Standards      January 1983
            Agency         Research Triangle Park NC 27711

            Stationary Source Compliance Series
<&ER&      Regulations
            and Resource File
            of Continuous
            Monitoring
            Information

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                                                EPA-340/1-83-008


           Regulations  and Resource  File
     of Continuous Monitoring Information


         (Current Through October  1, 1981)

                        Interim Report
                             Prepared by:
                           William J. Pate, P.E.
                     Kilkelly Environmental Associates, Inc.
                          Post Office Box 31265
                        Raleigh, North Carolina 27622
                Entropy Environmentalists, Inc. Contract No. 68-01-6317
             Kilkelly Environmental Associates, Inc. Subcontract No. 1-81-6317
                              Task No. 5

                     EPA Project Officer: Louis R. Paley
                   U.S. ENVIRONMENTAL PROTECTION AGENCY
                   Office of Air Quality Planning and Standards
                     Stationary Source Compliance Division
                         Washington, D.C. 20460
                            January 1983
U.S. Environmental Protection Agency
:<-j^icn 5, Library (5PL-16)
£30 S. Dearborn Street,  Room 1670
Chicago, -IL  60604

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The Stationary Source Compliance series of reports is issued by the
Office of Air Quality Planning and Standards, U. S Environmental
Protection Agency, to assist Regional Offices in activities related to
compliance with implementation plans, new source emission standards,
and hazardous emission standards to be developed under the Clean Air
Act.  Copies of Stationary Source Compliance Reports are available -
as supplies permit - from Library Services, U.S. Environmental
Protection Agency, MD-35, Research Triangle Park,  North Carolina
27711, or may be obtained, for a nominal cost,  from the National
Technical Information Service, 5285 Port Royal  Road, Springfield,
Virginia  22151.

This report has been reviewed by the  Office of  Air Quality Planning
and Standards, U.S. Environmental Protection Agency, and approved  for
publication as received from  Kilkelly Environmental Assoc.   Approval
does not signify that the contents necessarily  reflect the views and
policies of the U.S. Environmental Protection Agency,  nor does  mention
of trade names or commercial products constitute endorsement or
recommendation for use.
                                 11

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                               TABLE OF CONTENTS

                                                                         Page
       Introduction ..........................     iv
   I.  EPA Continuous Monitoring Contacts

  II.  Monitoring Regulations
       A.   NSPS Continuous Emission Monitoring Requirements  -
           Promulgated  .  .............  .  .........   H-2
           Subpart A - General Provisions ...............   II-3
           Subpart D - Fossil-Fuel Fired Steam Generators  .......   H-7
           Subpart Da - Electric Utility Steam Generators  .......   11-10
           Subpart G - Nitric  Acid Plants ...............   11-17
           Subpart H - Sulfuric Acid Plants  .............  [   11-18
           Subpart J - Petroleum Refineries  ..............   11-19
           Subpart P - Primary Copper Smelters  ............   11-21
           Subpart Q - Primary Zinc Smelters   .............   11-23
           Subpart R - Primary Lead Smelters   .............   11-24
           Subpart Z - Ferroalloy Production  Facilities  ........   11-25
           Subpart AA - Steel  Plants:  Electric Arc Plants   ......   11-27
           Subpart BB - Kraft  Pulp Mills   ...............   11-28
           Subpart HH - Lime Manufacturing Plants ...........   11-31
           Appendix A - Reference Methods 1-4, 6-9, 19, 20  .....   11-32
           Appendix B - Performance Specifications 1, 2, and 3  ....   11-77

       B.   NSPS Operational Monitoring Requirements - Promulgated . .  .   11-89
           Subpart N - Iron and Steel Plant (BOPF)  ..........   11-90
           Subpart  T - Wet-Process  Phosphoric  Acid Plants .......   11-91
           Subpart  U - Superphosphoric Acid Plants  ..........   11-92
           Subpart  V - Diammonium Phosphate Plants  ..........   11-93
           Subpart  W - Triple  Superphosphate Plants .........  !   11-94
           Subpart  X - Granular Triple Superphosphate Storage
                       Facilities  ...................   11-95
           Subpart Y  - Coal Preparation Plants  .......... .*  .*  n-96
           Subpart GG  - Stationary  Gas Turbines ............  11-97

      C.   NSPS Regulations -  Proposed  ................  11-100
          October  10,  1979 Proposed Revisions to Performance
             Specifications 1,  2,  and 3   ...............  11-101
          January 26,  1981 Proposed Methods 6A and 6B and Reproposed
             Revisions to Performance Specifications 2 and 3 .....  11-136

      D.  SIP Monitoring Requirements - Promulgated (October 6, 1975).  11-149

      E.  Summary Tables of Monitoring and Emission Regulations
             (NSPS and SIPS)   (See List of Tables on page iii)   ....  11-160

III.  Vendors of Continuous Monitoring Equipment ........... III-l

 IV.  Bibliography of GEM Related Articles ..............  IV-1
      Availability of EPA Publications ...............  .'  -[V-6

                                      iii

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                           LIST OF SUMMARY TABLES
                          OF MONITORING INFORMATION

Table No.                          Subject                             Page

   1          NSPS Source Categories Required to Monitor              11-161
                 Continuously 	 < 	

   2          Operational Monitoring Requirements (NSPS)  	 11-165

   3          Emission Limitations (NSPS) 	 11-167

   4          Proposal and Promulgation Dates of Emission Limitations
                 for NSPS Source Categories  	 11-174

   5          NSPS Continuous Monitoring Requirements  	 11-175

   6          Quarterly Reporting Requirements  (NSPS)  	 11-176

   7          Definitions of Excess Emissions (NSPS)   	 11-177

   8          Spanning and Zeroing  (NSPS) 	 11-179

   9          Span Specifications  (NSPS)  	 11-180

   10          Notifications  Requirements  (NSPS) 	 11-182

   11          Subpart Da  Emission Limitations  (NSPS)   	 11-183

   12         Performance Specifications  (NSPS) 	 11-185

   13         When To Run Monitor Performance Test (NSPS)	11-186

   14         Requirements  for SIP  Revisions  	  11-187

   15         Existing  Sources Required to  Continuously
                  Monitor Emissions (SIP)  	  11-188
                                        iv

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                                 INTRODUCTION







    On October 6,  1975  the Environmental  Protection  Agency promulgated con-




tinuous emission monitoring  requirements  for  selected NSPS (40 CFR 60) source




categories.  Also  on October  6,  1975  EPA  promulgated a  revision to 40 CFR




Part 51 which required  states  to  revise their State  Implementation Plans  (SIP)




to include continuous monitoring  requirements for  a  minimum number of spe-




cified existing source  categories.  EPA included in  this  rulemaking package




performance and test requirements  which prescribe  minimum design and perfor-




mance crtieria specifications  for  continuous  emission monitors.   Since




October 6, 1975, EPA has expanded  requirements  for continuous  monitoring  to




additional source  categories  and has  revised  the performance  specifications.




On June 11, 1979 EPA promulgated major revisions to  the Subpart  Da NSPS for




new utility steam  generating  units, including requirements for the use of con-




tinuous emission monitoring systems (GEMS)  to demonstrate source compliance




with S02 and NOX emission limitations and  the S02 percent reduction standard.




In addition,  EPA proposed extensive revisions to the monitor  performance  spe-




cifications on October  10, 1979 and on January  26, 1981.









    This report is a compilation of continuous  monitoring information.




Section I identifies some of  the EPA  personnel  responsible for continuous




monitoring implementation.  Section II contains updated monitoring regula-




tions excerpted from the Federal Register,  along with presently  proposed  regu-




lations and summary tables of  regulatory  information.  Section III contains a




listing of GEM vendors.   Section IV presents  a  bibliography  of applicable




literature.

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    The EPA, Division of Stationary Source Enforcement  first  issued  this




report in November 1978.  It was revised and  reissued in October  1979.  This




edition has been changed by revising the introduction,  the  personnel and  phone




numbers of the GEM contact lists, Subpart D,  and  the Summary  Tables.   The EPA




organization function statements and the excerpts  of the preambles which  were




in the last report have been deleted.  The  revised report  contains  the pro-




posed October 10, 1979 Performance Specifications,  the  reproposed




January 26, 1981 Performance Specfications,  and  the proposed  Methods 6A and




6B.  This  report also contains  an updated  list of  GEM vendors and a  revised




and updated GEM  bibliography  (current  through October 1981).
                                        vi

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             SECTION I




EPA CONTINUOUS MONITORING CONTACTS
                1-1

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Person

REGION I:
    Frank Li 1 ley

REGION II:
    Marcus Kantz
    Ann Cownir
    Dennis Santella

REGION III:
    Gary  Gross
    Andrew Kolarski

REGION IV:
    Brian Beals
    Keith Colamarino
    Jim  Littell
    Joe  Riley
    Bill  Voshell

REGION V:
    Larry Kertcher
    Pat  McCoy
    Ed Zylstra

 REGION  VI:
     Phil Schwindt
     Stanley Spruiell

 REGION VII:
     John Giar
     JoAnn Heiman
     Mike Sanderson
     Tony Wayne

 REGION  VIII:
     Keith Tipton
     Roxann Varzeas
     Steven Fre.y

 REGION  IX:
     Alvin  Chun
     Steve  Cimperman
     Chuck  Seele.y
     Helen  Okamoto
      Paula  Bission

 REGION  X:
      Paul Boys
      Wayne  Grother
                 EPA REGIONAL  CONTINUOUS  MONITORING  CONTACTS

                               Division                   Phone  Number
New Enqland Regional  Laboratory
Environmental Services Division
Environmental Services Division
Air & Waste Management Division
Air & Waste Management Division
Air a Waste Management Division
Air  a Waste Management Division
Air  a Waste Management Division
Air  a Waste Management Division
Air  a Waste Management Division
Air  & Waste Management Division
 Air Management  Division
 Air Management  Division
 Environmental Services Division
 Environmental  Services Division
 Air a Waste Materials Division
                    (FTS/Comm)

                     617-861-6700
                 FTS-340-6690/201-321-6690
                 FTS-340-6690/201-321-6690
                 FTS-264-9628/212-264-9628
                 FTS-597-8907/304-597-8907
                 FTS-923-1050/304-233-1271
                 FTS-257-4552/404-881-4552
                 FTS-257-4298/404-881-4298
                 FTS-257-4552/404-881-4552
                 FTS-257-4552/404-881-4552
                 FTS-257-4862/404-881-4901
                 FTS-353-2086/312-353-2086
                 FTS-353-2086/312-353-2086
                 FTS-353-9771/312-353-9771
                 FTS-729-2724/214-767-2724
                 .FTS-729-2755/214-767-2755
 Environmental Services Division
 Air a Waste Management Division
 Air & Waste Management Division
 Air a Waste Management Division
 Environmental Services Division
 Air a Waste Management Division
 Air a Waste Management Division
 Air Management
 Air Management
Division
Division
  Air Management Division
  Air Management Division
  Air Management Division


  Environmental Services Division
  Air Management Division
                  FTS-758-4461/816-374-4461
                  FTS-758-7131/816-374-7131
                  FTS-758-50R2/816-374-5082
                  FTS-758-7130/816-374-7130
                  FTS-327-4561/303-837-4261
                  FTS-327-6046/303-837-6046
                  FTS-327-6047/303-837-6047
FTS-454-8230/415-556-8230
FTS-454-8230/415-556-8230
FTS-454-8038/415-556-8038
FTS-454-8038/415-556-8038
FTS-454-8038/415-556-8038
                  FTS-399-1106/206-442-1106
                  FTS-399-1387/206-442-1387
                                       1-2

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                     EPA  CONTINUOUS MONITORING CONTACTS
Subject

Regulations Development
GEM Enforcement
Quality Assurance
Methods Development
 and Evaluation
Emissions Measurements
Gas Monitor Research
Opacity Research
Person-Divison

Larry Jones - ESED

Gene Smith - ESED


Louis Paley - DSSE

Kirk Foster - DSSE


Tom Logan - QAD

Darryl Von Lehmden - QAD


Roger Shigehara - ESED

Peter Westlin - ESED


George Walsh - ESED


Jim Cheney - ESRL


Bill Conner- ESRL

Ken Knapp - ESRL
State Implementation Plans     Joseph Sableski - CPDD

                               John Silvasi - CPDD
Continuous Monitor
 Demonstration
D. Bruce Harris - IERL
 Phone Number
Commercial/FTS

919-541-5421
    629-5421
919-541-5421
    629-5421

202-382-2884
    382-2884
919-541-4571
    629-4571

919-541-2580
    629-2580
919-541-2415
    629-2415

919-541-2237
    629-2237
919-541-2237
    629-2237

919-541-5243
    629-5243

919-541-3085
    629-3085

919-541-3085
    629-3085
919-541-3085
    629-3085

919-541-5437
    629-5437
919-541-5437
    629-5437

919-541-7807
    629-7807
                                     1-3

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                EPA REGIONAL COAL SAMPLING AND ANALYSIS CONTACTS
NAME



Region I:



John Carlson





Region II:



Dennis Santella





Region III:



Peter Schaul





Region IV:



Jim Manning



Region V:



David Schultz





Region VI:
        DIVISION
PHONE NUMBER
Region VII:



Tony Wayne





Region VIII:



Steven Frey






Region IX:
New England Regional Laboratory  617-861-6700
Air & Waste Management Division  FTS-264-9628/212-264-9628
Air & Waste Management Division  FTS-597-3437/304-597-3437
Air & Waste Management Division  FTS-881-3286/404-881-3286
Air Management Division          FTS-353-2088/312-353-2088
Phil Schwindt          Environmental Services Division  FTS-729-2724/214-767-2724
Air X Waste Management Division  FTS-758-7130/816-374-7130
Air & Waste Management Division  FTS-327-6047/303-837-6047
Region X:



Paul Boys
Environmental Services Division  FTS-399-1106/206-442-1106
                                      1-4

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      SECTION II




MONITORING REGULATIONS
         II-l

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NSPS CONTINUOUS EMISSION MONITORING REQUIREMENTS - PROMULGATED
                              II-2

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    Swbpart A—Ganerai Provisions
 160.1  Applicability.
   Except as provided in Subparts B and
 C, the provisions of this part apply to
 the owner or operator of any stationary
 source which contains an affected facil-
 ity, the construction or modification of
 which is commenced after the date of
 publication in this part of any standard
 (or. If earlier, the date of publication of
 any  proposed standard)  applicable to
 that facility.


 16048  Definition*.
   As  used  in this part, all  terms  not
 denned herein shall have the meaning
 given them  in the Act:
   (a) "Act" means the Clean  Air  Act
 (42 UJS.C. 1857 et seq.,  as amended by
 Public Law 81-604,  84  Stat. 1676).
   (b) "Administrator"  means the  Ad-
 ministrator  of the Environmental Pro-
 tection Agency or his authorized repre-
 sentative.
   (c) "Standard" means a standard of
 performance proposed  or promulgated
 under this part.
   (d) "Stationary source" means  any
 building, structure, facility, or installa-
 tion  which  emits  or may  emit  any air
 pollutant and which contains any one or
 combination of the following:
   (1) Affected facilities.
   (2) Existing facilities.
   (3) Facilities of the type for which no
 standards have been promulgated in this
 part.
   (e) "Affected  facility"  means, with
 reference to a stationary  source, any  ap-
 paratus to which a standard ia applicable.
   (f) "Owner or  operator" means  any
 person who owns, leases, operates, con-
 trols, or supervises  an  affected facility
 or a stationary  source of which an af-
 fected facility is a part.
   (g) "Construction" means fabrication,
 erection, or  installation  of an affected
 facility.
   (h) "Modification" means any physi-
 cal change in, or change in the method
 of operation of, an existing facility which
 increases the amount of any air pollutant
 (to which a standard applies)  emitted
 into the atmosphere by that facility or
 which results in the emission of any air
 pollutant (to which a standard applies)
 into  the atmosphere  not  previously
 emitted.
  (i)  "Commenced" means, with respect
 to the definition  of "new  source" in sec-
 tion 111 (a) (2) of the Act, that an owner
or operator has undertaken a continuous
program of construction or modification
or that an owner or operator has entered
into a contractual obligation to under-
take and complete, within a reasonable
time, a continuous  program of construc-
tion or modification.
  (J)  "Opacity"  means   the  degree  to
which emissions reduce the transmission
of light and obscure the view of an object
in the background.
    (k) "Nitrogen oxides" means all ox-
  ides of nitrogen except nitrous oxide, as
  measured  by test methods set forth In
  this part.
    (1)  "Standard  conditions"  means  a
  temperature of 20'C (68°F) and a pres-
  sure of 760 mm of Hg (29.92 In. of Hg).
    (m)  "Proportional sampling"  means
  sampling at a rate that produces a con-
  stant ratio of sampling rate to stack gas
  flow rate.
    (n) "Isokinetic   sampling"    means
  sampling in which the linear velocity of
  the gas entering the sampling  nozzle is
  equal to that of the  undisturbed  (as
  stream at the sample point.
    (o)  "Startup" means the setting in
  operation of an affected facility for any
  purpose.
    (p)  "Shutdown" means  the cessation
  of operation of an affected facility for
  any  purpose.
    (q) "Malfunction" means any sudden
  and  unavoidable failure of air  pollution
  control equipment or process equipment
  or of a process  to  operate in a normal
  or usual manner. Failures that are caused
  entirely or  in part by poor maintenance,
  careless operation, or any other  prevent-
  able  upset  condition  or  preventable
  equipment  breakdown shall not be  con-
  sidered malfunctions.
    (r) "One-hour period" means any 60
  minute period commencing on the hour.
    (s) "Reference  method"  means  any
  method of sampling and  analyzing for
  an air pollutant as described  in  Ap-
  pendix A to this part.
   (t)  "Equivalent method" means  any
 method of sampling and analyzing for an
 air pollutant which have  been demon-
 strated  to the Administartor's satisfac-
 tion to have a consistent and quantita-
 tively known relationship  to the  refer-
 ence method, under specified conditions.
   (u)  "Alternative method" means  any
 method of sampling and analyzing for an
 air pollutant which is not a reference or
 equivalent method but which has  been
 demonstrated to the Administrator's sat-
 isfaction to, in  specific cases,  produce
 results adequate for his determination of
 compliance.
   (v)  "Particulate matter" means  any
 finely divided  solid or liquid material,
 other  than  uncombined water, as meas-
 ured by Method 5 of Appendix A to this
 part  or  an equivalent or  alternative
 method.
   (w)  "Run" means the net period of
 time during which an emission sample
 is collected.  Unless  otherwise specified.
 a run may be either intermittent or con-
 tinuous within the limits of good engi-
 neering  practice.
   (x)  "Six-minute period"  means any
 one of the 10 equal parts of a one-hour
period.
   (y)  "Continuous monitoring system"
means  the  total equipment, required
under  the emission monitoring sections
in applicable subparts,  used to  sample
and condition (if applicable), to analyze,
and to provide a permanent record  of
emissions or process parameters.
   (z)  "Monitoring  device"  means  the
total  equipment,  required  under  the
monitoring of operations sections in ap-
                   II-3
 plicable  subparts, used to measure and
 record  (if applicable)  process  param-
 eters.
    (aa)  "Existing  facility" means, with
 reference to a stationary source, any ap-
 paratus of the type for which a standard
 is promulgated in tills part, and the con-
 struction or  modification of which was
 commenced before the date of proposal
 of that  standard;  or  any  apparatus
 which could be altered in such a way  as
 to be of that type.
    (bb) "Capital expenditure" means an
 expenditure for a physical or operational
 change to an existing facility which ex-
 ceeds the product of the applicable "an-
 nual  asset  guideline repair  allowance
 percentage" specified in the latest edi-
 tion of Internal Revenue Service Publi-
 cation 534  and  the existing facility's
 basis, as defined  by section 1012 of the
 Internal Revenue Code.
I 60.7  Notification and record keeping.
   (a)  Any owner or operator subject to
the provisions of this part shall furnish
the Administrator written notification as
follows:
   (5) A  notification of the  date  upon
 which demonstration of the  continuous
 monitoring  system performance  com-
 mences  in accordance with  § 60.13(c).
 Notification shall be postmarked not less
 than 30 days prior to such date.
   (b) Any owner or operator subject to
 the provisions of this part shall main-
 tain records of the occurrence and dura-
 tion of any startup, shutdown, or  mal-
 function In the operation of an affected
 facility; any malfunction of the air pol-
 lution control equipment; or any periods
 during which  a continuous monitoring
 system or monitoring device is inopera-
 tive.
   (c)  Each owner  or operator required
 to Install a continuous monitoring sys-
 tem shall submit  a  written  report of
 excess emissions (as defined in applicable
 subparts) to the Administrator for every
 calendar  quarter. All quarterly reports
 shall be postmarked by the 30th day fol-
 lowing the end of each calendar quarter
 and shall Include the following informa-
 tion:
   (1) The magnitude of excess emissions
 computed in accordance with § 60.13(h),
 any conversion factor(s) used, and the
 date and time  of  commencement  and
 completion of each  time period of excess
 emissions.
  (2) Specific  identification  of  each
 period of excess emissions  that occurs
 during startups,  shutdowns, and  mal-
 functions  of the affected  facility.  The
 nature and cause of any malfunction (if
 known),  the corrective  action taken or
preventative measures adopted.
  (3) The date and time identifying each
period during  which   the continuous
monitoring system  was  inoperative ex-
cept for aero and span  checks and the

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nature of the system repairs or adjust-
ments.
  (4) When no excess emissions  have
occurred or the continuous monitoring
system (a) have not been inoperative, re-
paired,  or adjusted, such information
shall be stated in the report.
  (d) Any owner or operator subject to
the provisions of this part shall maintain
a file of all measurements, including con-
tinuous monitoring system, monitoring
device, and performance  testing meas-
urements ; all continuous monitoring sys-
tem performance  evaluations; all  con-
tinuous monitoring system or monitoring
device calibration checks; adjustments
and maintenance performed  on these
systems or devices; and all other Infor-
mation required by this part recorded in
a permanent  form suitable for inspec-
tion. The file shall be retained for at least
two years  following  the date of  such
measurement*, maintenance, reports, and
records.
 § 60.8  Performance te»U.
   (a) Within 60 days after achieving the
 maximum production rate at which the
 •fleeted facility will be operated, but not
 later than  180 days after Initial startup
 of such facility and at such other times
 as may be required by the Administrator
 under section 114 of the Act, the owner
 or operator of such facility shall conduct
 performance test(s) and furnish the Ad-
 ministrator a written report of the results
 of such performance test(s).
 g 60.11  Compliance with Mandardi and
      maintenance requirement*.

   (a) Compliance with standards In this
 part, other than opacity standards, shall
 tie determined only by performance testa
 established by i 60.8.
   (b) Compliance with  opacity  stand-
 ards in this part shall  be determined by
 conducting  observations in accordance
 'rlth Reference Method • In Appendix A
 of this part or any alternative method
 that is approved by the Administrator.
 Opacity readings of portions of plume*
 which contain condensed, uncomfained
 water  vapor shall not  be used for pur-
 poses  of determining  compliance with
 opacity  standards. The results of con-
 tinuous  monitoring by transmlssometer
 which indicate that the opacity at the
 •time visual  observations were made was
 not  in excess of  the standard are proba-
 tive but not conclusive evidence of the
  actual opacity of an emission, provided
  that the source shall meet the  burden of
  proving that the instrument used meets
  (at  the time  of the  alleged violation)
  Performance Specification 1 In Appendix
  B of this part, has been  properly main-
  tained  and  (at  the time of the alleged
  violation)   calibrated,  and   that  the
  resulting data have not been  tampered
  with in any way.
    (c) The opacity standards set forth in
 (this part shall apply at all times except
'during periods of startup, shutdown, mal-
 function, and as otherwise provided in
 the applicable standard.
   (d)  At all times, including periods of
 startup,  shutdown,  and  malfunction,
 owners and operators shall, to the extent
 practicable, maintain and operate  any
 affected facility including associated air
 pollution control equipment in a manner
 consistent with good air pollution control
 practice for minimizing emissions.  De-
 termination of whether acceptable oper-
 ating  and maintenance procedures are
 being  used will  be based on Information
 available to the Administrator which may
 Include, but is not limited to, monitoring
 results,  opacity observations, review of
 operating and maintenance  procedures,
 and Inspection of the source.
   (e) (1) An owner or operator of an af-
 fected  facility may request the Admin-
 istrator to determine  opacity of emis-
 sions  from the affected facility during
 the Initial performance tests required by
 f 60.8.
   (2)  Upon receipt from such owner or
 operator of the written report of the re-
 fults of the performance tests required
 by { 60.8, the Administrator will make
 a finding concerning  compliance with
 opacity and other applicable standards.
 If the Administrator finds that an af-
 fected facility is in compliance with all
 applicable standards for which perform-
 ance tests are  conducted In  accordance
 with {60.8 of this part but  during the
 time such  performance tests are being
 conducted fails to meet any applicable
 opacity standard, he  shall  notify the
 owner or operator and advise him that be
 may petition the Administrator within
 10 days of receipt of notification to make
 appropriate adjustment to  the opacity
 standard for the affected facility.
   (3)  The Administrator will grant such
 a petition upon a demonstration by the
 owner or operator that the  affected fa-
 cility  and associated air pollution con-
 trol equipment was operated and main-
 tained  in  a manner  to minimize the
 opacity of emissions during the perform-
 ance  tests;  that  the performance tests
 were performed under the conditions es-
 tablished by the Administrator; and that
 the affected facility and associated air
 pollution  control  equipment were in-
 capable of being adjusted or operated to
 meet the applicable opacity standard.
   (4) The Administrator  will  establish
 an  opacity standard  for  the affected
 facility meeting the above requirements
 at a  level  at  which  the source will  be
 able,  as indicated  by the  performance
 and opacity  tests, to  meet  the opacity
 standard at all times  during which the
 source is meeting the mass or concentra-
 tion emission  standard. The Adminis-
 trator will promulgate the  new opacity
 standard in the FEDERAL REGISTER.
 §60.13  Monitoring requirements.

   (a)  For the purposes of  this section,
 all  continuous monitoring  systems  re-
 quired  under applicable subparts shall
 be subject to the provisions of this sec-
 tion  upon  promulgation  of  perform-
 ance   specifications   for   continuous
 monitoring system under  Appendix B
 to this part, unless'
   (1)    The   continuous    monitoring
system is subject to the  provisions ol
paragraphs  (c)(2) and (c)(3) of  this
section, or
  (2) otherwise specified in an applica-
ble subpart or by the Administrator.
  (b) AH continuous monitoring systems
and monitoring devices shall be installed
and operational prior to conducting per-
formance tests under  $ 60.8. Verification
of operational  status  shall, as a mini-
mum, consist of the following:
  (1)  For continuous monitoring sys-
tems referenced in paragraph (c) (1) of
this section, completion of  the condi-
tioning period specified by applicable
requirements in Appendix B.
  (2)  For continuous monitoring sys-
tems referenced in paragraph (c) (2) of
this section, completion of seven days of
operation.
  (3) For monitoring  devices referenced
in applicable subparts. completion of the
manufacturer's written requirements or
recommendations for  checking the op-
eration or calibration of the device.
  (c)  During  any performance  tests
required under ( 60.8  or within 30 days
thereafter and at such other times as
may be required by the Administrator
under section  114 of the Act, the owner
or operator of any affected facility shall
conduct continuous monitoring system
performance evaluations and furnish the
Administrator within 60 days thereof two
or, upon request, more copies of a written
report  of the results of such tests. These
continuous monitoring system perform-
ance evaluations shall be conducted  in
accordance with the following specifica-
tions and procedures:
  (1)   Continuous monitoring systems
listed within this paragraph  except as
provided In paragraph (c) (2) of this sec-
tion shall be evaluated in accordance
with the requirements  and  procedures
contained in  the applicable perform-
ance specification of Appendix B  as
follows:
  (i) Continuous monitoring systems for
measuring  opacity of  emissions  shall
comply with Performance Specification 1.
  (ii) Continuous monitoring systems for
measuring   nitrogen  oxides  emissions
shall comply with Performance Specifi-
cation  2.
  (iii) Continuous monitoring systems for
measuring sulfur dioxide emissions shall
comply with Performance Specification 2.
  (iv) Continuous monitoring systems for
measuring the oxygen content or carbon
dioxide content of effluent gases  shall
comply with Performance  Specification
3.
  (2) An owner or operator who, prior
to  September  11, 1974,  entered  into a
binding contractual obligation to pur-
chase  specific  continuous  monitoring
system components except  as referenced
by  paragraph (c) (2) (iii) of this section
shall comply with the following require-
ments:
  (i)  Continuous monitoring systems for
measuring opacity of emissions shall be
capable  of -measuring emission  levels
within  ±20  percent  with  a confidence
level of 95 percent. The Calibration Error
Test and associated  calculation proce-
dures set forth in Performance Speclfl-
                                                            II-4

-------
 cation 1 of Appendix B shall be UMd for
 demonstrating  compliance   with  this
 •pacification.
   (11) Continuous  monitoring  systems
 for  measurement of nitrogen oxides or
 sulfur dioxide shall be capable of meas-
 uring emission levels within ±20 percent
 with a confidence level of 95 percent. The
 Calibration  Error  Test, the  Field Test
 for  Accuracy (Relative), and associated
 operating and calculation procedures set
 forth in Performance Specification  2 of
 Appendix B shall  be used for demon-
 strating compliance with this specifica-
 tion.
   (ill) Owners or  operators of all  con-
 tinuous monitoring systems Installed on
 an  affected facility prior  to  October  6,
 1975  are   not  required  to  conduct
 tests under paragraphs (c) (2) (i) and/or
 (11)  of this section unless requested by
 the Administrator.
   (l)
and (c) (2) of this section for measuring
opacity of emissions shall complete a
minimum of one  cycle of sampling and
analyzing for each successive ten-second
period and one cycle of data recording
for each successive six-minute period.
   (2) All continuous monitoring systems
referenced by paragraph (c)(l)  of this
section for measuring oxides of nitrogen,
sulfur dioxide, carbon dioxide, or oxygen
shall complete a  minimum of one cycle
of  operation (sampling,  analyzing, and
data recording) for each successive 15-
minute period.
   (3) All continuous monitoring systems
referenced by paragraph  (c)(2)  of this
section, except opacity, shall complete  a
minimum of one cycle of operation (sam-
pling,  analyzing,  and data  recording)
for each successive one-hour period.
   (f) All continuous monitoring systems
or  monitoring devices shall be Installed
such that  representative measurements
of emissions or process parameters from
the affected facility are obtained. Addi-
tional procedures for location of contin-
uous monitoring systems contained in
the applicable Performance  Specifica-
tions of Appendix B of this part shall be
used.
   (g)  When the  effluents from a single
affected  facility or two or more affected
facilities subject to  the  same emission
standards are combined before being re-
leased to the  atmosphere, the owner or
operator may install applicable contin-
uous monitoring systems on each effluent
or on the combined effluent. When the af-
fected facilities are  not  subject to the
same emission standards, separate con-
tinuous monitoring systems shall be in-
stalled on each effluent.  When the  efflu-
ent from one affected facility is released
                  II-5
to the atmosphere through  more than
one  point, the owner or operator shall
install applicable continuous  monitoring
systems on each separate effluent unless
the installation of fewer systems is ap-
proved by the Administrator.
  (h) Owners or operators of all con-
tinuous monitoring systems for measure-
ment of opacity shall reduce all data to
six-minute  averages and for  systems
other than opacity to one-hour averages
for time periods under 5 60.2 (x)  and (r)
respectively. Six-minute opacity averages
sha'l be ca. -ilr jd from 24 or more data
points  equaJy spaced  over  each six-
minute period. For systems  other than
•opacity, one-hour averages shall  be com-
puted  from four or  more data points
equally  spaced over  each one-hour pe-
riod. Data recorded during periods of sys-
tem   breakdowns,  repairs,   calibration
checks,  and zero  and span adjustments
shall not be included in the data averages
computed  under  this  paragraph.  An
arithmetic or  integrated average of all
data may be used. The data output of all
continuous monitoring systems  may be
recorded in reduced or nonreduced form
(e.g. ppm pollutant  and percent O, or
Ib/million Btu of pollutant).  All excess
emissions  shall be converted into units
of the standard using the applicable con-
version procedures specified in subparts.
After conversion into units of the stand-
ard, the data may be rounded to the same
number of significant digits used in sub-
parts to specify the applicable standard
(e.g., rounded to the nearest one  percent
opacity).
  (J) After receipt and consideration of
written application,  the Administrator
may approve alternatives to  any n?.cs!-
Soring procedures or requirements of this
part including, but  aot  limited to tbc
following:
   (1)  Alternative monitoring require-
ments when installation of a continuous
monitoring system or monitoring device
specified by this part would not provide
accurate measurements due to liquid wa-
ter or other interferences caused by sub-
stances with the effluent gases.
  (2)  Alternative monitoring require-
ments when the affected facility is infre-
quently operated.
  (3)  Alternative monitoring require-
ments to accommodate continuous moni-
toring  systems that require additional
measurements to correct for stack mois-
ture conditions.
  (4) Alternative locations for installing
continuous monitoring systems or moni-
toring devices  when the owner or opera-
tor can demonstrate  that installation at
alternate locations will  enable accurate
and  representative measurements.
  (5) Alternative methods of converting
pollutant concentration measurements to
units of the standards.
  (6) Alternative procedures for per-
forming daily  checks of zero and span
drift that do not involve use of span gases
or test cells.
  (7) Alternatives to the A.S.T.M. test
methods or sampling procedures specified
by any subpart.

-------
  (8)  Alternative continuous monitor-
ing; systems that do not meet the design
or performance requirements in Perform-
ance Specification 1,  Appendix B. but
adequately  demonstrate  a definite and
consistent relationship between its meas-
urements  and  the  measurements  of
opacity by a system complying with the
requirements in Performance Specifica-
tion 1. The Administrator may require
that such demonstration be performed
for each affected facility.
   (9) Alternative monitoring require-
ments when the  effluent from a  single
affected facility or the combined effluent
from two or more affected facilities are
released to the atmosphere through more
than one point.

 (toe. 114 of UM OMA Ate Act M
                                                           II-6

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Subport D—Standards of Performance
for Fossil-Fuel Firod Steam Generators
 § 60.40  Apl>licabllily and drti(tn»llon of
     afftvted facility.
   (a) The affected facilities to which the
 provisions of this subpart apply are:
   (1) Each fosstl-fuel-flred steam  gen-
 erating unit of more  than  73 megawatts
 heat input rate (250 million Btu per
 hour).
   (2) Each fossil-fuel and wood-residue-
 fired steam generating unit capable of
 firing fossil fuel at a heat Input rate of
 more than 73 megawatts (250 million
 Btu per hour).
   (b) Any change to an existing fossll-
 fuel-flred  steam  generating  unit  to
 accommodate  the  use  of combustible
 materials,   other  than  fossil  fuels  as
 defined in this subpart.  shall not bring
 that unit under the applicability of this
 •ubpart.
    "Fossfl fuel and wood residue-tired
  steam generating unit" means  a furnace
  or boiler used in the process of burning
  fossil fuel and wood residue for the pur-
  pose of producing steam by beat transfer.
     "Wood residue" means baric, saw-
  dust,  slabs,  chips, shavings,  mill trim,
  and  other wood products derived from
  wood processing and forest management
  operations.                     .   ,
   (f)  "Coal" means all solid fucis clas-
 sified as anthracite, bituminous, subbi-
 tumtaous. or lignite  by  the American
 Society for Testing Material. Designa-
 tor n 388-66.
 | 60.42   Standard for particubrU matter.
   (a) On and after  the date on which
 the performance test required to be con-
 ducted by i 60.8 is completed, no owner
 or operator subject to the provisions of
 this subpart shall cause to be discharged
 toto the  atmosphere from any affected
 facility any gases which:
  (2)  Exhibit greater than 20  percent
opacity  except  for  one  six-minute
period per hour  of  not more than 27
percent opacity.

 | 60.43   Standard for mMmr 
-------
  (b) Certain of the continuous moni-
toring system requirements under para-
graph  (a) of this section do not apply
to owners or  operators under the follow-
ing conditions:
  (1) For a fossil fuel-fired steam gen-
erator that  bums only gaseous fossil
fuel, continuous monitoring systems for
measuring the opacity of emissions and
sulfur  dioxide  emissions are  not  re-
quired.
   (2) For a  fossfl fuel-fired steam gen-
erator that does not use a flue gas de-
•ulfurization device, a continuous moni-
toring system for measuring sulfur di-
oxide emissions  Is not  required If  the
«wner or operator monitors sulfur di-
oxide emissions  by fuel sampling and
analysis under  paragraph  (d) of this
section.
   (3)  Notwithstanding |90.13), in-
stallation of a  continuous  monitoring
system  for nitrogen oxides may be de-
layed-until after the initial performance
tests under I 60.8 have been conducted.
If the owner or operator  demonstrates
during the performance test that emis-
sions of nitrogen oxides are less than 70
percent of the  applicable standards in
I 60.44, a continuous monitoring system
for measuring nitrogen oxides  emissions
is not required. If the Initial performance
test results  show  that nitrogen oxide
emissions are greater than 70 percent of
the applicable standard, the  owner or
operator shall install a continuous moni-
toring system for nitrogen oxides within
one year after the date of the initial per-
formance tests under  f 60.8 and comply
 with all other applicable monitoring re-
 quirements under this part.
   (4)  If  an owner or operator does not
 install  any  continuous monitoring sys-
 tems for sulfur oxides and nitrogen ox-
 ides, as provided under paragraphs (b)
 (1) and (b)(3) or  paragraphs (b>(2)
 and (b)(3)  of this section a continuous
 monitoring system for measuring either
 oxygen or carbon dioxide is not required.
     For performance evaluations un-
 der  I60.13(c)  and  calibration checks
 under  |60.13(d),  the following, proce-
 dures shall be used:
   (1) Reference Methods 6 or 7, as ap-
 plicable, .shall  be used for conducting
 performance evaluations of sulfur diox-
 ide and nitrogen oxides continuous mon-
 itoring systems.
    (2) Sulfur dioxide or nitric oxide, as
 applicable, shall be used for  preparing
 calibration gas mixtures under Perform-
 ance Specification 2  of Appendix B to
 this part.
   (3) For affected facilities burning fos-
 sil fuel(s), the span value for a continu-
 ous monitoring system measuring  the
 opacity of  emissions  shall be 80, 90. or
 100 percer.t and for f. continuous moni-
 toring system measuring sulfur oxides or
 nitrogen uxides the span  value shall be
 determined  as follows:
            [In partt per million]
  Foedlfnel
 Span rate* for    Span vatae far
 •oilni dioxide    nllrofAD oxxta
OM	—
Liquid	—
Solid	
ComtmuuoBi-
0)
      1.000
      l.UO
l,OOOr+l.H>ae
                        *°°
                        •»
                        MO
 < Not applicable.

where:
x.tbe  fraction of total beat Input
  from gaaeoui foatil fuel, and
y-the  fraction of toUl beat Input derived
  from liquid fossil fuel, and
• -the  fraction of toteJ beat Input derived
  from solid foeell fuel.
  (4)  All spafa  values computed under
paragraph   and (2) of this
  section are derived as follows:
    (1) £= pollutant emissions, ng/J (lb/
  million Btu).
  (2) C=po!lutant  concentration,  ng/
dscm (Ib/dscf), determined by multiply-
ing the average concentration   M Ib/dscf
per ppm) where Af=pollutant  molecu-
lar weight, g/g-mole (Ib/lb-mole). W=
64.07 for sulfur dioxide and 46.01 for ni-
trogen oxides.
  (3) %O...  %CO—  oxygen or carbon
dioxide  volume  (expressed as percent),
determined with equipment specified un-
der paragraph  (d) of this section.
  (4) F, F,= a factor  representing  a
ratio of  the  volume of  dry flue  gases
generated to the calorific value of the
fuel combusted (F),  and a factor repre-
senting a ratio of the volume of carbon
tftnxide generated to the calorific valur
of of the fuel combusted (F.), respective-
ly  Values of T and  F. are given as fol-
lows:
  (1) For anthracite coal as classified
according  to A.6.T.M.  D 388-66, F=
2.723x10-' dscm/J  (10.140 dscf/million
Btu> and  F,«-0.532x10-' scm  CO,/J
U.B80 scf CO,/million Btu).
   (ii) For subbitumlnous and bituminous
coal as classified according to A.S.T.M D
188-66.  F=2 637X10-'  dscm/J  (9.820
dscf/mlll!on  Btu)  and  Fc=0 486X10-'
acm COi/J (1.810 scf COj/million  Btu).
   (iii) For  liquid fossil  fuels including
crude,  residual,  and   distillate   oils,
F .=2.476x10-'  dscm/J (9.220  dscf/mil-
lion  Btu) and F,=OJ84X10-7 scm  CCVJ
(1.430 scf COj'million Btu)
   (iv) For gaseous JossiJ fuels.  F=2.347
X10-t dscm/J(0.740 dacf/million  Btu).
For natural gas. propane, and butane
fuels. F«=-0.279xlO-' acm COt/J  (1.040
acf COj/million Btu)  for natural gas.
0.322X10-'  «cm  COt/J  (1.200 scf COj/
million Btu) for propane, and 0.338 X10 '
scm COt/J (1.260 acf COa/milllon Btu)
for butane.
  (r) For bark  F=2.589X10-C  dscm/J
(9.640 dscf/milllon Btu)  and F,=0.500
X10-' scm COt/J (1,860 scf CO,/mllUon
Btu). For wood  residue other  than bark
F=2.492 x 10'T dscm/J (9,280 dscf/million
Btu)  and F.«=0.494X10-' son OCVJ
(1.840 scf CCV*l!linn Bt»»
   (vi) For lignite coal as classified ae
 cording   to    A.S.T.M.   D    388-W
 F=2.659x10'' dscm/J  (9900  dscf/nttt
 Jion Btu) and Fc=0.516xlO-' scm CO«
 J (3920 scf CCVmillion Btu).
    (5) The owner or operator may use the
 following equation  to  determine an F
 factor  (dscm/J or  dscf/million Btu) on
 a dry basis (if it is  desired to calculate F
 on a wet basis, consult the Administra-
 tor) or Ft factor (scm COi/J, or scf CO»/
 million Btu) on either basis in lieu of the
 F or Fc factors  specified in paragraph
  (f)(4) of this section:
                                                          Il-t

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        1227.3 (pet. H)+»5.5 (pet. Q+35.6 (pet. 8)+8.7 (pet. N)-28.7 (pet. O)]
        -                                  --
                                    (SI units)
                                        GCV

                                 (English units)

                                2.0X10-«(pct. C)
                              '"      ocv
                                   (SI units)

                               f   321X10'(%C)
                                        ocv

                                 (English units)
  (i) H, C. 8. N, and O an content by
weight of hydrogen,  carbon, sulfur, ni-
trogen,  and oxygen  (expressed as per-
oent), respectively, as determined on the
some basis as OCV by ultimate analysis
of the fuel fired, using A.S.T.M. method
D3178-74 or D3170 (solid fuels), or com-
puted from results using A.B.TM. meth-
ods  D1137-S3(70),  D1M5-M(73).  or
DlM6-«7(72) (caseous fuels) a« applica-
ble.
   (11)  OCV is the cross  calorific value
 (kJ/kg. Btu/lb)  of  the fuel combusted.
 determined by the A.S.T.M. test methods
 D 201^-66(72) for solid fuels and D1826-
 64(70)  for gaseous fuels as applicable.
   (Ill)  For affected  facilities  which fire
 both fossil fuels and nonfossll fuels, the
 F or F, value  shall be  subject to the
 Administrator's approval.
   (S> For affected facilities firing com-
 binations of fossil fuels or fossil fuels and
 wood residue, the F or F. factors detf--
 mined by paragraphs (f) (4) or (f> (5) at
 this section shall be prorated in accord-
 ance with the applicable formula as fol-
 lows:
 wtaere
r> or <
       JCi = tbe traction of total beat Input
             derived from each type of fuel
             (c.g  natural gaa. bltumlnou*
             coal, wood residue, etc )
       «) i = th* applicable F at F, (actor for
             each fuel type determined In
             accordance  with paragraphs
             (f)(4)  and  (f)(6)  of tbli
             •ectlon
         »=tne  number  of  fuels  being
             burned In combination
   (g)  For the purpose of reports required
 under 5 60.7(c). periods of  excess emis-
 sions that shall be reported are defined
 as follows:
  (1) Opacity.  Excess emissions are de-
fined as any six-minute period during
which the average opacity of emissions
exceeds  20 percent  opacity,  except
that one six-minute average per hour
of up  to 27 percent opacity need  not
be reported.                  _^
   (2) Sulfur dioxide.  Extftss emissions
 for affected faculties are denned as:
   (1)  Any  three-hour period  during
 which the average emissions (arithmetic
 average of three contiguous one-hour pi-
 rlods) of sulfur dioxide as measured by a
 continuous monitoring  system exceed the
 applicable standard under { 60.43.
   (11)  [Reserved]
   (3) Nitrogen oxides. Excess emissions
 for affected facilities using a continuous
 monitoring system for measuring nitro-
 gen oxides are denned as any three-hour
 period during which the average emis-
 sions (arithmetic average  ofthree con-
 tiguous one-hour periods) exceed the ap-
 plicable standards under S 60.44.

  § 60.46  Test methods and procedures.
    (a) The reference methods in Appen-
  dix A of this part, except as provided in
  § 60.8(b), shall be used to determine com-
  pliance with the standards as prescribed
  in 3? 60.42, 60.43, and 60.44 as follows:
    11 y Method 1 for selection of sampling
  site and sample traverses.
    f 2) Method 3  for  gas  analysis to be
  used when applying Reference Methods
  5, 6 and 7.
    13) Method 5 for concentration of par-
  ticulate matter and the associated mois-
  ture content.
    (4)  Method 6 for concentration of SO.,
  and
    (5>  Method  7  for concentration of
  NCK.
    tb>  For Method 5. Method 1 shall be
  used to select the sampling site and  the
  number of traverse sampling points. The
  sampling time for each run shall be at
  least 60 minutes arH[tt& minimum sam-
  pling volume shall be  0.85 dscm <30 dscfi


                    II-9
                                                                                except  that smaller sampling times or
                                                                                volumes,  when necessitated by  process
                                                                                variables or other  factors, may be ap-
                                                                                proved by the Administrator. The  probe
                                                                                and filter holder heating systems in the
                                                                                sampling tram shall be set to provide a
                                                                                5as temperature r.o greater than 160° C
                                                                                (320= FV
                                                                                  • c '  For Methods  6 and 7, the sampling
                                                                                site shall  be  the  same  as that selected
                                                                                for Method 5. The sampling point in the
                                                                                duct shall be at the centroid of the cross
                                                                                section or  at  a point  no closer to the
                                                                                walls than 1 m (3.28 ft) . For Method 6,
                                                                                the sample shall be extracted at a rate
                                                                                proportional to the gas velocity at the
                                                                                sampling point.
                                                                                  (d>  For Method 6, the minimum sam-
                                                                                pling time shall be 20 minutes and the
                                                                                minimum sampling volume  0.02  dscm
                                                                                (0.71 dscf ) for each sample. The arith-
                                                                                metic  mean of two samples  shall con-
                                                                                stitute  one run. Samples shall be taken
                                                                                at approximately 30 -minute intervals.
                                                                                •  (e) For Method 7, each run shall con-
                                                                                sist of  at least four grab samples taken
                                                                                at  approximately  15-minute  intervals.
                                                                                The arithmetic mean  of  the samples
                                                                                shall constitute the run value.
                                                                                  (f) For each run using the methods
                                                                                specified by paragraphs (a)  (3) , (4) , and
                                                                                (5>  of  this section, the emissions ex-
                                                                                pressed in g/mil!ion cal  (Ib/million Btu)
                                                                                shall be  determined  by the  following
                                                                                procedure :
                                                                                                    20.9
where :
  (1) E  = pollutant emission g/million cal
'• Ib million Btu) .
  (2) c  = pollutant concentration, g/dscm.
( Ib/dscf), determined by Methods 5, 6, or 7.
  (3)  ToO..  =  oxygen  content by  volume
(expressed  as  percent) ,  dry  basis. Percent
oxygen shall be determined by rs'.ng the In-
tegrated or ;rab sampling and analysis pro-
cedures  of Method 3 as applicable. The sam-
ple shall be obtained as follows:

   (i) For  determination of sulfur diox-
ide  and nitrogen  oxides emissions, the
oxygen sample shall  be obtained simul-
taneously at the same point in the duct
as used to obtain the samples for Meth-
ods 6 and  7 determinations, respectively
[§ 60.46(c)L For Method  7, the  oxygen
sample shall be obtained using the grab
sampling  and  analysis procedures of
Method 3.
   (ii>  For determination  of particulate
emissions,  the oxygen  sample shall be
obtained  simultaneously by traversing
the  duct at the same sampling location
used for each run of Method 5 under
paragraph (b) of this section. Method .1
shall be used for  selection of the number
of traverse points except  that no more
than 12 sample points are  required.
   (4) F = a  factor as determined in
paragraphs (f> C4>, (5) or  f6) of S 60.45.
   (g) When combinations of fossil fuels
ire  fired, the  heat input, expressed in
cal/hr  (Btu/hr),  shall be  determined
luring  each  testing period by multiply-
ing the gross calorific value of  each  fuel
fired by the rate  of each fuel burned.
Gross calorific value shall be determined
in  accordance with  A.S.T.M.  methods
D2015-66(72> f solid fuels), D240-64(73>
(liquid  fuels) , or D1826-64C7CM  'gaseous
fuels)  as applicable.  The  rate of fuels
burned  during e?.ch testing period shall
be determined bv suitabls method?  and
shall be confirmee! bv a  material balance
over the stearr. generation system.

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  Authority: Sec. 111. 301(a) of the Clean Air
Act as amended (42 U.S.C. 7411, 7601(a)). and
additional authority as noted below.

Subpart Da—Standards of
Performance for Electric Utility Steam
Generating Units for Which
Construction Is Commenced After
September 18,1978

§ 60.40a  Applicability and designation of
affected facility.
   (a] The affected facility to which this
subpart applies is each electric utility
steam generating unit:
   (1) That is capable of combusting
more than 73 megawatts (250 million
Btu/hour) heat input of fossil fuel (either
alone or in combination with any other
fuel); and
   (2) For which construction or
modification is commenced after
September 18,1978.
   (b) This subpart applies to electric
utility combined cycle gas turbines that
are capable of combusting more than 73
megawatts (250 million Btu/hour) heat
input of fossil fuel in the steam
generator. Only emissions resulting from
combustion of fuels in the steam
generating unit are subject to this
subpart. (The gas turbine emissions are
 subject to Subpart GG.)
   (c) Any change to an existing fossil-
 fuel-fired steam generating imit to
 accommodate the use of combustible
 materials, other than fossil fuels, shall
 not bring that unit under the
 applicability of this subpart.
   (d) Any change to an existing steam
 generating unit originally designed to
 fire gaseous or liquid fossil fuels, to
 accommodate the use of any other fuel
 (fossil or nonfossil) shall not bring that
 unit under the applicability of this
 subpart.

 § 60.41a  Definitions.
   As used in this subpart, all terms not
 defined herein shall have the meaning
 given them in the Act and in subpart A
 of this part.
   "Steam generating unit" means any
 furnace, boiler, or other device used for
 combusting fuel for the purpose of
 producing steam (including fossil-fuel-
 fired steam generators associated with
 combined cycle gas turbines; nuclear
 steam generators are not included).
   "Electric utility steam generating unit"
 means any steam electric generating
 unit that is constructed for the purpose
 of supplying more than one-third of its
 potential electric output capacity and
 more than 25 MW electrical output to
 any utility power distribution system for
 sale. Any steam supplied to a steam
 distribution system for the purpose of
 providing steam to a steam-electric
generator that would proclu i  t-'ei tncal
energy for sale ib also COIIM(.!'''V J ir.
determining the electrical energy output
capacity of the affected facility.
  "Fossil fuel" means natural gas,
petroleum, coal, and any form of solid,
liquid, or gaseous fuel derived from such
material for the purpose of creating
useful heat.
  "Subbituminous coal" means coal that
is classified as subbituminous A, B, or C
according to the American Society of
Testing and Materials' (ASTM)
Standard Specification for Classification
of Coals by Rank D388-66.
  "Lignite" means coal that is classified
as lignite A or B according to the
American Society of Testing and
Materials' (ASTM) Standard
Specification for Classification of Coals
by Rank D388-66.
  "Coal refuse" means waste products
of coal mining, physical coal  cleaning,
and coal preparation operations (e.g.
culm, gob, etc.) containing coal, matrix
material, clay, and other organic and
inorganic material.
   "Potential comb'ustion concentration"
means the theoretical emissions (ng/J,
Ib/million Btu heat input) that would
result from combustion of a fuel in an
uncleaned state 9without emission
control systems) and;
   (a) For particulate matter is:
   (1) 3,000 ng/J (7.0 Ib/million Btu) heat
 input for solid fuel; and
   (2) 75 ng/J (0.17 Ib/million  Btu) heat
 input for liquid fuels.
   (b) For sulfur dioxide is determined
 under § 60.48a(b).
   (c) For nitrogen oxides is:
   (1) 290 ng/J (0.67 Ib/million Btu) heat
 input for gaseous fuels;
   (2) 310 ng/J (0.72 Ib/million Btu) heat
 input for liquid fuels; and
   (3) 990 ng/J (2.30 Ib/million Btu) heat
 input for solid fuels.
   "Combined cycle gas turbine" means
 a stationary turbine combustion system
 where heat from the turbine exhaust
 gases is recovered by a steam
 generating unit.
   "Interconnected" means that two or
 more electric generating units are
 electrically tied together by a network of
 power transmission lines, and  other
 power transmission equipment.
   "Electric utility company" means the
 largest interconnected organization,
 business, or governmental entity that
 generates electric power for  sale (e.g., a
 holding company with operating
 subsidiary  companies).
   "Principal company" means  the
 electric utility company or companies
 which own the affected facility.
   "Neighboring company" means any
 one of those electric utility companies

                 11-10
with one or r: LTC elr. v pov.rr
inteicc-.-i-ii'C t.un-. lc t!ir principal
company and which have
geographically  adjoining service areas.
   "Net system  capacity" means the sum
of the net electric generating capability,
(not necessarily equal to rated capacity)
of all electric generating equipment
owned by  an electric utility company
(including  steam generating units,
internal combustion engines, gas
turbines, nuclear units, hydroelectric
units, and  all other electric generating
' equipment) plus firm contractual
purchases that are interconnected to the
affected facility  that has the
malfunctioning flue gas desulfurization
 system. The electric generating
 capability of equipment under multiple
 ownership is prorated based on
 ownership unless the proportional
 entitlement to  electric output is
 otherwise established by contractual
 arrangement.
   "System load" means the entire
 electric demand of an electric utility
 company's service area interconnected
 with the affected facility that has the
 malfunctioning flue gas desulfurization
 system plus firm contractual sales to
 other electric utility companies. Sales to
 other electric utility companies (e.g.,
 emergency power) not on a firm
 contractual basis may also be included
 in the system  load when no available
 system capacity exists in the electric
 utility company to which the power is
 supplied for sale.
    "System emergency reserves" means
 an amount of  electric generating
 capacity equivalent to the rated
 capacity of the single largest electric
 generating unit in the electric utility
 company (including steam generating
 units, internal combustion engines, gas
 turbines, nuclear units, hydroelectric
 units, and all other electric generating
 equipment) which is interconnected with
 the affected facility that has the
 malfunctioning flue gas desulfurization
 system. The electric generating
 capability of equipment under multiple
 ownership is prorated based on
 ownership unless the proportional
 entitlement to electric output is
 otherwise established by contractual
 arrangement.
    "Available  system capacity" means
 the capacity determined by subtracting
 the system load and the system
 emergency reserves from the net system
 capacity.
    "Spinning reserve" means the sum of
 the unutilized net generating capability
 of all units of  the electric utility
 company that are synchronized to the
 power distribution system and that are
 capable of immediately accepting

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 additional load. The electric generating
 capability of equipment under multiple
 ownership is prorated based on
 ownership unless the proportional
 entitlement to electric output is
 otherwise established by contractual
 arrangement.
   "Available purchase power" means
 the lesser of the following:
   (a) The sum of available system
 capacity in all neighboring companies.
   (b) The sum of the rated capacities of
 the power interconnection devices   -
 between the principal company and all
 neighboring companies, minus the sum
 of the electric power load on these
 interconnections.
   (c) The rated  capacity of the power
 transmission lines between the power
 interconnection devices and the electric
 generating units (the unit  in the principal
 company that has the malfunctioning
 flue gas desulfurization system and the
 unit(s) in the neighboring  company
 supplying replacement electrical power)
 less the electric power load on these
 transmission lines.
   "Spare flue gas desulfurization system
 module" means a separate system of
 sulfur dioxide emission control
 equipment capable of treating an
 amount  of flue gas equal to the total
 amount  of flue gas generated by an
 affected facility when operated at
 maximum capacity divided by the total
 number  of nonspare flue gas
 desulfurization modules in the system.
   "Emergency condition"  means that
 period of time when:
   (a) The electric generation output  of
 an affected facility with a
 malfunctioning flue gas desulfurization
 system cannot be reduced or electrical
 output must be increased because:
   (1) All available system  capacity in
 the principal company interconnected
 with the  affected facility is being
 operated, and
   (2) All available purchase  power
 interconnected with the affected facility
 is  being obtained, or
   (b) The electric generation demand is
being shifted as quickly as possible from
an affected facility with a
malfunctioning flue gas desulfurization
system to one or  more electrical
 generating units held in reserve by the
 Drincipal company or by a  neighboring
company, or
  (c) An affected facility with a
malfunctioning flue gas  desulfurization
system becomes  the only available unit
 o maintain a part or all of  the principal
:ompany's system emergency reserves
ind the unit is operated in spinning
'eserve at the lowest practical electric
 ,eneration load consistent with not
:ausing significant physical damage to
  the unit. If the unit is operated at a
  higher load to meet load demand, an
  emergency condition would not exist
  unless the conditions under (a) of this
  definition apply.
    "Electric utility combined cycle gas
  turbine" means any combined cycle gas
  turbine used for electric generation that
  is constructed for the purpose of
  supplying more than one-third of its
  potential electric output capacity and
  more than 25 MW electrical output to
  any utility power distribution system for
  sale. Any steam distribution system that
  is constructed for the purpose of
  providing steam to a steam electric
  generator that would produce electrical
  power for sale is also considered in
  determining the electrical energy output
  capacity of the affected facility.
    "Potential electrical output capacity"
  is defined as 33 percent of the maximum
  design heat input capacity of the steam
  generating unit (e.g.,  a steam generating
- unit with a 100-MW  (340 million Btu/hr)
  fossil-fuel heat input capacity would
  have a 33-MW potential electrical
  output capacity). For electric utility
  combined cycle gas turbines the
  potential electrical output capacity is
  determined on the  basis of the fossil-fuel
  firing capacity of the steam generator
  exclusive of the heat input and electrical
  power contribution by the gas turbine.
   "Anthracite" means coal  that is
  classified as anthracite according to the
  American Society of Testing and
  Materials' (ASTM) Standard
  Specification for Classification of Coals
 by Rank D388-66.
  . "Solid-derived fuel" means any solid,
 liquid,  or gaseous fuel derived from solid
 fuel for the purpose of creating useful
 heat and includes, but is not limited to,
 solvent refined coal, liquified coal, and
 gasified coal.
   "24-hour period" means the period of
 time between 12:01 a.m. and 12:00
 midnight.
   "Resource recovery unit"  means a
 facility that combusts more than 75
 percent non-fossil fuel on a quarterly
 (calendar) heat input basis.
   "Noncontinental area" means the
 State of Hawaii, the Virgin Islands,
 Guam, American Samoa, the
 Commonwealth of Puerto Rico, or the
 Northern Mariana Islands.
   "Boiler operating day" means a 24-
 hour period during which fossil fuel is
 combusted in a steam generating unit for
 the entire 24 hours.

 § 60.42a  Standard for paniculate matter.
   (a) On and after the date on which the
 performance test required to be
 conducted  under  § 60.8 is completed, no
 owner or operator subject to the
                     11-11
 provisions ot this subpari 5,.^.. o^ov, ^
 be discharged into the atmosphere from
 any affected facility any gases which
 contain particulate matter in excess of:
   (1) 13 ng/J (0.03 Ib/million Btu) heat
 input derived from the combustion of
 solid, liquid, or gaseous fuel;
   (2) 1 percent of the potential
 combustion  concentration (99 percent
 reduction) when combusting solid fuel;
 and
   (3) 30 percent of potential combustion
 concentration (70 percent reduction)
 when combusting liquid fuel.
   (b) On and after the date the
 particulate matter performance test
 required to be conducted under § 60.8 is
 completed, no owner or operator subject
 to the provisions of this subpart shall
 cause to be discharged into the
 atmosphere  from any affected facility
 any gases which exhibit greater than 20
 percent opacity (6-minute average),
 except for one 6-minute period per hour
 of not more than 27 percent opacity.

 § 60.43a  Standard for sulfur dtoxide.
   (a) On and after the date on which the
 initial performance test required to be
 conducted under § 60.8 is completed, no
 owner or operator subject to the
 provisions of this subpart shall cause to
 be discharged into the atmosphere from
 any affected facility which combusts
 solid fuel or  solid-derived fuel, except as
 provided under paragraphs (c), (d), (f) or
 (h) of this section, any gases which
 contain sulfur dioxide in excess of:
   (1) 520 ng/J (1.20 Ib/million Btu) heat
 input and 10 percent of the potential
 combustion concentration (90 percent
 reduction), or
   (2) 30 percent of the potential
 combustion concentration (70 percent
 reduction), when emissions are less than
 260 ng/J (0.60 Ib/milliori Btu) heat input.
   (b) On and after the date on which the
 initial performance test required to be
 conducted under § 60.8 is completed, no
 owner or operator subject to the
 provisions of this subpart shall cause to
 be discharged into the atmosphere from
 any  affected  facility which combusts
 liquid or gaseous fuels (except for liquid
 or gaseous fuels derived from solid fuels
 and  as provided under paragraphs (e) or
 (h) of this section), any gases  which
 contain sulfur dioxide in excess of:
  (1) 340 ng/J (0.80 Ib/million Btu) heat
 input and 10 percent of the potential
 combustion concentration (90 percent
reduction), or
  (2) 100 percent of the potential
combustion concentration (zero percent
reduction) when emissions are less than
86 ng/J (0.20 Ib/million Btu) heat input.
  (c) On and after the date on which the
initial performance test required to be

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conducted under § 60.8 is complete, no
owner or operator subject to the
provisions of this subpart shall cause to
be discharged into the atmosphere from
any affected facility which combusts
solid  solvent refined coal (SRC-I) any
gases which contain sulfur dioxide in
excess of 520 ng/J (1.20 Ib/million Btu)
heat input and 15 percent of the
potential combustion concentration (85
percent reduction) except as provided
under paragraph (f) of this section;
compliance with the emission limitation
is determined on a 30-day rolling
average basis and compliance with the
percent reduction requirement is
determined on a 24-hour basis.
   (d) Sulfur dioxide emissions are
limited to 520 ng/J (1.20 Ib/million Btu)
heat  input from any affected facility
which:
   (1) Combusts 100 percent anthracite,
   (2) Is classified as a resource recovery-
 facility, or
   (3) Is located in a noncontinental area
 and  combusts solid fuel or solid-derived
 fuel.
    (e) Sulfur dixoide emissions are
 limited to 340 ng/J (0.80 Ib/million Btu)
 heat input from any affected facility
 which is located in  a noncontinental
 area and combusts  b'quid or gaseous
 fuels (excluding solid-derived fuels).
    (f) The emission reduction
 requirements under this section do not
 apply to any affected facility that is
 operated under an SOj commercial
 demonstration permit issued by the
 Administrator in accordance with the
 provisions of § 60.45a.
    (g) Compliance with the  emission
  limitation and percent reduction
  requirements under this section are both
  determined on a 30-day rolling average
  basis except as provided under
  paragraph (c) of this section.
    (h) When different fuels are
  combusted simultaneously, the
  applicable standard is determined by
  proration using the following formula:
    (1) If emissions of sulfur dioxide to the
  atmosphere are greater than 260 ng/J
  (0.60 Ib/million Btu) heat input
  ESQ. = [340 x + 520 y]/100 and
  PSO, = 10 percent
    (2) II emissions of sulfur dioxide to the
  atmosphere are equal to or less than 260
  ng/J (0.60 Ib/million Btu) heat input:
  ESQ. = (340 x 4- 520 y]/100 and
  PSO, = [9° x -<  70 y]/100
  where:
  Ego, is the prorated sulfur dioxide emission
      limit (ng/J heat input),
  PSO, is Die percentage of potential sulfur
      ' dioxide emission allowed (percent
      reduction required = 100—PSO,)-
,x is the percental of I"U: h'"'1 "M'  ' ''" :i'> !
    from the combustion of iiqi.ni 01 g,i.M.'^
    fuels (excluding solid-domed fuels)
y is the percentage of total heat input derived
    from the combustion of solid fuel
    (including solid-derived fuels)

 § 60.44a Standard for nitrogen oxides.
   (a) On and after the date on which the
 initial performance test required to be
 conducted under § 60.8 is completed, no
 owner or operator subject to the
 provisions of this subpart shall cause to
 be discharged into the atmosphere from
 any affected facility, except as provided
 under paragraph (b) of this section, any
 gases which contain nitrogen oxides in
 excess of the following emission limits,
 based on  a 30-day rolling average.
   (1) NO, Emission Limits—
Fuel type
Gaseous Fuels:
CoaMJenved fuels 	 - 	 —
All other fuels — 	 	
Uqwd Fuels:
Coal-denved fuels 	
Shale oil 	 	
All other fuels 	
Solid Fuels:
Coal-derived fuels 	 	
Any fuel containing more than
25%, by weight, coal refuse ..


Any fuel containing more than
25%, by weight, lignite if the
lignite is mined m North
Dakota, South Dakota, or
Montana, and is combusted
m a slag tap furnace 	 _
Lignite not subiect to the 340
ng/J heat input emission limit
Bituminous coal 	 - 	

All other fuels 	 	 -
Emission limit
ng/J (Ib/million Btu)
heat moot
210 (0 50)
86 (0.20)
210 (0 50)
210 (0.50)
130 (0.30)
210 (0.50)
Exempt from NO,
standards and NO,
monitoring
requirements





340 (0.80)
260 (060)
210 (0 50)
260 (060)
260 (060)
260 (0 60)
    (2) NO, reduction requirements—
Fuel type




Percent reduction
of potential
combustion
concentration
25%
30%
65%

     (b) The emission limitations under
   paragraph (a) of this section do not
   apply to any affected facility which is
   combusting coal-derived liquid fuel and
   is operating under a commercial
   demonstration permit issued by the
   Administrator in accordance with the
   provisions of § 60.45a.
     (c) When two or more fuels are
   combusted simultaneously, the
   applicable standard is determined by
   proration using the following formula:
   ENO, =[86 w-f 130 x + 210 y + 280 z]/100

                 11-12
LMl istm ,:;;.m,il.k sUncjid fur mtro^n
   'oxides, v-hen multiple fuels aie
    combusted simultaneously (ng/) heat
    input);
w is the percentage of total heat input
    derived from the combustion of fuels
    subject to the 86 ng/J heat input
    standard;
x is the percentage of total heat input derived
    from the combustion of fuels subject to
    the 130 ng/J heat input standard;
y is the percentage of total heat input derived
    from the combustion of fuels subject to
    the 210 ng/J heat input standard; and
z is the percentage of total heat input derived
    from the combustion of fuels subject to
    the 260ng/J heat input standard.

 § 60.45a   Commercial demonstration
 permit
   (a) An owner or operator of an
 affected facility proposing to
 demonstrate an emerging technology
 may apply to the Administrator for a
 commercial demonstration permit. The
 Administrator will issue a Commercial
 demonstration permit in accordance
 with paragraph (e) of this section.
 Commercial demonstration permits may
 be issued only by the Administra'tor,
 and this authority will not be delegated.
    (b) An owner or operator of an
 affected facility that combusts solid
 solvent refined coal (SRC-I) and who is
 issued a commercial demonstration
 permit by the Administrator is not
 subject to the SO2 emission reduction
 requirements under § 60.43a(c) but must,
 as a minimum, reduce SOj emissions to
 20 percent of the potential combustion
 concentration (80 percent reduction) for
 each 24-hour period of steam generator
 operation and to less than 520 ng/J (1.20
 Ib/million Btu) heat input on a 30-day
 rolling average basis.
    (c) An owner or operator of a fluidized
  bed combustion electric utility steam
  generator (atmospheric or pressurized)
  who is issued a commercial
  demonstration permit by the
  Administrator is not subject to the SOj
  emission reduction requirements under
  § 60.43a(a) but must, as a minimum,
  reduce SO2 emissions to 15 percent of
  the potential combustion concentration
  (85 percent reduction) on a 30-day
  rolling average basis and to less than
  520 ng/J (1.20 Ib/million Btu) heat input
  on a 30-day rolling average basis.
    (d) The owner or operator of an
  affected facility that combusts coai-
  derived liquid fuel and who is issued a
  commercial demonstration permit by the
  Administrator is not subject to the
  applicable NO, emission limitation and
  percent reduction under § 60.44a(a) but
  must, as a minimum, reduce emissions
  to less than 300 ng/J (0.70 Ib/million Btu)

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   heat input on a 30-day rolling average
   basis.
     (e)  Commercial demonstration permits
   may not exceed the following equivalent
   MW electrical generation capacity for
   any one technology category, and the
   total equivalent MW electrical
   generation capacity for all commercial
   demonstration plants may not exceed
   15,000 MW.
        Technology
         Equivalent
         etectnca)
Pollutant    capacity
        (MW electrical
          Output)
Solid solvent refined coal
(SRC 1) 	
Ruidized bed combustion
Fluidizedbed combustion
Coal Hnt.firjlllnn
SO, 6000-10000
SO, 400-3000
SO, 4OO-1 2OO
NO. 750-10.000
      Total allowable lor all
       technotogle*		
                                   15.000
  § 60.46a Compliance provisions.
   ^(a) Compliance with the particulate
  matter emission limitation under
  § 60.42a(a)(l) constitutes compliance
  with the percent reduction requirements
  for particulate matter under
  § 60.42a(a)(2) and (3).
   (b) Compliance with the nitrogen
  oxides emission limitation under
  § 60.44a(a) constitutes compliance with
  the percent reduction requirements
  under 5 60.44a(a)(2).
   (c) The particulate matter emission
  standards under § 60.42a and the
  nitrogen oxides emission standards
  under  § 60.44a apply at all times except
  during periods of startup, shutdown, or
  malfunction. The  sulfur dioxide emission
  standards under § 60.43a apply at all
  times except during periods of startup,
  shutdown, or when both emergency
  conditions exist and the procedures
 under paragraph (d) of this section are
 implemented.
   (d) During emergency conditions in
 the principal company, an affected
 facility with a malfunctioning flue gas
 desulfurization system may be  operated
 if sulfur dioxide emissions are
 minimized by:
   (1) Operating all operable flue gas
 desulfurization system modules, and
 bringing back into operation any
 malfunctioned module as soon as
 repairs  are completed,
   (2)  Bypassing flue gases around only
 those flue gas desulfurization system
 modules that have been taken out of
 operation because they were incapable
 of any sulfur dioxide emission reduction
or which would have suffered significant
physical damage if they had remained in
operation, and
    (3) Designing, constructing, and
  operating a spare flue gas
  desulfurization system module for an
  affected facility larger than 365 MW
  (1,250 million Btu/hr] heat input
  (approximately 125 MW electrical
  output capacity). The Administrator
  may at his discretion require the owner
  or operator within 60 days of
  notification to demonstrate spare
  module capability. To demonstrate this
  capability, the owner or operator must
  demonstrate compliance with the
  appropriate requirements under
  paragraph (a), (b), (d), {e), and (i)  under
  § 60.43a for any period of operation
  lasting from 24 hours to 30 days when:
    (i) Any one flue gas desulfurization
  module is not operated,
    (ii) The affected facility is operating at
  the maximum heat input rate,
    (iii) The fuel fired during the 24-hour
  to 30-day period is representative of the
  type and average sulfur content of fuel
  used over a typical 30-day period, and
    (iv) The owner or operator has given
  the Administrator at least 30 days notice
  of the date and period  of time over
  which the demonstration will be
  performed.
    (e) After the initial performance test
  required under § 60.8, compliance with
  the sulfur dioxide emission limitations
  and percentage reduction requirements
  under 5 60.43a and the nitrogen oxides
  emission limitations under § 60.44a is
  based on the average emission rate for
  30 successive boiler operating days. A
  separate performance test is completed
  at the end of each boiler operating day
  after the initial performance test, and a
  new 30 day average emission rate for
  both sulfur dioxide and nitrogen oxides
 and a new percent reduction for sulfur
 dioxide are calculated to show
 compliance with the standards.
   (f) For the initial performance test
 required under § 60.8, compliance with
 the sulfur dioxide emission limitations
 and percent reduction requirements
 under § 60.43a  and the nitrogen oxides
 emission limitation under § 60.44a is
 based on the average emission rates for
 sulfur dioxide,  nitrogen  oxides, and
 percent reduction for sulfur dioxide for
 the first 30 successive boiler operating
 days. The initial performance test is the
 only test in which at least 30 days prior
 notice is required unless otherwise
 specified by the Administrator. The
 initial performance test is to be
 scheduled so that the first boiler
 operating day of the 30 successive boiler
 operating days is completed within 60
 days after achieving the maximum
production rate at which the affected
facility will be operated, but not later
  than 180 days after initial sia; iujj ui uic
  facility.
    (g) Compliance is determined by
  calculating the arithmetic average of all
  hourly emission rates for SO« and NO,
  for the 30 successive boiler operating
  days, except for data obtained during
  startup, shutdown, malfunction (NO,
  only), or emergency conditions (SOi
  only). Compliance with the percentage
  reduction requirement for SOi is
  determined based on the average inlet
  and average outlet SOt emission rates
  for the 30 successive boiler operating
  days.
  - (h) If an owner or operator has not
  obtained the minimum quantity of
  emission data as required under § 60.47a
  of this subpart, compliance of the
  affected facility with the emission
  requirements under §| 60.43a and 60.44a
  of this subpart for the day on which the
  30-day period ends may be determined
  by the Administrator by following the
  applicable procedures in sections 6.0
  and 7.0 of Reference Method 19
  (Appendix A).

  § 60.47a  Emission monitoring.
    (a) The owner or operator of an
  affected facility shall install, calibrate,
  maintain, and operate a continuous
  monitoring system, and record the
  output of the system, for measuring the
  opacity of emissions discharged to the
  atmosphere, except where gaseous fuel
  is the only fuel combusted. If opacity
  interference due to water droplets exists
  in the stack (for example, from the use
  of an FGD system), the opacity is
  monitored upstream of the interference
  (at the inlet to the FGD system). If
  opacity interference is experienced at
 all locations (both at the inlet and outlet
 of the sulfur dioxide control system),
 alternate parameters indicative of the
 particulate matter control system's
 performance are monitored (subject to
 the approval of the Administrator).
   (b) The owner or operator of an
 affected facility shall install, calibrate,
 maintain, and operate a continuous
 monitoring system,  and record the
 output of the system, for measuring
 sulfur dioxide emissions, except where
 natural gas is the only fuel combusted,
 as follows:
  (1) Sulfur dioxide emissions  are
 monitored at both the inlet and outlet of
 the sulfur dioxide control device.
  (2) For a facility which qualifies under
 the provisions of § 60.43a(d), sulfur
 dioxide emissions are only monitored as
 discharged to the atmosphere.
  (3) An "as fired" fuel monitoring
system (upstream of coal pulverizers)
meeting the requirements of Method 19
(Appendix A) may be used to determine

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potential sulfur dioxide emissions in
place of a continuous sulfur dioxide
emission monitor at the inlet to the
sulfur dioxide control device as required
under paragraph (b)(l) of this section.
  (c) The owner or operator of an
affected facility shall install, calibrate,
maintain, and operate a continuous
monitoring system, and record the
output of the system, for measuring
nitrogen oxides emissions discharged to
the atmosphere.
   (d] The owner or operator of an
 affected facility shall install, calibrate,
 maintain, and operate a continuous
 monitoring system, and record the
 output of the system, for measuring the
 oxygen or  carbon dioxide content of the
 flue gases  at each location where sulfur
 dioxide or nitrogen oxides emissions are
 monitored.
   (e) The continuous monitoring
 systems under paragraphs (b), (c), and
 (d) of this  section are operated and data
 recorded during all periods of operation
 of the affected facility including periods
 of startup, shutdown, malfunction or
 emergency conditions, except for
 continuous monitoring system
 breakdowns, repairs, calibration checks.
 and zero and span adjustments.
    (f) When emission data are not
  obtained because of continuous
  monitoring system breakdowns, repairs,
  calibration checks and zero and span
  adjustments, emission data will be
  obtained by using other monitoring
  systems as approved byjhe
  Administrator or the reference methods
  as described in paragraph (h) of this
  section to provide emission data for a
  minimum of 18 hours in at least 22  out of
  30 successive boiler operating days.
     (g) The 1-hour averages required
  under paragraph § 60.13(h) are
  expressed in ng/J.(lbs/million Btu) heat
  input and used to calculate the average
  emission rates under I 60.46a. The 1-
  hour averages are calculated using the
  data points required under § 60.13(b). At
  least two data points must be used to
  calculate the 1-hour averages.
     (h) Reference methods used to
   supplement continuous monitoring
   system data to meet the minimum data
   requirements in paragraph § 60.47a(f)
   will be used as specified below or
   otherwise approved by the
   Administrator.
     (1) Reference Methods 3, 6, and 7, as
   applicable, are used. The sampling
   location(s) are the same as those used
   For the continuous monitoring system.
     (2) For Method 6, the minimum
   sampling time is 20 minutes and the
   minimum sampling volume is 0.02 dscm
   (0.71 dscf) for each sample. Samples are
   taken at approximately 60-minute
intervals. Each sample represents a 1-
hour average.
  (3) For Method 7, samples are taken at
approximately 30-minute intervals. The
arithmetic average of these two
consective samples represent a 1-hour
average.
  (4] For Method 3, the oxygen or
carbon dioxide sample is to be taken for
each hour when continuous SO* and
NO, data are taken or when Methods 6
and 7 are required. Each sample shall be
 taken for a minimum of 30 minutes in
 each hour using the integrated bag
 method specified in Method 3. Each
 sample represents a 1-hour average.
   (5) For each 1-hour average, the
 emissions expressed in ng/J (Ib/million
 Btu) heat input  are determined and used
 as needed to achieve the  minimum data
 requirements of paragraph [f) of this
 section.
   (i) The following procedures are used
 to conduct monitoring system
 performance evaluations under
 § 60.13(c) and calibration checks under
 § 60.13(d).
    (1) Reference method 6 or 7, as
 applicable, is used for conducting
 performance evaluations of sulfur
  dioxide and nitrogen oxides continuous
  monitoring systems.
    (2) Sulfur dioxide or nitrogen oxides,
  as applicable, is used for preparing
  calibration gas mixtures under
  performance specification 2 of appendix
  B to this part.
    (3) For affected facilities burning only.
  fossil fuel, the span value for a
  continuous monitoring system for
  measuring opacity is between 60 and 80
  percent and for a continuous monitoring
  system measuring nitrogen oxides is
  determined as follows:
          Fossil fuel
  Span valuator
nitrogen oxides (pom)
   Gas	_		
   Liquid	
   Solid	_		
   Combination	~
            500
            500
           1.000
   500(x+y) + 1.000z
   where:
   x is the fraction of total heat input derived
      from gaseous fossil fuel,
   y is the fraction of total heat input derived
      from liquid fossil fuel, and
   z is the fraction of total heat input derived
      from solid fossil fuel.
     (4) All span values computed under
   paragraph (b)(3) of this section for
   burning combinations of fossil fuels are
   rounded to the nearest 500 ppm.
     (5) For affected facilities burning fossil
   fuel, alone or in combination with non-
   fossil fuel, the span value of the sulfur
   dioxide continuous monitoring system at
   the inlet to the sulfur dioxide  control
                         11-14
device is 125 percent of the maximum
estimated hourly potential emissions of
the fuel fired, and the outlet of the sulfur
dioxide control device is 50 percent of
maximum estimated hourly potential
emissions of the fuel fired.
(Sec. 114, Clean Air Act as amended (42
U.S.C. 7414}.)
§ 60.48a  Compliance determination
procedures and methods.
   (a) The following procedures and
reference methods are used to determine
compliance with the standards for
particulate matter under § 60.42a.
   (1) Method 3 is used for gas analysis
 when applying method 5 or method 17.
   (2) Method 5 is used for determining
 particulate matter emissions and
 associated moisture content. Method 17
 may be used for stack gas temperatures
 less than 160 C (320 F).
    (3) For Methods 5 or 17, Method 1  is
 used to select the sampling site and  the
 number of traverse sampling points. The
 sampling time for each run is at least 120
 minutes and the minimum sampling
 volume is 1.7 dscm (60 dscf] except that
 smaller sampling times or volumes,
 when necessitated by process variables
  or other factors, may be approved by the
  Administrator.
 •   (4) For Method 5, the probe and filter
  holder heating system in the sampling
  train is set to provide a gas temperature -
  no greater than 160°C (32°F).
    (5) For determination of particulate
  emissions, the oxygen or carbon-dioxide
  sample is obtained simultaneously  with
  each run of Methods 5 or 17 by
  traversing the duct at the same sampling
  location. Method 1 is used for selection
  of the number of traverse points except
  that no more than 12 sample points are
  required.
     (6) For each run using Methods 5 or 17,
   the emission rate expressed in ng/J heat
   input is determined using the oxygen or
   carbon-dioxide measurements and
   particulate matter measurements
   obtained under this section, the dry
   basis' Fc-factor and the dry basis
   emission rate calculation procedure
   contained in Method 19 (Appendix A).
     (7) Prior to the Administrator's
   issuance of a particulate matter
   reference method that does not
   experience sulfuric acid mist
   interference problems, particulate
   matter emissions may be sampled prior
   to a wet flue gas desulfurization system.
     (b) The following procedures and
   methods are used to determine
   compliance with the sulfur dioxide
   standards under § 60.43a.
     (1) Determine the percent of potential
    combustion concentration (percent PCC)
    emitted to the atmosphere as follows:

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   (i) FuelPretreatmvnt (% Rj)-
 Determine the percent rcdurlion
 achieved by any fuel prrtreatment using
 the procedures in Method 19 (Appendix
 A). Calculate the average percent
 reduction for fuel pretreatment on a
 quarterly basis using fuel analysis  data.
 The determination of percent R, to
 calculate the percent of potential
 combustion concentration emitted  to the
 atmosphere is optional. For purposes of
 determining compliance with any
 percent reduction requirements under
 § 60.43a, any reduction in potential SOa
 emissions resulting from the following
 processes may be credited:
   (A) Fuel pretreatment (physical coal
 cleaning, hydrodesulfurization of fuel
 oil, etc.),
   (B) Coal pulverizers, and
   (C) Bottom and flyash interactions.
   (ii) Sulfur Dioxide Control System (%
 Rg): Determine the percent sulfur
 dioxide reduction achieved by any
 sulfur dioxide control system using
 emission rates measured before and
 after the control system, following  the
 procedures in Method  19 {Appendix A);
 or, a combination of an "as fired" fuel
 monitor and emission rates measured
 after the control system, following the
 procedures in Method  19 (Appendix A).
 When the "as fired" fuel monitor is
 used, the percent reduction is calculated
 using the average emission rate from the
 sulfur dioxide control device and the
 average SO» input rate from the "as
 fired" fuel analysis for 30 successive
 boiler operating days.
   (iii) Overall percent reduction (% Ro):
 Determine the overall percent reduction
 using the results obtained in paragraphs
 (b)(l) (i) and (ii) of this section following
 the procedures in Method 19 (Appendix
 A). Results are calculated for each 30-
 day period using the quarterly average
 percent sulfur reduction determined for
 fuel pretreatment from the previous
 quarter and the sulfur dioxide reduction
 achieved by a sulfur dioxide control
 system for each  30-day period in the
 current quarter.
   (iv) Percent emitted (% PCC):
 Calculate the percent of potential
 combustion concentration emitted to the
 atmosphere using the following
 equation: Percent PCC = 100-Percent RO
   (2) Determine  the sulfur dioxide
 emission rates following the procedures
 in Method 19 (Appendix A].
  (c) The procedures and methods
 outlined in Method 19 (Appendix A) are
 used in conjunction with the 30-day
 nitrogen-oxides emission data collected
under § 60.47a to determine compliance
with the applicable nitrogen oxides
standord under § 60.44.
   (dj Electric, utility combined c\cle gas
 turbines are performance tested for
 particulate matter, sulfur dioxide, and
 nitrogen oxides using the procedures of
 Method 19 (Appendix A). The sulfur
 dioxide and nitrogen oxides emission
 rates from the gas turbine used in
 Method 19 (Appendix A) calculations
 are determined when the gas turbine is
 performance tested under subpart GG.
 The potential uncontrolled particulate
 matter emission rate from a gas turbine
 is defined as 17 ng/J (0.04 Ib/million Btu)
 heat input.

 § 60.49a Reporting requirements.
   (a) For sulfur dioxide, nitrogen oxides,
 and particulate matter emissions, the
 performance test data from the initial
 performance test and from the
 performance evaluation of the
 continuous monitors (including the
 transmissometer) are submitted to the
 Administrator.
   (b) For sulfur dioxide and nitrogen
 oxides the following information is
 reported to the Administrator for each
 24-hour period.
   (1) Calendar date.
   (2) The average sulfur dioxide and
 nitrogen oxide emission rates (ng/J  or
 Ib/million Btu) for each 30 successive
 boiler operating days, ending with the
 last 30-day period in the quarter;
 reasons for non-compliance  with the
 emission standards; and, description of
 corrective actions taken.
   (3) Percent reduction of the potential
 combustion concentration of sulfur
 dioxide for each 30 successive boiler
 operating days, ending with  the last 30-
 day period in the quarter; reasons for
 non-compliance with the standard; and,
 description of corrective actions taken.
   (4) Identification of the boiler
 operating days for which pollutant or
 dilutent data have not been obtained by
 an approved method for at least 18
 hours of operation of the facility;
 justification for not obtaining sufficient
 data; and description of corrective
 actions taken.
   (5) Identification of the times when
 emissions data have been excluded from
 the calculation of average emission
 rates because of startup, shutdown,
 malfunction (NOX only), emergency
 conditions (SO2 only), or other reasons.
 and justification for excluding data for
 reasons other than startup, shutdown,
 malfunction, or emergency conditions.
  (6) Identification of "F" factor used for
 calculations, method of determination,   •
 and type of fuel combusted.
  (7) Identification of times when hourly
averages have been  obtained based  on
manual sampling methods.
   (8) Identification of the times wn-n
 the pollutant concentration exwcucd
 full span of the continuous monitoring
 system.
   (9) Description of any modifications to
 the continuous monitoring system which
 could affect the ability of the continuous
 monitoring system to comply with
 Performance Specifications Z or 3.
   (c) If the minimum quantity of
 emission data as required by § 60.47a is
 not obtained for any 30 successive
 boiler operating days, the following
 information obtained under the
 requirements of | 60.46a(h) is reported
 to the Administrator for that 30-day
 period:
   (1) The number of hourly averages
 available for outlet emission rates (no)
 and inlet emission rates (n,) as
 applicable.
   (2) The standard deviation of hourly
 averages for outlet emission rates (sc)
 and inlet emission rates (si) as
 applicable.
   (3) The lower confidence limit  for the
 mean outlet emission rate (£„*) and the
 upper confidence limit for the mean inlet
 emission rate (Ei*) as applicable.
   (4) The applicable potential
 combustion concentration.
   (5) The ratio of the upper confidence
 limit for the mean outlet emission rate
 (£<,*) and the allowable emission rate
 (E,,d) as applicable.
   (d) If any standards under § 60 43a are
 exceeded during emergency conditions
 because of control system malfunction.
 the owner or operator of the affected
 facility shail submit a signed statement:
   (1) Indicating if emergency conditions
 existed and requirements under
 §  60.46a(d) were met during each period,
 and
   (2) Listing the following information:
   (i) Time periods the emergency
 condition existed:
   (ii) Electrical output and demand on
 the owner or operator's electric utility
 system and the affected facility:
   (iii) Amount of power purchased from
 interconnected neighboring utility
 companies during the emergency period:
   (iv) Percent reduction in emissions
 achieved;
   (v) Atmospheric emission rate  (ng/J)
 of the pollutant discharged: and
   (vi) Actions taken to correct control
 system malfunction.
   (e) If fuel pretreatment credit toward
 the sulfur dioxide emission  standard
 under § 60.43a is claimed, the owner or
 operator of the affected facility shall
 submit a signed statement:
'  (1) Indicating what percentage
 cleaning credit was taken for the
 calendar quarter, and whether the credit
 was determined in accordance with the

-------
provisions of § W)4t>d ar.U Vieu,;>c< !
(Appendix A), anil
  (2) Listing the quantity, heal cunu>r.:
and date each prutref
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Subpart O—Standards of Performance for
           Nitric Acid Plants
g 60.70   Applicability and designation of
    affected facility.

  (a)  The provisions of this subpart are
applicable to each nitric acid production
unit, which Is the affected facility.
  (b)  Any facility under paragraph (a)
of this section that commences construc-
tion  or  modification after August 17,
1971,  is  subject to the  requirements of
this subpart.
160.71   Definition*.
  As used In this subpart, all terms not
defined  herein shall have the meaning
liven them In the Act and in Subpart A
of this part.
   (a) "Nitric  add  production  unit"
means any facility producing weak nitric
acid by either  the pressure  or  atmos-
pheric pressure process.
   (b) "Weak  nitric acid" means  add
which is SO to 70 percent In strength.
be determined by dividing the reference
method test data averages by the moni-
toring data averages to obtain a ratio ex-
pressed In units of the applicable stand-
ard to units of the monitoring data, I.e.,
kg/metric ton per ppm (Ib/short ton per
ppm). The conversion factor shall be re-
established during any performance test
under 8 60.8 or any continuous monitor-
trig system performance evaluation under
|60.13(c).
  (c) The owner or operator shall record
the daily production  rate and hour* of
operation.
  (d)  [Reserved]
  (e) For the purpose of reports required
under f 60.7(c>, periods of excess emis-
sions that shall be reported are defined
as any  three-hour period during which
the  average nitrogen oxides emissions
(arithmetic average of three contiguous
one-hour periods) as measured by a con-
tinuous monitoring  system exceed the
standard under i 60.72(a).
(Sac. 114 of tha Ctean Air Act aa
(UUAC. 1U70-0).).
 | 60.72  Standard for nitrogen •oddea.
   (a)  On and after the date on which
 the performance test required to be con-
 ducted by { 60.8 is completed, no owner
 or operator subject to the provisions of
 this subpart shall cause to be discharged
 into the atmosphere from any  affected
 facility any gases which:
   (1)  Contain  nitrogen  oxides,   ex-
 pressed as NOi, in excess of 1.5 kg per
 metric ton of acid produced (3.0 Ib per
 ton), the production being expressed ai
 100 percent nitric add.
   (2)  Exhibit 10  percent  opacity,  or
 greater.
 § 60.73 Emission monitoring.
   (a) A continuous  monitoring system
 for the measurement of nitrogen oxides
 shall be installed, calibrated, maintained,
 and operated by the owner or operator.
 The pollutant gas used to prepare cali-
 bration gas mixtures under paragraph
 2.1. Performance Specification  2 and for
 calibration checks under I 60.13 (d) to
 this part, shall be nitrogen dioxide (NO.) .
 The span shall be set at 500 ppm of nitro-
 gen dioxide. Reference Method 7  shall
 be used for conducting monitoring sys-
 tem performance evaluations under I 60.-
      .
   (b) The owner or operator shall estab-
 lish a conversion factor for the purpose
 of converting monitoring data into units
 of  the  applicable standard  (kg/metric
 ton. Ib/short ton) . The conversion factor
 shall be established by measuring emis-
 sions  with  the  continuous monitoring
 system concurrent with measuring emis-
 sions with the applicable reference meth-
 od  tests. Using only that portion of the
 continuous  monitoring  emission data
 that represents  emission measurement*
 concurrent  with  the  reference  method
 test periods, the conversion factor shall
                                        References:

                                           60.2
                                           60.7
                                           60.8
                                           60.11
                                           60.13
                                           Reference  Method
                                           Specification  2
                                                           11-17

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ubc*rt H—Standard* of Nrfonnance for
         Sulfuric Acid Plants
 60.80  Applicability and designation of
   affected facility.
 (a)  The provisions of this subpart are
ppllcable to each sulfuric acid produc-
km unit, which is the affected facility.
 (b)  Any facility under paragraph (a)
I this section that commences construc-
lon or  modification after  August 17.
971,  to subject to the requirements of
his subpart.
tor shall be determined, as a minimum,
three times daily by measuring the con-
centration of sulfur dioxide entering the
converter using suitable  methods '(e.g.,
the  Reich test, National  Air Pollution
Control Administration Publication No.
Wft-AP-13) and calculating the appro-
priate conversion factor for each eight-
hour period as follows:
         CF=k [1.000-0.01«rJ
160.81  Definition..
  A3 used in this subpart, all terms not
leflned herein shall have the meaning
liven them in the Act and in Subpart A
at this part.
  (a) "Sulfuric  acid production  unit"
menns any facility producing sulfuric
acid by the contact process by burning
elemental sulfur, alkylation add, hydro-
ten  sulfide, organic sulfldes and mer-
Baptans, or acid sludge, but does not in-
;lucle facilities where conversion to sul-
furic acid is utilized primarily as a meana
>f preventing  emissions  to  the atmos-
>bere of sulfur dioxide or other sulfur
jompounds.
  (b) "Acid mist"  means sulfuric acid
nist, as measured by Method 8 of Ap-
>endix A to this part or an equivalent or
ilternative method.
 ) 60.82  Standard for «ulfur dioxide.
  («) On and after the date on which the
 performance test required  to be  con-
 ducted by i 60.8 is completed, no owner
 or operator subject to the provisions of
 this subpart shall cause to be discharged
 Into the atmosphere from any affected
 facility any gases which contain sulfur
 dioxide in excess of 2 kg per metric ton
 of acid produced (4 Ib per ton), the pro-
 duction  being  expressed  as 100 percent
 H.HO..
  CF = conversion factor (kg/metric ton per
       ppm, Ib/short ton per ppm).
    k =constant derived from material bal-
       ance. For determining CF In metric
       units, k=0.06B3. For determining CF
       In English units, k = 0.1306.
     T = percentage of sulfur dioxide by vol-
       ume entering the gas converter. Ap-
       propriate corrections must be mad*
       for air Injection plants subject to the
       Administrator's approval.
    a = percentage  of sulfur dioxide by vol-
       ume In the emissions to the atmos-
       phere  determined by the continuous
       monitoring  system  required under
       paragraph  (a) of this section.

    (c) The owner or operator shall re-
 cord all conversion factors and values un-
 der paragraph (b) of this section from
 which they  were computed  (i.e., CF, r,
 and s).
    (d)  [Reserved]
    (el For the purpose of reports under
  I  60.7(c),  periods  of  excess emissions
 shall be all  three-hour periods (or the
  arithmetic average  of three  consecutive
  one-hour periods)  during which the in-
  tegrated average sulfur dioxide emissions
  exceed the  applicable standards under
  I 60.82.

  (S*e. 114 of tb* Clean  Air Act  as amanrtad
  (49U.8.C. 18570-9).).
 § nO.84  Emission monitoring,
    (a)  A continuous monitoring  system
 for the measurement  of sulfur dioxide
 shall be installed, calibrated, maintained.
 and operated by the owner or operator.
 The pollutant gas used to prepare cali-
 bration gas  mixtures  under paragraph
 2.1, Performance Specification  2 and for
 calibration   checks  under  § 60.13(d),
 shall be sulfur dioxide (SO.). Referenr-
 Method 8 shall be used for conducting
 monitoring system performance  evalua-
 tions under  S 60.13 (c)  except  that only
 the sulfur dioxide portion of the Method
 8 results shall be used. The span shall be
 set at 1000 ppm of sulfur dioxide.
    (b) The owner or operator shall estab-
 lish a conversion factor for the purpose
 of converting monitoring data into units
 of the applicable standard (kg/metric
  ton, Ib/short ton). The conversion f«c-
                                                            11-18
                                         References:

                                            60.2
                                            60.7
                                            60.8
                                            60.11
                                            60.13
                                            Reference  Method 8
                                            Specification 2

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 Subpart J—@temterrfs ef torformcnea 3ar
           Pvtroteum Refineries
 § 60.100  Applicability and designation  of
     affected facility.
   (a)  The  provisions of this subpart
 are applicable to the following affect-
 ed  facilities  in petroleum refineries:
 fluid  catalytic cracking unit catalyst
 regenerators, fuel gas combustion de-
 vices, and all  Claus sulfur recovery
 plants except Claus plants of 20  long
 tons per day (LTD) or  less associated
 with a small petroleum refinery.  The
 Claus sulfur  recovery plant  need not
 be  physically   located  within   the
 boundaries of a petroleum refinery to
 be an affected facility, provided it  pro-
 cesses gases produced within a petro-
 leum refinery.
   (b) Any fluid catalytic cracking unit
 catalyst regenerator of  fuel  gas com-
 bustion device under paragraph (a) of
 this  section  which commences  con-
 struction or  modification  after June
 11, 1973,  or any Claus sulfur recovery
 plant  under paragraph (a1  of this  sec-
 tion which  commences construction or
 modification after October 4  1976, is
 subject to  the  requirements  of  this
 Dart.
 160.101   Definition!.
   As used In this subpart, all terms not
 defined herein shall  have the meaning
 given them in the Act and in Subpart A.
   (a)  "Petroleum refinery" means any
 facility engaged  In producing gasoline,
 kerosene, distillate fuel oils, residual fuel
 oils,  lubricants,  or  other   products
 through  distillation  of  petroleum  or
 through redistillation, cracking  or  re-
 forming   of    unfinished    petroleum
 derivatives.
   (b) "Petroleum" means the crude oil
 removed from the earth and the oils de-
 rived from tar sands, shale, and coal.
   (c) "Process gas" means any gas gen-
 erated by  a petroleum refinery process
 unit, except fuel gas  and process upset
 gas as defined in this  section.
   (d) "Fuel gas" means any  gas which
 Is generated  by a petroleum refinery
 process unit and which is combusted, in-
 cluding any gaseous mixture of natural
 gas and fuel gas which is combusted.
   }
to the  flare as a reva;; of relief -,al1 <-•
Jcikage,  is  exempt fiom  Pus  pa.^.-
   (2) Discharge or cause the discharge
 of any gases into the atmosphere from
 any Claus  sulfur recovery plant con-
 taining in excess of:
   (i) 0.025 percent by volume of sulfur
 dioxide  at  zero  percent  oxygen on a
 dry basis if emissions are controlled by
 an oxidation control system,  or a  re-
 duction  control system followed by  in-
 cineration,  or
   (ii)  0.030 percent by volume  of  re-
 duced sulfur  compounds and  0.0010
 percent  by  volume of hydrogen sulfide
 calculated  as  sulfur dioxide  at zero
 percent  oxygen on a dry basis if emis-
 sions  are controlled  by  a  reduction
 control  system not followed by incin-
 eration.
   (b) [Reserved]
 * 60.105  EmiMion monitoring.
   (a)  Continuous  monitoring  systems
 shall be installed, calibrated, maintained.
 and operated by the owner or operator as
 follows:
   (1)  A continuous monitoring system
 for the measurement of the opacity of
 emissions discharged into the atmosphere
 from the fluid catalytic cracking unit cat-
 alyst regenerator. The continuous moni-
 toring  system shall be spanned at 60. 70,
 or 80 percent opacity.
  (2) An instrument  for continuously
 monitoring  and recording  the  concen-
 tration of carbon monoxide hi gases
 discharged  into the atmosphere from
 fluid catalytic cracking unit catalyst
 regenerators.  The  span of this  con-
 tinuous  monitoring  system shall  be
 1,000 ppm.
   (3)  A continuous monitoring system
 for the measurement of sulfur dioxide in
 the gases discharged into the atmosphere
 from the combustion of fuel gases (ex-
 cept where a continuous monitoring sys-
 tem for  the measurement  of hydrogen
 sulfide is installed under paragraph (a)
 (4) of this  section).  The pollutant gas
 used to prepare calibration gas  mixtures
 under  paragraph 2.1, Performance Speci-
 fication 2 and for calibration checks un-
 der  »60.13(d>,  shall  be sulfur dioxide
 
-------
 the use of an oxidation control system
 or a reduction control system followed
 by incineration. The span of this con-
 tinuous  monitoring system  shall  be
 sent at 500 ppm.
   (6) An instrument(s) for continuous-
 ly monitoring and  recording the con-
 centration of H2S and reduced sulfur
 compounds  in  the  rases  discharged
 into the atmosphere from any Claus
 sulfur  recovery plant if compliance
 with §60.104(a)(2) Is achieved through
 the use of a reduction control  system
 not  followed   by  incineration.  The
 span(s)  of this  continuous monitoring
 system(s) shall  be set at 20 ppm for
 monitoring and recording the concen-
 tration of H2S and 600 ppm for moni-
 toring and recording the concentration
 of reduced sulfur compounds.
   (c)  The average  coke  burn-off  rate
 (thousands of kllogram/hr) and hours of
 operation for any fluid catalytic crack-
 Ing unit catalyst regenerator subject to
 160.102  or 160.103  shall be  recorded
 daily.
   (d) For any  fluid catalytic cracking
 unit catalyst regenerator which is subject
 to | 60.102 and which utilizes an inciner-
 ator-waste heat boiler to combust  the
 exhaust gases from  the catalyst regen-
 erator,  the owner or operator shall re-
 cord  dally the  rate of combustion of
 liquid or solid  fossil fuels (liters/hr or
 kllograms/hr) and the hours of opera-
 tion during which liquid  or solid fossil
 fuels are combusted In the incinerator-
 waste heat boiler.
   (e) For the purpose of  reports under
 S 60.7(c), periods of excess emissions that
 shall be reported are defined as follows:
   (1) Opacity
           All one-  hour periods which
 contain  two or more «lx-mlnut« periods
 during  which the average  opacity  as
 measured by the continuous monitoring
 system exceeds 30 percent.
  (2)  Carbon monoxide. All hourly pe-
 riods during which the average carbon
 monoxide concentration in the gases
 discharged into  the atmosphere from
 any fluid catalytic cracking unit cata-
 lyst regenerator subject to §60.103 ex-
 ceeds 0.050 percent by volume.
  (3)  Sulfur  dioxide,  (i)  Any  three-
 hour period during which the average
 concentration of H2S in any fuel gas
 combusted in any fuel gas combustion
 device subject to §60.104(a)U) exceeds
 230 mg/dscm (0.10 gr/dscf), if compli-
 ance is achieved  by removing HaS from
 the fuel gas before it, is burned; or any
 three-hour period during whirh  the
 average  concentration of SO2  in  the
 gases discharged into the atmosphere
 from  any fuel gas combustion device
 subject  to §60.104(a)(l) exceeds  the
 level specified in §60.104(a)(l), if com-
 pliance  is achieved  by removing SO2
 from the combusted fuel gases.
  
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        P-—Standards of rVformcnce for
        Primary Copper Smelters
i 60.160  Applicability  MM! designation
    of affected facility.
    The provision* of this rabpart we
ftpUcable to the following affected facili-
ties in primary copper smelters: dryer,
roaster, melting furnace, and  copper
converter.
   (b) Any facility under paragraph (a)
of this section that commences construc-
tion or modification  after October 16,
1974,  to subject to the requiremente of
thlsBubpart

 § 60.161  Definition*.
   As used in this subpart, all terms not
 denned herein shall  have the meaning
 given  them in the Act and  in  Subpart
 A of this part
   (a) "Primary copper smelter" means
any installation  or  any  intermediate
process engaged  in the  production .of
copper from copper sulfide ore concen-
trates through the use of pyrometallurgi-
cal techniques.
   (b) "Dryer" means  any  facility  in
which a copper sulflde ore concentrate
charge is heated in the presence of air
to eliminate a portion of the moisture
from  the charge, provided less than 5
percent of the sulfur contained in  the
charge is eliminated in the facility.
   (c) "Roaster"  means  any facility  in
which a copper sulfide ore concentrate
charge is heated in the presence of air
to eliminate a significant portion (5 per-
cent  or more) of the sulfur contained
in the charge.
   (d)  "Calcine" means the solid mate-
rials produced by a roaster.
   (e) "Smelting"  means  processing
techniques for the  melting of a copper
sulfide ore concentrate or calcine charge
leading to the formation of separate lay-
ers of molten slag, molten copper, and/or
copper matte.
   (f) "Smelting  furnace" means  any
vessel in  which the smelting of copper
sulflde  ore  concentrates  or  calcines is
performed and in which the heat neces-
sary for smelting is provided  by an elec-
tric current, rapid oxidation of a portion
of the sulfur contained in the concen-
trate as it passes through an oxidizing
atmosphere, or the combustion of a fossil
fuel.
   (g) "Copper converter" means  any
vessel to which copper matte is charged
and oxidized to copper.
   (h) "Sulfuric acid  plant" means any
facility producing sulfuric acid by  the
contact process.
   (i)  "Fossil  fuel"  means natural gas,
petroleum, coal, and  any form of solid,
liquid, or gaseous fuel derived from such
materials for the  purpose of  creating
useful heat.
   (j)  "Reverberatory smelting furnace"
means any vessel in which the smelting
of copper sulflde ore concentrates or cal-
cines is performed and in which the heat
necessary for smelting is  provided pri-
marily by combustion of a fossil fuel.
   (k) "Total smelter charge" means the
 weight (dry basis) of all copper sulflde
 ore concentrates processed at a primary
 copper smelter,  plus  the weight of all
 other solid materials introduced into the
 roasters and smelting furnaces at a pri-
 mary copper smelter, except calcine, over
 & one-month period.
   (1)  "High level of volatile impurities-
 means a total smelter charge containing
 more than 0.2 weight percent arsenic, 0.1
 weight percent antimony, 4,5 weight per-
 cent lead or 5.5 weight percent zinc, on
 a dry basis.
 | 60.163  Standard for sulfur dioxide.
   (a) On and after the date on which
 the performance test required to be con-
 ducted by { 60.8 Is completed, no owner
 or operator subject to  the  provisions
 of this subpart shall cause  to  be  dis-
 charged into the atmosphere from  any
 roaster, smelting furnace, or copper con-
 verter  any gases which contain sulfur
 dioxide in excess of 0.065 percent by
 volume, except  as provided  in para-
 graphs (b) and (c) of this section.
   (b) Reverberatory smelting furnaces
 shall be exempted from paragraph (a)
 of-this section during periods when the
 total smelter charge at the primary cop-
 per smelter contains a high level of
 volatile impurities.
   (c)  A change In the fuel combusted
 In a reverberatory smelting furnace shall
 not be considered a modification under
 this part.

 i 60.164  Standard  for visible emission*.
   (a) On  and after the date on which
 the performance test required to  be con-
 ducted by f 60.8  is completed, no owner
 or operator subject  to the provisions of
 this subpart shall cause to be discharged
 into the atmosphere from any dryer  any
 visible  emissions  which  exhibit  greater
 than 20 percent opacity.
   (b)  On  and after the date on which
 the performance test required to be con-
 ducted by  i 60.8  is completed, no owner
 or operator subject  to the provisions of
 this subpart shall cause to be discharged
 into the atmosphere from any affected
 facility that uses a sulfuric acid plant to
 comply with the  standard  set forth In
 I 60.163, any visible emissions which ex-
 hibit greater than 20 percent opacity.

 B 60.165   Monitoring of operations.
   (a) The owner or operator of any pri-
 mary copper smelter subject to i 60.163
 (b) shall keep a monthly record of  the
 total smelter charge and  the weight per-
 cent  (dry  basis)   of arsenic, antimony,
 lead and zinc contained in  this charge.
 The analytical methods  and procedures
 employed to determine the weight of  the
 total  smelter charge  and  the  weight
 percent of arsenic, antimony, lead and
 zinc shall be approved by the Adminis-
 trator and shall  be  accurate  to  within
 plus or minus  ten percent.
   (b) The owner or operator of any pri-
mary copper smelter subject to the pro-
visions of this subpart shall install and
operate:           n_21
   (1) A continuous monitoring  system
to  monitor and  record the opacity  of
gases discharged  into  the atmosphere
from any dryer. The span of this system
shall be set at 80 to 100 percent opacity.
   (2) A continuous monitoring  system
to  monitor and  record sulfur dioxide
emissions  discharged "Ir.to the atmos-
phere from any roaster, smelting furnace
or  copper  converter subject to { 60.163
(a). The span of this  system shall  be
set at a sulfur dioxide concentration of
0.20 percent by volume.
   (1)  The continuous monitoring system
performance evaluation  required under
i 60.13(c) shall be completed prior to the
initial performance test required under
i 60.8. During the performance evalua-
tion, the span of the continuous moni-
toring  system may be  set at a sulfur
dioxide  concentration of 0.15 percent  by
volume  if necessary to maintain the sys-
tem output between 20 percent and  BO
percent of full scale. Upon completion
of  the  continuous monitoring system
performance evaluation, the span of the
continuous  monitoring  system shall  be
set at a sulfur dioxide concentration of
0.20 percent by volume.
   (11) For the purpose of the continuous
monitoring system performance evalua-
tion required under i 60.13(c) the ref-
erence  method referred to  under the
Field Test for Accuracy (Relative)  in
Performance Specification 2 of Appendix
B to this part shall be Reference Method
6. For the performance evaluation, eacn
concentration  measurement shall be  of
one hour duration. The pollutant gas
used to  prepare the calibration gas mix-
tures required under paragraph 2.1, Per-
formance Specification 2 of Appendix B,
and for calibration checks  under § 60.13
(d), shall be sulfur dioxide.
  (c) Six-hour average sulfur dioxide
concentrations  shall be  calculated and
recorded daily for the four consecutive 6-
hour periods of each operating day. Each
six-hour average shall be determined  as
the arithmetic mean of the appropriate
six contiguous one-hour average sulfur
dioxide  concentrations provided by the
continuous monitoring system installed
under paragraph  (b)  of this section.
  (d) For the purpose of reports required
under § 60.7(c), periods of excess emis-
sions that shall be reported are defined
as follows:
  (1) Opacity. Any six-minute  period
during  which the  average opacity,  as
measured by the continuous monitoring
system installed under paragraph (b)  of
this section, exceeds the standard under
<60.164(a).
   (2) Sulfur dioxide. All six-hour periods
during  which  the average  emissions  of
sulfur dioxide, as measured by the con-
tinuous  monitoring  system  installed
under  § 60.163, exceed the level of the
standard.  The Administrator  will not
consider emissions in  excess of the level
of the standard for less  than or equal  to
1.5 percent of the six-hour periods dur-
ing the quarter as indicative of a poten-
tial violation of f 60.11  provided the
affected facility, including air pollution
control  equipment, is maintained  and
operated In a  manner  consistent with

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good, air pollution control practice for
minimizing emissions during these pe-
riods. Emissions in excess of the level of
the standard during periods of startup,
shutdown, and malfunction are not to be
included within  the  1.5 percent.
(Sees. Ill, 114, and 301 (a) of the  Clean Air
Act as amended (42 U.8.C. 1857c-6. 1857C-0,
lB67g(a)).)
                                                                             References:

                                                                                60.2
                                                                                60.7
                                                                                60.8
                                                                                60.11
                                                                                60.13
                                                                                Reference  Methods  6,
                                                                                Specifications  1,  2
                                                        11-22

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 Subpart Q—Standards of Performance for
         Primary Zinc SrrssJt ers
| 60.170  Applicability and  designation
    •t affected facility.
   (a) The provisions of this subpart arc
 applicable to the following affected facul-
 ties In primary ztne smelters: roaster and
 sintering machine.
 .  (b) Any facility under paragraph (a)
 of this section that commences construc-
 tion  or modification after October  16,
 1974, Is subject to the requirement* of
 this subpart.
 160.171  Definitions.
  As used in this subpart, all terms not
 defined herein shall  have the meaning
 given them  in the Act and In Subpart A
 of this part.
  (a) "Primary zinc smelter" means any
 installation  engaged in the production, or
 any Intermediate process in the produc-
 tion, of zinc or zinc oxide from zinc sul-
 flde ore concentrates through the use
 of pyrometallurgical techniques.
  (b)  "Roaster"  means any facility in
 which a  zinc sulflde  ore  concentrate
 charge is heated in the presence of air
 to eliminate a significant portion (more
 than 10 percent) of the sulfur contained
 in the charge.
  (c) "Sintering machine" means any
 furnace in which calcines are heated in
 the  presence of air to agglomerate the
 calcines into a hard porous mass called
 "sinter."
  (d) "Sulfuric acid  plant"  means any
 facility  producing sulfuric acid by the
 contact process.
| 60.173  Standard for folfar dioxide.
  (a) On and after the date on which
the performance test required to be con-
ducted by i 60.8 is completed, no owner
or operator subject to the provisions of
this subpart shall cause to be discharged
into the atmosphere from  any roaster
any gases which contain sulfur dioxide in
excess of 0.065 percent by volume.
  (b)  Any  sintering  machine  which
eliminates more than 10 percent of  the
sulfur Initially contained in the  zinc
sulflde ore concentrates will be consid-
ered as a roaster under paragraph  (a)
of this section.

§ 60.174  Standard for visible emissions.
  (a) On and after the date on which the
performance test  required  to be con-
ducted by § 60.8 is completed, no owner
or operator  subject to the provisions of
this subpart shall cause to be discharged
into the atmosphere from any sintering
machine any visible emissions which  ex-
hibit greater than 20 percent opacity.
  (b)  On and after the date on which
the performance test required to be con-
ducted by I 60.8 is completed, no owner
or operator subject to the provisions of
this subpart shall cause to be discharged
into the atmosphere  from any affected
facility that uses n sulfuric »eid plant to
comply with the standard set forth  In
I 60.173, any visible emissions which ex-
hibit greater than 20 percent opacity.

§ 60.175  Monitoring of operations.
   (a) The owner or operator of any pri-
mary zinc smelter subject to the provi-
sions of this  subpart shall install  and
operate :
   (1) A continuous monitoring system to
monitor and record the opacity of gases
discharged into the atmosphere from any
sintering machine. The span of this sys-
tem shall be  set at  80  to  100 percent
opacity.
   (2) A continuous monitoring system to
monitor and record sulfur dioxide emis-
sions discharged into the  atmosphere
from any roaster subject to § 60.173. The
span of this  system  shall be set at a
sulfur dioxide concentration of 0.20  per-
cent by volume.
   (i) The continuous monitoring system
performance evaluation  required under
{ 60 13(c)  shall be completed prior to the
initial performance test  required under
{ 60.8. During the performance evalua-
tion, the span of the continuous monitor-
ing system may be set at a sulfur dioxide
concentration of 0.15  percent by volume
if necessary to maintain the system  out-
put between 20 percent and 90 percent
of full scale. Upon completion of the con-
tinuous monitoring system performance
evaluation, the  span  of  the continuous
monitoring system shall be set at a sulfur
dioxide concentration of  0.20 percent by
volume.
   (11) For the purpose of the continuous
monitoring system performance evalua-
tion required  under { 60.13(e), the  ref-
erence  method  referred to under  the
Field Test for Accuracy (Relative)  In
Performance Specification 2 of Appendix
B to this part shall be Reference Method
6.  For the performance evaluation, each
concentration  measurement shall be of
one  hour  duration.  The  pollutant  gas
used to prepare the calibration gas mix-
tures required  under paragraph 2.1, Per-
formance Specification 2  of Appendix B,
and for calibration checks under  I 60.13
(d) , shall be sulfur dioxide.
   (b) Two-hour average sulfur dioxide
concentrations shall be  calculated  and
recorded dally for the twelve consecutive
2-hour  periods  of each  operating  day.
Each two-hour  average shall be  deter-
mined as the arithmetic mean of the ap-
propriate two contiguous  one-hour aver-
age sulfur dioxide  concentrations pro-
vided by the continuous monitoring  sys-
tem installed  under paragraph   (a) of
this section.
  (c) For the purpose of reports required
under § 60.7 (c>, periods of excess emis-
sions that shall be reported are defined
as follows:
  (1) Opacity.  Any six -minute  period
during  which  the average  opacity, as
measured  by the continuous monitoring
system installed under paragraph  (a) of
this section, exceeds the standard under
i d0.174ia).
                                                         11-23
   (2) Sulfur dioxide. Any two-hour pe-
 riod, as described in paragraph  (b)  of
 this section, during which the average
 emissions of sulfur dioxide, as measured
 by the continuous monitoring system in-
 stalled under paragraph  (a) of this sec-
 tion, exceeds the standard under {  60.173.
 (tt«c. 114 af ths CUan Air Act a*
 (O 0 .8 C. 1M7C-9).).
References:

  60.2
  60.7
  60.8
  60.11
  60.13
  Reference  Methods  6,  9
  Specifications  1,  2

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Subpart R—Standards of Performsnc* tor
         Primary Lead Smelters
{60.180  Applicability  mml  d«u«malion
     •f affected facility.
    (a) The provisions of this nibpart ire
  applicable to  the  following  affected
  facilities in primary lead smelters: sin-
  tering machine, sintering machine dis-
  charge  end, blast furnace, dross rever-
  beratory furnace, electric smelting fur-
  nace, and converter.
    (b) Any facility under paragraph (a)
  of this  section  that commences con-
  struction or modification  after October
  IB. 1974, is subject to the requirements
  of this subpart.
 i 60.181   Definition*.
   As used In this subpart, all terms not
 defined herein shall have the meaning
 given them in the Act and in Subpart A
 of this part.
   (a) "Primary lead smelter" means any
 installation or any Intermediate process
 engaged in the production of lead from
 lead  sulflde ore concentrates  through
 the use of pyrometallurgical techniques.
   (b) "Sintering machine"  means any
 furnace In which a lead sulflde ore con-
 centrate charge is heated In the presence
 of air to  eliminate sulfur contained  in
 the  charge and  to agglomerate the
 charge into a hard porous mass called
 "sinter."
   (c) "Sinter bed" means the lead sulflde
 ore concentrate charge within a slnter-
' ing machine.
   (d) "Sintering machine discharge end"
 means any apparatus which receives sin-
 ter as it Is discharged from the conveying
 grate of a sintering machine.
   (e) "Blast furnace" means any reduc-
 tion furnace to  which sinter Is charged
 and  which forms  separate layers  of
 molten slag and lead bullion.
   (f)  "Dross   reverberatory  furnace"
 means any furnace used for the removal
 or  refining  of  Impurities   from  lead
 bullion.
   (g) "Electric smelting furnace" means
 any furnace In which the heat necessary
 for smelting of  the lead sulflde ore con-
 centrate charge Is  generated by passing
 an electric current through a portion of
  the molten mass In the furnace.
   (h) "Converter" means any vessel to
 which lead concentrate or bullion is
  charged and refined.
   (i) "Sulfuric acid plant"  means any
 facility producing  sulfurlc acid by the
  contact process.
  § 60.183   Standard for tulfur dioxide.
    (a)  On  and after the date on -which
  the performance test required to be con-
  ducted by I 60.8 Is completed, no owner
  or operator subject to the provisions of
  this subpart shall cause to be discharged
  Into the atmosphere from aay sintering
  raachine,  electric smelting furnace, or
converter gases which contain sulfur di-
oxide In  excess  of  0.065  percent by
volume.
| 60.184  Standard for vUible emission*.
  (a) On and  after the date on which
the performance test required to be con-
ducted by ! 60.8 is completed, no owner
or operator subject to the provisions of
this subpart shall cause to be discharged
into the atmosphere from any blast fur-
nace, dross  reverberatory  furnace, or
sintering  machine  discharge end any
risible emissions  which exhibit greater
than 20 percent opacity.
  (b) On and  after the date on which
the performance test required to be con-
ducted by { 60.8 Is completed, no owner
or operator subject to the provisions of
this subpart shall cause to be discharged
Into the atmosphere  from any affected
facility  that uses a sulfurlc acid plant to
comply  with the standard set forth in
f 60.183, any visible  emissions  which
exhibit  greater than 20 percent opacity.
| 60.185  Monitoring of operation*.
  (a) The owner or operator  of any
primary lead smelter subject to the pro-
visions of this subpart shall install and
operate:
  (1) A continuous monitoring system
to  monitor and  record  the opacity of
gases discharged Into  the atmosphere
from any blast  furnace,  dross  rever-
beratory furnace, or  sintering machine
discharge end.  The span of this system
shall be set at 80 to 100 percent opacity.
  (2) A continuous monitoring system
to  monitor and  record sulfur  dioxide
emissions discharged  into  the  atmos-
phere  from any  sintering  machine,
electric  furnace or  converter subject to
I 60.183. The span  of this system shall
be set at a sulfur dioxide concentration
of 0.20 percent by volume.
  (1) The continuous monitoring system
performance evaluation required under
t 60.13(c) shall be completed prior to the
Initial performance test required under
i 60.8. During the performance  evalua-
tion, the span of the continuous moni-
toring system  may be set  at a sulfur
dioxide  concentration of 0.15 percent by
volume  if necessary to maintain the sys-
tem output between 20 percent and 90
percent of full scale. Upon  completion
of  the  continuous monitoring  system
performance evaluation, the span of the
continuous monitoring  system shall be
set at a sulfur  dioxide concentration of
0.20 percent by volume.
  (li) For the purpose of the continuous
monitoring system performance evalua-
tion required under i 60.13(c), the refer-
ence method referred to under the Field
Test  for  Accuracy (Relative)  in  Per-
formance Specification 2 of Appendix B
to this  part shall be  Reference Method
6. For the performance evaluation, each
concentration measurement shall  be of
one hour duration. The pollutant gases
used to  prepare the calibration gas mix-
tures required under paragraph 2.1, Per-
formance Specification 2 of Appendix B,
and for calibration checks under f 60.13
(d), shall be sulfur dioxide.
   (b)  Two-hour average sulfur dioxide
 concentrations shall  be calculated and
 recorded daily for the twelve consecu-
 tive two-hour periods of each operating
 day. Each two-hour average shall be de-
 termined as the arithmetic mean of the
 appropriate  two  contiguous  one-hour
 average  sulfur  dioxide concentrations
 provided by  the continuous monitoring
 system installed under paragraph (a)  of
 this section.
   (c>  For  the  purpose  of  reports re-
 quired under § 60.7(c), periods of excess
 emissions that shall be reported are de-
 fined as follows:
   (1)  Opacity.  Any  six-minute  period
 during which the  average  opacity.  &s
 measured by the continuous monitoring
 system installed  under paragraph (a)  of
 this section, exceeds the standard under
 S6Q.184(a).
  (2) Sulfur dioxide.  Any two-hour pe-
 riod, as described in  paragraph (b)  of
 this section,  during which the average
 emissions of sulfur dioxide, as  measured
 by the continuous monitoring system in-
stalled under paragraph (a)  of this sec-
 tion, exceeds the  standard under { 60.183.

 (B«c. 114 of UM Ctota Air Act a* "~—"fHI
(43 U.S.C. 1*670-0).).
                                                                                 References:
   60
   60
   60
   60
   60
.2
.7
,8
.11
.13
   Reference  Methods
   Specifications  1,
                   6.
                   2
                                                           11-24

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Subpart 2—Standards of Performance for
     Ferroalloy Production Facilities
§60.260  Applicability and deugnxtioa
    of effected facility.
   <*) The provUions of this «ubpwt are
 ajrplicable to the following affected fa-
 cilities: electric submerged ETC furnaces
 which produce silicon metal, ferroeilicon,
 calcium silicon, Silicomanganese zircon-
 ium,    ferrochrome   ailicon,   allvery
 iron,  high-carbon ferrochrome, charge
 chrome, standard ferromanganese, slli-
 eomanganese, ferromanganeae silicon, or
 calcium  carbide;  and  dust-handling
 equipment.
   (b) Any facility under paragraph (a)
 of this section that commences construc-
 tion or modification  after October  31,
 1874, Is subject to the requirements of
 this cubpvt
 8 60.261  Definition*.

  As used in this subpart, all terms not
 defined herein shall have the  meaning
 liven them in the Act and in Subpart A
 of this part.
     "Tapping" means the removal of
 slag or product from  the electric  sub-
 merged arc furnace under normal op-
 erating  conditions  such as  removal of
 metal under normal pressure and move-
 ment by gravity down the spout into the
 ladle.
    if) "Tapping period" means the time
 duration from initiation of the  process
 of opening the tap hole until plugging of
 the tap hole is complete.
    (g) "Furnace cycle" means  the  time
 period from  completion of a furnace
 product tap to the completion of the next
 consecutive product tap.
    (h)  "Tapping  station"  means  that
 general area  where molten product or
 slag is removed  from the  electric sub-
 merged arc furnace.
    (1)  "Blowing tap" means any tap in
 which an evolution of  gas forces  or pro-
 jects jets of flame or metal sparks be-
 yond the ladle, runner, or collection hood.
    (J) "Furnace power input" means the
 resistive electrical power consumption of
an  electric  submerged  arc  furnace as
measured in kilowatts.
  (k) "Dust-handling equipment" means
any  equipment used to  handle partlcu-
late matter collected by the air pollution
control  device  (and located at or near
such  device) serving any electric sub-
merged  arc furnace subject to this sub-
part.
  (1)  "Control device"  means the air
pollution control equipment used to re-
move particulate matter generated by an
electric  submerged arc furnace from an
effluent gas stream.
  (m)  "Capture system" means  the
equipment (including hoods, ducts, fans,
dampers, etc.) used to capture or trans-
port particulate matter generated by an
affected electric submerged arc furnace
to the control device.
  (n) "Standard ferromanganese" means
that alloy as denned by A.S.T.M. desig-
nation A99-66.
  (o)  "Silicomanganese" means  that
alloy  as defined by AJS.T.M. designation
A483-66.
  
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iperator to demonstrate the accuracy of
;he monitoring device relative to Meth-
xis 1 and 2 of Appendix A to this part.
  (d)  When performance tests are con-
ducted under the provisions of § 60.8 of
this  part  to demonstrate  compliance
with the standards under  55 60.262 (a)
(4) and  (5), the volumetric flow  rate
through each separately ducted hood of
the capture system must be determined
using  the  monitoring device  required
under paragraph (c) of this section. The
volumetric flow rates must be determined
for furnace power input levels at 50 and
100 percent of the nominal rated capacity
of the electric submerged arc furnace.
At all times the electric submerged arc
furnace is operated, the  owner or oper-
ator shall maintain the volumetric flow
rat* at or above the appropriate levels
for that  furnace power  Input  level de-
termined  during the  most  recent  per-
formance test. If emissions due to tap-
ping are captured and ducted separately
from emissions of the electric submerged
arc furnace, during each tapping period
the owner or operator  shall maintain
the exhaust flow rates through the cap-
ture system over the tapping station at
or  above the levels  established during
the most recent performance test. Oper-
ation at lower flow rates may be consid-
ered by the Administrator to  be unac-
ceptable  operation and  maintenance of
the affected facility. The owner or oper-
ator may request that these flow rates be
reestablished by conducting new  per-
formance tests under § 60.8 of this part.
   (e) The owner or operator may as an
alternative to paragraph (c) of this sec-
tion determine the volumetric flow rate
through  each fan of the capture system
from the fan power consumption,  pres-
sure drop across the fan and the fan per-
formance curve. Only data specific to the
operation  of the affected  electric sub-
merged arc furnace are acceptable for
demonstration of compliance with the
 requirements of this paragraph.  The
 owner or operator shall maintain on file
 a  permanent record of the  fan  per-
 formance curve (prepared for a specific
 temperature) and shall:
   (1)  Install, calibrate, maintain, and
 operate a device to continuously measure
 and record the power consumption of the
 fan motor (measured In kilowatts), and
   (2)  Install, calibrate, maintain, and
 operate  a device to  continuously meas-
 ure and record the pressure drop across
 the fan. The fan power consumption and
 pressure  drop  measurements  must be
 synchronized to allow real time compar-
 isons  of  the data. The monitoring de-
 vices must have an accuracy of ±5 per-
 cent over their normal operating ranges.
   (f)  The volumetric flow rate throug.
 each fan of the capture system must be
 determined  from the  fan power  con-
 sumption, fan  pressure drop, and fan
 performance curve specified under para-
 graph (e) of this section, during any per-
 formance  test required  under  f 60.8
 to demonstrate compliance  with  the
 standards under  5560.262(a)   (4) and
  (8).  The owner or operator shall deter-
 mine the volumetric flow rate at a repre-
sentative temperature for furnace power
input levels of 50 and 100 percent of the
nominal  rated capacity of the electric
submerged arc furnace. At all times the
electric submerged  arc  furnace is  op-
erated, the owner or operator shall main-
tain the fan power consumption and fan
pressure drop at levels such that the vol-
umetric flow rate is at or above the levels
established during the most recent per-
formance test for that furnace power In-
put level. If emissions due to tapping are
captured  and ducted  separately from
emissions of the electric  submerged arc
furnace,  during each tapping  period the
owner or operator shall maintain the fan
power  consumption and fan  pressure
drop at levels such that  the volumetric
flow rate is at or above the levels estab-
lished  during the most recent perform-
ance test. Operation at lower flow rates
may be considered by the Administrator
to be unacceptable operation and main-
tenance of the affected facility. The own-
er or operator may request that these
flow rates be reestablished by conducting
new performance tests  under I 60.8. The
Administrator may  require the owner or
operator to verify the  fan performance
curve by monitoring necessary fan oper-
ating parameters and  determining the
gas volume moved relative to Methods 1
and 2 of Appendix A to this part.
   (g)  All monitoring  devices  required
under  paragraphs  (c)  and  (e)  of  this
section are to be checked for calibration
annually in accordance with  the proce-
dures under §60.13(b>.
 (8*e. 114 of th» CUtn Air Act
 (41 UAC. lU7c-*).).
                                       References:

                                         60.2
                                         60.7
                                         60.8
                                         60.11
                                         60.13
                                                         11-26

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 Subpart M—Standards sf Pwrforntene®
  for Steel Hants: Etectric Are Fumses*
160.270   Applicability
    of affected facility.
  ia) It-.e provtekHu of thte
applicable to the following tflwtwS fa-
cilities in steel plants: electric arc fur-
sw-.es and dust-handling equipment.
   Any facility under x»ra*rapr, «*«">
of this section that commences construe -
tSon or anxUncaiiosi  after Ocf/*?r 21.
It74, Ss subject  «o the njquinsmraius of
160.271  Dcfiulslons,
  As used in this subpart, all terms not
defined herein shall nave the meaning
given them in the Act and to Subpart A
of this part.
   (a) "Electric   arc  furnace"
means any furnace that produces, roe!
steel  and heats the charge materials
with electric arcs from carbon electrodes.
Furnaces from which the molten steel to
cast into the shape of finished products,
such as in a foundry, are not affected fa-
cilities included within the scope of this
definition. Furnaces which, as the pri-
mary source of iron, continuously feed
prereduced  ore pellets  &ie  not affected
faculties within the   scope  of   this
definition.
   (b) "Dust-handling equipment" means
any equipment used to  handle partteu-
late matter collected by the control de-
vice and located at or near the control
device for an EAF subject  to this sub-
part.
   (c)  "Control device"  means the air
pollution control equipment used to re-
move partieulate matter generated  by
an EAF(s) from the effluent gas stream.
   (d)   "Capture  system"  means  the
equipment (including ducts, hoods,  fans,
dampers, etc.)  used to capture or trans-
port partieulate matter generated by an
EAF to  the air pollution control device.
   (e)  "Charge"  meaas  the  addition of
iron and steel scrap or  other  materials
Into the top of an electric  arc furnace.
   (i> "Charging period" means the time
period commencing  at  the  moment  an
EAF  starts  to open and ending either
three  minutes  after the  EAF roof Is
returned to  its  closed  position or six
minutes after  commencement of  open-
ing of the roof, whichever is longer.
   (g)  "Tap"  means  the  pouring  of
molten steel from an EAF.
   (h) "Tapping period"  means the time
period commencing  at  the moment  an
EAF  begins to tilt to pour and ending
either three  minutes after  an EAF re-
turns  to an  upright  position or six
minutes after commencing to tilt, which-
ever is longer.
| 60.272  Standard for  paniculate BS*I-
    ter.
  (a)  On and after the date or. which
the performance test required to be con-
ducted by I 60,8 is completed, no owner
or operai^r siihjeci to tl;--; provisions  of
tliis fr.nr-'-n S'IH]I rfii^p  to f'-e r'ise
*nto I1'-? Euno'-Yir~ '(• fr'!'~n »>>*' fV-rt
iarssye -ny i'R^-s wJiich:
  (3- i>.it f'.VuV, i< shnp s;;f1, due solely
Xo ci-ierahor^ of  any KAF's),  exhibit
greater than zero  percent  shop  opacity
except •.
  (!) Sncp opOi:uy greater than zero per-
cent, but Jess than  20 percent, may occur
during charging periods.
  (in  Shop  opacity greater than  zero
percent  but  less than 40  percent,  may
occur during rapping periods.
  (if!) Opacity  standards  under para-
graph < v 13) of this section shall apply
only daring periods when flow rates and
pressures art being  established under
I 80.374  tc) and .
  (iv>  'Where the  capture  system is op-
erated such that the roof of the shop is
closed during the charge  and  the  tap,
and emis: ions to the atmosphere are pre-
vented  until the  roof  is  opened  after
completion of the charge or tap, the shop
opacity standards  Tinder paragraph 
(3) of inis section shall apply whf-n the
roof is opened and shall continue to ap-
ply for the length of time defined by trie
charging and/or tapping periods.
  (b) On and after the date on which the
performance test  required to  be  con-
ducted by I 60.8 is completed, no owner
or operator subject to the  provisions  of
this subpart shall cause to  be discharged
into the atmosphere from dust-handling
equipment any  gases which exhibit  10
percent opacity  or greater.

§ 60.273  Emission monitoring.
  (a)  A continuous monitoring system
for the measurement of the opacity  of
emissions discharged into the atmosphere
from the control device's) shall be in-
stalled, calibrated, maintained, and op-
erated by the owner or operator subject
So the provisions of this subpart.
  (b) For the purpose of reports under
{ 60.7(c), periods of excess emissions that
shall be  reported are  denned as all six-
minute periods  during which the aver-
age opacity is three percent or greater.

!8*c. 11« of tha C!*&a Air Aei  fca Bmae
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 Subpari BB—Standards of Performance for
           Kraft Pulp Mills
60.280  Applicability and designation of af-
   fected facility.
  (a) The provisions  of this  subpart
are applicable to the following affect-
ed facilities in kraft pulp mills: digest-
er system, brown stock washer system,
multiple-effect   evaporator   system,
black liquor  oxidation system, recov-
ery  furnace,  smelt  dissolving  tank,
lime kiln, and  condensate  stripper
system.  In  pulp  mills  where  kraft
pulping is combined with neutral sul-
fite semichemical pulping, the provi-
sions of this subpart are  applicable
when  any portion  of the  material
charged to an affected facility is pro-
duced  by the kraft pulping operation.
  (b) Any facility under paragraph (a)
of this section  that commences con-
struction or  modification after  Sep-
tember 24, 1976, is subject to the re-
quirements of this subpart.

§ 60.281 Definitions.
  As used in this subpart, all terms not
defined  herein  shall have the same
meaning given them in the Act and in
Subpart A.
  (a) "Kraft pulp mill" means any sta-
tionary source  which produces  pulp
from  wood  by cooking  (digesting)
wood  chips  in  a water solution  of
sodium hydroxide and sodium sulfide
(white  liquor)  at  high  temperature
and pressure.  Regeneration  of  the
cooking chemicals through a recovery
process is also considered  part of the
kraft pulp mill.
  (b)  "Neutral  sulfite  semichemical
pulping  operation" means any oper-
ation in which pulp is produced from
wood  by  cooking  (digesting)  wood
chips  in a solution of sodium sulfite
and sodium  bicarbonate, followed  by
mechanical defibrating (grinding).
  (c)  "Total  reduced sulfur  (TRS)"
means the  sum of the  sulfur  com-
pounds hydrogen sulfide, methyl mer-
captan, dimethyl sulfide, and dimethyl
disulfide, that are released during the
kraft pulping operation and measured
by Reference Method 16.
  (d)  "Digester system"  means  each
continuous digester or each batch di-
gester used for the cooking of wood in
white   liquor,  and  associated flash
tank(s), below tank(s), chip steamer(s),
and condenser(s).
  (e)  "Brown  stock  washer  system"
means brown stock washers and associ-
ated knoi.ers, vacuum pumps, and fil-
trate tanks used to wash the pulp fol-
lowing the digester system.
  (f)    "Multiple-effect    evaporator
system"  means  the  multiple-effect
evaporators      and       associated
condenser(s)  and  hotwell(s) used to
concentrate the spent cooking liquid
that is separated from the pulp (black
liquor).
  (g) "Black liquor oxidation system"
means the vessels used to oxidize, with
air or oxygen, the black liquor, and as-
sociated storage tank(s).
  (h) "Recovery furnace" means either
a straight kraft recovery furnace or a
cross  recovery furnace,  and includes
the  direct-contact evaporator for  a
direct-contact furnace.
  (i) "Straight kraft recovery furnace"
means  a  furnace used to  recover
chemicals  consisting  primarily  of
sodium  and  sulfur  compounds by
burning black liquor which on a quar-
terly  basis contains 7 weight percent
or less of  the total pulp solids  from
the neutral sulfite semichemical pro-
cess or has green liquor sulfidity  of 28
percent or less.
  (j) "Cross recovery furnace" means a
furnace used to recover  chemicals con-
sisting primarily of sodium and sulfur
compounds by  burning black liquor
which on  a  quarterly  basis contains
more than 7 weight percent of the
total pulp solids from the neutral sul-
fite semichemical process and has  a
green liquor sulfidity of more than 28
percent.
  (k)  "Black  liquor solids" means the
dry weight of the solids  which enter
the  recovery  furnace  in the  black
liquor.
  (1) "Green  liquor sulfidity" means
the sulfidity of the liquor which leaves
the smelt dissolving tank.
  (m) "Smelt dissolving  tank" means a
vessel  used for dissolving  the  smelt
collected from the recovery furnace.
  (n) "Lime kiln" means a unit used to
calcine lime  mud, which consists pri-
marily  of  calcium  carbonate,   into
quicklime, which is calcium oxide.
  (o)   "Condensate  stripper system"
means  a column,  and associated con-
densers, used to strip,  with  air or
steam, TRS compounds from conden-
sate streams  from various  processes
within a kraft pulp mill.

§ 60.282 Standard for\f articulate matter.
  (a)  On and  after wie  date on which
the  performance  test required  to be
conducted by §80.8 is  completed, no
owner or operator subject to the provj.-
sions of this subpart shall cause  to be
discharged into the atmosphere: —
  (1) From any recovery furnace any
gases which:
  (i)  Contain particulate  matter  in
excess  of 0.10 g/dscm  (0.044 gr/dscf)
corrected to 8 percent oxygen.
  (ii)  Exhibit 35  percent opacity  or
greater.
  (2) Prom any smelt dissolving tank
any gases which contain particulate
                11-28
matter  in  excess  of 0.1 g/kg  black
liquor  solids (dry wetght)[0.2 Ib/ton
black liquor solids (dry weight)].
  (3) From any lime kiln any gases
which  contain particulate matter in
excess of:
  (i) 0.15 g/dscm (0.067 gr/dscf)  cor-
rected to 10 percent oxygen, when gas-
eous fossil fuel is burned.
  (ii) 0.30  g/dscm (0.13 gr/dscf)  cor-
rected  to  10  percent  oxygen,  when
liquid fossil fuel is burned.

§60.283  Standard for total reduced sulfur
    (TRS).
  (a) On and after the  date on which
the performance test  required  to be
conducted  by  §60.8  is  completed, no
owner or operator subject to the provi-
sions of this subpart shall cause to be
discharged into the atmosphere:
  (1) From any digester system, brown
stock washer  system,  multiple-effect
evaporator system, black liquor oxida-
tion system,  or condensate  stripper
system  any gases which contain TRS
in excess 6*f 5 ppm by volume on a dry
basis, corrected to 10 percent oxygen,
unless  the following   conditions are
met:
  (i) The gases are combusted in a lime
kiln subject to the provisions of para-
graph (a)(5) of this section; or
  (ii) The gases are combusted in a re-
covery  furnace  subject to the provi-
sions of paragraphs  (a)(2) or (a)(3) of
this section; or
  (iii) The gases are combusted with
other waste gases in an incinerator or
other device,  or combusted in a  lime
kiln or recovery furnace not subject to
the provisions of this subpart, and are
subjected to a minimum temperature
of 1200° F. for at least 0.5 second; or
  (iv) It has been demonstrated to the
Administrator's satisfaction  by  the
owner or  operator  that incinerating
the exhaust gases from a new, modi-
fied, or reconstructed black liquor oxi-
dation system or brown stock washer
system in  an  existing facility is tech-
nologically or economically not feasi-
ble. Any exempt system will become
subject to the provisions of this sub-
part if  the facility is changed so  that
the gases can be incinerated.
  (2) From any straight kraft recovery
furnace any gases which contain TRS
in excess of 5 ppm by volume on a dry
basis, corrected to 8 percent oxygen.
  (3) From any cross recovery furnace
any gases which contain TRS in excess
of  25 ppm by volume  on a  dry basis,
corrected to 8 percent oxygen.
  (4) From any smelt  dissolving  tank
any gases which contain TRS in excess
of  0.0084 g/kg black liquor solids (dry
weight) [0.0168 Ib/ton liquor solids
(dry weight)].
  (5) From any lime  kiln any  gases
which contain TRS in excess of 8 ppm
by volume on a dry basis, corrected to
 10 percent oxygen.

-------
§ 60,284  MoaJtarrag of emissions and op-
   erations.
  sa) Any owner or operator subject tc
J be provisions- of this subparf. shall in-
stall, calibrate, maintain, and operate
Use loilov.iufj c-oiiiiiiuous  moiiltoruig
si-items:
  >:ii A continuous inor.itoring system
 tc, inoniior and  record  the opacity c*
the gases discharfctd unto the atn^os.
phere fiom any  recoveiy furnace. Ths
span ol tnis system  shall be set  at 7C
percent opacity.
  (2) Continuous  mouitoring systems
tc monitor and  record  the concentra-
tion of TRS emissions  on a  dry  basis
and the percent of oxygen by volume
on a dry basis in ths gases discharged
 into the atmosphere  from  any  iirae
xiln,    recovery   furnace,   digester
system,  biown stock washer system,
 multiple-effect   evaporator   system,
 black liquor oxidation system, or con-
 densate stripper system, except where
 the provisions of §60.283(a)(l) (iii) or
 (iv) apply. These  systems  shall be lo-
 cated   downstream   of the  control
 device(s) and the spams) of these con-
 tinuous monitoring system(s> shall be
 set:
  (i) At a TRS concentration of 30
 pprn for the TRS continuous monitor-
 ing system, except that for  any  cross
 recovery furnace the span shall be set
 at 50 ppm.
  (ii) At 20 percent oxygen for  the
 continuous oxygen monitoring system.
  fb) Any owner or operator  subject to
 the provisions of this subpart shall in-
 stall, calibrate, maintain, and operate
 the  following continuous monitoring
 devices:
  (DA monitoring device which mea-
 sures the combustion temperature at
 the  point  of  incineration of effluent
 gases which are  emitted from any di-
 gester  system,  brown  stock washer
 system,  multiple-effect  evaporator
 system, black liquor oxidation system,
 or condensate stripper  system where
 the  provisions  of  § 60.283(aXl)(iii)
 apply. The  monitoring device is  to be
 certified by the manufacturer to be ac-
 curate  within ±1 percent  of the tem-
 perature being measured.
  (2) For any lime  kiln or  smelt dis-
 solving tank using a scrubber emission
 control device:
  (i) A monitoring device for the con-
 tinuous measurement of the pressure
 loss of  the  gas stream through the
 control  equipment.  The  monitoring
 device is to be certified by the manu-
 facturer to be  accurate to  within  a
 gage pressure of ±500  pascals (ca. ±2
 inches water gage pressure).
  (ii) A monitoring device  for the con-
 tinuous measurement of the scrubbing
 liquid  supply pressure to the control
 equipment. The monitoring device  is
 to be certified by the manufacturer to
 be  accurate within a: 15 percent  of
 design  scrubbing liquid supply  pres-
 sure. The pressure sensor or tap is to
be located close to the scrubber liquid
discharge  point.  The Administrator
may be  consulted for approval of s.lt^i-
native ideations,
  'r; j'.jiy our,i; 01 opei at">r nJ>] •.'.  to
111;-  L-'i '-• • i'.K'i's of  ihu. s/ui3;'j.;ri .ha3i,
CXCl'i'V   '. ilri'C   Ult   t ,'i)l IV'Jl'.J,   of
> 6''.2Ji 1'a.it.IXiv;    oi    g (i'.|.783iai<4)
apply.
  si)  C3lcu!;5i.f- histi iciord z-i. ;:  dnilv
ba*ij J 2-liCjii!  averagf  THS r.":ic.-'-':a-
l.'j,!>- i<;i  the  iv.(; cuiiit.fuU\M pf-'iiods
c.l each  operating day.  Kaci;  11 hour
avtsagft  siial'  be  determined a* the
arithmetic mean of the appiopriate  12
contiguous  1-hour  average  total  re-
duced sulfur  concentrations  provided
by each continuous monitoring system
installed  under paragraph  (aX2>  of
this section.
  <2)  Calculate and record on a daily
basis 12-hour  average  oxygen  concen-
trations  for the two consecutive peri-
ods of each operating day for the re-
covery furnace  and lime  kiln. These
12-hour  averages  shall comsoond  to
i he  12-hour  average TRS concentra-
tions under paragraph  (cXl)  of  this
fef-ction  and shall be determined as an
ariiruj.etic mean of the appropriate  12
contiguous 1-hour average  oxygen con-
centrations provided by  each  continu-
ous monitoring sjstem installed under
paragraph (a)(2) 03' this section.
  (3) Correct all 12-hour average TRS
concentrations to  10  volume  percent
oxygen, except that all 12-hour aver-
age TRS  concentration from  a recov-
ery  furnace  shall be  corrected to 8
volume  percent  using the following
equation:
        C,,,-C^x^l - X/21 - 10
where:
Com = the  concentration   corrected   for
   oxygen.
£.'„«„-the  concentration  uncorreeted  for
   oxygen.
A' = the volumetric oxygen concentration in
   percentage to be corrected to (8 percent
   for recovery furnaces and 10 percent for
   lime  kilns,  incinerators,  or Diner de-
   vices).
y=the measured 12-hour average  volumet-
   ric oxygen concentration.
  (d) For the purpose of reports re-
quired under  §60.7(c), any owner  or
operator subject to the provisions  of
this subpart  shall  report periods  of
excess emissions as follows:
  (i) For  emissions from any  recovery
furnace  periods  of excess emissions
are:
  (i) All 12-hour averages of TRS con-
centrations above  5 ppm by volume for
straight kraft recovery  furnaces and
above 25  ppm by  volume for  cross re-
covery furnaces.
  (ii) All 6-minute average opacities
that exceed 35 percent.
  (2) For emissions from any lime kiln,
periods of excess  emissions are all 12-
hour  average   TRS   concentration
above 8 pprn by volume.
  (3) For emissions from any digester
system,  brown stock  washer  system,
                                                      11-
multiple-effect   evaporator   system,
black liquor oxici?tlon system, or con-
dentate  stripper  systom  periods  of
     nK HL~i-vf 5 i;;>rn by -•<-.;,irpr iui!.%<;
Ch5 provi,-,..!,.; of § SG.283ia:(] > u/. (  ''-,
os tiv) pj/ply; or
  (ii) All periods ii; excess of 5 rr.ini.'p.;
ana their duration J.uruie ^nic), i>~- -
combustion  leiiipr.rature  dt tlie  pour
of incineraticn  i.s less  than  !^3C'  ^'.
where      the     provisio:.-      c/'
§ 60.283(aXlXii) apply.
  (e) The Administrator v-ill not rrn-
sider ceriods of excess  emissions  re-
ported und'-r paragraph id) of this sec-
tion to  be indicative of a violation  ci
§ 60.11Cd) provided that;
  (1) The percent of the total number
of  possible   contiguous  periods   of
excess  emissions in a quarter (exclud-
ing period?  ol startup, shutdown,  or
malfunction  and perioas when r.he fr--
Ciliiy  is rsot  opernting) during vvhicb
excess   crrsisMon.s  occur  doe?  noi
exceed:
  (i) One percent for TRS  emissions
from recovery furnaces.
  (ii"> Six percent for average opacities
from recovery furnaces.
  <2)  The Administrator cieterm^iii-S
that the affected facility, including air
pollution  control equipment, i- main-
tained  and  operated  in a  manner
which  is consistent with  good air pol-
lution  control practice for minimizing
emissions during  periods  of  excess
emissions.

§ 60.285  Test  methods and procedures.
  (a) Reference methods in  Appendix
A of  this  part, except as  provided
under  §60.8(b), shall  be used to deter-
mine compliance with  §60.282(a)  as
follows:
  (1) Method 5 for the concentration
of particulate matter and the associat-
ed moisture content,
  (2) Method 1 for sample and velocity
traverses,
  (3)  When  determining compliance
with § 60.282(a)(2),  Method 2 for veloc-
ity and volumetric flow rate,   s
  (4) Method 3 for gas analysis, and
  (5) Method 9 for visible emissions.
  (b) For Method 5, the sampling time
for each run shall  be at  least 60 min-
utes and the sampling rate shall be at
least   0.85  dscm/hr  (0.53  dscf/min)
except that  shorter sampling times,
when necessitated by process variables
or other  factors, may be approved  by
the Administrator.  Water  shall  be
used as the cleanup solvent  instead of
 acetone in the sample recovery proce-
 dure outlined in Method 5.
   (c)  Method 17 (in-stack  filtration)
 may be used as an alternate method
 for Method  5 for determining compli-
 ance with  §60.282(a)(l)(i):  Provided,
 That a constant value of 0.009 g/dscm
 (0.004 gr/dscf)  is added to the results
 of Method  17 and the stack tempera-

-------
ture is no greater than 205° C (ca. 400°
F). Water shall be used as the cleanup
solvent  instead  of  acetone in  the
sample recovery  procedure outlined in
Method 17.
  (d) For the purpose of determining
compliance with §60.283(a) (1), (2),
(3),  (4),  and (5). the following refer-
ence methods shall be used:
  (1) Method 16  for the concentration
of TRS,
  (2) Method 3 for gas analysis, and
  (3) When determining compliance
with §60.283(a)(4), use the  results  of
Method  2, Method 16. and the black
liquor solids feed rate in the following
equation to determine the TRS  emis-
sion rate.
E — ( CmsFun + Cy,mFu,m + CjauFatis +  C
                                         9.2.2  Observation for Clogging of Probe.
                                       If reductions in sample concentration* are
                                       observed during a sample run that cannot
                                       be explained by process conditions, the sam-
Where:
E = mass of TRS emitted per unity of black
   liquor solids (g/kg) (Ib/ton)
Cms = average concentrator    hydrogen
   sulfide    during  the  test  period,
   PPM.
CIMH = average concentration  of  methyl
   mercaptan  (MeSH)  during the  test
   period, PPM.
Com = average  concentration of dimethyl
   sulfide  (DMS)  during the test  period,
   PPM.
CDMM = average concentration  of dimethyl
   disulfide (DMDS) during the test period,
   PPM.
Fm = 0.001417 g/m' PPM for metric units
  = 0.08844 lb/fts PPM for English units
fuaa = 0.00200 g/m1 PPM for metric units
  = 0.1248 lb/ff PPM for English units
/no = 0.002583 g/m' PPM for metric units
    = 0.1612 lb/ff PPM for English units
Fotaa = 0.003917 g/m1 PPM for metric units
    = 0.2445 lb/ff PPM for English units
Q.I = dry volumetric stack gas flow rate cor-
   rected to standard conditions, dscm/hr
   (dscf/hr)
BLS = black liquor solids feed  rate, kg/hr
   (Ib/hr)
  (4) When  determining whether  a
furnace is straight kraft recovery fur-
nace  or  a  cross  recovery furnace,
TAPPI Method T.624 shall be used to
determine sodium sulfide, sodium hy-
droxide and sodium carbonate. These
determinations  shall  be made three
times daily from the green liquor and
the daily average values shall be  con-
verted  to  sodium  oxide  (Na2O)  and
substituted into  the  following equa-
tion to  determine the green liquor sul-
fidity:            j
   GLS = 100 CK.,]^.." + CK.OH + CN.xo,
Where:           *
GLS = percent green liquor sulfidity
   i = average  concentration  of  No*
   pressed as Na,O (mg/1)
CN.O// = average  concentration  of NaOH
   expressed as Na,O (mg/1)
C«*CQ^= average concentration of Na,CO,
  ^expressed as Na,O (mg/1)

  (e) All concentrations of particulate
matter  and TRS required to be mea-
sured by this section  from  lime kilns
or incinerators  shall be corrected 10
volume percent oxygen and those con-
centrations  from recovery  furnaces
                                   e\-
                                                          11-30

-------
  Subpart  HH—Stcmdcrds  of  Perfor-
    mance  for  Lime  Manufacturing
    Plants

  Sec.
  60.340 Applicability and designation of af-
     fected facility.
  60.341 Definitions.  -
  60.342 Standard for participate matter.
  60.343 Monitoring of emissions and oper-
     ations.
  60.344 Test methods and procedures.
   AUTHORITY:  Sec. Ill and  301(a) of the
  Clean Air Act. as amended (42 U.S.C. 7411.
  7601), and additional authority  as noted
  below.

  § 60.340   Applicability anil designation of
     affected facility.
   (a) The  provisions of this subpart
  are applicable to the following affect-
  ed facilities  used in the manufacture
  of lime: rotary lime kilns and lime hy-
  drators.
   (b) The  provisions of this  subpart
  are not applicable to facilities used in
  the manufacture of lime at kraft pulp
  mills.
   (c) Any facility under paragraph (a)
  of this  section  that  commences con-
  struction or modification after May 3,
  1977, is subject to the requirements of
  this part.

  §60.341  Definitions.
   As used in this subpart, all terms not
  defined  herein shall have the same
 meaning given them in the Act and in
 subpart A of this part.
   (a) "Lime  manufacturing plant" in-
 cludes any  plant  which  produces a
 lime  product from limestone by calci-
 nation. Hydration of the lime product
 is also considered  to be part of the
 source.
  (b) ''Lime product" means the prod-
 uct of the calcination process includ-
 ing, but not  limited to. calcitic lime,
 dolomitic lime, and dead-burned dolo-
 mite.
  (c) "Rotary lime kiln" means a unit
 with an inclined  rotating drum which
 is used to produce a lime product from
 limestone by calcination.
  (d)  "Lime  hydrator" means  a unit
 used to produce  hydrated lime prod-
 uct.

 § 60.342  Standard for participate matter.
  (a) On  and after the date on which
 the performance test required to be
conducted by §60.8  is completed, no
owner or operator subject to the provi-
sions of this subpart shall cause to be
discharged into the atmosphere:
  (1)  From  any rotary lime kiln  any
gases which:
  (i)  Contain  participate matter in
excess of 0.15 kilogram per megagram
of limestone feed (0.30 Ib/ton).
  (ii)  Exhibit 10  percent opacity or
greater.
  (2)  From  any lime  hydrator  any
gases which  contain particulate matter
in excess of 0.075  kilogram per mega-
gram of lime feed (0.15 Ib/ton).

§60.343  Monitoring of emissions  and op-
   erations.
                                        kiln and the mass rate of lime feed to
                                        any affected lime hydrator. The mea-
                                        suring device used must be accurate to
                                        within  ±5  percent  of the mass  rate
                                        over its operating range.
                                         (e)  For the  purpose of reports re-
                                        quired  under  §60.7(c),   periods   of
                                        excess emissions that shall be reported
                                        are defined as all six-minute  periods
                                        during which the average  opacity  of
                                        the plume from any lime kiln  subject
                                        to paragraph (a) of  this subpart is  10
                                        percent or greater.
   (a) The owner or operator subject to
  the provisions of this subpart shall in- 
-------
             MINIMUM NUMBER OF TRAVERSE POINTS
i
LJ
to
                                                D
                                                C
                                                o
                                                m
                                                H
                                                m
                                                33
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   3
   3
   C

   3
   cr
   0)
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-------
       0.5
                DUCT DIAMETERS UPSTREAM FROM FLOW DISTURBANCE (DISTANCE A)

                                     1.0                          1.5                           2.0
                                                                           2.5
    50
t/J
O
ex.
LU
oo
    40
>  30
O
cc
LU
     20
z   10
               T
                                                 ^   /DISTURBANCE


                                                      MEASUREMENT
                                                  f--?-'  SITE
                                                                                                           DISTURBANCE
                      1
1
1
        2              3              4              5              6789             10

              DUCT  DIAMETERS  DOWNSTREAM FROM  FLOW DISTURBANCE {DISTANCE R)


          Figure  1-2.  Minimum number of traverse points  for velocity (nonparticulate) traverses.
                                              222  Velocity (Non-ParticulaU)  Traverses.  When
                                             velocity or volumetric flow rate is to be determined (but
                                             not particular matter), the same procedure as that lor
                                             partjculate traverses (Section 2.2.1) is followed, except
                                             that Figure 1-2 may be used instead of Figure 1-1.
                                              2.3  Cross-Sectional Layout and Location of.Travers*

                                              2 3.1  Circular Blacks. Locate the traverse points on
                                             two perpendicular diameters adcordlng U> Table 1-2 and
                                             the example shown in Figure 1-3. Any equation  (for
                                             examples, see Citations2and Sin the Bibliography) that
                                             Kivcs the same values as those in Table 1 2 ma> be used
                                             in lieu of Table 1-2.
                                              For porticulate traverse*, one of the diameters must l>e
                                             in a plane containing the greatest eipected concentration
                                             variation, e.g., after bends, one diameter shall be in the
                                             plane of the bend. This requirement becomes less critical
                                             as I IIP distance from the disturbance increases, therefore,
                                             other diameter locationsmay be used, subject to approval
                                             of the Administrator.
                                              In addition, for stacks having diameters greater than
                                             0.61 m (24 in.) no traverse poinu shall be located witlun
                                             2.5 centimeters (1.00 in.) of the stack walls; and for stack
                                             diameters equal to or less than 0.61 rn (24 in.), no traverse-
                                             points shall be located wil hin 1.3 cm (0.50 in.) of the stack
                                             walls. To meet these criteria', observe the  procedures
                                             given below.
                                              2 3.1.1  (Stocks With Diameters Greater Than  0.01 m
                                             (24 in.). When any of the traverse points as located In
                                             Section 2.3.1 fall within 2.5 cm  (1.00 in.) of the stack walls,
                                             relocate them away from the stack walls to: (1) a distance
                                             of 2.5 em  (1.00 in.); or (2) a distance equal to the noztle
                                             inside diameter, whichever is larger. These relocated
                                             travers* points (on each end of a diameter) sliall be tbe
                                             "adjusted" traverse points.
                                              Whenever two successive traverse points are combined
                                             to form a single adjusted traverse point, treat the ad-
                                             justed point as two separate traverse points, both in the
                                             sampling (or velocity nuafurement)  procedure,  and la
                                             recording the data.
                                                            11-33

-------
TRAVERSE
POINT
1
2
3
4
6
6
DISTANCE.
S of diameter
4.4 .
14.7
29.5
70.5
85.3
95.6
                                                                                                         (51 !n '''. V- !;.-.: K (:.  ,>:,•,:'.' !i,l< I- "• Ml ' •' d'ict    ti",J  U) 1.,•!'"<•  •..JIIIIR  in th--.n
                                                                                                         lii>',&!'<•<•.$. thf  J^C^TK* or  at--'M"-~  of -yilnnlr  How at
                                                                                                         tl*f sampler ir*-n'.!or) rn^'t be t1> u r i	-a  'Hip (oli-jwlnij
                                                                                                         tcchiLi(ju« i-e H. U'ptablo (or Ihii dft< rmiuatlon.
                  Figure 1-3. Example showing circular slack cross section divided into
                  12 equal areas, with location of traverse points indicated.

                                        »•

    Table 1-2.  LOCATION OF TRAVERSE POINTS IN CIRCULAR STACKS

             (Percent of stack diameter from inside wall to traverse point)
Traverse
point
number
on • •
diameter
1
2
3
4|
5'
6
7
8
Si
10
11
12J
1:1
i«
15
16
17
18
19
21);
21
22
23
24
• Number of traverse points on a diameter
2
14 fi
85.4




•







i







'

4
6 -7
25.0
75.0
33.3




















6
4.4
14.6
29.6
70.4
85.4
95.6
•

















8
3.2
10.5
19.4
32.3
67.7
80.6
89.5
96.8





*






.

y

10
2.6
8.2
14.6
22.6
34.2
65.8
77.4
85.4
91.8
97.4














12
2.1
6.7
11.8
17.7
25.0
35.6
64.4
75.0
82.3
88.2
93.3
97.9












14
1.8
5.7
9.9
14.6
20.1
26.9
36.6
63.4
73.1
79.9
85.4
90.1
94.3
98.2










16
1.6
4.9
8.5
12.5
16.9
22.0
28.3
37.5
62.5
71.7
78.0
83 .'1
87.5
91.5
95'. 1
98.4








18
1.4
4.4
7.5
10.9
14.6
18.8
23.6
29.6
38.2
61.8
70.4
76.4
81.2
85.4
89.1
92.5
95.6
98.6






20
1.3
3.9
•6.7
.9.7
12.9
16.5
20.4
25.0
30.6
38.8
61 .'2
69.4
75.0
79.6
83.5
87.1
90.3
93.3
96.1
98.7




22
1.1
3.5
6.0
8.7
11.6
14.6
18.0
21.8
26.2
31.5
39.3
60.7
68.5
73.8
78.2
82.0
85.4
88.4
91.3
94.0
96.5
98.9


24
1 1
3.2
5.5
7.9
10.5
13.2
16.1
19.4
23.0
27.2
32.3
39.8 '
60.2
67.7
72'. 8 '
77.0
80.6
83.9
86.8
89.5
92.1
94.5
96.8
98.9
  2J.1 J  Blacks With Diameters Equal to or Less Than
0.61 m CM in.). Follow the procedure In Section 2.3 1.1,
noting  only that any  "adjusted"  points should  b*
relocated away from the stack walls to: (1) a distance of
U cm  (OJO ui.l; or  (2) a distance equal to the DOti.!»
Inside diameter, whichever Is larger.
  2JJ   Rectangular  Stocks  Determine  the  number
of traverse point; as eiplained In Sections 2.1 and 2.2 of
tbis method. From Table 1-1, determine the grid con-
figuration. Divide the stark cross-section into as many
equal rectangular elemental areas as  inverse points.
and then locate a traverse point at the centrold of each
equal area according to the example In Figure 1-4.
  The situation of traverse points being too close to the
stack walls Is not expectea  to arise with rectangular
•tacks. If this problem should ever arise, the Admuils-
trulor must be  contacted for resolution of the  matter.
  2.4  Verification of Absence of Cyclonic Flow. In most
stationary sources, the direction of stack gas  Bow  Is
essentially  parallel  to  the  stack  walls.   However,
cyclonic now may exist (1) after such devices as cyclones
SJ3<3  inertia! demisters following venturi scrubbers. Of
                                                                                                                      •T"
                                                                                                                        I
                                                                                                                        I
                                                                                                                        I
 Figure 1-4. Example showing rectangular slack cross
 section divided into 1 2 equal areas, with a traverse
 point at cenuoid of each area.


  Level and trro the manometer.  Connect » Type  S
pilot tube to the manometer. Position the Type 8 pilot
tube at each traverse point, in succession, to  that  the
planes of the face openings of the pilot tube are perpendic-
ular to the slack cross-sectional plane, when the Type 8
pilot tube is in this position, it is at "0° reference." Now
the differential pressure  (Ap) reading at each traverse
point.  11 a null  (tero)  pilot reading is  obtained at 0*
reference at a pT«n traverse point, an acceptable  now
condition eiists al that point. If the  pilot reading li not
tero at 0' reference, rotate the pitol lube (up to ±90* yaw
angle), un til anullr«idingisobtnincd. Carefully determine
and record the value of the rotation angle (a) to  the
nearest degree. After the null technique has been applied
at each travrse point, calculate Ihe average of the abso-
lute values of a. assign o values of 0° to those points  for
which no rotation was required, and include ihese in the
overall average. If the average value of o  is greater than
10°, the overall flow condition in the slack Is unacceptable
and allemative methodology, sulm*t to the approval of
the Administrator, must be used to perform  accurate
cample and velocity traverses.

Z. BiblioffTapkj

  1 Determining Dust Concentration In a Gas Stream.
ASME. Performance Test Code No. 27. New York.
1S57.
  2. Devorkln,  Howard,  et al  Air Pollution Source
Testing Manual. Air  Pollution  Control District. Los
Angeles, CA. November  1963
  3. Methods lor Determination of Velocity, Volume,
Dust and Mist Coni«m of Oases. Western Precipitation
Division of Joy  Manufacturing  Co. Los Angeles,  CA_
Bulletin WP-SO. 1968.
  4 Standard Method for Sampling Stacks for Paniculate
Matter. In: 1971 Book of ASTM Standards  Part 23.
ASTM Designation D-2828-71. Philadelphia, Pa. 1971.
  S. Hanson, H. A., et al. Paniculate Sampling Strategies
for Large Power Plants  Including  Nonunlform Flow.
USEPA, ORD. ESRL, Research Triangle Park, N.C.
EPA-600/2-76-170. June 1976.
  6. Entropy Environmentalists, Inc. Determination of
the Optimum Number of Sampling  Points: An Analysis
of Method 1 Criteria. Environmental Protection Agency.
Research Triangle Park, N.C. EPA Contract No. 68-01-
8172, Task 7.

MXTHOD 2— DETERMINATION  or  STACT  OAS VELOOTT
 AND VOLUMETRIC FLOW RATE (TYPE S PITOT TUBE)

1. Prindplt and ApplicaWlttl

  1.1  Principle- The average gas velocity In a stack Is
determined fjom the pas density and from measurement
of the average velocity head with a Type S (Stausscheibe
or reverse type) pitol tube.
  1.2  Applicability.  This  method  Is   applicable  for
measuremen! of the average velocity of a  gas stream and
for quantifying gas Mow.
  This procedure is nol applicable at measurement sites
which fail to meet the criteria of Method 1, Section 2.1.
Also, the method cannot be used for direct measurement
in cyclonic or swirling gas streams, Section 2.4 of Method
1 shows how to determine cyclonic or swirling flow con-
ditions. When unacceptable conditions enst, alternative
procedures, subject to the approval of the  Administrator,
U.S. Environmental Protection  Agency, must be em-
ployed  to  make accurate flow rate determinations;
examples of such alternative procedures are: (1)  to install
straightening vanes: (2) to calculate  the total volumetric
flow rate noichiornclrically, or (3)  lo move to another
measurement site at which the flow  is acceptable.
  Specifications for the apparatus are given below. Any
other apparatus that has been demonstrated (subject !«
approval of the Administrator) to be capable of meeting
the specifications will be considered acceptable.
                                                                               11-34-

-------
1.90-2.54 cm*
(0.75-1.0 in.)
~r

T
                  7.62cm(3in.)
                                         TEMPERATURE SENSOR
                                                                                      LEAK-FREE
                                                                                     CONNECTIONS
                 •SUGGESTED (INTERFERENCE FREE)
                 PITOT TUBE • THERMOCOUPLE SPACING
                                Figure  2-1.  Type S pilot tube manometer assembly.
                                         2.1  Type 8  Pilot Tube. The Type S pilot tube
                                       (Figure 2-1) shall be made ol metal tubing (e.g., sign-
                                       less steel). It is recommended that the eitcrnal tubing
                                       diameter (dimension Di, Figure 2-2b) be between 0.48
                                       and.0.95 centimeter! (Mi »nd H Inch). There shall be
                                       an equal distance from the base ol each leg of the pilot
                                       tub« to its face opening plane (dimensions PA and />*.
                                       Figure 2-2b); it Is recommended tbat this distance be
                                       between 1.05 and 1.50 times the eiternal tubing diameter.
                                       The {ace openings of the pitot tube shall, preferably, b«
                                       aligned as shown in Figure 2-2; however, sliiht misalign-
                                       ments of the openings are permissible (see Figure 2-3).
                                         Tbe Type 3 pitot tube shall have a known coefficient,
                                       determined as outlined In Section 4. An Identification
                                       number shall be aligned to the pitot tube; this number
                                       shall be permanently marked or engraved ou the body
                                       of the tube.
                                                       11-35

-------
    TRANSVERSE
     TUBE AXIS
              \
                         FACE
                       OPENING
                       PLANES

                          (a)
                        A SIDE PLANE
                           _L
LONGITUDINAL '
TUBE AXIS 1
7 °t A
\
B

	       NOTE:
 PA

 PB
                                                        ,
                        B SIDE PLANE
                          (b)
                        AOR B
                          (c)
Figure 2-2. Properly constructed Type S pitot tube, shown
in:  (a) end view; face opening planes perpendicular to trans-
verse axis; (b) top view; face opening planes parallel to lon-
gitudinal axis; (c) side view; both legs of equal length and
centerlines coincident, when viewed from both sides. Base-
line coefficient values of 0.84 may be assigned to pitot tubes
constructed this way.
                          II-36

-------
       TRANSVERSE-
        TUBE AXIS
LONGITUDINAL
 TUBE AXIS""
                       w     plW
                                                .__^__. ,     I • • •   I —
                                                -<^-«>.   3 tefoH
                                                _^.^rM_.
                                            (f)
                                            (g)

           Figure 2-3. Types of face-opening misalignment that can result from field use or im-
           proper construction of Type S pitot tubes. These will not affect the baseline value
           of.ep{s) so Jong as ai and a2 < 10°, 01 and fa< 5°. z < 0.32 cm (T/8 In.) and w <
           0.08 cm (1/32 in.) (citation 11 in Section 6).
                                    11-37

-------
                         •• I.' 11  "J I'.'*  -'! of&Tryx' P.
                          M-" n'i -.i>"M' or !-n u-''' 2"
i-i'd'V!"  iv'.'te,"lio'wevrr.  Hint the ".- iMr  aud  fmp'U-t
[irc^iirv li .les of «l imi.ird r'1"1 till"'' art Hr,-'I>:iblf lo
iiiiirtinr  in  pr.rlic ulaU'-bdon  cr.5 sin .!•:•*   1 in n-r'.'c,
whuu-M-r  ft slftnrUrd p'tot tube is li'ed to  p-rfurm a
lra\er«e  adio,tr.ie  pii-of  must  l-e furnished  Hint the
CIIK mnirM'f I he pilot tube-have not plu-,-|:id up during the
traverse j«-ri"O divisions on the
1- to 10-ln vertical scale.  This type of manometer (or
other gauge of equivalent sensitivity)  is satisfactory far
the m easurement of Ap values as low asl-3mm(0.051n.)
HiO. However, a differential pressure gauge of  greater
sensltivily shall be used (subject to tbe approval of the
Administrator). If any of  tbe following is found to be
true: 0) the arithmetic average of all Ap readings at the
traverse polnti In the stack is less than 1.3 mm (0.05 in.)
HrO- (2) far traverses of 12 or more points, more than 10
percent of the individual Ap readings are below 1.3 nun
(006 In.) HiO: (3) tor traverses of fewer than 12  points,
Sore than on. Ap reading is below 1.3mm (006 hO HrO.
Citation IK In Section 6 describes comroerciall v available
Instrumentation far tbe measuremen t of low-range gas

' As an alternative to criteria (1) through (3) above, th«
following calculation may be performed to determine u»
necessity ol using a more sensitive differential pressure
gauge:   •
  li ia
  Ail '
                    i-l
                r=
  Ap,—Individual velocity head reading at a traverse
       point, mm HrO (in. H.O).
    n-Total number of traverse points.
   A'-O.ia mm H»O when metric units are used and
       0.005 In HrO when English units are used.

If T Is greater than 1.05, the veloelty head data an
unacceptable and a more sensitive differential pressure
gauge must be used.                       ,,    .t
  NOT*.—If  differential pressure  gauges  other  than
Inclined manometers are used (e.R., magnehclic gauges),
their calibration must be checked after each test series.
To check the calibration of a differential pressure gauge,
compare Ap readings of the gauge with those ol a gauge-
oil manometer at a minimum of three points, approxi-
mately representing the ranee of Ap values In the stack.
If. at each point, the values of Ap as read by the differen-
tial pressure gauge and gauge-oil manometer agree lo
within S percent, the differential pressure gauge shall b«
considered lo be in proj>er calibration. Otherwise, the
test series shall either be voided, or procedures lo adjust
the measured Ar values and Imal results shall be used,
subject to the approval of the Administrator.
  2.3  Temperature  Oaupe. A thermocouple,  liquid-
filled bulb thermometer, bimetallic thermometer, mer-
cury-in-fflass thermometer, or other  gaupc capable of
measuring temperature to uilhm 1.5 percent of the mini-
mum absolute  stack  tem|ioraiure  slmll he used. The
temixrature paiipe shall be attached  to the pilot tube
such that  the sensor lip does not touch any metal; the
gauge shall be in an inlerfcrcm-c-fjve arrangement with
respect to the  pilot tube Ucc openings (sec Figure 2-1
ana also Figure 2-7 in Section 4). Alternate positions may
be used If the pitot-tube-iemixrature cauge system is
calibrated according to the procedure of Section 4. Pro-
vided that a difference of not more than 1 percent in the
average velocity measurement is introduced, the  Icm-
                                                                                       II e  U[>}-ruwJ  of

                                                                                       A p.. 7o;-T', r tu!"1
                                                          •, ur\ - or w ^'-r-.ill'-d i.-tui.> J11 IUUMU i.-r ui|i;i it- of
                                                       )n<- .-.Hinir slu^k pri':-ure to v n!,,n 2 i m.i.  <(• ] in >  llf
                                                       Ls uc''d  'J'he ^Lilic 1'ip of a 5' :'id:ird l> [.c pilot tube o-
                                                       on- Iff Of » T\pe X pilot tlllie with 'the f.ire op< ..... 1C
                                                       jilj-ifs ix>«;nonrd lur.illil u» the g.is flow may also be
                                                       us- d a= the pressure probe.
                                                         2.5  Barometer. A mercury, aneroid, or other barom-
                                                       eter  capable  of  mea^unnp  atuiosphcric  pressure   to
                                                       within 2.5 mm Ilg  (0.1  in. Uf) may be used. In many
                                                       cases, the barometric reading may If  obtained trom •
                                                       nearby national weather service station,  in  which case
                                                       the station  value (which  is the  absolute  barometric
                                                       pressure) shall be  requested and an adjustment  lor
                                                       elevation diflerences between the weather station and
                                                       the sampling point  shall be applied at a rate of minus
                                                       2.5 mm (0.1 in.)  Bg per 30-meter (100 foot)  elevation
                                                       increase, or vice- versa for elevation decrease.
                                                        2.8  Gas Density Determination Equipment. Method
                                                       3 equipment, if needed  (see Section 3.6), to determine
                                                       the stack gas  dry  molecular  weicht, and  Reference
                                                       Method 4 or Method 5 equipment lor moisture content
                                                       determination;  other methods may be used subject to
                                                       approval of the Administrator.
                                                        2.7  Calibration Pitot Tube. When calibration of the
                                                       Type S pltot tube Is necessary (see Section 4), a standard
                                                       pilot tube Is used as a reference. The standard pltot
                                                       tube shall, preferably, have a known coefficient, obtained
                                                       either (1) directly from the National Bureau of Stand-
                                                       ards, Route 270, Quince Orchard Road,  Qaitbersburg,
  ,v-.-\ .  ,*
  l"l"t tube  »it'i  i>i  M.-t...i'.i'  oxIV.i.i  Al- i-

  tli,  cl.l, -. . . i- •  !•. U ,  1 fin. i.l. 2 T :• l.i ln« :i nl  'in. -
  Irdt-l in  I .  me -' -i    • nK. t ililions  7.  b, n'nl  17 in
  p.-ct ion  C) I i ix l.<  L,  1  J'lti.', llll^ •- ill 'ipnrd in i onlinp
                                                        to i
                                                                            .s
                                                  M:il,
                                                               ..
                                                          27.1  11.  n.s-i l.criial (shown In Fi£ure2-4).clli|f>
                                                        or roulcal tip.
                                                          2.7.2  A minimum of six diameters . ctr.iipht rn-i (KiM'd
                                                        U|K)n D, the ntirnal diamrli-r ol the lulie) bel>iO
                                                        (0.05 and 1.0 In. HjO), and to the Dearest 1.3 mm IliO
                                                        (0.05 la. B>O) for Ap values above 25 mm  HrO (1.0 In.
                                                        HiO). A  special, more  sensitive  gaore will be required
                                                        to read  Ap  valnea  below  1.3  mm lliO [0.05 In, 11 iO)
                                                        (see Citation 18 in Section 0).
                                                                                                                   CURVED OR
                                                                                                               MITEREDJUNCTION
                                                                           STATIC
                                                                            HOLES
                                                                           (-0.1D)
                                                              HEMISPHERICAL
                                                                     TIP
             Figure 2-4.~Standard prtot tube design specifications.
3. Procedure

  3.1  Bet op the apparatus as shown in Figure 2-1.
Capillary tubioR or surge tanks Installed between the
manometer and pitot tube may be used to dampen Ap
fluctuations,  li is rnconuuended, but not required, that
& pretest leak-check be conducted, as follows: (1) blow
through the pitol impact opening until at least 7.6 cm
(3 in.) II»O velocity pressure ri-pisters on the manometer;
then, close off tbe impact opening. The pfrssure shall
remain stable for at least 15 seconds; (2) do the same for
the static pressure side, except using suction to obtain
the minimum of 7.6 cm (3 in.) HiO.  Other leak-check
procedures, subject to tbe approval of the Administrator,
may be used.                                       -
  3.2  Level and zero the manometer. Because the ma
no meter level and zero may drift due to vibrations and
temperature changes, m:ike periodic checks during  the
traverse. Record all nottsstiry data as shown in  the
example data sheet (ticure 2-5).
  3.3  Measure the velocity hoad nnd (emperalure at the
traverse points spccilKxl by Method 1.  Ensure that  the
proper difTerential pressure pautre is being used for  the
ranpe of Ap values encountered l«er Section 2.2). I/ It IB
necessary to chaige to a more sensitive pauge, do so, and
rcmensuro the A/> and l« rnpcraiure readings at each tra-
verse point. Conduct a post-test leak-chock (mandatory),
asde6LnbediDScctiou3.1 above, to validate the traverse
mo.
  3.4  Measure the static  pressure In  tbe stack. On*
reading is usually adequate.
  3.5  Determine the atmospheric pressure.
                                                                                  11-38

-------
PLANT.
DATE
        , RUN NO.
STACK DIAMETER OR DIMENSIONS, m(in.)
BAROMETRIC PRESSURE, mm Hg (in. Hg)
CROSS SECTIONAL AREA,
OPERATORS
PIT.OTTUBEI.D.NO.
  AVG. COEFFICIENT, Cp = .
  LAST DATE CALIBRATED.
                                      SCHEMATIC OF STACK
                                         CROSS SECTION
   Traverse
    Pt No.
mm (inj H20
                                 Stack Temperature
°K
mm Hg (in.Hg)
                                Average
                    Figure 2-5. Velocity traverse data.
                                11-39

-------
 36  DtKTiTiirif t!ir «ti-V pa.' dry rnnK-ii'&r Te'rht
1 u' ro •]( .^'IOT^ I'UH*.-*^'1 or JTO Jivw lti*i. emit e.wn-
tln',1  CO'TOi. Cl\ "."'I Ni, U-'* Mr'utxi 3  to- prm-i^vj
cmiuluf;  ',v nUutls  ai:. an Br-'ii? ;)s  Df^*d not bo con
d'"i'~U'd u.s^ &  dry rr^'n^ij'r^ vrif-'ht or lwi.O. For ot'i^r
iirocc-vsc-i. o'.her rnclhtxls. rj1 )ocl to the Djiproval o! Ore
Adminlnrator. roui-t bo used.
 37  Obtain  the  moMure  oontent  from  Reference
Method 4 (or equivalent) or from Method 6.
 3 8  Determine the cross-sectional  area of the stack
or  duct at  the sampling location. Whenever possible.
physically measure  Ihe sta•  1'ipire
                                          If D, li l«-t»«>n
                              C 4S and 0 9*j CH5  (Mi &nd Es in,) and If /'* find  ^'fl are
                              tin'ial a;idbc.t»tion 1 (& Bnd 1.50 Ii,, tlji-re ft'i- two pov.lile
                              options. (1) the. pilot tube nmy b« calibroti-j arilh olher source-sampling compon-
ara aSrned irithin the specifications illustrated In Flgur.   —- <"•	'- -•---"	>~  """'-> « "»rl of
53 orM. The pilot tube shall not be used U It fads to
meet thes« alignment specification*.
 After verifying the face opening alignment, measure
and record theloHowlng dimensions of the pilot tube:
                               used in combinaton wllh olbtr souree-sampung c
                               ents (Ihermocouple. sampling probe, noiile) as purl ol
                               an "assembly." The presence of olher sampling compo-
                               nents can somelimes aflecl Ihe baseline value of the Type
                               8 pllol tube coefficienl (Cilation » in Section 6); therefore
                               an  assigned (or otherwise known) baseline coefficient
                                    K
                                      TYPE SPITOT TUBE
                                                                                                                        i  ti.
 \  .  .11 • . .d !.    .'it'
 only »!i"h '  » !• .-'  >r !- -  	-  --
 She  vimlJr L*  surii that Sta.O, n "TUC inn rl'
 el'ects ar- ciin.r.a'ni ticiif^ '.'-0 D.nniiii --*>'.1:11 !:.>li;
 inlcrfiTCi.cr-'.-.r cvinji'mnii arranpi :m nls t-,r !  > |>r b
 pilot tnl'-s having cstcrna! tubing rti ui'i'iT^ in-iwi-fn
 6 48 and 0",". cm ijit arid H in ) Tyin S pilot tnU  a.!-, in-
 bli« lhat fail to meet any or all of the Epe-dfic it ions, of
 Figures 2-6 throuch  2-8 sliall be calibrotid Bc-cordinc lo
 the  proct-dur* outlined In Sections 4.1 2 through 4 1.6
 below  and prior lo calibration, the values of Ibe. intor-
 componenl spacings (pltot-nonle, pitol-tlirrniocoujile,
 pilot-probe sheath)  shall  be measured and recorded.
•   Norz —Do not use any Type 8 pllol tube assembly
 which Is constructed  such that the impacl pressure open.
 ing plane of Ihe pitol lube Is below Ihe entry plane of the
 nozzle (set Figure 2-6b).
   4.1.Z  Calibralion Setup. If Ihe Typ* B pitol lube Is to
 be calibraled, one leg of Ibe tube shall be pcrmanenlly
 marked A, and the other,  3. Calibration shall be done In
 a  flow  system having the following  essential  design
 features:
                                    «;> 1.8'0 cm (3/4 in.) FOR Dn- 1.3 em (1/2 in.)
                   SAMPLING. NOZZLE
           A. BOTTOM VIEW; SHOWING MINIMUM PITOT-NOZZLE SEPARATION.
SAMPLING
  PROBE
                                                       SAMPLING
                                                        NOZZLE
                                            NOZZLE ENTRY
                                                 PLANE
              STATIC PRESSURE
               OPENING PLANE
                                                                                            IMPACT PRESSURE
                                                                                             OPENING PLANE
                   SIDE VIEW; TO PREVENT PITOT TUBE
                   FROM INTERFERING WITH GAS FLOW
                   STREAMLINES APPROACHING THE
                   NOZZLE. THE IMPACT PRESSURE
                   OPENING PLANE OF THE PITOT TUBE
                   SHALL  BE EVEN WITH OR ABOVE THE
                   NOZZLE ENTRY PLANE.
          Figure 2-6.  Proper pitot tube - sampling nozzle configuration to prevent
          aerodynamic interference; buttonhook-type nozzle; centers of nozzle
          and pitot opening aligned; Dt between 0.48 and 0.95 cm (3/16 and
          3/8 in.).                                  n    °

-------
                       THERMOCOUPLE
                                                      Z>i.9flcm{3/4inJ
                           TYPE SPITOT TUBE
       ISAMPLE PROBE

              I
                                                                                             THERMOCOUPLE
                                                                                                                               Z>S.Oicm

                                                                                                                               "cw
                                                                                                                  -O-
                                                                                                     TYPE SPITOT TUBE
                                                                                    SAMPLE PROBE
                                   Figure 2-7. Proper thermocouple placement to prevent interference;
                                   Dt between 0.48 and 0.95 cm (3/16 and 3/8 in.).
             **	SNRfrT
              ,	gfrdS
                                                                            TYPE SPITOT TUBE
                                                 1
                                   SAMPLE PROBE
                                                                                      Y>7.62cm(3inJ
  Figure 2-8.   Minimum pitot-sample probe separation needed to prevent  interference;
  D   between  0.48 and  0.95 cm (3/16  and 3/8 in.).
  4.1.2.1  The flowing gas stream must b« confined to •
duct of definite cross-sectional ar«>, either circular  or
rectangular. For circular cross-flections, the minimum
diict diameter shall be 30.5 cm (12 In.); for rectangular
cross-sections, the width (shorter tide) shall be at least
25.4 cm (10 in.).
  4.1.2 3  The crow-sectional area of the calibration duet
must b« constant over a distance of 10 or more duct
diameters. For a rectangular cross-section, ns« an equiva-
lent diameter, calculated from the following equation,
to determine the number of duct diameters:
                D,--
       2LIT
     "(L+W)
                                Equation 2-1
diameter
• here:
  /^, = Equival
   £- Length
   •*'= Width

  To ensure the pre?ence of stable, fully developed flow
patterns at the calibration site,  or "test section," the
si t* must be located at least eiplit diameters downstream
and two diameters up;>trfaru from the nearest disturb-
ances.
  NOTE.— The eleht- and  two-diameter criteria are not
absolute; other test «ection locations may be used (sub-
ject to approval of the Adrrumstrator),prov1ded that the
flow at the test site Is stable and  demoostrably parallel
to the duct ails.
  4.1.2.3' The  flow »y?tera shall  have the capacity to
trill-rule a tcst-f'ction velocity around 915 m/mln (3,000
n/mln). This velocity must be constant with time lo
guarantee  steady flow during calibration. Not* that
Type B pitot tube coefficients obtained by single-velocity
calibration at 915 m/min (3,000 ft/min) will generally be
valid to within ±3 percent for the measurement of
velocities above 305 m/mln (1,000 ft/min) and to within
±5 to 4 percent for the measurement of velocities be-
tween 180  and 305 m/min  (600 and  1,000 ft/min). If a
more precise correlation between C, and velocity Is
desired, the flow system shall have the capacity  to
generate at least four distinct, time-invariant test-section
velocities covering the velocity range from 180 to 1,525
m/min  (MO to 5,000 ft/min), and calibration data shall
be taken at regular velocity intervals over this range
(see Citations a and 14 In Section 6 for details).
  4.1.2.4 Two entry ports, one each for the standard
and Type B pilot tubes, shall be cut In the t&>t section;
the standard pitot entry port shall be located  slightly
downstream of the Type B port, so  that the standard
and Type 8 impact openings will lie in the same cross-
sectioiial plane during calibration. To facilitate align-
ment of the pilot tubej dunug calibration, it is advisable
that the test section be constructed of pleiiglas or some
other transparent material.
  4.1.3  Calibration Procedure. Note that this procedure
Is a general one and must not be  used without first
referring to the special considerations presented in Sec-
tion 4.1.5. Note also that this procedure applies only to
single-velocity calibration. To obtain calibration data
for the A and B sides of the Type S pitot tube, proceed
as follows:
  4.1.3.1 Make sure that the manometer is  properly
filled and that the oil is free from contamination and Is ol
the proper density. Inspect and l»-at-check all pitot lines;
repair or replace  if necessary.
  4.1.3.2  Level and tero the nanometer. Turn on I lie
fan and allow the flow to stability Seal the Type S entry
port.
  4.1.3.J  Ensure that the manometer Is level and icroed.
Position the standard pitot tube at the calibration point
(determined as outlined In Sction 4.1 J.I), and align the
tube so that its tip is pointed directly Into the flow. Par-
ticular care should b* taken in aligning the tube to avoid
yaw and pitch angles.  Make sure that the entry port
surrounding the tube is properly sealed.
  4.1J.4  Read AP.U and record its value In a data table
similar to the on* shown in Figure 27*. Remove tb*
standard pitot tube from the dnct and disconnect It from
the manometer. Seal the standard entry port.
  4.1.3.5"  Connect the Type S pitot tub* to the. manom-
eter. Open the Type S entry port. Check the  manom-
eter level and zero. Insert and align the Type S pitot tub*
so that its A side impact opening is at the same point as
was the standard pitot tube and Is pointed directly into
the Uow. Make sure that the entry port surrounding th*
tube is properly sealed.
  4.1.3.8  Read Ap. and enter Its value In the data tab!*.
Remove the Type S pitot tub* from the duct and dia-
oonnect it from the manometer.
  4.1.3.7  Repeat steps 4.1.3.3 through 4.1.3.C above until
three pair; of Ap readings have been obtained.
  4.1.3.8  Repeat steps  4.1.3.3 through 4.1.3.7 above for
the B  side of the Type S pitot tube.
  4.1.3.9  Perform calculations, as described in Section
4.1.4 below.
  4.1.4 Calculations.
  4.1.4.1  For each of the sli pairs of Ap readings (!.»,
three  from side A and  three from side B) obtained in
Section 4.1.3 above, calculate th* value «f the Type 8
pilot tube coclliocnt as follows:
                                                                    11-41

-------
PIT'OT TUBE IDENTIFICATION NUMBER:

CALIBRATED BYf.	-
                                                                  	DATE:	

RUN NO.
1
2
3
"A" SIDE CALIBRATION
' APstd
cm H20 '
(in. H205




APM
cmH20
(in. H20)



Cp (SIDE A)
Cp(s)




.
DEVIATION
Cp{i) • Cp(A)





BUNUO-.
1
2
3
"B" SIDE CALIBRATION
Apstd
crnHjO
(in. HzO)



•
APM
cmH20
(in.H20)



Cp (SIDE B)
CpW





' DEVIATION
Cp(t)-Cp(B)
•



     AVERAGE DEVIATION  = a (A OR B)
                                                S |Cp{s)-Cp(AORB)|
                                               1—	r— -*— MUST BE <0.01
         , (SIDE A)-Cp (SIDE B) |-*-MUST BE <0.01


                        Figure 2-9.  Pitot tube calibration d?ta.
  41 (3  Cr.'  .1-1. I'.r i'_.
si(Jc vui i"-o;r, i.>fron> C, '
ra"ii Is ;idc vai'ir o! f,'.-f; •
low in£ equ"'. ion

        Dcviation = CV . -r,,(A  or B)

                                   Equation  2-3

  Y.1.4 4  Calculate », the m.iapi deviation  from tlie
mean, for both the A and 1J sales of the pilot tube. Vse
the following equation:
                                                                                                          ' (side A or B)=-
           »-»(.) =
                           t  "

                                 Equation 2-2

 C, c. i—Type B pilot tube coefficient '
C,<.u> -Standard pitot tube coefficient; use 0.99 if the
        coefficient is unknown and the tube is designed
                                                             according to the criteria of Sections 2.7.1 to
                                                             2.7 Ji of this method.
                                                           =Velocity head measured by the standard pilot
                                                             tube,emHiO(in.H,0)
                                                        Az>.=Velocity bead measured by the Type 8 pilot
                                                             tube, cm H,O (in. HiO)
                                                     4.1.4.2   Calculate C, (side A), the mean A-slde coef-
                                                   ficient, and S, (side B), the mean B-elde coefficient;
                                                   calculate  the difference  between  these  two  average
                                                   values.
                                   Equation 2-4

  4.1.4.S Use the Type S pilot tul>e only if the values of
. (side A) and * (side B) are less than or equal to O.OT
and if tlip absolute value of Hie difference between  C,
(A) and C, (B) is 0.01 or less.
  4.1.5  Special considerations.
  4.1.6.1 Selection of calibration point.
  4.1.5.1.1  When an isolated Type S pilot tube is cali-
brated,  select a calibration point at or near tlie center of
the duct, and follow tlie procedures oulljned in Sections
4.1.3 and 4.1.4 above. Tlie  Type 6  pilot coefficients 10
obtained, i.e., ~, (side A) nnd C, (side B), will be valid,
so long  as either: (1) Die l.solaled pilot lube is used; or
(2) Ihe pilot tube is used with oilier components (noiile,
thermocouple, sample probe) In an arrangement that is
free from aerodynamic interference  effects (see Figures
2-0 through 2-8).
  4.1.5.1.3  For Type B Pil«l tube-thermocouple com-
binations (without sample probe),  select a calibration
point at or near the  center of the duct, and follow the
procedures outlined  in Sections 4.1.3  and 4.1.4 above.
The coefficients so obtained will be  valid so long as the
pilot  tube-thermocouple combination is used by itself
orwithothercomponentsin an interference-free arrange-
ment (Figures 2-6 and 2-8).
  4.1.5.1.3  For  assemblies  with sample  probes, the
calibration point should be located at or near the center
of the duct; however, insertion of a  probe sheath into a
small duct  may cause sipnilicanl  cross-sectional area
blockape and yield incorrect coefficient values (Citation II
in Section 6). There-fore, to minimize the blockage eflccl,
Ihe calibration point may  be a few inches off-center if
necessary. The actual blocl-npo effect will be negligible
when the  theoretical  bloHnqc, as determined  by a
projected-area model of tlie probe sheath, is 2 percent or
less of the duct cro^s-sectionnl nrca for assemblies without
external sheaths (Figure 2-10-.il, and 3 percent or less for
assemblies with external shrotbs (Figure 2-10b).
  4.1.5.2 For  those  prolw assemblies  in  which  pitot
lube-nozzle interference is a factor (i.e., those in wbicb
the piiot-noizel separation  distance fails  lo meel the
specification illustrated in lriRure  2-6a), the  value of
C,c> depends upon the amount of free-space between
the tube and nozzle, and therefore is a function of nozrle
sire.  In they* instances, s^p-irat* calibrations shall b«
performed with each of the commonly nsed nozzle sites
in place- Note that the sincle-velocity calibration tech-
nique is acceptable for tins purpose,  even though the
larger noizle'sizes O0.035 em or \i in.) are not ordinarily
used  for isokinetic sampling  at velocities around 815
m/min  (3,000 ft/min), which is lire calibration velocity;
note also that it is not mx-rv-ary to draw an isokmetio
sample  during calibration (see Citation IS in Section 6),
  4.1.5.3 For a probe  assembly constructed such that
Itj pitot tube is always used in Hie saraeptientation, only
one side of the pilot tube  nnod be  calibrated (the side
wluch will face the flow). Tlie pilot lube must still meet
the alignment specifications of r ipure 2-2or 2-3, ho» ever,
»nd must have an average de\ mtion («) value of 0.01 or
less (sec Scclion 4.1.4.4).
                                                                            IJ.-42-.

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                                         (a)
                                                            ESTIMATED
                                                            SHEATH
                                                            BLOCKAGE
r  .ixw     i
[pUCTAREAj
x  100
                             Figure 2-10.   Projected-area m.odels for typical pilot tube  assemblies.
   4.1.6  Field Dae and R (-calibration.
   4.1.6.1  Field Us*.
   4.1.6.1.1  When > Type 8 pitot tube (Isolated tube or
 assembly) Is used in the field, the appropriate coefficient
 value (whether assigned or obtained by calibration) shall
 be used to perform velocity calculations. For calibrated
 Type 8 pitot tubes, the A side coefficient shall be  used
 when tbe A side of the tube faces tbe flow, and the B side
 coefficient shall be used when the B side faces the flow;
 alternatively, the arithmetic average of the A and B side
 coefficient values may be used. Irrespective of which side
 (aces the flow.
   4.1.6.1.2  When a probe assembly is used to sample a
 •mall duct (12 to 36 in. in diameter), the probe sheath
 sometimes blocks a significant part of the duct cross-
 aectlon, causing a reduction  in  the effective value of
 ~, (.). Consult Citation » In Section « for details. Con-
 ventional  pilot-sampling  probe assemblies  are   not
 recommended for use  in ducts having inside  diameters
 •mailer than 12 Inches (Citation 16 m Section 6).
   4.1.0.2  Beralibration.
   4.1.6.2.1  Isolated Pitot Tubes. After each field use, the
 pitot tube shall be carefully reexamined in top, side, and
 end views. If the pitot face openings are  still aligned
 within the specifications illustrated in Figure 2-2 or 2-3,
 It can be assumed that the baseline coefficient of the pitot
 tube  has not changed.  If, however,  the tube has bwn
 damaged to the extent that it no longer meets the specifl-
 mions o( Figure 2-2 or 2-3, the dainMe shall either b*
 repaired to restore proper alignment of the face openings
 or the tube sliall bo discarded.
  4.1.6.2.2  Pitot Tuhe Assemblies. After each field  use,
 check the face opening alignment of the pitot tube, as
 In Section 4.1.G.2.1; also, rcmeasure the intcrcomponeat
 •pacings of the assembly. If the Intercompcnent spacings
 have  not changed  and the face  opening alignment u
 acceptable, It can be assumed that the coefficient of the
 assembly has not changed. If the face opening alignment
 la no longer  within the specifications of Figures 2-2 or
2-3, either repair the damage or replace the pitot tub*
 (calibrating the new assembly, if necrsjary). If the inter-
component spacincs hare changed, restore the original
ipacnigs or recalibrate the assembly.
  4.2  Standard pilot tube (If applicable). If a standard
pitot tube is used fur the velocity traverse, the tuta shall
be con:-truct
    34 97  M  L~lO).
                           3, 600— Conversion factor, sec/hr.
                            18.0- Molecular weight  of water,  g/g-mole  (lb-lb-
                               mole).
                           5.2  Average slock gas velocity.
                                                           P.M.

                                                           Equation 2-0

                          3.3  Average alack gas dry volumetric flow rate.
                                                         Equation 2-10
                          1. Murk, L. S. Mrdnnical Enjinccrs' Handbook. Now
                         York^ AlcGraw-IIill Book Co., Ir.e. 1951.
                          2. Perry. J. II. Cliemic-il Entfneers' Handbook. K«w
                         York. McUraw-IIiU IJo.ik Co., Inc. 1900.
                                                                        11-43

-------
  3 Shi (h.i'l.  It  T . W  E  To.1.1  a-nl W. R  Smith
Pirni/i" mro at Errors in Sl.icl" J- Mn|ilinq M< i^uri >"' "Is
I .S   I nvm>ninciilnl  I'rtiteMion  Aprnc\,   Rcsctirch
Tnun"l( J'.irk, N C. (TrcM-med :n thr Auriu il M' c;:nc of
tlu Air I'ollulion Control A^xxia'.ion, St  Louis, Mo.,
June H-1M. l'J70)
  4 Slund.ird Method for Sampling Slicks for Paniculate
Matter. In  1971 Bool of AST.M Statidjids, hart 23.
Philadelphia, Pa. 1971  ASTM Designation D-2928-71.
  5. Vcmiard. J. K. Elementary Fluid Mwhanjcs. New
York. John \\ilcy and Sous, Inc. 1047.
  6.  Fluid  Meters—Their  Theory  and  Application.
American Society of Mechanical Engineers, New  York,
N.Y 1159.
  7 ASHRAE Handbook of Fundamcntils. 1972. p. 208.
  8 Anuu:0 Book of ASTM Standards, Fart 26. 1974. p.
648.
  ». Vollaro,  R. F. Guidelines for Type S Pilot Tube
Calibration.  U.S.  Environmental Protection Agency.
Research Tmngle Park, N C. (Presented at  1st Annual
Meeting,  Source Evaluation Society, Dayton,  Ohio,
September 18, 197S.)
  10. Vollaro, R. F. A Type S Pilot  Tube Calibration
Study. U.S. Environmental Protection Agency.  Emis-
sion  Measurement   Branch,  Research Triangle  Park,
N.C. July 1974,
  11  Vollaro, R. F. The Eflects of  Impact Opening
Misalignment on the Value of the Type S Pilot Tube
Coefficient.  TJ.8  Environmental Protection Agency,
Emission  Measurement  Branch,  Research  Triangle
Park, N.C. October 1976.
  12. Vollaro, R. F. Establishment of a Baseline Coeffi-
cient  Value lor Properly Constructed Type  S  Pilot
Tubes. U.S.  Environmental Protection Agency,  Emis-
sion  Me.isurement  Branch,  Research Triangle  Park,
N.C.  November 1974.
  13. Vollaro, R. F. An Evaluation  of SingleA'elocity
Calibration Techniques as a Means of Delerminine Type
S Pilot Tube Coefficients. U.S. Environmental Protec-
tion Agency, Emission Measurement  Branch, Research
Triangle Park,  N C. Augusl 1975.
  14. Vollaro, R. F. The Use of Type S Pilot Tubes lor
the Measurement of Low Velocities. U.S. Environmental
Protection Agency, Emission  Measurement  Branch,
Research  Triangle  Park, N.C. November 1876.
  15.  Smith, Marvin L.  Velocity Calibration of EPA
Type  Source Sampling Probe.  United  Technologies
Corporation, Pratt and  Whitney Aircraft Division,
East Hartford, Conn. 197S.
  16. Vollaro, R. F. Recommended Procedure for Sample
Traverses in  Ducts Smaller than  12 Inches in Diameter.
U.S   Environmental  Protection  Agency,  Emission
Measurement Branch,  Research Triangle  Park,  N.C.
November 1976.
  17. Ower, E. and K  C. Pankhurst.  The Measurement
of Air Flow, 4th Ed., London, Pcrgamou Press. 1966.
  18. Vollaro, R. F. A survey of Commercially Available
Instrumentation for the Measurement of Low-Range
Gas Velocities  U.S. Environmental Protecliun Agency,
Emission  Measurement  Branch,  Research  Triangle
Park  N.C. November 1976. (Unpublished Paper)
  19.  Gnyp, A. W., C. C. St. Pierre, D. 8. Smith. D.
Mouon, and J.  Sterner. An Experimental Investigation
of the  EBcct of Pilot Tube-Sampling  Probe Configura-
tions  on Ihe  Magnitude of the S  Type Pilot Tube Co-
efficient  for Commercially Available  Source Sampling
                                                        ri"bi
        TVijM:.,! I ,  Ihi- Vi. *••-  \ c.'V ,• .1 nr f.ir the
         ol the J.i.\ jnuiuu i 1. 'K  * '•", < j .a'J-i  t ' 'J-
METHOD  3-G*?  ANALYSIS  FOR  CtRRov  r»n\ii>«,
  OXVGI..S, EXCLSSAIK, AM>l>ci Motrc LLAFI \\ Liniir

1. Principle and Applicability

  1.1  Principle. A pas sample Is c-itricted from a stack,
by one  of tlic lollow-ing methods: (1) single-point,  grab
sampling, (2) single-point, int»-£rfatcd sampling; or (3)
multi-point,  integrated sampling.  The gas sample is
analyzed for rx-reent carbon dioxide (COi), percent oxy-
gen (O:), and, If necessary,  percent carbon  monoxldt
(CO). If a dry molecular weight determination Is to be
made, either an Orsat or a Fynle > analyzer may be used
lor the analysis; for excess air or emission rale correction
factor determination, an Orsat analyzer must be u«cd.
  1.2  Applicability.  Tnis  method Is applicable for de-
termining COi and Oi concentrations, excess air, and
dry molecular weight of a sample from a ga« slreom of a
fossil-fuel combustion process. The method u*a> also b*
applicable toother processes where It hasl>eendri«rinlnAd
that compounds other than COj, Oj. CO, and nitrogen
(Ni) are  not present in  concentrations  sufficient to
aficcl the results.
  Other methods, as well as modifications to the proce-
dure described herein, are also applicable for ?omc or &11
of the above determinations. Examples of sjK-cIfic meth-
ods and modifications include' (1) a  multi-i>oint samp-
ling method using  an Orsat anaJyier to  analyze indi-
vidual grab samples obtained at eath point; (2) a method
using COi or Oi and stoichiometric calculations to deter-
mine dry molecular weight  and excess air; (3) assigning •
value of 30.0 for dry molecular •» eight, in  lieu  of actual
measurements, for processes burning natural gas, coal, or
oil. These methods and modifications ma> be uvd, but
are subject to the approval of the Administrator.

2. Apparattu

  As an alternative to the  sampling  apparatus and sy»-
tems  described herein, other sampling sj stems (e.g.,
liquid displacement) may be use
-------
                         .PROBE
                                                 FLEXIBLE TUBING
                 FILTER (GLASS WOOL)
                                     SQUEEZE BULB
                                                                        •TO ANALYZER
                                  Figure 3-1.  Grab-sampling train.
                                                 RATE METER
          AIR-COOLED
          CONDENSER
PROBE
    \
       FILTER
     (GLASS WOOL)
                                     RIGID CONTAINER
                          Figure 3-2. Integrated gas-sampling train.
                                        11-45

-------
  « " ?  Condenvr. An sir-cooled or water-cooled cop-
denw'  or  other condenser that will not  remove O,.
CO,. CO, and Nj. may be us/- d to mnove excess roou ur»
which would interfere »itb the  operation of the pump

^"rValvf'A needle valve Is used to adjust sample

EI2 ST Pu'mp. A  IcaV-fre*. diaphragm-type  Pump. «
equivalent is used  to transport sample gas to the flexible
bag  InsUU a mail surpe tank between the pump and
rail meter to euminal* the pulsation eflect of the dia-

pl??«n RMePMeter .Vhe rotamcter, or  equivalent rate
meter, used should be capable  of njc?suri"«Jlor I.-1
to within ±2 percent of the selected now  ret*. A Bow
nit range of 500 to 1000 cm"min is »H!«J«*-   --^
  2.2.6  Flexible Baz. Any leak-free plastic (e.g., TeflUtf,
Mylar, Teflon)  or plastic-coated  »'un}ll"1i™  (e.E'- ^f±
nlMd Mylar)  bag, or equivalent, harm? a capacity
wr^iteitlritbihe selected flow rate and  time length
of tbe test run, may be used. A capacity in the range of
K to 80 liters is suggested.
  To leak-check the bag, connect it to a water manometer
»nd ,^n» the baTto 6 to 10 cm H,O  (2 to 4 In H,0>
Allow to «und for 10 minutes. Any displacement in the
water manometer indicates a leak An »lt*n»»t>»« >«*:
ebec): method Is to pressurize the bag to 5 to 10 cm i HrO
(2 to 4 In HrO) and allow to stand overnight.  A deflated
from !(«• iKTicnt. CeJnilate the dry molecular wclplit as
liidirau-d in Section fl.3.
  3.2^ Reix«t the analysis and calculation procedures
until the individual dry molecular weights lor any three
a-mlysej  diner  from  their mean  by no  more than O.S
g/g-mole  (OJ Ibflb-mole). Average  these three molecular
weights, and report the results to the nearest 0.1 g/g-mole
(0.1 Ib/lb-mole).
  8.3  Multi-Point, Integrated Sampling and Analytical
Procedure.
  SJ.l  Unless otherwise specified by  tbe Adminis-
trator a minimum of eight traverse points shall b* used
for circular stackk .having diameters less then 0.81 m
(24 in.), a minimum of nine shall be uwd for rectangular
stacks having  equivalent diameters less than 0.811 m
(24 in.), and a minimum of twelve traverse points shall
be used lor all other  cases. Tbe traverse  points shall be
located according to  Method 1. The use  of fewer points
is subject to approval of the Administrator.
   332  Follow the procedures outlined In Sections 3.2.2
through 3.2.5, except for the following: traverse all sam-
pling points and sample at each point lor an equal length
of time. Record sampling data as shown in  Figure 3-3.
 EaommendVby the manufacturer, unless otherww
          r^Molcnilar Weight Determination. An Orsat
 •nalywr orVyrlte type combustion gas analywr may b.

        Emission Rat« Correction Factor or          -
4.  Er,,if.or. J'.all Cu'trel:.>n facl^r a Jllf'.'» .1" 1'iln-
   ii.ir.alton

  NOTF —A F>r;tM>pe cnmlvuMion paf analyzer l« not
acceptable for ciu-is, air or en-nnou rait com-clion lurlor
drleriuJmuon.  unless approvrd by the Administrator.
If both percent CO, and  |»rccnl Oi are inrasured, the
anah-ticol rriuhs of any of the three procedures gi\en
below may also be used for calculating tlie dry molecular

  Each of the three procedures below shall be uwd  only
when specified in an applicable suhpan of the standards.
The use of these procedures for other purposes must  have
specific prior approval of the Administrator.
  4.1 Single-Point, Grab  Sampling  and  Analytical

  4°Tl ""he sampling point In the duct shall either be
at the centroid  of the cross-section or at a point no closer
to the walls than 1.00 m (3.3 ft), unless otherwise specified
by the Administrator.
   4.1.2  Bet up  the equipment as shown in Kigure 3-1,
makinc sure all connections ahead ol the  analyzer are
tight and  leak-tree. Leak-check the Orsat  analyzer ac-
cording to tbe  procedure described in  Section 6.  Thu
leak-check Is mandatory.
 ». Z>rf MofceuJor B'tiffW Determmalin
   AUT of the three sampling and analytical procedures
 described below may boused for determining the dry

               omt,  Grab  Sampling  and  Analytic*

     M|UTrie sampling point In the  duct shall either be
 at {he centre Mrftne*cr£s section or at a point nodoser
 Stoewalbthan 1.00m (3.3 ft), unless otherwise specified
TIME




TRAVERSE
PT.
-
x
f

AVERAGE
a
1pm





% DEV.8


i


             %DEV=
   t3                                in Figure 8-1,
  makmg «re all eections ahead of tbe »™%«t»"
                                Qavg
    (MUST BE < 10%)
                                                                         Figure 3-3.  Sampling rate data.
    SS™
  rromTf£p1rcent Calculate the dry molecular weight a,
                            , analysis, and calculaUon
           he sampling point In the duct shall be located

                               the  flexible  bag a, in
   413  Place the probe In the stack, with the Up of tbe
  Drobe positioned at the sampling point; purge the sam-
  pling line. Draw a sample Into the analyier. For emission
  rate correction factor determination, immediately  ana-
  lyie the sample, as outlined in Sections 4.1.4 and 4.1.5,
  lor percent CO, or percent O,.  11 excess air Is desired,
  proceed as follows: (1) Immediately analyze the sample.
  as in Sections 4.1.4 and 4.1.5,  lor percent  CO,. O,, and
  CO-  (2) determine the percentage ol the gas that Is N,
  by subtracting the sum of tbe percent CO,,  percent O,,
  and  percent  CO  from 100 percent:  and (3) calculate
  percent excess air as outlined in Section 6.2.
   414  To ensure complete absorption of the CO,, Oi.
  or if applicable, CO, make repeated passes through each
  absorbing  solution until two consecutive readings are
  the same Several  passes (three or four) should be made
  between  readings.  (If constant  readings  cannot be
  obtained after three  consecutive readings, replace the

          Baeat.n.  The sampling run
   sbouW  £ Staneous with, and  for the same total
   if^rth nttlme as  the pollutant emission rate detcrmlna-
   Uof ^UecUon of a, least 30 liters (1.00 ft«) of sample gas
   to ?efornmended; however, smaller volumes may  be

                     Integrated flue  gas sample  during
    y      uwTlt  Is recommended that the  Orsat leek-
     £**escribed  in Section 5 be ^1°™^^°'^.
   determination; however, the check U optional. Deter-
   mine tbe percentage of the gas that is N! and CO by sub-
   Sictingthe sunToI  the percent CO. and percent Oi
                    analysis  to  completed, leak^beck
  (mandatory) the Orsat analyzer once again, as described
  Insertion 5. For the results of the analysis to be valid
  the Orsat analyier must pass this leak test before and
  after the analysis. NOTE.—Since this single-point^ grab
  sampling and analytical procedure Is normally conducted
  Slonlunctlon with  a single-point, grab sampling and
  analyt cal procedure for a pollutant, only  one analysis
  is ordinarily conducted. Therefore, great care must  be.
  taken to obtain a valid  sample and analysis Although
  irTmost cases only CO, or 6, Is required. It  Is recom-
  mended that both CO, and O, be measured, and that
  Citation 5 In the Bibliography be used to vabdaU the

  "4.21   Single-Point. Integrated Sampling and Analytical

  P4°2*dUThe Minpnng point m the duct shall be located
  as specified in Section 4.1.L     ,  ..  «  n-i  *.      I-
    4 22  Leak-check (mandatory) the flexible bag as In
  Section 2.2.6. Set up the equipment as shown in Figure
  3-2 Just prior to sampling, leak-check (mandatory) the
  train by placing a vacuum gauge at the condenser inlet,
  pulUng a vacuum of at least 250 mm Hg (10 In. Hg).
  pluggir-g tbe outlet at tbe quick disconnect,  and then
                        11-46 •
  turning ofi the pump. The vacuum shall remain stable
  for at lca.n 0.5 rumule. Ev»ou»U the floiible bag. Con-
  nect the probe and place it in the stack, with the Up of the
  probe positioned at the sampling point; purge the sam-
  pling line.  Next, connect the bag and  make sure tnat
  all connections are tight and leak free.
    423 Esmplc at a constant rale, or as specified by the
  Admimnrator. The sampling run must be simultaneous
  with  and lor the same loul length of lime as, the pollut-
  ant  inu^-ion rale determination.  Collect' at  least 30
  liters (1 00 ft') of sample gas. Smaller volumes may be
  collwied. subject to approval of the Admini-Orator.
    424  Obtain one  integrated flue gas sample during
  each ittUutant emission rule determination. For emission
  rale correction factor determination, analyze the sample
  within 4 h"urs after it is tnken for percent CO.or percent
  O,  (as ouiuned in Sections 4.2.5  throupb 42.7)  The
  Orsafar-alyLor must  be  leak-checked .(see Section S)
  before tbe analysis.  If excess, air is desired  proceed as
  follows- (1) within 4 hours alter the sample is taken
  anal"e «  as in Sections 4.2.5 through 4.2.7, or percent
  CO,. Oi. and CO; (2) determine tbe percentage of the
  gas that is Nt bv subtracting the sum of the percent COi,
  pfrcenl O,. and percent CO from  100 i*«*nt; (3) cal-
  culate percent excess air, as outlined in  Section 6.2
    4 •> 5  To ensure complete absorption of the CO,, Oi.
  or If api .Loable, CO, make relocated passes  through each
  absorbing solution until two consecutive readings are th»
  same Several passes (three or four) shoilld be made be-
  tween readings. (11 constant reading' cannot be obtained
  8lt« thMTconsccutlve readings, replace the absorbing

  "^e^Repeat tbe analysis until  the following criteria

  "J °6.V   For percent CO,, repeat the analytical  pro-
  cedure unu! thJrtsults of any three Im»1>'50,^1'»
  nnttl tbe results ol any three analyses difler by no mor»

-------
than (a) 0 3 r» roent by volume when Oj is liss than 15.0
percent or »b) 0.2 pt rcvnt by volume •» lw.n Oi is greater
than 15 0 percent. Average the thr-e acceptable values of
percent Oj and  report  the  results  to  the nearest  0.1
         For percent CO, rep. at  the  gna]>tlca! proce-
dure until the results of any three anal>.-<-s differ by no
more  than 0.3  percent. Average  the  three  acceptable
values of percent CO and report the results to the nearest

 •^T^After  the  ftnaiysis  is  completed,  leak-check
(mandatory) the Orsat analyzer once a^ain, as descnbed
in Sections. For the results of the analysis to be valid, the
Orsat analyzer must  pass this leak test before and after
the analysis. Note: Although in most instances only COi
or Oj  is required. It is recommended that both COi and
Oi be measured, and that Citation 5 in the  Bibliography
be used to validate the analytical data.
  4.3  Multi-Point, Integrated Sampling and Analytical
Procedure.           *
  4 3.1  DOth the minimum numb'-r of sampling points
and the sampling point location shall  be as specified  In
Section 3.3.1 of tins method. The use of fewer points than
ipecified is jobjcct  to the approval of the Administrator.
  432  Follow the procedures outlined in  Sections 4.2.2
through 4.2.7,  except  for the following:  Traverse all
sampling points and sample at each point for an equal
length of time. Record sampling data as show n in Figure
3-3.
S. Leak-Cluck Proeciluri for Ortal Analy:irt

  Moving an Orsat analyzer frequently causes it to leak.
Therefore  an Orsat analyzer should be thoroughly leak-
checked on site before the flue eas sample  is  introduced
Into it. The procedure for leak-checking an Orsat analyzer

  8.1.1  Bring the  liquid level In each pipette up to the
reference mark on the capillary tubing and  then close the
pipette stopcock.
  412  Raise the leveling bulb sufficiently to bring the-
confining liquid meniscus onto the graduated portion of
the burette and then close the manifold stopcock.
  51.3  Becord the meniscus po.-ition.
  514  Observe the meniscus in the burette and the
liquid level in the  pipette for movement over the next 4

"Yui  For the, Orsat  analyzer to pass the leak-check,
two conditions must be met.
  5151  The liquid level In each pipette must not fall
below.the bottom of the capillary  tubing during this
4-mlnutelntcrva).                         •
  i 1 5 2  The meniscus In the burette must  not change
by more than 0.2 ml during this 4-minute interval.
  5 1 «  If the analy tcr fails the leak-check  procedure,  all
rubber connections  and  stopcocks should be checked
until the cause ofthe leak is Identified. Leaking stopcocks
must be disassembled, cleaned, and regreased. Leaking
rubber connections must be replaced. After the analyrer
Is reassembled, the leak-check  procedure must  be
repeated.
8.  Calculntiont

  8.1  Nomenclature.
     Mj— Dry molecular »eight, g.g-mole (Ib/lb-mole).
   %EA-Percent excess air.
  %COi-Percent COiby volume (dry basis).
   %Oj—Percent Oi by volume (dry basis).
   %CO-Percent CO by volume (dry basis).
   %Ni-Percent Niby volume  (dry basis).
   0.204= Ratio of Oi to Nj in air, v/v.
   0 280-Molecular weight of Ni or CO, divided by 100.
   0.320-;Molecular weight of Oi divided by 100.
   0.440-Molccular weight of COi divided by 100.
  6.2  Percent Excess Air.  Calculate the percent excess
air (if  applicable),  by  subslituling  the  appropriate
values of percent Oi, CO,and Ni (obtained from Section
4.1.3 or 4.2.4) into Equation 3-1.
                   %0,-0.5%CO
            	I \f]Q
            ).2G4%N,(%0,-0.5%CO)J  ""

                                    Equation  3-1

  NOTE—The equation  above assumes that  ambient
air is used as the source of Oi and that the fuel does not
contain appreciable amounts of Nt (as do coke oven or
blast furnace gases). For those cases when appreciable
amounts of Ni are present  (coal, oil, and natural gas
do not contain appreciable amounts of NI)  or when
oxygen enrichment is used,  alternate methods, subject
to approval of the Administrator, are required.
  63  Dry  Molecular  Weight. Use  Equation 3-2 to
calculate the dry  :nolecular weight of  the stack  gas

  Wi=0 440(CiCO.')+0 320(^O:)-r0.280(7cNi+';
-------
        FILTER
 (EITHER  IN  STACK
OR  OUT OF  STACK)
                               .*
STACK
 WALL
                                                                               CONDENSER-ICE BATH SYSTEM  INCLUDING
                                                                                                         SILICA GEL TUBE —7
                                                                                                                     AIR-TIGHT
                                                                                                                        PUMP
                                           Figure  4-1.   Moisture  sampling  train-reference method.
  2.1.1  Probe.  The  prob«  is constructed of stainless
 iteel  or  glass tubnuj,  sufficiently  heated to prevent
 water condensation, and is equipped with a filter, either
 In-stack (e.g,, a plug of glass wool inserted Into the end
 of the probe) or heated out-slack (e.g., as described in
 Method 5), to remove particulale matter.
  When stack conditions permit, other metals or plastic
 tubing may be used for the probe, subject to the approval
 of the Administrator.
  2.1.2  Condenser.  The  condenser  consists of  four
 Imjtinjrers connected  in scries with ground glass, leak-
 free liltlncs or any similarly leak-free non-contaminating
 fittings. The first, third, and fourth impingers shall be
 of the Greenburg-Simlh design, modified  by replacing
 the tin with a  1.3 centimeter (M inch) II) glass tube
 extcnojrg to about 1.3 cm ($$ in.) from the l>ottom of
 tli« flask. The second inipiiiper shall be of the Greenburg-
 Brmlh design with the standard tip. Modifications (e.g.,
 D5inc flexible ronnecnons bw ween the impinecrs, using
material* other than class,  or usins flexible vacuum lines
 to connect  the filter holder to the condenser) may bo
used, subject to  the approval of the Administrator.
  Tbe first  two Impmcers  shall contain known volumes
of water, the third shall be empty, and the fottrth shall
contain a known weight of 6- to 10-mesh Indicating type
silica  gel, or equivalent desiccant.  If the silica gel has
been previously  used, dry at 175° C (350° F) for 2 hours.
 New silica gel may be used as received. A thermometer,
capable of measuring temperature lo within 1° C (2° F),
shall be placed st the outlet of the fourth linpinger, for
monitoring purposes.
  Alternatively, any  system may be used 'subject to
 the appioval of the Administrator) that roots the sample
gas s'.rearo  and  allows ncasurcment of both the water
that  ha:> been condensed and the moisture leaving the
condenser, each  to within 1 ml or 1 g. Acceptable means
are  to jneasure tbe  condensed water,  either  gravi-
metrically or volumetrically, and to measure the mois-
ture  leaving  the condenser by:  (1) monitoring  tbe
 temperature and pressure  at the exit of the condenser
and using Dallon'5 law of partial pressures, or (2) passing
          the sample gas stream through  a  tared  silica gel  (or
          equivalent disiccant) trap, with  exit gases kept below
          20° C (68° F)  and determining the weight gain.
            It means other than silica get are used lo determine the
          amount of moisture leaving the condenser, it is recom-
          mended that silica gel (or equivalent) still be used  be-
          tween  the condenser  system and  pump, to prevent
          moisture condensation in  the  pump and   metering
          devices and to avoid the need  to make corrections for
          moisture in the roetered volume
            2.1.3  Cooling  System  An ice bath container  and
          crushed ice (or equivalent) are used to aid in condensing
          moisture.
            2.1.4  Metering System  This system Includes a vac-
          uum gauge,  leak-free pump, thermometers capable of
          measuring temperature to within  3° C (5.4° F), dr>  gas
          meter capable of measuring volume to within  2 percent,
          and related equipment as shown in Figure 4-1.  Other
          metering systems,  capable of maintaining a  constant
          sampling rate and determining sample gas  volume, may
          be used, subject to the approval  of the Administrator.
            2.1.5  Barometer  Mercury, aneroid, or  other barom-
          eter capable of measuring atmospheric pressure to within
          2.4 mm Hg (0 1 in. OB) may be used. In many ca^cs.  the
          barometric reading  may be obtained from  a nearby
          national weather service station,  in which case the sta-
          tion  value (which is  the absolute baromelric pressure)
          shall  be requested  and  an  adjustment  for  elevation
          differences between the weather  station  and the sam-
          pling point shall be applied at a rate of minus 2.5 mm  Hg
          (0.1 in. Hg) per 30  ra (I(10 ft) elevation iucrca.se or rice
          versa for elevation decrease.
            2.1.8  Graduated   Cylinder  and/or  Balance. These
          Items are used to measure condensed water and mot-lure
          caught in the silica gel to within I ml or 0.4  g. Graduated
          cylinders shall have subdivisions  no  greater than 2 ml.
          Most laboratory balances are capable of weighing to the
          Dearest 0.4 g  or  less. These  balances are suitable  for
          nse here.
            2.2  Procedure. The following procedure  Is written  for
          a condenser system  (such as the impinger system de-
                                                                                                        scribed in Sectinn 2.1 2) incorporating volumetric analy-
                                                                                                        sis to measure the condensod moisture, and silica gel and
                                                                                                        gravimetric analysis to measure tbe moisture leaving lh«
                                                                                                        condenser
                                                                                                          2.2.1   Unless otherwise specified by the Administrator,
                                                                                                        a minimum of eight traverse points  shall be used for
                                                                                                        circular stacks having diameters less than O.G1 m (24 in.),
                                                                                                        a minimum of uiue points shall be used for rectangular
                                                                                                        stacks  having equivalent diameters  less  than 0.61 m
                                                                                                        (24 in ). an^ a mi.nmum of twelve trovers points shall
                                                                                                        be used in all  other cases. The traverse points shall tie
                                                                                                        located according to Method 1. The use of fewer points
                                                                                                        is subject to the approval of the Administrator. Select a
                                                                                                        suitable pr«/['e and probe length such that all traverse
                                                                                                        points can »•* sampled. Consider sampling from op|H>sit«
                                                                                                        sid< s of the  5'.3>~k (four  total sampling ports)  for  large
                                                                                                        stacks, to permit u=e of shorter probe lengths. Mark the
                                                                                                        prube with heat nsislant tain* or by some other method
                                                                                                        to denote the pror>er distance into the stack or duct for
                                                                                                        each sampling point. Place known volumes of water in
                                                                                                        the first two nnpingcrs. Weigh and record the weight of
                                                                                                        the silica gd to the nearest 0.5 g, and  transfer the silica
                                                                                                       •RC) to thr Jourth  implnger; nltenmlively, the silica gel
                                                                                                        may first i* transferred to the impinger, and the weight
                                                                                                        of the sihra pel plus impinger reeordcd.
                                                                                                          2.2.2   Erl»cl a total sampling time such  that a mini-
                                                                                                        mum total  ras Tuluine ol UM sen  (21 set) »jj) be col-
                                                                                                        lected, at a rate no greater than 0.021 m'/mln 10.75 clni).
                                                                                                        When both moistuie content and pollutant emission raU
                                                                                                        are to be determined, the moisture determination  shall
                                                                                                        be simultaneous with, and lor the same total length of
                                                                                                        time as. the pollutant emission rate run, unless othcrwiat
                                                                                                        spccl.ied in an applicable subpart of the standards.
                                                                                                          2.2.3  Stt up the sampling train as  shown in Figurm
                                                                                                        4-1. Turn on tbe probe healer and (if applicable) tn«
                                                                                                        filter  holing system to  temperatures of about 12(f O
                                                                                                        (248°  F), to  prevent water condensation ahead of tut
                                                                                                        eondcnwr. allow time for the temperatures to stabilize.
                                                                                                        Place crushed ice in the Ice bath container. It is recom-
                                                                                                        mended, but not required, that a leak check be done. M
                                                                                                        follows: Discoorject the probe from the first implncer or

-------
(If applicable) from the (liter hoMer. P!ug the Inlet to the
first impincer (or alter holder) and pull a KO mm (IS in.)
He vacuum  »lower vacuum may be us^d. provided that
it is not exceeded during the  test. A  irakage rate  in
excess ol 4 percent o( the avcraje sarai,l.n3 rate or O.OOOJ
m'/min  (0.02 cfm). whichever  is less, is unacce plable. •
Following the eak check, reconnect the  probe  to tne
sampling train.
  224   During the sampling run. maintain  a sampling
rate within 10 percent of constant rate, or as specified by
the  Administrator. For each run.  record the data re-
quired on the example data sheet shown in  Figure 4-2.
Be sure to record the dry cas rr.et<>r reading at the begin-
ning and end of each sampling time increment and »'hen-
  PLANT_
  : DCATICm..

  OPERATOR
  RUN N0._ __

  AMBIENT TEMPERATURE.

  BAROMETRIC PRESSURE.

  PROBE LENGTH mlh) _
ever sampling Is halted. Take other appropriate readings
at each sample point, at least once during each tun*
Increment.                                  .     .
  2 2.5  To begin sampling, position the probe tip at the
first traverse pouit. immediately «tart the pump and
adjust the flow to  the desired rate. Traverse the cross
section  sampling at each  traverse point  for an equal
length of time Add more ice and, if necessary, salt to
maintain a temperature of less than 20° C (13° F) at the
silica gel outlet.
  2.2.6  Aft«r collecting the sample, disconnect the probe
from the Glter holder (or from the first Impmgcr) and con-
duct » leak check (mandatory) as described in Section
Z2 .3. Record the leak rote. If the leatise rate etceeds thi
allowable rate, the tester shall either rejeit the test re
suits or shall correct the sample volume as in PecUon ft.l
of Method 5.Next, measure the  volume of the moistur«
condensed to  the nearest ml. Determine the increase in
weight of the silica gel (or silica gtl plus Impincor) to the
nearest 0 5 g  Beiord this information (see example data
sheet. Figure 4-3) and calculate Use moiiture percentage,
as described in 2.3 below.
  2 3  Calculations. Carry out the following calculations,
retaining at least one eitra decimal figure beyond that ol
the acquired data. Bound ofl figures after final calcula-
tion.
SCHEMATIC OF STACK CROSS SECTION
TRAVERSE POINT
NUMBER
======










•



TOTAL
AVERAGE
SAMPLING
TIME .
(0). mie,
=====

•









.




STACK
TEMPERATURE
•C ("F»
-•- 	 1











.


•

PRESSURE
DIFFERENTIAL
ACROSS
ORIFICE METER
(AH).
mmliiU H;0

















METER
READING
GAS SAMPLE
VOLUME
m3 (ft3)












•




AVm
m3(ft3>

-
















GAS SAMPLE TEMPERATURE
AT DRY GAS METER
INLET
(TmiB).QC(*F)












-


*»».
Avo..
OUTLET
fTm.rtl.'CPH











-



A»i.


TEMPERATURE
OF GAS
LEAVING
CONDENSER OR
LAST IMPINGER,
«C {°F>















"

                                                   Figure 4-2. Field moisture determination-reference method.
                                                                        11-49

-------

riNM.
INITIAL
DIFFERENCE
IWINGfK
VOLUME,
nl


•
SMCA GEL
»tK5Ht.
•



     Figure 4 3. Analytical d»U • reference method.
 2.S.1  Nomenclature.
     ^..-Proportion of water vapor, by volume, In
          the gas stream.
     MW- Molecular  weight ol water,  18.0 g/fe-mo)e
          (Ig.Olb/lb-mole).
     P_-=Absolute pressure (for this  method, same
          as barometric pressure) at the dry gas meter,
          nun Hg (in. Eg).
     J>,,w=Siandard  absolute pressure, "CO mm Hg
          (29.92 In. Hg).
    "  .R=ldeal gas constant, O.OC236 (mm Hg)  )/
          (K-mole) (°K) for metric units and 21.85 (in.
          Hg) (ft«)/(lb-mole) <°R)  for Enclish unlta.
      T.= Absolute temperature at meter, *K (°R).
     T.n=Standard   absolute  temperature,  293°  K
          .(S2S°R).
      Vm™ Dry gas volume measured by dry gas meter,
          dcm (del).
     AV.-Incramcntal  dry  gas volume measured by
          dry gas meter at each traverse point, dcm
           (def).
   V.<.i*>=Dry gas volume measured by the dry gas
           meter, corrected  to standard conditions,
          dscm (dscf).              .             .
  V..(.n>~Volume of water vapor condensed corrected
           to standard conditions, tern (act).
 Vm*t (• «) —Volume of water vapor collected  fa silica •
          gel corrected  to  standard conditions, son
          (scO.
       V/- Final volume of condenser water, ml.
       Vi** Initial volume, if any, of condenser water,
          ml.
       »',= Final weight of silica gel or silica gel plus

       IT,-* Initial weight of  silica gel or silica gel plus
          Impinger, g.
       y— Dry gas meter calibration factor.
       p.- Density of  water, 0.9982  g/ml  (0.002201
          Ib/ml).
 2.3.2  Volume of water vapor condensed.
                                      Equation 4-1
where:
  .Ki«0.001333 UI'/JD! for metric Units
    =0.04707 Iti/ml lor English units
  5.8.3 Volume of water vapor collected in  silica gel.

          „          (Wf-Wi)RT.«
                                      Equation 4-2
                                                                                         • 7*.-,
                                                                                          (Tm)
                                       KfjuulUm 4-3
whore:
  A">=0.3oS8 "K/mni Dg for metric units
    = 17.61 °Rlin. Ug tor English units

  NOTE.—If the post-test  leak rate (Section  226) ei-
ceeds  the allowable  rate,  correct the value of V. in
Equation 4-3, as described In Section 6.3 of Method 6.
  2.3.5  Moisture Content.
                  IT        _L. If
       r>          v*t (tH) ~1"  ' *•" <""O	
where:
  iT,-0.00)33i mVft tor metric units
    -0.04716 ft'/g for English units
  2.1.4 Sample gas volume.
             're («td) T • vit («l
                                     Equation 4-4

  NOTE —In saturated or  moisture  dioplet-ladcn gas
streams, two calculations ol the moisture content of the
stack eas shall be made, one usinp a value based upon
the saturated conditions (see Section 1.2), and another
based upon the results of the impinper analysis. The
lower of these two values of B.. shall be considered cor-
rect.
  2.3.0  Verification of constant sampling rate. For each
time  Increment, determine  the Al'«. Calculate  the
average. If the value for any time increment differs from
the average by more than 1" percent, reject the results
and repeat the run.

3. Approximation Mtthod

  The approximation method desinix'd  below is pre-
sented only as a suggested method (set Section 1.2).
  3.1  Apparatus.
. 3.1.1  Probe. Stainless steel or glass tubing, sufficiently
heated  to prevent  water  condensation and equipped
with a filter (either in-slack or healed out-slack) to re-
move particuiale matter. A plug of glass wool, inserted
Into the end of the probe, is a satisfactory filter.
  3.1.2  Impingers.  Two midget Impingers,  each with
30 ml capacity, or equivalent.
  3.1.3  lc«  Bath. Container and ice, to aid in condens-
ing moisture in impingers.
  3.1.4  Drying  Tube. Tube packed with new or re-
generated 6- to  16-mesh  indii-atmc-tvpe  silica  gel  (or
equivalent desiccant), to^dry the samjOe gas and to pro-
tect the meter and pump.
  3.1.5  Valve. Needle valve, to regulate the sample gas
flow rale.
  3.1.6  Pump. LeaV-free, diaphragm type,  or equiva-
lent, to pull the gas sample through the train.
  3 1.7  Volume meter. Dry gas meter, sufficiently ac-
curate to measure  the,sample  volume within 2%,  and
calibrated over the range of flow rates and  conditions
actually encountered during sampling.
  3.1.8  Rate Meter. Rotameter, to  measure the flow
range from 0 to 31pm (I) to 0.11 cfru).
  3.1.9  Graduated Cylinder. 25ml.
  3.1.10  Barometer. Mercury, aneroid, or other barom-
eter, as described in Section 2.1.5 above.
  3.1.11 Vacuum Gauge. At least 760 mm He (30 in.
Bg) gauge, to be used (or the sampling leak check.
  3.2  Procedure.
  3.2.1  Place eiactly S ml distilled  water In each im-
pinger. Assemble the apparatus without the probe as
shown in Figure 4-4. Leak check the train by placing a
vacuum gauge at  the lulet to the  first impingcr and
drawing a vacuum of at least  250 mm Bg (10 in. Hg),
plugging the outlet of the rotametcr, and then turning
off tie pump. The vacuum shall remain constant for at
east one minute. Carefully release  tbe vacuum gauge
Ibefore unplugging the rotameter end.
                                                  11-50-

-------
HEATED PROBE
                  SILICA GEL TUBE
RATE METER,
    VALVE
  MIDGET 1MPINGERS               PUMP

       Figure 4-4. Moisture-sampling train - approximation method.
 LOCATION.
 TEST	
                                                 COMMENTS
 DATE
 OPERATOR
 BAROMETRIC PRESSURE.
CLOCK TIME

m



GAS VOLUME THROUGH
METER, (Vm)*.
m3 (ft3)

_



RATE METER SETTING
mVmin. (ft3/min.)





METER TEMPERATURE,
°C (°FJ
•




   Figure 4-5.  Field moisture determination - approximation method.
                               11-51

-------
 T"  Cmu "-••
 rnV.Vii' ac/>-
 -":,,"  u'lil  ti
,,r4  (, l  I,.., or r,
  r  Irn- tl,f  I.r
      ""
          t U IM'.O ll.e •' .A  a:i.cui.l
                   ' I"1'*
                   ir,"o!
                    do
                                                           334  A-I'l
    ; of t.e t c
                        the  '--aiple.  a.c.Wnf the con-
                      r, ,»d mclur, the voS^e to tb.
"U(?y" c. vniaiions Tlif c-'cul-tlon method prevnted is
 detuned  to en.fate  the moisture in the  nack  fas;
 ihe^,/ore  other data,  which are only  necessary for iao-
 ciirete moisture due'ninMions. are not-collected.  The
 In lowlnn  eouauon. adequately eslimatf  the moisture.
 content for the pi_-Sx^ ol determining tokinetlc sam-
 plinp role wturzs.
  331  Nornrrr'a'ure.
     B . —Appronr^ale  proportion,  by  volume,  ol
       ""   ualer vapor in the cas stream leaving the
           secord in:p:nper, O.CCi.
      B.. = V. ft!" vapor in tlie cas stream, proportion oy

      A/.-Jlolecuiar  wclcbt of water,  18.0  g,'g-mole
           (18 0'bib mole)
      P -Xb'o'ute pressure (for this  method, same as
           taro'rr.etric pn.iswre) at the dry fas mfleT^
      P ,j=.Smrr:«rd  sl.solute pressure,  .00 mm  tig
       '   (Vj tr- i*n  11 e)
        P = Ideaf C'TS en-!sUmt, 0 OG3S (mm  Hg)  (m^/
           (B-mole)  (°K)  for  metnc  units  and  21 JO
           (m   Ug)  (ff)/lb-mole)  (°R)  for  Engtab
           units.                         er /«n\
       T. = Absc',ute temperature at meter,  Ik. ( JU
      T .jDElar.dard  absolute  temperature,  ."JJ   li.
       *   (528° R)
       V',- Final volume of implnper contents, ml.
       V.-Initial voUimeofimpinpej-conteJils.ini.
       V. = Dry pas volume measured by dry gas meter,

   1'  i  m=-Drv pas volume measured by dry gas meter,
        •   corrected   to  ttandard conditions,   dscm

  V  i ,<>=Vo!uine of water Tapor condensed, corrected

    "  ,  .^^^t^S^W&BOlIb/tal).
        Volume of water  vapor collected.
   332
                                                                       <__  -f (0025)

                                                                        Equation  1-7
                                     procedure  ol  Method 5, Action S.7  to cV.ibrjie the
                                     barometer.

                                     5. Btt'ltofTap^l
                                       1. Air roUution Eiicincrriii^Manual |5< coi.d Edition).
                                     Dan
                                     ASe
                                     Re».

                                     1923'Devorkin. Howard, et »1 Air Pollution Fource Test-
                                     ing'Manual. Air I'olluuon Control District, Los Angeles,

                                     Calif. N""ml^.  «2«-      ..	-,,,lty.  Volume.
                                                          amebon, I. A. (ed ). L'.S. tnvirom: en:al I roietiion
                                                          cency. OfTice of Air Duality IMauning »nd t-landards.
                                                          e'earcii Triangle Park, K.C. 1'ublication No. A}'-10.

                                                          'i'bevorkin. Howard, et »1 Air Pollution Fource Test-
                                                          m'Manual. Air I'olluuon Control District, Los Angeles,

                                                         ""^''M^thods tor' Determination  of Velocity, Volume.
                                                         Dust and Mist Content of C.v  W^tem rrecipMatiou
                                                         Division of Joy Manufacturing Co , Los Angeles, Call!.
                                     Bulletin W P-40. 1968.
             •tr   	
              'ire — "
                                     Equ.-xtion  4-5
   K, = 00013.13 n.'.inl 'or metric units
      -0 04707 fl'.ml for Engluh units.

   3.3 3  Gas volume.
                            Tm
                                     Equation 4-6
  T h', = 0 3RM "Konio TTf! for metric units
      = 17.M °R/m  HE for English units
                                                        11-52

-------
 WETHOH  «— DITEKMIXATION   or  St'iri it  nioin-x
        Emssioss Faou STATIO.SAM EUVKILS

 1. Ptiucifb *»4 Awiutbilitf

   1.1  Principle  A mi sample is «lre<-l<>d from  the
 sampling  point in the  stack.  Tbe sulfuric acid mm
 Uncludjng  sulfur  tnoxide)  and tbe «ulfur  dioxide  arr
 separated   Tbe sulfur dioxide  Irecuon 15  measured by
 toe barium-tborin tnretion method.
   1.2  Applicability  This met bod  u applicable (or  tbe
 determination of sulfur dioude emissions from stationary
 sources. Tbe  minimum  detectable limit of dropen peroiide. at a rale ol 1 0 1pm for
 X minute;. Baaed on theoretical calculations. Uie upper
 concentration limit in a 20-luer sample is about W.XX
 me'm'.
   Possible Interlerenu are free  ammonia, water-toluble
 cations, and  fluoride;.  The cations and  fluorides  are
 removed by tlass * ool fillers and an isopropaiiol bubbler.
 and benoe do not affect the  SO; arialvju * hen sampler
 are beinf takrn from a ras stream  with lugh concentra-
 tions of very line metallic fumes  (nub as In Inlrlt to
 control devices), a hich-emacncy glass nlxr filler mu.«i
 be used in  plan of the glass wool plug ti e., tb* one in
 the probe1 to  remore the ration inierftrem?
   Fr«e anunouia interferes by reacting v.ith SOi to form
 Paniculate lulfiie and by reacting with tbe indicator
 If free ammonia » present (tbis ean be determined by
 knowledge of  the process and nolu-mf while paniculate
 •latter in the probe and isopropenol bubble:), alterna-
 tive metliods. subject to the approval ol tbe Adrniiustra
 tar,  U.S.  Environmental  1'rciMion  Agency,   an
 required.
   11  Sampling.	_	  _.
 *-!, and component parts  are  discussed below. ~Tbe
 tester  bai the  option of substituting sampling equip-
 ment described In Metbod 8 in place of tbe midget 1m-
 plnger equipment of Metbod 6 However, tbe Method 8
 train must be modified to Include a heated filter between
 the probe and laopropanol impinger, and tbe operation
 of the sampling train and sample analysis must be at
 the flow rates and aolution volumes defined in Metbod 8
  The tester also has the option of determining SGi
 simultaneously with  paniculate  matter  and moisture
 determinations by (1) replacing the water In a Metbod i
 impinger system with t percent perioxide solution, or
 OK by replacing the Metbod i water impinger system
 with a Metbod 8 Isopropanol-filter-peroxlde system. Tbe
 analysis  for SOi must be consistent with tbe procedure
 IB Method 8.
  11.1   Probe. BorosUicate glass, or stainless steel (other
 materials of construction may be used,  subject to tbe
 approval of the Administrator),  approximately  6-mm
 inside diameter, with a beating system to prevent water
condensation and a filter (either In-slack or heated out-
ftack)  to remove paniculate matter, Including luUuric
add mist. A plug of glass wool Is a satisfactory filter.
  11.2  Bubbler and  Impingen. One midget bubbler,
with medium-coarse glass (rlt and borodllou or quaru
(lass wool packed In top (see Figure 6-1) to prevent
•ulfuric acid mist carryover, and tone  SO-ml midget
Impingen Tbe bubbler and  midget  Implngers must be
connected in series with leak-free glass connectors. 8111-
sooe rreue may be used. If necessary, to prevent leakare
  At tbe option of tbe tester, a midget Impinger may be
 •ad In place of tbe midget bubbler.
  Other collection absorbers and flow rates may be used,
 but are subject to tbe approval of tbe Administrator.
 AJeo, collection efficiency must be shown to be at least
W percent for each t«ct run and must b« documented in
 the report If tbe efficiency Is found to be acceptable after
 a series  of three tests, further documentation is  not
 required. To conduct the efficiency test, an extra  ab-
 sorber  must be added and analyted separately. This
 extn absorber must not contain more than t percent ot
 the total BOi.
  11J   Glass Wool. BorosUIcate or  quarts.
  11.4  Stopcock   Greene   Acetone-Insoluble,  beat-
 stable slllcone grease may be used. If necessary.
  11.5  Temperature  Oauge   Dial thermometer,  at
 equivalent, to measure  temperature of gas leaving  1m-
 ptnger train to within 1«C(2*P.)
  11 e  Drying Tube Tube packed with ft- to It-mash
 tndiceHng; type silica (el, or equivalent, to dry tbe (a>
 sample and to protect the meter and pump. If tbe slllac
 eel has been used previously, dry at 116' C (ISO* F) lor
 t hours. New sUica gel may be used as received. Alterna-
 tively, other types of desiccajits (equivalent or better)
 Bay be used, subject to approval of tbe Administrator.
  11.7  Value.  Needle value, to regulate sample (as flow
 rate.
  11J  Pump.  Leak-free disphragm pump, or equiv-
 alent, to pull gas through tbe train. Install a small tank
 between tbe pump and rate meter to  eliminate  the
 pulsation eflect of the diaphragm pump on tbe rotaineter.
  ll.f  Rate Meter. Rotameier. or  equivalent, capable
 or measuring-flow rate to within ] percent of the selected
 low rate of about 1000 certain
  11.10  Volume Meter.  Dry  gat  meter, sufficiently
 •eeorete to measure the sample volume within 2 percent,
 etJIbraUKl  at tbe  selected  flow  rate  and  conditions
 actual!)  encountered dunn* sampling, and  equipped
 with a temperature (auge (dial thermometer, or eqtiiv-
 ^*) capable  of  measuring temperature  to  within

  11.11  Barometer. Mercury, ameroid, or other berom-
 .    "P*?1' °' measuring atmospheric pressure to within
 14 mm Bg  (0 1  in  Hg) In many eases, the barometric
 reading ma> be obtained from a nearby national weather
 •rrloe station, In which ease the station value  (which
 Is the absolute barometric pressure) shall  be requested
 and an  adjustment tor elevation differences between
 the weather station  and sampling point shall  be applied
 •t a rate of mm us 2.S mm Hg (0.1 In. Hg) per Mm (100 ft)
 elevation Increase or rice  versa for  elevation decrease
  11.12  Vacuum Gauge.  At least 760 mm Hg  (30 In
 Hg) gauge,  to be used tor leak check of the sampling

  12 Sample Recovery.
  12.1 Wash bottles.  Polyethylene or  (lass, MO ml,
two.
  12.2 Storage  Bottles Polyethylene, 100 ml, to store
Impinger samples (out par sample)
  t.t Analysis
  14.1 Pipettes. Volumetric type, 5-ml, 10-ml (one per
sample) ,  and 24-ml sixes.
  11.2 Volumetric  Flasks. 100-ml slse (one per sample)
•nd 100-ml slse.
  ll.l Burettes. S- and SO-ml sites
  11.4 Krlenmeyer Flasks.  260 mi-else (one lor each
•ample, blank, and standard).
  11.6 Dropping Bottle 124-ml slse, to add  indicator.
  11.6 Graduated Cylinder. 100-ml  slse
  1>.7 Spectropbotometor. To measure absorbance a.
att nanometers
  Unless otherwise Indicated, all reagents must conform
to the specifications established by tbe  Committee on
Analytical Reagents of the American Chemical Societj
Where such specifications are not available, use tbe best
available grade.
  1.1  Sampling.
  1.1.1  WaterTbeionlsed, distilled to conform to ABTM
specification  D1193-74, Type 3. At tbe option of the
analyst, tbe KMnO4 test lor oxidirsble organic matter
msy be omitted  when high concentrations of organic
matter are not expected to be present.
  1.1.2  laopropanol.tOpercent.MugOmloflsopropanol
with 20 ml of deioniied, distilled water. Check each lot of
laopropanol for peroxide Impurities as  follows shake 10
ml of Isopropanol with  10 ml of  freshly  prepared 10
percent potassium Iodide solution  Prepare  a blank  by
similarly treating  10ml of distilled water After 1 minute,
read tbe  absorhence at K2 nanometers on a  spectro-
photometer. If absorbance exceeds 0.1, reject alcohol tor
use
  Peroxides may be removed from isopropanol by redis-
tilling or by  passage through  a  column  of activated
alumina;  however,  reagent  grade laopropanol   with
suitably low peroxide levels may be obtained from com-
mercial sources   Rejection of  contaminated lots may,
therefore, be a more efficient procedure
  1.1.1  H)droren Peroxide, 1 Percent. Dilute 10 percent
hydrogen peroxide  1:* (v/v)  with deiomied. distilled
water (10 ml Is needed per sample). Prepare fresh  dally
  1.1.4  Potassium Iodide Solution, 10 Percent Dissolve
10.0 grants KI in delonited, distilled water and dilute to
100 ml. Prepare wben needed.
  1.2   Sample Recovery
  1.2.1  Water. Deionited, distilled, as In 2 1.1.
  1.2.2  Isopropanol. 80 Percent  MiiSOmlofuopropano!
with 20 ml of cfeloniied, distilled water
  ».l  Analysis
  Ml  Water Deionited, distilled, as In S.I. 1
  1.1 2  laopropanol, 100 percent
  11.1  Thorin   Indicator   l-(o-ersonopnenylazo)-2
napbtbol-3,6-disulfonic arid, disodium salt, or equiva-
lent Dissolve 0.20 g In 100 ml of deiomied, distilled
  144  Barium  Perchlorate Solution,  0.0100 N  Dis-
solve 1 H . of barium perchloret* trihydrate (B»(C]O.)i
IHiOJ in 200 ml distilled water and dilute to 1 liter with
 sopropanol  Alternatively. 1 22 g of (B«Cli-2H.O| rn»>
be used Instead  of tbe  perchlorate  Standardise as  In
Section 4.5.

  1.1.5  Sulfuric Acid Standard, 00100 N. Pun-has* or
 standardise to *0 0002 N against 0 0100 N NaOH which
 has  previously  been standardized against  potassium
 add phthalate (primary standard grade)

 4. Pnature.

  4.1  Sampling
  4.1.1  Preparation of collection train Measure 15 ml of
 SO percent isopropanol into the midget bubbler and 15
 ml of 3 percent hydrogen peroiide into each of the first
 two midget Impingen  Leave the final midget Impinger
 dry  Assemble tbe train as shown In Figure 6-1  Adjust
 probe heater to a temperature sufficient to prevent water
 condensation. Place  crushed ice  and water around the
 Impingen
   4 I 1  Leak-check procedure A leak check prior to the
 sampling run is optional however, a leak cherk after the
 sampling run Is mandatory  Tbe leak-check procedure is
 as follows-
   With the probe disconnected, place a vacuum Range at
 tbe inlet to the bubbler and pull a vacuum of 250 mm
 (10 In ) Bg. plug or pinch off the outlet cf tbe flow meter.
 and then turn off the pump The  vacuum shall remain
 stable  for at  least 30  seconds   Carefully release  the
 vacuum gan«e  before releasing  tbe Row meter end to
 prevent back flow of the Impinger  fluid
   Other leak check procedures may be used subject to
 the approval of the Administrator, U 8  Environmental
 Protection Agencv The procedure used In Metbod  5 Is
 not suitable for diaphragm pump*
   4 I  3 Sample collection   Record the  Initial dry  gas
 meter reading and  barometric pressure  To begin sam-
 pling, position the tip of the probe at the sampling point,
 connect the probe to the bubbler,  and start the pi imp
 Adjust the  sample flow  to a constant  rate of  ap-
 proximately 1 0 liter'mln »i Indicated by tbe rotsmeter
 Maintain this constant  rate  (*10  percent) during  the
 entire sampling run  Take  readings (dry gas meter,
 temperatures at dry gas meter and at Impinger outlet
 and rate meter) at  least every S minutes Add more Ice
 during the run to keep the temperature of  tbe  gases
 leaving the last Impinger at 20" C («• F> or less At  the
 conclusion of each run, turn off the  pump, remove probe
 from tbe 'tack, and record tbe final readings Conduct a
 leak check as In Section 4.1 2  (This leak check is manda-
 tory )  If a leak Is found, void tbe test run. Drain the tee
 bath, and purge the remaining part of the train by draw-
 ing clean ambient air through the system for 15 minutes
 at the sampling rate
   Clean ambient air  can be  provided by passing  air
 through a charcoal filter or  through an extra  midget
 Impinger with 15 ml of S percent HiOt The tester may-
 opt to simply use ambient air, without purification.
   4.2   Sample Recovery. Disconnect the uapingers after
 purging DiscardthecontentsoftbemJdgetbubbler Pour
 tbe contents of the midget Impingers into a leak-free
 polyethylene bottle for shipment. Rinse the three midget
 Impingers and  tbe connecting tubes  with delonlxed,
 distilled water, and add the washings to the same storage
 container Mark the fluid level  Seal and Identify  the
 sample container.
  4.1   Sample Analysis.  Note level of liquid In container,
 and confirm whether any sample was tost during ship-
 ment, note this on analytical data sheet If a noticeable
 amount of leakage has occurred,  either void tbe sample
 or use methods, subject  to tbe approval of the Adminis-
 trator, to correct the final results
   Transfer tbe contents of  tbe storage  container to a
 100-ml  volumetric flask and dilute to exactly  100  ml
 with deionlted, distilled  water. Pipette a 20-ml aliquot of
 this solution into a 250-ml Erlenmeyer flask, add 10 ml
 of 100 percent Isopropanol and two to four drops of thortn
 Indicator, and titrate to  a pink endpoint using 0 0100 N
 barium perchlorate  Repeat and average  the titration
 volumes Run a blank with each series of samples  Repli-
 cate tltrations must agree within  1 percent or  0.2 ml,
 whichever Is larger.

   (NOTI—Protect  the  0.0100 N  barium  parchlorato
 solution from evaporation at all times.)

 S. OaHoratton

   5.1   Metering System.
   5.1.1  Initial Calibration. Before Its initial use in  tbe
 field, first leak check the metering system (drying tube.
 needle valve, pump, rotameter, and dry (as meter) as
 follows- place a vacuum  gauge at the inlet to the drying
 tube and pull a vacuum of ISO mm (10 In.) Hg- plug or
 pinch off the outlet or the flow meter, and then turn  off
 the pump. The vacuum shall remain viable tor at least
 10 seconds. Carefully release  the vacuum (auge before
 releasing the flow meter end.
  Next, calibrate the metering system (at the —mpHnf
 flow rate specified by the method) as follows: connect
 an appropriately sited wet test meter (e.g., 1 liter per
 revolution) to the Inlet of the drying tube. Make three
Independent calibration  runs, using at least five revolu-
 tions of the dry gas meter per run. Calculate the calibra-
 tion factor, X(wet test meter calibration volume divided
 by the dry gas meter volume, both  volumes adjusted to
 the same reference temperature and pressure), lor each
 run, and average the results. U any  rvalue deviates by
 more  than 2 percent  from the average, tbe metering
 system Is unacceptable for use. Otherwise, use tbe aver-
 age as tbe calibration factor tor subsequent test run*.
  6.1.2  Post-Ten Calibration Check. After each field
ten series, conduct a calibration check as In Section 1.1.1
above, except for tbe following variations:  (a) tbe leak
check Is not to be conducted, (b)  three, or more revolu-
tions of tbe dry gas meter may be used, and (c) only two
independent runs need be made. If tbe calibration factor
 does not deviate by more than 5 percent from the Initial
calibration factor (determined In Section 5.1.1), then tbe
dry gas meter volumes obtained during the test series
are acceptable. If the calibration factor deviates by more
than 5  percent,  recalibrate the metering system as  In
 Section 5.1.1, and for the calculations, use the calibration
factor (Initial or racalibration) that yields the lower gas
volume for each test ran.
                                                                              11-53

-------
  5.2  Thermometers. Calibrate  against  mercnry-irj-
(lass thermometers
  4.S  Rotazneter. The rotameter need not be calibrated
but should be cleaned and maintained according to the
manufacturer's Instruction.
  t.4  Barometer. Calibrate against a  mercury barem-
•Ur.
  4.4  Barium  Perchlorate  Solution.  Standardise tbe
barium percblorau solution against 25 ml of standard
suifuric acid to which 100 ml of 100 percent Isopropanol
has bean added.

  «. OfcmtoHoax

  Carry oat calculations, retaining at least one extra
decimal figure beyond that of the acquired data. Bound
off figures after final calculation.
  »_1  Nomenclature.

     C.-Concentration  of sulfur dioxide, dry bads
       '   corrected to  standard conditions, mg/dscm
          (lb/dacf).
      JV-Normality of barium  parchknate  titrant,
          mill) equivalents/ml.
    J".!,.,-Barometric pressure at tbe  exit orifice of the
          dry gas meter, mm Hg (In. Bg).
     />„<-Standard absolute pressure, 760 mm Hg
          (29.92 in Hg).
      Tm-
    •Arente dry ft* meter tbtolute temperatnn,
     •K CR)
                                    JW  K
     1 'MI-Standard absolute  temperature,
          (528° R).
      V.. Volume of sample aliquot titrated, ml.
      V.-Dry gas volume as measured by tbe dry gas
          	-.dcm(dcf).
                                                V.(_j)-Dry fM volume meemred by tbe dry |»
                                                        maur.  enrecMd  to atandard  eondltloni,
                                                        daem (d*ef).
                                                  VMu-Tota! volume of tolotlon In which tbe lullor
                                                        dioxide auople Is contained. 100 ml.
                                                    Vi-Volume of bartoin percblorat* tltnnt oaed
                                                        tor tbe sample, ml (tTerafe of repllcaU
                                                        tloatlons).
                                                   Vn-Volume of barium percblorate Utrant used
                                                        for the blank, ml.
                                                     K-Dry cu meter calibration (actor.
                                                  12.03-Equivalent wriiht of sulfur dioxide.
                                                a.2  Dry (ample fw Tolume, corrected to itandard
                                              eondlUons.                              V. Pto,

                                                                                      -
                                                JTi-0 mat •K/mm HI far metric unit*.
                                                   -17.M*R/ln. B( lor En»ll»h unit*.
                                                M Sulfur dioxide concentration.
                                                                 (V,-V«)
C
                                                        •O-
                                               wtaen-
                                                Jfi-X2.03 mi/meq. for metric onlti
                                                   •r.OMX10-*lb/iiwq. tor Bnfllab unit*.
                                                                                   Eqoatloo a-2
7.

  I  Atmonphtrlc Emiasloni from SuJfuric Add  Manu-
ttcturlni Procrsara. D 8 UHEW. PRR. DIvLilon of Air
Pollution  Public  Health  Service  Publication  No.
VM-AP-13 Cincinnati. Ohio  19A5.
  2. Corbett, P. T. The D«t*rmlnatlon of SOi and BOi
in Flue Oaaea. Journal of the Institute of Fuel. fi. 237-
241, 1M1.
  * Matty. R. E. and E. E. Dlehl. Meanirlnt; Flue-Ow
BOi and BOi.  Power. 101: 9*-97 November 1M7.
  4. Patton.W. F.andJ. A. Brink. Jr. New Equipment
and Techniques for Sampllnf Chemical  Process Uasn.
J. Air Pollution Control Association  IS 182 1963
  S. Rom. J. J. Maintenance, Calibration, and Operation
of laokinetic  Souree-Sampunc  Equipment  Office  of
Air  Protrrams,  Environmental  Protection  Afency
Research Triangle Park, N.C. APTD-0676. March 1V77.
  «. Hamll, H.  F and D. E. Camann.  Collaborative
Study of Method for the Df terminal ion of Sulfur Dioxide
Emlaiions from Stationary Sources  (Fossil-Fuel Fired
Steam Generators) Environmental Protection Agency,
 Research  Triangle  Park,  N.C.  KPA-«40/4-7*-034.
December 1971.
  7. Annual Book of ABTM  Standards Part 31. Water,
Atmospheric  Analysis American Society tor  Testing
aud Materials. Philadelphia, Pa. 1974. pp. 40-42
  S Knoll. J.E. and M R. Midgett.  Tbe Application of
 EPA Method « to High Sulfur Dioxide Concentrations.
 Environmental Protection Agency  Research Tnangle
 Park. N.C. «PA-«00/t-7«-OJ8, July 1V7V.
                                                                                                                  THERMOMETER
PROBE (END PACKED
  WITH  QUARTZ OR
    FVREX WOOL)
                                SILICA  GEL
                               DRYING TUBE
                                                                                                                                    PUMP
                                            Figure 6-1.  S0£ sampling  train.
  SURGE TANK
                                                                        11-54

-------
 Mrraoe  7—DrnuoiunoK  or  Nmoonr  Oza»
        B»fJB»OHI FlOM BfiTlOHiSY SOUBCM

 1. Prtndftt sue1 Ajn>Ue*t>Ui

   1.1  Principle. A frab sample la collected In an evacu-
 ated Bask  containing a dilute sulfuric  acid-nydrono
 peroxide absorbing solution,  and the nitrogen  oxides.
 axoept  nitrous oxide, are  measured oolonmeUrioaUy
 oalng the pbenoldisulfonlc add (PDS) procedure.
  1.2 Applicability. This method Is applicable to the
 measurement of nitrogen oxidea emitted from stationary
 sources. The range of the method has been determined
 tobe2to400miulframaNO. (as NOs) per dry standard
 cobte mater, without havlnf to dilute the sample..
  S.1  Sampling (see Figure 7-1). Other frab ampllnf
 •ysumj or equipment, capable  of measurtnf sample
 volume, to within ±1.0 percent and collecting a sufficient
 wimple volume to  allow analytical reproducibllitv to
 within ±i percent, wlU be oonaldered acceptable alter-
 natives, tubject to approval ol the Admirustrator, U.8
 KnTlronmenlal  Protection Ajrency.  Th«  following
 equipment Is Died In lampllnf:
  1.1.1 Probe.  Boraallicate flaw) tubing, sufficiently
 baited to prevent  water  condensation  and equipped
 with an lo-ctack or ooustack alter to remove particuiat*
 matter (a plug of flu wool la satisfactory lor  thi>
 pnrpon). Stainless Heel or Teflon ' tubini may also be
 mad for the probe Heatlnf Is not necessary U the prob»
 remain! dry durinf the purfinf period.
  ' Mention of trade namef or specific prodocta does not
constitute endonement br the  Environmental Pro-
Uctton Ajwacy.
  S.1J  Collection Flask Two-liue borxolliwte, round
 bottom teal, with »hon neck and 24'40 standard taper
 opening  protected against Implosion or breakage
  9.1 S  Flask  %&)vc  T-bore stopcock connected  to a
 M/40 standard taper )olnt
  3.1 4  Temperature Gauge Dial-type thermometer, or
 other temperature gauiff. capable  of roeaJurfng lc C
 (¥• f) Intervals from -i to Mr C (2i to 125° F)
  J.I i  Vacuum Line  Tublnjt capable of wllhgtandiof
 a vacuum of 7i mm BJ: (3 In Hg) absolute prsasure, with
 "T" connection and T-bort stopcock
  2.1 6  Vacuum Oauff  U-lube manometer,  1 meter
 (K In.),  with 1-mm  (0 1-ln.) divisions,  or other fauce
 capable of measuring pressure lc within :t2.5 mm H|
 (0.10 in  Dgi
  2 1 T   Pump  Capable of evacuating the collection
 flaik to a pressure equal to or less than 76 mm Hj (I In.
 Hi absolute
  2.1 S   6que«e Bulb Ooe-wi).
  J.I 9   Volumetric Pipette  26 ml
  2.1.10   Btoprock and Ground Joint Oreace A  hifh
 Tacuum, high-temperatnre chlorofluorocarbon freaar It
 required  BaJocarbon 2S-56 has been found lo be efleotlve
  ll.ll   Barometer Mercurv, aneroid,  or other barom
 •tcr capable of measuring atmospheric pressure to within
 2.J mm Hp (0 1 in He). ID  man) cases, the barometric
 raadiug ma) be obtained frorc a nearb) national weather
•ernce sialion. in which case the nation value (which ta
the absolute barometric pressure^ shall be requested and
an adjustment  lor elevation dlfTrrfncet between the
weatlirr station and sampling point shall be applied at a
rate of minus 2 5 mm  Hj (Olm Hg) per SO m (100 ft)
elevation increase, or vice versa for elevation decrease
  2.2  garopl"  Recovery. The  following equipment ta
required for sample recovery
  2-2.1   Graduated Cylinder. 50 ml with l-o>l divisions
  2^2  Bloraf e  Containers.  Leak free  polyethylene
 •ottles.
  2.2.S Wash Bottle Polyethylene or flao>
  2.2 4 Glass SUrrinj Rod
  2-2^ fTest Paper for Indicatinf pH  To eovar the pH

  2.3  Analysis  Tor Use anaiyaia. the lollowlng eooip-
«J«Dl Is needed                              -nnd,to ** ajtlsfirtorj'  Altematlvel) ,
 polyTDethyl penlene beakers (Nalg» No 1203, liOmi)  or
 flan beaken (lie ml) ma)  be used  When gl«u beakers
 •re used, etching of the beakers may cause solid matter
 to be present In  the analytical «UD the solids should  be
 removed  by filtration (see Section 4 3)
  2.3 1 Bteam Bath Low-temperature ovens or tberrao-
 iUticall) controlled hot plates kept below 70* C (100° F)
 air acceptable alternatives
  2J 4 Dropping Pipette or Dropper Three required
  2J 5 Polyethylene Polloemin One for  each lample
and each standard                             '
  2.86 Graduated Cybnder 100ml with 1-ml divisions
.«£3-; Voluin
  2.1 11  AnalyUcal Balance To measure  to within 0.1
          PROBE
              \
          r
       FILTER



GROUND-GLASS SOCKET,
       § NO. 12/6
                 110 nw
 3-iVAt STOPCOCK:
 T-6ORE, i PYREX.
      BORE. 8-rnmOD
                                                                      SQUEEZE BULB


                                                                    IMP  VALVE

                                                                            PUMP
       FLASK
                                                 FLASK SHIELD^. _\
                                                                            THERMOMETER
             GROUND-GLASS CONE.
              STANDARD TAPER.           GROUND-GLASS
             Z SLEEVE NO. 24/40           SOCKET. § NO. U/5
                                             rmx
                                                                       210 mm
                                                                                                                  •FOAM ENCASEMENT
                                                                                          -        -    VBOILING FLASK -
                                                                                        NW **!''        2-LITER. ROUND-BOTTOM,  SHORT NECK.
                                                                                          r             WITH J SLEEVE NO. 24/40
                                     Figure 7-1.  Sampling train, flask  valve,  and flask.
                                                                         11-55

-------
  Unless  otbsrwl*? indioat«d.  It i»  Sutended  that  nil
rtacenli eon tons U> the specinec.uoiu established by siie
Commute* or* Analytical  R«wn;< ot tbe American
Chemical kocietj  veer? yuch  sp«:i8oauoni arp £vaal
•bit, other* i« t»? the best svaiiabie grwlc
  *.!  Sampling  To  prtpa-"?  the abaor'mnj  solution,
•ntiously  add 2 8 ml concentrated  HiSO( tc 1 liter of
•Monited. distilled  water  Mil  well  and add 6 ml of t
psrcer.t  byorofcn  peroiide,  freshl>   prepared  from  K
psrrent  hydrogen  peroildf  solution  The  absorbing
sniution should be utcd witbtr, 1 week of lt> preparation
Do not expose to srtreme heat or direct sunlight
  aJ  Sample Recovery Two reagents  are required for
(simple recover)
  u.)   Sodium Hydroxide (IN)  Di«»!v» 4C g NaOH
Sr d*ionised, distilled water and dilute to 1 liter
  U.2   Water DwonlwdL distilled to conform to ASTM
•iwciaoaUoD DllW-74, Type t. At the option at the
saalyit, the KMNOi  tart for oxidiuble orfanlc matter
nay be omitted wb«n  high ooDoentralions of organic
«3Att«r are not expected to oe present
  S.S Analysis Fo- the analysis, tbe following reagent*
ire required
  l-l 1  Fuming Bulfunc Acid  55 to 18 percent by weight
true sulfur tnoiide  HANDLE WITH  CAUTION
  1.S.2  Phenol White solid
  t.J.1  Bullunc Acid Concentrated. M percent mini-
xmmasst)  HANDLE WITH  CAUTION
  1.8 4  Potassiurn  Nitrate  Dned at 10S to 110° C (WO
to 230C F) for s minimum of 2 hours Just pnor to prepare
tton of standard solution
  MS  Standard  KNOi Solution  Dissolve  aiactlj
S.18S g of dried potassium nitrate (KNOi) in deionited.
distillc** water  and dilute  to  1 liter  with deionited.
flisnlli _, water in a 1,000-ml volumetnc  flask
  1.36  Working Btand&rd  KNOi Solution Dilute 10
tol o! t  e  standard solution to 100 ml with deionited
distilled* water  One mlUiliter  of the working standard
solution Is equivalent to 100 «g  nitrogen dioxide (NOi)
  1.3.7  Water  Deionited, distilled  as  in Section 322
  136  Pbenoldisulfomc Acid  Solution  Dissolve 25  g
$if pure wbJte  phenol in 150 ml concentrated  sulfunr
lido on a steam bath  Cool, add 75  ml fuming sulfuric
ftcid. and beat at 100° C (212°  F) tor 2 hours  Store in
i> dark, stoppered bottle

4k. Praojura

  4.1 Sampling
  4.11  Pipette 25 ml  of absorbing solution into a sample
flask, retaining a sufficient quantity  for tise in prcparing
tbe calibration standards Insert the flask valve stopper
into the flask with the valve in the "purge" position
Assemble tbe sampling train  as shown  in Figure 7-1
>,nd place the probe at the  sampling point  Make Jure
that all fittings are tight end  leak-free, and  that  all
ground  {lass Joints have been  properly greased with a
liigh-vacuum,   high-temperature   chlorofluorocarbon-
tased stopcock  grease Tun; -the flask valve  and thr
pump  vuLlve  to tbeir "evacuate" positions Evacuate
the fl&sk to 75  mm Hg (S In Hg) absolute pressure  or
)«•>  Evacuation  to s prwsdre  approaching the vapor
jressure of water at the ensting temperature, is desirable
Turn the pump valve to its "vent"  position and  turn
eC the pomp  Check  for leakage by observing  tbe m»
IOmeter tor any  pressure fluctuation  (Any variation
  create- than 1C mm Eg (C 4 to Eg)  over a period o!
  I minute ie not acceptable, and tbe flask is oct tc be
'  used until the leakage problem is  corrected  Pressure
  to the flask is not to eicsed 75 mm Hg (3 in Hg) absolute
  8t the time sampling  Is comiaencod  ) Record the volume
  af tbf  flask and valve (V,). the fl»5!r temperature (T,).
  end the  barometric prasjuit  Turn  the flask valve
  axinterclockwue tc  Its "pur*?" position  wid do Use
  same  with tbe puiap V&'ITP Purge  tbe probe find tb«
  vacuu-ri  tube  using  the equeete bulb   It oonde.pj»tion
  occurs in  the  probe and the ati v»i" arei. 'o«s*. the
  probe  and  purge  rjitC the condensation ,)
  fe equal to tbe barometric prejsi>-ure leass the manometer
  reading Immediately turn the fl»;k valve to tbe "tain-
  pie" position and permit the g-^s to enter tbe flask until
  pressures in  tbe fiat'k and sarcole hne. (' e , duct, stack)
 are equrJ  This will  usually require tbout 15 seconds
 ft longer period indicates fc "plasr" in the probe, which
 must be  corrected  before se >fplmc i*  continued  After
 soileiCtLnc the sample, turr t -.; fla.'k  »alve to !t5 "purfe"
 pasitloi and disconnect th» fla."k  from U»e sftrnpllnj
 irain Shake tbe fl&fk for s'  IESSI 5 minutes
  45!  V the ss&s  being •fr.p'ti conisJas insutEcieat
 atygen for tbe convers^r.  <-•! NO '• NOi  (e I , sm  ap-
 pUcAble suhpan o* '.be n.»i'dard r^c.-  require taking  s
 irsple of s caiibraiji". «,,-,- u istur-  of  NO m N>), then
 fttfygen ghall ue iritf^u'^d i:>'.c IV 3p:-!v to p«rrrait tbi^
 ftaii^&rsiorj  Ozygtti ^rny b™ IntrixSuc*--! into the Jlaak
 by  orjr of tnii* E '  %^ds,  (1) ^e'or?  *?*cusun^ tbf
 sampUns rl^Ak, fit    ^llh  pir,1 ryhnd?r  oi^gen, thfin
 *rvjat»S»sk  i',     'cnHfe-Cn Hj! »r-5olut» prassurt
 ssr tf^, rjr {21 iij-:     yssTi r ;:. the Has1'- rsi\*~ aimpUiif,
saospbere \i.
fttsnospbefic
  4-2  Ss,7.-.ul< K«vvwy  T r tV ft^sV «-.
•rf !•; '--A- -; j.-i.l then s^.»*£  "  - ocr.vf. 's  *ir S r
sward the  fl*si  tempersrurt  (T,),  Uie barometric
pr«snirt, aci) tbe diStrejio between the mercury itveis
B tbe  ni*i)OO2ater  TDf  absolule internal  pressure in
the lilt's D •} Is the baromctnc  p-»ssur» kas tbe mar'-
taaet^r rwilin^  Transler the conteni! of tor flask  to *
h(kk-!res  polyethyle-.' bottle   Rmsp the  flask twlcs
with 5-ml portions oi de'iituied. distilled watej and  add
tine ruise water tc tbe bottle  Adjust the pH to between
9 and 12 by adding *odju.m  hydroxide  (1 N). dropwise
(about 25 to K  drops'   Check  the pH  by dipping a
•urring rod into  the aolutlon and then touching the rod
to the pH test paper Remove as little material as Dotsib!?
during this sup  Mark the height o! the liquid level §o
that the container can  be  checked for leakage  after
transport  Label the container  to clearly  Identify 1U
eoottnu  Baa! the container  for shipping
  4-3  Analysis  Note the level of the liquid in container
•od confirm whethej or not any sample was lost duri.ig
shipment, cote  this  on the  analytical data sheet  II a
noticeable amount ol le&kagr has occurred, either void
the sample or u» methods,  subject to tbe  approval of
the Admimstrator, to correct the final results Immedi-
ately  pnor  to analysis,  transfer the contents of  tbe
•hipping container to a 50-ml  volumetric flask,  and
rtnae tbe container twice with 5-m) portions of deiomwd,
distilled  water  Add  tbe rin.v water  to tbe flask  and
dilute to the mark with deiomt^d. distilled water,  mil
thoroughly  Pipette  a 25-ml aliquot into the  prooeiain
•vmporating dish  Return any unused  portion of tbe
sample to the polyethylene storage bottle Evaporate
the 2A-ml aliquot to drynexs on « steam b»th and allow
to cool  Add 2 ml phenoldistilfcnic acid solution to the
dned residue and tnturate thoroughly with a povleth>l-
aoe policemAT. Make sure the solution contacts all the
rttiduf Add. 1  ml  deionited,  distilled w»t«r and  four
drops of concentrat«d sulfunc acid  Heat tbe solution
on a steam bath for  3 minutes with occasional stirring
Allow the solution to oool, add 20 ml deionued. distilled
water, mil weU  by itimng, and *dd concentrated  am-
monium hydroxide,  drop wise, with constant stirring.
until tbe pH is  10 (as determined by pH paper), jj ^,e
sairple contains sobds,  these must  be  removed  b>
filtration  (centnfugation is  an acceptable alternative,
•object to tbe approval of the Administrator), as follows
filler through Whatman No. 41 filter paper Into a lOb-mi
volumetric flask, nnse the evaporating dish with three
t-ml  portions of deionited.  distilled  «ater, Alter these
three nnses  Wash tbe filter with at least three 16-ml
portions of deionited, distilled water  Add  tbe niter
washings to the contents of the volumetric  flask  and
diluu to tbe mark  with deionited,  distilled water  U
•olids are absent, the solution c&n be transferred directly
to tbe 100-rol volumetric flask and diluted to tbe mark
with  deionii*d  distilled  water, Mu the contents of the
flask  thoroughly,  and measure  the ebsorbanoe at  the
optimum wavelength used  for tbe standards  (Section
i.2 1), using the  blank solution as K wro reference Dilute
the sample and  the blank with equal volumes of deion-
taed,  distilled water if the absorbance eiceeds A,, the
kbsorbance of tbe 400 *g N O: standard ifcx Section 5.2.2)
   ft 1  yiasfc Volume Tbe ^olum* of thi> eollection frasl
 flftak valve oombmaticn must be known pnor  in sup-
 pling  Ajaemble the flask and &aik valve and fll! wK'
 w*t«r, to the stopcock  Measure tht volume of w»tar to
 ±10 ml Record this volum? on tbe &ask
   fi 2  Bpectrophotometer Cabbration
   1.21  Optimum ^»velengt'i Determination  For erst h
 Used  and:  vansble wavelength specirophotsmetars
 calibrate against standard  certified  wavelength of S!0
 zun, every 6  months Alternatively, for van&bif wa?^
 Jenglh spectropbotomelers.  acSJi  the spectrum bstww
 400 snd 416 nm using e 200 ^ N Oj stanclurd solution isx
 Section e.2 2) If a peat doe« not occur, the jpecfropho-
 lometer is probabl> mai/ur,ctiomti^, and should be re-
 paired When  B peak is obtained wlthia the 400 to «S run
 range, the waveieneth at wh'Cb this p^k occurs sh»\l bt
 th* optimum •wavelength for iht rDeasLirsinent si sb-
 sorbance for  bo*h the st&ndards and s&mptes
   122  Dfterminition  of Sp^'-rripnotosni-ter Cslibr*
 Uon Fector K.  Add 0 0,  J 0, S S. S 0  and 4 0 ml of tbf
 ENOj working standard solution (S ml'"!*' at KQs'<  to
 a series of five porcelain evaporating dishes  To asch, s>dd
 16 ml at absorbing noiution !0 mi deiorui«i, dlstii'.ed
 water, and sodium bydroiide E1N), dropwise, arstil Xlse
 pH is between 8 and  12 (sbou!  25 to 86  drops e*f.h!
 Bepinning with  the  evaporation step, foMow tne. analy-
 sis procedure  of Section 4 8,  until the solution has be*n
 transferred to the 100 ml volumetric flask end dilutad to
 the mark Measure the ebsoi ba;-.c* of each solution, wt ihe
 optlirum wavelength, as df~?raiin«!  in Section  ^ 2 1
 This calibration procedure muit bf rcp«*t«J on each Ssv
 that samples ar*- »nalyt<-'1  Calculate the spectrophotosn-
 pt«r calibration factor as follows


         K  «100 ^*iil?-!*l-"tMi±l^


                                   Equation 7-1
 wlwrs
  Jf.-CaSbrsUin fsctar
   ^i-Absorbsnc* o! tbe lOfftS WOi standard
   *4i"» Alteorbano? of tbe 301^-^ NOi BtAsdard
   A\~ Abv3rb»ne? of the 30T>*£ NOi stand»rtf
   ti»Jf<»>hi«,  a. 596,0.  ASTM  Designation  »-16f»-60.
p.  7&--T29.
  t Jacob, M B. The Chemical Analysis of Air Pollut-
ants  New  Yor» Intencience  Publishers,  Inc. I860
ts!  JO, p. 1M-*K
  4 Beatty,  R  L , L. B. Berger,  and H. H. Schrenk
 >«1«-Kiinatiori o! Otid«s of Nitrogen by the Pbenoldisul-
 oni"  Acid lUstbod  Bureau of Mints, U.6. Dept. of
Jat»nor R. I- 8687 February 1M3
  S Hamll, H.  F. »afi D. K, C»m»nn. Co!l»borative
Btudy of Method tor the 3>lanntn»tion of Nitrogen
O&i|!,  H  y. aad H  E  Tboasfcs. Col)*borative
e«>4y of Mitbod tor  as^ Drtermlnation of Nitrogen
Oiidf amisrion* Irom  Stptsonary Sources 'Nitnc Acid
HUISK'  Bot-V'wjt  Ha*»-O.  Icsiictitt r      '••:  Er
                                                                                                                .
                                                                                                           ?*rk. N.C. Mas? 9, 1874.

-------
METHOD  »—DITIKXINATION or  Scircuc Aon Mist
  AND Sutrui DIOXIDE EUIBSIONI FBOM STATIONA**
  Souicca
1. Principle end AppltcAbilitv
  I.I  Principle A gas sample a eitractnd Isoklnetlcally
from the stack. The sulfunc acid mill (Including sulfur
uiciidi) and the sulfur diondo are, separated, and both
fractions are measured scporafel)  by (be baritnu-lhoriD
Utration method.
  1.2  Applicability This method  is applicable (or tbe
detomiinatlon of  sulfunc acid nust (including sulfur
trionde, and in the absence of other paniculate matter)
and sullui dioiide emissions from stationary sources
Collaborative  tests have shown  that the minimum
delectable limns of the method are 0 OS milligrams/cubic
meter (003) 10-'  pounds/cubic foot) for sulfur trtonde
and 1.2 mi/in' (074  10-' In It') for  sulfur dioiide No
upper limits have been e'slabli-hcd  Based  on theoretical
calculations lor 200 niilliliters  of  3  percent  hydrogen
peroiide  solution, the  upper concentration  limit tor
sulfur dioiide  in a 1 U m> (36 .1 ft1) |as sample is about
12.500 m|!'ni> (7 7X10-' Ib'fl'l The upper limit can be
extended  l>y increasing the quantity of prroiide solution
In the impmgers
  Possible interfering agent! of this method are fluorides,
free ammonia,  and dimeth>l  aniline If  any  of those
interfering agents are present (this can be determined by
knowledge of the process), alternative methods, subject
to the appruTal  of the  Administrator,  are  required
   Filterable paniculate matter may h« determined along
 with SOi and S0> (subject to the approval ol the Ad
 mlnlstraior)  however, the procedure u»ed for paniculate
 matter must be consistent wlih the specifications and
 procedures given In Muhod 5
   2 1  Sampling  A achemallc  of  the  sampling train
 uaed ID this method Is shown In Figure S-l, ft Is almilar
 to the Method S train i-icrpl that  the filter portion b
 dUii-rent and the  lilier hold< r dors not have to be huled
 C'ommerrlal mudfls of this train are available  For those
 who desire to build their own, however  inmi>lrlt con-
 •trui lion dfialls  arc d<-srril)rd In AI'TD-a*! Change*
 from  the  AI'TlMUil  dmunii'iit and allownt.lc modi-
 fications to  Fluure 8-1  are dlicusjx-d In the lollowlnf
 •UbMiUou

   T!M>  operating  and maintenance procedures for the
 aanipHnu train are di*nlU>d In AI'TI)-O>re Since correct
 luutfc l> lni|urtaiit  In obliunlni \alid results all usen
 •huuld rrjd  ihu  AI'TI)-uj78 ita-urr..-nt  and adopt tbe
 operating and nialnirnunce pnx'durcs outlined In It.
 unless  otherwise  si»rifird  hori'in  Further details  and
 cuhlrllnf.  on o|M>ruiiiin  and  niointi'imnce arc given In
 M>'ihod 5  and should I* read and followed whenever
 they are applicable
  2 1 1   ProW Noulc. Same as Method 5. Section 2.1.1.
  2 I .'   I'rolfo lJm>r Uoro&lllcaiii or  ijuaru glas&, with a
 hi-atlng  system to prevent vl*llile condeiL>«uon during
aampuni Do not  tue metal probe liners.
  '11 3  I'uol Tubr Same ai Method 5. Section 2 1 3

  2.1 4  DlfforenliaJ fneenn Oaufr Same an Method 5
 ••cllonZ.l 4.
  2 l.S  Filter Bolder Boralllcale gla», with  a  glas;
 frit fllttr support and a illlcone rubber gasket Other
 Baket materials, e g . Teflon or VIurn, may be us»d §ub-
 J«ct to the approval of the Administrator The holder
 dwtgB thall provide a peel tire aeal against leakage  from
 tbe oulilde or around tbe filter  The fllur holder  ihall
 be placed between th» firtt and aecond lmpin«er» Now
 Do not heat the film holder.
  S.l.t  lmplnger»—FOUJ. aa thown in Figure »-i  The
 •nt and third thai) be of tbe Oreenhurg-Bmllh ,-lnign
 with lundard tip* Tbe atcond  and  fourth  I ha!] b« of
 tbe Orernburg-Bmlth design, mndlfied by nplarlng the
 ln»ert with an approilmalfly 13 mllllmeur (OS in.) ID
 flam tube, having an unconntrlrted tin located  13 min
 (01 In ) from the bottom of the flask  Blmllar collection
 tyiusna, which nave  been approved  by the Admlnlj-
 trator. marbeotcd
  21.7  Met»rlnj 6v«t«m. Same  as Method  6. Section

  ».1J  Baromeusr. Same u Method 4. Section 21 9
  2.1.9  Oas  Density Determination Equipment Bane
 M Methods, Section 2.1.10-
  1.1.10 Temperature Gauge. Thermometer, or equiva-
lent  to mrMure tbe temperature of the gas  eavini tbe
tmpioger train to within Fc CT r>
  2.2  Sample Reeoverr.
                                 TEMPERATURE SENSOR
                                                PROBE
                           PtTOT TUBE

                           TEMPERATURE SENSOR
                                                                                                                    THERMOMETER
                         FILTER HOLDER
                                                                              .CHECK
                                                                              /VALVE
                 7
    REVERSE TYPE
      PITOT TUBE
                                                                                               IMPINGERS


                                                                               BY-PASS VALVE
                                                                                                                                         •VACUUM
                                                                                                                                            LINE
                                                                                                                                    VACUUM
                                                                                                                                      GAUGE

                                                                                                                       MAIN VALVE
                                        DRY TEST  METER

                                                Figure 8-1.  Sulfuric acid mist sampling train.
                                                                          11-57

-------
  NOT*.—If moisture ooeteat b «o b» determined by
imptnger analysis, weigh each of tbe first thra* tmpingtrs
(jplus absorbing-solution)to th* !»••*•* 0.5 g end record
tiiese weights. The  wei(ht of the silica If i (or slllc* gel
Dim container) must also b* determined U> th« saareet
0 J g and recorded
  4.1.4   Pretest  Leek-Check  Procedure. FoUcw UM
basic procedure outlined in Method  6, Section 4.1.4.1,
noting  that the probe heater shall be adjusted  to tba
minimum temperature required to prevent  condense-
tk». and also that T&rbaie such as,	plugging the
inlet to the  Oiler holder • *  V shall be replaced by,
••• • •  plugging the inlet to the first impinge: • •  '."
The pntctt leak-check 1* optional.
  4.1-S   Train Operation. Follow th« bask  procedurM
outlined in Method 5. Section 4.1.5, in conjunction with
the tallowing speclsJ instructions  Data shall be recorded
«o a sheet similar to the one In Figure 8-J. Tbe sampling
nt» (hall not exceed 0.030 m'/mln (1.0 eta) during UM
run. Periodically during the test, observe tbe connecting
Una between the probe  and  fint Impinger  for signs o?
(sondeniatlon. It It does  occur, adjust th* probe beater
wttiag upward to  the minimum temperature required
Co prevent condensation. If component changes become
accessary during a run,  a leek-check shall be done Im-
mediately before each change, according to the procedure
outlined in Section 4.1.4.2 of Method 5 (with appropriate
modifications, as mentioned in Section 4.1.4  o(  this
method);  record all  leak  rate*.  If tbe leakage raWs)
loosed the specified rate, tbe tetter shall either rold tbe
ran or shall plan to correct the  sample volume as out-
lined in Section 8.3 of Method S. Immediately after com-
Ijonent changes, leak-checks  are  optional. If then
leak-checks an done, tbe procedure outlined In  Section
4.1.4.1  of  Method  5  (with appropriate  modifications)
ifcallbeuted

  After taming oil tbe  pomp and  regarding tbe final
 nadings at the conclusion of eacb run, remove the probe
 from the  stack. Conduct a poet-teat (mandatory) leak-
 aheck  as in Section 4.1.4.3 of Method 5 (with appropriate
 modification) and record the leak rate. If the post-test
 leakage rate eiceeds the specified acceptable rate, the
 tester shall either correct the sample volume, as outlined
 in Section 6.3 of Method 5. or shall void the run.
   Drain the ice bath and, with the probe disconnected,
 purge the remaining part of the train, by drawing clean
 ambient  air through the system for 15 minutes at tbe
 average flow rate used tor sampling.
   NOTE.—Clean ambient air can be provided by passing
 air through a charcoal filter. At tbe  option of tbe tester,
 ambient air (without cleaning) may be used.
   4.1.S  Calculation of  Percent  Isokinetic.  Follow tbe
 procedure outlined in Method 5, Section 4.1.0.
   4-2   Sample Recovery.
   4-2.1  Container No.  1. If a moisture content analysis
 to to be done, weigh tbe first impinger plot eontoota to
 tbe nearest 0.5 g and record this weight.
   Transfer the contents of the first Impinger to a J!0-ml
 graduated cylinder. Rinse the probe, first Impinger, all
 connecting glassware before the filter, and the front half
  of the filter holder with 80 percent isopropanol. Add the
 rinse solution to tbe cylinder. Dilute to 250 ml with 80
  paroent isopropanol Add the filter to the solution, mil,
  and transfer to the storage container. Protect the solution
  against  evaporation. Mark the level of liquid on bet
  aontainerand identify the sample container.
    4.2.2  Container No. 2. II a moisture content analysis
  is to be done, weigh tbe second  and third impingers
  (plus contents) to the nearest O.A g and record  these
  weights. Also, weigh tbe spent silica gel (or silica gel
  plus impinger) to the nearest 0.5 g.
    Transfer  tbe solutions  from tbe second and  tblrd
  Impingers to  a 1000-ml graduated cylinder. Rinse all
  connecting glassware (including back half of filter holder)
  between the filter and silica geilmpinger with daioniied,
  distilled water, and add this rinse water to tbe cylinder.
  Dilute to a volume of 1000 ml with deionlsed, distilled
  water. Transfer the solution to a storage container. Mark
  tb« level of liquid on tbe container. Seal and identify UM
  sample container.
    4J Analysis.
    Note  the level of liquid In containers 1 and I, and eon-
  firm whether or not any sample was lost during ship-
  ment, note this on the analytical data sheet. If a notice-
  able  amount of  leakage has occurred, either void UM
  sample or use methods, subject to the approval of UM
  Administrator, to correct the final results.
    4J.1  Container No. 1. Shake the container holding
  the  tsopropanol solution and tbe filter.  If  the filter
  breaks up, allow tbe fragments to settle lor a few minute*
   before removing a sample. Pipette a 100-ml aliquot of
  tbis solution into a 250-mi  Erlenmeyer ftaek. add it < > 4
   drops of thorin Indicator, and titrate to a plni ent »int
   using 0 0100 N barium per chlorite Repeat tbe tltri.ion
  with a second aliquot of sample and average UM iteration
   value*. Replicate utrations most agree within I pcnant
   cr 0.2 ml, whichever Is greater.
    4JJ  Contain* No. 2. Thoroughly mil tbe sctattoo
  la tbe container holding the contents of tbe wooed and
  third impingers-  Pipette a 10-ml aliquot of sample into a
  SSO-ml  Krlenmeyer flask. Add ml of isopropmnol. % to
  4 drops of thorin indicator. and titrate to a pint endpelct
oing 0.0100 N barium pertblorotc  Repeat th* titretios
with a Mcond aliquot of sample and tvtragf tbe titration
value*  Replicate tttrelloa* man agree witfein 1 perosat
V OJ ml. whichever it greater.
  4JJ  Blanks  Prepare blanks by adding ! to 4 drop*
ef tbortn indicator to 100 ml ef SO percent isopropenol-
Ttevte the blanks in the same manner as ice samples.
  a.1  Calibrate equipment using the proaedorei ipeei-
ted in tbe following sections of Ucthod  &  Section &JS
(iMtering system),  Section 5.5 (tsmperatare gauges).
Section 5.7 (barometer). Note  tbat  the  recommended
Ittk-eher k ol tbe metering  system, deecrlbed in SecUcc
(.4 of Method J. also  applies to this method
  oJ  Standardise tbe bariom perchlorate solotlon with
tt ml of standard rjlfuric  fccid. to which 100 ml of 100
ptrant Isopropanol  bas beec added.
eeiaU tbe moJsturs content of tbe s8ark g*s, u*«f Eou*
tS0Q S-S of Method 4 Tbe "Note" In fteruon 6 5of M?i.fi'X!
I also appb« u> this mstbcd  Note thai U Ibt- «Suant fs;
ttraaru can b* considered nt»nt nw«J not bt e*lcuja>i«i
 *J  aulfuric add mist (including BOO eoooratntioD
  Note.— Carry ont calcnlationt ratelning at wait ooe
•rtra decimal figure bevond that of tbe acquired data,
Bound off figures after final calculation.
  4.1  Nomenclature.
       A." Cross-sectional ana ofnoule, m' (ft>).
       «•- Water vapor in the gas straam, proportion
             by volume.
   CHsSOi-Sulfurtc acid (inclnding BO() concentration.
             g/dscm Ob/dscf).
     CBOi**Sulfur dioxide oonoantratioe, s/dsem  Ob/
             dscf).
         /-Percent of Isokinetic sampling.
        N-Nonnabty of barium parchlorate titrant, I
             •xjuivalenti/liter.
      n»r- Barometric proxure  at the sampling  sit*.
             mm Eg (In. Hg).
        P.-Absolute stack ft* pnHon, mm Hg On.

      fttd- Standard  absolute prawm. 780 mm Hg
             CB.K in. Hg).
       r.- Avenge absolute dry gas meter temperatur*
             (*eeFlgure8-2),°E(*R).
        r.- Average absolute stock gas temparature (SM
             KjnreS-2),*Kr B).
      Tvtd- Standard  absolute temperature, SO*  K
             (828° B)
        V.'Volnme of sample aliquot titrated, 100 ml
             lor HiBOi and 10 ml for BO,.
       Vi,»Total volume ofliqu.it! collected in implnjen
             and silica gel, ml.
       V.- Volume of gas s&mple M mMrarad by dry
           ns meter, dcm (den .
   V.dtd)- Volume of gas sample measured by tbe dry
           ns meter oorrecteo to standard conditions.
            oscm (dscf).
         •,-Average stack gas velocity, calculated by
            Method 2, Equation 2-0. using dataobUiiMd
            torn Method 8, as/see (ft/sec).
      Vsoln- Total volume of solution In which tbe
            sulfuric  acid  or  sulfur dlonde sample  is
            gontained, 2SO ml or 1,000 ml,  respectively.
        Vi-Volume of barium perchlorate tltrant used
            tor tbe tample.ml.
       Vit- Volume o! barium perchlorate tltrant used
            tor tbe blank, ml.
         y-Dry gas meter calibration factor.
       AH- Average pressure drop across orifice meter,
            mm (in.) HrO.
         8-Toul sampling time, min.
       U.S-Speclfic gravity of mercury.
         60- tec/mi n
        100 -Con version to percent
   8.2 Average dry gas metxr tempenture and average
 ertficc prewure drop See dst» sb«t (Figure 8-2).
   43 Dry Qas Volume  Correct the sample volume
 measured by tbe dry gas meter to standard conditions
 Off C and 760 mm Hg or 68" F and 2B.92 in. Hg) by using
 Equation 8-i.
     otd) =
                                  Equition 8-2
  JCt- 0.04904 s/mUl>%quiv»)eT>t for metric ctr.lt-,
    -1.0§lXl£Hlb/a58Q lor Kaglish oniu.
  t.e  BuUur dioxide oeuoentration.
                                  Equation 8-3
    i-0.0203 r/meafor m«trlc units
    -7.081X10->lb7meq for Xoglish tmiU.
  S.7  Ijokinetlc Variation.
  C.7.1  Calculation from raw data.
    100 r.[
                    MtV.P.A,
                                   Equation 8-4
  C,-0.003464 mm Hf-m»/mJ-*K for metric onlts
    «0.003K7e in. Hg-nVml-'B for £n;ush onlu.
  ft.7.2  Calculation bnm intermediate values.
           -K,
                                  Equation S-5
where
  Xi-4420 tor metric nniu.
     -C.OM50 for English units
  M Acceptable Results If 10 percent eric  Analyse   pp  40-42  Amwicmn Society
tor Testing and Material Pbiladelphia, f&. 1974
                                                                                11-58

-------
  U.l  Wasb Bottles. Pslfstiiytoa* «r  tl**e, HC si!
 (two).
  12.:  Orsduafcx) CyKndw* S6C ml,  i Uter.  fVeJo'
 Bet/lc fiaikj may ai*c be uasd.'
  J-J I  Storage Bottles. Leal-free polyethylene boUta,
 lOW ml SUM (two (or eaeb sampling run).

  124  Trip Balance  SHVfnun capacity, to roearare to
 sfcO.5 i (necessary only If a moisture content aaalyali t>
 to b» done).
  2.9 Analysis
  2.1 1  Pipettes. Volumetric 25 ml, 100 ml.
  2.3.2  Bun-el W «t> ml
  2.3.3  Erlenmeyer Flask  2SO ml. (one for each aunpk
 blank and standard).
  2.S 4  Graduated Cylinder. 100 ml.
  J.I 5  Trip Balance. 400 | capacity, to meanir* to
 *O.S|
  2.1 e  Dropping Bottle.  To add indicator •oration,
 125-ml atse.
  Unless otherwise Indicated, all reagents ere to conform
to tbe specifications Mtabllshed by the Committee mi
Analytical Reagents of tbe American Chemical Society.
wbere such specifications are available. Otherwise, ue
tbe best available trade.
  1.1  Sampling.
  1.1.1  Fillers  Same as Method 5, Section 3.1.1.
  1.1.2  BlUca Oel. Same as Method ft. Section 1.1. 2.
  1.1.1  Water. Delonlted. distilled to conform to ABTM
HMdflcatlon D11V3-74. Type 1. At  tbe option of tbe
analyst, tbe XMnOi test for oxjdltable orfanlc matter
•ay be omlttad when high concentrations o( organic
Better art not expected to be present.
  t! 4  Isoprspanoi SO Permit. Mix §W m! of tepro-
paao) wltb JOO ml of delonUed, distilled water.
  MOTS — Ziperienoe Kasabown that only A.C.B.ftwde
hopropanol  is  Mtltfortory.  TeiU  hevp  shown that
isopropaDo!  obtained  from cemmerclal sources  oece-
easlonaUy bas peroilde imparities tbat will cauae w-
roo«ou0ly bi|(h  sulftirlc acid  mist  measurement.  Use
U)e (ollowlnf Ust for detecting peroilde* In each lot of
Inpropanol  Sbakr  10 ml of tbe isopropanol with 10 ml
•f freshly pnpurd lOporcrnt poUwiura Iodide aolotlon.
Prepare a blank by similarly treating 10 ml of distilled
vat«r After  1 minute, read the ahsorbanc* OD a spectro-
pboiompter at S&2 naoometen. If the abaorbaoce exceeds
0.1, tbe Isopropanol  shall not be used. ParosJdes may be
ramoTed from laopropano! by redistilling. or by r"~r»-
Uucou|(h a column of actirsted alumina However, re-
•cenV«rade Isopropanol with suitably low peraxldeleTels
to readily available  from commercial sources; therefore,
rejection of  contaminated  lots may  be more •fflelanl
than following the peroilde removal procedure.
  1.1 &  Bydre«en Peroilde. 1 Percent DUoU 100 ml
al W nerrent  hydroten peroxide to 1 liter with deJoolsed,
distilled water. Prepare fresh daily.
  1.1.«  Crushed Ice.
  1.2  Sample Recovery.
  1.1.1  Water. Same as S.I.!.
  1-2.2  Isopropanol, W Percent. Berne as 1.1.4.
  1.1  Analysis.
  U.I  Water Same as 3.1.3
  1.1.2  Isopropenol, 100 Percent.
  1.1.3  Thorln Indicator. I-(o-enonophenyla*o)-2-HBpb-
tbol-3, t-dlsulfordc  acid, dlsodium salt, or  oqnlvmleot.
Dtosolve 0.101 In 100 ml of delonlted distilled water
  $14  Barium PercMorate  (00100 Normai)  Dtasoit-
 l.Kt of barium perehloreu trfhydrete (BKC10 Determinations Follow  the pro-
 cedure outlined in Method 5, Section 4 1 2
  4.1.3  Preparation of Collection Train Follow the pro-
 cedure outlined in  Method 5. Section 4 1 3 (eicept for
 tbe second  paragraph  and  other obviously inapplicable
 pens) and use Figure 8-1 instead of Figure 5-1  Replace
 the second  paragraph  with Place 100 ml of 80 percent
 taopropano! in  the Ant Impinger, 100 ml of 3 percent
hydrogtn peroxide in both the second  and third Im-
pinge.™, retain a portion of each reefeot tor  us* as a
blank solution. Place about J00| of sUlceiel In tbt fourth
implncer.
   WANT.
   LOCATION	

   OPERATOR	

   BATE	

   RUN NO	

   SAMPLE BOX NO.

   METER BOX NO..

   METERAH*	

   C FACTOR	
  PITOT TUBE COEFFICIENT. C».
                                      STATIC PRESSURE. •• H| lie, HI)

                                      AMBIENT TEMPERATURE	

                                      BAROMETRIC PRESSURE	

                                      ASSUMED MOISTURE. X	

                                      PROBE LENGTH, m (It)	
                                                SCHEMATIC Of STACK CROSS SECTION
                                      NOZZLE IDENTIFICATION NO	

                                      AVERAGE CALIBRATED NOZZLE DIAMETER, onlinj.

                                      PROBE HEATER SETTING	

                                      LEAK RATE. m3/mi«,(cfm)	

                                      PROBE LINER MATERIAL	

                                      FILTER HO.  	
TRAVERSE POINT
NUMBER












TOTAL
SAMPLING
TIME
(«).»ia.













AVERAGE
VACUUM
••HI

-------
 MXTKOS  » — VKTTAI.  DCTBMUfArlOW  Of  TBX
   OPACITY or  UOaaiOMS  VmOK  STAnOKACY
   sou&cxe
   Many •tationary sources discharge visible
 emissions into the atmosphere; the*e emls-
 nioaa are  usually la the abape of a plume.
 This method involves the determination of
 plume opacity  by qualified  observer*.  The
 method includes procedures for the training
 and certification of observers,  and procedures
 to be used in the field for determination of
 plume opacity. The appearance of a plume as
 viewed by an observer depends upon a num-
 ber of varUMea, some of which may be con-
 llroUable and  some  of  which may not be
 oontroUable In the field. Variables which oan
 In controlled to an extent to which they no
 longer  exert a  significant  Influence  upon
 plume appearance include: Angle of the ob-
 server with respect to the plume; angle of the
 'Observer wltb  respect to  the sun;  point of
 'Observation of attached and detached steam
 plume;  and angle of the observer  with re-
 spect to a plumct emitted from a rectangular
 stack with a large length to width ratio. The
 method includes  specific  criteria applicable
 to these variables.
   Other varlablr  which may not be control-
 lable in the  fleiu are luminescence and color
 contrast betwei ' the plume and the back-
 ground against viicb the plume is viewed.
 These variables exert an influence upon the
 appearance of a plume  as viewed by an ob-
 server, and can affect the ability  of the ob-
 server to accurately assign  opacity values
 to the observed plume. Studies of the theory
 of plume opacity and field studies have dem-
 onstrated that a  plume is most visible and
 presents the greatest apparent opacity when
 viewed against a contrasting background. It
 follows  from this, and is  confirmed by  field
 trials, that the opacity of a plume, viewed
 under conditions where a contrasting back-
 ground is present caa be assigned with the
 greatest degree of accuracy. However, the po~
"tential for a positive error is also the greatest
 •when a plume  is viewed under such contrast-
 ing conditions. Under conditions  presenting
 a leas contrasting background, th» apparent
 opacity of t> plume  Is  leas  and approaches
 eero as the color  and luminescence contrast
 decrease toward zero. &» a result,  significant
 negative  bias  and  negative  errors  can be
 m&da when a  plume is viewed  under lesa
 contrasting  conditions.  A negative  bias de-
 creases rather than Increases the possibility
 that a plant operator will be  cited for a vio-
 lation of  opacity standards due to observer
 error.
   Studies have been undertaken to determine
 the magnitude of positive errors  which can
 be made  by qualified observers -wblie read-
 Ing plumes under contrasting conditions and
 •using the  procedures  set  forth  in  this
 method. The results of tbesa studies  (field
 trials) which  involve a total of 76S sets of
 25 readings each are as follows:
   (I) For black plumes '133 sets at a smoke
 generator) ,  100 percent  of  the  sets  were
 read with a positive error1 of leas  than 7.6
 perceot^opacHy; 99  ras'-ceijt were read with
 a positive error of lea* thstn 5 percent opacity.
   (2) For white plumes (17{Ts*t* at a smoke
 generator, 183 i«U a*. & coed-fired power plant,
 288 sets fti a sulfur) - acid plant), S9 percent
 of tb* M>t* were *t6t with ts, positive emjf of
 less thaa "?3 parr-sat op&clty,  81 fiercest were
 T«fed witR & puiTivs error ofl^a than 6 per-
 esnt epsclty.
   The posit!?*
 •With  asi »v» •
 therti'Gifs SB: ,
 method aiu,-:'
  determining
 cable opaci
        V.e«mkt!csi«J «r»or
       "- of tn?«nty-fiTO  «>&d!x.g* 5s
      »: ta.-ttQ into account- wiMn
      poaetb-*  ifir,':'»tSax-a «tf Appli-
s. wt, portfire* •»*gvar:-.3t;.'»«rag»
  1. Principle and oppHecMHty.

  l.t   Principle.  The  opacity  of  •missions
from  stationary sources Is determined vis-
ually  by a qualified observer. -
  1.3   Applicability. This method to appli-
cable for the determination of the opacity
of emissions from stationary  sources pur-
suant to I 80.11 (b)  and for qualifying ob-
servers for visually  determining opacity  of
•missions.
  3. Procedures.  The  observer  qualified  Sn
accordance with paragraph 8 of this method
•hall  use the following procedures  for TU-
ttally determining the opacity of embsrions:
  t.l   Position,, The qualified observer shall
stand  at a distance sufficient  to provide a
clear  view of the emissions with  tb» cun
oriented in the 140* sector  to his back. Con-
sistent with maintaining ths above require-
ment, the observer shall, as much as possible,
make his observations from a position such
that  his line  ot vision  li approximately
perpendicular to the plume direction, and
when observing opacity of emissions from
rectangular outlets (e.g. roof monitors, open
baghouses,  noncircular  stacks),  approxi-
mately perpendicular to th» longer axis  of
the outlet. The observer's line of sight should
not include  more t.hsr. one plume at a time
when multiple stacks are  involved, and  in
any case the observer should make his ob-
servations with bis line of sight perpendicu-
lar to the longer axis of such a set of multi-
ple stacks (e.g.  stub stacks on baghouses).
  2.2  Field  records. The observer shall re-
cord the name of the plant, emission loca-
tion,  type  facility,  observer's name  and
affiliation, and the date on a field data cheet
(Figure 0-1). The time, estimated distance
to the emission location,  approximate wind
direction, estimated wind speed, description
of the sky condition  (presence and  color of
clouds), and plume background are recorded
on a field data sheet at the time opacity read-
ings are initiated  and completed.
  2.3   Observations.  Opacity  observations
Shall bo made at the point of greatest opacity
in that  portion of  the plume where con-
densed water vapor !• cot present. The ob-
server shall not look continuously  at to®
plume, but  instead shall observa tb« plume
momentarily at  iS-second  intervals.
  83.1  Attached Bteain plumes. When con-
densed water vapor  Is present within tbs
plume as it  emerges from the emfeeilon •-
second period.
  S.S  Data Reduction. Opacity shall be eli-
te-mined as an  average  of 24 consecution
observations recorded at IB-second IntervsV,,
Divide the observations recorded on the rec-
ord sheet into sate of 24  consecutive obser-
vations. A set ia  composed of  any 24 con-
secutive observations. Sets need not be con-
secutive in  time and. in  no case shsli two
sate overlap, for each set af 24 observ? v•»-%
calculate ihe average by stunmtng the opacity
of the 3*. observations aod dividing this
                                                                                by 24. If an applicable standard specifies an
                                                                                averaging time requiring more than 21 ob-
                                                                                servations, ealeul&te the average for all ob-
                                                                                servations  made  during the specified  time
                                                                                period. Record the average opacity on a record
                                                                                sheet. (See Figure 9-1 for an example.)
                                                                                  8.  QuaU/lcationt and testing.   -
                                                                                  8.1 Certification requirements. To receive
                                                                                certification as a qualified observer, a  can-
                                                                                didate must be tested and demonstrate the
                                                                                ability to assign opacity readings in B percent
                                                                                increments to 25  different black Blums* "«»
                                                                                U different  w<c plumes,  with an error
                                                                                not to «*o*»d 15 psrosnt opacity on  any one
                                                                                reading and an average error not to exceed
                                                                                7.8 percent opacity  in aach category. Candi-
                                                                                dates shall be tested according to the  pro-
                                                                                cedures described In paragraph 8.2. Smoke
                                                                                generators  used  pursuant to paragraph 3.2
                                                                                •hall be equipped with a smoke meter which
                                                                                meets the requirements of paragraph 3.3
                                                                                  The certification shall be valid for a period
                                                                                of 6  months, at which time the qualification
                                                                                procedure must be repeated by any observer
                                                                                in order to retain certification.
                                                                                •  8.3 Certification  procedure. The certifica-
                                                                                tion  test consists of showing the candidate  a
                                                                                complete run of 60 plumes — 25 Mack plumes
                                                                                and 25 white plumes— generated by a smoke
                                                                                generator. Plumes within each set of 26 black
                                                                                and 25 white runs shall be presented in ran-
                                                                                dom order. The candidate assigns an opacity
                                                                                value to each plume and records his obser-
                                                                                vation on a suitable form. At the completion
                                                                                of each run of 60 readings, the More of the
                                                                                candidate is determined. If A candidate fails
                                                                                to qualify, the complete run of 50 readings
                                                                                must be repeated in any retest. The smoke
                                                                                test may be administered as part of a smoke
                                                                                •chcoi or training program, and may be pre-
                                                                                ceded by training or familiarization runs of
                                                                                the smoke generator during which candidates
                                                                                are showa black and white plumes of known
                                                                                opacity.
                                                                                •  8.3  Ssiok*  generator  epeclfioatioxus.  Any
                                                                                •moke generator  used for the purposes of
                                                                                paragraph S3 tsh&ll be equipped with » smoke
                                                                                m»ter installed to  measure  opacity across
                                                                                the diameter of the smoke generator stack.
                                                                                The  emok» ine-tar output shall display la-
                                                                                stack opacity based upon a pathlength equal
                                                                                to KSK aUct: exit diameter, on a full 0 to 100
                                                                                percent  chart recorder  aoale.  The  smoke
                                                                                meter optical design and performance sh&U
                                                                                raeet the specifications shown in Table 9-1.
                                                                                The cmolte meter thiai be calibrated as  pre-
                                                                                scribed in paragraph 83.1 prior  to the  con-
                                                                                duct of  each smoke reading test.  At the>
                                                                                oooxpletion of each  test, the zero and span
                                                                                dnn thai!  be  checked and If the drift ex-
                                                                                •oeeds ±1 percent opacity, the condition shall
                                                                                bo corrected prior to conducting any subse-
                                                                                quent test  runs. The smoke meter shall be
                                                                                demonstrated, at the time of Installation, to
                                                                                zne«t the specinca.Uaas listed in Table fr-i.
                                                                                This demonstration shall be  repeated  fol-
                                                                                lowing any subsequent repair or replacement
                                                                                of toe photocell or associated electronic cir-
                                                                                cuitry including the chart recorder or output
                                                                                m»ter. or v"mr, $ cxsnhj, whichever occurs
        Ot jferattsa.  Tb*  smoke meter if
omlltwated  zflte allowing a minimum of 80
-enicutee VSJT-SUJ-  by alternately producing
simulated cfwcitf of  0 percent end 100 per-
~'sr.t. When Bt&ble response Bt 0 percent or
100 percent is noted,  the smoke meter is ad-
j-itt&d to prortuc* an output of 0 percent or
100 |>erc«nt, as appropriate. Tills calttirwfeloa
•hall be **pt*t*d uata stable 0 percent  and
100 percent readings *r* produced without
ftdjustment.  Simulated 0  percent  and  100
percent ops-sit^ «^Juss z»«f be prcdwsad by
alternately switch tog  th» rw*? t* *&e light
eaure* oa ^ad =2 i.Ml« the staoks
is not producing
                                                           IT-60

-------
             tarn
            i
    Speoi/UxrttDn
Xneaadeeoent   lamp
  operated at nominal
  rated, voltage.
Photoplo    (daylight
•  spectral response of
  ttae  human  eye-
  reference 4.3).

  angle.
16*  maximum  total
  angle.
•±a%  opacity,  maxi-
  mum.
±1%    opacity,   80
  minutes.
Parameter:
*, Light KMtrce	,.
b. fJpeetral response
    of photocell.
c. Angle of view	

4. Angle of  projec-
    tion.
e. Calibration error.

f. Zero   and   apart
    drift.
f. Response time—
  8.3J  Smoke meter evaluation. The smoke
meter design and  performance are to  be
evaluated at follows:
  3.3.2.1  Light aource. Verify from manu-
facturer's data and froxr voltage  measure-
ments made at the lamp, as Installed, that
the tf™r la operated witbux *S percent of
the nominal rated voltage.
  8.3.2.2  Spectral  response of  photocell.
Verify from manufacturer's data  that the
photocell has a photoplc response; 1*, the
•pectnl sensitivity of  the cell  shall closely
approximate the standard spectral-luminos-
ity curve for photoplc  vision which b refer-
enced in (b) of Table  9-1.
   3323  Angle of view. Check construction
geometry to ensure that the total angle of
•view of the smoke plume, as  seen by the
photocell, does not exceed  16*. The toUl
angle of view may b*  calculated from: •=»
tan-* d/2L, where t—total  angle  of  view;
d=the sum of the photocell dlameter+th«
diameter  of  the  limiting  aperture:  and
I,=tbe  distance  from toe photocell to  th»
 limiting aperture.  The limiting aperture tt
 the point In the path  between  the photocell
 and the smoke plum*  where  the angle of
Ttow to  mo* restricted, In  smok» generator
 •moke meters tnto to normally -aa orifice
plate.
   8.3.3.4 Angle  of projection. Check con-
 struction geometry to ensure that the total
•ogle of  projection of the  lamp  OB tb*
smoke plume does not axoeed It'. Ttee total
angle of projection may be calculated from:
*=2 tan-1 d/2L. where »= total angle ol pro-
jection; d= the sum of the length ef the
lamp filament 4- the diameter of the I'^'t^g
aperture; and Ic= the distance from the lamp
to the limiting aperture.
  8.8.2.6  Calibration error. Using  neutral-
density filters of known opacity, check the
error between the actual  response  and the
theoretical  linear response of  the smoke
meter. This check is accomplished by first
calibrating  the smoke  meter according  to
8.3.1  and then Inserting  a serlee of three
neutral-density filters of nominal opacity of
30, 60, and 76  peroent In the smoke meter
pathlength. Filters cailbartod within ±2 per-
cent  shall be  used. Oar* should  be taken
•when inserting the filters to prevent  stray
light from affecting the meter. Make a total
of five nonconsecutlve readings  for  each
filter. The ftT1""""' error on any one read-
ing shall be 3 peroent opacity.
   3.8.2.6  Zero and  span  drift.  Determine
the  rero and span drift by calibrating and
operating the smoke generator in a normal
manner  over • 1-hour period. The drift is
measured by checking the nro and span at
the end of this period.
   932.1  Response time.  Determine the  re-
sponse time by producng the series of five
simulated 0 peroent and 100 peroent opacity
values and observing the time required to
reach stable response.  Opacity  Talus* of 0
percent  and 100 peroent  may be simulated
by alternately switching  the power to  the
light  source off and  on while the smoke
 generator Is not operating.
   4. RrJcrcnces.
   4.1  Air Pollution Control District  Rules
and  Regulations, Los  Angeles  County  Air
 Pollution Control District,  Regulation  XV.
 Prohibitions, Rule 60.
   43 Weicburd, lielvin X, Field Operations
 and Enforcement Mtnital for Air, TJJ3. Envi-
 ronmental Protection Agency, Research Tri-
 angle Park. N.O, APTD-1100. August 1972.
 pp. 4.1-4.36.
   C3 Condon, E. IT., and Odishaw.H, Hand-
 book of Physios, McOrsw-HUl Oo, XT, N.T.
 19H, Table 8.1. p. 6-S2.
                                                                  11-61

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                                     RECORD OF VISUAL DETERMINATION OF OPACITY
                                       PAGE	of
COMPANY	
LOCATION_
TEST NUMBER.
DATE	
TYPE FACILITY^
CONTROL DEVICE
                  HOURS OF OBSERVATION.
                  OBSERVER 	
                  OBSERVER CERTIFICATION DATE_
                  OBSERVER AFFILIATION
                  POINT OF EMISSIONS
                  HEIGHT OP DISCHARGE POINT
CLOCK TIME
OBSERVER LOCATION
  Distance to Discharge
  •Direction from Dtscharga
  Height of Observation Point
BACKGROUND DESCRIPTION
HEATHER CONDITIONS
  Wind Direction
  Wind Speed
  Ambient Temperature
SKY CONDITIONS (clear.
  overcast* % clouds, etc.} .
PLUME DESCRIPTION
  Color
  Distance Visible
 OTHER I»FORI1AT!0?I
                              Initial
Final
SUMMARY OF AVERAGE OPACITY
Set
Number









-
JimA
Start—End










Opaciti • .
Sum










Average










             Readings ranged from
                to
,3t opacity
             The  source was/was not in compliance with
             the  time evaluation vias made.
                                     at

-------
                FIGURE 9-2  OBSERVATION RECORD
                   PAGE	OF
COMPANY    '
LOCATION	
TEST NUMBER"
WTE	
OBSERVER 	
TYPE FAClltTV
POINT OF EMISSTORT
Mr.






























Hin.
u
1
2
3
4
5
6
/
B
9
1o
ll
12
13
14
Ib
16
7
8
9
20
21
22
23
24
25
*b
27
28
29

0






























Seconds
15






























30






























«b






























STtAM PLUhE
(chtek 1f applicable)
Attached






























Detached































COMMENTS






























                                                                                           FIGURES-? OBSERVATION RECORD
                                                                                                    (Continued)
                                                                                             PAGE	OF .„
COHPANY
LOCATION
TEST NUMBET
DATE	'
OBSERVER	
TYPE FACIllTV   ""
POINT OF EMISSlCRT
Hr.






























M1n.
30
31
32
33
34
35
36
37
38
39
40
41
42
43
44
45
46
47
48
49
50
51
52
53
54
55
56
57
58
59
Seconds
0






























Ib






























JO






























4b






























STEAM PLUME
(check If applicable)
Attached






























Detached
















'













COMMENTS



^


























                                                                                               |FB Doc.74-2«160 Filed 11-11-74:8:46 Ma]

-------
Method 19. Determination of Sulfur
Dioxide Removal Efficiency and
Particulate. Sulfur Dioxide and Nitrogen
Oxides Emission -Rates From Electric
Utility Steam Generators
I. Principle and Applicability
  1.1  Principle.
  1.1.1  Fuel samples from before and
after fuel pretreatment systems are
collected and analyzed for sulfur and
heat content, and the percent sulfur
dioxide (ng/Joule, Ib/million Btu)
reduction is calculated on a dry basis.
(Optional Procedure.)
  1.1.2  Sulfur dioxide and oxygen or
carbon dioxide concentration data
obtained from sampling emissions
upstream and downstream of sulfur
dioxide control devices are used to'
calculate sulfur dioxide removal
efficiencies. (Minimum Requirement.) As
an alternative to sulfur dioxide
monitoring upstream of sulfur dioxide N
control devices, fuel samples may be
collected in an as-fired condition  and
analyzed for sulfur and heat content.
(Optional Procedure.)
  1.1.3  An overall sulfur dioxide
emission reduction efficiency is
calculated from the efficiency of fuel
pretreatment systems and the efficiency
of sulfur dioxide control devices.
  1.1.4  Particulate, sulfur dioxide,
nitrogen oxides, and oxygen or carbon
dioxide concentration data obtained
from sampling emissions downstream
from sulfur dioxide control devices are
used along with F factors to calculate
paniculate, sulfur dioxide, and nitrogen
oxides emission rates. F factors are
values relating combustion gas volume
to the heat content of fuels.
  1.2  Applicability. This method is
applicable for determining sulfur
removal efficiencies of fuel pretreatment
and sulfur dioxide control devices and
the overall reduction of potential sulfur.
dioxide emissions from electric utility
steam generators. This method is also
applicable for the determination of
particulate, sulfur dioxide, and nitrogen
oxides emission rates.
2. Determination of Sulfur Dioxide
Remo val Efficiency of Fuel
Pretreatment Systems
  2.1  Solid Fossil Fuel.
  2.1.1  Sample Increment Collection.
Use ASTM D 2234', Type I, conditions
A. B. or C, and systematic spacing.
Determine the number and v\ eight of
increments required per gross sample
representing each coal lot according to
Table 2 or Paragraph 7.1.5.2 of ASTM D
2234 '. Collect  one gross sample for-each
raw coal lot and one gross sample for
each product coal lot.
  2.1.2  ASTM Lot Size. For the purpose
of Section 2.1.1, the product coal lot size
is defined as the weight of product coal
produced from one type of raw coal. The
raw coal lot size is the weight of raw
coal used to produce one product coal
lot. Typically, the lot size is the weight
of coal processsed in a l-day'(24 hours)
period. If more than one type of coal is
treated and produced in 1 day, then
gross samples must be collected and
analyzed for each  type of coal. A coal
lot size equaling the 90-day quarterly
fuel quantity for a  specific power plant
may be used if representative sampling
can be conducted for the raw coal and
product coal.,
  Note.—Alternate definitions of fuel lot
sizes may be specified subject to prior
approval of the Administrator.
  2.1.3   Gross Sample Analysis.
Determine the percent sulfur content
(%S) and gross calorific value (GCV) of
the solid fuel on a  dry basis for each
gross sample. Use  ASTM 2013 ' for
sample preparation, ASTM D 3177 * for
sulfur analysis, and ASTM D 3173 ' for
moisture analysis. Use ASTM D 3176 '
for gross calorific value determination.
  2.2 Liquid Fossil Fuel.
  2.2.1  Sample Collection. Use .ASTM
D 270 * following the practices outlined
for continuous sampling for each gross
sample representing each fuel lot
  2.2.2  Lot Size. For the purposes of
Section 2.2.1, the weight of product fuel
from one pretreatment facility and
intended as one shipment (ship load,
barge load, etc.) is defined as one
product fuel lot. The weight of each
crude liquid fuel type used to produce
one product fuel lot is defined as one
inlet fuel lot.
  Note.— Alternate definitions of fuel lot
sizes may be specified subject to prior
approval of the Administrator.
  Note.— For the purposes of th- , method,
raw or inlet fuel (coal or oil) is > efined as the
fuel delivered to the desulnirizstion
pretreatment facility or to the steam
generating plant. For pretreated oil the input
oil to the oil desulfr 'ization process (e.g.
hydrotreatment em tied) is sampled.
  2.2.3  Sample Analysis. Determine
the percent sulfur content (%S) and
gross calorific value (GCV). Use ASTMD
240 ' for the sample analysis. This value
can be assumed to be on a  dry basis.
  1 Use the most recent revision or designation of
the ASTM procedure specified.           .
  'Use the most recent revision or designation of
the ASTM procedure specified.
                                       11-64

-------
 il.3  Calculation of Sulfur Dioxide Remov-
il Efficiency Due to Fuel PretreatmenL Cal-
ulate the percent sulfur dioxide reduction
ue to fuel  pretreatment using the follow-
ng equation:
            100
                         '•V6CVo
                         SS^GCV,
'here:
Rr = Sulfur dioxide removal efficiency due
  pretreatment; percent.
S0 = Sulfur content of the product fuel lot
  on a dry basis: weight percent.
 5, = Sulfur content of the inlet fuel lot on
  a dry basis: weight percent.
 -V.=Gross calorific  value  for the outlet
  fuel lot on a dry basis: kJ/kg (Btu/lb).'
 -V, = Gross  calorific  value for the inlet
  fuel lot  on a dry basis; kJ/kg (Btu/lb).
 "JoTE.—If more than  one fuel type is used
 produce the product fuel, use  the follow-
 : equation to calculate the sulfur contents
 r unit of heat content of the total fuel lot,
 5/GCV:
Where:
%R. =Sulfur dioxide removal efficiency of
    the sulfur dioxide control system using
    inlet  and outlet monitoring data; per-
    cent.
EM , = Sulfur dioxide emission rate from the
    outlet  of  the  sulfur  dioxide  control
    system; ng/J Ob/million Btu).
EM i = Sulfur d.oxide emission  rate  to  the
    outlet  of  the  sulfur  dioxide  control
    system; ng/J (Ib/million Btu).


  3.3  As-fired Fuel  Analysis (Optional Pro-
cedure). If the owner or operator of an elec-
tric utility steam generator chooses to deter-
mine  the sulfur dioxide imput rate  at  the
inlet  to  the sulfur dioxide control  device
through  an as-fired fuel analysis in  lieu of .
data from  a sulfur dioxide  control system
inlet gas  monitor, fuel samples must  be col-
lected  in accordance with applicable para-
graph  in  Section  2. The sampling can be
conducted upstream of any fuel processing.
:.g.. plant coal pulverization. For  the  pur-
poses of this section, a fuel  lot size is de-
fined as the weight of fuel  consumed  in 1
day (24 hours) and is directly related to the
exhaust gas  monitoring data at the outlet of
th*- sulfur dioxide control system. .

  3.3.1  Fuel Analysis. Fuel samples must bo
analyzed for sulfur content  and gross calo-
rific value. The ASTM procedures for deter-
mining sulfur content are defined in the ap-
plicable paragraphs of Section 2.


  3.3.2  Calculation of Sulfur Dioxide Input
Rate. The sulfur dioxide imput rate deter-
mined from  fuel analysis is calculated bv:
                                                           2.0(«f)

                                                           ~GCV
                                                           2-0(SSf)
                                x  10    for S.  I.  units.
                                                                      x 10    for  English  units.
                                             Where:
"S/GCV
                k-1
                       Y . (-.S./GCV.  )
                        "    *     *
 here:
 , = The fraction of total mass input derived
   from each type, k, of fuel.
 5»-Sulfur content of each fuel type, k, on
   a dry basis; weight percent.
 CVk = Gross calorific value for  each fuel
   type, k. on a dry basis; kJ/kg (Btu/lb).
 = The number of different types of fuels.
  determination of Sulfur Removnl Efficien-
  cy of the Sulfur Dioxide Control Device

  ;.l  Sampling.  Determine  SO,  emission
  ,es  at the inlet  and outlet of the sulfur
  >xide control system according to meth-
  s specified in the applicable subpart  of
  e regulations and the procedures specified
  Section 5. The inlet sulfur dioxide emis-
  >n rate may be determined through fuel
  alysis (Optional, see Section 3.3.)
  .2.   Calculation.  Calculate  the  percent
  nova] efficiency using the following equa-
  n:
   9(m)
                                                I    » Sulfur dioxide input rate  from as-fired  fuel analysis,

                                                       ng/J  (Ib/million Btu).

                                                IS,  = Sulfur content of as-fired  fuel, on a dry  basis; weight

                                                       percent.

                                                GCV  - Gross  calorific value  for as-fired  fuel, on  a dry  basis;

                                                       kJ/kg  (8tu/lb).
                                        3.3.3  Calculation of Sulfur Dioxide Emis-   dioxide emission rate.  £»„, determined In
                                      «on Reduction Using As-fired Fuel Analysis.   the applicable paragraph of Section 5.3. The
                                      The sulfur dioxide emission reduction  effi-   equation for sulfur dioxide emission reduc-
                                      ciency is calculated using the sulfur imput   tion efficiency is:
                                      rate from paragraph 3.3.2 and  the sulfur
                                        Where:
                                              SR /f,  «  Sulfur  dioxide  removal  efficiency of the sulfur

                                                        dioxide control  system  using  as-fired fuel  analysis
                                                                     j
                                                        data; percent.


                                                ESO   *  Su1fur  dioxide  emission rate  from  sulfur dioxide  control

                                                        system; ng/J  (Ib/million Btu}.

                                                I$     -  Sulfur  dioxide  input  rate from  as-fired fuel  analysis;

                                                        ng/J (Ib/million Btu).
                                                             11-65

-------
\. Calculation of Overall Reduction in
°otential Sulfur-Dioxide Emission
  4.1  The overall percent sulfur
dioxide reduction calculation uses the
sulfur dioxide concentration at the inlet
to the sulfur dioxide control device as
the base value. Any sulfur reduction
realized through fuel cleaning is
introduced into the equation as an
average percent reduction, %Rf.
  4.2  Calculate the overall percent
sulfur reduction as:
               looci.o-  O.o-^J) d.o-
rfhere:

     M
     SR
                                        For SI Units:
            Overall sulfur dioxide reduction; percent.
       o
      I.  « Sulfur dioxide removal efficiency of fuel pretreatment

            from Section 2;  percent.  Refer to applicable  subpart

            for definition of applicable averaging period.

            Sulfur dioxide removal efficiency of sulfur  dioxide control
       9
            device either 0. or C02 - based calculation  or calculated

            from fuel analysis and emission data, from Section 3;

            percent.  Refer  to applicable subpart for definition of

            applicable averaging period.

S. Calculation of Particulate, Sulfur
Dioxide, jind Nitrogen Oxides Emission
Hates
  5.1  Sampling. Use the outlet SOi or
Oi or COt concentrations data obtained
in Section 3.1. Determine the particulate,
NO., and O» or CO. concentrations
according to methods specified in an
applicable subpart of the regulations.
  5.2  Determination of an F Factor.
Select an average F factor (Section 5.2.1)
or calculate an applicable F factor
(Section 5.2.2.). If combined fuels are
Bred, the selected or calculated F factors
are prorated using the procedures in
Section 5.2.3. F factors are ratios of the
gas volume released during combustion
of a fuel divided by the heat content of
the fuel. A dry F factor (FJ is the ratio of
the volume of dry flue gases generated
to the calorific value of the fuel
combusted; a wet F factor (Fw) is the
ratio of the volume of wet Cue gases
generated to the calorific value of the
fuel combusted; and the carbon F factor
(F<:) is the ratio of the volume of carbon
dioxide generated to tfie calorific value
of the fuel combusted When pollutant
                           and oxygen concentrations have been
                           determined in Section 5.1, wet or dry F
                           factors are used. (Fw) factors and
                           associated emission calculation
                           procedures are not applicable and may
                           not be used after wet scrubbers; (Fe) or
                           (F
-------
 Where:
 Fa, F.. and F, have the units of scm/J, or scf/
    million Btu; %H. %C. %S, %N, %O, and
    %HjO are the concentrations by weight
    (expressed in percent) of hydrogen,
    carbon, sulfur, nitrogen, oxygen, and
    water from an ultimate analysis of the
    fuel; and GCV is the gross calorific value
    of the fuel in kj/kg or Btu/lb and
    consistent with the ultimate analysis.
    Follow ASTM D 2015* for solid fuels, D
    240* for liquid fuels, and D1826* for
    gaseous fuels as applicable in
    determining GCV.

   5.2.3  Combined Fuel Firing F Factor.
for affected facilities firing
 combinations of fossil fuels or fossil
 fuels and wood residue, the Fd, Fw, or Fe
 factors determined by Sections 5.2.1 or
 5.2.2 of this section shall be prorated in
 accordance with applicable formula as
 follows:
                                              20.9
          n
          £  X
         k-1

          n
          I  x
         k-1
k Fdk
k Fwk
                       or
                       or
 c
 c
'Where:
 x»=The fraction of total heat input derived
     from each type of fuel, K.             ,
 n=The number of fuels being burned in
     combination.

   5.3   Calculation of Emission Rate.
 Select from the following paragraphs the
 applicable calculation procedure and
 calculate the particulate, SOa, and NO,
 emission rate. The values in the
 equations are defined as:
 E=Pollutant emission rate, ng/J (Ib/million
     Btu).
 C=Pollutant concentration, ng/scm (Ib/scf).
   Note.—It is necessary in some cases to
 convert measured concentration units to *•
 other units for these calculations.
   Use the following table for such
 conversions:

     Conversion Factor* lor Concentration

     From—          To—       Multiply by—

 B/scm	ng/scm	         10*
 mg/scm	.	ng/scm	.-	 ,,         ^n*
                               1.602X101*
                                2.660x10*
                                1.912x10*
                               1.860X10-'
 ppm/(NOJ.__	fc/scf	   1.194x10-'


   5.3.1  Oxygen-Based F Factor
Procedure.
   5.3.1.1  Dry Basis. When both percent
oxygen (%OaJ and the pollutant
concentration (C.J are measured in the
flue gas on a dry basis, the following
equation is applicable:
 '        Mrd  L20.9  - %02(jJ

   5.3.1.2 ' Wet Basis. When both the
 percent oxygen (%O2w) and the pollutant
 concentration (Cw) are measured in the
 flue gas on a wet basis, the following
 equations are applicable: (Note: Fw
 factors are not applicable after wet
 scrubbers.)
                                                                           CdFd
                                                                                                         20.9
                           (a)
                                                     20.9
                                              ••20.9(1 -
Where:
Bw.=Proportion by volume of water vapor in
    the ambient air.
  In lieu of actual measurement, Bwm
may be estimated as follows:
  Note.—The following estimating factors are
selected to assure that any negative error
introduced in the term:

,	20.9	i
 X20.9(l -  8)  - $0.'

 will not be larger than —1.5 percent
 However, positive errors, or over-
- estimation  of emissions, of as much as 5
 percent may be introduced depending
 upon the geographic location of the
 facility and the associated range of
 ambient mositure.
   (i) Bw.=0.027. This factor may be used
 as a constant value at any location.
   (ii) 8,.=Highest monthly average of
 BW, which occurred within a calendar
 year at the nearest Weather Service
 Station.
   (iii) 8,,=Highest daily average of B,,
 which occurred within a calendar month
 at the nearest Weather Service Station,
 calculated from the data for the past 3
 years. This factor shall be calculated for
 each month and may be used as an
 estimating factor for the respective
 calendar month.
                                         (b)    i  -  c. F,  d
           -wfd
                                                                   20.9
                                                           Z0.9
                                         Where:
                                         Bw,=Proportion by volume of water vapor in
                                            the stack gas.

                                           5.3.1.3  Dry/Wet Basis. When the
                                         pollutant concentration (C,) is measured
                                         on a wet basis and the oxygen
                                         concentration (%Ojd) or measured on a
                                         dry basis, the following equation is
                                         applicable:

                                         c  _   r  w   d    i  r   20.9    -i
                                                             L20.9 -  JO,
                                                                        2d

                                           When the pollutant concentration (CJ
                                         is measured on a dry basis and the
                                         oxygen concentration (%OM) is
                                         measured on a wet basis, the following
                                         equation is applicable:

                                                             11-67
                                                                                    20.9
                                                                                      5.3.2  Carbon Dioxide-Based F Factor
                                                                                   Procedure.
                                                                                      5.3.2.1  Dry Basis. When both the
                                                                                   percent carbon dioxide (%CO2,J and the
                                                                                   pollutant concentration (Cd) are
                                                                                   measured in the flue gas on a dry basis,
                                                                                   the following equation is applicable:
                                                                           "d rc
                                                                      5.3.2.2  Wet Basis. When both the
                                                                    percent carbon dioxide (%COiw) and the
                                                                    pollutant concentration (C,) are
                                                                    measured on a wet basis, the following
                                                                    equation is applicable:

                                                                                    TOO
                                           5.3.2.3  Dry/Wet Basis. When the
                                         pollutant concentration (C,) is measured
                                         on a wet basis and the percent carbon
                                         dioxide (%CO>d] is measured on a dry
                                         basis, the following equation is
                                         applicable:
                                                                                    When the pollutant concentration (CJ
                                                                                  is measured on a dry basis and the
                                                                                  precent carbon dioxide (%COtw) is
                                                                                  measured on a wet basis, the following
                                                                                  equation is applicable:
                                                                      5.4   Calculation of Emission Rate
                                                                    from Combined Cycle-Gas Turbine
                                                                    Systems. For gas turbine-steam
                                                                    generator combined cycle systems, the
                                                                    emissions from supplemental fuel fired
                                                                    to the steam generator or the percentage
                                                                    reduction in potential (SO>) emissions
                                                                    cannot be determined directly. Using
                                                                    measurements from the gas turbine
                                                                    exhaust (performance test, subpart GG)
                                                                    and the combined  exhaust gases from
                                                                    the steam generator, calculate the
                                                                    emission rates for  these two points ,
                                                                    following the appropriate paragraphs in
                                                                    Section 5.3.
                                                                      Note. — Fw factors shall not be used to
                                                                    determine emission rates from gas turbines
                                                                    because of the injection of steam nor to
                                                                    calculate emission rates after wet scrubbers;
                                                                    F4 or Fc factor and associated calculation
                                                                    procedures are -used to combine effluent
                                                                    emissions according  to the procedure in
                                                                    Paragraph 5-2.3.
                                                                      The emission rate from the steam generator
                                                                    is calculated as:

-------
               sg

Where:
£„ = Pollutant emission rate from steam
    generator effluent, ng/J (lb/mil!ion Btu).
E, = Pollutant emission rate in combined
    cycle effluent; ng/J (Ib/million Btu).
£,, = Pollutant emission rate from gas turbine
    effluent; ng/J (Ib/million Btu).
XM=Fraction of total heat input from
    supplemental fuel fired to the steam
    generator.
X,,,=Fracu'on of total heat input from gas
    turbine exhaust gases.
  Note.—The total heat input to the steam
generator is the sum of the heat input from
supplemental fuel fired to the steam
generator and the heat input to the steam
generator from the exhaust gases from the
go s turbine.
  6.5  Effect of Wet Scrubber Exhaust,
Direct-Fired Reheat Fuel Burning. Some
wet scrubber systems require that the
temperature of the exhaust gas be raised
above the moisture dew-point prior to
the gas entering the stack. One method
used to accomplish this is directfiring of
an auxiliary burner into the exhaust gas.
The heat required for such burners is
from 1 to 2 percent of total heat input of
the steam generating plant. The effect of '
this fuel burning on the exhaust gas
components will be less than ±1.0
percent and will have  a similar effect on
emission rate calculations. Because of
this small effect, a determination of
effluent gas constituents from direct-
fired reheat burners for correction of
stack gas concentrations is not
necessary.
Where:
s0=Sldndard devidtiun of the average outlet
    hourly average emission rates for the
    reporting period; ng/J [Ib/million Btu).
s(= Standard deviation of the average inlet
    hourly average emission rates for the
    reporting period; ng/J (Ib/million Btu).
  6.3  Confidence Limits. Calculate the
lower confidence limit for the mean
outlet emission rates for SOa and NO,
and, if applicable, the upper confidence
limit for the mean inlet emission rate for
SO« using the following equations:

E.'=E.-t..-s.
                        Table 19-1.—FFactors for Various fuels'
Where:
Ef' =The lower confidence limit for the mean
    outlet emission rates; ng/J (Ib/million
    Btu).
E|*=The upper confidence limit for the mean
    inlet emission rate; ng/J (Ib/million Btu).
t,.M = Values shown below for the indicated
    number of available data points (n):
Fueltyp*
Cc«t
Anthracite'.. 	 - —

LrgnrtB
Of t> 	
Gitr
Natural

(Man* 	 ---,-



dscni
j
2.71x10-*
2.63x10-'
2.65X10-'
2.47x10"'

243x10-*
2.34x10-'
2.34x10-'
248x10"'
2.58x10-'
dsa
10' Btu
(10100)
(9780)
(9660)
(•100)

(8710)
(8710)
(8710)
(9240) -
(9600) _
WSCffl
J
£83x10-'
2.86x10-'
3.21X10-'
2.77x10-'

2.85x10-'
2.74X10-'
£78X10-'



w»cf
10* Btu
(10540)
(10640)
(11950)
(10320)

(10610)
(10200)
(10390)



•cm
J
0530x10-'
0484x10-'
0.513x10-'
0.383x10-'

0.287x10-'
0.321x10-'
0.337x10-'
0492x10-'
0497x10-'
•Ct
10* Btu
(1970)
(1800)
(1910)
(1420)

(1040)
(1190)
(1250)
(1830)
(1850)
   • At ctamtaKl accorckng to ASTM D 388-66
   ' Crude, rwidual, or distillate.
   •Det>rmned«! standard condfeon*. 20* C (68* F) and 760 mm Hg (29 92 in. Hg).
                                                                                                n
                                                                                                2
                                                                                                3
                                                                                                4
                                                                                                5
                                                                                                6
                                                                                                7
                                                                                                S
                                                                                                •
                                                                                               10
                                                                                               11
                                                                                             12-18
                                                                                             17-21
                                                                                             22-26
                                                                                             27-31
                                                                                             32-51
                                                                                             52-81
                                                                                            92-151
                                                                                         152 rx more
                                                                                                   Values tor U*
                                                                        **»
                                                                        6.31
                                                                        2.42
                                                                        2.35
                                                                        2.13
                                                                        2.02
                                                                        1.94
                                                                        1.89
                                                                        1.86
                                                                        1.83
                                                                        1.81
                                                                        1.77
                                                                        1.73
                                                                        1.71
                                                                        1.70
                                                                        168
                                                                        1.67
                                                                        1.66
                                                                        1.65
 6. Calculation of Confidence Limits for
 Inlet and Outlet Monitoring Data

   6.1  Mean Emission Rates. Calculate
 the mean emission rates using hourly
 averages in ng/J (Ib/million Btu) for SO»
 a.nd NO, outlet data and, if applicable,
 SOj inlet data using the following
 equations:
          I x,
f     m	
 1         "1

Where:
E,,=Mean outlet emission rate; ng/J (lb/
    million Btu).
E,=Mean inlet emission rate; ng/J (Ib/million
    Btu).
x.*= Hourly average outlet emission rate; ng/J
    (Ib/million 3tu).
x,=Hourly ave, ige in let emission rate; ng/j
    (Ib/million Btu).
l30=Number of outlet hourly averages
    available for the reporting period.
ia,=Numberof inlet hourly averages    >
    available for reporting period.
   8.2  Standard Deviation of Hourly
 Emission Rates. Calculate the standard
 deviation of the available outlet hourly
 average emission rates for SOi and NO,
 and, if applicable, the available inlet
 hourly average emission rates for SOi
 using the following equations:
                                                 PCC
                                                 PCC   -
                                           Where:
The values of this table are corrected for
n-1 degrees of freedom. Use n equal to
the number of hourly average data
points.
7, Calculation to Demonstrate
Compliance When Available
Monitoring Data Are Less Than the
Required Minimum
  7.1   Determine Potential Combustion
Concentration (PCC) for SO*
  7.1.1   When the removal efficiency
due to fuel pretreatrnent (% R() is
included in the overall reduction in
potential sulfur dioxfde emissions (% RJ
ar.d the "as-fired" fuel analysis is not
used, the potential combustion
concentration (PCC) is determined as
follows:
                                                 ng/J
                                                                                          Ib/milHon Btu.
                                                                 Potential  emissions removed by the  pretreatment
                                                                I process, using  the fuel parameters  defined  1r>
                                                                 section 2.3; ng/J (Ib/mllllon Btu).
                                                                 11-68

-------
   7.1.2  When the "as-fired" fuel
 analysis is used and the removal
 efficiency due to fuel pretreatment (% Rf)
 is not included in the overall reduction
 in potential sulfur dioxide emissions (%
 RJ, the potential combustion
 concentration (PCC) is determined as
 follows:
 PCC = I.
     Where:
     !, = The sulfur dioxide input rate as defined
        in section 3.3
       7.1.3  When the "as-fired" fuel
     analysis is used and the removal
     efficiency due to fuel pretreatment (% RJ
     is included in the overall reduction (%
     RO), the potential combustion
     concentration (PCC) is determined as
     follows:
 PCC
 PCC
  7.1.4   When inlet monitoring data are
used and the removal efficiency due to
fuel pretreatment (% R,) is not included
in the overall reduction in potential
sulfur dioxide emissions (% RO), the
potential combustion concentration'
(PCC) is determined as follows:
PCC = EC
Where:
E,* = The upper confidence limit of the mean
    inlet emission rate, as determined in
    section 6.3.

  7.2  Determine Allowable Emission
Rates (Bud).
  7.2.1  NOV Use the allowable  x
emission rates for NO, as directly
defined by the applicable standard in '
terms of ng/J (Ib/million Btu).
  7.2.2  SO.. Use the potential
combustion concentration (PCC) for SOt
as determined in section 7.1, to
determine the applicable emission
standard. If the applicable standard is
an allowable emission rate in ng/J (lb/
million Btu), the allowable emission rate
10'; ng/J
     1b/m1U1on Btu.

    is used as E.^. If the applicable standard
    is an allowable percent emission,
    calculate the allowable emission rate
    (E,ut) using the following equation:
    Where:
    % PCC = Allowable percent emissipn as
        defined by the applicable standard;
        percent.                     —

      7.3  Calculate E, * /Eua. To determine
    compliance for the reporting period
    calculate the ratio:
    Where:
    £„*-= The lower confidence limit for the
       mean outlet emission rates, as defined in
       section 6.3; ng/J (Ib/million Btu).
    EM = Allowable emission rate as defined in
       section 7.2, ng/J (Ib/million Btu),
   .   If E,,* /E.U, is equal to or less than 1 .0, the
    facility is in compliance; if E,*/!^ is greater
    than 1.0, the facility is not in compliance for
    the reporting period.
    |FR Doc 79-17*07 Filed S-S-TB: 8:45 an]
    BILLING CODE ««H>V4I
                                                             11-69

-------
 Method 20—Determination ot Nitrogen
 Oxides, Sulfur Dioxide, and Oxygen
 Emissions from Stationary Gas Turbines
 1. Applicability and Principle
   1.1  Applicability. This method is
 applicable for the determination of nitrogen
 oxides (NO,), sulfur dioxide (SO3), and
 oxygen (Oj) emissions from stationary gas
 turbines. For the NO, and O-, determinations.
 this method includes: (1) measurement
 system design criteria, (2} analyzer
 performance specifications and performance
 test procedures; and (3] procedures for
 emission testing,
   J.2  Principle. A gas sample is
 continuously extracted from the exhaust
 stream of a stationary gas turbine; a portion
 of the sample stream is conveyed to
 instrumental analyzers for determination of
 NO, and O> content. During each NO, and
 OOi determination, a separate measurement
 of SOa emissions is made, using Method 6, or
 it equivalent. The O, determination is used to
 adjust the NO. and SOt concentrations to a
 reference condition.

 2. Definitions
   2.1  Measurement System. The total
 equipment required for the determination of a
 gas concentration or a gas emission rate. The
 system consists of the following major
 subsystems:
   2.1.1 Sample Interface. That portion of a
 system that is used for one or more of the
 following: sample acquisition, sample
 transportation, sample conditioning, or
 protection of the analyzers from the effects of
 the stack effluent.
   2.1.2 NO, Analyzer. That portion of the
 system that senses NO, and generates an
 output proportional to the gas concentration.
   2.1.3 O, Analyzer. That portion of the
 system that senses O» and generates an
 output proportional to the gas concentration.
   2.2 Span Value. The upper limit of a gas
 concentration measurement range that is
specified for affected source categories in the
applicable part of the regulations.
  2.3  Calibration Gas. A known
concentration of a gas in an appropriate
diluent gas.
  2.4  Calibration Error. The difference
between the gas concentration indicated by
the measurement system and the known
concentration of the calibration gas.
  2.5  Zero Drift. The difference in the
measurement system output readings before
end after a stated period of operation during
which no unscheduled maintenance, repair,
or adjustment took place and the input
concentration at the time of the
measurements was zero.
  2.6  Calibration Drift. The difference in the
measurement system output readings before
and after a stated period of operation during
which no unscheduled maintenance, repair,
or adjustment took place and the input at the
time of 4he measurements was a high-level
value.
  2.7  Residence Time. The elapsed time
from the moment the gas sample enters ihe
probe tip to the moment the same gas sample
reaches the analyzer inlet.
  2.8  Response Time. The amount of time
required for the continuous monitoring
system to display on the data output 95
percent of a step change in pollutant
concentration.
  2.9  Interference Response. The output
response of the measurement system to a
component in the sample gas, other than the
gas component being measured.

3. Measurement System Performance
Specifications
  3.1   NOi to NO Converter. Greater than 90
percent conversion efficiency of NO* to NO.
  3.2  Interference Response. Less than ± 2
percent of the span value.
  3.3   Residence Time. No greater than 30
seconds.
  3.4   Response Time. No greater than 3
minutes.
  3.5   Zero Drift. Less than ± 2 percent of
the span value.
  3.6  Calibration Drift. Less than ± 2
percent of the span value.

4. Apparatus and Reagents
  4.1   Measurement System. Use any
measurement system for NO, and Oj that is
expected to meet the specifications in this
method. A schematic of an acceptable
measurement system is shown in Figure 20-1.
The essential components of the
measurement system are described below:
                    N02 TO NO 1 - '
                    CONVERTER! - 1
            V
            S
              \
               CALIBRATION
                   GAS
       SAMPLE GAS
        MANIFOLD
             Figure 20 1.  Measurement system design for stationary gas turbines.
                                                                          EXCESS
                                                                      SAMPLE TO VENT
  4.1.1  Sample Probe. Heated stainless
steel, or equivalent, open-ended, straight tube
of sufficient length to traverse the sample
points.
  4.1.2  Sample Line. Heated (>95'C)
stainless steel or Teflon* bing to transport
the sample gas to the sample conditioners
and analyzers.
  4 1.3  Calibration Valve Assembly. A
three-way valve assembly to dirc-<:t llit cero
and calibration gases to the sample
conditioners and to the anaiyzpis. The
calibration valve  assen.blj sh,il! be capable
of blocking the samp-lo gas fov. ,ind of
introducing calibration gases to '.he
measurement  system when in the calibration
mode.
   4.1.4   NOZ to NO Converter. That portion
of the system  that converts tlie nitrogen
dioxide (NOi) in Ihe sample j;as to nitrogen
oxide (NO). Some analyzers *re designed to
measure NO,  as NOj on a wet basis and can
be used without an NOj to NO converter or a
moisture removal Irap  provided the sample
line to the analyzer is heated (>95'C) to the
inlet of the analyzer. In addition, an NOi to
NO converter is not necehsai v if the NOS
portion of the exhaust gas is. less than 5
percent of the total NO, concentration. As a
guideline, an NO, to NO converter is not
necessary if the gas turbine IE operated at 90
percent or more of peak load r.apscity. A
converter is necessary undc' lower load
conditions.
   4.1.5   Moisture Removal Tr«p. A
refrigerator-type condenser designed to
continuously remove condf-.i>s;ite from the
sample gas. The moisture n im-vol trap is not
necessary for analyzers that c,;m measure
NO, concentrations on a wet basis; for these
analyzers, (a) heal the (sample line up to the
inlet of the analyzers, (b) determine the
moisture content using methods subject to th«
approval of the Administrator, arid (c) correc!
the NO, and O, concentrations to a dry basis
   4.1.6   Paniculate Filter. An in-stack or an
out-of-stack glass fiber filter, of the type
specified in EPA  Reference1 Method 5:
however, an out-of-slack ijlter is
recommended when the stark gas
temperature exceeds 2SO to 300'C.
   4.1.7   Sample Pump. A nonreactive leak-
free sample pump to pull the sample gas
through the system at a flow rate sufficient ic
minimize transport delay. The pump shall be
made from stainless steel or coated with
Teflon or equivalent.
  4.1.8  Sample Gas Manifold  A sample gas
manifold to divert portions of the sample gas
stream to the analyzers. The manifold may be
constructed of glass, Teflon, type 316
stainless steel, or equivalent.
  4.1.9  Oxygen and Analyzer. An analyzer
to determine the percent Oa concentration of
the sample gas stream.
  4.1.10  Nitrogen Oxides Analyzer. An
analyzer  to determine the ppm NO,    \
concentration in the sample gas stream.'
  4.1.11   Data Output. A strip-chart recorder,
analog computer, or digital recorder for 1
recording measurement data.
  4.2  Sulfur Dioxide Analysis. EPA
Reference Method 6 apparatus and reagents.
  4.3  NO, Caliberation Gases. The
calibration gases for the NO, analyzer may
be NO in N,, NO, in air or Nj, or NO and NO,
                                                                 11-70

-------
  in N... For NOX meHsurement analyzers that
  require oxidrition of NO to NO..-, the
  calibration gases must be in the form of NO
  in N-. Use four calibration gas mixtures as
  specified below:
   . 4.3.1  High-level Gas. A gas concentration
  that is equivalent to 80 to 90 percent of the
  span value.
   J 4.3.2  Mid-level Gas. A gas concentration
  that is equivalent to 45 to 55 percent of the
  sp;m value.
    4.3.3  Low-level Gas. A gas concentration
  that is equivalent to 20 to 30 percent of the
  span value.
    4.3.4  Zero Gas. A gas concentration of
  less than 0.25 percent of the span value.
  Ambient air may be used for the NO, zero
  gas.
    4.4  O» Calibration Gases. Use ambient air
  at 20.9 percent as the high-level O. gas. Use a
  g.is concentration that is equivalent to 11-14
  pprcrnt O, for the mid-level gas. Use purified
  nitrogen for the zero gas.
    4.5  NOa/NO Gas Mixture. For
  determining the conversion efficiency of the
  NOj to NO converter, use a calibration gas
  mixture of N'O, and NO in N,. The mixture
  iv.,i \-,n kmmit i:unc»n trillions of 40 to t>U pptu
  NOi and 90 to 110 ppni NO and certified by
  the gay manufacturer. This certification of gas
  concentration must include a brief
  (Inscription nf the procedure followed in
  determining the concentrations.

 5. Mt'a'ntn'n
-------
  5.3  Calibration Check. Conduct the
calibration checks for both the NO, and ihe  •
Oj analyzers as follows:
  5.3.1  After the measurement system has
been prepared for use (Section 5.2). introduce
zero gates and the mid-level calibration
gases; set the analyzer output responses to
the appropriate levels. Then introduce each
of the remainder of the calibration gases
described in Sections 4.3 or 4.4. one at s time.
to the measurement system. Record the
responses on a form similar to Figure 20-3.
   5.3.2  If the linear curve determined from
the z«ro and mid-level calibration gas
responses dot-s not predict the arliul
response of the low-level (not applicable for
the O, analyzer) and high-level gases within
±2 percent of the span value, the calibration
shall be considered invalid. Take corrective
measures on the measurement system before
proceeding with the test
   5.4  Interference Response. Introduce the
gaseous components listed in Table 20-1 into
the measurement system separately, or as gas
mixtures. Determine the total interference
output response of the system to these
components in concentration units; record the
values on a form similar to Figure 20-4. If the
sum of  the interference responses of the test
     gases for either the NO, or O., dna'v/t-rs is
     greater than 2 percent of the applicable spun
     value, take corrective measure on the
     measurement system.
     Table 20-1.— Interference Test Gas Concentration
                                   500-60 ppm
                                   200 ~20 ppm.
                                   10- 1 percent
                                     percent

  Turbine type:.

  Date:	
Identification number

Test number	
  Analyzer type:.
                                      Identification number.
                     Cylinder  Initial analyzer  Final analyzer  Difference:
                       value,       response,      responses,     initial-final,
                     ppm or %    ppm or %      ppm or %      ppm or %
  Zero gas

  Low - level gas

  Mid - level gas

  High  - level  gas
                 Percent drift =

                     Figure 20-3.
                                    Absolute difference
                                                            X 100.
   Span value

Zero and calibration data.
    Conduct an interference response lest of
  each analyzer prior to its initial use in the
  field. Thereafter, recheck the measurement
  system if changes are made in the
  instrumentation that could alter the
  interference response, e.g., changes in the
  type of gas detector.
    In lieu of conducting the interference
  response test, instrument vendor data, which
  demonstrate that for the test gases of Table
  20-1 the interference performance
       specification is not exceeded, are acceptable.
         5.5 Residence and Response Time.
         5.5.1  Calculate the residence time of the
       sample interface portion of the measurement
       system using volume and pump flow rate
       information. Alternatively, if the response
       time determined as defined in Section 5.5.2 is
       less than 30 seconds, the calculations are not
       necessary.
         5.5-2  To determine response time, first
       introduce zero gas into the system at the
                                                                        11-72

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calibration valve until al! readings are stable;
thon. switch to monitor the stack effluent
until a stable reading can be obtained.
Record the upscale response time. Next,
introduce high-level calibration gas into the
system. Once jhe system has stabilized at the
high-level concentration, switch to monitor
the stack effluent and wait until a stable
value is reached. Record the downscale
response time.'Repeat the procedure three
times. A stable value is equivalent to a
                change of less than 1 percent of span value
                for 30 seconds or less than 5 percent of the
                measured average concentration for 2
                minutes. Record the response time data on a
                form similar to Figure 20-5, the readings of
                the upscale or downscale reponse time, and
                report the greater time as the "response time"
                for the analyzer. Conduct a response time
                test prior to the initial field use of the
                measurement system, and repeat if changes
                are made in the measurement system.
   Date of test.
   Analyzer type.
   Span gas concentration.

   Analyzer span setting —
   Upscale
1.

2.

3.
.    S/N_

.ppm

 ppm

.seconds

.seconds

.seconds
         Average upscale response.

                            1	

   Downscale             2	

                            3	
                                .seconds
                       .seconds

                       .seconds

                       . seconds
         Average downscale response.
                                .seconds
   System response time = slower average time
                                         .seconds.
                        Figure 20-5.   Response time
  5.0  NOi NO Conversion Kffic.iency.
Introduce to fht> system ;it the calibration
valve assembly, the NO=/I\O gris mixture
(Section 4 5). Kccord the response of the NO.
.m.-.h •-•• 'f !h:-iristri;rr"nt irvjonse indu-.ih'S
luhS i ,.in '.«' j' "i-< r.t N'Oj w NO K'nuTsum.
niakp curroitumi !o thp rni:.i«uipment system
.ind repeat ihf check  Al'ernrttively. the NOi
to NO convei trr rheck described in Title 40
r.irl 83: CiT!:':::c:icn and /Vs.' Procedures for
Hciavy-Uuty Eng.nes for 197,U and Later
Model Years may be used. Other alternate
procedures may be used with approval of the
Administrator.
                6. Emission Measurement Test Procedure

                  6.1  Preliminaries.
                  6.1.1  Selection of a Sampl;ng Site. Select a

                siiniplin^ siti! as close as practical to ihe
                exhaust of the turbine. Turbine geometry,
                stack cmfiguration. internal baffling, and
                point of introduction of dilution air will vary
                for different turbine designs. Thus, each of
                these factors must be given special
                consideration in order to obtain a
                representative sample. Whenever possible,
                the sampling site shall be located upstream of
the point of introduction of dilution air into
the duct. Sample ports may be located before
or after the upturn elbow, in order to
accommodate the configuration of the turning
vanes and baffles and to permit a complete.
unobstructed traverse of the stack. The
sample ports shall not be located within 5
feet or 2 diameters (whichever is less) of the
gas discharge to atmosphere. For
supplementary-fired, combined-cycle plants.
the sampling site shall be located between
the gas turbine and the boiler. The diameter
of the sample ports shall be sufficient to
allow entry of the sample probe*.
  6.1.2  A preliminary d traverse is made
for the purpose of selecting low O> values.
Conduct this test at the turbine condition that
is the lowest percentage of peak load
operation included in the program. Follow the
procedure below or alternative procedures
subject to  the approval of the Administrator
may be used:
  6.1.2.1   Minimum Number of Points. Select
a minimum number of points as follows: (1)
eight, for stacks having cross-sectional areas
less  than 1.5 m" (16.1 ft1): (2) one sample point
for each 0.2 m*(2.2 ft1 of areas, for stacks of
1.5 m7 to 10.0 m1 (16.1-107.6 ft2) in cross-
sectional area: and (3) one sample point for
each 0.4 m- (4.4 ft-1) of area, for slacks greater
than 10.0 m * (107.6 ft *) in cross-sectional
area. Note that for circular ducts, the number
of sample  points must be a multiple of 4. and
for rectangular ducts, the number of points
must be one of those listed in Table 20-2;
therefore, round off the number of points
(upward),  when appropriate.
   6.1.2.2  Cross-sectional Layout and
Location of Traverse Points. After the number
of traverse points for the preliminary O1
sampling has been determined, use Method 1
to located the traverse points.
   6.1.2.3  Preliminary O* Measurement.
While the gas turbine is operating at the
lowest percent of peak load, conduct a
preliminary O1 measurement as follows:
Position the probe at the first traverse point
and begin sampling. The minimum sampling
time at each point shall be 1 minute plus the
average system response time. Determine the
average steady-state concentration of O1 at
each point and record the data on Figure 20-
6.
   6.1.2.4  Selection of Emission Test
Sampling Points. Select the eight sampling
points at which the lowest O'2 concentration
were obtained. Use these same points for all
the test runs at the different turbine load
conditions. More than eight points may be
used, if dusired.
     Table 2Q-2.—CrcsS'Sectional Layout for
             Rectangular Stacks
                                                                         Man
                                     No. d traverse jicJ
                                         9	
                                        12	
                                        16	
                                        20 	
                                        25		
                                        30	_
                                        36		
                                        42	
                                        43.  _
                                      3.3
                                      4x3
                                      4x4
                                      5>4
                                      SxS
                                      6*5
                                      8x6
                                      7«S
                                      7x7
                                                                    11-73

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 Location:

       Plant.
                                                        Date.
       City, State.
  Turbine identification:

       Manufacturer	
       Model, serial number.

          Sample point
Oxygen concentration, ppm
               Figure 20-6.  Preliminary oxygen traverse.
  6.2  NQX and O« Measurement. This test is
to be conducted at each of the specified load
conditions. Three test runs at each load
condition constitute a complete test.
  6.2.1 At the beginning of each NO. test
run and, as applicable, during the run, record
turbine data as indicated in Figure 20-7. Also,
record the location and number of the
traverse points on a diagram.
BILLING CODE 6SM-01-M
    6.2.2  Position the probe at the first point
  determined in the preceding section and
  begin sampling. The minimum sampling time
  at each point shall be at least 1 minute plus
  the average system response time. Determine
  the average steady-state concentration of O»
  and NO, at each point and record the data on
  Figure 20-8.
                                                                    IT.T-74

-------
  Test operator ______
        I
  Turbine identification:
     Tytfe	
     Serial No	
  Location:
     Plant	
     City	
 TURBINE OPERATION RECORD

	  Date	
                    Ultimate fuel
                     Analysis  C
                              H
                              N
  Ambient temperature.

  Ambient humidity	

  Test time start _____
                                             Ash
                              H2O
                   Trace Metals
                                            Na
  Test time finish.

  Fuel flow rntea_
                                            Va
                                            etc0
  Water or steam.
     Flow rate3
  Ambient Pressure.
                    Operating load.
  aDescribe measurement method, i.e.. continuous flow meter,
   start finish volumes, etc.

  bi.e., additional elements added for smoke suppression.
            Figure 20-7.  Stationary gas turbine data.

Turbine identification:                           Test operator name.

  Manufacturer ____________________
                                 O2 instrument type.
                                      Serial No	
  Model, serial No..

Location:

  Plant	
                                 NOw instrument type.
                                      Serial No..
  City. State.
Ambient temperature.

Ambient pressure	

Date	
Test time - start.
Sample
point



*»

Time,
min.


s


ol.
%





NO;.
ppm





Test time • finish.
                                  3 Aver age steady-state value from recorder or
                                  instrument readout.
 BHUHO cooe esw-ot-c
      Figure 20-8.  Stationary gas turbine sample point record.


                                       11-75

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    6.2 3  After sampling the last point.
  conclude the test run by recording the final
  turbine operating parameters and by
  deterrrining the zero and calibration drift, as
  follows:
    Immediately following the test run at each
  load condition, or if adjustments are
  necessary for the measurement system during
  the testy, reiatroduce the zero and mid-level
  calibration gases as described in Sections 4.3,
  and 4 4, one at a time, to the measurement
  sysUr-. st the cal.bretion valve assembly.
  (Make no Adjustments to the measurement
  system urt:l after the drift checks are madej.
  Record the analyzers' responses on a form
  similar to Figure 20-3. If the drift  values
  exceed the specified limits, the test run
  preceding the check is considered invalid and
  will be repeated following conections to the
  measurement system. Alternatively,  the test
  results may be accepted provided the
  measurement system is recalibrated  and the
 calibration data that result in the  highest
 corrected emission rate are used.
   6.3  SO, Measurement. This test is
 conducted only at the 100 percent peak load
 condition. Determine SOt using Method 6, or
 equivalent during the test. Select  a minimum
 of six total points from those required for the
 NO. measurements; use two points for each
 sample run. The sample time at each  point
 shall be at least 10minutes. Average  the O,
 readings taken during the NO, test runs at
 sample points corresponding to the SO2
 traverse points (see Section 6.2.2) and use
 this average O, concentration to correct the
 integrated SO» concentration obtained by
 Method 6 to 15 percent O, (see Equation 20-

  If the applicable regulation allows fuel
sampling and analysis for fuel sulfur content
to demonstrate compliance with sulfur
emission unit, emission sampling with
Reference Me-hod 6 is not required, provided
  the fuel sulfur content meets the limits of the
  regulation.

  7 Emission Calculations
    7.1  Correction to 15 Percent Oxygen.
  Using Equation 20-1, calculate the NO, and
  SO2 concentrations (adjusted to 15 percent
  O:). The correction to 15 percent Oj is
  sensitive to the accuracy of the O2
  measurement. At the levd of an.ih nor drift
  specified in the method (±2 peiren! of full
  seals), the change in the O; conct:!tt,;tion
 correction can exceed 10 percent when the O2
 content of the exhaust is above 16 percent O2.
 Therefore O, analyzer stability and careful
 calibration are necessary.


 adj *   rccs  *  -jj--5—!'~,	    (Equation 20-1)
                        °2

Where:
  C.«j=Pollutant concentration  adjusted to
    15 percent O, (ppm)
  CD)<,,= Pollutant concentration measured,
    dry basis (ppm)
  5.9=20.9 percent O.-15 percent O,. the
    defined Oa correction basis
  Percent O, = Percent O, measured drv
    basis (%)                        *
  7.2  Calculate the average adjusted  NO,
concentration by summing the point values
and dividing by the number of sample  points.
8. Citations

  8.1  Curtis, f. A Method for Analyzing NO
Cylinder Gases-Specific Ion Electrode
Procedure, Monograph available from
Emission Measurement Laboratory, ESED,
Research Triangle Park. N.C. 27711, October
19/O.
(FR Doc. 78-27993 Filed &-7-T9. 8 45 am]
BILLING CODE 6S60-01-M
                                                                   11-76

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   APPENDIX B—PERFORMANCE SPECIFICATIONS

   Performance Specification 1—Performaiice
 specifications  and specification test  proce-
 dures for transmi&someter systems for con-
 tinuous measurement of the opacity of
 stack emissions .
   1. Principle and Applicability
   1.1 Principle  The  opacity of paniculate
 matter  In stack emissions is measured by a
 continuously  operating  emission  measure-
 ment system.  These systems are based upon
 the principle of transmlssometry which is a
 direct  measurement of the attenuation  cf
 visible  radiation  (opacity) by paniculate
 matter In a stack effluent. Light having spe-
 cfic spectral characteristics Is projected from
 a lamp across  the stack of a pollutant source
 to a light sensor. The light Is attenuated due
 to absorption  and scatter by the paniculate
 matter  In  the effluent.  The percentage  of
 risible  light attenuated  Is denned as the
 opacity  of  the emission.  Transparent stack
 emissions that do not attenuate  light will
 have a transmlttance  of 100 or an opacity of
 0. Opaque stack emissions that  attenuate all
 of the visible light will have a transmlttance
 of 0 or an opacity of 100  percent. The trans-
 mlssometer Is evaluated by use of neutral
 density  filters to determine the precisian of
 the continuous monitoring system. Tests of
 the system are performed to determine zero
 drift, calibration drift, and response time
 characteristics of the system.
   1.2 Applicability. This  performance' spe-
 cification is applicable  to  the continuous
 monitoring systems specified In the subparts
 for measuring opacity cf  emissions. Specifi-
 cations  tor continuous measurement of vis-
 ible emissions are elven In terms of design.
 performance,  and  Installation  parameters.
 These specifications contain tot procedures.
 Installation requirements, and  data compu-
 tation procedures for  evaluating the accept-
 ability of the continuous monitoring systems
 subject  to  approval by the Administrator.
   2. Apparatus.
   2.1  Calibrated Filters. Optical filters with
 neutral  spectra! characteristics and known
 optical densities to risible light or screens
 known to produce specified optical  densities.
 Calibrated filters with accuracies certified by
 the  manufacturer  to within  =±3 percent
 opacity  shall  be  used. Filters  required are
 low.  mid, and high-range filters with nom-
 inal  optical densities as  follows when the
 transmlssometer is spanned at opacity levels
 specified by applicable subparts:
BfMtlTt
(percent op
SO 	
«i 	
70 	
SO 	
fO 	
100 ..

C»Iibr»t*d filter optical densiricf
with rqulTtlem opacity In
<" parenthesis
Low-
ranee
0 1 (20)
	 ) (20)
1 (20)
. . 1 (20)
1 (°0)
1 (20)

Mid-
ranee
• 0 5 (37)
2 (37)
3 (50)
3 (SO)
4 (CO)
« <«o>
Hiph-
r»nce
as (SO)
.3 (SO)
.4 (ffil
.6 (75)
.7 <(,'>
.« (67%
  It Is recommended that filter calibrations
be- checked with a well-eollimated photopic
transmissometer of known linearity prior to
use. The filters sbal) be  of  sufficl-nt  size
to attenuate the  entire light beam of the
transmlssometer.
  2.3 Data Recorder. Analog  chart  recorder
or other suitable device with Input voltage
range compatible  with  the tnalyzer system
output.  The  resolution  of  the  recorder's
datfc output shall be sufficient to allow com-
pletion  of the test procedures within  this.
specification.
  2.3 Opacity measurement System. An In-
rt*ck  transmlssometer  (folded  or single
path) with the  optical  design specifications
 designated below, associated  control  units
 and apparatus to keep optical surfaces clean.
   3. Definitions.
   3.1  Continuous Monitoring  System.  The
 total equipment required for the determina-
 tion of pollutant opacity In a source effluent
 Continuous  monitoring systems  consist  of
 major subsystems as follows:
   3.1.1  Sampling Interface. The portion of a
 continuous  monitoring  system for opacity
 that protects the analyzer from the effluent
   3.1.2  Analyzer. That portion of  the con-
 tinuous monitoring system which senses the
 pollutant and generates  a signal output thai
 Is a function of the pollutant  opacity.
   3.1.3  Data  Recorder. That portion of the
 continuous monitoring system  that processes
 the analyzer output  and provides a perma-
 nent record of the output Hgna] in terms  of
 pollutant opacity.
   32 Transmlssometer.  The portions  of &
 continuous monitoring  eystem for opacity
 that Include the sampling interface and the
 analyzer.
   33  Span. The value of opacity at which
 the continuous monitoring system  Is set  to
 produce the  maximum data display output.
 The span shall be set at an opacity  specified
 In each applicable subparl.
   3.4  Calibration Error. The difference be-
 tween the opacity reading Indicated by the
 continuous  monitoring  system  and   the
 known  values of a series of test  standards
 For this method the test standards are  a
 aeries of calibrated optical filters  or screens.
   3.S  Zero Drift. The  change In continuous
 monitoring system output over a stated pe-
 riod of  time  of normal continuous operation
 whan tbe pollutant  concentration at  the
 Mm* of the measurements 1s aero.
   3.6  Calibration  Drtft.  Tbe change In  tbe
 continuous monitoring system  output  over
 a stated period of time of normal continuous
 operation when the pollutant concentration
 at the time of the measurements U the same
 known upscale value.
   3.7  System Response.  The time  Interval
 from a step  change In opacity  In the stack
 at the Input  to  tbe continuous monitoring
 system  to  the time at which 95 percent of
 tbe corresponding final value la reached as
 displayed on  tbe continuous monitoring sys-
 tem data recorder.
   3.8 Operational Test Period.  A  minimum
 period  of  time  over  which a continuous
 monitoring system Is expected to  operate
 within  certain  performance specifications
 without unscheduled  maintenance,  repair.
 or adjustment.
   S.9 lYansxnittance. The fraction of Incident
 light that Is  transmitted through an optical
 medium of Interest.
   8.10 Opacity. The fraction of Incident light
 that Is attenuated by an optical medium of
 Interest  Opacity (O) and transmlttance (T)
 are related as'follows:
                 O=1-T
 • 3.11 Optical Density. A logarithmic meas-
 ure of the amount of light that It attenuated
 by an optical medium of Interest.  Optical
 density (D) Is related to the transmlttance
 and opacity as follows:
  D=-logIOT
   D=-log,,(l-0)
  8.12 Peak  Optical  Response.  The wave-
 length of maximum' sensitivity.of the Instru-
 ment.
   8.13  Mean  Spectral  Response. Tbe wave-
length which bisects the  total area under
the curve  obtained pursuant to paragraph
 f.8.1.
  8.14 Angle  of View.  The maximum (total)
 angle of radiation detection by the photo-
 detector assembly of the analyzer.
  8.16 Angle  of  Projection.  Tbe  maximum
 (total)  angle that contains 95 percent of
 the radiation projected from tbe lamp assem-
 bly of the analyser.
   8.16 Pathlenfth The depth of effluent  In
 Sbe light beam between the receiver and the
 transmitter of the single-pass transmlssom-
 eter,  or the depth of effluent between the
 transceiver  and  reflector of a  double-pass
 transmlssometer  Two pathlengths are refer-
 enced by this specification:
   8.16.1 Monitor  Pathlength. The depth  of
 effluent at the Installed location of tbe con-
 tinuous monitoring system
   3.162 Emission Outlet Pathlength  The
 depth of effluent at tbe location emissions are
 released to the atmosphere
   4. Installation Specification
   4.1 Location. The  tranamlssometer must
 be located across  a section of duct or stack
 that will provide a paniculate matter flow
 through the optical volume of the trans-
 mlssometer that is representative of the par-
 tlculate matter flow  through the duct  or
 stack. It Is recommended that the monitor
 pathlength or depth of effluent for the trans-
 mlasometer Include the  entire diameter  of
 tbe duct or stack. In  installations using  a
 shorter  pathlength, extra caution must  be
 used in determining the  measurement loca-
 tion representative of the paniculate matter
 now through the  duct or stack.
   4.1.1  The  transmlssometer location shall
 be downstream from all  paniculate control
 equipment.
   4.1.2 Tbe transmlssometer shall be located
 as far from bends and obstructions as prac-
 tical.
   4.1.3   A  transmlssometer  that  is located
 in the duct  or stack following a bend shall
 be Installed  in the  plane  defined by the
 bend where  possible
   4.1.4  .The tranamiasometer should be In-
 stalled in an  accessible location.
   4.1.5 When required by the Administrator.
 the owner  or operator  of  a source  must
 demonstrate that  the tranamlssometer is lo-
 cated  In a  section of duct  or stack where
 a representative paniculate matter distribu-
 tion exists. The determination shall  be ac-
 complished by examining the opacity profile
 of the effluent at  a aeries of positions across
 the duct or stack  while the plant Is In oper-
 ation at maximum or reduced operating rates
 or by other testa, acceptable to the Adminis-
 trator. .
   42 Slotted Tube. Installations that require
 the use of a slotted tube shall use a slotted
 tube of sufficient size  and blackness  so  as
 not to Interfere with the free flow of effluent
 through the  entire optical  volume of the
 transmlsaometer  or reflect  light  Into the
 transmissometer  photodetector.  Light re-
 flections may be prevented by using  black-
 ened  baffles within the slotted tube to pre-
 vent the lamp radiation from impinging upon
 the tube walls, by restricting the angle  of
 projection of the light and the angle of view
 of the photodetector assembly to less than
 the cross-sectional area of the alotted tube.
 or by other methods The owner or operator
 must show  that  the  manufacturer of the
 monitoring  system  has  used  appropriate
 methods to  minimize  light reflections for
 systems using slotted tubes.
   4.3 Data Recorder Output. The continuous
 monitoring system output shall  permit ex-
 panded display of the span opacity  on  a
 standard 0  to 100 percent scale. Since all
 opacity standards are  based on the opacity
 of the effluent exhausted to the atmosphere.
 the system output shall be based upon the
 emission outlet pathlength and permanently
 recorded. Por  affected facilities whose moni-
 tor pathlength Is different from the facility's
 emission outlet pathlength, a graph shall be
 provided with  the Installation.to show the
 relationships between the continuous moni-
 toring system  recorded opacity based  upon
 tbe emission outlet pathlength and tbe opac-
 ity of'the effluent at tbe  analyzer location
 {monitor pathlength).  Tests for measure-
 ment of opacity that  are required by  this
performance specification are baaed upon tbe
                                                                   11-77

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monitor pathlength. The graph Decenary to
convert the  data recorder output  to the
Monitor pathlength-bads shall be wtakllabed
as follows:

                        •Id-*)
  0, = the opacity of the effluent baaed upon
        li-
 ,,0,=th« opacity of the effluent baaed upon
        lr
  l, = the emlaslon outlet pathlength.
  l,=ttoe monitor pathlength.
  6. Optical Design Specifications
  The optical design specifications set forth
in Section  0.1 shall  be met In  order for a
measurement  system to  comply  with  the
requirements of  this method.
  6. Determination of Conformance with De-
sign Specifications
  e.i The continuous monitoring system for
measurement  of opacity  shall  be demon-
strated  to conform to  the design  specifica-
tions set forth as follows:
  8.1.1   Peak Spectral  Response. The peak
spectral response of the continuous  moni-
toring systems shall  occur between 600 nm
and 800 nm. Response at any wavelength be-
low 400 nm or above 700 nm shall be  less
than 10 percent  of the peak response of the
continuous monitoring system.
  6.12   Mean Spectral  Response. The mean
spectral response of the continuous monitor-
Ing system shall occur  between 600 nm  and
•00 nm.
  •.1.3 Angle of View. The total angle of view
ahall be no greater than 6 degrees.
  •.1.4   Angle of Projection  The total angle
•f projection ahall be no greater than t de-

   62  Conformant* with  the requirements
 of section 6.1 may be  demonstrated by the
 owner or operator of the affected  facility by
 testing each analyzer or by obtaining a cer-
 tificate of conformance from the Instrument
 manufacturer. The  certificate  must certify
 that at least one analyzer from each month's
 production was tested and satisfactorily met
 all applicable requirements.  The  certificate
 must state that the first analyzer randomly
 sampled met all requirements of paragraph
 • of this specification.  If any of the require-
 ments  were not  met, the certificate  must
 •bow that the  entire  month's analyzer pro-
 duction was resampled according to the mili-
 tary  standard  105D  sampling   procedure
 (MIL-8TD-106D) Inspection level II; was re-
 torted  for each of the  applicable require-
 ments  under paragraph  6  of this specifica-
 tion; and was  determined to be acceptable
 under MIL-STD-105D procedures. The certifi-
 cate of conformance must show  the result*
 of each  teat  performed for  the analyser*
 sampled during the month the analyzer be-
 ing installed was produced.
   8.3 The  general test procedures to be fqj-
 lowed to demonstrate conformance with Sec-
 tion  6 requirements are given as follows
 (These procedures will not be applicable to
 all designs and will require modification In
 some cases. Where analyzer and optical de-
 sign is certified by the manufacturer to con-
 form with the angle of view or angle of pro-
 jection specifications,  the  respective  pro-
 cedures may be omitted.)
   6.3.1 Spectral  Response.  Obtain spectral
 data for detector, lamp, and filter components
 used In the measurement system  from their
 respective manufacturers. .
   63.1 Angle of View. Set the received up
 as specified by the manufacturer. Dri » an
 arc with radius of 3 meters  Measure the re-
 ceiver  response to a small  (less than 8
 centimeters)  non-dlre:tlonal light source at
 4-centlmeter Intervals on the arc for 36 centi-
 meters on either side of the detector center-
 line. Repeat the test In the vertical direction.
   6.3S Angle of Projection. Set the projector
 up  as  specified by the manufacturer.  Draw
 an arc with radius of 3 meters Using a small
 photoelectric  light detector  (leas  than 3
 centimeters), measure the light intensity at
 •-centimeter Intervals on  the arc for 98
 centimeters on either side of the light source
                                            eenterllne of projection. Repeat the test In
                                            the vertical direction
                                              T Continuous  Monitoring  Brstem  Per-
                                            formance Specifications
                                              The  continuous monitoring  system shall
                                            meet the performance specification* in Table
                                            1-1 to be conaldered acceptable  under this
                                            method
                                              TABLE 1-1. — Perform* nrr
                                                      Parameter
                                                                          Spedficatimt
                                            a. .Calibration error ................. <» pet opacity '
                                             bZwodrlft (24 h) ..................  <2 pet opacity '
                                            e.C»llbr»tl on drift (24 h) ...........  <2 pet opadt\ '
                                            d. Responw time ...................  10 s (maximum)
                                            ». Operational test period ...........  l«8h.


                                              i Expressed as sum of absolute mean value and the
                                            (6 pet confidence interval of a series of tests.
                                               8. Performance Specification Test
                                                 s. The following test procedures shall be
                                                 "to determine conformance with the re-
                                             quirements of paragraph 7 :
                                               •.1 Calibration Error  and Response Time
                                             Tsst. These tests are to be performed prior to
                                             installation of the system on the stack and
                                             may be performed at the affected facility or
                                             at other locations provided that proper notifi-
                                             cation  is given. Set up and  calibrate  the
                                             measurement  system as  specified by  the
                                             manufacturer's written  Instructions  for the
                                             monitor pathlength to  be  used In the In-
                                             stallation. Span the analyzer as specified In
                                             applicable subparts.
                                               8.1.1  Calibration Error Test. Insert a series
                                             of calibration filters In the transmlssometer
                                             path at the midpoint. A minimum of three
                                             calibration   filters  (low,  mid,  and  high-
                                             range)  selected In accordance with the table
                                             under paragraph 2.1 and  calibrated -within
                                             S percent must be used  Make a total of five
                                             nonconsecutlve  readings   for  each  filter.
                                             Record  the  measurement  lyctem  output
                                             readings In percent opacity. (See Figure 1-1.)
                                               8.1.2 "System  Response  Tsst. Insert  the
                                             high -range   filter  In  the  transmlssometer
                                             path five times and record the time required
                                             for the system to respond to  95 percent  of
                                             final zero and high-range filter values.  (See
                                             Figure 1-2.)
                                               8.2 Field- Test for Zero Drtf t and Calibra-
                                             tion Drift. Install the continuous monitoring
                                             system on the  affected  facility and perform
                                             the following alignments:
                                               82.1  Preliminary Alignments. As  soon  as
                                             possible after installation  and once a  year
                                             thereafter when the facility Is not In opera-
                                             tion, perform the following optical and zero
                                             alignments:
                                               82.1.1 Optical Alignment. Align the light
                                             beam from the trausmlssometer upon the op-
                                             tical surfaces located across the effluent (1*,
                                             the retroflector or pbotodetector as applica-
                                             ble) In  accordance with the manufacturer's
                                             Instructions.
                                               82.12 Zero Alignment. After the trancmls-
                                             someter has been optically aligned  and the
                                             transrnlssoroeter mounting la  mechanically
                                             stable  (I.e.. no movement of  the mounting
                                             due to thermal contraction  of the stack.
                                             duct, etc.) and a clean stack condition has
                                             been  determined by  a steady zero opacity
                                             condition, perform the  zero alignment. This
                                             alignment la performed by balancing the con-
                                             tinuous monitor system response so that any
                                             simulated zero check coincides with an ac-
                                             tual zero check performed across the moni-
                                             tor pathlength of tb» clean stack.
                                                82.1.3 Span. Span the continuous monitor-
                                             ing system  at the opacity specified In sub-
                                             parts' and offset the zero setting at least  10
                                             percent ol  span so that negative drift can be
                                             quantified.
                                                8.22. Final  Alignments. After the prelimi-
                                             nary alignments have been completed and the
                                             affected facility has been started up  and
                                             reaches  normal operating  temperature,  re-
                                             check the optical alignment In accordance
                                              with 82.1.1 of  this specification. If the align-
                                              ment has shifted, realign  the optics, record
                                              any detectable shin In  the opacity measured
by the system that can be attributed to the
cptlcal realignment, and notify the Admin-
istrator.  This condition  may not be objec-
tionable  If the a3ected facility operates with-
in a fairly constant and adequately narrow-
range of  operating temperatures that does
not  produce  significant  shift*  in  optical
alignment during normal  operation  of the
facility  Onder circumstances where the facil-
ity  operations  produce fluctuations  In the
effluent gas  temperature that result  in sig-
nificant  misalignments, the Administrator
may require  improved mounting structures or
auother location for installation of the trans-
mlssometer.
  82.3 Conditioning Period. After complet-
ing the post-startup alignments,  operate the
system for an Initial 168-hour conditioning
period In a  normal operational manner
  82.4 Operational Test Period.  After  com-
pleting the  conditioning period,  operate the
system for an additional 168-hour period re-
taining the zero offset. The system shall  mon-
itor the  source effluent at all times except
when being  zeroed or calibrated  At 24-hour
Intervals the zero and span shall be checked
according to the manufacturer's Instructions
Minimum procedures used  ahall provide  a
system check of the analyzer internal mirrors
and all  electronic circuitry including  the
lamp and photodetector assembly and shall
include a procedure  for producing a simu-
lated zero opacity condition and  a simulated
upscale  (span) opacity condition as viewed
by  the receiver. The  manufacturer's written
instructions may be used providing that they
equal or exceed these minimum procedures.
Zero and span  the transmissometer, clean all
optical surfaces exposed to the effluent, rea-
lign optics, and make any necessary adjust-
ments to the calibration of the system dally.
These zero  and calibration adjustments and
optical realignments are allowed only at 24-
hour intervals or at such shorter Intervals as
the manufacturer's written Instructions spec-
ify. Automatic  corrections  made by  the
measurement system without operator  Inter-
vention  are allowable at any time. The mag-
nitude of any zero or span drift  adjustments
ahall be recorded. During this 168-hour op-
 erational test period, record the  following at
24-hour intervals: (a) the zero  reading  and
•pan readings after the system  is calibrated
 (these  readings  should be  set at the same
 value at the beginning of each  24-hour pe-
 riod);, (b)  the  zero  reading after each 24
 hours of operation, but before cleaning  and
 adjustment; and (c)  t*e  soan readme after
 cleaning and  zero  adlustment,  but before
 span adlustment. (See Fieure 1-3.)
   e. Calculation, Data Analysis,  and Report -

 ^T.l Procedure  for  Determination of Mean
 Values and Confidence Intervals.
   0.1.1 The mean value of the data set is cal-
 culated   according to equation  1-1.
                    n i-i     Equation 1-1
 where x,= absolute value of the individual
 measurements,
   :=sum of the Individual values.
   x=mean value, and
   D=number of data points.

   9.1.2 The G5  percent confidence' interval
 (tm-o-slded) Is calculated according to equa-
 tion 1-2:
            nyn - 1
                              Equation 1-2
 irhcre
     £j;i=sum of all data points,
     1*75=11 — 01/2, and
   C.I.»j=95  percent  confidence  interval
           estimate  of the  average mean
           value.
   The values  In this table are  already cor-
 rected for n-I degrees of freedom. Use n equal
 to the number of sample* as data points.
                                                                   11-78

-------
             Values for '.575
n
2 .
3
4
5 ...
6
7
g
« 	

-.975
12 "Ofi
4 303
8 18"
2 776
2 571
2 447
2 865
1*00

n
50 	
11
12
13 	
14
15
16


'.975
1 Vil
2 226
2 201
2.179
2 160
S 145
2.131


  92 Data Analysis and Reporting.
  9.2.1  Spectral  Response.  Combine  the
spectral data obtained  In  accordance with
paragraph 6.3.1  to develop the effective spec-
tral response curve of the  transmlssometer.
Report  the  wavelength at  which the peak
response occurs, the wavelength at which the
mean response occurs, and the  maximum
response at  any wavelength below  400 nm
aiid above 70C nm  expressed as a percentage
                             of the peak response as required under para-
                             graph 6.2
                               9.2.2 Angle of View Using the data obtained
                             in accordance with paraerapb 6.32. calculate
                             the response of the receiver as a function of
                             viewing angle in  the horizontal  and vertical
                             directions  (26 centimeters  of  arc  with  &
                             radius of 3 meters equal  S  degrees).  Report
                             relative angle of view curves as required un-
                             der paragraph 6.2.
                              9.2.3 Angle of Projection. Using the data
                            obtained in accordance with paragraph 6.3.3.
                            calculate the  response  of the photoelectric
                            detector as a function of projection angie  in
                            tbe horizontal and vertical directions Report
                            relative angle of projection curves ae required
                            under paragraph 6.2.
                              9.2 4 Calibration Error. Using the data from
                            paragraph  81  (Figure  1-1), subtract the
                            known filter  opacity value  from the va:ue
                            shown by the measurement system for each
                            of tbe IS readings. Calculate tbe mean and
                            95 percent confidence Interval of tbe five dif-
                            ferent values at each test filter value accord-
     Low
     Range 	
     Span Value
% opacity
  	X  opacity
M1d
Range 	% opacity
High
Range 	X opacity
Date  of Test
                         Location of Test
           Calibrated Filter
                             .1
                       Analyzer Reading
                           % Opacity
                                Differences
                                 % Opacity
n
T3
14

15
Mean difference

Confidence Interval


Calibration error » Mean Difference  + C.I.
                                                         Low     Hid     High
 Low,  mid or high range
 Calibration filter  opacity - analyzer reading
 Absolute value
                  Figure 1-1.  Calibration Error Test
                                                      Ing to equatjriis 1-1 and 1-2 Reoort the sum
                                                      of the absolute mean  difference and  the  65
                                                      percent confidence Interval for  each  of tie
                                                      'three test filters
   9.2.5 Zero  Drift  Using tbe  «ero  opacity
 values measured every 24 hours during the
 field test (paragraph 8.2). calculate the dif-
 ferences between the zero point after clean-
 ing. aligning, and adjustment,  and the zero
 value 24  hours later Just prior to cletnjng.
 aliening.   and  adjustment   Calculate  the
 mean value of these  points B  J  the confi-
 dence interval using equations  1-1 and  1-2
 Report tbe sum of the Absolut* mean value
 and the 95 percent confidence Interval
   9.26 Calibration  Drift. Using  the  span
 value measured every  24  hours during the
 field test, calculate  the differences between
 the span  value after cleaning, aligning,  and
 adjustment of zero  and span, and the spar.
 value 24   bours later  Just  after  clearJr.p
 aligning,  and adjustment of zero and before
 adjustment  of span   Calculate the mecr.
 value of  these points and  the conf.der.co
 interval using equations 1-1 and 1-2  Report
 the sum of the  absolute mean value and the
 confidence Interval.
   92 7 Response Time. Using the data from
 paragraph 8.1.  calculate  tbe  time interval
 from filter Insertion  to 95  percent of the final
 stable value for all upscale  and downscaie
 traverses  Report tbe mean of tbe 10 upscale
 and downscaie test times.
   9.2.8 Operational Test Period. During  the
 168-hour  operational test period,  tbe  con-
 tinuous monitoring system shall not require
 any corrective maintenance, repair, replace-
 ment. or adjustment other than tbat  clean?
 specified as required in tbe manufacturer's
 operation  and maintenance manuals as rou-
 tine and expected during  a one-week  period.
 If the continuous monitoring system is oper-
 ated  within  the specified performance  pa-
 rameters  and  does  not  require  corrective
 maintenance,  repair, replacement, or adjust-
 ment other than as specified above  during
 tbe  168-hour test  period, the operational
 test period shall have been successfully con-
 cluded. Failure  of the  continuous  monitor-
 Ing system to meet these  requirements shall
 call  for a repetition of  the  168-hour test
 period Portions of tbe tests which were sat-
 isfactorily  completed need not  be  repeated
 Failure to meet any performance  specifica-
 tion (s) shall  call for  a  repetition of the
 one-week  operational  test period  and that
 specific portion of  the  tests  required  by
paragraph  8 related  to demonstrating com-
pliance with  the failed  specification.  All
 maintenance and adjustments required shall
be recorded  Output readings  sbal!  be  re-
corded before and after all  adjustments.
                                                                          ^
                                                                              ExDerlmental Statistics," Department
                                                                       of Commerce, National Bureau of Standards
                                                                       Handbook PI, 1063. pp.  3-31,  paragraphs
                                                                       3-3.1.4.
                                                                         102  "Performance Specifications for Sta-
                                                                       tionary-Source Monitoring Systems for Oases
                                                                       and Visible Emissions," Environmental Pro-
                                                                       tection  Agency.  Research  Triangle  Park.
                                                                       N.C.. EFA-650/3-74-018. January 1674.
                                                                11-79

-------
   Zero Sitting

   it»n Sitting
(Sec pr«t10n Drift • Nun Spin Drift*
                                              .+ CI (Sp«n)
    Akltlvtt Mint
PBFOBMANCE SPECIFICATION 2—PnroBMANCz
  •PECOTCATIONS AND SPECIFICATION TEST PRO-
  CEDtmES  FOR  MONITORS OF  SO} AND  NOx
  FROM STATIONARY SOUBCES

  1 Principle and Applicability.
  1.1  Principle  The concentration of sulfur
dioxide or oxides  of nitrogen pollutants in
•tack emissions is measured by  a continu-
ously operating emission measurement sys-
tem. Concurrent with operation of the  con-
tinuous  monitoring system,  tbe pollutant
concentrations  are also measured with refer-
ence methods (Appendix A).  An average of
the continuous monitoring system  data Is
computed for each reference method testing
period and compared to  determine the  rela-
tive accuracy of the continuous  monitoring
system  Other tests of  the continuous mon-
itoring system  are also performed to deter-
mine  calibration error,  drift, and  response
characteristics of  the system
  13  Applicability. This performance spec-
ification is applicable to evaluation  of  con-
tinuous monitoring systems for measurement
of nitrogen oxides or  sulfur dioxide pollu-
tants. These specifications contain test  pro-
cedures, installation requirements, and  data
computation  procedures for evaluating the
acceptability of the continuous  monitoring
systems.
  1. Apparatus
  94  Calibration Oas Mixtures. Mixtures of
Icnown concentrations  of pollutant  gas  in a
diluent gas shall be prepared.  The pollutant
gas shall be sulfur dloxjde or tbe appropriate
oxide(s)  of nitrogen specified by paragraph
6 and within subparts. For sulfur dioxide gas
mixtures, the diluent gas may be air or nitro-
gen. For nitric oxide (NO)  gas mixtures, the
diluent gas shall be oxygen-free  «10 ppm)
nitrogen, and for nitrogen dioxide (NO,) gas
mixtures the diluent gas shall be air. Concen-
trations of approximately SO percent and 90
percent of span are required. Tbe 80 percent
gas mixture la used to set and to check tbe
•pan and is referred to as the span gas.
  93 Zero Oas.  A gas certified by the manu-
facturer to contain less  than  1  ppm of the
pollutant gas or ambient air  may be used.
                   3.3 equipment for measurement of the pol-
                 lutant gas concentration using the reference
                 method specified in the applicable  standard.
                   2.4 Data Recorder. Analog  chart recorder
                 or other suitable  device with input voltage
                 range compatible  with analyzer system out-
                 put. The resolution  of  the recorder's data
                 output shall be sufficient to allow completion
                 of the test procedures within  this  speclfl-
                 catlon.
                   2.5 Continuous monitoring system for SO,
                 or NOi pollutants as applicable.
                   8. Definitions
                   3.1 Continuous Monitoring System. The
                 total equipment required for the determina-
                 tion of a pollutant gas concentration In a
                 source effluent. Continuous monitoring cys-
                 tems consist of major subsystems as follows:
                   3.1.1 Sampling Interface—That portion of
                 an extractive continuous monitoring system
                 that performs one or more of tbe  following
                 operations: acquisition,  transportation, and
                 conditioning  of a sample of tbe source efflu-
                 ent or that portion of an in-sltu continuous
                 monitoring system that protects the analyzer
                 from the effluent.
                   3.12 Analyzer—That  portion  of  the con-
                 tinuous monitoring system which senses the
                 pollutant gas and generates a signal output
                 that Is a function of the pollutant concen-
                 tration.
                   3.1.3 Data Recorder—That portion of tbe
                 continuous monitoring system that provides
                 a permanent record of the output  signal In
                 terms of concentration units.
                   3J2 Span. The value of pollutant concen-
                 tration  at which  the continuous  monitor-
                 ing system Is set  to produce  the maximum
                 data display  output.  The  span  shall be act
                 at the concentration specified in each appli-
                 cable subpart
                   3.3 Accuracy  (Relative). The degree  of
                 correctness  with  wbtch   the  continuous
                 monitoring system yields  the value of (as
                 concentration of  a sample relative  to  tbe
                 value given by a defined reference method.
                 This accuracy is expressed  in terms of error.
                 which  Is tbe difference between the paired
                 concentration measurements expressed a* a
                 percentage of tbe  mean reference value.
     8.4 Calibration Irror. The difference  be-
   tween  the  pollutant concentration  Indi-
   cated  by the continuous monitoring syBterr
   and the known concentration  ol  the te»:
   (as mixture
     S.B Zero Drift The change In the  continu-
   ous monitoring system output over a stated
   period of time of normal continuous opera-
   tion when  the  pollutant concentration  at
   tbe time for the measurements is zero
     3.8 Calibration Drift  The  change In  the
   continuous monitoring system output over
   a rtated  time period  of normal continuous
   operations when the pollutant concentra-
   tion at tbe time of the measurements IE the
   acme known upscale value
     8.7 Response  Time  Tbe   time  Interval
   from a step change  in pollutant concentra-
   tion at the Input to the continuous moni-
   toring  system to the time at which 95 per-
   cent of  the  corresponding  final  value   is
   reached  as  displayed  on  the  continuous.
   monitoring system data recorder.
    8.8 Operational Period. A minimum period
  of time over which  a measurement system
   !• expected  to operate within certain per-
   formance specifications  without unsched-
  uled maintenance, repair, or  adjustment
    8.9 Stratification  A condition  identified
  toy a difference In excess of  10  percent be-
  tween the average concentration in the duct
  or stack and the concentration at any point
  more than l.O meter from the duct or stack
  wall.
    « Installation  Specifications   Pollutant
  continuous  monitoring systems (SO,  and
  NO,) shall be Installed at  a sampling* loca-
  tion where measurements can be made which
  are directly  representative (4.1),  or which
  can be corrected  so  as to be representative
  (4.2) of the total emissions from the  affected
  facility Conformance with this requirement
  •ball be  accomplished as follows-
    4.1 Effluent gases may  be assumed to be
  •onstratlfied If a sampling location eight  or
  more stack diameters (equivalent diameters)
  downstream  of any  air  in-leakage   is se-
  lected. This assumption and data correction
  procedures under paragraph 4.2.1  may not
  be  applied to sampling locations upstream
  of an air preheater In a •team  generating
  facllltv  under Subpart D of this part.  For
  sampling  locations where effluent gases are
 either demonstrated  (4.3)  or may  be as-
 sumed to be nonstratlfled  (eight diameters).
 a point  (extractive systems)  or path (in-sltu
 •ymtems) of average  concentration may be
 monitored.
   4.2 For  sampling locations where effluent
 (ases cannot be  assumed to  be nonstratl-
 fled (less than eight diameters) or have been
 shown under paragraph 4.3  to  be stratified,
 results obtained must be consistently repre-
 sentative (e.g. a point of average concentra-
 tion may  shirt with  load changes)   or  the
 data generated  by sampling at a point (ex-
 tractive  systems) or across a  path (In-sltu
 systems) must be corrected (4.2.1 and 122)
 eo as to  be representative of the total emls-
 •lons  from the  affected facility. Conform-
 ance with  this requirement  may  be accom-
 plished In  either of the following ways-
   4.2.1 Installation of a diluent continuous
 monitoring system (O. or CO. as applicable)
 In  accordance  with  the procedures  under
 paragraph  4.2 of  Performance Specification
 8 of thl  appendix. If the pollutant  and
 diluent monitoring systems  are not of the
 same type  (both extractive or both In-sltu)
 the extractive system must use a multipoint
 probe.
  4.1.2 Installation of  extractive pollutant
 monitoring systems using multipoint sam-
pling probes or In-sltu pollutant monitoring
systems that sample or view emissions  which
are consistently representative of tbe total
emissions for tbe entire cross eection. The
Administrator may require data to be «ub-
                                                                 11-80

-------
 ml tied to demonstrate that the  «miaslons
 sampled  or  viewed an consistently  repre-
 sentative for several typical facility procen
 operating conditions.
   4-3 Tbe owner or operator may perform a
 traverse to characterize an; stratification of
 effluent gases that might exist In a stack or
 duct. If no stratification Is present, sampling
 procedures under paragraph 4.1  may be  ap-
 plied even though the eight diameter criteria
 Is not met.
  4.4  When single point sampling probes  for
extractive systems are  Installed  within the
                                               stack or duct under paragraphs 4.1 and 4.2.3.
                                               the sample may not be extracted at any point
                                               less than 1.0 meter from the (tack or duct
                                               wall. Multipoint sampling  probes Installed
                                               under paragraph 4.2.2 may be located at any
                                               points necessary to obtain consistently rep-
                                               resentative samples.

                                               5. Continuous Monitoring System Perform-
                                               ance Specifications.
                                                The continuous  monitoring  system  shall
                                              meet the performance specifications In Table
                                              3-1 to be considered acceptable under "this
                                              method.
                                                                                           6.2.3.3 Adjustments. Zero  and calibration
                                                                                         correction* and adjustment are allowed oaly
                                                                                         at 24-hour intervale or  at  s-uch shorter In-
                                                                                         tervals  as the  manufacturer's written In-
                                                                                         structions  specify.   Automatic  corrections
                                                                                         made by the measurement  system without
                                                                                         operator Intervention or  Initiation are allow-
                                                                                         able at  any time. During the entire 168-hour
                                                                                         operational test  period, record on the ex-
                                                                                         ample sheet shown in Figure 2-5 the values
                                                                                         given by zero  and span gas pollutant con-
                                                                                         centrations before and after adjustment at
                                                                                         24-hour Intervals.
                                                                                           6.3 Field Test for Response Time.
                                                                                           63.1 Scope of Test. Use the entire continu-
                                                                                         ous monitoring system as Installed. Including
                                                                                         sample  transport lines If used. Flow rates,
                                                                                         line  diameters, pumping  rates, pressures (do
                                                                                         not allow the pressurized calibration gas to
                                                                                         change  the normal operating pressure to the
;. Calibration error'	  Ss'pit of each (50 pet, 90 pet) cab braUon gas mixture   "fPle  Hne), etc.. shall  be  at the nominal
                                                value.                                     values for  normal operation
S. Zero drift (2 b) i			  2pctofspan
4. Zero drift (24 h)'	     Do.
5. Calibration drift (2h)'	     Do.
6. Calibration drift (24 b)'	„	  2.5 pet. of span
7. Ffjtpfrnw time.................	.............	.  15 rnln maximum.
8. Operational period	  168 b minimum.


  1 Expressed a> sum of absolute mean value plus 95 pet confidence Interval of a series of. tests.
                        TABLE 2-1.—Performance ipeciflcations
                   ftmuter
                                                             Spietfieatum
i. Accuracy'
                                                        e mean value of the reference method test
   6. Performance  Specification Test Proce-
 dures:. The following test procedures shall be
 used to  determine conformance  with the
 requirements of paragraph 5. For NO. an-
 requlrements of paragraph 5. For NO. an-
 alyzers that oxidize  nitric oxide  (NO)  to
 nitrogen  dioxide  (NO,), the  response  time
 test under paragraph 6.3 of this method shall
 be  performed using nitric  oxide (NO)  span
 gas. Other tests for NO, continuous monitor-
 Ing systems under  paragraphs 6.1 and 6.2 and
 all  tests for sulfur dioxide systems shall be
 performed using the pollutant span gas spe-
 cified by each subpart.
   6.1 Calibration Error Test Procedure. Set
 up  and  calibrate  the  complete  continuous
 monitoring  system according  to the  manu-
 facturer's wrlten Instructions. This may be
 accomplished either In  the laboratory or In
 the field.
   6.1.1 Calibration  Gas Analyses. Triplicate
 analyses of  the  gas mixtures  shall be per-
 formed within two weeks prior to use using
 Reference Methods 6 for SO, and 7 for NO..
 Analyze each calibration gas mixture (50%,
 GO^o) and record the results on the example
 sheet shown in Figure 2-1.  Each sample test
 result must be within 20 percent of the aver-
 aged result  or the tests shall be repeated.
 This step may be omitted for non-extractive
 monitors where dynamic calibration gas mix-
 tures are not used (6.12).
   6.1.3 Calibration Error  Test  Procedure.
 Make a total of 15 nonconsecutlve measure-
 ments by alternately using zero gas and each
 :allberatlon  gas mixture concentration (e.g
 3-r.  50%. 0%. 90%. 50%,  90%. 50%.  0%,
 etc.). For nonextractive continuous monitor-,
 Ing systems,  this test procedure may be  per-
 formed by using two or more calibration gas
 ~ells whose  concentrations  are certified by
 the manufacturer to be functionally equiva-
 lent to these gas concentrations. Convert the
 continuous monitoring  system output read-
 ings  to ppm and record  the results on the
 example sheet shown In  Figure  2-2.
  62 Field  Test  for Accuracy (Relative).
 Zero Drift, and Calibration Drift. Install and
 operate the continuous monitoring system In
 accordance with the manufacturer's written
 Instructions  and drawings as follows:
  6.2.1 Conditioning Period. Offset the zero
setting at least 10  percent of  the  span ao
that  negative zero  drift can be quantified.
Operate  the  system for  an  Initial 168-hour
conditioning period  In  normal  operatlne
manner.
  8.2.2 Operational  Te«t  Period. Operate the
continuous monitoring system for an addi-
                                            tional  168-hour  period retaining the zero
                                            offset. The system shall monitor  the source
                                            effluent  at all times  except  when  being
                                            zeroed, calibrated, or backpurged.
                                              6.2.2.1 Field Test for Accuracy (Relative).
                                            For continuous monitoring systems employ-
                                            Ing extractive sampling, the probe tip for the
                                            continuous monitoring  system and the probe
                                            tip for the Reference Method sampling train
                                            should be placed at adjacent locations In the
                                            duct. For NO, continuous monitoring sys-
                                            tems, make 27  NOX concentration measure-
                                            ments, divided  Into nine sets, using the ap-
                                            plicable reference method. No more than one
                                            set  of tests, consisting of  three  Individual
                                            measurements,  shall  be performed in any
                                            one  hour.  All  Individual  measurements  of
                                            each  set shall  be performed concurrently,
                                            or within a three-minute  Interval and  the
                                            results averaged. For SO, continuous moni-
                                            toring systems,  make nine SO. concentration
                                            measurements using the applicable reference
                                            method.  No  more than one  measurement
                                            shall be performed in any  one hour. Record
                                            the reference method test data and the con-
                                            tinuous  monitoring system concentrations
                                            on the example data sheet shown in Figure
                                            2-3.
                                              6.2.22 Field Test for  Zero Drift and  Cali-
                                            bration Drift. For  extractive systems, deter-
                                            mine the values given by zero and span gas
                                            pollutant concentrations at two-hour Inter-
                                            vals until 15 sets of data are  obtained. For
                                            nonextractive measurement systems, the zero
                                            value  may  be determined  by mechanically
                                            producing a zero  condition  that provides a
                                            system check of  the analyzer Internal mirrors
                                            and  all electronic  circuitry Including  the
                                            radiation source and detector assembly or
                                            by inserting three or more calibration gas
                                            cells nnd computing the zero point from the
                                            upscale measurements. If this latter tech-
                                            nique is used, a graph(s) must  be retained
                                            by the  owner or operator for each measure-
                                            ment system that shows the relationship be-
                                            tween the upscale  measurements and  the
                                            zero point. The  span of  the  system shall be
                                            checked by  using a calibration gas cell cer-
                                            tified by the manufacturer to be function-
                                            ally equivalent to 50 percent of span concen-
                                            tration. Record the zero and span  measure-
                                            ments (or the computed zero drift) on  the
                                           example data sheet  shown  In Figure  3-4.
                                           The two-hour periods over  which measure-
                                            ments are conducted need not be consecutive
                                           but may not overlap. AU measurements re-
                                           quired under  this  paragraph may  be con-
                                           ducted  concurrent  with tests  under para-
                                           graph 6.2.2.1.
                                                                                                                     as specified  Hi
                                                                                         the manufacturer's written Instructions.  If
                                                                                         the analyzer is used to sample more than one
                                                                                         pollutant source (stack), repeat this test for
                                                                                         each sampling point.
                                                                                          8.3.2 Response Time Test Procedure. In-
                                                                                         troduce zero gas Into the continuous moni-
                                                                                         toring system sampling Interface or  as close
                                                                                         to the sampling  Interface as possible. When
                                                                                         the system  output reading has stabilized,
                                                                                        switch quickly to a known concentration  of
                                                                                         pollutant gas. Record the time from concen-
                                                                                         tration switching to 95 percent of final stable
                                                                                         response.  For  non-extractive monitors, the
                                                                                         highest available calibration gas concentra-
                                                                                        tion shall  be switched Into and out of the
                                                                                        sample  path  and  response times  recorded.
                                                                                        Perform this test sequence three (3) umes.
                                                                                       • Record  the  results  of  each  test  on  the
                                                                                        example sheet shown  In  Figure 2-6.
                                                                                          7- Calculations. Data Analysis and Reran.
                                                                                        Ing.       -
                                                                                          7.1 Procedure for determination of mean
                                                                                        values and confidence intervals.
                                                                                          7.1.1  The mean  value  of a  data set  Is
                                                                                        calculated  according to equation 2-1.
                                                                                                             *-'    Equation '}.- )
                                                                                        where:
                                                                                          x, = absolute value of the measurements,
                                                                                          2 = sum of the Individual values,
                                                                                          S= mean value, and
                                                                                          n = number of data points.

                                                                                          7.1 2 The 95 percent  confidence  interval
                                                                                        (two-sided) Is calculated according to ecua-
                                                                                        tlon 2-2:                            -MU--
                                                                                              CT       ••
                                                                                             .I.M=—r.
                                                                                                     1.175
                                                                                                                    Equation 2-2
                                                                                       where:
                                                                                           Zx,— sum of all data points,
                                                                                           t.t7i=ti— a/2, and
                                                                                         C.I.M=95  percent  confidence interval
                                                                                                estimate of  the  average  mean
                                                                                                value.

                                                                                                    Values for ».97S
                                                                                                  n                •.975
                                                                                                  2 ............. „   12.708
                                                                                                  3 ...............   4. SOB
                                                                                                  4 ...............   1182
                                                                                                  5 --- : ...........   1778
                                                                                                  6 .......... --- .   2.571
                                                                                                  7 ...............   1447
                                                                                                  | ...............   1J85
                                                                                                  S ----- .-. .......   2.806
                                                                                                  W ...............   2.282
                                                                                                  JT-— ........ —   2.228
                                                                                                  12 ....... ~ ......   2,201
                                                                                                  1» ...... . ........    1179
                                                                                                  J4 ......... -----    2. 180
                                                                                                  15 ...............    2.145
                                                                                         Tbe value* in this table are already cor-
                                                                                       rected  (or  n-1 degree* of freedom.  Use n
                                                               11-81

-------
*qutl  to tbe number  of samples a«  data
point*.
  72  Data Analysis and Reporting.
  7.2.1  Accuracy (Relative). For each of the
nine reference method test points, determine
the average pollutant concentration reported
by the continuous monitoring system. These
average concentrations  snail be determined
from the continuous monitoring system data
recorded under 7.2.3 by Integrating or aver-
aging the pollutant concentrations over each
at the time Intervals concurrent with  each
reference method testing period. Before pro-
ceeding to the next step, determine the basis
(wet or dry) of the continuous monitoring
system data and reference method test data
concentrations. If  the  bases are  not  con-
sistent, apply a moisture correction to either
reference method concentrations or the con-
tinuous  monitoring system concentrations
as  appropriate. Determine  the  correction
factor  by moisture tests concurrent with the
reference method testing periods. Report the
moisture test method and the correction pro-
cedure employed. For each of the nine test
runs determine the difference for each test
run  by subtracting the respective reference
method test concentrations (use average of
each set  of three  mr  -urement* for  NO.)
from the continuous monitoring system inte-
grated or averaged  c, \centrstlons.  Using
these data, compute the mean difference and
the 95  percent confidence Interval of the dif-
ferences  (equations 9-1 and  2-2). Accuracy
Is reported a- the sum of the absolute value
of the mean difference  and  the 95 percent
confidence Interval  of  the differences  ex-
pressed as a percentage of the mean refer-
ence method value. Use the example sheet
shown In Figure 2-3
  122  Calibration  Error. Using the  data
from paragraph 6.1, subtract the measured
pollutant concentration determined under
paragraph e.1.1 (Figure  3-1) from the value
shown by the continuous monitoring system
for each of the five readings at each con-
centration measured under 6.13 (Figure 2-2).
Calculate the mean of these difference values
and  the  65  percent confidence Intervals ac-
cording to equations 2-1 and 2-2. Report the
calibration error  (the sum of the absolute
value of the mean difference and the  95  per-
cent confidence interval) as a percentage of
each respective  calibration gas concentra-
tion. Use example sheet shown in Figure 2-2.
  7.2J  Zero Drift (2-hour). Using the  zero
concentration  values measured  each  two
hours during the field test, calculate the dif-
ference* between consecutive two-hour read-
Ings  expressed In ppm.  Calculate the mean
difference and the  confidence interval using
 equations 2-1 and 2-2. Report ta« zero drift
 as the sum of the absolute mean value and
 the confidence  interval as a  percentage of
 span.  Use example tbeet shown In Figure
 2-4.
   7.2.4  Zero Drift (24-hour). Using the zero
 concentration  values  measured every  24
 hours during the field test, calculate the dif-
 ferences between  the zero point after zero
 adjustment and the cero value 24 hours later
 just prior to zero adjustment.-Calculate the
 mean  value  of  these  points and the confi-
 dence interval using equations 2-1 and 2-2.
 Report the zero drift  (the sum of the abso-
 lute mean and confidence interval) as a per-
 centage of span. Use example sheet shown In
 Figure 2-5.
   7.2.5  Calibration Drift  (2-hour).  Using
 the calibration values obtained at two-hour
 intervale during the field test, calculate the
 differences  between consecutive two-hour
 readings  expressed  as ppm.  These values
 should be corrected for  the  corresponding
 cero drift during that two-hour period. Cal-
 culate the mean and  confidence Interval of
 these corrected difference values using equa-
 tions 2-1 and 2-2. Do not use  the differences
 between  non-consecutive  readings.  Report
 the calibration drift as the sum of the abso-
 lute mean and confidence Interval as e. per-
 centage of span. Use the example sheet shown
 in Figure 2-4.
   7.2.6 C-lIbratlon  Drift  (24-hour).  Using
 the calibration values measured  every  24
 hours during the field  test, calculate the dif-
 ferences  between the calibration concentra-
 tion reading after zero and calibration ad-
 justment, and the calibration  concentration
 reading 24 hours later after zero adjustment
 but before calibration adjustment. Calculate
 the mean value of these differences and the
 confidence iuterval using equations 2-1 and
 2-2. Report the calibration drift (the sum of
 the absolute mean and confidence Interval)
 as a  percentage of span.  Use  the example
 sheet shown in Figure 2-5.
   7.2.7  Response  Time.  Using  the charts
 from paragraph 6.3, calculate the time inter-
 val from concentration switching to 95 per-
 cent to the *<"«' stable value  for all upscale
 and downecal« testa. Report the mean of the
 three upscale test times and the mean of the
 three downscale test times. The two aver-
 age times should not differ by  more **»" 15
 percent of the slower time. Report the slower
 time as the system response time. Use the ex-
 ample  sheet shown in Figure  2-0.
   7.2.8 Operational Test Period.  During the
 108-hour performance and  operational test
 period, 'the  continuous monitoring system
 shall not require any corrective maintenance.
repair, replacement, or adjustment other than
that clearly specified as required  xc the op-
eration ind maintenance manuals ajs routine
and expected  during a  one-week period  If
the continuous monitoring system  operates
within the specified performance parameters
and does not require corrective maintenance,
repair, replacement or adjustment other than
as specified above during the  168-hour test
period, the operational period will be success-
fully  concluded.  Failure of  the continuous
monitoring system  to meet this requirement
shall call for a repetition of the 168-hour test
period. Portions of the test which  were satis-
factorily completed need  not  be repeated
Failure to meet  any performance specifica-
tions  shall call for a repetition of the one-
week  performance test period and that por-
tion of the testing  which is related to the
failed specification  All maintenance and ad-
justments  required  shall be recorded  Out-
put readings shall be  recorded before  and
after all adjustments
  8. References.
  8.1 "Monitoring Instrumentation  for the
Measurement of Sulfur Dioxide in Stationary
Source Emissions," Environmental Protection
Agency, Research Triangle Park,  N.C., Feb-
ruary 1973.
  82 "Instrumentation for the Determina-
tion of Nitrogen  Oxides  Content of  Station-
ary Source Emissions," Environmental Pro-
tection Agency. Research Triangle Park. N.C..
Volume l.APTD-0847.  October  1971; Vol-
ume 2,  APTD-0942. January 1972.
  3.3 "Experimental Statistics." Department
of Commerce, Handbook 91. 1903. pp. 3-31.
paragraphs 3-3.1.4.
  8.4 "Performance  Specifications for Sta-
tionary-Source Monitoring Systems for Cases
and Visible Emissions," Environmental Pro-
tection Agency. Research Triangle Park, N C.,
EPA-650/3-74-013, January 1974.
             r Il'ltrillo Ul
                    'i»r.tif Hi
                                                                                                          ' •> bllMtlw iM M««T>
                                                              11-82  ,

-------
            Calibration Gas Mixture  Data  (From Figure 2-1)

            Mid (505) 	ppn       High  (901) 	ppni
Run I
          Calibration Gas
         Concentration.ppm
Measurement System
  Reading, ppn
                                                         Differences,  ppm
12
J3
14
15
                                                                Hid    High
                            Mean Difference  + C.I.
Mean difference

Confidence interval

Calibration error =


 Calibration gas concentration -  measurement  system  reading
'Absolute value
                            calibration Gas Concentration
                                                          •x 100
                    Figure 2-2.   Calibration Error Determination
nt
No.
1

,
<
S

7
f
*
Idfl
fit
ISJ (
iccur
fcu
BM




•cfcrtnc* Hctnoti Stnpiti
til'1




'
i



rtf«r»nct •
Ml* (SO,
Mftitnei <



•Owe
•»«» if
W









NO ; NO
We ? ! te«U s
(ppn) (W»)
t








NM* rtf*rti
tttt «1«









W SMpll





««lr>tr 1-llhir
*.«••* (PP.)'
SO, «,





:



»C< VtllM
n I
(JO.) • •
th* iifftmcfi * K( eenfi«tftct"tnitrv*l _ t^ _
"'" • - - -' "It,,,, rtftrcnct Mthod ».lv» ' '" -
lilt wrf rtport mtunt UM« u 4«trm1u Inugrturt »mt<>












plfformet
(PI-)
*°2 »,









Nun of

	 MM,










) • 	 I («0,)
                                         Mtlw (SO, M< Ka)
                                          11-83

-------
»u
*t
           Ttat
        t*t<«  End
                     •MtC     tM*1l<)
Zir*
Drift
 S««l
tailing
SHfl
(iiwO
                               «r1ft
                             ( »P»»- 2m)
  Zn-o fri't -THe«n Jero Drift*
           Drift • [MM* S»«n OrMt*
  •Absolute VllM.
                                   * CI  Ut-o)
                                  .  *  tl
                         2-4.2rro 
-------
    0«U of Tist
    Span Gas Concentration

    Analyzer Span Setting _
           _Ppn
            pp™
    Upscale
           _stconds

           _seconds

            seconds
                  Averagt upscale response_
                                                  seconds
     Downscale
  1

  2

-3
                                      ^seconds

                                      _seconds

                                       seconds
                  Average downscale response

System average response 'tine (slower time) • _

Deviation from slower
system average response
                         _seconds

                          seconds.
average upscale minus av'eraqe downseale
              slower tine
I"
                                                                    x 100J -
                       Figure  2-6.  Response Time
                       jlgnj}—Performance
                       Icatlon test  proce-
 dures for monitors of CO, and O, from sta-
 tionary sources.
   1. Principle and Applicability.
   1.1 Principle. Effluent gases are continu-
 ously sampled and are analyzed for  carbon
 dioxide or oxygen  by a  continuous monitor-
 ing system. Tests of the system are performed .
 during a minimum operating period to deter-
 mine zero drift, calibration drift, and re-
 sponse time characteristics.
   1.2 Applicability. This performance speci-
 fication is applicable to evaluation of  con-
 tinuous monitoring systems for measurement
 of carbon dioxide or oxygen. These specifica-
 tions contain test procedures, Installation re-
 quirements,  and data  computation  proce-
 dures for evaluating the acceptability of the
 continuous monitoring systems  subject to
 approval  by  the  Administrator.  Sampling
 may include either extractive or non-extrac-
 tive (in-sltu) procedures.
  2. Apparatus.
  2.1 Continuous  Monitoring  System  for
 Carbon Dioxide or Oxygen.
  2.2 Calibration Gas Mixtures. Mixture of
 known concentrations  of carbon dioxide or
 oxygen in  nitrogen or air. Mldrange and 90
 percent of span carbon dioxide or oxygen
 concentrations are required. The 90 percent
 of span gas mixture Is to be used to set and
 check the  analyzer span and  Is referred to
 ao  span  gas. For  oxygen analyzers,  if the
 span Is higher than 21  percent O,. ambient
 air may be used in place of the 90 percent of
 span calibration  gas   mixture. Triplicate
 analyses of the gas mixture (except ambient
 air) shall  be performed within  two weeks
 prior to  use using Reference  Method 3 of
 this pan.
  2.3 Zero Oas. A gas containing less than 100
 ppm of carbon dioxide or oxygen.
  3.4 Data Recorder. Analog chart recorder
 or other suitable device with  Input voltage
range compatible with analyzer system out-
 put. The  resolution of  the recorder's data
 output shall be sufficient to allow completion
 or the test procedures within this specifica-
 tion.
  3. Definitions.
  S.I  Continuous  Monitoring  System.  The
 total equipment required for the determina-
 tion of carbon dioxide or oxygen in a given
                                         source effluent. The system consists of three
                                         major subsystems:
                                           3.1.1 Sampling Interface. That portion of
                                         the continuous monitoring system that per-
                                         forms one' or  more of the following opera-
                                         tions:  delineation, acquisition,  transporta-
                                         tion,  and conditioning of  a  sample of the
                                         source effluent or protection of the analyzer
                                         from  the hostile aspects  of  the sample or
                                         source environment.
                                           3.1.2 Analyzer. That portion of the con-
                                         tinuous monitoring system which senses the
                                         pollutant gas and generates a signal output
                                         that is a function of the pollutant concen-
                                         tration.
                                           3.1.3 Data Recorder. That  portion of the
                                         continuous monitoring system that provides
                                         a permanent record of -the output signal in
                                         terms of concentration units.
                                           32 Span. The value of oxygen or carbon di-
                                         oxide concentration at which  the continuous
                                         monitoring system Is  set that produces the
                                         maximum data display output. For the pur-
                                         poses  of  this method, the span shall be set
                                         no less than 1.5  to 2.5 times the normal car-.
                                         Don dioxide or normal oxygen concentration
                                         In the stack gas of the affected facility.
                                           3.3 Mldrange. The value of  oxygen or car-
                                         bon dioxide concentration that Is representa-
                                         tive of the normal conditions in the stack
                                         gas of. the affected facility at  typical operat-
                                         ing rates.
                                           3.4 Zero Drift. The  change  In  the contin-
                                         uous monitoring system output over a stated
                                         period of time of normal continuous opera-
                                         tion when the carbon  dioxide  or oxygen con-
                                         centration at the time for the measurements
                                         Is zero.
                                           3.5 Calibration Drift.  The change in  the
                                        ' continuous monitoring system output over a
                                         stated time period of normal continuous op-
                                         eration when the carbon dioxide or oxygen
                                         continuous monitoring system is measuring
                                         the concentration of span gas.   . •
                                           3.6 Operational Test Period. A minimum
                                         period  of time over which the  continuous
                                         monitoring system Is  expected  to* operate
                                         within  Certain  performance  specifications
                                         without unscheduled maintenance, repair, or
                                        ' adjustment.
                                        .   3.7 Response time. The time interval from
                                         a step change  in concentration at the input
                                         to the continuous monitoring system to the
                                         time at which 98 percent of the correspond-
 ing final value to displayed on the continuous
 snonltortng system data recorder.
   4. Installation Specification.
   Oxygen or carbon dioxide continuous mon-
 itoring systems! shall-be installed at a loca-
 tion where measurements are directly repre-
 sentative  of  the  total  effluent  from  the
• affected facility or representative of the same
 effluent sampled by a SO, or NO. continuous
 monitoring system. Ibis requirement shall
 be compiled with  by use of applicable re-
 quirements in  Performance Specification 3 of
 this appendix as follows:
   4.1 Installation of Oxygen or Carbon  Dl-
'oxlde  Continuous  Monitoring  Systems Not
 Used to Convert Pollutant Data. A sampling
 location shall be selected In accordance with
 the procedures under • paragraphs  4.3.1  or
. 4.2.2. or Performance Specification 3 of this
 appendix.    .  •
   45 Installation  of Oxygen or Carbon  Di-
 oxide Continuous Monitoring Systems Used
to Convert Pollutant Continuous Monitoring
 System- Data to Units of Applicable Stand-
 ards. The diluent continuous monitoring sys-
 tem (oxygen or carbon dioxide) 'shall be In-
stalled at a sampling location where measure-
 ments that can be made are representative of
 the effluent gases sampled by the pollutant
 continuous monitoring system(s). Conform-
 ance with  this requirement  may be accom-
 plished in  any of the following ways:
   4.2.1  The sampling location for the diluent
system shalfbe near the sampling location for
 the pollutant continuous monitoring system
such that the same' approximate point (s)
 (extractive systems)  or path  (In-sltu  sys-
tems)  in  the  cross section is sampled  or
viewed.
   4.2.2  The diluent aad pollutant continuous
monitoring systems may be installed at dif-
ferent locations if the effluent gases at both
sampling locations are nonstrstlned as deter-
mined under paragraphs 4.1 or 43, Perform-
ance  Specification  3 of this appendix and
 there is no in-leakage occurring between the
two sampling locations. If the effluent gases
are stratified at either location, the proce-
dures  under  paragraph 4.2.2, Performance
Specification 2 of this appendix shall be used
for Installing continuous monitoring systems
at that location.
   6. Continuous Monitor^ng 8vstem Pertorm-
                                                                    tlnu
                                                                    cine
                                                            ance Specifications.
                                                              The  continuous monitoring system shall
                                                            meet the performance specifications in Table
                                                            3-1 to be considered  acceptable under this
                                                            method.
                                                              6. Performance Specification Test  Proee*
                                                            dures.
                                                              The following test procedures shall be used
                                                            to determine conformance with the require-
                                                            ments of paragraph 4. Due to the wide varia-
                                                            tion existing In analyzer designs and princi-
                                                            ples of operation,  these- procedures are not
                                                            applicable to all analyzers. Where this occurs,
                                                            alternative procedures, subject  to  the ap-
                                                            proval  of the Administrator,  may be em-
                                                            ployed. Any such alternative procedures must
                                                            fulfill the same purposes (verify  response,
                                                            drift, and accuracy) as the following  proce-
                                                            dures,  and must clearly demonstrate con-
                                                            formance  with specifications In Table 8-1.
                                                            '  6.1 Calibration Check. Establish a cali-
                                                            bration curve for the continuous moni-
                                                            toring system using zero, midrange, and
                                                            span concentration gas mixtures. Verify
                                                            that the resultant curve of analyzer read-
                                                            Ing compared with  the calibration gas
                                                            value is consistent with the expected re-
                                                            sponse curve as described by the analyzer
                                                            manufacturer. If the expected response
                                                            curve is not produced,  additional  cali-
                                                            bration gas measurements (hall be made,
                                                            or additional step* undertaken to verify
                                                             11-85

-------
the accuracy of the response curve of the
analyzer.
  «.2 Field Test for Zero Drift and Cali-
bration  Drift.  Install  and  operate  the
continuous monitoring system in accord-
ance with the manufacturer's written in-
structions and drawings as follows:
  TABLE 3-1.—Performance tpecificalions
       Pvnuttr
                           Sptdfattim
1. Zero drift (7 h)'	  <0.4 pet O. or CO).
2. Zero drift (24 b^ >	  *O.S pet Otor COi.
i. Calibration drift (5 h)'..  §0.4 pet O: or CGi
4. Calibration rtritt (24 b) >.  <0-5 pel Ot or COj.
A. OpenUonal period	  IV b minimum.
C. Response tlaic...........  lOnun. •

  i Expressed at nm of absolute mean Talue plus AS pet
confidence Inwrral of a (cries of tests.
  6.2.1 Conditioning Period.  Offset tbe zero
setting at  least  10 percent ol span so that
negative zero drift  may be quantified. Oper-
ate  the  continuous monitoring system for
an initial 168-hour conditioning period In  a
normal operational manner.
  622.~Operational Test Period. Operate the
continuous monitoring system for an addi-
tional 168-hour  period maintaining tbe zero
ofiset. The system  shall monitor the source
effluent  at  all  times  except when - being
zeroed, calibrated, or backpurged.
  6.2.3 Field Test for Zero Drift and Calibra-
tion Drift.  Determine  the values  given by
rero and mldrange gas concentrations at two-
hour Inteivals until 19 sets of data are ob-
tained. For non-extractive continuous moni-
toring systems,  determine  the s*ro  value
given by a mechanically produced zero con-
dition cr by computing the zero value from
 upscale measurements using calibrated gas
cells certified by tbe manufacturer. The mid-
range  checks snail be performed  by using
certified calibration  gas cells functionally
equivalent to less  than SO percent of span.
Record these readings on tbe example sheet
shown In Figure 3-1. These two-hour periods
 need not be consecutive, but may not overlap.
In-situ CO. or O, analyzers which  cannot be
fitted with a calibration gas cell may be cali-
brated by  alternative procedure*  acceptable
to  tbe Administrator.  Zero  and calibration
corrections  and adjustments are  allowed
only at 24-hour Intervals or  at such shorter
intervals as  tbe manufacturer's written in-
structions   specify.  Automatic corrections
made by the continuous monitoring  system
 without operator  intervention or Initiation
arc allowable at any  time. During the en-
 tire 168-hour test  period, record  the values
given by zero and span  gas  concentrations
before and  after adjustment  at 24-hour In-
tervals In the example sheet shown In Figure
3-2.
   63 Field Test for Response Time.
   6.3.1 Scope of Test.
  This teat shall be accomplished -using the
continuous monitoring system as  Installed,
including  sample  transport   lines If used.
now rates,  line diameters,  pumping rates,
pressures 
-------
            TIM
               EM
                             (Mdlng
                                       Or)ft     Spin
S»««
Drift
                          bllkratttr
                            Drtn
   Cillbrttlon Drift • [Mtwi Spot DrTTf
   •Abuluti Vilu*.
                               Flgur* J-1. Z«n> »nd UltSrjtlon Drift (2 Hour).
 «te                        Zero                 Span            Calibration
 and            Zero        Drift               Reading              Drift
 Time         Reading      (iZero)      (After zero adjustment)    (aSpan)
 iero Drift «  [Mean Zero Drift*
.+ C.I.  (Zero)
:a11brat1on  Drift » [Mean  Span Drift*
         .*  C.I. (Span)
  Absolute value
                Figure 3-2.  Zero and Calibration Drift (24-hour)
                                         11-87

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D»u of Test
Span Gas Concentration
Analyzer Span Setting
1.
Upscale 2.
3.
Average
1.
Downscale 2.
3.
Average

ppm
ppm
. seconds
seconds
seconds
upscal: response
seconds
seconds
seconds
downscale response
System average response time (slower tiire) =
seconds
seconds
seconds
system average response                  slower  tine
                           Figure 3-3.  Response
                 (Sac. 114 of U» a«*B Air Act
                 (O UAC. }S57e-»).).
                                       11-88

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NSPS OPERATIONAL MONITORING REQUIREMENTS - PROMULGATED
                         11-89

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Subpart N — Standards of Performance for
          Iron and SU*I Plants »


 S 60.140  AppUeabilitr  and designation '
     of affected facility. 6 4

   (a) The affected facility to which the
 provisions of this subpart apply is each
 basic  oxygen process furnace.
   (b) Any facility under paragraph (a)
 of this section that commences construc-
 tion or modification after June 11. 1973.
 is subject to the requirements of this
 subpart.


 1 60.141  Definition*.
   As used In this subpart, an terms not
 defined  herein shall  have the  meaninc
 given them in. the Act and in subpart A
 c.r this part.
   (a) "Basic oxygen process  furnace*
 a. ~>PF) means  any furnace producing
 •; •  v by charging scrap steel, hot metal,
 B..CI flux materials into a vessel and in-
 troducing a high volume of an oxygen-
 rich gas.
    (b> "Steel production  cycle" means
 the rperattons required to produce each
 batch of steel and includes the following
 major- (unctions: Scrap  charging, pre-
 heating (when used), hot metal charg-
 ing, primary oxygen blowing, additional
 •oxygen blowing (when used), and tap-
       "Startup means the setting into
  operation for the first steel production
  ey«le of  a relived BOPP or a BOPP
  which has been out of production for a
            continuous time period of
  eigtot hours.
  | 60.142  Standard for paniculate- mat-
      ter.
    {a)  On and after the date on which
  the performance test-required to be con-
  ducted by | M.8 is completed, no owner
  or operator subject to the provisions of
  this subpart  shall discharge or cause
  trie discharge into the atmosphere from
  any affected facility any gases which.:
    (1)  Contain particulate matter in ex-
  cess of SO mg/dscm (0.022 gr/dscf).
    (2)  Exit from * control device ana
  exhibit 10 percent opacity or greater.
  except that an opacity of greater than
  It) percent but less than 20 percent
  may occur once per steel production
  cycle.
  §•0.143  Monitoring of operations.
    (a) The owner or operator of tn af-
  fected facility shall maintain a single
  time-measuring   instrument   which
  shall  be used In recording daily the
  time and duration  of each steel pro-
  duction cycle, and the time and dura-
  tion of any diversion of exhaust gases
  from  the  main  stack  servicing the
  BOPP.
  (b) The owner or operator of any af-
fected facility that uses venturi scrub-
ber emission control equipment shall
install, calibrate, maintain,- and  con-
tinuously  operate monitoring devices
as follows:
  (DA monitoring device for the con-
tinuous measurement of the pressure
loss through the venturi constriction
of the control  equipment.  The moni-
toring device is to be certified by the
manufacturer to be  accurate  within
±250 Pa (±1 inch water).
  (2) A monitoring device for the con-
tinous  measurement  of  the  water
supply pressure to the control equip-
ment. The monitoring device is to be
certified by the manufacturer to be ac-
curate within ±5 percent of the design
water supply pressure. The monitoring
device's pressure sensor or pressure
tap must be located dose to the water
discharge  point. The  Administrator
may be consulted for approval of alter-
native  locations for  the  pressure
sensor or tap.
   (3) AU  monitoring  devices shall  be
synchronized each day with the time-
measuring  instrument used  under
paragraph  (a)  of  this section. The
chart recorder error directly after syn-
chronization shall not exceed 0.08 cm
(Mi. inch).
   (4) AU monitoring  devices shall use
chart recorders which are  operated at
a Vninimiim  chart speed of 3.8 cm/hr
(1.5 in/hr).                       !
   (5) All monitoring  devices are  to be
recalibreated annually, and at other
 times as the  Administrator may  re-
 quire, in accordance with the proce-
 duces under 5 60.13(bX3).
   (c) Any owner or operator subject to
  requirements  under paragraph  (b) of
  this section shall report for each  cal-
  endar  quarter all measurements over
  any three-hour period that  average
  more than 10 percent below the aver-
  age  levels maintained during the most
  recent  performance  test  conducted
  under § 60.8 in which the affected fa-
  cility demonstrated compliance with
  the  standard under §60.142(a)(l). The
  accuracy  of the respective measure-
  ments, not to exceed the  values speci-
  fied in paragraphs (bXl)  and (b)(2) of
  this section, may be taken into consid-
  eration when determining the mea-
  surement results that must be report-
  ed.
                                             References
                                               60,
                                               60,
                                               60,
                                               60,
                                               60.
2
7
8
11
13
                                                                                      Reference Method
                                                                                      Specifications  1
                                                    11-90

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 Subpart T—Standards of Performance for
   the Phosphate  Fertilizer Industry: Wet-
   Process Phosphoric Acid Plants
 §60.200  Applicability  and  deaignation
     of affected facility.

   (a) The affected facility to which the
 provisions of this subpart apply to each
 wet-process  phosphoric acid plant For
 the purpose  of this subpart, the affected
 facility  includes  «.ny combination  of:
 reactors, filters, evaporators, and hot-
 wens.
   (b) Any facility under paragraph  (a)
 of this  section that commences con-
 struction or  modification after October
 22, 1974, is subject to the requirements
 of *h*T subpart.
 {60.201  Definition*.
  As used in this subpart, all terms not
 defined herein shall  have the meaning
 given them in the Act and in Subpart A
 of this part.
  (a)   "Wet-process  phosphoric  acid
 plant" means any facility manufactur-
 ing  phosphoric  acid  by reacting phos-
 phate rock  and acid.
  (b) "Total fluorides" means elemental
 fluorine  and all  fluoride  compounds as
 measured by reference methods specified
 in J 60.204,  or equivalent or alternative
 methods.
  (c) "Equivalent P.O. feed" means tha
 quantity  of phosphorus,  expressed  as
 phosphorous pentoxide, fed to the proc-
| 60.203  Monitoring of operation*.
  (c) The owner or operator of any wet-
process phosphoric acid subject to the
provisions of this part shall install, cali-
brate, maintain, and operate a monitor-
ing device which continuously measures
and permanently records the total pres-
sure drop across the process  scrubbing
system. The monitoring device shall have
an  accuracy of ±5 percent over its op-
erating range.

(8ae. iu at tb« Ctoaa Air Act a*

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SubMrt U—Standards of Performance for
  the Phosphate Fertilizer Industry: Super-
  phosphoric Acid Plants
160.210  Applicability  aod de*ign«tion
     •f affected facility.

   (a)  The affected facility to which the
 provisions of this subpart apply is each
 superphosphoric acid  plant  For the
 purpose of this subpart,  the affected
 facility  includes  any combination of:
 evaporators, hotwells, acid sumps, and
 cooling tanks.
   (b)  Any faculty under paragraph (a)
 of this section that commences con-
 struction or modification after October
 22,  1974, is subject to the requirements
 of this subpart

 160.211  Definition*.
   As used in this subpart, all terms not
 denned herein shall have  the meaning
 given them in the Act and In Subpart A
 of this part.
   (a) "Superphosphoric   acid   plant"
 means any facility  which concentrates
 wet-process phosphoric acid  to  66 per-
 cent or greater PiOi content by weight
 for eventual consumption as a fertilizer.
   (b) 'Total  fluorides" means  elemen-
 tal fluorine and all  fluoride compounds
 as measured by reference methods spe-
 cified in 8 60.214, or equivalent or alter-
 native methods.
   (c) "Equivalent P.O. feed" means the
 quantity  of phosphorus,  expressed  as
 phosphorous  pentoxide,   fed   to   the
 process.
  | 60.21S   Monitoring of operation*.
    (c)  The  owner  or operator of any
  superphosphoric acid plant subject to the
  provisions of this part shall install, cali-
  brate, maintain, and operate a monitor-
  ing device which continuously measures
  and permanently records the total pres •
  sure drop across  the process scrubbing
  system. The monitoring device shall have
  an  accuracy  of ±  5  percent over  its
  operating range.

  (Sac. 114  Of th* a**a Air  Act M «tn«n
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Subpart V—Standards of Performance for
  the Phosphate Fertilizer Industry: Warn-
  monium Phosphate Plants
160.220  Applicability and
    of affected facility.
   (a) The affected facility to whteh toe
provisions of tills sutopart apply to each
granular dtammonium phosphate plant.
For the purpose of this subpart, the ef-
fected facility includes any  combination
of: reactors, granulators, dryers, coolers,
screens, and mills.
   (b) Any facility under paragraph (a)
of this section that commences construc-
tion or modification  after October 22.
1974. is subject to the requirements  of
this subpart.
160.221  Definitions.
  As used in this subpart, all terms not
denned herein shall have the  meaning
given them in the Act and in Subpart A
of this part.
   (a) "Granular  diammonium  phos-
phate plant" means any plant manu-
facturing granular diammonium phos-
phate by reacting phosphoric acid  with
ammonia.
   (b) "Total fluorides" means elemental
fluorine and all fluoride  compounds  as
measured by reference methods speci-
fied  in S 60.224, or equivalent  or alter-
native methods.
   (c) -Equivalent P,O6 feed" means the
 quantity of phosphorus, expressed  as
 phosphorous pentoxlde, fed  to the proc-
 | 60.223   Monitoring of operation*.

      *****

   (c) The owner  or  operator of any
 granular  diammonium phosphate plant
 subject to the provisions of this part shall
 install, calibrate, maintain, and operate
 a monitoring device which continuously
 measures and  permanently records  the
 total pressure drop across the scrubbing
 system. The monitoring device shall have
 an accuracy of ±5 percent over its  op-
 erating range.
 (B*c. 114 of th» Ctaan Air Act M
 (43 U8C. l»7c-«).).
                                                                               References:
                                                                                  60
                                                                                  60
                                                                                  60,
                                                                                  60.
2
7
8
11
                                                                                  60.13
                                                           11-93

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Subpart W—Standards of Parformanca for
  the Phosphate Fertilizer Industry: Triple
  Superphosphate Plants
160.230  Applicability  mmd
     of effected facility.
   (a>  The affected facility to which the
 provisions of this aubpart apply is each
 triple superphosphate plant. For the pur-
 pose of this subpart, the affected facility
 includes  any combination of:  mixers,
 curing belts (dens), reactors, granula-
 tors, dryers, cookers, screens, mills, and
 facilities which store run-of-pile triple
 superphosphate.
   (b)  Any facility under paragraph (a)
 of this section that commences construc-
 tion or modification after October 22,
 1974,  is subject to the requirements of
 this subpart
 160.231  Definition*.
   As used In this subpart, all terms not
 defined herein shall have the  meaning
 given them in the Act and In Subpart A
 of this part.
   (a)  "Triple  superphosphate  plant*
 means any facility manufacturing triple
 superphosphate by reacting phosphate
 rock with phosphoric acid. A run-of-pile
 triple  superphosphate  plant  Includes
 curing and storing.
    (b)  "Run-of-pile   triple   superphos-
 phate" means any triple superphosphate
 that has not been processed in a granu-
 lator  and is composed of  particles at
 least  25  percent by weight of  which
  (when not caked) will pass through a II
 mesh  screen.
    (c)  "Total  fluorides"  means   ele-
 mental fluorine  and all fluoride  com-
 pounds   as  measured  by  reference
 methods specified In 160.234, or
 lent or alternative methods.
  | 60.233  Monitoring of operation*.
     (c) The owner or operator of any triple
  superphosphate plant subject to the pro-
  visions of this part shall install, calibrate.
  maintain, and operate a monitoring  de-
  vice which continuously measures and
  permanently records the total pressure
  drop across the process scrubbing system.
  The monitoring device shall have an  ac-
  curacy of ±5 percent over its operating
  range.
   
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 Subpart X—Standards of Performance for
   the Phosphate Fertilizer Industry: Gran-
   ular Triple Superphosphate Storage Fa-
   cilities
 {60.240  Applicability and aWignation
     •f affected facility.

   (•)  The effected faculty to which the
 provisions of this subpart apply is each
 granular triple superphosphate storage
 facility. For the purpose of this subpart.
 the affected facility includes any combi-
 nation of: storage or curing piles, con-
 veyors, elevators, screens, and mills.
   (b)  Any facility under paragraph (a)
 of this section that commences construc-
 tion or modification after October  22,
 1974. is subject to the requirement* of
 this subpart.
 160.241   Definition*.
   As used in this subpart, all terms not
 defined herein  shall have the meaning
 given them in the Act and in Subpart A
 of this part.
   (a) "Granular  triple superphosphate
 storage facility" means any facility cur-
 tag or storing granular triple superphos-
 phate.
   (b)  "Total fluorides" means elemental
 fluorine and all fluoride compounds as
 measured by reference methods specified
 In { 60.244, or equivalent or alternative
 methods.
   (c) "Equivalent P.O* stored"  means
 the quantity of phosphorus, expressed as
 phosphorus pentoxide, being cured  or
 stored in the affected facility.
   (d) "Fresh granular triple superphos-
 phate" means granular triple superphos-
 phate produced no more than 10 days
 prior to the date of the performance test
§ 60.243  Monitoring of operation*.
   (c) The owner or  operator  of any
granular  triple  superphosphate storage
facility subject to the  provisions of this
part  shall install, calibrate,  maintain,
and operate a monitoring device which
continuously measures and permanently
records the total pressure drop across the
process scrubbing sytem. The monitoring
device shall have an accuracy of ±5 per-
cent over Its operating range.
 (Sac. 114 or th« ci«aa Air Act M
 (49 U.8C. 185TC-*).).
                                                                               References:
                                                                                  60.2
                                                                                  60.7
                                                                                  60.8
                                                                                  60.11
                                                                                  60.13
                                                          11-95

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 gubpsrt Y—Standards of Performance tor
         Coal Preparation Plants
(1*0.250  Applicability and dMicaation
    of affected facility.

   
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Subpart GG—Standards of
Performance for Stationary Gas
Turbines

§60.330 Applicability and designation of
affected facility.
  The provisions of this subpart are
applicable to the following affected
facilities: all stationary gas turbines
with a heat input at peak load equal to
or greater than 10.7 gigajoules per hour,
based on the lower heating value of the
fuel Bred.

§ 60.331 Definitions.
  As used in this subpart, all terms not
defined herein shall have the meaning
given them in the Act and in subpart A
of this part.
  (a) "Stationary gas turbine" means
any simple cycle gas turbine,
regenerative cycle gas turbine or any
gas turbine portion of a combined cycle
steam/electric generating system that is
not self propelled. It may, however, be
mounted on a vehicle for portability.
  (b) "Simple cycle gas turbine" means
any stationary gas turbine which does
not recover heat from the gas turbine
exhaust gases to preheat the inlet
combustion air to the gas turbine, or
which does not recover heat from the
gas turbine exhaust gases to heat water
or generate steam.
  (c)."Regenerative cycle gas turbine"
means any stationary gas turbine which
recovers heat from the gas turbine
                                               11-97

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exhaust gases to preheat the inlet
combustion air to the gas turbine. ^
  (d'i "Combined cycle gas turbine
means any stationary gas turbine which
recovers heat from the gas turbine
exhaust gases to heat water or generate
steam.
  (e) "Emergency gas turbine' means
any stationary ges turbine which
operates as a mechanical or electrical
power source only when the primary
power source for a facility has been
rendered inoperable by an emergency
situation.
   (f) "Ice fog" means an atmospheric
 suspension of highly reflective ice
 crystals.                  •      t
   (g) "ISO standard day conditions
 means 288 degrees Kelvin, 60 percent
 relative humidity and 101.3 kilopascals
 pressure.
   (h) "Efficiency" means the gas turbine
 manufacturer's rated heat rate at peak
 load in terms of heat input per unit of
 power output based on the lower
 heating value of the fuel.
   (i) "Peak load" means 100 percent of
 the manufacturer's design capacity of
 the gas turbine at ISO standard day
 conditions.
   fj) "Base load" means the load level at
 which a gas turbine is normally
 operated.
    (k) "Fire-fighting turbine" means any
 stationary gas turbine  that is used solely
 to pump water for extinguishing fires.
    (1) "Turbines employed in oil/gas ^
 production or oil/gas transportation"
  means any stationary gas turbine used
  to provide power to extract crude oil/
  natural gas from the earth or to move
  crude oil/natural gas.  or products
  refined from these substances through
  pipelines.
    (m) A "Metropolitan Statistical Area"
  or "MSA" as defined by the Department
  of Commerce
    (n) "Offshore platform gas turbines"
  means any stationary gas turbine
  located on a platform  in an ocean.
    (o) "Garrison facility" means any
  permanent military installation.
    (p) "Gas turbine model" means a
  group of gas turbines having the same
  nominal air flow, combuster inlet
  pressure, combuster inlet temperature,
  firing temperature, turbine inlet
  temperature and turbine inlet pressure.
  §60.332  Standard for nitrogen oxides.
    (a) On and after the date on which the
  performance test required by § 60.6 >a
  completed, every owner or operator
  subject to the provisions of this subpart,
  as specified in paragraphs (b), (c), and
  (d) of this section, shall comply with one
  of the following, except as provided in
  paragraphs (e), (f). (g). PO. and (i) of this
  section.
  (1) Xo owner or operator subject to
ihe provisions of this subpart shall
cause to be discharged into the
atmosphere from any stationary gas
turbine, any gdseb which contain
nitrogen oxides in excess of:
STD -  0.0075
                  (14.4)
                  — —
                           + F
                          32
 where:
 STD= allowable NOx emissions (percent by
    voliime at 15 percent oxygen and on a
    dry basis).
 Y = manufacturer's rated heat rate at
    manufdcturer's rated load (kilojoules per
    wett hour) or, actual measured heat rate
    based on lower heating value of fuel as
    measured at actual peak load for the
    facility. The value of Y shall not exceed
    14.4 kilojoules per watt hour.
 F=NO, emission allowance for fuel-bound
    nitrogen as  defined in part (3) of this
    paragraph.
   (2) No owner or operator subject to the
 provisions of this subpart shall cause to be
 discharged into  the atmosphere from any
 stationary gas turbine, any gases which
 con'ain nitrogen oxides in excess of:
 STD = 0.0150  (-)  +  F
  where:
  STD=al!owable NO. emissions (percent by
     volume at 15 percent oxygen and on a
     dry basis).
  Y=manuf8cturer's rated heat rate at
     manufacturer's rated peak load
     (kilojoules per watt hour), or actual
     measured heat rate based on lower
     heating value of fuel as measured at
     actual peak load for the facility. The
     value of Y shall not exceed 14.4
     kilojoules per watt hour.
  F=NO, emission allowance for fuel-bound
     nitrogen as defined in part (3) of this
     paragraph.
    (3) F shall be defined according to the
  nitrogen content of the fuel as follows:
  Fuel-Bound Nitrogen
   jjerger.t by weight)
                        percent by volume)

                            0

                              0.04(N)

                        0.004 + 0.0067(N-0.1)

                              0.005
  where:
  N=the nitrogen content of the fuel (percent
      by weight).
  on
    Manufacturers may develop custom
  fuel-bound nitrogen allowances for each
gas turbine model they manufacture.
These fuel-bound nitrogen allowances
shall be substantiated with data and
must be appnned for use by the
Administrator before the initial
performance test required by §  00.8.
Notices of approval of custom fuel-
bound nitrogen allowances will be
published in the Federal Register.
   (b) Stationary gas turbircs with  a heat
input at peak load ;;riMlei i'um 107.2
gigajoules per hour (101) ir.iliion Bin/
hour) based on the lov>er heanr.!1 wlue
ot the fuel hred e>.^p; ^ \:-''-'- '^ ::'
 § G0.332(d) shall comply with the
provisions of §fa0.332(a)i 1 ]
   (c) Stationary gas tuibiinis with  a heat
 input at peak load equal to or gieater
 than 10.7 gigajoules per hour (10 million
 Btu/hour) but less then or equal to 107.2
 gigajoules per hour (100 million Btu/
 hour) based on the lower heating value
 of the fuel fired, bhall comply with the
 provisions of § 60.332(a |(2).
   (d)  Stationary gas tuibines employed
 in oil/gas production  or oil/gas
 transportation and not located in
 Metropolitan Statistical Areas; and
 offshore platform turbines shall comply
 with the provisions of | 60.332{a)(2).
    (e) Stationary gas turbines with a heat
 input at peak load equal to or greater
 than 10.7 gigajoules pel hour (10 million
 Btu/hour) but less limn or tqual to 107.2
  gigajoules per hour (100 million Htu/
  hour) based on the Umi-r heating value
  of the fuel fired and that luive
  commenced construction prior to
  October 3,1982 are exempt fiom
  paragraph (a) of this  section.
    (f) Stationary gas turbine s usirip, water
  or steam injection for control of NO,
  emissions are exempt from paragraph
  (a) when ice fog is deemed a traffic
  hazard by the owner or opcr&li.r o. the
  gas turbine.
    (g) Emergency gas turbines, military
  gas turbines for use in other than a
  garrison facility, military gas turbines
  installed for use as military training
  facilities, and fire fighting gas turbines
  are exempt from paragraph (a) of this
  section.
    (h) Stationary gas  turbines engaged by
  manufacturers in research and
   development of equipment for both gas
   turbine emission control techniques and
   gas turbine efficiency improvements are
   exempt from paragraph (a) on a  case-by-
   case basis as determined by  the
   Administrator.
    (i) Exemptions from the requirements
   of paragraph (a) of this section will be
   granted on a case-by-case basis  as
   determined by die Administrator in
   specific geographical areas where
   mandatory water restrictions are
   required by governmental agencies
   because of drought conditions. These
                                                          11-98

-------
  exemptions will be allowed only while
  the mandatory water restrictions are in
  effect.

  § 60.333  Standard for sulfur dioxide.
    On and after the date on which the
  performance test required to be
  conducted by § 60.8 is completed, every
  owner or operator subject to the
  provision of this subpart shall comply
  with one or the other of the following
  conditions:
    (a) No owner or operator subject to
  the provisions of this subpart shall
  cause to be discharged into the
  atmosphere from any stationary gas
  turbine any gases which contain sulfur
  dioxide in excess of 0.015 percent by
  volume at 15 percent oxygen and on a
  dry basis.
    (b) No owner or operator subject to
  the provisions of this subpart shall burn
  in any stationary gas turbine any fuel
  which contains sulfur in excess  of 0.8
  percent by weight.

  § 60.334  Moriitoiing of operations.
    (a) The owner or operator of any
  stationary gas turbine subject to the
  provisions of this subpart and using
  water injection to control NO, emissions
  shall install and operate a continuous
  monitoring system to monitor and record
  the fuel consumption and the ratio of
  water to fuel being fired in the turbine.
  This system shad be accurate to within
  ±5.0 percent and shall  be approved by
  the Administrator.
   (b) The owner or operator of any
  stationary gas turbine subject to the
'  provisions of this subpart shall monitor
  sulfur content and nitrogen content of
  the fuel being fired in the turbine. The
  frequency of determination of these
 values shall be as follows:
   (1) If the turbine is supplied its fuel
 from a bulk storage tank, the values
 shall be determined on each occasion
 that fuel is transferred to the storage
 tank from any other source.
   (2J If the turbine is supplied its fuel
 without intermediate  bulk storage the
 values shall b« determined and recorded
 daily. Owners, operators or fuel  vendors
 may develop custom schedules for
 determination  of ihe values based on the
 design and  operation  of the affected
 facility and the characteristics of the
 fuel supply. These custom schedules
 shall be substantiated with data  and
 must be approved by the Administrator
 betore they can be used to comply with
 paragraph (b) of this section.
  (c) For the purpose of  reports required
 under § 60.7(c), periods of excess
 emissions that  shall be reported are
defined as follows:
  (1) Nitrogen oxides. Any one-hour
period during which the  average  water-
  to-fuel ratio, as measured by the
  continuous monitoring system, falls
  below the water-tq-fuel ratio determined
  to demonstrate compliance with § 60.332
  by the performance test required in
  § 60.8 or any period during which the
  fuel-bound nitrogen of the fuel is greater
  than the maximum nitrogen content
  allowed by the fuel-bound nitrogen
  allowance used during the performance
  test required in § 60.8. Each report shall
  include the average water-to-fuel ratio,
  average fuel consumption, ambient
  conditions, gas turbine load, and
  nitrogen content of the fuel during the
  period of excess emissions, and the
  graphs or figures developed under
  § 60.335(a).
    (2) Sulfur dioxide. Any daily period
  during which the sulfur content of the
  fuel being fired in the gas turbine
  exceeds 0.8 percent.
    (3) Ice fog. Each period during which
  an exemption provided in § 60.332(g) is
  in effect shall be reported in writing to
  the Administrator quarterly. For each
  period the ambient conditions existing
  during the period, the date and time the
                       P
                  air pollution control system was
                  deactivated, and the date and time the
                  air pollution control system was
                  reactivated shall be reported. All
                  quarterly reports shall be postmarked by
                  the 30th day following the end of each
                  calendar quarter.
                  (Sec. 114 of the Clean Air Act as amended [42
                  U.S.C. 1857C-9]).

                  § 60.335 Test methods and procedures.
                    (a) The reference methods in
                  Appendix A to this part, except as
                  provided in § 60.8(b). shall be used to
                  determine compliance with the
                  standards prescribed in § 60.332 as
                  follows:
                    (1) Reference Method 20 for the
                  concentration of nitrogen oxides and
                  oxygen. For affected facilities under this
                  subpart, the span value shall be 300
                  parts per million of nitrogen oxides.
                    (i) The nitrogen oxides emission level
                  measured by Reference Method 20 shall
                  be adjusted to ISO  standard day
                  conditions by the following ambient
                  condition correction factor
  NO   =  (N0y    )
    x        xobs
 ref\0.5
p -  ;
 obs
e"(H      -  0.00633)
                                                               'AMB  j.53
 where:
 NO. Demissions of NO, at 15 percent oxygen
     and ISO standard ambient conditions.
 NO,obi=measured NO, emissions at 15
     percent oxygen, ppmv.
 Pref=reference combuster inlet absolute
     pressure at 101.3 kilopascals ambient
     pressure.
 Pob,=measured combustor inlet absolute
     pressure at test ambient pressure.
 Hob.=specific humidity of ambient air at test
 e = transcendental constant (2.718).
 TAM8= temperature of ambient air at test.
   The adjusted NO. emission level shall
 be used to determine compliance with
 § 60.332.
   (ii) Manufacturers may develop
" custom ambient condition correction
 factors for each gas turbine model they
 manufacture in terms of combustor inlet
 pressure, ambient air pressure, ambient
 air humidity and ambient air
 temperature to adjust the nitrogen
 oxides emission level measured by the
 performance test as provided for in
 § GO.8 to ISO standard day conditions.
 These ambient condition correction
 factors shall be substantiated with data
 and must be approved for use by the
 Administrator before the initial
 performance test required by § 60.8.
 Notices of approval of custom ambient
 condition correction factors will be
 published in the Federal Register.
   (iii) The water-to-fuel ratio necessary
 to comply with § 60.332 will be
 determined during the initial
 performance test by measuring NO,
 emission using Reference Method 20 and
      obs
                  the water-to-fuel ratio necessary to
                  comply with § 60.332 at 30,50, 75. and
                  100 percent of peak load or at four
                  points in the normal operating range of
                  the gas turbine, including the minimum
                  point in the range and peak load. All
                  loads shall be corrected to ISO
                  conditions using  the appropriate
                  equations supplied by the manufacturer.
                    (2) The analytical methods and
                  procedures employed to determine the
                  nitrogen content  of the fuel being Fired
                  shall be approved by the Administrator
                  and shall be accurate to within ±5
                  percent.
                    (b) The method for determining
                  compliance with  § 60.333, except as
                  provided in § 60.8(b). shall be as
                  follows:
                    (1) Reference Method 20 for the
                  concentration of  sulfur dioxide and
                  oxygen or
                    (2) ASTM D2880-71 for the sulfur
                  content of  liquid  fuels and ASTM
                  D1072-70 for the  su'.fur content of
                  gaseous fuels. These methods shall also
                  be used  to comply with § 60.334(b>.
                    (c) Analysis for the purpose of
                  determining the sulfur content and the
                  nitrogen content of the fuel as required
                  by § 60.334(b). this subpart. may be
                  performed  by the owner/operator, a
                  service contractor retained by the
                  owner/operator,  the fuel vendor, or any
                  other qualified agency provided that the
                  analytical methods employed by these
                  agencies comply  with the applicable
                  paragraphs of this section.
                                                     11-99

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NSPS REGULATIONS - PROPOSED
          11-100

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ENVIRONMENTAL PROTECTION
AGENCY

40 CFR Part 60

IFRL 1276-4)

Standards of Performance for New
Stationary Sources; Continuous
Monitoring Performance
Specifications
AGENCY: Environmental Protection
Agency (EPA).
ACTION: Proposed Revisions.	

SUMMARY: On October 6,1975 (40 FR
46250). the EPA promulgated revisions to
40 CFR Part 60. Standards of
Performance for New Stationary
Sources, to establish specific
requirements pertaining to continuous
emission monitoring. An appendix to  the
regulation contained Performance
Specifications 1  through 3. which
detailed the continuous monitoring
instrument performance and equipment
specifications, installation requirements.
and test and data computation
procedures for evaluating the
acceptability of continuous monitoring
systems. Since the promulgation of these
performance specifications, the need for
a number of changes which would
clarify the specification test procedures.
equipment specifications, and
monitoring system installation
requirements has become apparent. The
purpose of the revisions is to
incorporate these changes into
Performance Specifications 1 through 3.
  The proposed revisions would apply
to all monitoring systems currently
subject to performance specifications 1.
2. or 3, including sources subject to
Appendix P to 40 CFR Part 51.
DATES: Comments must be received on
or before December 10.1979.
ADDRESSES: Comments. Comments
should be submitted (in duplicate if
possible) to the Central Docket Section
(A-130). Attn: Docket No. OAQPS-79-4.
U.S. Environmental Protection Agency.
401 M Street. S.W.. Washington. D.C.
20400.
  Docket. Docket No. OAQPS-79-4,
containing material relevant to this
rulemaking. is located in the U.S.
Environmental Protection Agency.
Central Docket Section. Room  2903B. 401
M Street. S.W.. Washington. D.C. The
docket may be inspected between 8
A.M. and 4 P.M. on weekdays, and a
reasonable fee may be charged for
copying.
FOR FURTHER INFORMATION CONTACT:
Don R. Goodwin. Director. Emission
Standards and Engineering Division
(MD-13). Environmental Protection
Agency. Research Triangle Park. North
Carolina  27711. telephone number (919)
541-5271.
SUPPLEMENTARY INFORMATION: Changes
common  to all three of the performance
specifications are the clarification of the
procedures and equipment
specifications, especially the
requirement for intalling the continuous
monitoring sample interface and of the
calculation procedure for relative
accuracy. Specific changes to the
specifications are as follows:

Performance Specification
  1. The optical design specification for
mean and peak spectral responses and
for the angle of view and projection
have been changed from "500 to 600 nm"
range to "515 to 585  nm" range and from
•'5'" to "3"'. respectively.
  2. The following equipment
specifications have been added:
  a. Optical alignment sight indicator
for readily checking alignment.
  b. For instruments having automatic
compensation for dirt accumulation on
exposed optical surfaces, a
compensation indicator at the control
panel so that the permissible maximum
4 percent compensation can be
determined.
  c. Easy access to exposed optical
surfaces for cleaning and maintenance.
  d. A system for checking zero and
upscale calibration (previously required
in paragraph 60.13).
  e. For systems with slotted tubes, a
slotted portion greater than 90 percent of
effluent pathlength (shorter slots are
permitted if shown to be equivalent).
  f. An equipment specification for the
monitoring system data recorder
resolution of <5 percent of full scale.
  3. A procedure for determining the
acceptability of the  optical alignment
sight has been specified: the optical
alignment sight must be capable of
indicating that the instrument is
misaligned when an error of ±2 percent
opacity is caused by misalignment of the
instrument at a pathlength of 8 meters.
  4. Procedures for calibrating the
attenuators used during instrument
calibrations have been added; these
procedures require the use of a
laboratory spectrophotometer operating
in the 400-700 nm range  with a detector
angle view of <10 degrees and an
accuracy of 1 percent.
  5. The  following changes have been
made to the procedures for the
operational test period:
  a. The requirement for an analog strip
chart recorder during the performance
tests has been deleted: all data are
collected on the monitoring system data
recorder.
  b. Adjustment of the zero and sp.in at
24-hour intervals during the drift K>sls is
optional: adjustments are required only
when the accumulated drift exceeds the
24-hour drift specification.
  c. The amount of automatic zero
compensation for dirt accumulation
must be determined during the 24-hour
zero check so that the actual zero drift
can be quantified. The automatic zero
compensation system must be operated
during the performance test.
  d. The requirement for offsetting the
data recorder zero during the
operational test period has been deleted.
  e. Off the slack "zero alignment" of
the instrument prior to installation is
permitted.
Performance Specification 2

  1. "Continuous monitoring system"
has been redefined to include the
diluent monitor,  if applicable. The
change requires  that the relative
accuracy of the system be determined in
terms of the emission standard, e.g..
mass per unit calorific value for fossil-
fuel fired steam generators.
  2. The applicability of the lest
procedures excludes single-pass, in-situ
continuous monitoring systems. The
procedures for determining the
acceptability of these systems are
evaluated on a case-by-case basis.
  3. For extractive systems with diluent
monitors, the pollutant and diluent
monitors are required to use the same
sample interface.
  4. The procedure for determining the
acceptability of  the calibration gases
has been revised, and the 20 percent
(with 95 percent confidence interval)
criterion has been changed to 5 percent
of mean value with no single value being
over 10 percent from the mean.
  5. For low concentrations, a 10 percent
of the applicable standard limitation for
the relative accuracy has been added.
  6. An equipment specification for  the
system data recorder requiring that the
chart scale be readable to within <0.50
percent of full-scale has been added.
  7. Instead of spanning the instrument
at 90 percent of full-scale, a mid-level
span is required.
  8. The response time test procedure
has been revised and the difference
limitation between the up-scale and
down-scale time has been deleted.
  9. The relative accuracy test
procedure  has been revised to allow
different tests (e.g.. pollutant, diluent.
moisture) during a 1-hour period to be
correlated.
   10. A low-level drift may be
substituted for the zero drift test.
                                                 11-101

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Performance Specification 3
  1. The applicability of the test
procedures has been limited to those
monitors that introduce calibration
gases directly into the analyzer and are
used as diluent monitors. Alternative
procedures for other types of monitors
are evaluated on a case-by-case basis.
  2. Other changes were made to be
consistent with the revisions under
Performance Specification 2.
  The proposed revised performance
specifications would apply to all sources
subject to Performance Specifications 1,
2, or 3. These include sources subject to
standards of performance that have
already been promulgated and sources
subject to Appendix-P to 40 CFR Part 51.
Since the purpose of these revisions is to
clarify the performance specifications
which were promulgated on October 6,
1975. not to establish more stringent
requirements, it is reasonable to
conclude that most continuous
monitoring instruments which  met and
can continue to meet the October 6.
1975. specifications can also meet the
revised specifications.
  Under Executive Order 12044. the
Environmental Protection Agency is
required to judge whether a regulation is
"significant" and therefore subject to the
procedural requirements of the Order or
whether it may follow other specialized
development procedures. EPA labels
these other regulations "specialized". I
have reviewed this regulation and
determined that it is a specialized
regulation not subject to the procedural
requirements of Executive Order 12044.
  Dated: October 1.1979.
Douglas M. Costle,
Administrator.
  It is proposed to revise Appendix B,
Part  60 of Chapter 1, Title 40 of the Code
of Federal Regulations as follows:
Appendix B—Performance
Specifications
Performance Specification 1—
Specifications and Test Procedures For
Opacity Continuous Monitoring Systems
in Stationary Sources

1. Applicability and Principle
  1.1   Applicability. This Specification
contains instrument design.
performance, and installation
requirements, and test and data
computation procedures for evaluating
the acceptability of continuous
monitoring systems for opacity. Certain
design requirements and test procedures
established in the Specification may not
be applicable to all instrument designs:
equivalent systems and test procedures
may  be used with prior approval by  the
Administrator.
   1.2  Principle. The opacity of
 participate matter in stack emissions is
 continuously monitored by a
 measurement system based upon the
 principle of transmissometry. Light
 having specific spectral characteristics
 is projected from a lamp through the
 effluent in the stack or duct and the
 intensity of the projected light is
 measured by a sensor. The projected
 light is attenuated due to absorption and
 scatter by  the particulate matter in the
 effluent; the percentage of visible light
 attenuated is defined as the opacity of
 the emission. Transparent stack
 emissions  that do not attenuate light will
 have a transmittance of 100 percent or
 an opacity of zero percent. Opaque
 stack emissions that attenuate all of the
 visible light will have a transmittance of
 zero percent or an opacity of 100
 percent.
   This specification establishes specific
 design criteria for the transmissometer
 system. Any opacity continuous '
.monitoring system that is expected to
 meet this specification is first checked to
 verify that the design specifications are
 met. Then, the opacity continuous
 monitoring system is calibrated.
 installed, an operated for a specified
 length of time. During this specified time
 period, the system is evaluated to
 determine  conformance with the
 established performance specifications.

 2. Definitions
   2.1  Continuous Monitoring System.
 The total equipment required for the
 determination of opacity. The system
 consists of the following major
 subsystems:
  ,2.1.1   Sample Interface. That portion
 of the system that protects the analyzer
 from the effects of the stack effluent and
 aids in keeping the optical surfaces
 clean.
   2.1.2  Analyzer. That portion of the
 system that senses the pollutant and
 generates a signal oirtput that is a
 function of the opacity.
   2.1.3   Data Recorder. That portion of
 the system that processes the analyzer
 output and provides a permanent record
 of the output signal in terms of opacity.
 The data recorder may include
 automatic data reduction capabilities.
   2.2  Transmissometer. That portion of
 the system that includes the sample
 interface and the analyzer.
  2.3  Transmittance. The fraction of
 incident light that is transmitted through
 an optical medium.
  2.4  Opacity. The fraction of incident
 light that is attenuated by an optical
 medium. Opacity (Op) and
 transmittance (Tr) are related by:
 Op = l-Tr.
  2.5  Optical Density. A logarithmic
measure of the amount of incident light
attenuated. Optical density (D) is
related to the transmittance and opacit
as follows:
D=-log,. Tr=-log,. (1-Op).
  2.6  Peak Spectral Response. The
wavelength of maximum sensitivity of
the transmissometer.
  2.7  Mean Spectral Response. The
wavelength which bisects the total are
under the effective spectral response
curve of the transmissometer.
  2.8  Angle of View. The angle that
contains all of the radiation detected b
the photodetector assembly of the
analyzer at a level greater than 2.5
percent of the peak detector response.
  2.9  Angle of Projection. The angle
that contains all of the radiation
projected from the lamp assembly of tl
analyzer at a level of greater than 2.5
percent of the peak illuminace.
  2.10  Span Value. The opacity value
at which the continuous monitoring
system is set to produce the maximum
data display output as specified in the
applicable subpart.
  2.11  Upscale Calibration Value. Th
opacity value at  which a calibration
check of the monitoring system is
performed by simulating an upscale
opacity condition as viewed by the
receiver.
  2.12  Calibration Error. The
difference between the opacity values
indicated by  the continuous monitorin
system and the known values of a sen
of calibration attenuators (filters or
screens).
  2.13  Zero Drift. The difference in
continuous monitoring system  output
readings before and after a stated peri
of normal continuous operation durinf
which no unscheduled maintenance,
repair, or adjustment took place and
when the opacity (simulated) at the tir
of the measurements was zero.
  2.14  CaJibralion Drift. The differen
in the continuous monitoring system
output readings'before and after a sta
period of normal continuous operation
during which no unscheduled
maintenance, repair, or adjustment to<
place and when the opacity (simulatet
at the time of the measurements was t
same known  upscale calibration valut
  2.15 Response Time. The amount c
time it takes the continuous monitorin
system to display on the data recordei
95 percent of a step change in opacity.
  2.16  Conditioning Period. A perioc
time (168 hours minimum) during whic
the continuous monitoring system is
operated without unscheduled
maintenance, repair, or adjustment pr
to initiation of the operational  test
period.
                                                  11-102

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     2.17  Operational Test Period. A
   period of lime (168 hours) during which
   the continuous monitoring system is
   expected to operate within the
   established performance specifications
   without any unscheduled maintenance,
   repair, or adjustment.
     2.18  Pathlength. The depth of
   effluent in the light beam between the
   receiver and the transmitter of a single-
   pass transmissometer, or the depth of
   effluent between the transceiver and
   reflector of a double-pass
   transmissometer. Two pathlengths are
   referenced by this Specification as
   follows:
    2.iai  Monitor Pathlength. The
  pathlength at the installed location of
  the continuous monitoring system.
    2.18.2  Emission Outlet Pathlength.
  The pathlength at the location where
  emissions are  released to the
  atmosphere.

  3. Apparatus
    3.1  Continuous Monitoring System.
  Use any continuous monitoring system
  for opacity which is expected to meet
  the design specifications in Section 5
  and the performance specifications in
  Section 7. The  data recorder may be an
  analog strip chart recorder type or other
  suitable device with an input signal
  range compatible with the analyzer
  output.
   3.2   Calibration Attenuators. Use
  optical filters with neutral spectral
  characteristics or screens known to
  prbduce specified optical densities to
  visible light. The attenuators must  be of
  sufficient size to attenuate the entire
  light beam of the transmissomeler.
 Select and calibrate a minimum of three
 attenuators according to the procedures
 in Sections 8.1.2. and 8.1.3.
   3.3  Upscale Calibration Value
 Attenuator. Use an optical filter with
 neutral spectral characteristics, a
 screen, or other device that produces an
 opacity value (corrected for pathlength,
 if necessary) that is greater than the sum
 of the applicable opacity standard  and
 one-fourth of the difference between the
 opacity standard and the instrument
 span value, but  less than the sum of the
 opacity standard and one-half of the
 difference between the opacity standard
 and the instrument span value.
   3.4  Calibration Spectrophotometer.
 To calibrate the calibration attenuators
 use a laboratory Spectrophotometer
 meeting the following minimum design
 specification:

        Pw»«ne!flr           Speof«=»hon
W»,tl»ngth l
. 400-700 ran
. S10-
.SOS pel
   4. Installation Specifications

     Install the continuous monitoring
   system where the opacity measurements
   are representative of the total emissions
   from the affected facility. Use a
   measurement path that represents the
   average opacity over the cross section.
   Those requirements can be met as
   follows:
    4.1  Measurement Location. Select a
   measurement location that is (a)
   downstream from all particulate control
   equipment; (b) where condensed water
   vapor is not present: (c) accessible in
   order to permit routine maintenance;
   and (d) free of interference from.
   ambient light (applicable only if
   transmissometer is responsive to
  ambient light).
    4.2   Measurement Path. Select a
  measurement path that passes through
  the centroid of the cross section.
  Additional requirements or
  modifications must be met for certain
  locations as follows:
    4.2.1  If the location is in a straight
  vertical section of stack or duct and is
  less than 4 equivalent diameters
  downstream or 1 equivalent diameter
  upstream from a bend, use a path that is
  in the plane defined by the bend.
    4.2.2   If the location is in a vertical
  section of stack or duct and is less than
  4 diameters downstream and 1 diameter
  upstream from a bend, use a path in the
  plane defined by the bend upstream of
  the transmissometer.
   4.2.3   If the location is in a horizontal
 section of duct and is at least 4
 diameters downstream from a vertical
 bend, use a path in the horizontal plane
 that is one-third the distance up the
 vertical axis from the bottom of the duct.
   4.2.4  If the location is in a  horizontal
 section of duct and is less than 4
 diameters downstream from a vertical
 bend, use a path in the horizontal plane
 that is two-thirds the distance up the
 vertical axis from the bottom of the duct
 for upward flow in the vertical section,
 and one-third the distance up the
 vertical axis from, the bottom of the duct
 for downward flow.
   4.3  Alternate Locations and
 Measurement Paths. Other locations and
 measurement paths may be selected by
 demonstrating to the Administrator that
 the average opacity measured at the
 alternate location or path is equivalent
 (± 10 percent) to the opacity as
 measured at a location meeting the
 criteria of Sections 4.1 and 4.2. To
 conduct this demonstration, measure the
 opacities  at the two locations or paths
 for a minimum period of two hours.  The
opacities of the two locations or paths
may be measured at different times, but
   must be measured at the same process
   operating conditions.

   5. Design Specifications
    Continuous monitoring systems for
   opacity must comply with the following
   design specifications:
    5.1  Optics.
    5.1.1  Spectral Response. The peak
   and mean spectral responses will occur
   between 515 nm and 585 nm. The
   response at any wavelength below 400
   nm or above 700 nm will be less  than 10
  percent of the peak spectral response.
    5.1.2  Angle of View. The total angle
  of view will be no greater than 4
  degrees.
    5.1.3  Angle of Projection. The total
  angle of projection will be no greater
  than 4 degrees.
    5.2  Optical Alignment sight. Each
  analyzer will provide some  method for
  visually determining that the instrument
  is optically aligned. The system
  provided will be capable  of indicating
  that the unit is misaligned when an error
  of ± 2 percent opacity occurs due to
  misalignment at a monitor pathlength of
  eight (8) meters.
   5.3  Simulated Zero and Upscale
  Calibration System. Each analyzer will
  include a system for simulating a zero
  opacity and an upscale opacity value for
  the purpose of performing periodic
  checks of the transmissometer
  calibration while on an operating stack
  or duct. This calibration system will
 provide, as a minimum, a system check
 of the analyzer internal optics and all
 electronic circuitry including the lamp
 and photodetector assembly.
   5.4   Access to External Optics. Each
 analyzer will provide a means of access
 to the optical surfaces exposed to the
 effluent stream in order to permit  the
 surfaces  to be cleaned without requiring
 removal of the unit from the  source
 mounting or without requiring optical
 realignment  of the unit.
   5.5   Automatic Zero Compensation
 Indicator. If the monitoring system has a
 feature which provides automatic zero
 compensation for dirt accumulation on
 exposed optical surfaces, the system
 will also provide some means of
 indicating that a compensation of
 4 ± 0.5 percent opacity has been
 exceeded: this indicator shall be at a
 location accessible to the operator (e.g..
 the data output terminal). During the
operational test period, the system must
provide some means for determining the
actual amount of zero compensation at
the specified 24-hour intervals so that
the actual 24-hour zero drift can be
determined (see Section 8.4.1).
  5.6   Slotted Tube. For
transmissomelers that use slotted tubes,
the length of the slotted porlion(s)  must
                                                   11-103

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 be equal to or greater than 90 percent of
 the monitor pathlength. and the slotted
 tube must be of sufficient size and
 orientation so as not to interfere with
 the free flow of effluent through the
 entire optical volume of the
 transmissometer photodetector. The
 manufacturer must also show that the
 transmissometer uses appropriate
 methods to minimize light reflections; as
 a minimum, this demonstration shall
 consist of laboratory operation of the
 transmissometer both with and without
 the slotted tube in position. Should the
 operator desire to use a slotted tube
 design with a slotted portion equal to
 less than 90 percent of the monitor
 pathlength. the operator must
 demonstrate to the Administrator that
 acceptable results can be obtained. As a
 minimum demonstration, the effluent
 opacity shall be measured using both
 the  slotted tube instrument and another
 instrument meeting the requirement of
 this specification but not of the slotted
 tube design. The measurements must be
 made at the same location and at the
 same process operating conditions for a'
 minimum period of two hours with each
 instrument. The shorter slotted tube may
 be used if the average opacity measured
 is equivalent (± 10 percent) to the
 opacity measured by the non-slotted
 tube design.
 6. Optical Design Specifications
 Verifciation Procedure.
   These procedures will not be
 applicable to all designs and will require
 modification in some cases; all
 modifications are subject to the
 approval of the Administrator.
   Test each analyzer for conformance
 with the design specifications of
 Sections 5.1 and 5.2 or obtain a
 certificate of conformance from the
 analyzer manufacturer as follows:
  6.1 Spectral Response. Obtain
 detector response, lamp emissivity and
 filter transmittance data for the
 components used in the measurement
 system from their respective
 manufacturers.
  6.2 Angle of View. Set up the
 receiver as specified by the
 manufacturer's written instructions.
 Draw an arc with radius of 3 meters in
 the horizontal direction. Using a small
 (less than 3 centimeters) non-directional
 light source, measure the receiver
 response at 4  entimeter intervals on the
 arc for 24 centimeters on either side of
 the detector centerline. Repeat the test
 in the vertical direction.
  6.3  Angle of Projection. Set up the
projector as specific J L-y the
'lanuf.-cU're.'1; written in  '-unions.
Draw m arc with radii, -   f 3 rnelers in
the horizontal direction. Using a small
  (less than 3 centimeters) photoelectric
  light detector, measure the light
  intensity at 4-centimeter intervals on the
  arc for 24 centimeters on either side of
  the light source centerline of projection.
  Repeat the test in the vertical direction.

    6.4  Optical Alignment Sight. In the
  laboratory set up the instrument as
  specified by the manufacturers written
  instructions for a monitor pathlength of
  8 meters. Assure that the instrument has
  been properly aligned and that a proper
  zero and span have been obtained.
  Insert an  attenuator of 10 percent
  (nominal) opacity into the instrument
  pathlength. Slowly misalign the
  projector unit until a positive or negative
  shift of two percent opacity is obtained
  by the data recorder. Then, following
  the manufacturer's written instructions.
  check the alignment and assure that the
  alignment procedure does in fact
  indicate that the instrument is
  misaligned. Realign the instrument and
  follow the same procedure for checking
  misalignment of the receiver or
  retroreflector unit

   6.5  Manufacturer's Certificate of
  Conformance (Alternative to above).
 Obtain from the manufacturer a
 certificate of conformance which
 certifies that the first analyzer randomly
 sampled from each  month's production
 was tested according to Sections 6.1
 through 6.3 and satisfactorily met all
 requirements of Section 5 of this
 Specification.  If any of the requirements
 were not met,  the certificate must state
 that the entire month's analyzer-
 production was resampled according to
 the military standard 105D sampling
 procedure (MIL-SJD-105D) inspection
 level II; was retested for each of the
 applicable requirements under Section 5
 of this Specification: and was
 determined to  be acceptable under MIL-
 STD-105D procedures, acceptable
 quality level 1.0.  The certificate of
 conformance must include the results of
 each test performed for the analyzer(s)
 sampled during the month the analyzer
 being installed was  produced.

 7. Performance Specifications

   The opacity continuous monitoring
 system performance specifications are
 listed in Table 1-1.

     Table 1-1.—Perforrmnce specific* lions
  Table 1-1.—Perlormancf spaciticitions—ConUnu
        Parameter
                           SpeofiCabon*
V t-»Wx*lKX* »rror *	
2 fi«KX>o** IKTMI	
3 CxxxfcUx^»g p*oodto	
4 Op**»t«o*x«t i**i p*ood*_
         n  rrwiuloo	
                                            ? pel opac*ir
                                            0 W pel ol fc* »c
                                            tpan valua
      mMd at »um o* abtotuia maan and In* M par
         ln» corxMioronj and oparalwnaJ l*tt pcrodt.
  Conbnuou* mrxwonog Jyslem that no( raqu*a any CO»'»C
  mamenanc*. repa'. raplac»m«nl or ad«j»lmenl otiar '
                at routma and ra
-------
 attenuators having the values given in
 Table 1-2 or having values closest to
 those calculated by Equation 1-1.
 Table 1-2.—Required Calibrated Attenuator^ Values
                (Nominal)
     SpanvakM
   (percent opacity)
                     CaUxated attenuator
                       epical density
                      nparenfhesa)
                Low-iange D, Mid-range Hign-rangc
50 	 	 - 0
60 	 	 _ 	 -
70 	 -
80 - 	 	 -
too 	 	 •
(20)
(20)
(20)
(20)
(20)
(20)
0.2
2
a
j.
.4
.4
(37)
(37)
(SO)
(50)
(60)
|60)
03 (50)
.3 (50)
.« (60)
.6 (75)
.7 (80)
S (87V4)
   D, = D, (L./U)
Equation 1-1
 Where:
   D, = Nominal optical density value of
    required mid. low. or high range
    calibration attenuators.
   D, = Desired attenuator optical density
    output value from Table 1-2 at the span
    required by the applicable subpart.
   Li = Monilor pathlength.
   L. = Emission outlej pathlength.
   8.1.3  Attenuator Calibration.
 Calibrate the required fillers or screens
 using a laboratory spectrophotometer
 meeting the specifications of Section 3.4
 to measure the transmittance in the 400
 to 700 nm wavelength range; make
 measurements at wavelength intervals
 of 20 nm or less. As an alternate
 procedure use an .instrument meeting the
 specifications of Section 3.4 to measure
 the C.l.E. Daylightc Luminous
 Transmittance of the attenuators. During
 the calibration procedure assure that a
 minimum of 75 percent of the total area
 of the attenuator.is checked. The
 attenuator manufacturer must specify
 the period of time over which (he
 attenuator values can be considered
 stable, as well as any special handling
 and storing procedures required to
 enhance attenuator stability. To assure
 stability, attenuator values must be
 rechecked at intervals less than or equal
 to the period of stability guaranteed by
 the manufacturer. However, values must
 be rechecked  at least every 3 months. If
 desired, testability checks may be
 performed on  an instrument other than
 that initially used for the attenuator
 calibration (Section 3.4). However, if a
 different instrument is used, the
 instrument shall be a high quality
 laboratory transmissometer or
 spectrophotometer  and the same
 instrument shall always be used for the
 stability checks. If a secondary
 instrument is to be  used for stability
checks, (he value of the calibrated
attenuator shall be  measured on this
secondary instrument immediately
following calibration and prior to being
used.  If over a period time an attenuator
  value changes by more than ±2 percent
  opacity, it shall be recalibrated or
  replaced by a new attenuator.
   If this procedure is conducted by the
  filter or screen manufacturer or
  independent laboratory, obtain a
  statement certifying the values and that
  the specified procedure, or equivalent,
  was used.
   8.1.4  -Calibration Error Test. Insert
  the calibrated attenuators (low, mid, and
  high range] in the transmissometer path
  at or as near to the midpoint as feasible.
 The attenuator must be placed in the
 measurement path at a point where the
 effluent will be .measured; i.e.. do not
 place the calibrated attenuator in the
 instrument housing. While inserting the
 attenuator, assure that the entire
 projected beam will pass through the
 attenuator and that the attenuator is
 inserted in a manner which minimizes
 interference from reflected light. Make a
 total of five nonconsecutive readings for
 each filter. Record the monitoring
 system output readings in percent
 opacity (see example Figure 1-1).
   8.1.5   System Response Test. Insert
 the high-range calibrated attenuator in
 the transmissometer path five times and
 record the time required for the system
 to respond to 95 percent of final zero
 and high-range filter values (see
 example Figure 1-2).
   8.2  Preliminary Field Adjustments.
 Install the continuous monitoring system
 on the affected facility according to the
 manufacturer's written instructions and
 perform  the following preliminary
 adjustments;
   8.2.1   Optical and Zero Alignment.
 When the facility is not in operation,
 conduct  the optical alignment by
 aligning  the light beam from the
 transmissometer upon the optical
 surface located across the duct or stack
 (i.e.. the retroflector or photodetector, as
 applicable) in accordance with the
 manufacturer's instructions. Under clear
 stack conditions, verify the zero
 alignment (performed in Section 8.1.1)
 by assuring that the monitoring system
 response for the simulated zero check
 coincides with the actual zero measured
 by the transmissometer across the clear
 stack. Adjust the zero alignment, if
 necessary. Then, after the affected
 facility has been started up and the
 effluent stream reaches normal
 operating temperature, recheck the
 optical alignment. If the optical
 alignment has shifted realign  the optics.
  8.2.2  Optical and Zero Alignment
 (Alternative Procedure). If the facility is
 already on line and a zero stack
condition cannot practicably be
obtained, use the zero alignment
obtained during the preliminary
adjustments (Section 8.1.1) prior to
 installation of the transmissomeler on
 the stack. After completing al! the
 preliminary adjustments and tests
 'required in Section 8.1. install the
 system at the source and align the
 optics, i.e.. align the light beam from the
 transmissometer upon the optical
 surface located across the duct or stack
 in accordance with the manufacturer's
 instruction. The zero alignment
 conducted in this manner shall be
 verified and adjusted, if necessary, the
 first time the facility is not in operation
 after the operational test period has
 been completed.
   8.3   Conditioning Period. After
 completing the preliminary field
 adjustments (Section 8.2), operate the
 system according to the manufacturer's
 instructions for an initial conditioning
 period of not less than 168 hours while
 the source is operating. Except during
 times  of instrument zero and upscale
 calibration checks, the continuous
 monitoring system will analyze the
 effluent gas for  opacity and produce a
 permanent record of the continuous
 monitoring system output. During this
 conditioning period there shall be no
 unscheduled maintenance, repair, or
 adjustment. Conduct daily zero
 calibration and  upscale calibration
 checks, and. when accumulated drift
 exceeds the daily operating limits, make
 adjustments and/or clean the exposed
 optical surfaces. The data recorder shall
 reflect these checks and adjustments. At
 the end of the operational test period,
 verify  that the instrument optical
 alignment is correct. If the conditioning
 period is interrupted because  of source
 breakdown (record the dates and times
 of process shutdown), continue the 168-
 hour period following resumption of
 source operation. If the conditioning
 period is interrupted because of monitor
 failure, restart the 168-hour conditioning
 period when the monitor becomes
 operational.
  8.4  Operational Test Period. After
 completing the conditioning period
 operate the system for an additional
 168-hour period. It is not necessary that
 the 168-hour operational test period
 immediately follow the 168-hour
 conditioning period. Except during times
 of instrument zero and upscale
calibration checks, the continuous
monitoring system will analyze the
effluent gas for opacity and will produce
a permanent record of the continuous
monitoring system output. During this
period, there will be no unscheduled
maintenance, repair, or adjustment. Zero
and calibration adjustments, optical
surface cleaning, and optical
realignment may be performed
(optional) only at 24-hour intervals or at
                                                  11-105

-------
such shorter intervals as the
manufacturer's written instructions
specify. Automatic zero and calibration
adjustments made by the monitoring
system without operator intervention or
initiation are followable at any time. If
the operational test period is interrupted
because of source breakdown, continue
the 165-hour period following
resumption of source operation. If the
test period is interrupted because of
monitor failure, restart the 168-hour
period when the monitor becomes
operational. During the operational test
period, perform the following test
procedures:-
  8.4.1  Zero Drift Test. At the outset of
the 168-hour operational test period,
record the initial  simulated zero and
upscale opacity readings (see example
Figure 1-3). After each 24-hour interval
check and record the final zero reading
before any optional or required cleaning
and adjustment. Zero and upscale
calibration adjustments, optical surface
cleaning, and optical realignment may
be performed only at 24-hour intervals
(or at such shorter intervals as the
manufacturer's written instructions
specify) but are optional. However.
adjustments and/or cleaning must be
performed when  the accumulated zero
calibration or upscale calibration drift
exceeds the 24-hour drift specifications
(±2 percent opacity). If no adjustments
are made after the zero check the final
zero reading is recorded as the initial
reading for the next 24-hour period. If
adjustments are made, the zero value
after adjustment  is recorded as the
initial zero value for the next 24-hour
period. If the instrument has an
automatic zero compensation feature for
dirt accumulation on exposed lens, and
the zero value cannot be measured
before compensation is entered then
record the amount of automatic zero
compensation for the final zero reading
of each 24-hour period. (List the
indicated zero values of the monitoring
system  in parenthesis.)
  8.4.2  Upscale Drift Test. At each 24-
hour interval, after the zero calibration
value has been checked and any
optional or required adjustments have
been made, check and record the
simulated upscale calibration value. If
no further adjustments are made to the
calibration system at this time, the final
upscale calibration value is recorded as
the initial upscale value for the next 24-
hour period. If an instrument span
adjustment is made, the upscale value
after adjustment  is recorded as the
Initial upscale for the next 24-hour
period.
  During the operational test period
record all adjustments, realignments and
lens cleanings.
9. Calculation. Data Analysis, and
Reporting
  9.1   Arithmetic Mean. Calculate the
mean of a set of data as follows:
   1  "
x • i  r  »j
   n.i-i  '
               Equation 2-1
Where:
 ~x = mean value.
  n = number of data points.
  Ixi = algebraic sum of the individual
    measurements, x,
  9.2  Confidence Interval. Calculate
the 95 percent confidence interval (two-
sided) as follows:
                        Equation 2-?

Where:
  C.I.» = 95 percent confidence interval
    estimate of the average mean value.
  '.975 = lttr-a/2).

          T»We 1-3— '-975 Values
        '.975
                     '.•75
                                 '.975
2
3
»
5
6
12706
4303
3182
2776
2571
7
a
•
10
11
2447
2395
2306
2262
2.228
12
13
14
IS
16
2201
2179
2 160'
2145
2 131
  The values in this table are already
corrected for n-1 degrees of Freedom.
Use n equal to the number of data
points.
  9.3  Conversion of Opacity Values
from Monitor Pathlength to Emission
Outlet Pathlength. When the monitor
pathlength is different than the emisson
outlet pathlength. use either of the
following equations to convert from one
basis to the other (this conversion may
be automatically calculated by the
monitoring system):
log(l-Op,) = (U/L,) Log (1,-Op,)  Equation l-«
  D, = (U/Li)         Equation 1-5
Where:
  Op, = opacity of the effluent based upon L,
  Op> = opacity of the effluent based upon L,
  Li = monitor pathlength
  L, = emission outlet pathlength
  D, = optical density of the effluent based
    upon Li
  D. = optical density-of the effleunt based
    upon U
  9.4  Spectral Response. Using the
spectral data obtained in Section 6.1,
develop the effective spectral response
curve of the transmissometer. Then
determine and report the peak spectral
response wavelength, the mean spectral
response wavelength, and the maximum
response at any wavelength below 400
nm and above 700 nm expressed as a
percentage of the peak response.
  9.5  Angle of View. For the horizontal
and vertical directions, using the data
obtained in Section 6.2, calculate the
response of the receiver as a function of
viewing angle (21 centimeters of arc
with a radius of 3 meters equal 4
degrees), report relative angle of view
curves, and determine and report the
angle of view.
  9.6  Angle of Projection. For the
horizontal and vertical directions, using
the data obtained in Section 6.3,
calculate the response of the
photoelectric detector as a function of
projection angle, report relative angle of
projection curves, and determine and
report the angle of projection.
  9.7  Calibration Error. See Figure 1-1.
If the pathlength is not adjusted by  the
measurement system, subtract the
actual calibrated attenuator value from
the value indicated by the measurement
system recorder for each of the 15
readings obtained pursuant to Section
8.1.4. If the pathlength is adjusted by the
measurement system subtract the "path
adjusted" calibrated attenuator values
from the values indecated by the
measurement system recorder the "path
adjusted" calibrated attenuator values
are calculated using equation 1—4 or 1-
5). Calculate the arithmetic mean
difference and the 95 percent confidence
interval of the five tests at each
attenuator value using Equations 1-2
and 1-3. Calculate the sum of the
absolute value of the mean difference
and the 95 percent confidence interval
for each of the three test attenuators;
report these three values as the
calibration error.
  9.8  Ze^-o and Upscale Calibration
Drifts. Using the data obtained in
Sections 8.4.1 and 8.4.2 calculate the
zero and upscale calibration drifts.  Then
calculate  the arithmetic means and the
95 percent confidence intervals using
Equations 1-2 and 1-3. Calculate the
sum of the absolute value of the mean
and the 95 percent confidence interval
and report these values as the 24-hour
zero drift  and the 24-hour calibration
drift.
  9.9  Response Time. Using the data
collected  in Section 8.1.5. calculate the
mean time of the 10 upscale and
downscale tests and report this value as
the system response limev
  9.10  Reporting. Report the following
(summarize in tabular form where
appropriate).
  9.10.1   General Information.
  a. Instrument Manufacturer.
  b- Instrument Model Number.
  c. Instrument Serial Number.
                                                  11-106

-------
  d. Person(s) responsible for
operational and conditioning test
periods and affiliation.
  e. Facility being monitored.
  f. Schematic of monitoring system
measurement path location.
  g. Monitor pathlength. meters.
  h. Emission  outlet pathlength, meters.
  i. System span value, percent opacity.
  j. Upscale calibration value, percent
opacity.
  k. Calibrated Attenuator values (low.
mid. and high range), percent opacity.
  9.10.2 Design Specification Test
Results
  a. Peak spectral response, nra.
  b. Mean spectral response, am.
  c. Response above 700 nm. percent of
peak.
  d. Response below 400 nm, percent of
peak.
  e. Total angle of view, degrees.
  f. Total angle of projection, degrees.
  9.10.3 Operational Test Period
Results.
  a. Calibration error, high-range,
percent opacity.
  b. Calibration error, mid-range.
percent opacity.
  c. Calibration error, low-range.
percent opacity.
  d. Response time, seconds.
  e. 24-hour zero drift, percent opacity.
  f. 24-hour calibratton drift, percent   .
opacity.
  g. Lens cleaning, clock time.
  h. Optical alignment adjustment, clock
time.
  9.10.4  Statements. Provide a
statement that the conditioning and
operational test periods were completed
according to the requirements of
Sections &3 and 8.4. In Ihis statement.
include the time periods during which
the conditioning and operational test
periods were conducted.
  9.10.5  Appendix. Provide the data
tabulations and calculations for the
above tabulated results.
  9.11   Retest. If the continuous
monitoring system operates within the
specified performance parameters of
Table 1-1. the operational test period
will be successfully concluded. If the
continuous  monitoring system fails to
meet any of the specified performance
parameters, repeat the operational test
period with a system that meets the
design specifications and is expected  to
meet the performance specifications.
  10.   Bibliograpny.
  10.1   "Experimental Statistics,"
Department of Commerce. National
Bureau of Standards Handbook 91,1963,
pp. 3-31. paragraphs 3-3.1.4.
  10.2   "Performance Specifications for
Stationary-Source Monitoring Systems
for Cases and Visible Emissions."
Environmental Protection Agency.
Research Triangle Park. N. C.. EPA-650/
2-74-013. January 1974.
                                               11-107

-------
Person Conducting Test
Affiliation	
Date	
                                    Analyzer Manufacturer
                                    Model/Serial No	
                                    Location	
Monitor Pathlength, Lj	.   Emission Outlet Pathlength. L2
Monitoring System Output Pathlength Corrected?      Yes	No	
Calibrated Neutral Density Filter Values
   Actual Optical Density (Opacity):
       Low Range	(	)
       Mid Range	(	)
       High Range.
                 J
Path Adjusted Optical Density (opacity)
     Low Range	-(	—)
     Mid Range	-(	)
     High Range	-(	-)
   Run
Number
   Calibration Filter
         Value
(Path Adjusted Percent Opacity)
Instrument Reading
 (Percent Opacity)
Arithmetic Difference
     (% Opacity)
                                                                           Low
                                  Mid
                  High
1 — Low
2-Mid
3 - High
4 — Low
5-Mid
6 - High
7 — Low
8 - Mid
9 - High
10-Low
11-Mid
12-High
13-Low
14-Mid
15-High
Arithmetic Mean
Confidence Interval
Calibration Error
        (Equation 1-2):   A
        (Equation 1 — 3):    B
                              Figure 1 — 1. Calibration error determination
                                         11-108

-------
Person Conducting Test
Affiliation .	
Date.	
                Analyzer Manufacturer
                Model/Serial No	
                Location	
High Range Calibration Filter Value:
 Actual Optical Density (Opacity).
 Path Adjusted Optical Density (Opacity).
Upscale Response Value ( 0.95 x filter value)—
Downscale Response Value (0.05 x filter value).
            .percent opacity
            .percent opacity
           Upscale
           Downscale
3
4

1
2

4
5
seconds
seconds
seconds
seconds
seconds
seconds
seconds
                        Average response
seconds
seconds
                             Figure 1-2. Response Time Determination
                                          11-109

-------
    Person Conducting Test
    Affiliation	—
    Date
                                                  Analyzer Manufacturer
                                                  Model/ Serial No	
                                                  Location.
                                	.  Emission Outlet Pathlength, L2

Monitoring System Output Pathlength Corrected: ?     Yes	  No	
    Monitor Pathlength,
    Upscale Calibration Value :  Actual Optical Density (Opacity)
Date
        Time
     Begin
       End
                               Path Adjusted Optical Density (Opacity)
                                                           	
                                             Percent Opacity
              Zero Reading*
                  Initial
                    A
                       Final
                        B
 Arithmetic Mean (Eq. 1—2)
 Confidence Interval (Eq. 1—3)
 Zero Drift
                                     Zero
                                     Drift
C = B-A
               Upscale Calibration
                   Reading
Initial
  D
                         Final
                           E
                                                                 Upscale
                                                                  Drift
F = E-D
                                                   Calibration Drift
                            Cali-
                           bration
                            Drift
G = F-C"
                                                                                           Align-
                                                                                            ment
                            IN-
                            TO
                            0)
                            .*
                            u
                            
-------
 Performance Specification 2—
 Specifications and Test Procedures for
 SO* and NO, Continuous Monitoring
 Systems in Stationary Sources
 1. Applicability and Principle
   1.1   Applicability. This Specification
 contains (a) installation requirements,
 (b) instrument performance and
 equipment specifications, and (c) test
 procedures and data reduction
 procedures for evaluating .the
 acceptability of SO. and NO, continuous
 monitoring systems, which may include,
 for certain stationary sources, diluent
 monitors. The,test procedures in item
 (c). above, are not applicable to single-
 pass, in-situ continuous monitoring
 systems; these systems will be
 evaluated on a case-by-case basis upon
 written request to the Administrator and
 alternative test procedures will be
 issued  separately.
   1.2   Principle. Any SO, or NO,
 continuous monitoring system that is
 expected to meet this Specification is
 installed, calibrated, and operated for a
 specified length of time. During this
 specified time period, the continuous
 monitoring system is  evaluated to
 determine conformance with the
 Specification.
 2. Definitions
   2.1   Continuous Monitoring System.
 The total equipment required for the
 determination of a gas concentration or
 a gas emission rate. The system consists
 of the following major sub-systems:
  2.1.1   Sample Interface. That portion
 of a system that is used for one or more
 of the following: sample acquisition,
 sample transportation, sample
 conditioning, or protection of the
 monitor from the effects of the  stack
 effluent.
  2.1.2.   Pollutant Analyzer. That
 portion of the system  that senses the
 pollutant gas and generates an output
 that is proportional to the gas
 concentration.
  2.1.3.   Diluent Analyzer (if
 applicable). That portion of the system
 that senses the diluent gas (e.g., CO, or
 Oj) and generates an output that is
 proportional to the gas concentration.
  2.1.4  Data Recorder. That portion of
 the monitoring system that provides a
 permanent record of the analyzer
 output. The data recorder may  include
 automatic data reduction capabilities.
  2.2  Types of Monitors. Continuous
 monitors are categorized as "extractive"
 or "in-situ." which are further
 categorized as "point," "multipoint,"
 "limited-path," and "path" type
monitors or as "single-pass" or "double-
pass" type monitors.
   2.2.1  Extractive Monitor. One that
 withdraws a gas sample from the stack
 and transports the sample to the
 analyzer.
   2.2.2  In-situ Monitor. One that
 senses the gas concentration in the
 stack environment and does not extract
 a sample for analysis.
   2.2.3  Point Monitor. One that
 measures  the gas concentration either at
 a single point or along a path which is
 less than 10 percent of the length of a
 specified measurement line.
   2.2.4  Multipoint Monitor. One that
 measures  the gas concentration at 2 or
 more points.
   2.2.5  Limited-Path Monitor. One that
 measures  the gas concentration along a
 path, which is 10 to 90 percent of the
 length of a specified measurement line.
   2.2.6  Path Monitor. One that
 measures  the gas concentration along a
 path, which is greater-than 90 percent of
 the length  of a specified measurement
 line.
   2.2.7  Single-Pass Monitor. One that
 has the transmitter and the detector on
 opposite sides of the stack or duct.
   2.2.8  Double-Pass Monitor. One that
 has the transmitter and the detector on
 the same side of the stack or duct.
   2.3  Span Value. The upper limit of a
 gas concentration measurement range
 which is specified for affected source
 categories in the applicable subpart of
 the regulations.
   2.4  Calibration Cases. A known
 concentration of a gas in an appropriate
 diluent gas.
   2.5  Calibration Gas Cells or Filters.
 A device which, when inserted between
 the transmitter and detector of the
 analyzer, produces  the desired output
 level on the data recorder.
   2.6  Relative Accuracy. The degree of
 correctness including analytical
 variations  of the gas concentration or
 emission rate determined by the
 continuous monitoring system, relative
 to the value determined by the reference
 method(s).
  2.7  Calibration Error. The difference
 between the gas concentration indicated
 by the continuous monitoring system
 and the known concentration of the
 calibration gas, gas cell, or filter.
  2.8  Zero Drift. The difference in the
 continuous monitoring system output
 readings before and after a stated period
 of operation during which no
 unscheduled maintenance, repair, or
 adjustment took place and when the
 pollutant concentration at the time of
 the measurements was zero (i.e., zero
gas, or zero gas cell or filter).
  2.9   Calibration Drift. The difference
 in  the continuous monitoring system.
output readings before and after a stated
period of operation during which no
 unscheduled maintenance, repair or
 adjustment took place and when the
 pollutant concentration at the time of
 the measurements was a high-level
 value (i.e., calibration gas, gas cell or
 filter).
   2.10  Respons'e Time. The amount of
 time it takes the continuous monitoring
 system to display on the data recorder
 95 percent of a step change in pollutant
 concentration.
   2.11   Conditioning Period. A
 minimum period of time over which the
 continuous monitoring system is
 expected to operate with no
 unscheduled maintenance, repair, or
 adjustments prior to initiation of the
 operational test period.
   2.12   Operational Test Period. A
 minimum period of time over which the
 continuous monitoring system is
 expected to operate within the
 established performance specifications
 with no  unscheduled maintenance,
 repair or adjustment.

 3. Installation Specifications
   Install the continuous monitoring
 system at a location where the pollutant
 concentration measurements are
 representative of the total emissions
 from the affected facility and are
 representative of the concentration  over
 the cross section. Both requirements can
 be met as follows:
   3.1  Measurement Location. Select an
 accessible measurement location in the
 stack or  ductwork that is at least 2
 equivalent diameters downstream from
 the nearest control device or other point
 at which a change in the pollutant
 concentration may occur and at least 0.5
 equivalent diameters upstream from the
 effluent exhaust. Individual subparts of
 the regulations may contain additional
 requirements. For example, for steam
 generating facilities, the location must
 be downstream of the air preheater.
   3.2  Measurement Points or Paths.
 There are two alternatives. The tester
 may choose either (a) to conduct the
 stratification check procedure given in
 Section 3.3 to select the point, points, or
 path of average gas concentration, or (b)
 to use the options listed below without a
 stratification check.
  Note.—For (he purpose of this section, the
 "centroidal area" is defined as a concentric
 area that is geometrically similar to the stack
 cross section and is no greater than 1 percent
of the slack cross-sectional area.

  3.2.1  SOi and NO, Path Monitoring
Systems. The tester may choose to
centrally locate the sample interface
(path) of the monitoring system on a
measurement line that passes through
the "centroidal area" of the cross
section.
                                                 11-111

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  3.2.2  SO, and NO, Multipoint
Monitoring Systems. The tester may
choose to space 3 measurement points
along a measurement line that passes
through the "centroidal area" of the
stack cross section, at distances of 16.7,
50.0, and 83.3 percent of the way across
it (see Figure 2-1).
                                               11-112

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            ••CENTROIDAL
             AREA"
                                               POINT   DISTANCE
                                                NO.     (% OF L)

                                                 1        16.7
                                                 2        50.0
                                                 3        83.3
           "CENTROIDAL
            AREA"    \
Figure 2-1.  Location of an example measurement line (L) and measurement points.
                               11-113

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  The following sampling strategies, or
equivalent, for measuring the
concentrations at the 3 points are
acceptable: (a) The use of a 3-probe or a
3-hole single probe arrangment,
provided that the sampling rate in each
of the 3 probes or holes is maintained
within 10 percent of their average rate
(This option requires a procedure,
subject to the approval of the
Administrator, to demonstrate  that the
proper sampling rate is maintained); or
(b) the use of a traversing probe
arrangement, provided that a
measurement at each point is made at
least once every 15 minutes and all 3
points are traversed and sampled for
equal lengths of time within 15 minutes.
   3.2.3  SOt Single-Point and Limited-
Path Monitoring Systems. Provided that
(a) no "dissimilar" gas streams (i.e.,
having greater than 10 percent
difference in pollutant concentration
from the average) are combined
upstream of the measurement location.
and (b) for steam generating facilities, a
CO» or Oi cotinuous monitor is installed
in addition to the SOi monitor,
according to the guidelines given in
Section 3.1 or 3.2 of Performance
Specification 3. the tester may choose to
monitor SO, at a single point or over a
limited path. Locate the point in or
centrally locate the limited path over the
"centroidal area." Any other location
 within the inner 50 percent of the stack
 cross-sectional area that has been
 demonstrated (see Section 3.4) to have a
 concentration within 5 percent of the
 concentration at a point within the
 "centroidal area" may be used.
   3.2.4  NO, Single-Point and Limited-
 Path Monitoring Systems. For  NO,
 monitors, the tester may choose the
 single-point or limited-path option
 described in Section 3.2.3 only in coal-
 burning steam generators (does not
 include oil and gas-fired units) and nitric
 acid plants, which have no dissimilar
 gas streams combining  upstream of the
 measurement location.
   3.3  Stratification Check Procedure.
 Unless specifically approved in Section
 3.2., conduct a stratification check and
 select the measurement point, points, or
 path as follows:
   3.3.1   Locate 9 sample points, as
 shown in Figure 2-2. a or b. Tie tester
 may choose to use more than 9 points,
 provided that the  sample points are
 located in a similar fashion as in Fgure
 2-2.
  332  Measure at least twice the
pollutant and. if applicable (as in the
case of steam generators). COt or O,
concentrations at each of the sample
points. Moisture need not be determined
for this step. The following methods are
acceptable for the measurements: (a)
Reference Methods 3 (grab-sample). 6 or
7 of this part; (b) appropriate
instrumental methods which give
relative responses to the pollutant (i.e..
the methods need  not be absolutely
correct), subject to the approval of the
Administrator; or (c) alternative
methods subject to the approval of the
Administrator. Express all
measurements, if applicable, in the units
of the applicable standard.
   3.3.3  Calculate the mean value and
select a point, points, limited-path, or
path which gives an equivalent value to
the mean. The point or points must be
within, and the limited-path or path
must pass through, the inner 50 percent
of the stack cross-sectional area. All
other locations must be approved by the
Administrator.
                                                   11-114

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POINT
 NO.
DISTANCE
 (% OF D)
 1.9
 2.8
 C
 3.7
 4.6
   10.0
   30.0
   50.0
   70.0
   90.0
C      8        9
                                             (a)
                                 •
                                 4
                                                •
                                                2
                                                     •
                                                     3
                                               (b)
                Figure 22.  Location of 9 sampling points for stratification check.
                                          11-115

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  3.4  Acceptability of Single Point or
Limited Path Alternative Location. Any
of the applicable measurement methods
mentioned in Section 3.3.2. above, may
be used. Measure the pollutant and. if
applicable. Cd or d concentrations at
both the centroidal area and the
alternative locations. Moisture need not
be measured for this test. Collect a  21-
minute integrated sample or 3 grab-
samples, either at evenly spaced (7 ± 2
min.) intervals over 21  minutes or all
within 3 minutes, at each location. Run
the comparative-tests either
concurrently or within  10 minutes of
each other. Average the results of the 3
grab-samples.
  Repeat the measurements until a
minimum of 3 paired measurements
spanning a minimum of 1,hour of
process operation are obtained.
Determine the average pollutant
concentrations at the centroidal area
and the alternative locations. If
applicable, convert the data in terms  of
the standard for each paired set before
taking the average. The alternative
sampling location is acceptable if each
alternative location value is within ± 10
percent of the corresponding centroidal
area value and if the average at the
alternative location is within 5 percent
of the average of the centroidal area.

4. Performance and Equipment
Specifications
  The continuous monitoring system
performance and equipment
specifications are listed in Table 2-1. To
be considered acceptable, the
continuous monitoring  system must
demonstrate compliance with these
specifications using the test procedures
of Section 6.

5. Apparatus
   5.1  Continuous Monitoring System.
Use any continuous monitoring system
of Sd or NO, which is expected to meet
the specifications in Table 2-1. For
sources which are required to convert
the pollutant concentrations to other
emission units using diluent gas
measurements, the diluent gas
continuous monitor, as described in
Performance Specification 3 of this
Appendix, is considered part of the
continuous monitoring system. The data
recorder may be an analog strip chart
recorder typ" or other  suitable device
with an input signal range compatible
with the analyzer output.
  5.2  Calibration Gases. For
continuous monitoring systems that
allow the introduction of calibration
gases to the analyzer, the calibration
gases may be Sd in air or N>. NO in N»,
and NO. in air or N». Two or more
calibration gases may be combined in
the same gas cylinder, except do not
combine the NO and air. For NO,
monitoring systems that oxidize NO to
NO,, the calibration gases must be in the
form of NO. Use three calibration gas
mixtures as specified below:
  5.2.1   High-Level Gas. A gas
concentration that is equivalent to 80 to
90 percent of the span value.
    Table 2-1.—Continuous Monitoring System
    Performance and Equipment Specifications
    Parameter
                        Specification
 1. Conditioning
 2. Operation*) test
  period*.
 3. Cahbrabon error •.

 4. Response tone—

 5. Zero drift 12-
  hour)".
 6. Zero dnn (24-
  hour)".
 7. Cattvabon drift
  (2-hour)'.
 • Calibration Onft
  (24-hour) ».
 0 Relative
  accuracy'.
10 Calibration gal
  cells or tillers.
11. Dall recorder
  chart resolution.
12. Extractive
  systems with driuent
  monitors.
»166 hours.

»16* hour*.

« 5 pet of each mid-level and high-
  level catoration value.
C IS mnutes (5 minutes tor 3-poinl
  traversing probe arrangement).
a* 2 pel of span value.

< 2 pel of span value.

« 2 pet of span value.

« 2.5 pet of span value,

< 20 pet of the mean value ol
  reference meihod(s) test data in
  terms of errassion standard or 10
  percent of the applicable
  standard, whichever a greater.
Must provide a check ol an analyzer
  niemal nwrors and lenses and aH
  electronic orcmtry including the
  radiation source and detector
  assembly which are normally use
  in sampling and analysis
Chart scales must be readable to
  withm CO SO pel of lull-scale
Must usejhe same sample interface
  lo sample both the pollutant and
  rWuent gases. Place n series
  (drfuent after pollutant analyzer) or
  use a "T.~* During the
  conditioning and operational lest
  periods, the continuous monitoring
  system sha> not require any
  corrective maintenance, repair.
  replacement or adjustment other
  than rhal clearly specified as
  routine and reputed m the
  operation and maintenance
  manuals. ' Expressed as the sum
  of the absolute mean value plus
  the 95 percent conhdence interval
  of a senes of tests dmded by a
  relerence value • A tow-level (5-
  15 percent of span value) drill test
  may be substituted lor the zero
  Drift tests.
  5.2.2  Mid-Level Gas. A gas
concentration that is equivalent to 45 to
55 percent of the span value.
  5.2.3  Zero Gas. A gas concentration
of less than 0.25 percent of the span
value. Ambient air may be used for the
zero gas.
  5.3  Calibration Gas Cells or Filters.
For continuous monitoring systems
which use calibration gas cells or filters
use three certified calibration gas cells
or filters as specified below:
  5.3.1  High-Level Gas Cell or Filter.
One that produces an output equivalent
to 80 to 90 percent of the  span value.
  5.3.2  Mid-Level Gas Cell or Filter.
One that produces an output equivalent
to 45 to 55 percent of the  span value.
  5.3.3  Zero Gas Cell or Filter. One
that produces an output equivalent to
zero. Alternatively, an analyzer may
produce a zero value check by
mechanical means, such as a movable
mirror.
  5.4  Calibration Gas—Gas Cell or
Filter Combination. Combinations  of thi
above may be used.
  6. Performance Specification Test
Procedures.
  6.1  Pretest Preparation.
  6.1.1  Calibration Gas  Certification.
The tester may select one of the
following alternatives: (a) The tester
may use calibration gases prepared
according to the protocol defined in
Citation 10.5. i.e. These gases may be
used  as received  without reference
method analysis (obtain a statement
from  the gas cylinder supplier certifyin
that the calibration gases have been
prepared according to the protocol): or
(b) the tester may use calibration gases
not prepared according to the protocol.
In case (b), he must perform triplicate
analyses of each  calibration gas (mid-
level  and high-level, only) within 2
weeks prior to the operational test
period using the appropriate reference
methods. Acceptable procedures are
described in Citations 10.6 and 10.7.
Record the results on a data sheet
(example is shown in Figure 2-3). Each
of the individual  analytical results mus
be within 10 percent (or 15 ppm,
whichever is greater) of the average;
otherwise,  discard the entire set and
repeat the triplicate analyses. If the
avarap. of the triplicate reference
method test results is  within 5 percent i
the calibration gas manufacturer's tag
value, use the tag value; otherwise,
conduct at least 3 additional reference
method test analyses until the results c
6 individual runs (the  3 original plus 3
additional) agree within 10 percent or'
ppm. whichever is greater, of the
average. Then use this average for the
cylinder value.
                                                     11-116

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             Figure 2-3.  Analysis of Calibration  Gases'

 Date	(Must be  within 2  weeks  prior to the
                    operational  test  period)

 Reference  Method Used
Sample Run
1
2
3
Werage
Maximum % Deviation
Mid-level5
ppm





High-level0
ppm





  Not necessary  if the  protocol  in Citation 10.5  is used
  to prepare  the  gas cylinders.

  Average must be 45 to 55  percent of span value.

  Average must be 80 to 90  percent of span value.

  Must be < + 10  percent of applicable average  or  15 ppm,
  whichever Ts greater.
  6.1.2  Calibration Gas Cell or Filter
Certification. Obtain (a) a statement
from the manufacturer certifying that the
calibration gas cells or filters (zero, mid-
level, and high-level) will produce the
stated instrument responses for the
continuous monitoring system, and (b) a
description of the test procedure and
equipment used to calibrate the cells or
filters. At a minimum, the manufacturer
must have calibrated the gas cells or
fillers against a simulated source of
known concentration.
  6.2  Conditioning Period. Prepare the
monitoring system for operation
according to the manufacturer's written
instructions. At the outset of the
conditioning period, zero and span the
system. Use the mid-level calibration
gas (or gas cell or filter) to set the span
at 50 percent of recorder full-scale. If
necessary to determine negative zero
drift, offset the scale by 10 percent. (Do
not forget to account for this when using
the calibration curve.) If a zero offset is
not possible or is impractical, a low-
level drift may be substituted for the
 zero drift by using a low-level {5 to 15
 percent of span value) calibration gas
 (or gas cell or filter). This low-level
 calibration gas (or gas cell or filter) need
 not be certified. Operate the continuous
 monitoring system for an initial 168-hour
 period in the manner specified by the
 manufacturer. Except during times of
 instrument zero, calibration checks, and
 system backpurges. the continuous
 monitoring system shall collect and
 condition the effluent gas sample (if
 applicable), analyze the sample for the
 appropriate gas constituents, and
 produce a permanent record of the
 system output Conduct daily zero and
 mid-level calibration checks and, when
 drift exceeds the daily operating limits.
 make adjustments. The data recorder
 shall reflect these checks and
 adjustments. Keep a record of any
 instrument failure during this time. If the
 conditioning period is interrupted
 because of source breakdown (record
 the dates and times of process
 shutdown), continue the 168-hour period
 following resumption of source
 operation. If the conditioning period is
 interrupted because of monitor failure,
 restart the 168-hour conditioning period
 when the monitor becomes functional.
  6.3   Operational Test Period. Operate
 the continuous monitoring system for an
 additional 168-hour period. The
 continuous monitoring system shall
 monitor the effluent, except during
 periods when the system calibration and
 response time are checked or during
 system backpurges; however, the system
 shall produce a permanent record of all
 operations. Record any system failure
 during this time on the data recorder
 output sheet.
  It is not necessary that the 168-hour
 operational test period immediately
 follow the 168-hour conditioning period.
 During the operational test period,
perform the following test procedures:
  6.3.1  Calibration Error
Determination. Make a total of 15
nonconsecutive zero, mid-level, and
high-level measurements (e.g., zero, mid-
level, zero, high-level, mid-range,  etc.).
                                                11-117

-------
This will result in a set of 5 each of zero,
mid-level, and high-level measurements.
Convert the data output to concentration
units, if necessary, and record the
results on a data sheet (example is
shown in Figure 2-4). Calculate the
differences between the reference
calibration gas concentrations and the
measure-men! system reading. Then
calculate the mean, confidence interval,
and calibration errors separately for the
mid-level and high-level concentrations
using Equations 2-1. 2-2, and 2-3. In
Equation 2-3, use each respective
calibration gas concentration for R.V.
                                                  11-118

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           Figure 2-4.  Calibration  Error  Determination
Run
no.

1
2
3
4 j
5
6
7
8
9
10
11
12
13
14
15
Calibration gas
concentration3
ppm
A















Measurement system
reading
ppm
B















Arithmetic Mean (Eq. 2-1) «
Confidence Interval (Eq. 2-2) =
Calibration Error (Eq. 2-3)b «
Arithmetic 1
differences
PPm
A-B
Mid 1 High
I



— J
i


1 1
j I







1
 a Calibration Data from Section  6.1.1  or 6.1.2
        Mid-level:  C =	ppm
        High-level: D =	ppm
 b Use C or D as R.V. 1n Eq.  2-3
Date
 Figure 2-5.  Response Time
	  High-level
_ppm
Test Run
1
2
3
Average
Upscale
min.



A *
Down scale
min.



B =
System Response Time (slower of A and B)
                                     min.
                                  11-119

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  6.3.2  Response Time Test Procedure.
At a minimum, each response time test
shall provide a check of the entire
sample transport line (if applicable), any
sample conditioning equipment (if
applicable), the pollutant analyzer, and
the data recorder. For in-situ systems.
perform the response time check by
introducing the calibration gases at the
sample interface (if applicable), or by
introducing the calibration gas cells or
filters at an appropriate location in the
pollutant analyzer. For  extractive
monitors, introduce the calibration gas
at the sample probe inlet in the stack or
at the point of connection between the
rigid sample probe and  the sample
transport line. If an extractive analyzer
is used to monitor the effluent from more
than one source, perform the response
time test for each sample interface.
  To begin the response time test.
introduce zero gas  (or zero cell or filter)
into the continuous monitor. When the
system output has stabilized, switch to
monitor the stack effluent and wait until
a "stable value" has been reached.
Record the upscale response time. Then.
introduce the high-level calibration gas
(or gas cell or filter). Once the system
has stabilized at the high-level
concentration, switch to monitor the
stack effluent and wait  until a "stable
value" is reached. Record the downscale
response time. A "stable value" is
equivalent  to a change  of less than 1
percent of span value for 30 seconds or 5
percent of measured average
concentration for 2 minutes. Repeat the
entire procedure three times. Record the
results of each test on a data sheet
(example is shown in Figure 2-5).
Determine  the means of the upscale and
downscale response times using
Equation 2-1. Report the slower time as
the system response time.
  6.3.3  Field Test for Zero Drift and
Calibration Drift. Perform the zero and
calibration drift tests for each pollutant
analyzer and data  recorder in the
continuous monitoring  system.
  6.3.3.1   Two-hour Drift. Introduce
consecutively zero gas  (or zero cell or
filler) and high-level calibration gas (or
gas cell or  filter) at 2-hour intervals until
15 sets (Before and after) of data are
obtained. Do not make  any zero or
calibration adjustments during this time
unless otherwise prescribed by the
manufacturer. Determine and record the
amount that the output  had drifted from
th-, recorder zero and high-level value
on a data sheet (example is shown in
Figure 2-6). The 2-hour periods over
which the measurements are conducted
;:• r-d not b' consecutive, but must not
o -irlap. Calculate the zero and
calibration drifts for each set. Then
calculate the mean, confidence interval,
and zero and calibration drifts (2-hour)
using Equations 2-1. 2-2. and 2-3. In
Equation 2-3. use the span value for R.V.
  6.3-3.2  Twenty-Four Hour Drift. In
addition to the 2-hour drift tests, perform
a series of seven 24-hour drift tests as
follows: At the beginning of each 24-
hour period, calibrate the monitor, using
mid-level value. Then introduce the
high-level calibration gas (or gas cell or
filter) to obtain the initial reference
value. At the end of the 24-hour period.
introduce consecutively zero gas (or gas
cell or filter) and high-level calibration
gas (or gas cell or filter); do not make
any adjustments at this time. Determine
and record the amount of drift from the
recorder zero and high-level value on a
data sheet (example is shown in Figure
2-7). Calculate the zero and cab'bration
drifts for each set. Then calculate the
mean, confidence interval, and zero and
calibration drifts (24-hour) using
Equations 2-1. 2-2, and 2-3. In Equation
2-3, use the span value for R.V.
                                                 11-120

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Date
set
no.
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15

Date















Time
Begin















End















Zero Rdg
In1t. F1n.
A















B















Arithmetic Mean (EQ. 2-1)
Confidence Interval (Eq. 2-2)
Zero Drift3
Zero
drift
C-B-A


















H1 -level
Rdq
nit.
D

















Ca

:in.
L















Span
drift
F-E-D















Hbratlon.
dr1fta
Callb.
drift
G*F-C



















Data
set
no.
1
2
3
4
5
6
7
Date







T1m
Begin








End







Zero
Ink.
A







Rdq
FMn.
B







Arithmetic Mean (Eq. 2-1)
Confidence Interval (Eq. 2-2)
Zero drift
Zero
drift
C-B-A










H1-level
Rdg
In1t. F1n.
D







E







Span
drift
F=E-D







Calibration
H*-1fta
Callb.
drift
G=F-C










                                                                     Use  Equation 2-3. with the span value for  R. V.
                                                                            Figure  2-7.   Zero  and  Calibration  Drift (24-hour)
Use Equation 2-3, with span value for R.  V.
         Figure 2-6.  Zero and Calibration  Drift  (2  hour)

-------
  Note.—Automatic zero and calibration
adjustments made by the monitoring system
without operator intervention or initiation are
allowable at any time. Manual adjustments.
however, are allowable only at 24-hour
intervals, unless a shorter time is specified by
the manufacturer.
  6.4   System Relative Accuracy.
Unless otherwise specified in an
applicable subpart of the regulations.
the reference methods for SO,, NO,,
diluent (O, or CO,), and moisture are
Reference Methods 6, 7, 3, and 4,
respectively. Moisture may be
determined along with SO, using
Method 6. See Citation 10.8. Reference
Method 4 is necessary only if moisture
content is needed to enable comparison
between the Reference Method and
monitor values. Perform the accuracy
test using the following guidelines:
  6.4.1   Location of Pollutant Reference
Method Sample Points. The following
specifies  the location of the Reference
Method sample points which are on the
same cross-sectional plane as the
monitor's. However, any cross-sectional
plane within 2 equivalent diameter of
straight runs may be used, by using the
projected image of the monitor on the
selected plane in the following criteria.
  6.4.1-1  For point monitors, locate the
Reference Method sample point no
further than 30 cm (or 5 percent of the
equivalent diameter of the cross section,
whichever is  less) from the pollutant
monitor sample point.
   6.4.1.2   For multipoint monitors,
locate each Reference Method sample
 traverse point no further than 30 cm (or
5 percent of the equivalent diameter of
 the cross section, whichever is less)
 from each corresponding pollutant
 monitor sample point.
   6.4.1.3   For limited-path and path
 monitors, locate 3 sample points on a
 line parallel to the  monitor path and no
 further than 30 cm  (or 5 percent of the
 equivalent diameter of the cross section.
 whichever is less) from the centerline of
 the monitor path. The three points of the
 Reference Method shall correspond to
 points in the  monitor path at 16.7, 50.0,
 and 83.3 percent of the effective length
 of the monitor path.
   6.4.2  Location of Diluent and
 Moisture Reference Method Sample
 Points.
   6.4.2.1  For sources which require
 diluent monitors in addition to pollutant
 monitors, locate each of the sample
 points for the diluent Reference Method
 measurements within 3 cm of the
 corresponding pollutant Reference
 Method sample point as defined in
 Sections 6.4.1.1, 6.4.1.2, or 6.4.1.3. In
 addition. locate each pair of diluent and
 pollutant Reference Method sample
 points no further than 30 cm (or 5
percent of the equivalent diameter of the
cross section, whichever is less) from
both the diluent and pollutant
continuous monitor sample points or
paths.
  6.4.2.2   If it is necessary to convert
pollutant and/or diluent monitor
concentrations to a dry basis for
comparison with the Reference data,
locate  each moisture Reference Method
sample point within 3  cm of the
corresponding pollutant or diluent
Reference Method sample point as
defined in Sections 6.4.1.1. 6.4.1.2, 6.4.1.3.
or 6.4.2.1.
  6.4.3 Number of Reference Method
Tests.
  6-4-3.1   For NO, monitors, make a
minimum of 27 NO, Reference Method
measurements, divided into 9 sets.
  6.'4.3.2  For SO, monitors, make a
minimum of 9 SO, Reference Method
tests.
  6.4.3.3  For diluerjt  monitors, perform
one diluent Reference Method test for
each SO, and/or NO, Reference Method
test(s).
  6.4.3.4  For moisture determinations.
perform one moisture Reference Method
test for each or each set of pollutant(s)
and diluent (if applicable) Reference
Method tests.
  Note.—The tester may choose to perform
more than 9 sets of NO, measurements or
more than 9 SOi reference method diluent, or
moisture tests. If this option is chosen, the
tester may, at his discretion, reject up to 3 of
the set or test results, so long as the total
number of set or test result* used to
determine the relative accuracy is greater
than or equal to 9. Report all data including
rejected data.
   6.4.4 Sampling Strategy for
Reference Method Tests. Schedule  the
Reference Method tests so that they will
not be in progress when zero drift,
calibration drift,  and response time data
are being taken. Within any 1-hour
period, conduct the following tests: (a)
one set, consisting of 3 individual
measurements, of NO, and/or one SO,;
 (b) one diluent, if applicable: and (c) one
moisture (if needed). Whenever two or
 more  reference tests (pollutant, diluent,
 and moisture) are conducted, the tester
 may choose to run all these reference
 tests within a 1-hour period. However, it
 is recommended that the tests be run
 concurrently or consecutively within a
 4-minute  interval if two reference tests
 employ grab sampling techniques. Also
 whenever an integrated reference test is
 run together with grab sample reference
 tests, it is recommended that  the
 integrated sample be started one-sixth
 the test period before the first grab
 sample is collected.
   In order to properly correlate the
 continuous monitoring system and
Reference Method data, mark the
beginning and end of each Reference
Method test period (including the exact
time of day) on the pollutant and diluent
(if applicable) chart recordings. Use one
of the following strategies for the
Reference Method tests:
  6.4.4.1  Single Point Monitors. For
single point sampling, the tester may: {a
take a 21-minute integrated  sample (e.g.
Method 6. Method 4, or the integrated
bag sample technique of Method 3); lb)
take 3 grab samples (e.g. Method 7 or
the grab sample technique of Method 3),
equally spaced at 7-minute (±2 min)
intervals (or one-third the test period);
or (c) take 3 grab samples over a 3-
minute test period.
 . 6.4.4.2  Multipoint or Path Monitors.
For multipoint sampling, the tester may
either (a) make a 21-minute integrated
sample traverse, sampling for 7 minutes
(±2 min) (or one-third the test period) a
each point: or (b) take grab  samples at
each traverse point, scheduling the grab
samples to that they are an  equal
interval (7±2 minutes) of time  apart (or
one-third the test period).
  Note.—If the number of sample points is
greater than 3. make  appropriate adjustment
to the individual sampling time intervals. At
time* NSPS performance test data may be
used as part of the data base of the
continuous monitoring relative accuracy
tests. In these cases, other test periods as
specified in the applicable subparts of the
regulations may be used.
   6.4.5  Correlation of Reference
Method and Continuous Monitoring
 System Data. Correlate the continuous
 monitoring system data with the
Reference Method test data, as to the
 time and duration  of the Reference
 Method tests. To accomplish this, first
 determine from the continuous
 monitoring system chart recordings, the
 integrated average pollutant and diluer
 (if applicable) concentration(s) for eacV
 Reference Method test period. Be sure
 consider system response time. Then,
 compare each integrated average
 concentration against the correspondin
 average concentration obtained by the
 Reference Method; use the  following
 guidelines to make these comparisons:
   6.4.5.1   If the Reference Method is ai
 integrated sampling technique (e.g..
 Method 6). make a direct comparison o
 the Reference Method results and the
 continuous monitoring system integral
 average concentration.
   6.4.5.2  If the Reference  Method is a
 grab-sampling technique (e.g.. Method
 7), first average the results from all gra
 samples taken during the test period,
 and then compare this average value
 against the integrated value obtained
 from the continuous monitoring system
 chart recording.
                                                    TI-122

-------
    6.5  Data Summary for Relative
  Accuracy Tests. Summarize the results
  on a data sheet: example is shown in
  figure 2-8. Calculate the arithmetic
  differences between the reference
  method and the continuous monitoring
  output sets. Then calculate the mean.
  confidence interval, and system relative
  accuracy, using Equation 2-1. 2-2. and
  2-3. In Equation 2-3, use the average of
  the reference method test results for
  R.V.

  7. Equations
    7.1   Arithmetic Mean. Calculate the
  mean of a data set as follows:
        £  I  x.     Equation 1-2
        "  1-1  '

  Where:
   x = arithmetic mean.
   n = number of data points.
   Ix, = algebraic sum of the individual
     values. X|.

   When the mean of the differences of
  pairs of data is calculated, be sure to
  correct the data for moisture.
   7.2  Confidence Interval. Calculate
  the 95 percent confidence  interval (two-
  sided) as follows:
   l.-c • -    v/nlx,2 - (Ix.)2  Equation 1-3-
    95        V   f      '
 Where:
   C.I.M = 95 percent confidence interval
     estimate of mean value.
   t..rs = ti,-./D       (see Table 2-2)
 BILLING CODE 856O-01-M

            Table 2-2.—I ~ Values


   if     '.975    n"    '.975    if     '.975
2
3
4
5
6
12706
4303
3182
2.776
2571
7
•
•
10
11
2447
2365
23O6
2262
2228
12
13
14
IS
16
2.201
2179
2 16O
2145
2.131
 • The values n INj tabto •>• already corrected tor r>-1 de-
gree* of freedom. Uu 
-------
I
1N3
Run
no.
1
2
3
4
5
6
7
8
9
10
n
12
Date and
time












Average
S0?
RM













i
M IrHff
PPma 	













Confidence Interval
Accuracyc















N0xb
RM
M . Iniff
ppm°










































C02 or 02a
RM, I M,
%d %d'




























so2a
RM 1
M fcUff
mass/GCV









































1
NO/
.RM .
M
niff
mass/GCV










































           a For steam generators    Average of 3 samples  c Use average of reference method test results for R.V.
             Make sure that RM and M data are on a consistent basis, either wet or dry
                                         Figure 2-8.  Relative accuracy determination

-------
  7.3   Relative Accuracy. Calculate the relative accuracy of a set of data as
  follows:
                         R.A.
                       x   100  Equation 2-3
     Where:  R.  A.

            1*1


            |c.i-95l


            R.V.
* relative accuracy

- absolute value of the arithmetic mean

  (from Equation 2-1).

« absolute value of the 95 percent confi-

  dence Interval (from Equation 2-2).

* reference value,  as defined in Sections

  6.3.1, 6.3.3.1, 6.3.3.2, and 6.5.
  8. Reporting
    At a minimum [check with regional
  offices for additional requirements, if
  any) summarize the following results in
  tabular form: calibration error for mid-
  level and high-level concentrations, the
  slower of the upscale and downscale
  response times, the 2-hour and 24-hour
  zero and calibration drifts, and the
  system relative accuracy. In addition,
  provide, for the conditioning and
 operational test periods, a statement to
 the effect that the continuous monitoring
 system operated continuously for a
 minimum of 168 hours each, except
 during times of instrument zero,
 calibration checks,  system backpurges.
 and source breakdown, and that no
 corrective maintenance, repair,
 replacement, or adjustment other than
 that clearly specified as routine and
 required in the operation and
 maintenance manuals were made. Also
 include the manufacturer's certification
 statement (if applicable) for the
 calibration gas, gas cells, or filters.
 Include all data sheets and calculations
 and charts (data outputs), which  are
 necessary to substantiate that the
 system met the performance
 specifications.
 9 Retest
  If the continuous monitoring system
 operates within the specified
 performance parameters of Table 2-1,
 the operational test period will be
 successfully concluded. If the
 continuous monitoring system fails to
 meet any of the specifications, repeat
 that portion cf the testing which is
 related to the failed specification.
10. Bibliography
  10.1  "Monitoring Instrumentation for
the  Measurement of Sulfur Dioxide in
                   Stationary Source Emissions,"
                   Environmental Protection Agency,
                   Research Triangle Park. N.C., February
                   1973.
                     10.2  "Instrumentation for the
                   Determination of Nitrogen Oxides
                   Content of Stationary Source
                   Emissions," Environmental Protection
                   Agency, Research Triangle Park, N.C.,
                   Volume 1,  APTD-0847, October 1971;
                   Volume 2.  APTD-0942, January 1972.
                     10.3  "Experimental Statistics,"
                   Department of Commerce, Handbook 91,
                   1963, pp. 3-31. paragraphs 3-3.1.4.
                     10.4  "Performance Specifications for
                   Stationary-Source Monitoring Systems
                   for Gases and Visible Emissions,"
                   Environmental Protection Agency,
                   Research Triangle Park, N.C., EPA-650/
                   2-74-013. January 1974.
                     10.5  Traceability Protocol for
                   Establishing True Concentrations of
                   Cases Used for Calibration and Audits
                   of Continuous Source Emission Monitors
                   (Protocol No. 1). June 15,1978.
                   Environmental Monitoring and Support
                   Laboratory, Office of Research and
                   Development, U.S. EPA, Research
                   Triangle Park. N.C. 27711.
                     10.6  Westlin. P. R. and J. W. Brown.
                   Methods for Collecting and Analyzing
                   Gas Cylinder Samples. Emission
                   Measurement Branch, Emission
                   Standards and Engineering Division,
                   Office of Air Quality Planning and
                   Standards. U.S. EPA. Research Triangle
                   Park.  N.C.,  July 1978.
                    10.7  Curtis, Foston. A Method for
                  Analyzing NOX Cylinder Gases—
                  Specific Ion Electrode Procedure.
                  Emission Measurement Branch.
                  Emission Standards  and Engineering
                  Division. Office of Air Quality and
                  Standards.  U.S. EPA. Research Triangle
                  Park. N.C.. October 1978.
                    10.8  Stanley. Jon and P. R. Westlin.
  An Alternative Method for Stack Gas
  Moisture Determination. Emission
  Measurement Branch. Emission
  Standards and Engineering Division,
  Office of Air Quality Planning and
  Standards. U.S. EPA, Research Triangle
  Park. N.C.. August 1978.

  Performance Specification 3—
  Specifications and Test Procedures for
  CO, and Oj Continuous Monitors in
  Stationary Sources

  1. Applicability and Principle
   1.1  Applicability. This Specification
  contains (a) installation requirements,
  (b) instrument performance and
  equipment  specifications, and (c) test
  procedures and data reduction
 procedures for evaluating the
 acceptability of continuous CO7 and Oi
 monitors that are used as diluent
 monitors. The test procedures are
 primarily designed for systems that
 introduce calibration gases directly into
 the analyzer other types of monitors
 (e.g., single-pass monitors, as described
 in Section 2.2.7 of Performance
 Specification 2 of this Appendix) will be
 evaluated on a case-by-case basis upon
 written request to the Administrator,
 and alternative procedures will be
 issued separately.
   1.2  Principle. Any CO, or O,
 continuous monitor, which is expected
 to meet this Specification, is operated
 for a specified length of time. During this
 specified time period, the continuous
 monitor is evaluated to determine
 conformance with the Specification.
 2. Definitions
   The definitions are" the same as those
 listed in Section 2 of Performance
 Specification 2.

 3. Installation Specifications
   3.1  Measurement Location and
 Measurement Points or Paths. Select and
 install the continuous monitor at the
 same sampling location used for the
pollutant monitor(s). Locate the
measurement points or paths as shown
in Figure 3-1 or 3-2.
  3.2  Alternative Measurement
Location and Measurement Points or
Paths. The diluent monitor may be
                                                11-125

-------
installed at a different location from that
of the pollutant monitor, provided that
the diluent gas concentrations at both
locations differ by no more than 5
percent from that of the pollutant
monitor location for COi or the quantity,
20.9-percent O.. for O». See Section 3.4
of Performance Specification 2 for the
demonstration procedure.

4. Continuous Monitor Performance and
Equipment Specifications
  The continuous monitor performance
and equipment specifications are listed
in Table 3-1. To be considered
acceptable, the continuous monitor must
demonstrate compliance with these
specifications, using the test procedures
in Section 6.

5. Apparatus
  5.1   CO» or Oi Continuous Monitor.
Use any continuous monitor, which is
expected to meet this Specification. The
data recorder may either be an analog
strip-chart recorder or other suitable
device having an input voltage range
compatible with the analyzer output.
  5.2   Calibration Gases. Diluent gases
shall be air or N» for CO, mixtures, and
shall be Ni for O. mixtures. Use three
calibration gases as specified below:
                                                 11-126

-------
     GEOMETRICALLY
         SIMILAR
          AREA
     (  1%OF STACK
     CROSS-SECTION)
                                          (a)
GEOMETRICALLY
    SIMILAR
     AREA
 (<;1%OF STACK
CROSS-SECTION)
Figure 3-1.  Relative locations of pollutant (P) and diluent (D) measurement points in (a) circular
           and (b) rectangular ducts. P is located at the centroid of the geometrically similar
           area. Note: The geometrically similar area need not be concentric.
                                 11-127

-------
GEOMETRICALLY
    SIMILAR
     AREAS
 ( <1% OF STACK
CROSS-SECTION)
    GEOMETRICALLY
        SIMILAR
         AREAS
     ( <1% OF STACK
    CROSS-SECTION)
                                          PARALLEL
                                        MEASUREMENT
                                            LINES
                                          (a)
                                                PARALLEL
                                              MEASUREMENT
                                                  LINES
                                              (b)
 F.oure 3-2   Relative locat.ons of pollutant (P) and diluent (D) measurement paths for (a) c.rcular
   *        and  b) rectangular ducts.  P is located at the centroid of both the Qeometr.cal.y .,m.-
             lar areas and the pollutant monitor path cross sectional areas. D is located at the cen-
             troid of the diluent monitor path cross sectional area.
                                          11-128

-------
        Table 3-1.—Performance and Equipment
                  Specifications
       Parameter              Speofccahon

    1. Condrwnng      > 168 hours.
    penod*.
    2  Operational test    > 160 hour*.
    3. Cakbrabon error •_ < 5 pet ol each |rrad-range and
                     high-canoe, only) cafcbrabon gas
                     value.
    4. FUpontetme	 «; 15 mnute*.
    E Zerodntl'2-     < 04 pet CO. or O,
    hour)"-'.
    6. Zero drift (24-    < 10-S pd CO, Of 
-------
Date
          Figure 3-3.  Analysis of Calibration  Gases'
(Must be within 2 weeks prior to the opera-
 tional test period)
Reference Method Used_
      Sample run
        Average
       Maximum %

       deviation
     Mid-range
        ppm
High-range
    ppm
 a Not necessary  if the protocol  in Citation  10.5  of Perfor-
   mance Specification 2  is used  to prepare the  gas cylinders.


 c Average must be 11.0 to 14.0 percent;  for  02, see Section
   5.2.2.

 d Average must be 20.0 to 22.5 percent;  for  02, see Section
   5.2.1.

 e Must be i + 10 percent of  applicable average or 0.5 percent,
   whichever Ts greater.
                          11-130

-------
             Figure 3-4.  Calibration Error Determination
Run
No.

1
2
3
4
5
6
7
8
9
10
11
12
13
14
\5
Calibration Gas
Concentration3
ppm
A















Measurement System
Reading
ppm
B















Arithmetic Mean (Eq. 2-1 )b =
Confidence Interval (Eq. 2-2)b =
Calibration Error (Eq. 2-3)b'C =
Arithmetic
Differences
ppm
A-B
Mid


















High


















Calibration  Data  from Section 6.1
  Mid-level:  C = 	ppm
  High-level: D =	ppm
5  See  Performance Specification 2
:  Use  C or D  as R. V.
                                 11-131

-------
                      Figure 3-5.  Response Time
Date
                                       High-Range =
           ppm
                                                   Downscale
                                                      min
 System Response Time (slower of A and B)  =
mm.
                                11-132

-------
Data
set
no















Date















Time
Begin















End

















Zero Rd.
Init.
A















Fin.
B















Arithmetic Mean (Eq. 2-l)a
Confidence Interval (Eq. 2-2)a
Zero drift
Zero
drift
C=B-A


















Hi-Range
Rdq.
Init.
D















Fin.
E















Span
drift
F=E-D















Calibration drift
Calib.
drift
G=F-C






t











From Performance  Specification  2.
Use Equation  2-3  of  Perfonnance Specification  2  and 1.0 for R.  V.

               Figure 3-6.  Zero and Calibration  Drift (2  hour)
                           11-133

-------
                                           Calibration  drift
Arithmetic  Mean  (Eq.  2-1)
Confidence  Interval  (Eq.  2-2)
                   Zero drift
a  From Performance  Specification 2.
   Use Equation  2-3 of Performance Specification 2, with 1.0 for R. V.
               Figure 3-7.  Zero and Calibration Drift (24-hour)
                             11-134

-------
   6.4  System Relative Accuracy. (Note:
 The relative accuracy is not determined
 separately for the diluent monitor, bat is
 determined for the pollutant-diluent
 system.) Unless otherwise specified in
 an applicable subpart of the regulations,
 the Reference Methods for the diluent
 concentration determination shall be
 Reference Method 3 for CO, or O>. For
 this test. Fyrite analyses may be used
 for COt and O, determinations. Perform
 the measurements using the guidelines
 below (an example data sheet is shown
 in Figure 2-S of Performance
 Specification 2):
   6.4.1  Location of Reference Method 3
 Sampling Points. Locate the diluent
 Reference Method sampling points
 according to the guidelines given in
 Section 6.4.2.1 of Performance
 Specification 2.
   6.4.2  Number of Reference Method
 Tests. Perform one Reference Method 3
 test according to the guideline in
 Performance Specification 2.
  6.4.3  Sampling Strategy for
 Reference Method Tests. Use the basic
 Reference Method sampling strategy
 outlined in Section 6.4.4 (and related
 sub-sections) of Performance
 Specification 2.
  6.4.4  Correlation of Reference
 Method and Continuous Monitor Data.
 Use the guidelines given in Section 6.4.5
 of Performance Specification 2.
  7. Equations. Reporting. Retest, and
 Bibliography. The procedure and
citations are the same as in Sections 7
through 10 of Performance Specification
2.
|FR Doc. 79-31033 Filed 10-0-7* 645 am)
                                                 11-135

-------
ENVIRONMENTAL PROTECTION
AGENCY
40CFR Part 60

[AD-FRL 1625-7]

Standards of Performance for New
Stationary Sources; Proposed
Revisions to General Provisions and
Additions to Appendix A, and
Reproposal of Revisions to Appendix
B
AGENCY: Environmental Protection
Agency (EPA).
ACTION: Proposed Rule and Notice of
Public Hearing.	^__

SUMMARY: This proposed rule (1) revises
the monitoring requirements (§ 60.13) of
the General Provisions. (2) adds
Methods 6A and 6B to Appendix A, and
(3) reproposes revisions to Performance
Specifications 2 and 3 to Appendix B of
40 CFR Part 60. The proposed revisions
to § 60.13 are being made to make this
section consistent with the proposed
revisions to Appendix B. Methods 6A
and 6B are being proposed because they
simplify the determination of the SO,
emission  rates in  terms of ng/J.
Performance Specifications 2 and 3
revisions are being reproposed because
the changes that have been made to the
performance specifications as a result of
comments received on the original
proposal of October 10.1979 (44 FR
58602) are substantial and involve an
entirely new concept.
DATES: Comments. Comments must be
received on or before March 27,1981.
  Public Hearing. A public hearing will
be held on February 19.1981 beginning
at 9 a.m.
  Request to Speak at Hearings.
Persons wishing to present oral
testimony must contact EPA by
February 12.1981 (1 week before
hearing).
ADDRESSES: Comments. Comments
should be submitted (in duplicate if
possible) to: Central Docket Section (A-
130). Attention: Docket Number
OAQPS-79-4. U.S. Environmental
Protection Agency. 401 M Street, SW..
Washington. D.C. 20460.
  Public Hearing. The public hearing
will be held at Emission Measurement
Labatory, R.T.P. North Carolina. Persons
wishing to present oral testimony should
notify Ms. Vivian Phares, Emission
Measurement Branch (MD-13), U.S.
Environmental Protection Agency.
Research Triangle Park. North Carolina
27711 telephone number (919) 541-5423.
  Docket. Docket Number OAQPS-79-4
(Performance Specifications 2  and 3)
and Docket Number A-SO-30 (Methods
6A and 6B). containing supporting
information used in developing the
proposed rulemaking are located in the
U.S. Enviromental Protection Agency,
Central Docket Section. West Tower
Lobby. Gallery 1, Waterside Mall, 401 M
Street. S.W.. Washington. D.C. 20460.
The docket may be inspected between 8
a.m. and 4 p.m. on weekdays, and a
reasonable fee may be charged for
copying.
FOR FURTHER INFORMATION CONTACT:
Mr. Roger T. Shigehara  (MD-19). U.S.
Environmental Protection Agency,
Research Triangle Park. North Carolina
27711. telephone number (919) 541-2237.
SUPPLEMENTARY INFORMATION: The
discussion in this section has been
divided into three separate parts. Part A
discusses proposed changes to the
General Provisions of 40 CFR Part 60.
Part B discusses the addition of
proposed Methods 6A and 6B to
Appendix A. and Part C discusses
reproposal of revisions  to Performance
Specifications 2 and 3 to Appendix B.

Part A
  The proposed revisions to § 60.13 of
the General Provisions are being made
to make this section consistent with the
proposed revisions to Appendix B. Since
the reproposal to Appendix B uses the
concept of evaluating the continuous
emission monitors as a system, based on
relative accuracy test results, the use of
certified cylinder gases, optical filters, or
gas cells is not necessary. The
requirement for quantification of the
zero and span drifts is not a change, but
a clarification of what is required under
the existing performance specifications.

Part B
  Two reference methods (Methods 6A
and 6B) are proposed. Method 6A.
"Determination of Sulfur Dioxide.
Moisture, and Carbon Dioxide
Emissions from Fossil Fuel Combustion
Sources." combines the sampling and
analysis of SOt and CO,. The SO, is
collected in a hydrogen peroxide
solution and analyzed by the barium-
thorin titration procedure described in
Method 6. The CO, is collected by a
solid absorbent and analyzed
gravimetrically. The sample gas volume
is measured to allow determination of
SO, concentration. CO, concentration
moisture, and emission  rate from
combustion sources in ng/J. If the only
measurement needed is in terms of
emission rate or if the CO, and moisture
concentrations are not needed, e.g., to
convert NOE concentration to ng/J, the
volume meter is not required- It is
intended that Method 6A be.used as an
alternative to Methods 6 and 3 for the
purpose of determining SO, emission
rates in ng/J.
  Method 6B. "Determination of Sullu
Dioxide and Carbon Dioxide Daily
Average Emissions from Fossil Fuel
Combustion Sources." employs the sa
sampling train and analysis procedur
as Method 6A, but the operation of th
train is controlled on an intermittent
basis by a  timer or on a continuous
basis by using a low, constant flow-n
pump. This allows an extended
sampling time period and the
determination of an average value foi
that time period of SO, concentration
CO, concentration, and emission rate
from combustion sources in ng/J.
Method 6B is proposed as an accepta
proce'dure for compliance with § 60.41
(f) of 40 CFR Part 60. Subpart Da. This
paragraph (f) requires that in the ever
of GEMS breakdown, emission data v
be obtained by  using other monitorin
systems or reference methods approv
by ihe Administrator.

PartC
  Revisions to Performance
Specifications 2 and 3 for the initial
evaluation of continuous emission
monitoring systems (GEMS) for SO,.
NO., and diluent gases were propose
on October 10.1979 (44 FR 58602).
Comments received as a result of this
proposal led to  reevaluation of the
provisions  and a change in the overa
approach to the performance
specifications. The reproposed
performance  specifications deempha:
instrument equipment specifications
add emphasis to the evaluation of th(
GEMS and its location as a system. T
specification  requirements are limitei
calibration drift tests and relative
accuracy tests. The acceptability lim
for relative.accuracy remain the sam
in the previously proposed revisions
the performance specifications.
  CEMS guidelines will also be
published in a separate document at
time of proposal to provide vendors,
purchasers, and operators of CEMS v
supplementary equipment and
performance specifications. The -
guidelines will contain additional
procedures and specifications that m
provide further  evaluation of the CEf
beyond that required by Performanci
Specifications 2 and 3. e.g.. response
time. 2-hour zero and calibration dri
sampling locations, and calibration
value analyses.
Applicability
  The proposed revisions would app
to all CEMS currently subject  to
Performance  Specifications 2 and 3.
These  include sources subject to
standards of performance that have
                                                    11-136

-------
 already been promulgated and sources
 subject to Appendix P to 40 CFR Part 51.
 Since the requirements of the
 reproposed performance specification
 revisions are limited to daily calibration
 drift tests and relative accuracy tests.
 existing CEMS that met the
 specifications of the current
 Performance Specifications 2 and 3 also
 meet the requirements of these revised
 specifications and. therefore, do not
 require retesting.
  This reproposal has retained the
 definition of a "continuous emission
 monitoring system" and includes the
 diluent monitor, if applicable. This
 definition requires the relative accuracy
 of the CEMS to be determined in terms
 of the emission standard, e.g- mass per
 unit calorific value for fossil fuel-fired
 steam generators. Several commenters
 felt that the limits of relative accuracy
 should be relaxed from the present 20
 percent because of the  addition of the
 diluent analyzer output Others added
 that errors with the manual reference
 methods could increase the possibility
 of poor relative accuracy determinations
 now that an additional measurement is
 required. The Administrator has
 reviewed a  number of relative accuracy
 tests and has concluded that the
 variations in the manual reference
 method determinations are not the
 major cause of failure, but that the
 difference between the  mean of the
 reference method and the CEMS values
is the most probable cause. This
 situation is correctable.

Comments on Proposal
  Numerous commenters noted that the
 jroposed revisions go far beyond
clarification and considered them as
significant changes. A large part of this
concern WES because they felt that
many existing CEMS were not installed
 according to the proposed installation
 specifications. In addition, many
 ;ommenters felt the need for greater
 lexibility in selecting alternative CEMS
 •ncasurement locations. Several
 :ommen'f rs desired the inclusion of test
 procedures to evaluate single-pass, in
 ;ilu CEMS. Others objected to the length
 md cost of testing. Opposing views
 vere presented on the need for
 itratification checks. Many commenters
 call with specific parts of the proposal
 ind a few raised issues  beyond the
 cope of the revisions! Because the
 Administrator has changed the overall
 pproach to performance specifications
 s mentioned in the beginning of Part C,
 nany of these comments no longer
 pply and many of the objections have
 ieen resolved.
 The quality assurance requirement*
 ar CEMS and associated issues were
 raised by many commenters. Most
 commenters stated that there was a
 need for EPA to issue guidelines or
 requirements for quality assurance. EPA
 is developing such procedures, and they
 will be published later  this year or early
 next year as Appendix E to 40 CFR  Part
 60. Some commenlers erroneously
 assumed that the quality assurance
 procedures were an integral part of the
 specifications. Although related, this
 specification should be evaluated on the
 basis of its adequacy in evaluating a
 CEMS  after their initial installation.
   The reproposed performance
 specifications include a provision that
 the relative accuracy of a CEMS must be
 within  ±20 percent of the mean
 reference value or ±10 percent of the
 applicable standard, whichever is
 greater. Several commenters endorsed
 this change, while one felt the change to
 allow an accuracy of ±10 percent of the
 applicable standard is too lenient at low
 emission rates. The Administrator feels
 that it is restrictive to require a high
 degree  of relative accuracy when the
 actual emission levels are equivalent to
 50 percent or less of the applicable
 emission standard.
 Request for Comments on Other Views
   A number of suggestions were
 received which were not incorporated in
 these revisions. Because they represent
 differing views, EPA requests comments
 on them to determine what course of
 action should be taken in the final rule
 making. The suggestions are as  follows:
   1. Section 60.13(b) was revised to
 exclude the mandatory 7-day
 conditioning period used to verify the
 CEMS operational status. Once
 commenter feels that the mandatory
 conditioning period should not only be
 retained, but should be made longer
 depending on how the CEMS is  used
 (i.e., for operation and maintenance
 requirements or for compliance/
 enforcement purposes) as follows:
  a. The presently required 7-day
 conditioning period should be retained
 for CEMS used for operation and
 maintenance requirements.
  b. If the CEMS is used for compliance/
 enforcement purposes, a 30-day
 conditioning period should be required
 an,d that the relative accuracy tests
 should be spread over 3  days instead of
one.
  c. All  CEMS. whether for operation
and maintenace requirements or for
compliance/enforcement purposes.
 should be installed and operational for
60 or 90 days prior to the initial NSPS
test
  If the  above are done,  the commenter
feels that (1) the owner/operator/agency
would be aware of the progress made by
 the control system in complying with the
 emission standards. (2) there would be a
 greater chance of the CEMS passing the
 performance specification test and of
 the facility complying with the
 regulations within the time requirements
 of § 60.8. and (3) the operator/vendor/
 tester/agency would minimize loss of
 valuable resources and time.
   2. Once commenter feels that
 { 60.13{c) should require all CEMS
 Performance Specification Tests to be
 done concurrent with NSPS tests under
 5 60.8. This would  streamline the
 process and save resources for owners
 and agencies alike.
   3. Section 60.13(d) was revised to
 delete the requirements listed under
 (d)(l) and (d)(2) because EPA felt that
 the relative accuracy test would validate
 the CEMS system which includes the
 calibration gases or devices. One
 commenter. however, feels that the
 requirement to introduce zero and span
 gas mixtures into the measurement
 system at the probe at the stack wall
 should be retained and conducted in
 such a way that the entire system
 including the sample interface is
 checked.  This requirement would
 provide a means to check the CEMS on
 a daily basis. In addition, the commenter
 feels that the requirement for checking
 the calibration gases at 6-month
 intervals  may be deleted provided that
 the values used for replacement gas
 cylinders, calibration gas cells or optical
 filters are approved by the control
 agency.
  4. One commenter feels that the
 following specifications should be
 added in  Section 4 of Performance
 Specification 2:
  a. The CEMS relative accuracy should
 be relaxed by using a sliding function of
 the allowable emission standard and/or
 the reference method tesls for very lo\v
 emission limits, e.g.. 0.10 pounds per 10*
 Btu emission limit under PSD permits.
  b. Each new compliance/enforcement
 CEMS installed after 1983 must have an
 external means of checking the
 calibration of the instrument using
 separate calibration/audit materials.
  c. A minimum data recovery
 specification of at least 18 hours in at
 least 22 out of 30 days (or similar)
 should be included. This would mean
 that a performance  specification test
 would not be officially completed until
 after the 30 days.
  5. One commenter feels that EPA
 should consider using Section 7.1 of
Performance Specification 2 to specify
 that daring the CEMS performance
specification test all data be recorded
both in separate units of measurements
(ppm end  percent CO, or O,) as well as
combined units of the standard.
                                                     11-137

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  6. In Performance Specification 2, the
definition of "Relative Accuracy" is
incorrect Instead of a degree of
correctness, it i« actually a measure of
"relative error." One commenter feels
that "relative accuracy" should be
changed to "relative error."
  7. In Section 7.3 of Performance
Specification 2, the tester is allowed to
reject up to three samples provided that
the total number of test results used to
determine the relative accuracy is
greater than or equal to nine. EPA had
considered using statistical techniques
to reject outliers, but found that these
techniques were too restrictive. One
commenter feels that statistical
techniques should be used. At a
minimum, the commenter feels that the
control agencies should be consulted
before any data is rejected.

Miscellaneous
. Authority: This proposed rule making is
issued under the authority of sections 111.
114 and 301(a) of the Clean Air Act as
amended (42 U.S.C. 7411. 7414. and  7601{a)).
  Da ted: January 13.1981.
Douglas M. Costle.
Administrator.
  It is proposed that 55 60.13. 60.46. and
60.47a. Appendix A, and Appendix B of
40 CFR Part 60 be amended as follows:
  1. By revising 5 60.13(b). 60.13(c)(2)(ii).
and 60.13(d). by removing
subparagraphs (1). (2). and (3) of
§ 60.13(b). and by removing
subparagraphs (1). (2). and (3) of
§ 60.13(d) as follows:

( 60.13  Monitoring requirements.
.    .    •    •    •
  (b) All continuous monitoring systems
and monitoring devices shall be
installed and operational prior to
conducting performance tests under
§ 60.8. Verification of operational status
shall, as a minimum, include completion
of the manufacturer's written
requirements or recommendations for
installation, operation, and calibration
of the device.
  (c) * ' '
  PI"*          .   .           ,
  (ii) Continuous monitoring systems lor
measurement of nitrogen oxides or
sulfur dioxide shall be capable of
measuring emission levels within ±20
percent with a confidence level of 95
percent The performance tests  and
calculation procedures set forth in
Performance Specification 2 of
Appendix B shall be used for .
demonstrating compliance with this
specification.
»    •    •    •    •
  (d) Owners and operators of all
continuous emission monitoring systems
installed in accordance with the
 provisions of this part shall check the
 zero and span drift at least once daily in
 accordance with the method prescribed
 by the manufacturer of such systems
 unless the manufacturer recommends
 adjustments at shorter intervals In
 which case such recommendations shall
 be followed. The zero and span shall, as
 a minimum, be adjusted whenever the
 24-hour zero drift of 24-hour span drift
 limits of the applicable performance
 specifications in Appendix B are
 exceeded. The amount of excess zero
 and span drift measured at the 24-hour
 interval checks shall be quantified and
 recorded. For continuous monitoring
 systems measuring opacity of emissions.
 the optical surfaces exposed to the
 effluent gases shall be cleaned prior to
 performing the zero and span drift
 adjustments except that for systems
 using  automatic zero adjustments, the
 optical surfaces shall be cleaned when
 the cumulative automatic zero
 compensation exceeds 4 percent
 opacity. Unless otherwise approved by
 the Administrator, the following
 procedures shall be followed for
 continuous monitoring systems
 measuring opacity of emissions.
 Minimum procedures shall include a
 method for producing a simulated zero
 opacity condition and an upscale(span)
 opacity condition using a certified
• neutral density filter or other related
 technique to produce a known
 obscuration of the light beam. Such
 procedures shall provide a system check
 of the analyzer internal optical surfaces
 and all electronic circuitry including the
 lamp and photodelector assembly.

   2. By revising § 60.46(a)(4) as follows:

 { 60.46 Test methods and procedures.
   (a) * * '
   (4) Method 6 for concentration of SOa-
 Method 6A may be used whenever
 Methods 6 and 3 data are used to
 determine the SO, emission rate in ng/J.
 and

   3. By revising 5 60.47a(h)(l) as follows:

 § 60.47*   Emission monitoring.

   (h) * * *
   (1) Reference Methods 3, 6, and 7 as
 applicable, are used. Method 6B may be
 used whenever Methods B and 3 data
 are used to determine the SO, emission
 rate in ng/J. The sampling location(s)
 are the same as those used for the
 continuous monitoring system.

   4. By adding to Appendix A of 40 CFR
 Part 60 two new methods. Methods 6A
 and Method 68, to read as follows:
Appendix A—Reference Test Melhodi
•    «     •     •    •

Method 6A—Determination of Sulfur
Dioxide. Moisture, and Carbon Dioxide
Emissions from Fossil Fuel Combustion
Sources
1. Applicability and Principle
  1.1  Applicability. This method applies
the determination of sulfur dioxide (SO,)
emissions from fossil fuel combustion sour
In terms of concentration [mg/m*)and in
terms of emission rate (ng/J) and to the
determination of carbon dioxide (CJ,)
concentration (percent). Moisture, if desire
may also be determined by this method.
  The minimum detectable limit, the uppei
limit, and the interferences of the method
the measurement of SO. are the same as f<
Method 6. For a 20-liter sample, the metho
has a precision of 0.5 percent COi for
concentrations between 2.5 and 25 percen
CO, and 1.0 percent moisture for moisture
concentrations greater than 5 percent.
  1.2  Principle. The principle of sample
collection is the same as for Method 6 exc
that moisture and CO, are collected In
addition to SO. in the same sampling train
Moisture and CO, fractions are determine
gravimelrically.
2. Apparatus
  2.1  Sampling. The sampling train is
shown in Figure BA-1: the equipment
required is the same as for Method 6. exce
as specified below:
  2.1.1   Midget Impingers. Two 30-ml mic
impingers with a 1-mxn restricted tip.
  2.1.2   Midget Bubb'.er. One 30-ml midge
bubbler with an unrestricted tip.
  2.1.3   CO, Absorber. One 250-ml
Erlenmeyer bubbler with an unrestricted
or equivalent.
  2.2  Sample Recovey and Analysis. Thi
equipment needed for sample recovery an
analysis is the same as required for Meth(
6. In addition, a balance to measure withii
0.05 g is needed for analysis.
3. Reagents
  Unless otherwise indicated, all reagents
must conform to the specifications
established by the Committee on Analytic
Reagents of the American Chemical Socie
Where such specifications are not availat
use the best available grade.
  3.1  Sampling. The reagents required ft
tampling are the same as specified in Me
6, except that 80 percent isopropanol and
percent potassium iodide solutions are no
required. In addition, the following reager
are required:
                                                       11-138

-------
PROBE (END PACKED ^
 WITH QUARTZ OR
   PVREX WOOL)
                        STACK WALL
                                                                           THERMOMETER
                  MIDGET BUBBLERS
MIDGET IMPINGERS
                                   ICE BATH
                               THERMOMETER
                                                            RATE METER    NEEDLE VALVE
                                          DRY

                                       GAS METER
                              Figure 6A-1. Sampling train.
                                                                                    PUMP
                      SURGE TANK
                                       11-139

-------
  3 1.1  Drierite'.' Anhydrous calcium sulfate
(CaSO.) desiccant, 8 mesh.
  3 1.2.  Ascarite. Sodium hydroxide.coated
asbestos for absorption of CO,. 8 to 20 mesh
  3.2  Sample Recovery and Analysis. The
reagents needed for sample recovery and
analysis are the same as for Method 6,
Sections 3.2 and 3.3, respectively.
4. Procedure
  4.1  Sampling
  4.1.1  Preparation of Collection Train.
Measure IS ml of 3 percent hydrogen
peroxide into each of the first two midget
iropingers. Into the midget  bubbler, place
about 25 g of drierite. Clean the outsides of
the impingers  and the drierite bubbler and
weigh (at room temperature, ~ 20" C) to the
nearest 0.1 g. Weigh the three vessels
simultaneously and record this initial mass.
  Place a small amount of glass wool In the
Erlenmeyer bubbler. The glass wool should
cover the entire bottom of  the flask and be
about 1-cm thick. Place about 100 g of
ascarite on top of the glass wool and
carefully insert the bubbler top. Plug the
bubbler exhaust leg and invert the bubbler to
remove any ascarite fom the bubbler rube. A
wire may be useful in assuring that no
ascarite remains in the tube. With the plug
removed and the outside of the bubbler
cleaned, weigh (at room temperature (at room
temperature. - 20' C),  to the nearest 0.1 g.
Record this initial mass.
  Assemble the train as shown in Figure 6A-
1. Adjust the probe heater  to a temperature
sufficient to prevent water condensation.
Place crushed ice and water around the
irnpingers and bubblers.
  Note.—for stack gas streams with high
p.articulate loadings, an in-stack or heated
out-of-stack glass fiber mat filter may be used
in place  of the glass wool plug in the probe.
  4.1.2  Leak-Check Procedure and Sample
Collection. The leak-check procedure and
sample collection procedure are the same as
specified in Method 6, Sections 4.1.2 and
4.1.3, respectively.
  4.2  Sample Recovery.
  4.2.1  Moisture Measurement. Disconnect
the peroxide impingers and the drierite
bubbler from the sample train. Allow time
(about 10 minutes) for them to reach room
temperature, clean the outsides and then
weigh them simultaneously in the same
manner as in Section 4.1.1. Record this final
mass.
  4.2.2  Peroxide Solution. Pour the contents
of the midget impingers into a leak-free
polyethylene bottle for shipping. Rinse the
two midget impingers and connecting tubes
with deionized distilled water, and add the
washings to the same storage container.

  •Mention of trade namei or specific products
dots not constitute endorsement by the U.S.
Environmental Protection Agency.
   4.2 3  CO, Absorber. Allow the Erlenmeyer
 bubbler to warm to room temperature (about
 10 minutes), cleen the outside, and weigh to
 the nearest 0.1 g in the same manner as in
 Section 4.1.1. Record this final mass and
 discard the used ascarite.
   4.3   Sample Analysis. The sample analysis
 procedure for SO, is the same as specified in
 Method 6. Section 4 J.
 5. Calibration
   The calibrations and checks are the same
 as required in Method 0. Section 5.
 8. Calculations
   Carry out calculations, retaining at least 1
 extra decimal figure beyond that of the
 acquired data. Round off figures after final
 calculation. The calculation nomenclature
 and procedure are the  same as specified in
 Method 6 with the addition of the following.
                                  6.1  Nomenclature.
                                CHHo = Concentration of moisture, percent.
                                co^ = Concentration of COt. dry basis.
                                    percent.
                                mw1 = InitiaJ mass of peroxide impingers and
                                    drierite bubbler, g.
                                mw<=Final mass of peroxide impingers and
                                    drierite bubbler, g.
                                m^ = Initial mass of ascarite bubbler, g.
                                m»,= Final mass of ascarile bubbler, g.
                                Vcofi(,1-) = Standard equivalent volume of
                                    COt collected, dry basis, ms.

                                 6.2  COi volume collected, corrected to
                                standard conditions.

                                Vco, <.u>=5.467xO-"(m./-m.) (Eq. 6A-1)

                                 6.3  Moisture volume collected, corrected
                                to standard conditions.
          Xstd
                                     -3
     )  =  1.336  x 10" J  (m
                             'wf
- m  .)
    wi'
(Eq.  6A-2)
 6.4  SO- concentration.
                                   (V   -

                                             *  VC02(std)
                                                                        (Eq.  6A-3)
6.5   CO- concentration.
                                 *C02(std)
                  C02    V.(std)  +
                                                      x  100
                                                          (Eq. 6A-4)
6.6   Moisture concentration.
                       VH,0(std)
Q     =   	    *•	
 H2°    Vm(std) + VH20(std)  +  VC02(std)
                                                                      (Eq.  6A-5)
7. Emission Rate Procedure

  If the only emission measurement desired
is in terms of emission rate of SO, (ng/J), an
abbreviated procedure may be used. The
differences between Method 6A and the
abbreviated procedure are described below.
  7.1   Sample Train. The sample train is the
same as shown in Figure 6A-1 and as
                              described in Section 4. except that the dry
                              gas meter is not needed.
                                7.2  Preparation of the collection train.
                              Follow the same procedure as in Section
                              4.1.1. except that the peroxide impingers and
                              drierite buboler need not be weighed before
                              or after t\e test run.
                                7.3  Sampling. Operate the train as
                              described in Section 4.1.3. except that dry gas
                                                         11-140

-------
 meler readings. barom=lric pressure, and dry
 gas meler temperature* need not be recorded.
   7.4  Sample Recovery. Follow the
 procedure in Section 4.2. except that the
 peroxide Irapingers and drierile bubbler need
 not be weighed.
ms()
         32.03
                                    - Ytfa)
                                7.5 Sample Analysis. Analysis of the
                              peroxide solution Is the same as described In
                              Section 4.3.
                                7.6 Calculations.
                                7.0.1  SOi mass collected.
(Eq.  6A-7)
  Where:
  Mass
                       of S02  collected, mg.
        7.6.2  Sulfur dioxide emission  rate.
Where:
  Ev)U = Ermss'on rate of SOt. ng/J.
  F«=Carbon F factor for the fuel burned,
m'/J. fr°m Method 19.
8. Bibliography
  8.1  Same as for Method 6, citations 1
through 8, with the addition of the following:
  8.2  Stanley. Jon and P.R. Westlin. An
Alternate Method for Stack Gas Moisture
Determination. Source Evaluation Society
Newsletter. Volume 3, Number 4. November
1978.
  8.3  Whittle. Richard N. and P.R. Westlin.
Air Pollution Test Report: Development and
Evaluation of an Intermittent Integrated
SOi/CO. Emission Sampling Procedure.
Environmental Protection Agency,
Emission Standard and Engineering
Division. Emission Measurement
Branch. Research Triangle Park, North
Carolina. December 1979.14 Daces.
                                                 m
                                                  'SO,
                                              »af '  mai'
                                                                       (Eq. 6A-8)
                             Method 6B—Determination of Sulfur Dioxide
                             and Carbon Dioxide Daily A veroge
                             Emissions From Fossil Fuel Combustion
                             Sources
                             1. Applicability and Principle
                               1.1   Applicability. This method applies to
                             the determination of sulfur dioxide (SO,)
                             emissions form combustion sources in terms
                             of concentration (nag/M") and emission rate
                             (ng/J), and for the determination of carbon
                             dioxide (CO,) concentration (percent) on a
                             daily  (24 hours) basis.
                               The minimum detectable limit, upper limit.
                             and the interferences for Sd measurements
                             are the same as for Method 0. For a 20-liter
                             •ample, the method hns a precision of 0.5
                             percent COi for concentrations between 2.5
                             and 25 percent CO..
                               1.2   Principle. A gas sample is extracted
                             from the  sampling point in the stack
                             intermittently over a 24-hour or other
                             specified time period. Sampling may also be
                             conducted continuously if the apparatus and
 procedure ere modified (see the note in
 Section 4.1.1). The SO, and CO, are separated
 and collected in the sampling train. The SO,
 fraction i» measured by the barium-thorin
 titration method and CO, is determined
 gravimetricaUy.
 2. Apparatus
   The equipment required for this method is
 the same as specified for Method 6A. Section
 2. with the addition of an industrial timer-
 swilch designed to operate In the "on"
 position from 3 to 5 continuous minutes and
 "off the remaining period over a repeating.
 2-hour cycle.
3. Reagents
   All reagents for sampling and analysis are
the same as described in Method 6A, Section
3.
4. Procedure.
   4.1  Sampling
   4.1.1  Preparation of Collection Train.
Preparation of the sample train is the same as
described in Method 6A. Section 4.1.4 with
the addition of the following:
   Assemble the train as shown in Figure 6B-
1. The probe must be heated to a temperature
sufficient to prevent water condensation and
must include a filter (either in-slack, out-of-
stack. or both) to prevent particulate
entrainment in the perioxide impingers. The
electric supply for the probe heat should be
continuous and separate from the timed
operation of the sample pump.
   Adjust the timer-switch to operate in the
"on" position form 2 to 4 minutes on a 2-hour
repeating cycle. Other timer sequences may
be used provided there are at least 12 equal.
evenly spaced periods of operation over 24
hours and the total sample volume is
between 20 and 40 liters for the amounts of
sampling reagents prescribed in this method.
  Add  cold water to the tank until the
impingera and bubblers are covered at least
two-thirds of their length. The impingcrs and
bubbler tank must be covered and protected
from intense heat and direct sunlight I/
freezing conditions exist the impinger
solution and the water bath must be
protected.
                                                         11-141

-------
PRODE (END PACKED^
 WITH QUARTZ OR
   PYREX WOOL)
                       STACK WALL
                                                                         THERMOMETER
                  MIDGET BUBBLERS
MIDGET IMPINGERS
                                   ICE OATH''
                              THERMOMETER
                                                     Tl   , RATE METER    NEEDLE VALVE
                                          DRY

                                       GAS METER
                              Figure 6B-1. Sampling train.       SURGE TANK

-------
   Note.—Sampling may be conducted
  continuously If a low flow-rate »ample pump
  (>24ml/min) It used. Then the timer-switch
  ii not necessary. In addition, if the sample
  pump is designed for constant rate sampling.
  the rate meter may be deleted. The total gas
  volume collected should be between 20 and
  40 liters for the amounts of sampling reagents
  prescribed in this method.
   4.1.2  Leak-Check Procedure. The leak-
  check procedure is the same as describedf in
  Method 6. Section 4.1.2.
   4.1.3  Sample Collection. Record the initial
  dry gas meter reading. To begin sampling.
  position the tip of the probs at the sampling
  point, connect the probe to the first impinger
  (or filter), and start the timer and the sample
  pump. Adjust the sample flow to a constant
  rate of approximately 1.0 liter/min as
  indicated by the rolameler. Assure that  the
  timer is operating as Intended. i.e, in the "on"
  position 3 to 5 minutes at 2-hour intervals, or
  other time interval specified.
   During the 24-hour sampling period, record
  the dry gas meter temperature between 9.00
  a.m. and 11:00 aja, and the barometric
 pressure.
   At the conclusion of the run. turn off the
  timer and the sample pump, remove the  probe
 from the stack, and record  the final gas meter
 volume reading.  Conduct a leak check as
 described in Section 4.1.2. If a leak is found.
 void the test run or use procedures
 acceptable to the Administrator to adjust the
 snmplc volume for leakage. Repeat the steps
 in this Section (4.1.3) for successive runs.
   4.2  Sample Recovery. The procedures for
 sample recovery (moisture  measurement.
 peroxide solution, and ascarile bubbler) are
 the same as in Method 6A.  Section 4.2.
   4.3  Sample Analysis. Analysis of the
 peroxide impinger solutions is the same as in
 Method 6, Section 4.3.
 5. Calibration
   5.1 Metering System.
   5.1.1  Initial Calibration. The initial
 calibration for the volume metering system is
 the same as for Method 6, Section 5.1.1.
   5.1.2  Periodic Calibration Check. After 30
 days of operation of the test train conduct a
 calibration check as in Section 5.1.1 above.
 except for the following variations: (1) The
 leak check is not be conducted. (2) three  or
 more revolutions of the dry gas meter may be
 used, and (3) only two independent runs  need
 be made. If the calibration factor does not
 deviate by more than 5 percent from the
 initial calibration factor determined in
 Section 5.1.1, then the dry gas meter volumes
 obtained durinylhe test series are acceptable
 and use of the train can continue. If the
 calibration factor deviates by more than  5
 percent recalibrate the metering system  as in
 Section 5.1.1: and for the calculations for the
 preceding 30 days of data, use the calibration
 factor (initial orrecalibralion) that yields the
lower gas volume for each test run. Use the
latest calibration fact or for succeeding tests.
  SJ  Thermometer*. Calibrate against
mercury-in-glad thermometers initially and
• l3CH3ay intervals.
  5.3  Jiolameter. The rolameler need not be
calibrated, but should be cleaned and
maintained according to the manufacturer's
instruction.
    5.4  Barometer. Calibrate against a
  mercury barometer Initially and at 30-day
  intervals.
    5.5  Barium Perchlorate Solution.
  Standardize the barium perchlorale solution
  against 25 ml of standard sulfuric acid to
  which 100 ml of 100 percent isopropanal has
  been added.
  6. Calculations
    The nomenclature and calculation
  procedures are the seme as in Method 6A
  with the following exceptions:
    P*a = Initial barometric pressure for the lest
  period, mm Hg.
    T-=Absolute meter temperature for the
  lest period. "K.
  7. Emission Rate Procedure
    The  emission rate procedure is the same as
  described in Method 6A, Section 7, except
  that the timer is needed and is operated as
  described in this method.
  8. Bibliography
    The bibliography is the same as described
  in Method 6A. Section 8.
  •     •*•••
    5. By revising Performance 2 and
  Performance 3 of Appendix B of 40 CFR
  Part 60 to read as follows:
  Appendix B—Performance Specifications
  .    •    •     •      •

 Performance Specification 2—Specifications
 and Test Procedures for SO, and A'O,
 Continuous Emission Monitoring Systems in
 Stationary Sources
 1. Applicability and Principle
   1.1  Applicability. This specification is to
 be used for evaluating the acceptability of
 SO. and NO, continuous emission monitoring
 systems (CEMS) after the initial installation
 end whenever specified in an applicable
 subpart of the regulations. The CEMS may
 include, for certain stationary sources.
 diluent (O« or CO,) monitors.
   1.2  Principle. Installation and
 measurement location specifications.
 performance and equipment specifications,
 test procedures, and data reduction
 procedures are included in this specification.
 Reference method (RM) tests and calibration
 drift tests are conducted to determine
 conformance of the CEMS with the
 specification.
 2. Definitions
   2.1  Continuous Emission Monftoring
 System (CEMS). The total equipment
 required for the determination of a gas
 concentration or emission rate. The system
 consists of the following major subsystems:
   2.1.1  Sample Interface. That portion of the
 CEMS that is used for one or more  of the
 following: Sample acquisition, sample
 transportation,  and sample conditioning, or
 protection of the monitor from the elfects of
 the slack effluent
   2.1.2  Pollutant Analyzer. That portion of
the CEMS that senses the pollutant gas and
 generates an output that is proportional to the
 gas concentration.
  2.1 J  Diluent Analyzer (if applicable).
 That portion of the CEMS that senses the
 diluent gas (e.g.. CO. or O>) and generates an
 output that is proportional to the gas
 concentration.
   2.1.4  Data Recorder. That portion of the
 CEMS that providei a permanent record of
 the analyzer output. The data recorder may
 include automatic data reduction capabilities.
   2.2  Point CEMS. A CEMS that measures
 the gas concentration either at  a single point
 or along a path that it equal to or less than 10
 percent of the equivalent diameter of the
 stack or duct cross section.
   23  Path CEMS.  A CEMS that mesures the
 gas concentration along a path that is greater
 than 10 percent of the equivalent diameter of
 the slack or duct cross section.
   2.4  Span Value.  The upper limit of a gas
 concentration measurement range that is
 specified for affected source categories in the
 applicable subpart of the regulations.
   2J  Relative Accuracy. (RAJ. The absolute
 mean difference between the gas
 concentration or emission rate  determined by
 the CEMS and the value determined by the
 reference method(s) plus the 2.5 percent error
 confidence coefficient of a series of tests
 divided by the mean of the reference method
 (RM] tests or the applicable emission limit
   2JB  Calibration Drift (CD). The difference
 In the CEMS output  readings from the
 established reference value after a staled
 period of operation during which no
 unscheduled maintenance, repair, or
 adjustment took place.
   U   Centroidal Area. A concentric area
 thai is gecmeiricnlly fcirnilar to  the stack or
 duct cross section and is no greater than 1
 percent of the stack  or d-.icl cross-scctio:ial
 area,.
   2.8  Representative Results.  As defined by
 the RM lest procedure outlined  in this
 specification.
 3.  Installation and Measurement Location
 Specifications
   3.1  CEMS Installation and Measurement
 Location. Install the  CEMS at an accessible
 location where the pollutant concentration or
 emission rate measurements ere directly
 representative or can be corrected so as to be
 representative of the total emissions from the
 affected facility. Then select representative
 measurement points or paths for monitoring
 such that the CEMS  will pass the relative
 accuracy (RA) test (see Section 7). If the
 cause of failure to meet the RA  test is
 determined to be the measurement location.
 the CEMS may be required to be relocated.
   Suggested measurement locations and
 points or paths are listed below; other
 locations and points or paths may be less
 likely to provide data thai will meet the RA
 requirements.
   3.1.1   CEMS Location. It is suggested that
 the measurement location be at least two
 equivalent diameters downstream from the
 nearest control device or other point  at whicb
 a change in the pollutant concentration or
 emission rate may occur and at  least a half
 equivalent diameter upstream from Ihe
 effluent exhaust
  3.1 JZ  Point CEMS. It b suggested that the.
 measurement point.be (1) no less than 1.0
 meter from the slack or duct wnfl. or (2)
within or centrally located over  the
centroidal area of the slack or docl cross
 •ection.
                                                           11-143

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    3.1-3  Path CEMS. It li §ugge0led lhal the
  effective measurement path (1) be totally
  within the Inner area bounded by a line 1.0
  meter from the stack or duel wall, or (2) have
  •I least 70 percent of the path within tha
  Inner 50 percent of the stack or duct cross-
  •ectiona] area, or (3} be centrally located
  over any pert of the centroidal area.
    3.2  RM Measurement Location.and
  Traverse Points. Select an RM measurement
  point that ii accessible and at least (wo
  equivalent diameter* downstream from the
  nearest control device or other point at which
  a change in the pollutant concentration or
  emission rate may occur and at least a half
  equivalent diameter upstream from  the
  effluent exhaust The CEMS and RM
  locations need not be the same.
    Then select traverse points that assure
  acquisition of representative samples over
  the stack or duct cross section. The  minimum
  requirements are as follows: Establish a
  "measurement line" that passes through the
  centroidal area. If this line Interferes with the
  CEMS measurements, displace the line up to
  30 cm (or 5 percent of the equivalent diameter
  of the cross section, whichever is less) from
  the centroidal area. Locate three traverse
  points  at 18.7. 50.0, and S3.3  percent  of the
  measurement line. If the measurement line is
  longer  than 2.4 meters, the three traverse
  points may be located on the line at  0.4.1-2;
  and 2.0 meters from the stack or duct wall.
 The tester may select other traverse points.
 provided that they can be shown to the
 satisfaction of the Administrator to provide a
 representative sample over the stack or duct
 cross section. Conduct all necessary RM tests
 within 3 cm [but no less than 3 cm from the
 stack or duct wall) of  the traverse points.
 4.  Performance and Equipment
 Specifications
   4.1  Instrument Zero and Span. The CEMS
 recorder span must be set at 90 to 100 percent
 of recorder full-scale using a span level  of 90
 to 100 percent of the span value (the
 Administrator may approve other span
 levels). The CEMS design must also allow the
 determination of calibration  drift at the zero
 and span  level points on the  calibration
 curve. If this is not possible or is impractical.
 the design must allow these determinations
 to be conducted al a low-level (0 to SO
 percent of spaa value] point and at a high-
 level (60 to 100 percent of span value) point
 In special cases, if not already approved, the
 Administrator may approve a single-point
 calibration-drift determination.
   42  Calibration Dp'ft. The CEMS
 calibration must not drift or deviate from the
 reference  value of the gas cylinder, gas cell,
 or optical  filter by more than 2.5 percent of
 the span value. If the CEMS includes
 pollutant and diluent monitors, the
 calibration drift must be determined
 separately for  each in terms of concentrations
 (see Performance Specification 3 for the
 diluent specifications).
  4J3  CEMS Relative Accuracy. The RA of
 the CEMS must be no greater than 20 percent
 of the mean value of the RM test data in
 terms of the units of the emission standard or
10 percent of the applicable standard.
whichever Is greater.
  5.  Performance Specification Test
  Procedure
    5.1  Pretest Preparation. Install the CEMS
  and prepare the RM test site according to the
  specifications in Section 3. and prepare the
  CEMS for operation according to the
  manufacturer's written instructions.
    5.2  Calibration Drift Test Period. While
  the affected facility is operating at more than
  50 percent capacity, or as specified in an
  applicable tubpart, determine the magnitude
  of the calibration drift  (CD) once each day (at
  24-hour intervals] for 7 consecutive days
  according to the procedure given in Section 6.
  To meet the requirement of Section 4.2. none
  of the CD's must exceed the specification.
    5.3  RA Test Period. Only, after the CEMS
  passes the CD test, conduct the RA test
  according to the procedure given in Section 7
  while the  affected facility is operating at
  more than 50 percent capacity, or as specified
  in an applicable tubpart. To meet the
 specifications, the RA must be equal to or
 less than 20  percent or 10 percent of the
 applicable standard, whichever is greater.
 For Instruments that use common
 components to measure more than one
 effluent gas constituent, ail channels must
 simultaneously pass the RA requirement.
 unless it can be demonstrated  that any
 adjustments made to one channel did not
 affect the others.
 6.  CEMS Calibration Drift Test Procedure
   The CD  measurement is to verify the ability
 of the CEMS to conform to the  established
 CEMS calibration used  for determining the
 emission concentration  or emission rate.
 Therefore, if periodic automatic, or manual
 adjustments are made to the CEMS zero and/
 or calibration settings, conduct the CD test
 Immediately  before these adjustments.
  Conduct the CD test at the two points
 specified In Section 4.1. Introduce to the
 CEMS the reference gases, gas  cells, or
 optical filters (these need not be certified).
 Record the CEMS response and subtract this
 value from the reference value (see example
 data sheet  in Figure 2-1).
  If an Increment addition procedure is used
 to calibrate the CEMS. a single-point CD test
may be used  as follows: Use an increment
cell or calibration gas ith a value that will
provide a total CEMS response (i.e.. stack
plus cell concentrations) between 80 and 95
percent of the span value. Compare the
difference between the measured CEMS
response and the expected CEMS response
with the increment value to establish the CD.
                                                       11-144

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o>
>


oc

Day














Date and
time














Calibration
value














Monitor
value














Difference














Figure 2-1.  Calibration drift detenni nation.
              11-145

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  Relative Accuracy Test Procedure
    7.1  Sampling Strategy (or RM Tests.
  Conduct the RM tests cuch that they will
  yield results representative of the emissions
  from the source and can be correlated to the
  GEMS data. Although it It preferable to •
  conduct the diluent (if applicable), moisture
  (if needed}, and pollutant measurement!
  limullaneously. the diluent and moisture
  measurements that are taken within a 30- to
  60-mlnute period, which Includes the
  pollutant measurements, may be used to
  calculate dry pollutant concentration  and
  emission rate.
    In order to correlate the CEMS and RM
  data properly, mark the beginning and end of
  each RM test period of each run (including
  the exact time of the day) on the CEMS chart
  recordings or other permanent record of
  output. Use  the following strategies for the
  RM tests:
    7.1.1   For integrated camples, e.g.. Method
  0 and Method 4, make a sample traverse of at
  least 21 minutes, sampling for 7 minutes at
  each traverse point
    7.1.2  For grab samples, e.g. Method 7.
  take one sample at each traverse point.
  scheduling the grab samples so that they are
  taken simultaneously (within a 3-minute
  period) or are an equal interval of time apart
  over a 21-minute (or less) period.
   Note.—At  times. CEMS RA tests are
  conducted during NSPS performance tests. In
  these cases, RM results obtained during
  CEMS RA tests may be used to determine
  compliance as long as the source and test
 conditions are consistent with the applicable
 regulations.
   7.2  Correlation of RM and CEMS Data.
 Correlate the CEMS and the RM test data as
 to the time and duration by first determining
 from the CEMS final output (the one used for
 reporting) the integrated average  pollutant
 concentration or emission rate for each
 pollutant RM test period. Consider system
 response time, if important, and confirm that
 the pair of results are on a consistent
 moisture, temperature, and diluent
 concentration basis. Then, compare each
                                        integrated CEMS value against the
                                        corresponding average RM value. Use the
                                        following guidelines to make these
                                        comparisons.
                                          7.2.1  If the RM has an Integrated sampling
                                        technique, make a direct comparison of the
                                        RM results and CEMS integrated average
                                        value.
                                          7_2-2  If the RM has a grab sampling
                                        technique, first average the results from all
                                        grab camples taken during the test run and
                                        then compare this average value against the
                                        integrated value obtained from the CEMS
                                        chart recording during the. run.
                                          7.3  Number of RM Tests. Conduct a
                                        minimum of nine sets of all necessary RM
                                        tests. For grab samples, e.g. Method 7, a set
                                        is made up of at least three separate
                                        measurements. Conduct each set within a
                                        period of 30 to 60 minutes.
                                          Note.—The tester may choose to perform
                                        more than nine sets of RM testa. If this option
                                        is chosen, the tester may, at his descretion.
                                        reject a maximum of three sets of the test
                                        results 10 long as the total number of test
                                        results used to determine the relative
                                        accuracy is greater than or equal to nine, but
                                        he must report all data including the rejected
                                        data.
                                         7.4   Reference Methods. Unless otherwise
                                        specified in an applicable subpart of the
                                       regulations, Methods 6, 7, 3. and 4. or their
                                       approved alternatives, are the reference
                                       methods for SO,. NO,, diluent (O, or CO,).
                                       and moisture, respectively.
                                         7.5   Calculations. Summarize the results
                                       on a data sheet; an example is shown in
                                       Figure 2-2. Calculate the mean of the RM
                                       values. Calculate the arithmetic differences
                                       between the RM and the CEMS output sets.
                                       Then calculate the mean of the difference,
                                       standard deviation, confidence coefficient,
                                       and CEMS RA, using Equations 2-1, 2-2. 2-3.
                                       and 2-4.
                                       8. Equations
                                        E.1  Arithmetic Mean. Calculate the
                                       arithmetic mean of the difference, d. of a data
                                       set as follows:
i    «
n    .•  i
                                di
                                                                      (Eq.  2-1)
 Where:
 n
 £   d.
i-1   1
                  Number of  data points.
                  Algebraic sum  of   the  individual  differences,  d.,
  When the mean of the differences of pain
of data Is calculated, be sure to correct the
data for moisture, if applicable.
                                                   11-146

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Run
No.
1
2
3
4
5
6
7
8
9
10
n
12
Date and
time












Average
Confidence Interval
Accuracy**
so2
RM 1 M IDiff
ppmc










































N0xb
RM
M \NTT
ppmc










































C02 or 02a
RM
M
*d *d

























so2a
RM
M
Diff
mass/GCV










































aFor steam generators; b Average of three samples; c Make sure that RM and M data are
either wet or dry.
NO/
RM
M
Diff
mass/GCV












































on a consistent basis
Figure 2-2.   Relative accuracy determination.

-------
  8.2  Standard Deviation Calculate the
standard deviation St as followi:
                                          Where:
                                            «O.975 = t-valuei (tee Table 2-1)

                                                     Table 2-1.1-VALUES

                                                               If    'OB7S
                                (to- 2-2)
  8 3  Confidence Coefficient. Calculate the    J
2.5 percent error confidence coefficient (one-
tailed) CC as follows:
                                                        12.708    7   2.«47   12   2-201
                                                         4JJ03    •   ZJ6*   «   «-"•
                                                         3 182    •   2.308   1«   2.160
                                                         2.776    10   2-262   15   2145
                                                         2.571    11   2-228   16   2.131
                                                nlurl In tfill Ublt
                                                of
                                          •J vajurft.
                                                                       ctnr«ctcd lot R-l
                                                                l lo
CC • 1:0.97S —
                                            8.4  Relative Accuracy. Calculate the RA
                                (In. 2-3)   otmfel of dala as follows:
                                    M
                                                 x  100
                                                                      (Eq.  2-4)
VJhere:
        ffl
        |CC|
                =  Absolute value  of the mean  of differences

                   (from Equation  2-1).

                =  Absolute yalue  of the confidence  coefficient

                   (from Equation  2-3).

                =  Average  RM value  or applicable  standard.
                                          calculations, and charts (record of data
                                          outputs] that are necessary to substantiate
                                          that the performance CEMS met the
                                          performance specification.

                                          10. Bibliography
                                            10.1  "Experimental Statistics,"
                                          Department of Commerce. Handbook 91,
                                          1963. pp. 3-31. paragraphs 3-3.1.4.

                                          Performance Specification 3 — Specifications
9. Reporting
  At a minimum (check with the appropriate
regional office, or Stale or local agency for
rCBIOnBl OllIC-". UI OIOIC «J1 JW^ai D^»-'««-J *w*      - ^-_/	_	— t	y--   -      i    .
additional requirements, if any) summarize in   ond Test Procedures for O, ajid CO,
tabular form the calibration drift tests and
the RA tests. Include all data  sheets.
                                          Continuous Emission Monitoring Systems in
                                          Stationary Sources
 1. Applicability ond Principle
   1.1  Applicability. This specification is lo
 be used for evaluating tbe acceptability of O,
 and CO, continuous emission monitoring
 systems (CEMS) after Initial installation and
 whenever specified in an applicable subpart
 of the regulations. The specification applies
 lo O, and CO, monitors that are not included
 under Performance Specification 2.
  The definitions, installation measurement
 location specifications, test procedures, data
 reduction procedures, reporting requirements.
 and bibliography are the same as in
 Performance Specification Z, Sections 2, 3. 5.
 6. 8. 9. and 10. and also apply lo O, and COi
 CEMS under this specification. The
 performance and equipment specifications
 and the relative accuracy (RA) lest
 procedures for O, and CO, CEMS differ from
 SO, and NO, CEMS. unless otherwise noted.
 and are therefore included here.
  1.2  Principle. Reference method (RM)
 tests and calibration drift tests are conducted
 to determine conformance of the CEMS with
 the specification.
 2. Performance and Equipment
 Specifications
  2.1  Instrument Zero and Span. Thi«
 specification is the same as Section 4.1 of
 Performance Specification 2.
  2-2  Calibration Drift. The CEMS
 cab'bration must not drift by more than 0.5
 percent O, or CO, from the reference value of
 the gas, gas cell, or optical filter.
  2.3  CEA/S Relative Accuracy. The RA of
 the CEMS roust be no greater than 20 percent
 of the mean value of the RM test data or 1.0
 percent O, or CO,, whichever is greater.
 3. Relative Accuracy Test Procedure
  3.1   Sampling Strategy for HM Tests.
 correlation of KM ond CEAfS data, dumber
 ojRM  Tests, and Calculations. This is the
 same as Performance Specification 2,
 Sections 7.1. 7.2. 73. and 7.5. respectively.
  33.   Reference Method. Unless otherwise
 specified in an applicable Bubpart of the
 regulations. Method 3 of Appendix A or any
 approved alternative is the reference method
for O, or CO».
(Sec. 114. Clean Air Act, as amended (42
U.S.C. 7414))
 |TX Dot S1-2KJ7 Filed l-23-«l: B *S «m]
                                                            148

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SIP MONITORING REQUIREMENTS - PROMULGATED
                 11-149

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    Title 40—Protection of Environment
     CHAPTER  I—ENVIRONMENTAL
         PROTECTION AGENCY
      SUBCHAPTER C—AIR PROGRAMS
              |PRL 423-6|

 PART  51—REQUIREMENTS  FOR  THE
   PREPARATION. ADOPTION  AND SUB-
   MITTAL  OF IMPLEMENTATION  PLANS
 Emission Monitoring of Stationary Sources
   On September 11,  1974. the Environ-
 mental Protection  Agency  (EPA)  pro-
 posed  revisions to 40 CFR Part 51. Re-
 quirements for the  Preparation, Adop-
 tion, and  Submittal  of  Implementation
 Plans. EPA proposed to expand 5 51.19 to
 require States  to revise their State Im-
 plementation Plans  (SIP's)  to  include
 legally enforceable procedures requiring
 certain specified categories of existing
 stationary sources to monitor emissions
 on a continuous basis. Revised SIP's sub-
 mitted by  States in response to the pro-
 posed revisions to  40 CFR 51.19 would
• have  (1)  required  owners  or  operators
 of  specified  categories  of  stationary
 sources  to install  emission monitoring
 equipment within one year of plan ap-
 proval.  (2)  specified the categories of
 sources subject to the requirements. (3)
 identified  for  each  category  of  sources
 the pollutant(s) which must  be moni-
 tored, (4)  set forth performance specifi-
 cations for continuous emission monitor-
 ing instruments. (5) required that such
 Instruments meet  performance  specifi-
 cations through on-site testing by the
 owner or operator, and (6) required that
 data  derived from  such monitoring be
 summarized and made available to the
 State on a quarterly basis.
    As  a minimum,  EPA proposed that
 States must adopt and implement legally
 enforceable procedures to require moni-
 toring of  emissions for existing sources
 in  the following source  categories  cbut
 only for sources required to limit emis-
 sions to comply with an adopted regula-
 tion of the State Implementation Plan):
    (a) Coal-fired  steam generators of
 more than 250 million BTU per hour heat
 input (opacity, sulfur  dioxide, oxides of
 nitrogen and oxygen);
    (b) Oil-fired steam generators of more
 than 250 million BTU per hour heat in-
 put (sulfur dioxide, oxides of nitrogen
 and oxygen). An opacity monitor was re-
 quired only if an emission control device
 Is needed  to meet  particulate emission
 regulations, or if  violations  of visible
 emission regulations are noted:
    (c) Nitric  acid   plants   (oxides of
 nitrogen);
    (d)  Sulfuric acid plants  (sulfur  di-
 oxide); and
     Petroleum refineries' fluid catalj' .c
 cracking   unit  catalyst  regenerators
  (opacity).
    Simultaneously, the Agency proposed
 similar continuous emission  monitoring
  requirements for new sources for each of
  the previously identified source  categor-
  ies, subject to the  provisions of federal
  New Source Performance Standards set
  forth in 40 CFR Part 60. Since  many of
  the technical aspects of the two proposals
  were similar, if not the same,  the pro-
     RULES  AND REGULATIONS

posed regulations for Part 51 (ie._those
relating to SIP« and existing  sources!
included by refeionre many specific tech-
nical details set forth in 40 CFR Part 60,
(39 FR  32852).
  At the time of the proposal of the con-
tinuous emission monitoring regulations
in the FEDERAL REGISTER, the Agency in-
vited  comments on the  proposed rule-
making action  Many interested parties
submitted comments Of the T6 comments
received.  35  were from  electric  utility
companies, 26 were from oil refineries or
other industrial companies, 12 were from
governmental agencies, and  3 were from
manufacturers and'or suppliers of emis-
sion monitors. No comments  were  re-
ceived from environmental groups. Fur-
ther, prior to the proposal of the regula-
tions in the FEDERAL REGISTER, the Agency
sought comments from various State and
local  air  pollution control agencies and
Instrument   manufacturers.  Copies  of
each  of these  comments are  available
for public inspection at the EPA Freedom
of  Information Center,  401 M  Street,
S.W.,  Washington.  D.C. 20460.  These
comments have been considered, addi-
tional information collected and assessed,
and where determined by the  Adminis-
trator to  be appropriate, revisions and
amendments have been  made in  for-
mulating  these regulations promulgated
herein.
  General Discussion o/  Comments. In
general, the comments received  by the
Agency tended to raise various objections
with specific portions of  the regulations.
Some misinterpreted the proposed reg-
ulations,  not  realizing   that  emission
monitoring under the proposal was not
required unless a source was required to
comply with an adopted emission limita-
tion or sulfur in fuel limitation that was
part of an approved or promulgated State
Implementation Plan. Many questioned
the Agency's authority and the need to
require sources to use continuous emis-
sion  monitors.  Others  stated  that the
proposed  regulations were  inflationary,
and by themselves could not reduce emis-
sions to the atmosphere nor could they
 improve air quality. A relatively common
 comment was that the benefits to be de-
 rived from the proposed emission moni-
 toring  program were not commensurate
 with the  costs associated with the pur-
 chase, installation, and operation of such
 monitors. Many'stated that the proposed
 regulations were not cost-eflectively ap-
 plied  and they objected to all  sources
 within an identified source category be-
 ing required to monitor  emissions, with-
 out regard for other considerations. For
 instance, some suggested that it was un-
 necessary to  monitor  emissions  from
 steam  generating plants that  may soon
 be retired from operation, or steam gen-
 erating boilers that are infrequently used
 (such as  for peaking and cycling opera-
 tions)  or for those sources  located  in
 areas of the nation which presently have
 ambient  concentrations better than na-
 tional ambient air quality standards. This
 latter comment was especially prevalent
 in relation  to  the need for continuous
 emission  monitors designed to measure
 emissions of oxides of nitrogen. Further,
 commentors generally  suggested  that
state and local control  agencies,  rather
than  EPA  should  be  responsible  for
determining which sources should moni-
tor emissions. In this regard, the corn-
mentors  suggested that  a determination
of the sources which should install con-
tinuous  monitors should be made on a
case-by-case basis. Almost all objected to
the data reporting requirements stating
that the proposed requirement of sub-
mission of all collected data was excessive
and burdensome  Comments from state
and local air pollution control agencies in
general  were similar to those  from  the
utility and industrial groups, but in addi-
tion, some indicated that the manpower
needed to implement the programs  re-
quired by the proposed regulations  was
not available.
   Rationale  for  Emission  Monitoring
Regulation.  Presently, the Agency's reg-
ulations  setting forth the  requirements
for approvable SIP's require States to
have legal authority  to require owners
or operators of stationary sources  to in-
stall, maintain, and use emission moni-
toring devices and to make periodic
reports  of emission data to  the  State
(40 CFR Sl.IHa) (6)). This requirement
was designed to partially implement the
requirements  of  Sections 110
Mi) and  (iii) of the Clean Air Act, which
state that  implementation plans must
provide  "requirements  for installation
of equipment by  owners or  operators of
stationary sources to monitor  emissions
from such  sources",  and  "for periodic
reports on  the nature  and amounts of
such emissions". However,  the original
implementation  plan requirements  did
not require  SIP's to contain legally en-
forceable procedures mandating contin-
uous emission monitoring and recording.
At the  time  the original  requirements
were published, the Agency had accumu-
lated little  data  on the availability  and
reliability of continuous monitoring de-
vices.  The  Agency believed  that  the
state-of-the-art  was such  that It  was
not prudent to require existing sources
 to install such devices.
   Since  that time, much work has been
done by the Agency and others to field
 test and compare  various continuous
 emission monitors. As  a result  of  this
 work,  the Agency now  believes that for
 certain  sources,  performance  specifica-
 tions for accuracy, reliability and dura-
 bility can be established for continuous
 emission monitors  of   oxygen,  carbon
 dioxide, sulfur dioxide, and  oxides of
 nitrogen and for the continuous meas-
 urement of opacity. Accordingly, it  is
 the Administrator's judgment that  Sec-
 tions 110(a)(2)(F)  and (iii) should
 now be more fully imnlemented.
   The   Administrator  believes that  a
 sound program  of continuous emission
 monitoring and  reporting  will play an
 Important  role  in the effort  to  attain
 and maintain national  standards. At the
 present time, control agencies rely upon
 infrequent   manual  source  tests  and
 periodic field  Inspections  to  provide
 much of the enforcement information
 necessary  to  ascertain compliance of
 sources  with adopted regulations. Man-
 ual source  tests are generally performed
 on a relatively infrequent basis, such as
                                FtDHAL IEGISTEK, VOL. 40, NO. 1«—MONDAY, OCTOIES t, WS
                                                         11-150

-------
 once per year, and in some cases, affected
 sources probably have never been tested.
 Manual  stack  tests are generally per-
 formed under  optimum operating con-
 ditions, and  as such, do not reflect the
 full-time emission  conditions  from  a.
 source. Emissions  continually vary with
 fuel firing rates,  process material feed
 rates and various other operating condi-
 tions. Since manual stack tests are only
 conducted for  a relatively short period
 of time  (e.g.. one  to three hours', they
 cannot be representative of all operating
 conditions.  Further, frequent  manual
 stack  tests  (such as  conducted  on  n
 quarterly or more frequent basis'  are
 costly  and may be more expensive than
 continuous monitors that provide much
 more  information.  State  Agency  en-
 forcement by  field Inspection  is also
 sporadic, with only occasional inspection
 of  certain  sources, mainly  for visible
 emission enforcement.
  Continuous emission monitoring and
 recording systems, on  the other  hand,
 can provide a continuous record of emis-
 sions under all operating conditions. The
 continuous emission monitor is a good
 indicator of  whether a source is using
 good operating and maintenance prac-
 tices to  minimize emissions  to  the at-
 mosphere and  can also provide a valu-
 able record to  indicate  the performance
 of a source in complying with applicable
 emission  control  regulations. Addition-
 ally, under certain  instances, the data
 from continuous monitors may be suf-
 ficient evidence to issue a notice of vio-
 lation. The continuous emission record
 can also be  utilized to signal  a plant
 upset or equipment malfunction so that
 the  plant operator can take corrective
 action to reduce emissions. Use of emis-
 sion monitors can therefore provide val-
 uable information to-minimize emissions
 to the atmosphere and to  assure that
 full-time control  efforts, such as  good
 maintenance and  operating  conditions,
 are being utilized by source operators.
  The,Agency believes that it is necessary
 to establish national minimum require-
 ments  for emission monitors for specified
 sources rather than allow States to de-
'termine on a case-by-case basis the spe-
 cific sources  which need to continuously
 monitor emissions. The categories speci-
 fied in  the regulations represent very sig-
 nificant sources of emissions to the at-
 mosphere. States  in  developing  SIP's
 have generally adopted control  regula-
 tions to  minimize  emissions  from these
 sources. Where such regulations exist, the
 Agency believes that continuous emission
 monitors are necessary  to provide infor-
 mation that may be used to  provide an
 Indication of source compliance. Further,
 it is believed that if  the selection  of
 tources on a case-by-case basis were left
 to the States,  that  some States would
 probably  not  undertake an adequate
 emission  monitoring   program.   Some
 State Agencies who commented on the
 proposed  regulations  questioned   the
 •Ute-of-the-art of emission  monitoring
 and iUt«J their opinion that the pro-
 P»«d   requirements  were   premature.
 T^trttore.  It   U   the   Administrator's
 IttOcmcat that, in order to assure an
     RULES  AND  REGULATIONS

adequate  nationwide  emission  moni-
torinc procrnm. minimum emission mon-
itorinp requirements must bo established
  The  source categories  affected  by the
regulations were selected because  they
are significant sources of emissions and
because the Agency's work at the time of
the proposal  of these regulations in the
field of continuous emission  monitoring
evaluation focused almost exclusively on
these source  categories  The  Agency is
continuing to develop data on monitoring
devices  for additional source categories.
It is EPA's intent to expand the minimum
continuous emission monitoring require-
ments from time to tune when the eco-
nomic  and  technological feasibility  of
continuous  monitoring  equipment  is
demonstrated and where such monitor-
ing is deemed appropriate for other sig-
nificant source categories.
  Discussion  of Major Comments. Many
r-ommentors  discussed the various cost
aspects of the proposed regulations, spe-
cifically stating  that the costs of  con-
tinuous monitors were excessive and in-
flationary A  total of 47 commentors ex-
pressed concern  for the cost and/or cost
effectiveness  of  continuous  monitors.
Further, the  Agency's cost estimates for
purchasing  and  installing   monitoring
systems and the costs for data reduction
and reporting were questioned. In many
cases, sources provided cost estimates for
installation and  operation of continuous
monitors  considerably in excess  of the
cost estimates provided by the Agency.
  In response to these comments, a fur-
ther review was undertaken by the Agen-
cy to assess the cost impact of the regu-
lations. Three conclusions resulted from
this review. First, it was determined that
the cost ranges  of  the various emission
monitoring  systems  provided by  the
Agency  are generally accurate for new
sources.   Discussions  with   equipment
manufacturers and suppliers confirmed
this cost  information. Approximate in-
vestment  costs,  which include the cost
of the emission monitor, installation cost
at a new facility, recorder, performance
testing, data reporting systems and asso-
ciated engineering  costs are  as follows:
for opacity. $20,000;  for sulfur dioxide
and oxygen or oxides of nitrogen and
oxygen, $30.000:  and for a  source that
monitors opacity, oxides of nitrogen, sul-
fur dioxide and oxygen,  $55,000  Annual
operating costs,  which include data re-
duction and  report preparation,  system
operation, maintenance, utilities, taxes,
insurance and annualized capital costs
at IQV  for 8 years are:  $8.500; $16,000;
and $30.000  respectively for the cases
described  above.(l)
  Secondly,  the  cost  review indicated
that the cost of  installation of emission
monitors  for existing sources could  be
considerably higher than for new sources
because of the difficulties in providing
access  to  a sampling location that can
provide a  representative sample of emis-
sions. The cost estimates provided by the
Agency  in the proposal were  specifically
developed for new sources  whose  in-
stallation costs are relatively stable since
provisions for monitoring equipment can
be incorporated at the time of plant de-
•ign. This feature is not available for ex-
isting sources, hence higher costs gei
erally result  Actual costs of installatir
at existing sources may vary from 01
to five times the cost of normal install"
tion at  new sources, and in  some cas<
even higher costs can result  For exam
pie, discussions with instrument suppli
ers indicate that a typical cost of instal
lation of an opacity monitor on an exist
ing source may be two to three times tlv
purchase price of  the monitor. Difftcul
ties also exist for installation of gaseou
monitors at existing sources
  It should be noted that these installn
tion costs Include material costs for scaf
folding,  ladders,  sampling  ports  an>
other items necessary  to provide acces
to a location where source emissions cai
be measured. It  is the Agency's opinio:
that such costs cannot be solely  attrib
uted to  these continuous emission mom
toring regulations. Access  to  samplini
locations is generally  necessary  to  dc
termine compliance with applicable stati
or local emission limitations by routine
manual stack testing  methods. There-
fore, costs  of providing access to a rep-
resentative sampling location are more
directly attributed  to the cost of com-
pliance  with adopted emission limita-
tions, than with these continuous emis-
sion monitoring regulations.
  Lastly, the review of cost information
indicated that a numbsr of  commented
misinterpreted  the extent of  the  pro-
posed regulations, thereby providing cosl
estimates for continuous monitors which
were not required  Specifically, all com-
mentors did not recognize that the pro-
posed regulations required emission mon-
itoring for  a source only if an applicable
State or local emission limitation of  an
approved SIP affected such a source. For
example, if the approved  SIP  did  not
contain an adopted control regulation to
limit oxides  of  nitrogen from  steam-
generating, fossil fuel-fired boilers of a
capacity in excess of 250 million BTU per
hour heat input, then such source need
not  monitor oxides of  nitrogen emis-
sions. Further, some utility industry com-
mentors included the costs of continuous
emission monitors for sulfur dioxide The
propos2d regulations, however,  generally
allowed the use of fuel analysis by speci-
fied  ASTM procedures as an alternative
which, in most  cases, is less expensive
than continuous monitoring. Finally, the
proposed regulations required  the  con-
tinuous monitoring of  oxygen  in  the
exhaust  gas only  if  the  source must
otherwise continuously monitor oxides of
nitrogen or sulfur  dioxide.  Oxygen in-
formation is used solely to provide a cor-
rection  for excess air when converting
the measurements of gaseous pollutants
concentrations in the exhaust gas stream
to units of an applicable emission limi-
tation Some commentors did not recog-
nize this point (which was not specifical-
ly stated  in  the proposed regulations)
and provided cost estimates for  oxygen
monitors when thev were not required by
the proposed regulations.
  While not all commentors' cost  esti-
mates were correct, for  various reasons
noted above, it  is  clear that the costs
associated   with  implementing  these
emission monitoring regulations are sig-
                               FtDEKAl IICISTtl, VOL 40, NO.  If4—MONDAY, OCTOIEt «. It75
                                                         11-151

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                                             RULES AND  REGULATIONS
nificant  The Administrator, however.
believes that the benefits to be  derived
from emission monitoring are such that
the costs are not unreasonable The Ad-
ministrator  does,  however,  agree with
many commentors that the proposed reg-
ulations, in some cases, were not applied
cost-effectively and, as such, the  regula-
tions  promulgated herein  have  been
modified to  provide exemptions  to cer-
tain sources from these minimum re-
quirements.
  One comment from another  Federal
Agency  concerned  the time  period that
emissions  are to be averaged when re-
porting excess emissions Specifically, the
commentor  assumed  that the emission
control  regulations   that   have  been
adopted by State and local agencies were
generally designed  to  attain  annual am-
bient air quality standards. As such, the
commentor pointed out that short-term
emission levels in excess of  the adopted
emission standard  should be acceptable
for reasonable periods of time.
  The Administrator does not agree with
this rationale for the following reasons.
First, it is not universally true that an-
nual ambient standards were the design
basis of emission control regulations. In
many cases,  reductions to attain short-
term  standards  require more  control
than  do annual  standards.  Even if the
regulations  were  based  upon  annual
standards, allowing excess emissions of
the adopted  emission control regulation
on  a short-term basis could  cause non-
compliance with annual standards. More
importantly, however, a policy of legally
allowing excesses of adopted control reg-
ulations would in effect make the current
emission limitation unenforceable If the
suggestion were implemented, a question
would arise  as to what is the maximum
emission level that would not be consid-
ered an excess to the adopted regulation.
The purpose of the adopted emission lim-
itation was  to establish the acceptable
emission level. Allowing emissions In ex-
cess of  that adopted  level would cause
confusion, ambiguity,  and in many cases
could result  in an unenforceable situa-
tion. Hence  the  Administrator does not
concur with  the commentor's suggestion.
  Modifications  to the Proposed Regu-
lations.  The modification to the regu-
lations which has the most significant
impact involves the monitoring require-
ments for oxides  of  nitrogen at  fossil
fuel-fired  steam generating  boilers and
at nitric acid plants.  Many commentors
correctly noted that the Agency in the
past (June 8, 1973, 38  FR 15174)  had in-
dicated  that the need for many emis-
sion control regulations for oxides of
nitrogen were  based upon erroneous
data  Such a statement was made after
a detailed laborato.v analysis of the ref-
erence  ambient measurement  method
for nitrogen dioxide revealed the  method
to   give  false    measurements  The
sampling technique generally indicated
concentration  of   nitrogen   dioxide
higher  than  actually  existed  in  the
atmosphere.  Since many control agen-
cies prior to that announcement  had
adopted emission regulations that were
determined  to be  needed  based  upon
'these erroneous data, and since new datrx.
collected  by other measurement  tech-
niques, indicated that in  most areas of
the nation such  control regulations were
not necessary to satisfy the requirements
of the  SIP.  the Agency suggested  that
States  consider  the  withdrawal   of
adopted control  regulations for the con-
trol of oxides of nitrogen from their SIP's
(May  8, 1974, 39  FR 16344). In many
States, control agencies have not taken
action to  remove these regulations from
the SIP. Hence,  the commentors pointed
out that the proposed regulations to re-
quire continuous emission monitors on
sources affected by such  regulations is
generally unnecessary.
  Because of the unique  situation  in-
volving oxides of nitrogen  control regu-
lations, the Administrator has  deter-
mined that the  proposed  regulations to
continuously monitor oxides of nitrogen
emissions may place an undue burden on
source operators, at least from a stand-
point of EPA specifying minimum moni-
toring  requirements.  The continuous
emission  monitoring  requirements  for
such sources therefore have been modi-
fied  The final  regulations require  the
continuous   emission  monitoring   of
oxides of nitrogen only for those sources
in Air Quality Control Regions (AQCR's >
where the Administrator has specifically
determined  that a control strategy for
nitrogen  dioxide  is  necessary.  At  the
present time such control  strategies are
required only for  the Metropolitan  Los
Aneeles Intrastate and  the  Metropoli-
tan Chicago Interstate AQCR's.
  It should  be noted that a recent com-
pilation of  valid  nitrogen dioxide  air
quality data suggests that approximately
14 of the other 245 AQCR's in the nation
may need to develop a control strategy
for nitrogen dioxide.  These AQCR's are
presently being evaluated by the Agency.
If any additional AQCR's  are identified
as needing a control  strategy for nitro-
gen  dioxide  at  that  time, or any time
subsequent  to this promulgation, then
States in which those AQCR's are lo-
cated  must  also revise their  SIP's to
require continuous emission monitoring
for  oxides  of  nitrogen   for  specified
sources. Further, it should  be noted that
the regulations  promulgated today  are
minimum requirements, so that States,
if they believe  the control of oxides of
nitrogen from sources is necessary may,
as they deem appropriate, expand  the
continuous emission monitoring require-
ments to apply to additional sources not
affected by these minimum  requirements.
  Other modifications to  the proposed
regulation resulted from  various  com-
ments  A  number  of  commentors noted
that the proposed regulations  included
some sources whose emission impact or.
air quality was relatively minor. Specifi-
cally,  they  noted  that fossil  fuel-fired
steam generating  units that were used
solely  for peaking and cycling  purposes
should be exempt from the  proposed reg-
ulations. Similarly, some suKfrested  that
smaller sized units, particularly steam-
generating units less  than 2,500 million
BTU per  hour  heat  input, should also
be exempted. Others  pointed out  that
units soon  to be retired from operation
should not be  required to install con-
tinuous monitoring  devices   and that
sources located in areas  of  the  nation
that already have air quality better than
the national standards should be relieved
of the required monitoring and reporting
requirements The Agency has considered
these comments and has  made the fol-
lowing judgments.
  In relation to fossil fuel-fired steam
generating units, the Agency  has deter-
mined  that such units that have an an-
nual boiler capacity factor of 30% or less
as currently defined by the Federal Power
Commission shall  be  exempt from the
minimum requirements for monitoring
and reporting. Industrial boilers used at
less than 30 7r of their annual capacity,
upon demonstration  to the State, may
also be granted an  exemption from these
monitoring requirements.  The rationale
for this exemption  is based upon the fact
that all generating units do not produce
power at their full capacity at all times.
There are three major classifications of
power  plants  based on  the  degree  to
which  their rated capacity is utilized  on
an annual basis. Baseload units are de-
signed to run at near full capacity almost
continuously. Peaking units are operated
to supply  electricity  during   periods  of
maximum  system  demand. Units which
are operated  for  intermediate  service
between  the  extremes of baseload and
peaking are termed cycling units.
  Generally accepted  definitions term
units  generating 60 percent or more  of
their annual capacity as baseload, those
generating less than 20 percent as peak-
ing and those between 20 and  60 percent
as cycling. In general, peaking units are
older, smaller,  of  lower efficiency, and
more costly to operate than base load or
cycling units. Cycling units are also gen-
erally  older,  smaller  and less efficient
than base load units. Since the expected
life of peaking units  is relatively short
and total  emissions from such units are
small,  the  benefits gained by installing
monitoring  instruments  are  small  in
comparison to  the cost of such  equip-
ment. For cycling  units, the question  of
cost-effectiveness is more difficult to as-
certain. The  units at the upper  end  of
the capacity factor range (i.e., near 60%
boiler capacity factor) are candidates for
continuous emission  monitoring  whiie
units at the lower end of the  range (i.e.,
ne?r 207,  boiler capacity factor^  do not
represent  good choices for continuous
monitors. Based upon available emission
information, it has been calculated that
fossil fuel-firrd steam generating plants
with a 307, jr less annual boiler capacity
factor  contribute   approximately  less
than 5O of the total sulfur dioxide from
all such  power plants.  (2>  Hence, the
finnl regulations do not affert  any boiler
!  lat has an annual boiler capacity factor
of less than  3Qr/r. Monitoring require-
ments will  thus be more cost  effectively
applied  to  the newer, larger,  and more
efficient  units  that  burn a  relatively
larftcr portion of the total  fuel supply.
  Some commentors noted that the age
of the facility  should  be  considered  in
relation to whether a source  nee^ com-
                              FEPERAl REGISTER, VOL. 40, NO.  194—MONDAY, OCTOIER 6,  1*75
                                                        11-152

-------
ply with the proposed reflations. For
fossil fuel-fired steam  generating units.
the  exemption relating  to  the annual
boiler  capacity  factor previously  dis-
cussed should generally provide relief for
older units.  It is appropriate,  however,
that the age of the facility be consid-
ered for other categories of sources af-
fected by the proposed regulations. As
such, the final regulations allow that any
source that is  scheduled to be retired
within five years of the inclusion of mon-
itoring requirements for the source in
Appendix P need not  comply  with the
minimum emission  monitoring require-
ments promulgated herein  In the Ad-
ministrator's judgment, the selection of
five  years as  the allowable period for
this  exemption provides reasonable re-
lief  for those  units that will shortly be
retired. However, it maintains full re-
quirements  on many older unite with a
number of  years of service remaining.
In general,  older units operate less effi-
ciently and arc less well controlled than
newer units so that emission monitoring
Is generally useful. The exemption pro-
vided in the final regulations effectively
allows such retirees slightly more than a
two-year period of relief, since the sched-
ule of implementation  of the regulations
would generally require the installation
of emission monitors by  early   1978.
States  must submit, for EPA  approval.
the  procedures  they will implement to
use  this  provision.  States  are advised
that such exemptions should only be pro-
vided  where a bona fide intent to  rease
operations has been clearly established.
In cases where such  sources postpone
retirement. Slates shall have established
procedures  to  require such sources to
monitor and report emissions. In this re-
gard,  it  should be  noted  that Section
H3
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                                               RULES AND  REGULATIONS
  ted  to the State.  It was generall>  indi-
  rated by the commentors that the data
  reporting  requirements  were excessive.
  Commentors questioned the purpose of
  reporting all measuied data while  some
  State agencies indicated they have lim-
  ited resources  to  handle such informa-
  tion. EPA believes that, in some cases.
  the  commentors misconstrued the data
  reporting  requirements   for  existing
  sources.  In light of each of these  com-
  ments, the final regulations, with respect
  to the data reporting requirements for
  gaseous  pollutants  and  opacity,  have
  been modified.
   For gaseous emissions, the proposed
  regulations required the reporting of all
  one-hour averages obtained  by the emis-
  sion monitor.  Because of the comments
- on  this provision, the  Agency has reex-
  amined the proposed data reporting re-
  quirements. As a result, the Agency has
  determined that only  information  con-
  cerning emissions in excess of emission
  limitations of the  applicable plan is nec-
  essary to satisfy the intent of these reg-
  ulations   Therefore, the data reporting
  requirements   for  gaseous   pollutants
  have been modified. The final regulations
  require that States adopt procedures that
  would  require  sources to report to the
  State on emission levels in excess of the
  applicable emission limitations 'i.e., ex-
  cess emissions) for the time period spec-
  ified in  the regulation with which com-
  pliance is determined. In other words, if
  an  applicable  emission limitation  re-
  quired no more than 1.0 pounds perJiour
  SO, to be emitted for any two-hour aver-
  aging period, the data to be reported by
  the source should identify the emission
  Jevel (i.e., emissions stated in pounds per
  hour)  averaged over  a two-hour  time
  period, for periods only when this emis-
  sion level was in excess of the 1.0  pounds
  per  hour emission limitation. Further,
  sources  shall be required  to maintain a
  record of all continuous monitoring ob-
  servations for  gaseous pollutants  (and
  opacity  measurements) for a period of
  two years and to make such data avail-
  able to the State upon  request. The final
  regulations have also been  amended to
  add a provision to require sources to re-
  port to the State on the apparent reason
  for all noted violations of applicable reg-
  ulations.
   The proposed data reporting require-
  ments for opacity  have also been modi-
  fied  Upon reconsideration of the extent
 of the data needed to satisfy the intent
 of these  regulations, it is the Adminis-
  trator's judgment that for opacity States
 must -obtain  excess  emission  measure-
 ments during  each  hour  of operation.
 However,   before  determining   excess
 emissions, the  number of minutes gen-
 erally exempted by State opacity rer -
 lations should  be considered.  For ex-
 ample, where  a regulation  allows  two
 minutes  of opacity measurements  in
 excess  of the  standard,  the  State
 need  only require the source  to re-
.  port all opacity measurements in excess
  of the standard during any one hour,
  minus the two-minute  exemption.  The
  excess measurements shall  be reported
  in actual  per cent opacity averaged for
 one clock minute or such other time pe-
 riod  deemed  appropriate by  the State.
 Averages may be  calculated either  by
 arithmetically averaging a  minimum of
 4 equally spaced data  points per minute
 or by integration of the monitor output
   Some commentors   raised  questions
 concerning the provisions in the proposed
 regulations which allow the use of fuel
 analysis for computing emissions of sul-
 fur dioxide in lieu of  installing a con-
 tinuous monitoring device for this pol-
 lutant. Of primary concern with the fuel
 analysis  approach  among  the com-
 mentors was the frequency of the analy-
 sis to determine the sulfur content of the
 fuel. However, upon  inspection  of  the
 comments by the Agency,  a more sig-
 nificant issue has been uncovered. The
 issue involves the determination of what
 constitutes excess emissions when a fuel
 analysis is used as the method to measure
 source emissions. For example, the sulfur
 content varies significantly within a load
 of coal. i.e..  while  the average  sulfur
 content of a  total load of coal may  be
 within  acceptable limits in relation to a
 control  regulation  which restricts  the
 sulfur content of coal, it is probable that
 portions of  the coal may have a sulfur
 content above the allowable level. Simi-
 larly, when fuel oils of different specific
 gravities  are  stored  within  a common
 tank, such fuel oils tend to  stratify and
 may  not be  a homogeneous mixture.
 Thus, at times, fuel oil in excess of allow-
 able limits may be combusted. The ques-
 tion which arises is whether  the combus-
 tion of this higher sulfur coal or  oil is a
 violation of an applicable sulfur content
 regulation. Initial  investigations  of this
 issue have indicated  a relative lack  of
 specificity on the subject.
   The  Agency is confronted with this
 problem not only in relation to specifying
 procedures for the emission reporting re-
 quirements for existing sources but also
 in relation to enforcement considerations
 for new sources affected by  New Source
 Performance Standards. At this  time, a
 more thorough investigation of the situ-
 ation in necessary prior to promulgation
 of procedures dealing with fuel analysis
 for both oil and coal. At the conclusion
 of this  investigation, the Agency will set
 forth its findings and provide guidance
 to  State and local  control  agencies  on
 this issue. In  the meantime, the portion
 of the proposed regulations dealing with
 fuel analysis is being withheld from pro-
 mulgation at  this time. As such, States
 shall not be required to adopt provisions
 dealing with emission monitoring or re-
 porting of sulfur dioxide emissions from
 those  sources  where  the States may
 choose to allow the option of fuel anal-
 ysis as  an alternative to sulfur dioxide
 monitoring.   However,  since  the  fuel
 analysis alternative may not be utilized
 by a source that has installed sulfur di-
oxide  control  equipment   (scrubbers).
 States shall set forth legally enforceable
 procedures which require emission moni-
tors on such  sources, where  these emis-
sion  monitoring  regulations  otherwise
 require their installation.
  Other Modifications to Proposed Reg-
ulations. In  addition  to reducing the
number of monitors required under the
 proposed regulations, a number of modi-
 fications  to various procedures in the
 proposed  regulations  have been  con-
 sidered  and are  included  in  the final
 regulations. One modification which has
 been made is the deletion of the require-
 ment to  install continuous monitors  at
 "the most representative" location  The
 final regulations  require the placement
 of an emission monitor at "a representa-
 tive" location in the exhaust gas system.
 In many  cases "the  most representative"
 location  may be  difficult to locate and
 may be inaccessible without new  plat-
 forms, ladders, etc..  being installed. Fur-
 ther, other representative locations can
 provide adequate  information on pollut-
 ant  emissions  if  minimum criteria  for
 selection of monitoring locations are ob-
 served. Guidance in  determining a repre-
 sentative sampling' location is contained
 within  the Performance  Specification
 for  each  pollutant monitor in the emis-
 sion monitoring  regulations  for  New
 Source Performance Standards (Appen-
 dix  B. Part 60  of this Chapter). While
 these criteria  are   designed  for  new
 sources,  they are also useful  in deter-
 mining representative  locations  for ex-
 isting sources.
   A  further modification to  the proposed
 regulation is the deletion of the require-
 ment for  new performance tests when
 continuous emission monitoring equip-
 ment is modified or repaired. As pro-
 posed, the regulation  would  have re-
 quired a new performance test whenever
 any   part of  the continuous  emission
 monitoring system  was replaced.  This
 requirement was originally  incorporated
 in the regulations to assure the use of
 a well-calibrated, finely tuned monitor.
 Commentors pointed out that  the re-
 quirement of  conducting new  perform-
 ance tests whenever any part of an in-
 strument is changed or  replaced is costly
 and  in  many cases  not required. Upon
 evaluation of this comment, the Admin-
 istrator concurs that performance  tests
 are not required after each  repair or re-
 placement  to  the system.  Appropriate
 changes  have been made to the regula-
 tions to delete the requirements for new
 performance tests.  However, the  final
 regulations require the reporting of the
 various repairs made  to the  emission
 monitoring system durine each quarter
 to the State. Further, the State must
 have Procedures to require sources to re-
 port to the State on  a quarterly basis in-
 formation on the amount of  time and the
 reason why the continuous  monitor was
 not  in operation. Also the State must
 have legally enforceable procedures to
 reouire  a source to  conduct a new per-
 formance test whenever, on the basis of
 available  information,  the  State deems
sui-h test  is necessary.
  Trip timp period proposed for the in-
stallation   of the  required  monitoring
system, i e.. one vpar  after plan approval.
wns thought hv 21  commentors to be too
hripf. primarily because of lack of avail-
able  instruments, the lack of  trained per-
sonnel and the time  available for  instal-
lation of  the required monitors. Eouip-
mcnt suppliers  were contacted  by the
Agp.ncv  nnd thev  confirmed the avail-
ability of emission  monitors. However.
                               FEDERAL ICCISTER. VOL. 40,  NO  1*4—MONDAY. OCTOBER 6, 197S
                                                          11-154

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                                             RULES  AND REGULATIONS
the Administrator has dctcimined that
the time necessary for purchase, instal-
lation and performance testniE of such
monitors  may  require more than  one
year for certain installations, especially
where gaseous monitors arc required. In
order to provide sources with ample time.
the Agency has modified the final regula-
tions to allow States to adopt procedures
that will provide sources 18 months after
the approval or promulgation of the re-
vised SIP  to satisfy the installation and
performance testing procedures  required
by these continuous  monitoring regula-
tions. A provision is also included to al-
low,  on  a  case-by-case basis, additional
extensions for sources where good faith
efforts have been undertaken to purchase
and  install equipment, but where such
installation  cannot  be  accomplished
within the  time period  prescribed  by
the regulations.
  A  number of State and local  agencies
also commented on the lack of time pro-
vided sources to install the monitors re-
quired  by  the  proposed   regulations.
These agencies also indicated that they
must Acquire sufficient skilled manpower
to implement  the regulations,  such as
personnel  to provide guidance to sources.
to  monitor  performance  tests and to
analyze the emission data that are to be
submitted by the sources. Further, some
State agencies indicated that more than
six months  was needed to develop the
necessary  plan revisions.  Most  State
agencies who commented stated that one
year should be provided to allow  States
to revise their SIP's  The Administrator
is aware of the various priorities  which
confront State and local agencies at this
time 'e.g . compliance schedules, enforce-
ment actions, litigation proceedings, re-
evaluation of adequacy of SIP's  to attain
and  maintain  national standards, etc.)
and, as such, believes that a six-month
postponement  in the submittal of plan
revisions to require emission monitoring
and  reporting is justified  and  prudent.
Hence, States must submit plan  revisions
to satisfy  the  requirements of  this sec-
tion within one year of promulgation of
these regulations in  the FEDERAL REGIS-
TER. However.  States are advised that
such  plan revisions  may  be submitted
any time prior to the final date, and are
encouraged to do so where possible.
  The proposed regulations provided the
States with the option of allowing sources
to continue to use emission monitoring
equipment that does not meet perform-
ance specifications set forth in the regu-
lations for up to five years from the date
of approval of the State regulations or
EPA  promulgation.  Some  commenters
asked  that  this  provision  be  extended
indefinitely. In some  cases they indicated
they  had recently  purchased  and  had
already  installed monitoring  systems
which were only marginally away from
meeting the applicable performance spec-
ifications.  The Agency  believes,  how-
ever, that such a modification to the pro-
posed regulations should not be allowed.
It is believed that such a provision would
result in inadequate monitoring systems
being maintained after their useful life
has ended. Though some monitoring sys-
tems will probably last longer than five
years, it IK belie\cd that  tins time period
\iill provide adequate time  to amortize
the cost of such  equipment  In  cases
where  existing  emission  monitors arc
known not to provide reasonable  esti-
mates of emissions. States should  con-
sider more  stringent procedures  to pro-
vide  a  more speedy retirement of  such
emission monitoring systems.
  Some commentors raised the question
of whether existing  oxygen  monitors
which are installed in most fossil  fuel-
fired steam generating boilers to monitor
excess oxygen  for the purposes of  com-
bustion  control could  be used  to satisfy
the requirement for monitoring oxygen
under the proposal Upon investigation.
it has  been determined that,  in  some
cases, such oxygen monitors may be used
provided that  they are  located  so that
there is no  influx of dilution air between
the oxygen monitor and the continuous
pollutant monitor  In some cases, it may
be  possible to  install  the  continuous
monitoring device at  the  same location
as the  existing oxygen  monitor  Care
should be taken, however,  to assure that
a representative sample is obtained Be-
cause of the  various possibilities that
may arise concerning the usefulness  of
existing  oxygen monitors,  the  State
should determine, after a case-by-case
review, the acceptability of existing oxy-
gen monitors.
  Another  technical  issue  which was
raised  suggested that continuous  emis-
sion  monitors  which  provide  direct
measurements of pollutants in units com-
parable to  the emission limitations and
other devices  not specifically identified
in the  proposed regulations are avail-
able for purchase  and installation  The
Agency is aware that various monitor-
ing systems exist but  has  not as yet de-
termined specific performance specifica-
tions for these monitoring systems that
are  directly  applicable  to the source
categories covered by these regulations.
However, it is not EPA's intent to deny
the use of any equipment  that can  be
demonstrated to be reliable and accurate.
If monitors can be demonstrated to pro-
vide the same relative degree of accuracy
and  durability as provided  by the per-
formance specifications in  Appendix B
of Part 60, they shall generally be  ac-
ceptable to satisfy the  requirements of
these regulations  under Section 3.9  of
Appendix P. Further, where alternative
procedures  (e.g..  alternate procedures
for conversion of data to  units of  appli-
cable regulations) can be shown by the
State to be equivalent to the procedures
set forth in Appendix P of these regula-
tions,  then such  alternate procedures
may be submitted by the State for  ap-
proval by EPA  Section 3 9 of Appendix P
identifies certain examples  where  alter-
native emission monitoring systems  or
alternative procedures will  generally be
considered by the Agency for approval.
   It should be noted that some sources
may be unable to comply  with the regu-
lations because of technical difficulties,
(e.g, the presence of condensed  water
vapor  In the  flue gas), physical limita-
tions of accessibility at the plant facility,
or.  in  other  cases,  because  of  extreme
economic  hardship  States  should use
their  judgment  in  implementing  these
requirements in such cases Section 6 of
Appendix P of this Part provides various
examples where  the installation of con-
tinuous emission monitors would not be
feasible or  reasonable.  In  such  cases
alternate emission monitoring  (and re-
porting' by more routine methods, such
as  manuai  stack  testing, must be re-
quired  States in preparing their revised
SIP must set forth and describe the cri-
teria  they will use to identify such un-
us'jal cases,  and must further describe
the alternative procedures they will im-
plement to otherwise satisfy the intent of
these regulations States are advised that
this provision is intended for  unusual
cases, and, as such, should not be widely
applied.
  It  was  pointed  out  by  some  com-
mentors that carbon  dioxide  monitors
could probably be used in lieu of oxygen
monitors to provide information to con-
vert emission data to the units of the
applicable   State  regulation  Detailed
discussion  of the  technical  merits and
limitations of this approach is discussed
in the Preamble to the Part 60 Regula-
tions As pointed out in that Preamble.
such  monitors may be  used in certain
situation-;  Modifications have  therefore
been  made 'to the Part 51 regulations to
allow the use of  such monitors which in-
clude  references to technical specifica-
tions contained in Part 60 for carbon di-
oxide monitors. Also, the cycling time for
oxygen monitors has been changed from
one hour to  15 minutes to correspond to
the specification in Part 60.  The differ-
ence  between cycling  times  in the two
proposals was an oversight. The cycling
time  for  carbon dioxide monitors will
also be 15 minutes as in Part 60.
  A number of other miscellaneous tech-
nical comments  were also received. Com-
mentors indicated that the proposed ex-
emption for opacity monitoring require-
ments  that may be granted to oil-fired
and gas-fired steam generators should
also apply to units burning  a  combina-
tion  of these fuels. The Administrator
concurs with this suggestion and an ex-
emption for such sources burning oil and
pas has ben provided  in the final regu-
lations subject  to the same restrictions
as   are imposed  on   oil-fired  steam
generators.
   As previously indicated,  the regula-
tions for  emission monitoring  for exist-
ing sources  refer  in  many  cases  to the
specific performance  specifications set
forth in the emission monitoring regula-
 tions for new. sources affected by Part 60
Many of  the comments received on the
 proposed  reeulations in  effect pointed  to
 issues affecting  both  proposals. In many
cases, more specific technical  issues are
discussed in the Preamble to the Part  60
 Regulations and as such  the reader  Is
 referred to  that Preamble  Specifically,
 the Part 60 Preamble addresses the fol-
 lowing topics: data handling and report-
 ing techniques:  requirements for report-
 ing repairs and replacement parts used;
 location  of monitoring   instruments;
 changes to span requirements, operating
                              HDHAL UGISTM, VOL. 40, NO.  1*4—MONDAY, OCTOIU *, 1*75
                                                              11-155

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                                              RULES  AND  REGULATIONS
frequency requirements, sulfuric ncid and
nitric  arid  plant  conversion  factors:
and, for opacity monitoring equipment.
changes in the cycling time and in alipn-
ment procedures  The reader is cau-
tioned, however, that  specific  reference
to regulations in the Part 60  Preamble
is strictly to federal New Source Perform-
ance Regulations rather than State and
local control agency regulations  which
affect existing sources and which are part
of an applicable plan
  In addition  to  the many  technical
comments received,  a number of legal
issues were raised Several commentors
questioned EPA's statutory authority  to
promulcate these regulations and pointed
out other alleged legal defects in the pro-
posal. The Administrator has considered
these comments, and  has found them un-
persuasive.
  One  commentor argued  that new  40
CFR 51.19(e> will require "revisions"  to
existing state plans: that'"revisions" may
be called for under Section 110(a> (2(H>
of the Clean Air Act only where EPA has
found that there are "improved or more
expeditious methods" for achieving am-
bient standards or that a  state plan Is
"substantially inadequate" to achieve the
standards: that the  new  regulation  is
based upon neither of these findings; and
that therefore there  is no statutory au-
thority  for  the regulation. This argu-
ment fails to take cognizance of Section
JllO(a) (21 (F> (ii) of the Act, which man-
dates that all state implementation plans
contain  self-monitoring  requirements.
The fact  that  EPA  originally accepted
plans without  these requirements be-
cause of substantial uncertainty as to the
reliability of self-monitoring equipment
does not  negate the  mandate  of the
litatute.
  In essence, new 5 51.19(e) does not call
lor "revisions" as  contemplated by the
Act. but for supplements to the original
plans to make them complete. At any
rate, it is the Administrator's  judgment
that the  new  self-monitoring require-
ments will result in a "more expeditious"
achievement of the  ambient standards.
Since these requirements  are  valuable
enforcement tools and indicators of mal-
functions, they should lead to  a net de-
crease in emissions.
  Other commentors argued that even if
EPA has  statutory authority to require
self-monitoring, it has no authority  to
impose  specific  minimum  requirements
lor state plans, to require  "continuous"
monitoring,  or  to require  monitoring of
oxygen, which  is not a pollutant  These
comments fail  to consider that a basic
precept of administrative law is that  an
agency may fill in the broad directives of
legislation with precise regulatory  re-
quirements.  More specifically, the Ad-
ministrator has authority under Section
30Ha) of the Clean Air Act to promul-
gate "such regulations as are  necessary
to carry out his functions under the Act".
Courts have long upheld the authority of
agencies to promulgate more specific re-
quirements  than are  set  forth in en-
abling legislation, so long as the require-
ments are reasonably related to the pur-
poses of  the legislation.  Since the  Act
requires self-monitoring without further
guidance.  EPA surely has the authority
to set specific rp(|uirements in order to
carry out its function of assuring that the
Act is properly implemented
  In EPA's  Judcnient. the requirements
set forth  in 5 51 19 are necessary to
assure  that  each  state's self-monitoring
program is sufficient to comply with the
Act's mandate The fact that oxygen and
carbon  dioxide are not  air pollutants
controlled under  the Act is legally ir-
relevant, since in EPA's judgment,  they
must be monitored in order to convert
measured  emission data to units of emis-
sion standards
  Other commentors have argued  that
the self-monitoring requirements violate
the protection against self-incrimination
provided in the Fifth Amendment to the
U S. Constitution, and that the informa-
tion obtained  from the monitoring  is so
unreliable as to be invalid evidence for
use in court.
  There are two  reasons why  the  self-
incrimination  argument is invalid First,
the self-incrimination privilege does not
apply to corporations, and it is probable
that a great majority of the sources  cov-
ered by these requirements will be owned
by  corporations.  Secondly, courts  have
continually  recognized an  exception to
the  privilege  for  "records required  by
law", such as the  self-monitoring  and
reporting  procedures which are required
by the Clean Air  Act. As to the validity
of evidence  issue, in EPA's opinion, the
required performance specifications will
assure  that self-monitoring equipment
will be sufficiently reliable to withstand
attacks in court.
  Finally, some  comments  reflected a
misunderstanding of EPA's  suggestion
that states explore with counsel ways to
draft their regulations so as to automati-
cally incorporate by  reference  future
additions  to Appendix P and avoid the
time-consuming  plan  revision process.
(EPA pointed  out that public participa-
tion would still be  assured,  since EPA's
proposed revisions to Appendix P would
always be subject to public comment on
a nation-wide basis.)
  EPA's purpose  was merely to suggest
an  approach that a state may wish to
follow  if  the  approach would  be  legal
under  that  state's law. EPA  offers  no
opinion as  to whether any state   law
would allow this. Such a determination
is up to the individual states.
  Summary of Revisions and Clarifica-
tions  to   the  Proposed  Regulations.
Briefly, the revisions and clarifications to
the proposed regulations include:
  (DA clarification to indicate that  con-
tinuous emission monitors are not re-
quired for sources unless such sources
are  subject to an applicable  emission
limitation of an approved SIP.
   (2>  A  revision  to  require  emission
monitors  for oxides of nitrogen in  only
those AQCR's where the  Administrator
has specifically  called  for  a control
strategy for nitrogen dioxide.
   (3) A revision to include a general pro-
vision to exempt any source that clearly
demonstrates  that it will cease operation
ixithm fi\p years of the inclusion of moni-
tonnf: icquircments  for  the  source  in
Appendix P
  '4> Revisions to exempt smaller-sized
sources and  infrequently  used  sources
within the specified source categories
  <5>  A  reusion to the data reporting
requirements to-require the submitlal  bv
the source of the State, emission data in
excess of the applicable emission limita-
tion for  both opacity and gaseous pol-
lutants, rather than all measured data, as
proposed  A provision has been added to
require information  on the cause of  all
noted violations of applicable regulations.
  '61 A clarification to indicate that the
continuous monitoring of oxygen is not
required  unless the continuous monitor-
ing  of sulfur dioxide and/or nitrogen
oxides emissions is required by the appli-
cable SIP
  (7) A revision to allow  the placement
of continuous emission monitors at  "a
representative location" on the exhaust
gas  system  rather than  at "the most
representative location" as required  by
the proposed regulations.
   A modification to provide sources
18 months rather than one year after
approval or promulgation of the revised
SIP to comply with the continuous moni-
toring regulations adopted by the States.
  (10) A modification to provide States
one  year, rather than  the six  months
after the promulgation of  these regula-
tions in the FEDERAL REGISTER  to submit
plan revisions to satisfy the requirements
promulgated herein.
  Requirements of States. States shall be
required  to  revise their SIP's by Octo-
ber 6, 1976 to include legally enforceable
procedures to require emission monitor-
ing,  recording and reporting, as a mini-
mum for those  sources specified in the
regulations  promulgated  herein. While
minimum requirements have been estab-
lished. States may, as they deem appro-
priate, expand these  requirements.
  The regulations  promulgated  herein
have been revised in light of the various
comments to generally provide  a more
limited introduction into this new meth-
odology   Cooperation  among affected
parties, i.e., State and local control agen-
cies, sources, instrument manufacturers
and  suppliers and this Agency is neces-
sary  to  mrv-e  successfully forward  in
these areas of emission monitoring and
reporting prescribed  in the Clean Air
Act. Assistance can be obtained from the
EPA Regional Offices in relation to the
technical and procedural aspects of these
i egulations.
  Copies of documents referenced in this
Preamble are available for public inspec-
tion at the EPA Freedom of Information
Center. 401 M Street, S.W., Washington,
D.C.  20460. The Agency  has not  pre-
pared an environmental  impact state-
ment for these  regulations since they
                              HDIIAl REGISTER, VOL.  40, NO  1*4—MONDAY, OCTOIER 6, 1*75
                                                       II-156

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                                               RULES AND  REGULATIONS
were proposed (September 11, 19741  prior
to the effective date for requirme volun-
tary  environmental  impact  statement.1;
on  EPA's regulatory  actions  (see 39 FR
16186, May 7, 1974).
  The regulations set  forth  below are
promulgated under the authority of sec-
tions 110(a>(2)(FHii)-(iii) and 301(a>
of  the Clean Air Act, as  amended [42
U.S.C. 1857c-5(FMii>-(iu>. 1857g
(*) 1 and are effective November 5,  1975.

  Dated: September 23.1975.
                     JOHN  QUARLES,
                Acting Administrator.
              REFERENCES
  1. Jenkins. R E . Strategies  and Air Stand-
ards Division. OAQPS.  EPA. Memo to  R  L.
AJax, Emission Standards  and  Engineering
Division.  OAQPS. EPA. Emission  Monitoring
Costs February 27.  1975
  2. Young. D. E.. Control Programs Develop-
ment Division, OAQPS,  EPA  Memo to E.  J.
LlllIs. Control  Programs  Development Di-
vision, OAQPS, EPA. Emission Source Data
for  In-StacK Monitoring Regulations. June 4,
1975.
  1. Section 51.1  is amended  by adding
paragraphs (z),  (aa). (bb),   Such procedures shall require the
source owner or operator to submit  in-
formation  relating  to  emissions  and
operation of the emission monitors to the
State to the extent described in Appendix
P as frequently  or more frequently RS
described  therein.
  (5) Such procedures shall provide that
sources subject  to the  requirements of
551.19(e>(2> of  this  section shall have
installed  all  necessary  equipment  and
shall have begun monitoring and record-
ing within 18 months of (1) the approval
of a State plan requiring monitoring  for
that source  or (2) promulgation by  the
Agency of monitoring requirements  for
that source. However, sources that have
made good faith efforts to purchase,  in-
stall, and  begin  the monitoring and  re-
cording  of emission data but who have
been unable  to  complete such  installa-
tion within the time period provided may
be given reasonable extensions of time as
deemed  appropriate by the State.
  < 6) States shall submit revisions to the
applicable  plan  which  implement  the
provisions of this section by  October 6,
1976.
  3. In Part 51.  Appendix P is added as
follows:
     •        •      •       •      •
APPENDIX P—MINIMUM EMISSION MONITORING
              REQUIREMENTS
  1.0 Purpose. This Appendix P sets forth
the minimum requirements for  continuous
emission monitoring and recording  that each
State Implementation Plan must Include In
order to be approved under the provisions of
40 CFR 51 10(e). These requirements Include
the source categories to be affected: emission
monitoring,  recording,  and reporting  re-
quirements Jor these sources; performance
specifications for  accuracy, reliability, and
durability of acceptable monitoring systems:
and techniques to convert emission data to
units of the applicable State emission stand-
ard  Such data must be  reported to the State
as an Indication of whether proper mainte-
nance  and operating procedures arc befog
utilized  by nourri*  operators to  maintain
emission levels at or below emission stand-
ards Such data may be used directly or in-
directly for compliance determination or any
other  purpose deemed  appropriate by the
State  Though the monitoring requirements
are specified In detail. States are ghen some
flexibility  to resolve difficulties  that may
arise  during  the  Implementation of these
regulations
  1 1  Applicability
  The State  plan shall require the owner  or
operator of i«.n emission source In a category
listed In this Appendix  to: (1)  Install, cali-
brate, operate, and maintain all monitoring
equipment necessary for continuously moni-
toring the pollutants specified In this Ap-
pendix for the applicable source category.
and (2) complete the Installation and per-
formance tests of such equipment and begin
monitoring and recording within 18 months
of plan approval or promulgation. The source
categories  and the respective monitoring re-
quirements are listed below.
  1.1.1 Fossil fuel-fired  steam generators,  as
specified In paragraph 2 1 of this appendix.
shall  be  monitored for  opacity, nitrogen
oxides emissions,  sulfur dioxide emissions,
and oxygen or carbon dioxide.
  1.1.2 Fluid bed  catalytic  cracking unit
catalyst regenerators, as specified in para-
graph 2.4  of this  appendix, shall  be moni-
tored for opacity.
  1.1.3 Sulfuric acid plants,  as  specified  In
paragraph 2.3 of this  appendix, shall  be
monitored for sulfur dioxide emissions
  1.1.4 Nitric acid  plants,  as  specified  In
paragraph 2.2 of this  appendix, shall  be
monitored for nitrogen oxides emissions.
  1.2  Exemption!;.
  The States may Include provisions within
their  regulations to grant exemptions from
the monitoring requirements of paragraph
1.1  of this appendix  for  any source which  Is:
  1.2.1 subject to a  new source performance
standard promulgated  In 40 CFR Part  60
pursuant  to  Section 111  of the Clean  Air
Act: or
  1.2 2 not subject to an applicable emission
standard of an approved plan; or
  1.2 3  scheduled  for  retirement within 5
years after Inclusion of monitoring require-
ments for  the source In  Appendix P. provided
that  adequate evidence and guarantees  are
provided that clearly show that the source
will cease  operations prior to such date.
  1.3   Extensions
  States may allow  reasonable extensions of
the time provided for Installation of monitors
for facilities unable to meet the prescribed
tlmeframe  (1 e. 18  months  from plan  ap-
proval or promulgation) provided the owner
or operator of such facility demonstrates that
good  faith efforts  have  been made to obtain
and Install  such  devices within such pre-
scribed tlmeframe.
  1.4  Monitoring System Mai I unction.
  The State plan  may  provide a temporary
exemption from the monitoring and report-
Ing requirements of  this appendix during any
period of  monitoring  system  malfunction,
provided that the source owner or operator
shows, to  the satisfaction of the State, that
the  malfunction  was  unavoidable  and Is
being repaired as e\pedltlously as practicable
  20  Minimum Monitoring  Requirement
  States must,  as a minimum, require  the
sources listed in paragraph 1.1 of this appen-
dix to meet the following basic requirements
  2 1   Fossil furl-fired  steam generators.
  Each fossil fuel-fired steam generator, ex-
cept as provided In the following subpara-
graphs. with an annual average capacity fac-
tor of greater than 30 percent, as reported to
the Federal  Power Commission  for calendar
year  1074. or as otherwise  demonstrated to
the State by the owner or operator, shall con-
form  with the following monitoring require-
ments when such facility Is subject to an
emission standard of an applicable plan  for
the pollutant In question.
                                FEDERAL REGISTER, VOL  40, NO.  194—MONDAY, OCTOBER  t. 1f7S
                                                            11-157

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                                                   RULES  AND REGULATIONS
   211   A continuous monitoring system for
 the measurement of opacity which meets the
 performance'  specifications   of  paragraph
 3.1.1 of this appendix shall be Installed, cali-
 brated, maintained, and operated In accord-
 ance with the procedures of this appendix bj
 the owner or operator  of  any such  stenm
 generator  of greater than 250 million BTU
 per hour heat Input except where-
   a 1.1.1 gaseous fuel In the only fuel burned.
 or
   2.1.1.2 oil or a mixture of gas  and oil are
 the only fuels burned and the source Is  able
 to comply with  the applicable  paniculate
 matter and opacity regulations without utili-
 zation   of  paniculate   matter  collection
 equipment, and  where the source has never
 been  found, through any  administrative or
 Judicial proceedings, to be In violation of any
 visible emission standard  of  the applicable
 plan.
   2.1.2  A continuous monitoring system for
 the measurement  of  sulfur  dioxide  which
 meets the performance specifications of para-
 graph 3.1.3 of this appendix shall be Installed.
 calibrated, maintained, and operated on  any
 fossil  fuel-fired  sieam generator of greater
 than  250 million BTU per hour heat  Input
 which has Installed sulfur dioxide pollutant
 control equipment
   2.1.3, A continuous monitoring system for
 the measurement  of nitrogen oxides which
 meets the performance specification of para-
 graph 3 1.2 of this appendix shall be Installed.
 calibrated, maintained, and operated on  fos-
 sil fuel-fired  steam generators  of  greater
 than 1000 million  BTU per hour heat  Input
 when  such facility Is located In an Air  Qual-
 ity Control Region  where the Administrator
 has specifically  determined that a  control
 strategy  for nitrogen dioxide  Is necessary to
 mttaln the national  standards,  unless  the
 •ource owner or operator demonstrates dur-
 ing source compliance tests as required by
 the State that such a source  emits nltroRen
 oxides at levels 30 percent or more below the
 emission  standard  within the  applicable
 plan.
   2.1 4 A  continuous monitoring system for
 the measurement of the percent oxygen or
 cnrbon  dioxide which meets  the perform-
 ance  specifications  of paragraphs  3 1 4  or
 3 1.5 of this appendix shall be  Installed, cali-
 brated,  operated, and maintained on  fossil
 fuel-fired steam  generators where measure-
 ments of oxygen or carbon dioxide in  the flue
 gas are required to convert either sulfur di-
oxide  or nitrogen  oxides continuous emis-
sion monitoring data, or both, to units of
the emission standard within the  applica-
ble plan
   2.2 Nitric aria plants.
   Each nitric acid plant  of greater than  300
tons per day production capacity, the pro-
duction capacity being expressed  as 100 per-
cent acid, located in an  Air Quality  Control
Region where  the Administrator  has specif-
ically  determined that a  control strategy for
nitrogen dioxide Is necessary  to attain  the
 national  standard  shall Install,  calibrate.
maintain, and operate a continuous moni-
toring system for the measurement of nitro-
gen oxides which  meets  the performance
specifications  of  paragraph  3.12 for  each
nitric acid producing facility within  such
plant.
2 3 Sill/uric acid plants
  Each Sulfurlc  acid plant of greater than
300 tons per day  production  capacity,  the
production being expressed as 100  percent
acid, shall Install,  calibrate,  maintain and
operate a continuous monitoring  system  for
the measurement  of sulfur  dioxide which
meet* the performance specifications of 3 1.3
for each  sulfurlc  acid  producing  facility
within such plant.
  24 Fluid bed catalytic  cracking unit  cata-
lyst regenerators at  petroleum reflnerie's.
   Each  catalyst regenerator for fluid bed
 catalytic cracking units of greater than 20,-
 000 barrels per day  fresh feed capacity shall
 Install,  calibrate, maintain,  and operate a
 continuous monitoring system for the meas-
 urement of opacity which  meets the per-
 formance specifications of 3 1.1
   30 Minimum specifications
   All State plans shall require owners or op-
 erators  of  monitoring equipment Installed
 to comply with this  Appendix, except as pro-
 vided In paragraph 3 2, to  demonstrate com-
 pliance with the following  performance spec-
 ifications
   3 1 Performance specifications
   The performance  specifications  set  forth
 in Appendix B  of Part  60 are  Incorporated
 herein  by reference, and  shall  be used by
 States to determine acceptability of monitor-
 Ing equipment Installed  pursuant  to  this
 Appendix except that (1)  where reference Is
 made to the "Administrator" In Appendix B.
 Part 60, the term "State" should be Inserted
 for  the  purpose of  this Appendix  (e.g.. In
 Performance Specification  1. 1.2. "  .  . moni-
 toring systems  subject  to approval  by the
 Administrator,"  should  be  interpreted  as.
 ". .  . monitoring systems subject to approval
 by the  State"), and (2)  where  reference is
 made to the "Reference Method" In Appendix
 B. Part  60, the State may allow the  use of
 either the State  approved  reference method
 or the Federally  approved  reference method
 as published In Part 60 of  this Chapter. The
 Performance Specifications to be used with
 each type of monitoring  system are listed
 below.
   3.1.1 Continuous  monitoring  systems  for
 measuring  opacity shall  comply with Per-
 formance Specification ].
   312 Continuous  monitoring  systems  for
 measuring nitrogen oxides  shall  comply with
 Performance Specification 2
   3.1.3 Continuous monitoring  systems  for
 measuring sulfur dioxide shall comply with
 Performance Specification 2.
   3.1 4 Continuous monitoring  systems  for
 measuring  oxygen  shall comply with Per-
 formance Specification 3.
   3.1 5 Continuous monitoring  systems  for
 measuring carbon dioxide shall comply with
 Performance Specification 3.
   3.2 Exemptions.
   Any source which  has purchased an emis-
 sion monitoring system(s) prior to Septem-
 ber  11,  1974, may be exempt from meeting
 such test procedures prescribed  In Appendix
 B of Part 60 for a period not to exceed five
 years from  plan  approval  or promulgation.
   3.3 Calibration Gases.
  For nitrogen oxides monitoring systems In-
 stalled on fossil fuel-fired steam generators
 the pollutant gas used to prepare calibration
 gas mixtures (Section 2 1, Performance Spec-
 ification 2, Appendix  B, Part 60) shall be
 nitric oxide (NO). For nitrogen  oxides mon-
 itoring systems, installed on nitric acid plants
 the pollutant gas used to prepare calibration
 gas mixtures (Section 2.1, Performance Spec-
 ification  2. Appendix B. Part 60 of this Chap-
 ter)  shall be nitrogen dioxide (NO,). These
 gases shall also be used for dally checks under
 paragraph 3.7 of this appendix as applicable
 For  sulfur  dioxide  monitoring  systems  In-
 stalled on  fossil fuel-fired  steam generators
 or sulfuric acid plants the pollutant gas used
 to prepare calibration gas mixtures (Section
 2.1. Performance Specification 2. Appendix B.
 Part, 60 of this Chapter) shall be sulfur di-
 oxide (SO_.)  Span and zero gases should be
 traceable to National  Bureau of Standards
 reference, gases  whenever  these reference
 gases are available.  Every  six months  from
dnte of  manufacture, span  and zero gases
 shall be  reanalyzed by conducting triplicate
 analyses  using the reference methods In Ap-
 pendix A. Part 60 of  this chapter as follows:
 for sulfur dioxide, use Reference Method 6:
 for nitrogen oxides, use Reference Method 7:
and for  carbon dioxide or oxygen, use Ref-
erence Method 3 The gases may b; analyzed
at less frequent Intervals  if longer shelf lives
are  guaranteed by the manufacturer
  3 4 Cycling times
  Cycling  times include the  total  time a
monitoring  system  requires  to   sample.
analyze and record an emission measurement
  3.4 1 Continuous monitoring systems  for
measuring opacity shall  complete  a mini-
mum of one cycle of operation  (sampling.
analyzing, and data recording) for each suc-
cessive 10-second period
  342 Continuous monitoring systems  for
measuring oxides of  nitrogen, carbon diox-
ide, oxygen, or sulfur dioxide shall complete
a minimum  of one cycle  of operation (sam-
pling, analyzing  and  data recording)   for
each successive 15-mlnute period.
  3 5 Monitor location
  State  plans  shall require all  continuous
monitoring systems or monitoring devices to
be  installed  such that  representative meas-
urements of  emissions or process parameters
(I e, oxygen, or carbon dioxide) from the  af-
fected facility are obtained. Additional guid-
ance for location of continuous monitoring
systems to obtain representative samples  are
contained  in  the applicable Performance
Specifications of Appendix B of Part 60 of
this Chapter.
  3.6 Combined effluents
  When  the  effluents from two or more  af-
fected facilities of similar design and operat-
ing characteristics are combined before being
released  to the atmosphere, the State plan
may allow  monitoring systems to be Installed
on  the combined effluent  When the affected
facilities are not of similar design and operat-
ing characteristics, or when the effluent from
one  aflected facility is released to the atmos-
phere through more than one point, the State
should establish alternate procedures to Im-
plement  the  Intent of these requirements
  3.7 Zero and drift
  State plans shall require owners or opera-
tors of  all continuous monitoring  systems
Installed  In  accordance  with  the  require-
ments of this Appendix to record the 7,ero and
spun drift In accordance with  the  method
prescribed  by the manufacturer of such  In-
struments: to subject the  Instruments to the
manufacturer's recommended  zero and span
check at least  once dally unless  the manu-
facturer  has recommended adjustment*  at
shorter Intervals, in which case such recom-
mendations shall be followed: to adjust the
zero and span  whenever the  24-hour zero
drift or  24-hour calibration drift limits of
the  applicable  performance specifications in
Appendix B of Part 60 are exceeded: and to
adjust continuous monitoring systems refer-
enced bv  paragraph  3.2  of this Appendix
whenever the 24-hour zero drift or  24-hour
calibration drift exceed  10 percent  of  the
emission standard.
  3 8 Span.
  Instrument span should be approximately
200 per cent of the expected Instrument data
dlsplnv output corresponding to the emission
standard for  the source
  3.9 Altcrnafii'c procedures  and  require-
ments.
  In cases where States wish to utilize differ-
ent,  but  equivalent, procedures and  require-
ments for  continuous  monitoring systems.
the State plan must provide a description of
such alternative proceduers for approval  by
the Administrator Some  examples of-situa-
tions that  may require alternatives  follow:
  3.9.1 Alternative monitoring  requirements
to accommodate continuous monitoring sys-
tems that require corrections for stack mois-
ture conditions (eg , an Instrument measur-
ing  steam generator SO. emissions on a wet
basis could be used with an Instrument mea-
suring oxygen concentration on a dry basis
if acceptable  methods  of mei"'  '  ~  itacx
moisture conditions are  useu  to  anow ac-
                                 FtDEKAl IIGISTH. VOL. 40. NO. 194—MONDAY. OCTOIER », I9T5
                                                              11-158

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                                                  RULES AND  REGULATIONS
 curate adjustment of the measured SO, con-
 centration to dry basis )
   3 9.2 Alternative  locations for Installing
 continuous monitoring systems or monltor-
 Jng devices when the owner or operator can
 demonstrate thai Installation at alternative
 locations will enivble accurate and represent-
 ative measurements.
   3.9 3 Alternative procedures for perform-
 ing calibration checks (eg. some Instruments
 may demonstrate superior drift characteris-
 tics that require checking at less frequent
 Intervals).
   394 Alternative monitoring requirement*!
 when the effluent from one affected facility or
 the combined effluent  from two or more
 Identical affected facilities Is released to the
 atmosphere  through more than  one point
 (e.g.. an extractive, gaseous monitoring sys-
 tem used at  several points may be approved
 If the procedures recommended arc  suitable
 for  generating accurate emission  averages)
   3 9 5 Alternative  continuous  monitoring
 systems that do not meet the spectral re-
 sponse requirements In Performance Speci-
 fication ]. Appendix B  of  Part 60, but ade-
 quately demonstrate a definite and consistent
 relationship  between  their  measurements
 and the opacity  measurements of a system
 complying with  the requirements  In  Per-
 formance Specification  1  The State  may re-
 quire that such demonstration be  performed
 (or each affected  facility.
   4 0 Minimum data requirements
   The  following  paragraphs  set  forth  the
 minimum data reporting requirements neces-
 sary to comply with 551 19(e) (3) and (4).
   4 1 The  State  plan shall  require  owners
 or operators of facilities required to Install
 continuous monitoring systems to submit a
 written  report of excess emissions for each
 calendar quarter  and the nature and cause of
 the excess emissions. If known The averaging
 period  used  for  data  reporting should  be
 established by the State to correspond to the
 averaging  period  specified In  the emission
 test method  used to determine compliance
 with an emission  standard for the pollutant'
 source category In question. The required re-
 port shall  Include, as a minimum, the data
 stipulated In this Appendix.
   4.2 For opacity measurements,  the sum-
 mary shall consist of the magnitude In actual
 percent opacity of all  one-minute (or such
 other time period deemed appropriate by the
 State) averages of opacity greater than the
 opacity standard  In the applicable plan  for
 each hour of operation of the facility. Aver-
 age  values may be obtained by Integration
 over the averaging period  or  by arithmeti-
 cally averaging a minimum of four  equally
 spaced, instantaneous opacity measurements
 per minute. Any  time period exempted shall
 be considered before determining the excess
 averages of opacity  (e.g. whenever a regu-
 lation  allows two minutes  of opacity meas-
 urements In excess of the standard, the State
 shall require the  source to report all opacity
 averages. In any  one hour. In excess of the
standard,  minus  the   two-minute  exemp-
tion).  If  more than one opacity standard
applies, excess emissions data  must be sub-
 mitted In relation to all such standards
  4.3 For gaseous measurements the sum-
mary shall consist  of emission averages. In
the units of the applicable standard, for each
averaging period  during which the  appli-
cable standard was exceeded.
  4.4 The' date and time  Identifying each
period  during which the continuous moni-
toring  system  was  Inoperative, except  for
zero and  span checks,  and  the nature of
svstem  repairs  or adjustments shall  be  re-
 ported. Th* State may require proof of con-
tinuous  monitoring system  performance
whenever system repairs or adjustments have
 been made.
   4 5  When no  excess  emissions  have oc-
 curred and the continuous monitoring  sjs-
 temls) ha\e not been Inoperative, repaired.'
 or adjusted, such  Information  shall be In-
 cluded In the report.
   4 6 The State plan shall require owners or
 operators of affected facilities  to  maintain
 a file of all Information reported In the quar-
 terly summaries, and all  other data collected
 either by the continuous monitoring system
 or as  necessary to convert monitoring data
 to the units of the applicable standard for
 a minimum of two years from the elate of
 collection  of  such  data  or submission of
 such summaries
   6.0 Data Rcduftton
   The  State plnn  shall  require owners or
 operators of affected  facilities to  use  the
 following procedures for  convening  moni-
 toring  data to units of  the standard where
 necessary- .
   5.1 For fossil fuel-fired steam generators
 the  following  procedures Khali be  used to
 convert gaseous emission monitoring dntn In
 parts per million to g 'million cal lib 'million
 BTU )  where necessary :
   51.1  When  the  owner  or operator  of  a
 fossil fuel-fired steam generator elects under
 subparagraph 2 1.4 of this Appendix to meas-
 ure  oxygen In  the flue  gases,  the  measure-
 ments  of the  pollutant  concentration  and
 oxygen concentration shall ench be on a dry
 basis and the following conversion procedure
 used •
                  (    2
                  Vsnii
  5.1.2 When  the owner  or operator  elects
under subparagraph  2.1 4  of  this Appendix
to measure carbon dioxide In the flue  gases.
the  measurement of  the  pollutant  concen-
tration and the carbon dioxide concentration
shall each be  on a consistent basis (wet or
dry) and  the following conversion procedure
used:
                        100
  5 1.3 The values used In the equations un-
der paragraph 5 1 are derived as follows-

         E = pollutant  emission,  g/mllllon
            cal (Ib/mllllon BTU).
         C = pollutant   concentration,   g'
          '  dscm (Ib/dscf). determined  by
            multiplying the average concen-
            tration (ppm)  for each  hourly
            period by 4.16V 10-' M g/dscm
            per ppm  (264-- 10-" M Ib/dscf
            per ppm) where M = pollutant
            molecular weight, g/g-mole lib/
            Ib-mole)  M =  64 for sulfur di-
            oxide and 46 for oxides of nitro-
            gen.
r,'rO., rnCO, = Oxygen or carbon  dioxide vol-
            ume (expressed as percent) de-
            termined with  equipment spec-
            ified  under paragraph 4.1.4  of
            this appendix.
      F, Fr = a factor  representing a ratio of
            the  volume of dry flue gases
            generated to the  calorific value
            of the fuel combusted  (F), and
            a factor  representing a ratio of
            the  volume of carbon dioxide
            generated to the  calorific value
            of the fuel combusted (F.) re-
            spectively. Values of F and  F.
            are given in I  60.45U) of Part
            60. as applicable

  5.2 For  sulfurlc acid plants the owner  or
operator shall:
  5 2 1  establish a  conversion  factor  three
times dally  according to the  procedures  to
I 6084(b) of this chapter,
  5.2.2 multiply the conversion factor by the
average sulfur dioxide concentration  In the
flue  gases  to obtain average sulfur dioxide
emissions In Kg/metric ton (Ib/short ton):
and
  5.2 3 report  the  average  sulfur  dioxide
emission for each averaging period In excess
of the applicable emission standard  in  the
quarterly summary
  S3 For  nitric acid  plants  the owner or
operator shall.
  53 1 establish a conversion  factor accord-
Ing  to the  procedures of |6073(b)  of  this
chapter.
  5 3.2 multiply the conversion factor by the
average nitrogen oxides concentration In the
flue  gases to obtain  the nitrogen oxides emis-
sions in the units of the applicable standard.
  533 report  the  average  nitrogen  oxides
emission for each averaging period In excess
of the applicable emission standard. In the
quarterly summary
  5 4 Any  State  may  allow  data reporting
or reduction procedures varying from those
set forth In this Appendix  If the owner or
operator of a source shows to the satisfaction
of the State that his procedures are at least
as accurate as  those In this Appendix Such
procedures may Include but are not limited
to. the following'
  5.4 1 Alternative procedures for computing
emission averages that do not require Inte-
gration of data  (e.g.. some facilities may dem-
onstrate  that the variability of their emis-
sions Is sufficiently small to allow accurate re-
duction of data based upon computing aver-
ages  from equally spaced data points over the
averaging period).
  5 4.2 Alternative methods of converting pol-'
lutant concentration measurements  to  the
units of the emission standards
  6 0 Special Consideration
  The State plan may provide for approval, on
a case-by-case  basis, of alternative monitor-
ing  requirements different from the provi-
sions of Parts 1 through 5 of this Appendix If
the provisions of this Appendix  (l.e . the In-
stallation of a continuous emission monitor-
ing  system) cannot be Implemented by a
source due  to  physical plant limitations or
extreme  economic reasons To make use of
this  provision.  States must  Include In their
plan specific criteria  for determining those
physical  limitations  or extreme economic.
situations to be considered by the State. In
such cases,  when  the State exempts  any
source subject to this Appendix by use of this
provision from  Installing continuous emis-
sion  monitoring systems, the State shall set
forth alternative emission  monitoring and
reporting requirements (e.g.. periodic manual
stack tests)  to satisfy  the Intent of these
regulations. Examples  of such special cues
Include, but are not limited to, the following:
  6.1 Alternative monitoring requirement*
may  be prescribed when Installation of a con-
tinuous monitoring system or monitoring de-
vice specified by this Appendix would not pro-
vide  accurate  determinations  of emissions
(e.g., condensed, uncomblned  water vapor
may  prevent an accurate determination of
opacity using  commercially  available con-
tinuous monitoring systems).
  6.2 Alternative monitoring  requirements
may  be prescribed when the affected facility
Is Infrequently operated (e.g.. some affected
facilities may operate less  than one  month
per year).
  63 Alternative monitoring  requirements
may  be prescribed when the State determines
that  the requliements of this Appendix would
Impose an  extreme  economic burden  on the
source owner or operator.
  64 Alternative monitoring  requirements
may  be prescribed when the State determines
that  monitoring systems prescribed by this
Appendix cannot be Installed due to physical
limitations at the facility.

 |FK Doc 75-26566  Filed 10-3-75:8:45 am]
                                 KDilAl IIGISTH,  VOL. 40,  NO  IM—MONDAY. OCTOKR 6. 1*75
                                                               11-159

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SUMMARY OF TABLES OF MONITORING REGULATIONS
                11-160

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Subpart

   D
   Da
                                  TABLE #1

                      NSPS SOURCE CATEGORIES WHICH ARE

                      REQUIRED TO MONITOR CONTINUOUSLY
Source Category

STEAM GENERATORS

   Solid Fossil Fuel



   Liquid Fossil Fuel



   Gaseous Fossil Fuel

ELECTRIC UTILITY STEAM
   GENERATING UNITS

   Solid Fossil Fuel
                 Liquid Fossil Fuel
Pollutant
Opacity
S02
NOX

Opacity
S02
NOX

NOV
Process
                                                                02 or C02
                                                                02 or C02
                                                                02 or C02
Opacity            02 or C02
S02 (at inlet and
outlet of control
device)
NOX

Opacity            02 or C02
S02 (at inlet and
outlet of control
device)
   G

   H

   J
   Gaseous Fossil Fuel

NITRIC ACID PLANTS

SULFURIC ACID PLANTS

PETROLEUM REFINERIES

   FCCU
                 Combustion of Fuel
                   Gases
                                             NO,
                   02 or C02
NO
  'x
S02
Opacity
CO

S02 or
H2S
                                   11-161

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Table #1, continued
Subpart
(cont'd)
TUVWX
   AA
Source Category                Pollutant

PETROLEUM REFINERIES (cont'd)

   Sulfur Recovery Plant       S02a, H2Sb, TRSb

IRON AND STEEL PLANTS
                   Process
              PRIMARY  COPPER  SMELTERS
              PRIMARY  ZINC  SMELTERS
              PRIMARY LEAD  SMELTERS
PHOSPHATE FERTILIZER PLANTS
               COAL  PREPARATION  PLANTS
               FERROALLOY PRODUCTION
                  FACILITIES
 STEEL  PLANTS:
   ELECTRIC  ANC  FURNACES
                               Opacity
                               S02

                               Opacity
                               S02

                               Opacity
                               S02
                                Opacity
Opacity
                                                                 Pressure  loss
                                                                 through venturi
                                                                 scrubber  water
                                                                 supply pressure
Total pressure
drop across pro-
cess scrubbing
systems.

Exit gas temp.
pressure loss
through venturi
water supply
pressure to con-
trol equipment

Flowrate through
hood
Furnace power
input

Volumetric flow
rate through  each
separately ducted
hood.  Pressure
in  the free space
inside the elect-
ric arc furnace.
 a  For oxidation control systems.

 b  For reduction control systems not followed by incineration.
                                    11-162

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Table #1, continued


Subpart       Source Category                Pollutant          Process

   BB         KRAFT PULP MILLS

                 Recovery Furnace            Opacity
                                             TRS (dry basis)    02  (dry basis)

                 Lime kiln, digester         TRS (dry basis)    02  (dry basis)
              system, brown stock washer
              system, multiple effect evapo-
              rator system, black liquor oxi-
              dation system, or condensate
              stripper system

                 Point of incineration of                       Temperature
              effluent gases,  brown stock
              washer system, multiple effect
              evaporator system,  black liquor
              oxidation system, or condensate
              stripper system

                 Lime kiln or smelt dissolving                  Pressure loss of
              tank using a scrubber                             the gas stream
                                                                through the con-
                                                                trol equipment

                                                                Scrubbing liquid
                                                                supply pressure

   HH         LIME MANUFACTURING  PLANTS

                 Rotary Lime Kilns           Opacity3           Pressure loss
                                                                of  steam through
                                                                the scrubber

                                                                Scrubber liquid
                                                                supply pressure
   Does  not  apply when there is a wet scrubbing emission control device.

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Table #1, continued
Subpart       Source Category                Pollutant          Process

   HH         LIME MANUFACTURING PLANTS
                 (cont'd)

                 Lime Hydrator                                  Scrubbing liquid
                                                                flow rate

                                                                Measurement of
                                                                the electric
                                                                current  (amperes)
                                                                used by  the
                                                                scrubber
                                   11-164

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         Subpart
                 TABLE #2

OPERATIONAL MONITORING REQUIREMENTS  (NSPS)

             (Non-Continuous)

                            Requirement
E.
F.
Incinerators
Portland Cement
Plants
Daily charging rates and hours of operation.
Daily procuction rates and kiln feed rates.
G.  Nitric Acid Plants

H.  Sulfuric Acid Plants
J.  Petroleum Refineries
K.  Storage Vessels for
       Petroleum Liquids
0.  Sewage Treatment
       Plants
P.  Primary Copper
       Smelter
S.  Primary Aluminum
       Reduction Plants
          Daily production rate and hours  of  operation.

          The conversion factor shall be determined,  as  a
          minimum, three times daily by measuring  the con-
          centration of sulfur dixoide entering  the  con-
          verter.

          Record daily the average coke burn-off rate and
          hours of operation for any fluid catalytic
          cracking unit catalyst regenerator  subject  to  the
          particulate or carbon monoxide standard.

          Maintain a file of each type of  petroleum  liquid
          stored and the dates of storage.  Show when
          storage vessel is empty.  Determine and  record
          the average monthly storage temperature  and true
          vapor pressure of the petroleum  liquid stored  if:
          (1) the petroleum liquid, as stored, has a vapor
          pressure greater than 26 mm Hg but  less  than
          78 mm and is stored in a storage vessol  other
          than one equipped with a floating roof,  a  vapor
          recovery system or their equivalents;  or (2) the
          petroleum liquid has a true vapor pressure, as
          stored, greater than 470 mm Hg and  is  stored in a
          storage vessel other than one equipped with a
          vapor recovery system or its equivalent.

          Install, calibrate, maintain, and operate  a flow
          measuring device which can be used  to  determine
          either the mass or volume of sludge charged to
          the incinerator.

          Keep a monthly record of the total  smelter  charge
          and the weight percent (dry basis)  of  arsenic,
          antimony, lead, and zinc contained  in  this
          charge.

          Determine daily, the weight of aluminum  and anode
          produced.  Maintain a record of  daily  production
          rates of aluminum and anodes, raw material feed
          rates, and cell or potline voltages.
                                   11-165

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         Subpart
                          TABLE #2 (cont'd)

               OPERATIONAL MONITORING REQUIREMENTS (NSPS)

                            (Non-Continuous)

              	Requirement
T.  Phosphate Fertilizer
       Industry:  Wet-
       Process Phosphoric
       Acid Plants

U.  Phosphate Fertilizer
       Industry:  Super-
       phosphoric Acid
       Plants

V.  Phosphate Fertilizer
       Industry:  Diammon-
       ium Phosphate Plants

W.  Phosphate Fertilizer
       Industry:  Triple
       Superphosphate
       Plants

X.  Phosphate Fertilizer
       Industry:  Granular
       Triple Superphos-
       phate Storage
       Facilities
Z.
Ferroalloy Production
   Facilities
AA.
 Steel Plants:
   Electric Arc
   Furnaces
                         Determine the mass flow of phosphorus-bearing
                         feed material to the process.  Maintain a daily
                         record of equivalent P205 feed.
                         Determine the mass flow of phosphorus-bearing
                         feed material to the process.  Record daily the
                         equivalent ^2^5 feed.
                         Determine the mass flow of phosphorus-bearing
                         feed material to the process.  Maintain a daily
                         record of equivalent ?2°5 feed.
                         Determine the mass flow of phosphorus-bearing
                         feed material to the process.  Maintain a daily
                         record of equivalent ?2®5 feed.
                         Maintain an accurate accpunt of triple super-
                         phosphate in storage.  Maintain a daily record
                         of total equivalent ?2®5 stored.
Maintain daily records of (1) the product;
(2) description of constitutents of furnace
charge, including the quantity, by weight;
(3) the time and duration of each tapping period
and the identification of material tapped (slag
or product); (4) all furnace power input data;
and (5) all flow rate data or all fan motor power
consumption and pressure drop data.

Maintain daily records of (1) the time and
duration of each charge; (2) the time and
duration of each tap; (3) all flow rate data;
and (4) all pressure data.
                                   11-166

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                                  TABLE #3

                         EMISSION LIMITATIONS (NSPS)
 SUBPART
    D  Fossil Fuel-Fired
       Steam Generators

         Liquid  fossil fuel
         Solid fossile fuel
         Gaseous fossil fuel
         Mixture of fossil
         fuel
 POLLUTANT
 Particulate


 Opacity

 S02


 NOX


 Particulate


 Opacity

 S02


NOX


Particulate


Opacity

NOX


Particulate


Opacity


S02
                                                   EMISSION LEVELS
43 ng/joule
(0.10 lb/106 Btu)

20% except 27% for 6 rain/hr

340 ng/joule
(0.80 lb/106 Btu)

130 ng/joule
(0.30 lb/106 Btu)

43 ng/joule
(0.10 lb/106 Btu)

20% except 27% for 6 min/hr

520 ng/joule
(1.2 lb/106 Btu)

300 ng/joule
(0.70 lb/106 Btu)

43 ng/joule
(0.10 lb/106 Btu)

20% except 27% for 6 min/hr

86 ng/joule
(0.20 lb/106 Btu)

43 ng/joule
(0.10 lb/106 Btu)

20% except 27% for 6 min/hr

y(340) + z(520)  *
                                                        y  + z

                                                   x(86) + y(130)  + z(300)

                                                          x +  y  +  z
*  x = percentage of total heat  input  from gaseous  fossil  fuel
   y = percentage of total heat  input  from liquid  fossil  fuel
   z = percentage of total heat  input  from solid fossil  fuel
                                  11-167

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                              TABLE #3 (cont'd)

                         EMISSION LIMITATIONS (NSPS)
SUBPART
   G  Nitric Acid Plants
   H  Sulfuric Acid Plants
   J  Petroleum Refineries

      Fluid catalytic
      cracking unit
      Glaus sulfur recovery
        plant
   N  Iron and Steel Plants

         (BOPF)
POLLUTANT

NO 2



Opacity

SO 2



H2S04 mist
Particulate


Opacity

CO

SO 2
TRS
H2S

Particulate

Opacity
   P  Primary Copper Smelters

         Dryer                  Particulate
EMISSION LEVELS

1.5 kg/metric tons of acid
produced (4.0 Ib/ton of
acid produced)

10%

2 kg/metric tons of acid
produced (4.0 Ib/ton of
acid produced)

0.075 kg/metric tons of
acid produced (0.15 Ib/ton)
1.0 kg/1000 of coke burn-
off

30%

0.050%

0.025%
0.030%
0.0010%

50 mg/dscm

10%
>10% but <20% may occur
once per steel production
cycle
                   50 mg/dscm  (0.022 gr/dscf)
                                   11-168

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                              TABLE #3 (cont'd)

                         EMISSION LIMITATIONS (NSPS)
SUBPART
         Roaster,  smelting
         furnace,  copper
         converter

   Q  Primary Zinc Smelters

         Sintering machine



         Roaster



   R  Primary Lead Smelters

         Blast or  reverberatory
         furnace,  sintering
         machine discharge end
POLLUTANT

Opacity

SO 2
         Sintering machine,
         electric smelting
         furnace, converter
   T  Phosphate Fertilizer
      Industry:   Wet Process
      Phospheric Acid Plants

   U  Phosphate Fertilizer
      Industry:   Super-Phos-
      phoric Acid Plants

   V  Phosphate Fertilizer
      Industry:   Diammonium
      Phosphate

   W  Phosphate Fertilizer
      Industry:   Triple Super-
      Phosphate
Particulate

Opacity

SO 2

Opacity



Particulate



Opacity

SO 2


Opacity

Total Fluorides



Total Fluorides



Total Fluorides



Total Fluorides
EMISSION LEVELS

20%

0.065%
50.mg/dscm (0.022 gr/dscf)

20%

0.065%

20%



50 mg/dscm (0.022 gr/dscf)



20%

0.065%
20%

10 g/metric ton of
(0.020 Ib/ton)
                        feed
5 g/metric ton of ?2°5 feed
(0.020 Ib/ton)
30 g/metric ton of P2°5 feed
(0.060 Ib/ton)
100 g/metric ton of equival-
ent P20s feed (0.20 Ib/ton)
                                   11-169

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                              TABLE #3 (cont'd)

                         EMISSION LIMITATIONS (NSPS)
SUBPART
   X  Phosphate Fertilizer
      Industry:  Granular
      Triple Superphosphate
                                POLLUTANT
Total Fluorides
EMISSION LEVELS

0.25 g/hr/metric ton of
equivalent P2C>5 stored
(5.0 x 10-4 lb/hr/ton)
   Y  Coal Preparation Plants

      Thermal Dryer
      Pneumatic coal
      cleaning equipment
      Processing and
      conveying equipment,
      storage systems,  trans-
      fer and loading systems

   Z   Ferroalloy Production
      Facilities

      Electric submerged
Particulate

Opacity

Particulate

Opacity

Opacity
Particulate
      Dust  handling
      equipment
Opacity

CO

Opacity
0.070 g/dscm  (0.031 gr/dscf)

20%

0.040 g/dscm  (0.031 gr/dscf)

10%

20%
0.45 kg/MW-hr (0.99 Ib/MW-hr)
(high silicon alloys)
0.23 kg/MW-hr (0.51 Ib/MW-hr)
(chrome and manganese alloys)

15%

20%

10%
                                   11-170

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                              TABLE #3 (cont'd)

                         EMISSION LIMITATIONS (NSPS)
SUBPART
                                POLLUTANT
   AA  Steel Plants

         Electric Arc furnaces  Particulate

         Control device         Opacity

         Shop roof              Opacity
        Dust  handling^
        equipment

   BB  Kraft Pulp Mills

        Recovery Furnace
        Straight  recovery
        furnace

        Cross recovery
        furnace

        Smelt dissolving
        tank
        Lime kiln

        gaseous fuel
        liquid fuel
 Opacity
 Particulate

 Opacity

 TRS


 TRS


 Particulate


TRS


TRS

Particulate
Particulate
        Digester system,  brown
        stock washer system,
        multiple-effect vaporation
        system,  black liquor
        oxidation system or
        condensate stripper    TRS
 EMISSION LEVELS



 12 mg/dscm (0.0052 gr/dscf)

 3%

 0%,  except:
 20% - charging
 40% - tapping

 10%
0.10 g/dscm

35%

5 ppm


25 ppm
0.Ig/kg black liquor
(dry out)

0.0084 g/kg black liquor
(dry out)

8 ppm

0.15g/dscm
0.30g/dscm
                   5 ppm
                                   11-171

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                              TABLE //3 (cont'd)
                         EMISSION LIMITATIONS (NSPS)
SUBPART
POLLUTANT
EMISSION LEVELS
   HH  Lime Manufacturing
       Plants

         Rotary Lime Kiln
         Lime Hydrator
Particulate


Opacity

Particulate
0.15 kg/megagram of lime-
stone feed

10%

0.075 kg/megagram of lime
feed
                                    11-172

-------
                                   TABLE #4




PROPOSAL AND  PROMULGATION DATES  OF EMISSION LIMITATIONS  FOR NSPS SOURCE CATEGORIES
Subpart
D
Da
E
F
G
H
I
J
K
L
M
N
0
P
Q
R
S
TUVWX
Y
Z
AA
BB
DD
HH
Source
Fossil Fuel Fired Steam Generators
Electric Utility Steam Generators
Incinerators
Portland Cement Plants
Nitric Acid Plants
Sulfuric Acid Plants
Asphalt Concrete Plants
Petroleum Refineries
Storage Vessels for Petroleum Liquids
Secondary Lead Smelters
Brass and Bronze Production
Iron and Steel. Plants
Sewage Treatment Plants
Primary Copper Smelter
Primary Zinc Smelter
Primary Lead Smelter
Primary Aluminum Reduction Plants
Phosphate Fertilizer Industry
Coal Preparation Plants
Ferroalloy Production Plants
Steel Plants: Electric Arc Furnaces
Kraft Pulp Mills
Grain Elevators
Lime Manufacturing
Promulgation
Date
12/23/71
6/11/79
12/23/71
12/23/71
12/23/71
12/23/71
3/08/74
3/08/74
3/08/74
3/08/74
3/08/74
3/08/74
3/08/74
1/15/76
1/15/76
1/15/76
1/26/76
8/06/75
1/15/76
5/04/76
9/23/75
2/23/78
8/03/78
3/07/78
Proposed
Date
8/17/71
9/18/78
8/17/71
8/17/71
8/17/71
8/17/71
6/11/73
6/11/73
6/11/73
6/11/73
6/11/73
6/11/73
6/11/73
10/16/74
10/16/74
10/16/74
10/23/74
10/22/74
10/24/74
10/21/74
10/21/74
9/24/76
1/03/773
8/03/78
3/03/77
a  Suspended on 6/24/77.
                                    11-173

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                                  TABLE #5

                    NSPS CONTINUOUS MONITORING REQUIREMENTS


  I.   Installed and operational prior to conducting performance  tests.1

 II.   Conduct monitoring system performance  evaluations  during  performance
      tests or 30 days thereafter.

III.   Check zero and span drift at  least daily (see Table  #8).

 IV.   Time for cycle of operations  (sampling, analyzing,  and  data recording).
      A.  Opacity - 10 seconds
      B.  Gas Monitors - 15 minutes

  V.   Installed to provide representative  sampling

 VI.   Reduction of data.
      A.  Opacity - 6-minute average
      B.  Gaseous Pollutants - hourly average

VII.   Source must notify agency,  more than 30 days  prior,  of  date upon which
      demonstration of continuous monitoring system performance is to com-
      mence.
 1   Performance tests shall be conducted within 60 days after achieving  the
 maximum production rate at which the affected facility will be  operated,  but
 not later than 180 days after initial startup of such facility.
                                     11-174

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                                   TABLE # 6

                   QUARTERLY REPORTING REQUIREMENTS1 (NSPS)

   I.   Excess  Emissions
       A.   Description of Excess  Emission
           1.  Magnitude
           2.  Conversion factors used
           3.  Date and  time of  commencement and completion
       B.   Explanation of Excess  Emission
           1.  Occurrances during start-ups, shutdowns,  and malfunctions
           2.  Nature  and cause  of malfunction
           3.  Corrective and preventative action taken
       C.   To  be  submitted in Units Same as Standard

 II.   Continuous Monitoring Systems
       A.   Date and Time when System was Inoperative (except for zero and span
           checks)
       B.   Nature of System Repairs or Adjustments

III.   Lack of Occurrances During A Quarter
       A.   Absence  of  Excess Emissions during Quarter
       B.   Absence  of  Adjustments,  Repairs,  or Inoperativeness of Continuous
           Monitoring  System
   "Each owner or operator required  to  install a  continuous  monitoring  system
shall submit a written report . .  .  for every calendar  quarter"

   "All quarterly reports shall be postmarked by  the  30th  day  following the
end of each calendar quarter ..."


                                     11-175

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SUSPART

   D
                               TABLE #7

                 DEFINITION OF EXCESS EMISSIONS  (NSPS)

       POLLUTANT     EXCESS EMISSION
          NO
            x
          NO
            x
       opacity       any six-minute  period  during which  the  average opa-
                     city of emissions  exceed  20% opacity,  except  that  one
                     six-minute average  per hour of  up  to  27%  opacity need
                     not be reported.

       S02           any three-hour  period  during which  the  average
                     emissions of  S02  (arithmetric average  of  three con-
                     tiguous one-hour  periods) exceed  the  standard.

                     any three-hour  period  during which  the  average
                     emissions of  NOX  (arithmetric average  of  three con-
                     tiguous one-hour  periods) exceed  the  standard.

                     any three-hour  period  during which  the  average nitro-
                     gen oxides emissions  (arithmetric  average of  three
                     contiguous one-hour periods) exceed the standard.

H      S02           all three-hour  periods (or  the  arithmetric average of
                     three consecutive one-hour  periods) during which the
                     integrated average  sulfur dioxide  emissions exceed the
                     applicable standards.

J      Opacity       all one-hour  periods  which  contain  two  or more six-
                     minute periods  during  which the average opacity
                     exceeds 30 percent.

       CO            all hourly periods  during which the average CO con-
                     centration exceeds  the standard.

       S02           any three-hour  period  during which  the  average con-
                     centration of S02 emissions from  any  fuel gas com-
                     bustion device  exceeds the  standard.

       S02           any twelve-hour period during which the average con-
                     centration of S02 emissions from  any  Glaus sulfur
                     recovery plant  exceed  the standard.

P      Opacity       any six-minute  period  during which  the  average opacity
                     exceeds the  standard.

       S02           any six-hour  period during  which  the  average  emissions
                     of S02 (arithmetric mean  of six contiguous one-hour
                     periods) exceed the standard.

Q      Opacity       any six-minute  period during which  the  average opacity
                     exceeds the  standard.

       S02           any two-hour  period during  which  the  average emissions
                     of S02 (arithmetric mean  of  two contiguous one-hour
                     periods) exceed the standard.
                                     11-176

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SUBPART

   R
                         TABLE #7

          DEFINITION  OF  EXCESS EMISSIONS  (NSPS)

POLLUTANT     EXCESS  EMISSION
  AA
Opacity


S02



Opacity


Opacity
  BB
Recovery  TRS
Furnace

          Opacity


Lime Kiln TRS
Digester  TRS
system,
brown stock
washer system,
multiple-effect
evaporator system,
black liquor oxidation
system, or condensate
stripper.
any six-minute  period  during  which the average opacity
exceeds  the  standard.

any two-hour period  during which  the average emissions
of S02 (arithmetric  mean  of two contiguous one-hour
periods) exceed  the  standard.

all six-minute  periods  in which the  average opacity is
15 percent or greater.

all six-minute  periods  during which  the average  opa-
city is  3 percent  or greater.
              any  twelve-hour  period  during  which the TRS emissions
              exceed  the  standard.

              any  six-minute period during which  the average opacity
              exceeds the  standard.

              any  twelve-hour  period  during  which the TRS emissions
              exceed  the  standard.

              any  twelve-hour  period  during  which the TRS emissions
              exceed  the  standard.
  HH
Opacity
all six-minute periods during which  the  average  opa-
city is greater than the standard.
                                    11-177

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                                  TABLE #8

                          SPANNING AND ZEROING (NSPS)

 I.- Explanation of  Zero and Span Checks
     A.  Extractive  gas monitors
         1.   Span gas  composition
              a.   S02 ~ sulfur dioxide/nitrogen or air-gas mixture
              b.   NO  -  nitric oxide/oxygen-free nitrogen mixture
              c.   N02 ~ nitrogen dioxide/air mixture
         2.   Zero gases
              a.   Ambient air
         or   b.   A gas certified by the manufacturer to contain less  than
                  1 ppm of the pollutant gas
         3.   Analysis  of span and zero gases
              a.   Span  and zero gases certified by their manufacturer  to  be
                  traceable to National Bureau of Standards reference  gases
                  shall be used whenever these gases are available.
              b.   Span  and zero gases should be reanalyzed every six months
                  after date of manufacture with Reference Method 6 for
                  S02 and 7 for NOX
              c.   Span  and zero gases shall be analyzed two weeks prior to
                  performance specification tests
     B.  Non-extractive gas monitors
         1.   Span check - certified gas cell or test cell
         2.   Zero check - mechanically produced or calculated from upscale
              measurements
     C.  Transmissometers
          1.   Span check is a neutral density filter that is  certified within
              +3 percent opacity
          2.   Zero check is a simulated zero.
     D.  Span values are specified in each subpart
          1.   Span check is 90 percent of span.

 II. Adjustment of Span and Zero
     A.  Adjust the  zero and span whenever the zero or calibration drift
          exceeds the limits of applicable performance specification  in
         Appendix B
          1.   For opacity, clean  optional surfaces before adjusting zero  or
              span drift
          2.   For opacity systems using automatic zero adjustments, the opti-
              cal surfaces shall  be cleaned when  the cumulative  automatic zero
              compensation exceeds four percent opacity

III.  How to Span and Zero
     A.   Extractive gas monitors
          1.   Introduce  the zero  and  span gas into the monitoring  system  as
              near the probe as practical
      B.   Non-extractive gas monitors
          1.   Use a certified gas cell or test cell  to check  span
          2.   The zero check is performed by  computing the  zero  value  from
              upscale measurements or  by mechanically producing  a  zero
      C.   Transmissometers
          1.   Span check with a neutral density filter
          2.   Zero check by simulating a zero opacity

                                    11-178

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 SUBPART

 D  Fossil Fuel Fired Steam
    Generators

    liquid fossil fuel
    solid fossil fuel



    gaseous  fuel

    mixutures  of fossil fuels
 Da Electric  Utility  Steam
    Generators
    gaseous  fuel

    liquid fossil  fuel

    solid fossil fuel

  *FGD  Inlet


  *FGD  Outlet


G  Nirtic Acid Plants

H  Sulfurlc Acid Plants

J  Petroleum Refineries

   Catalytic Cracker


   Glaus Recovery Plant



   Fuel Gas  Combustion
        TABLE it9

SPAN SPECIFICATIONS (NSPS)

         POLLUTANT
         opacity
         S02
         NO
                                      x
         opacity
         S02
         NO
           x
         NO
           x
         opacity
         S02
         NOX
         Opacity

         NOX

         NOX

         NOX

         SO 2


         S02


         N02

         S02
        opacity
        CO

        S02
        H2S
        TRS

        S02
        H2S
          SPAN
 80,  90,  or  100%  opacity
 1000 ppm
 500  ppm

 80,  90,  or  100%  opacity
 1500 ppm
 1000 ppm

 500  ppm

 80,  90,  or  100%  opacity
 lOOOy +  ISOOz1
 500  (x + Y) +  lOOOz
60%-80%

500 ppm

500 ppm

1000 ppm

125% of max. estimated
potential emissions

50% of max. estimated
hourly potential emissions

500 ppm

1000 ppm
60, 70, or 80% opacity
1000 ppm

500 ppm
20 ppm
600 ppm

100 ppm
300 ppm
*Span values for S02 are specified for FGD inlet and outlet and apply to
 liquid and solid fossil fuels.
                                    11-179

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SUBPART
P  Primary Copper Smelters
     TABLE #9

SPAN SPECIFICATIONS

      POLLUTANT

      opacity
      S02
         SPAN

80 to 100% opacity
0.20% by volume
Q  Primary Zinc Smelters
      opacity
      S02
80 to 100% opacity
0.20% by volume
R  Primary Lead Smelters
      opacity
      S02
80 to 100% opacity
0.20% by volume
Z  Ferroalloy Production
   Facilities
      opacity
not specified
AA Steel Plants

BB Kraft Pulp Mills

   Recovery Furnace
   Kime Kiln, recovery furnace
   digester system, brown stock
   washer system, multiple effect  TRS
   evaporator system, black liquor
   oxidation system, or condensate
   stripper system
      opacity



      opacity

      02
HH Lime Manufacturing Plant
      opacity
not specified



70% opacity

20%

30 ppm
(except that for any
cross recovery furnace
the span shall be 500 ppm)

40% opacity
   x = fraction of  total heat  input  from  gas
   y = fraction of  total heat  input  from  liquid  fossil  fuel
   z = fraction of  total heat  input  from  solid fossil fuel
   Span value shall be  rounded  off  to  the  nearest 500 ppm.
                                    11-180

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                                   TABLE #10

                          NOTIFICATION REQUIREMENTS1

Requirements

  I.  Date  of  Commencement  of Construction


 II.  Anticipated Date  of Initial Start-Up


III.  Actual Date of  Initial  Start-Up

 IV.  Any physical  or operational change to a
      facility which  may  increase the emission
      rate  of  any air pollutant  to which a
      standard applies

      A.  The  precise nature  of  the change
      B.  Present and proposed emission control
          systems
      C.  Productive  capacity before and after
          the  change
      D.  Expected  completion date of change

  V.  Date  upon which demonstration of continuous
      monitoring system performance commences
Time Deadline

Less than  30 days  after
such date

Less than  60 or more  than
30 days prior  to date

Within 15  days after  date

Postmarked 60 days or as
soon as practical  before
the change is commenced
More than 30 days prior
1  "Any owner or operator subject to  the  provisions  of  this  part  will  furnish
the Adminstrator written notification..."
                                    11-181

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                                  TABLE #11

                       SUBPART Da EMISSION LIMITATIONS

                       AND REQUIRED PERCENT  REDUCTIONS
Fuel

Coal
      Pollutant
      SO 2
Liquid Fossil
Fuel
      NOX

Particulate Matter

      SO 2
Gas
      NOX

Particulate Matter

      SO 2
                   NOX

            Particulate Matter

Coal-derived       NOX
gaseous fuel
Emission Limitation

520ng/J (1.201b/106Btu)




210ng/J (0.501b/106Btu)

13ng/J (0.03lb/106Btu)

340ng/J (0.801b/106Btu)
130ng/J (0.301b/106Btu)

13ng/J (0.03lb/106Btu)

340ng/J (0.80lb/106Btu)
                      86ng/J (0.201b/106Btu)

                      13ng/J (0.03lb/106Btu)

                      210ng/J (0.501b/106Btu)
     Required
Percent Reduction

       90%
(70% if emissions
are less than
260ng/J)

       65%*

       99%*

       90%
(if emissions are
below 86ng/J, there
is no reduction
requirement)

       30%*

       70%*

       90%
(if emissions are
below 86ng/J, there
is no reduction
requirement)

       25%*
                               25%*
*  Compliance with the emission limitation constitutes compliance with the
percent reduction requirements.
                                    11-182

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 Table #11, continued
 Fuel
Pollutant
 Lignite mined in   NOX
 N.  Dakota,  S.  Dakota,
 or  Montana  and is com-
 busted in a slag type
 furnace
 Other Lignite
NO,
 Subbituminous Coal NOX

 Bituminous  Coal    NOX

 Anthracite  Coal    NO,,
Emission Limitation

340ng/J (0.81b/106Btu)
     Required
Percent Reduction

       65%*
260ng/J (0.61b/106Btu)

210ng/J (0.51b/106Btu)

260ng/J (0.61b/106Btu)

260ng/J (0.6lb/106Btu)
       65%*

       65%*

       65%*

       65%*
*  Compliance with the emission limitation constitutes  compliance  with  the
percent reduction requirements.
                                    11-183

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                         TABLE #12

                PERFORMANCE SPECIFICATIONS
                     TRANSMISSOMETERS
Calibration Error

Zero Drift (24-hour)

Calibration Drift (24-hour)

Response Time

Operational Test Period


                        NOV and S02

Accuracy



Calibration Error



Zero Drift (2-hour)

Zero Drift (24-hour)

Calibration Drift (2-hour)

Calibration Drift (24-hour)

Response Time

Operational Period


                        02 and C02

Zero Drift (2-hour)

Zero Drift (24-hour)

Calibration Drift (2-hour)

Calibration Drift (24-hour)

Operational Period

Response Time
<3 percent opacity

<2 percent opacity

<2 percent opacity

10 seconds maximum

168 hours
£20 percent of the mean value
of the reference method test
data

£5 percent of (50 percent, 90
percent) calibration gas mix-
ture value

2 percent of span

2 percent of span

2 percent of span

2.5 percent of span

15 minutes maximum

168 hours minimum
£0.4 percent Q£ or C02

^O-J percent 02 or C02

£0.4 percent 02 or C02

£0.5 percent 02 or C02

 168 hours minimum

 10 minutes
                            11-184

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                         TABLE #13

         WHEN TO RUN THE MONTIOR PERFORMANCE TEST
Initial
Facility
Start-up
I
Max.
Production
Rate Reached
Performance
Test and Submit
Report for
Compliance
                      Monitor
                     Performance
                       Test
                                 t
                                 30
                                Days
                                 i
                                       60
                                      Days
                                         Monitor Performance
                                         Test Report
                           11-185

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                                  TABLE #14

                       REQUIREMENTS FOR SIP REVISIONS

  I.   Submit SIP revisions by October 6, 1976

 II.   Contain monitoring requirements for the following sources  (as a  minimum)

      A.  Fossil Fuel-Fired Steam Generators
      B.  Sulfuric Acid Plants
      C.  Nitric Acid Plants
      D.  Petroleum Refineries
      (see Table #15)

III.   Require that sources evaluate the performance of their monitoring  system

 IV.   Require the sources to maintain a file of all pertinent  continuous  moni-
      toring data

      A.  Emission measurements
      B.  Monitoring system evaluation data
      C.  Adjustments and maintenance performed on the monitoring  system

  V.   Require the source to submit periodic (such period not to  exceed 3
      months) reports containing the following information

      A.  Number and magnitude of excess emissions
      B.  Nature and cause of excess emissions
      C.  Statement concerning absence of excess emissions  and/or  monitor in-
          operativeness

 VI.   Require that monitoring begin within  18 months  of EPA approval  of  the
      SIP revision (or within 18 months of  EPA promulgation)
                                     11-186

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                                   TABLE #15
          EXISTING SOURCES REQUIRED TO CONTINUOUSLY MONITOR EMISSIONS
 Source
 Fossil-Fuel  Fired
 Steam Generators
 Pollutant
 SO 2
                              NO,
                              Opacity
Nitric Acid Plants



Sulfuric Acid Plants

Petroleum Refineries
NOX



SO 2

Opacity
            Comments

 1.  >250 x  106 Btu/hr
 2.  Source  that has control  equip-
    ment for S02

 1.  MOOO x 106 Btu/hr
 2.  Located in a  designated  non-
    attainment area for N0£
 3.  Exempt  if source is 30%  or
    more below the emission
    standard

 1.  >250 x  106 Btu/hr
 2.  Exempt  if burning gas
 3.  Exempt  if burning oil, or a
    mixture of oil and gas are the
    only fuels used and the  source
    is able to comply with the
    applicable particulate matter
    and opacity standards without
    installation  of control  equip-
    ment

 1.  >300 ton/day
2.  Located in a  designated  non-
    attainment area for N02

 1.  >300 tons/day

1.  >20,000 barrels/day
                                    11-187

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                SECTION III




VENDORS OF CONTINUOUS MONITORING EQUIPMENT
                  III-l

-------
Acurex Autodata
485 Clyde Avenue
Mountain View, CA 94042
Allis Chalmers Corporation
Box 512
Milwaukee, WI 53201
Analytical Instrument
Development, Inc.
Rt. 41 and Newark Road
Avondale, PA 19311

Asarco, Inc.
3422 South 700 West
Salt Lake City, UT 84119
B G I, Inc.
58 Guinan Street
Waltham, MA  02154
Bachrach Instrument  Co.
2300 Leghorn Street
Mountain View, CA 94043
Bambeck  Co.
1000  Quail St.,  Suite  290
Newport  Beach,  CA 92660

Bausch & Lomb Anal.  Sys.
Division
820 Linden Avenue
Rochester, NY 14625

Bendix Corp.  EPID Div.
Box 831
Lewisburg, WV 24901

Bio Marine Industries,  Inc.
45 Great Valley Center
Malvern, PA   19355

CEA  Instruments, Inc.
 15 Charles Street
Westwood, NJ  07675

Chemetrics,  Inc.
Mill  Run Drive
Warrenton, NJ 22186
 Chemtrix,  Inc.
 163 SW Freeman Avenue
 Hillsboro,  OR 97123
Andersen Samplers, Inc.
4215-C Wendell Dr. SW
Atlanta, GA 30336
Astro Ecology/Astro
Resource
801 Link Road
League City, TX 77058

Babcock & Wilcox Co.
Bailey Meter Co.
29801 Euclid Avenue
Wickliffe, OH  44092

Bahnson Div. Envirotech
Corporation
Box 10458 Salem Station
Winston-Salem, NC 27108

Baseline Industries, Inc.
Box 649
Lyons, CO 80540

Beckman Inst. PID
2500 Harbor Blvd.
Fullerton, CA 92634
Berkeley Controls
2700  Dupont Dr.
Irvine, CA 92715

Brinkman Instruments,  Inc.
Cantiague Road
Westbury, NY  11590

Calibrated Instruments,  Inc.
731  Saw Mill  River  Road
Ardsley, NY  10502

Chemical Sensor Develop.
Co.
5606  Calle de Arboles
Torrance, CA  90505

Clean Air Engineering, Inc.
835  Sterling  Avenue
Palatine, IL  60067
                           •111-2

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 Cleveland Controls, Inc.
 5755 Granger Rd.,  Suite 850
 Cleveland,  OH 44109

 Columbia Scientific Inds.
 Box 9908
 Austin,  TX 78766

 Control  Instruments Corp.
 18 Passaic Avenue
 Fairfield,  NJ 07006

 Datatest,  Inc.
 1117 Cedar Avenue
 Croydon,  PA 19020

 Delta Scientific Div.
 250 Marcus  Blvd.
 Hauppauge,  NY 11787

 Dynamatrion,  Inc.
 168 Enterprise  Drive
 Ann Arbor,  MI 48103

 Dynatech  R/D  Co.
 99 Erie  St.
 Cambridge,  MA 02139  .

 Ecologic  Instrument
 132 Wilbur  Place
 Bohemia, NY   11716

 Energetics  Science,  Inc.
 85 Executive  Blvd.
 Elmsford, NY  10523

 Environmental Data  Corp.
 608  Fig Avenue
 Monrovia, CA  91016

 Esterline Angus Div. Esterline
 Box  24000
 Indianapolis, IN 46224

 Foxboro/ICT Inc.
 414  Pendleton Way
Oakland,  CA 94621

Gil Enterprises,   Inc.
Box  3356
Cherry Hill, NJ 08034

Gow Mac Instrument Co.
Box  32
Bound Brook, NJ  08805
 Climet Instruments Div.  WEHR
 1320 W.  Colton Ave.,  Box 151
 Redlands,  CA 92373

 Contraves-Goerz Corp.
 610  Epsilon  Dr.
 Pittsburgh,  PA 15238

 Dasibi Environmental  Corp.
 616  E.  Colorado St.
 Glendale,  CA  91205

 Delta F  Corporation
 One  Walnut Hill Park
 Woburn,  MA   01801

 Dupont  Instrument  Products
 Concord  Plaza
 Wilmington,  DE  19898

 Dynasciences Env.  Prods.  Div.
 Township Line Road
 Blue  Bell, PA   19422

 Dynatron Inc.
 Box 745
 Wallingford, CT  06492

 Electronics  Corp.  of Amer.
 1 Memorial Drive
 Cambridge, MA  02142

 Enmet Corp.
 2308  S. Industrial
 Ann Arbor, MI 48104

 Environmental Techtronics Corp.
 101 James Way
 Southampton, PA  18966

 Fischer & Porter Co.
 125E  County Line Road
Warminster, PA   18974

 G C A Precision Scientific
 3737 W. Cortland St.
 Chicago, IL  60647

General Monitors,  Inc.
 3019 Enterprise St.
Costa Mesa, CA  92626
                           III-3

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Gubelin Inds., Inc.
45 Kensico Dr., Box 307
Mt. Kisco, NY  10549

High Voltage Eng. Corp. Ind.
  Corp.
South Bedford Street
Burlington, MA  01803

Horiba Instruments, Inc.
1021 Duryea Avenue
Irvine, CA 92714

Hydrolab Corp.
Box 9406
Austin, TX  78766

ITT Barton
Box 1882
City of Industry,  CA 91749

Instruments SA,  Inc.
173 Essex Avenue
Metuchen, NJ   08840

InterScan Corp.
9614 Cozycroft Avenue
Chatsworth, CA 91311

K V B  Equipment  Corp.
 17332  Irvine  Blvd.
Tustin,  CA  92680

Lamotte  Chemical Prods.  Co.
Box  329
Chestertown,  MD   21620

Leco  Corp.
 3000  Lakeview Avenue
 St. Joseph, MI  49085

 Lockwood & Mclorie,  Inc.
 Box 113
 Horsham,  PA  19044

 M D A Scientific,  Inc.
 Bob Busse Highway
 Park Ridge, IL  60068

 Mast Development Co.
 2212 East 12th St.
 Davenport,  IA  52803
H N U Systems, Inc.
30 Ossipee Road
Newton Upper Falls, MA  02164

Honeywell, Inc.
1100 Virginia Drive
Ft. Washington, PA 19034
Houston Atlas, Inc.
9441 Baythorne Street
Houston, TX 77041

I R T Corp.
7650 Convoy Court
San Diego, CA 92111

Infrared Industries, Inc.
Box 989
Santa Barbara, CA  93102

International Sensor Tech.
3201 South Halladay St.
Santa Ana, CA  91311

Jacoby  Tarbox Corp.
808 Nepperhan Avenue
Yonkers, NY   10703

Kernco  Instruments Co.,  Inc.
420 Kenazo Avenue
El Paso, TX   79927

Lear Siegler, Inc.
74 Inverness Drive East
Englewood, CO  80110

Leeds  & Northrup
Sumneytown Pike
North Wales,  PA   19454

Lumicor Safety Products  Corp.
 5364  NW 167th St.
Miami,  FL   33014

Martek  Instruments,  Inc.
 17302 Daimler,  Box 16487
 Irvine, CA  92713

 Meloy Labs,  Inc.
 6715  Electronic  Drive
 Springfield,  VA   22151
                            III-4

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 Meteorology Research,  Inc.
 Box 637
 Altadena,  CA  91001

 Mine Safety Applicances Co.
 600 Penn  Center Blvd.
 Pittsburgh,  PA 15235

 Monitor Labs,  Inc.
 10180 Scripps  Ranch Blvd.
 San Diego,  CA  92131

 Napp,  Inc.
 8825 N. Lamar
 Austin, TX 78753

 Oceanography Intl. Corp.
 Box 2980
 College Station,  TX  77840

 Overhoff  & Associates
 P.  0.  Box 8091
 Cincinnati,  OH   45208

 Particle  Measuring Systems,
 Inc.
 1855 S. 57th Court
 Boulder,  CO  80301

 Phoenix Precision Instru.
 Route  208
 Gardner,  NY  12525

 Photomation, Inc.
 270  Polaris  Avenue
 Mt.  View,  CA 94043
Princeton Aqua Science
789 Jersey Avenue
New Brunswick, NJ  08902

Pullman Kellogg Div. of Pullman
1300 Three Greenway Plaza E
Houston, TX  77046

Rexnord, Inc. Instrument PDTS
30 Great Valley Parkway
Malvern, PA  19355

Science Spectrum
Box 3003
Santa Barbara, CA  93105
Milton Roy Co. Hays  Republic
4333  S. Ohio St.
Michigan City, IN  46360

Modern Controls, Inc.
340 Snelling Avenue  S.
Minneapolis, MN  55406

Montedoro Whitney  Corp.
Box 1401
San Luis Obispo, CA  93406

National Draeger,  Inc.
401 Parkway View Drive
Pittsburgh, PA 15203

Orion Research,  Inc.
380 Putnam Avenue
Cambridge, MA    02139

PCI Ozone Corp.
One Fairfield Crescent
West Caldwell, NJ  07006

Perkin Elmer Corp.
411 Clyde Avenue
Mountain View, CA  94043
Photobell Co., Inc.
162 5th Avenue
New York, NY  10010

Preferred Instru. Div.
Preferred Utilities Mfg. Corp.
11 South St.
Danbury, CT  06810

Process Analyzers, Inc.
1101 State Road
Princeton, NJ  08540

Research Appliance Co.
Moose Lodge Rd. , P.O. Box 2
Cambridge, MD  21613

Schneider Instrument Co.
8115 Camargo Rd. - Madeira
Cincinnati, OH  45243

Scientific Resources, Inc.
3300 Commercial Avenue
Northbrook, IL  60062
                           II I-5

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Sensors, Inc.
3908 Varsity Drive
Ann Arbor, MI  48104

Sierra Instruments
Box 909 Village Square
Carmel Valley, CA  93924

Source Gas Analyzers, Inc.
7251 Garden  Grove Blvd.
Garden Grove, CA  92641

T  S I
Box 43394
St. Paul, MN 55164

Teledyne  Analytical  Insts.
Box 70
San Gabriel, CA   91776

Thermo  Electron  Corp. Env.
108 South St.
Hopkinton, MA 01748

Theta  Sensors
 17635  A Rowland  St.
City  of Industry,  CA  91748

United McGill Corp.
 Box 820
 Columbus, OH  43216

 Wallace & Tiernan Div.  Pennwalt
 25 Main St.
 Belleville,  NJ  07109

 Wellsbach Ozone Sys. Corp.
 3340 Stokley St.
 Philadelphia, PA  19129
 Western Research & Dev., Ltd.
 1313 44th Avenue NE
 Calgary, Alta. Canada   T2E6L5

 Xonics, Inc.
 6862 Hayvenhurst Avenue
 Van Nuys, CA   91406
Siemens Corp.  P.  E.  Div.
186 Wood Avenue S.
Iselin, NJ  08830

Sierra Misco,  Inc.
1825 E. Shore Highway
Berkeley, CA  94710

Systems Science & Software
Box 1620
La Jolla, CA  92038

Taylor Instrument Div.  Sybron
95 Ames St.
Rochester, NY  14601

Thermco Instrument Corp.
Box 309
La Porte, IN  46350

Thermox Instruments,  Inc.
6592 Hamilton Avenue
Pittsburgh, PA   15206

Tracor,  Inc.
6500 Tracor Lane
Austin,  TX  78721

Virtis Co.
Route  208
Gardner,  NY   12525

Wallace Fisher Instrument Co.
Box 51 Ocean  Grove  Station
 Swansea,  MA   02777

Western Precipitation Division
 Joy Manufacturing Company
 Post Office  Box 2744 Termina Annex
 Los Angeles,  CA 90051

 Whittaker Corp.
 10880 Wilshire Blvd.
 Los Angeles,  CA  90024
                            III-6

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            SECTION IV




BIBLIOGRAPHY OF GEM RELATED ARTICLES
                IV-1

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                     BIBLIOGRAPHY OF GEM  RELATED ARTICLES
 1.  Application of Light Transmissometry  and  Indication  Sodium  Ion Measurement
         To Continuous Particulate Monitoring In The Pulping  Industry.  NCASI
         Technical Bulletin No. 79.  May  1975.

 2.  Avetta, Edward D. In-Stack Transmissometer Evaluation  and Application to
         Particulate Opacity Measurement.   EPA Contract  No. 68-02-0660.
         Owens, Illinois.  NTIS  PB  242402.   January 1975.

 3.  Baladi, Emile.  Manual Source Testing and Continuous Monitoring
         Calibrations at the Lawrence Energy  Center of Kansas Power  and Light
         Company.  Midwest Research  Institute.  EPA Contract  No.  68-02-0228.
         EPA Report No. 73-SPP-3.  May  7,  1976.

 4.  Beeson, H. G. Continuous Monitoring Excess Emission  Report;   Evaluation
         and Summary.  Entropy Environmentalists,  Inc.   EPA Contract No.
         68-01-4148, Task 59.  June  1979.

 5.  Beeson, H. G. Evaluation of Continuous Monitoring Excess  Emission Reports
         and Validation of Report Data.   Entropy Environmentalists,  Inc.   EPA
         Contract No. 68-01-4148, Task  45.  March  1979.

 6.  Cheney, J. L. and J. B. Homolya.   "The Development  of  a Sulfur Dioxide
         Continuous Monitor Incorporating a Peizo-Electric Sorption  Detector,"
         The Science of the Total Environment, vol. 5,  p.  69-77,  1976.

'7.  Cline, J.  R., et. al.  Compilation  and Analysis of  State  Regulations  for
         S02,  N0y, Opacity, Continuous  Monitoring  and Applicable  Test Methods;
         Executive Summary and Volumes  I,  II, and  III.   Engineering  Sciences
         Inc.  EPA Contract No. 68-01-4146, Task 40.  EPA  Report  No. 340/
         1-78-009 a, b, c, d. July  1978.

 8.  Connor, William D.  "A Comparison  Between In-Stack  and Plume  Opacity
         Measurements at Oil-Fired  Power  Plants,"  presented at  the Fourth
         National Conference on Energy  and the Environment in Cincinnati, Ohio,
         October 4-7, 1976.

 9.  Connor, William D.  Measurement  of  the Opacity and  Mass Concentration of
         Particulate  Emissions by  Transmissometry.  Chemistry  and Physics
         Laboratory.  EPA-650/2-74-128.  November  1974.

 10. Connor, W. D.  and J. R. Hodkinson.   Optical  Proper-ties and  Visual Effects  of
         Smoke-Stack Plumes.  EPA  Publication AP-3f,  second  printing. May 1972.

 11. Curtis, Foston.   "A Method  for  Analyzing  NOX Cylinder  Gases,  Specific Ion
         Electrode Procedure,"  Source  Evaluation Society Newsletter, February
          1979.   (Study  done  for Emission Measurement  Branch,  US EPA, October
          1978.)

 12. Decker, C. E., R. W. Murdoch,  and  F.  K. Arey.   Final Report on Analysis  of
         Commercial  Cylinder Gases  of  Nitric  Oxide and  Sulfur Dioxide at  Source
         Concentrations.   EPA  Contract No. 68-02-2725.   February 1979.

                                      IV-2

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13.   "Environmental Monitoring."  Transcript of Science Technical Hearings, 95
         Congress 1 Serial 44, September 13-15, 1977.

14.   Fennelly,  Paul F.  Development of an Implementation Plan for a Continuous
         Monitoring Program.  GCA Corporation.  March 1977.

15.   Gregory,  M.  W., et. _al.  "Determination of the Magnitude of S02, NO,
         CC>2 Stratification in the Ducting of Fossil Fuel Fired Power Plants,"
         Paper 76-35.6 presented at the 1976 APCA Meeting, Portland, Oregon.

16.   Herget, W. F., et. ajl.  "Infrared Gas-Filter Correlation Instrument for
         In-Site Measurement of Gaseous Pollutant Concentrations," Applied
         Optics,  vol.  15:1222-1228, May 1976.

17.   Homolya,  J.  B.  "Current Technology for Continuous Monitoring of Gaseous
         Emissions," Journal of the Air Pollution Control Association, vol. 24,
         no, 8, p. 809-814, August 1975.

18.   Jahnke, James A.  and G. J. Aldina.  Continuous Air Pollution Source
         Monitoring Systems;  Handbook.  Northrup Services, Inc.  EPA
         625/6-79-005.  June 1979.

19.   Jaye, Frederic C.  Monitoring Instrumentation for the Measurement of Sulfur
         Dioxide in Stationary Source Emissions.  TRW Systems Group.  EPA
         Project 17205, NTIS PB 220202.

20.   Karels, Gale G.,  et. al.  Use of Real-Time Continuous Monitors in Source
         Testing.  Paper 75-19.5 presented at APCA Annual Meeting, June 15-20,
         1975.   NTIS PB 230934/AS GPO.

21.   Lillis, E. J. and J. J. Schueneman.  "Continuous Emission Monitoring:
         Objectives and Requirements," Journal of the Air Pollution Control
         Association,  vol.  25, no. 8, August 1975.

22.   Lord III, Harry C.  "In-Stack Monitoring  of Gaseous Pollutants,"
         Engineering Science and Technology, vol. 12, no. 3, p. 264-69, March
         1978.

23.   McRanie, Richard D., John M. Craig, and George 0. Layman.  Evaluation of
         Sample Conditioners and Continuous Stack Monitors for Measurement of
         SO?, N0y, and Opacity in Flue Gas.  Southern Services, Inc.  February
         T975.

24.   McNulty, K. J., et. al.  Investigation of Extractive Sampling  Interface
         Parameters.  Walden Research Division of Abcor, Inc.  EPA  Contract No.
         68-02-0742.  EPA 650/2-74-089.  October 1974.

25.   Nader, John S., Frederic Jaye, and William Connor.  Performance
         Specifications for Stationary Source Monitoring Systems for  Gases and
         Visible Emissions.  NERC Chemistry and Physics Laboratory.   NTIS  PB
         209190.  January  1974.

26.  Osborne, Michael C. and M. R. Midgett.  Survey of Continuous Source Emission
         Monitors:  Survey  No.  1 - Nov and SO?.  EPA 600/4-77-022.  April  1977.
                                   IV-3

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27.  Osborne,  Michael C.  and M.  Rodney Midgett.  Survey of Transmissometers Used
         in Conducting Visible Emissions Training Courses.  EPA - 600/4-78-023.
         May 1978.

28.  Peeler, James W.  Continuous Opacity and Particulate Emissions Monitoring in
         the Federal Republic of Germany;  Selected Papers From Current
         Literature.  Entropy Environmentalists, Inc.  EPA Contract No.

29.  Reisman, E., W. D. Gerber, and N. d. Potter.  In-Stack Transmissometer
         Measurement of Particulate Opacity and Mass Concentration.  Philco-Ford
         Corporation.  EPA Contract No. 68-02-1229.  NTIS PB  239864/AS.
         November  1974.

30.  Repp, Mark.  Evaluation of Continuous Monitors for CO in  Stationary Sources.
         EPA 600/2-77-063.  March 1977.

31. Rhodes, Raymond C. and H. Seymour.   "Challenges  of Implementing Quality
         Assurance  in Air Pollution Monitoring Systems,"  presented at  APCA
         Quality Assurance  in Air Pollutiong Measurement  Conference, March
         11-14,  1979, New Orleans, Louisiana.

32. Roberson,  R. L., et. al.  "Continuous Emission In  the Electric Utility
         Industry," Paper 80-42.1 presented at APCA  Annual Meeting, June  22-27,
         1980, Montreal, Quebec, Canada.

33. Shigehara,  R.  T.   "Sampling Location for  Gaseous Pollutant Monitoring in
         Coal-Fired Power Plants," Source Evaluation. Society  Newsletter.   July
         1978.

 34. Stanley, Jon and  Peter  R. Westlin.   "An Alternative  Method for Stack Gas
         Moisture Determination,"  Source Evaluation  Society Newsletter.
         November 1978.

 35. Tomaides,  M.  Instrumentation  for Monitoring the Opacity  of Particulate
         Emissions Containing Condensed Water.   EPA  600/2-77-005.  June 1979.

 36. Tretter, V.  J. and Matthew Gould.  "A New Concept In Compliance Monitoring,"
         presented at TAPPI Environmental Conference,  April 25-27, 1979,
         Houston, Texas.

 37.  United States Environmental Protection Agency.  "Standards of Performance
          for New Stationary Sources," Federal Register 40;46250-70.   October 6,
          1975.

 38.  Van Acker, P.  "Continuous and Semi-Continuous Measurements  of Dust
          Emissions In a Power Plant Burning Fuel Oil," Environmental
          International,  vol. 2, no.  2, p. 107.  1979.

 39.  West,  P. W., D. L. McDermott,  and K. D.  Reiszner.  "Development of Long-
          Term Sulfur Dioxide Monitor Using Permeation Sampling," Engineering
          Science and Technology, vol. 13, no. 9, September 1979.
                                    IV-4

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40. Westlin, Peter R. and John W. Brown.  "Methods for Collecting and Analyzing
         Gas Cylinder Samples,"  Source Evaluation Society Newsletter, September
         1978.

41. Woffinden and Ensor.  Optical Method for Measuring the Mass Concentration of
         Particulate Emissions.  Meteorology Research, Inc.  EPA Contract No.
         68-02-1749.  EPA 600/2-76-062.  March 1976.
                                  TV-S

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                      Availability of EPA Publications


    Copies of United States EPA publications are available free of charge, as

long as supplies last, from the EPA Library in Research Triangle Park, North

Carolina.  When supplies are exhausted, one may purchase publications from the

United States Government Printing Office or the National Technical Information

Service.
                    U. S. Environmental Protection Agency
                    Library (MD-35)
                    Research Triangle Park, N. C. 27711
                    commercial phone 919-541-2777
                    FTS  phone  629-  2779
                    National Technical  Information  Service
                    U.  S.  Department  of Commerce
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                    Springfield, Virginia   22151 .
                    phone 703-487-4600
                     Superintendent  of  Documents
                     Government  Printing Office
                     Washington,  D.  C.  20402
                                      IV-6

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TECHNICAL REPORT DATA
(Please read Instructions on the reverse before completing)
1. REPORT NO.
EPA 340/l-8l-nn8
2.
4. TITLE AND SUBTITLE
Regulations and Resource File of Continuous
Monitoring Information
7. AUTHOR(S)
William J. Pate
9. PERFORMING ORGANIZATION NAME AND ADDRESS
Kilkelly Environmental Associates, Inc.
Post Office Box 31265
Raleigh. North Carolina 27622
12. SPONSORING AGENCY NAME AND ADDRESS
U. S. Environmental Protection Agency
Office of Enforcement
Office of General Enforcement
Washington, D. C. 20460
15. SUPPLEMENTARY NOTES
3. RECIPIENT'S ACCESSION NO.
5-^cP?^eDrA,TE1981
6. PERFORMING ORGANIZATION CODE
8. PERFORMING ORGANIZATION REPORT NO.
10. PROGRAM ELEMENT NO.
11. CONTRACT/GRANT NO.
68-01-6317
"•RlfvlsW'ffeWrV0 PERI°° COVERED
14. SPONSORING AGENCY CODE

       The Environmental Protection Agency has  promulgated continuous emission
   monitoring requirements for several NSPS  source  categories.   The EPA has also
   required states to revise their SIPs  to include  continuous emission monitoring
   regulations.

       This report is a compilation of the following continuous emission moni-
   toring information:  EPA regional continuous monitoring contacts; continuous
   emission monitoring regulations; vendors  of  continuous monitoring equipment;
   and a bibliography of continuous monitoring  literature.
17.
a.
KEY WORDS AND DOCUMENT ANALYSIS
DESCRIPTORS
Continuous Emission Monitoring
Regulations
New Source Performance Standards
18.
DISTRIBUTION STATEMENT
Release Unlimited
b. IDENTIFIERS/OPEN ENDED TERMS
Continuous Emission
Monitoring
IS^SECURITY, CLASS (This Report!
Unclassified
20. SECURITY CLASS (This page)
Unclassified
c. COS ATI Field/Group
13B
14D
21. NO. OF PAGES
22. PRICE
EPA Form 2220-1 (R«v. 4-77)   PREVIOUS EDITION is OBSOLETE

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