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REFERENCES FOR SECTION 5.7

-------
               UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                 Office of Air Quality Planning  and  Standards
                 Research Triangle Park,  North Carolina  27711


  DATE:  SEP 1   1981


SUBJECT:  Ambient Monitoring Networks for Model  Evaluations
  FROM:
    TO:
Richard G. Rhoads, Director
Monitoring and Data Analysis Division

Ronald C. Campbell, Assistant Director
  for Program Operations, OAQPS

     Under favorable conditions our available air quality models  can
provide errors of from ±10 to ±40 percent.   Under unfavorable  conditions
the errors can be much worse.  For these reasons, we have been consi-
dering how to use ambient monitoring data to supplement or improve
model estimates on a case-by-case basis.

     It is generally not feasible to establish emission limits for
point sources based solely on monitoring data.  This is because current
programs require that emission limits be based upon a fairly rare event
(i.e., the second maximum concentration anywhere in the area,  at  anytime,
and with the facility operating at full capacity) and to capture  that
event on a monitor would normally require a prohibitively large and
expensive network.

     An alternative approach is to establish a monitoring network of
reasonable size, use the resulting monitored data to evaluate  the models
for applicability to those particular conditions, and then use the result-
ing "best available" model to establish the emission limitation.

     One problem with this approach is defining the "network of reasonable
size" which would be used to evaluate the models.  If the network is toe
small, the data would be inadequate to distinguish between models and  the
evaluation would have no validity.  If the network is too large,  the cost
would be excessive.

     Although our experience with evaluations of this nature is very limited,
I have recently recommended to Region V that, for a variety of power plants
in the Midwest, networks consisting of approximately 15 monitors each  should
be considered.  This'recommendation was based upon the following knowlecge:

          • My staff and the technical modeling staff of Region V estimate
     that, in-moderate terrain, a network of  25-30 monitors would be desirable
     to obtain "reasonable scientific credibility."

          * The Electric Power Research Institute has conducted one phase of
     a major model evaluation study  (called Plume Model Validation) arounc tne
     Kincaid Power Plant.  The PMV network consisted of 30 ambient mor.itcrs
     supplemented by severe! hundred tracer monitors for special  stud"'-c..

-------
          • The model evaluation program around the Westvaco Luke Hill  in
     Maryland is using nine monitors.   The issue at Luke Mill involves  only
     one wind direction (quadrant):   If all  wind directions were pertinent,
     a larger network would have been  necessary.

          * The model evaluation program around the Ashland Oil  facility in
     Kentucky used a network consisting of 18 monitors.  The issue involved
     complex terrain in a valley situation.

          * The model evaluation program around the Simplot acid plant  in
     Idaho used a network consisting of five monitors.   The issue at Simplot
     involved only one wind direction  and one set of meteorological  conditions.

          * The model evaluation program around the Big Bend Power Plant on
     the coast of Florida used a network consisting of eight monitors supple-
     mented by sophisticated plume measurements.  The issue at Big Bend
     involved only a single wind direction.

     Based on our experience with these programs (all of-which were reasonably
successful but, with the exception of EPRI,  none of which were "data rich"), I
believe that approximately 15 monitors operating for one year is probably the
minimum network size to obtain a valid data base under normal circumstances.
Fifteen would probably be too few in rugged, complex terrain; fifteen would
probably be too many if the issue involved only a single specific location
(e.g. a single isolated hilltop) or single meteorological condition.

     It is necessary to minimize the number of monitors because the cost of a
network of 15 monitors, plus an adequate meteorological station, plus e-issic
monitoring, could range from S300K to over SI million.  The wide range  in  cos::
is influenced primarily by the availability of power at the monitoring  sites, :
the ease of servicing the monitors, and by the complexity of both the terrain
and the meteorological conditions.  Based on preliminary discussions Detween
Region V staff and electric utility r preservatives, I  believe that most large
utilities would be willing and able to bear this cost  if they perceive  tn=t tr.<
evaluation would result in a relaxation of stringent emission limitations.

     In the past many utility representatives  held  a strong  opinion that the
CRSTER model (most commonly used to evaluate power  plants  in  level  to moderate
terrain) tended to overestimate the magnitude  of concentrations,  i.e. that tne
model had a strong conservative bias.  The preliminary data  from  the EPRI
model evaluation disprove  that  opinion:   the EPRI  results  indicate  no  signi-
ficant bias  (at least in level  terrain).

     Also  the preliminary  data  from Westvaco  (involving the SHORT!  model),
the results from-Ashland Oil  (involving  the  VALLEY model), and  the  results
from Big Bend (involving the CRSTER model),  all  tend to confirm the moae"
predictions, although Ashland Oil  showed  VALLEY to be  somewhat  conservative
as expectea.  I would  classify  the  Simplot  results as  "inconclusive."

-------
  blv                   11mUf rather than  more  enenones     owe   r
I believe that it is to everyone's advantage to  have at  least  a  few scien'

accira  yofalh.d S?] evaluat1J? P«>9^ so that  we can either  impr^v   the
accuracy of the models or establish reasonable credibility  with  their results


cc:  wfT Tikvart

     R.  Neligan

-------

                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                           Office of Air Quality Planning and Standards
                          Research Triangle Park, North Carolina 27711
       : AUG 7    1981

SUBJECT: Monitoring Around  Mid-Western  Power  Plants
   FROM:  Richard  G.  Rhoads,  Di
          Monitoring  and  Data Analysis  Division  (MO-14)

     T0:  David  Kee,  Director
          Air and  Hazardous Materials Division,  Region V

              We  have previously discussed  the  requests of  several utilities  to
          conduct  air quality monitoring around  their power  plants  located  in
          Illinois,  Indiana and Ohio.  The purpose  of the monitoring would  be  to
          provide  a  data  base suitable  for evaluating air quality models  and to
          select the most reliable model for setting emission  limits.

               No  widely  accepted performance standards are  available  with  which
          to judge the acceptability of a single model.  Thus, to determine the
          best model  for  a specific application, we must rely  on a  comparison  of
          the relative performance of two or more models using a variety  of
          statistical tests.   Such an approach has  been recommended by the  American
          Meteorological  Society and is incorporated  in an OAQPS report entitled
          "Interim Procedures for Evaluating Air Quality Models" that  was proviaed
          to your staff last  week (see  attached memorandum).

               These interim procedures are  the best  available basis  for  discussions
          with the utilities  on the monitoring programs  and  subsequent analyses.
          The procedures  involve  (1) identification of  applicable  models; (2)  selection
          and weignting of statistical  performance  measures; and  (3)  determination  of
          an aoprcpriate ambient monitoring  program.   I  suggest that you  forwa^c  tms
          information to the utilities ana set up meetings  wnere  these issues  can
          oe discussed.

               At such meetings it will  be necessary for the  utility representatives
          to propose alternative models  that they believe to  be more reliable tnan
          the standard EPA models.   Statistical  tests and performance measures must
          be agreed  upon to  determine  the relative performance of  the models  unae-
          co-siaeration.  These- performance measures must be  adequate to evaluate
          tn  entire  range of meteorological conditions wnich affect the source
          arc;, as well  as appropriate averaging times.  While these meetings will
          involve highly technical  issues, management personnel may be required  to
          maf'i decisions relative to the most  important evaluation tests and  tns
          oer ; measures  of uncertainty.

-------
     It will be necessary to agree on an adequate air quality monitoring
network composed of continuous monitors with quality assurance meeting
the requirements of 40 CFR 58.  Although our experience with networks
for this purpose is limited, we believe that an appropriate balance
between the technical requirements of the analyses and the costs would
result in approximately 15 monitors, depending upon the type of terrain,
meteorological conditions, prior knowledge of air quality in the area,
etc.  For the specific case of the Baldwin plant which you mentioned,
it is likely that 11 monitors would be adequate if the monitors were
carefully located at predicted points of maximum impact under the full
range of meteorological conditions.  (Location of the monitors at points
of maximum impact only under unstable conditions would not provide
adequate coverage.)

     It will be necessary to agree on an adequate on-site meteorological
data collection program.  As a minimum, these measurements should be
similar to those available from National Weather Service Stations and
should be consistent with the PSD Monitoring Guideline requiremerts.
It may be necessary to collect additional data in order to satisfy
the input requirements of proposed alternative models.

     It will be necessary to agree on an adequate program to collect
plant operating data.   Ideally, this would consist of continuous  in-stack
emission monitors supplemented by routine operating characteristics.  Many
slants are willing  to  install emission monitors for a variety of  purposes.
However, if continuous  emission monitors are considered to be toe expensive,
it is usually possible  to construct adequate emissions data from  a carerVi'y
planned as-fired  fuel  sampling program.

     We assume  tnat tne utility will be  responsible for all data  collection.
catc reduction, anc Quality  assurance.   Once a protocol for the  specific
statistical performance measures  and their weighting  are  establisnec,
we further  assume tnat tne  utility  will  also be  responsible for  all  calcu-
lations and moae'i evaluations.  Once tne analysis  is  complete, we car, jcint".
review the  results  witn tne  utility and  come to  a  reasonec decision  as  to
tne most appropriate model  for setting  emission  limits  for tnat  source.
Thus, tne crucial part of this exercise  is  establishing  in a  written
protocol tne  data to be collected,  the  procedures  to  be  followed, anc tne
basis for judging tne  relative performance  of  the  models  being  consice-ec.

-------
     We must emphasize that the general procedures which are proposed
are interim.  They will evolve in future applications as we gain
experience with developing protocols.   We expect,  though, that useful
and meaningful protocols can result at this time from good faith
negotiations between EPA and the utility and its consultants.  My
staff will be happy to provide you with technical  support in developing
protocols and in analyzing the model comparisons.   Please contact
Joe Tikvart or me if you desire further assistance.

Attachment

cc:  W. Barber
     T. Devine
     R. Smith
     £. Tuerk
     S. Wassersug

-------
                                  EPA-450/4-84-023
Interim Procedures for Evaluating Air
        Quality Models (Revised)
             U.S. ENVIRONMENTAL PROTECTION AGENCY
               Monitoring and Data Analysis Division
             Office of Air Quality Planning and Standards
             Research Triangle Park. Nortn Carolina 27711

                    September 1984

-------
REFERENCES FOR SECTION 6.1

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(g) Evidence that the plan contains emis-
sion limitations, work practice standards
and recordkeeplng/reporting requirements.
where necessary, to ensure emission levels.
(h) Compliance/enforcement strategies.
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mined In practice.
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2.3. Exceptions
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Ing." Parallel processing allows a Slate to
submit the plan prior to actual adoption by
the State and provides an opportunity for
the State to consider EPA comments prior
to submission of a final plan for final review
and action. Under these circumstances, the
plan submitted will not be able to meet all
of the requirements of paragraph 2.1 (all re
qulrements of paragraph 2.2 will apply). As
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   _EAN AIR AC!
                                                                           S-380
                                                                        71:1113
 nomic. or energy effects which may result
 from various strategies  for attainment and
 maintenance of such national ambient air
' quality standards.
   [PL 95-95. August 7. 1977]
   [Editor's note: Public  Law  98-45.  the
 "Department ot' Housing and  Urban  De-
 velopment —  Independent Agencies Ap-
 propriation Act. 1984." provides  the  fol-
 lowing  concerning   sanctions  for areas
 failing to  meet national  standards under
 this Section:
   "None of the funds provided in this Act
 may be obligated or expended to impose
 sanctions under the  Clean Air Act with
 rcsoeci  to any  area  for  failure to attain
 any national ambient air quality standard
 Cbtablisheo under section 109 of such Act
 (•12 LSC  7409) by the applicable dates
 set lorth in section 172(a) of such  Act  (42
 L.S.C. 7502(a))."l

      IMPLEMENTATION  PLANS
   Sec. 110 (aid) Each State  shall, after
 reasonarjic  not:ce  and  public hearings.
 adopt and  submit to the Administrator.
 within 3 \cars  lor such shorter period as
 the Administrator  may  prescribe I  after
 ihe promulgation of a  national  primary
 amoieni air quality standard (or any revi-
 bion thereof) under section 109 for any air
 pollutant, a plan which  provides for imple-
 mentation, maintenance, and enforcement
 of such pnmarv standard in eacn air qual-
 ity  control  region  (or portion  thereof)
 wuhin sucn State. In addition, such State
 -.hall adopt ana submit  to the Administra-
 tor  (either as a part of a plan submitted
 under the preceding  sentence or separate-
 ly) vriihin 3  \ears (or sucn  shorter period
 as tne Administrator may prescribe) after
 the nrcmuigation of a national ambient air
 quality  secondary  standard  (or  revision
 thereof), a plan which provides for imple-
 mentation, maintenance, and enforcement
 of such secondary standard  in each  air
 quality control region (or portion thereof)
 within such State. Unless a separate pub-
 lic heanne is.  provided, eacn  State shall
 consider its  plan implementing such sec-
 ondary standard at the hearing  required
 by the first sentence of  this  paragraph
 [Sec  I ID (a)( 1) amended and I 2) revised
 bv PL 101-549]
   (2)  Each  implementation  plan  submit-
 tea  b> a State  under  this  Act  shall  be
 adorned by the  State alter reasonable  no-
 nce and public hearing.  Each such plan
  i A) include enforceable emission limita-
tions and  other control  measures, means.
or techniques (including economic incen-
tives such  as fees, marketable permits, and
auctions of  emissions rights), as well as
schedules  and timetables  for compliance.
as may be  necessary or appropriate to
meet the  applicable requirements  of this
Act:
  (B) provide for establishment and  oper-
ation of appropriate devices, methods, sys-
tems, and procedures necessary to—
  (i) monitor, compile,  and analyze  data
on ambient air quality, and
  (ii) upon request, make such data avail-
able to the Administrator:
  (C) include a program to provide for the
enforcement-ol the measures described in
subparagraph (A), and regulation of the
modification  and  construction of any sta-
tionary source within the areas covered by
the plan  as necessary to  assure that na-
tional ambient  air quality standaros are
achieved,  inciudine a permit program as
required in parts  C and D:
  (D) contain adequate provisions—
  (i) prohibiting, consistent with the pro-
visions of this  title, any  source or  other
type of emissions activity within the  State
from  emitting   any  air  pollutant  in
amounts wnich  will—
  (1) contribute significantly to nonattain-
ment in. or interfere with maintenance by.
any other State with respect to any such
national onmary or secondary ambient air
quality standard,  or
  (II) interfere wuh measures required to
be included  in the applicable implementa-
tion plan for any other State under part C
to prevent significant deterioration of air
quality or to protect visibility.
  (11) insuring compliance wuh the appli-
cable requirements  of  sections 126 and
115 (relating to interstate and internation-
al pollution  abatement);
  (E)  provide  (i) necessary assurances
that the State (or, except where  the Ad-
ministrator deems inappropriate, the gen-
eral  purpose local government  or govern-
ments, or  a regional agency designated by
the State  or general purpose local govern-
ments tor such purpose) will  have   ade-
quate personnel,  funding, and authoruv
under State  (and.  as appropriate,  local)
law to carry out such implementation plan
(and is not prohibited by any provision of
Federal  or State  law  from carrying out
such implementation plan or portion there-
01). (ii) requirements tnat the State com-
ply with the requirements respecting State
boards under section  128. and (iii) neces-
sary  assurances that,  where the State has
relied on a  local  or regional government,
agency, or instrumentality for the imple-
mentation of any  plan provision, the State
has  responsibility for ensuring  adequate
implementation of such plan provision;
   (F) require, as may be prescribed by the
Administrator—
   (i) the installation,  maintenance,  and
replacement of equipment, and the imple-
mentation  of  other  necessary  steps, by
owners or operators of stationary sources
to monitor emissions from sucn sources.
   (ii) periodic reports on the nature and
amounts of emissions and emissions-relat-
ed data from such sources, and
   (iii) correlation of  such reports  by the
State agency with any emission limitations
or standards established  pursuant  to this
Act. which reports shall be available  at
reasonable times  for public inspection:
   (G) provide for autnoruy comparable to
that  in section 303 and adeauaie contin-
gency plans to implement such authority;
   (H) provide for revision of such plan—
   (i) from time to time as may be neces-
sary to take account of revisions of such
national primary  or secondary ambient air
quality standard  or the availability of im-
proved or  more  expeditious  methods  of
attaining such stand?.'d. and
   (ii)  except  as  provided  in  paragraph
(3)(C), whenever the Administrator finds
on the basis of information available to the
Administrator that the plan is substantial-
ly inadequate  to attain  the national ambi-
ent air quality standard which  it imple-
ments or to otherwise comply  with any
additional requirements  established under
this  Act;
   (I) in the case of a  plan or plan revision
for an area  designated as a nonattainment
area, meet the applicable requirements of
part  D (relating to nonattainment areas);
   (J) meet  the applicable requirements of
section 121  (relating  to consultation), sec-
tion  127 (relating to public notification),
and  part C (relating  to  prevention of sig-
nificant deterioration  of air quality ana
visibility protection);
   (K) provide for—
   (i) the performance of such air quality
modeling  as the  Administrator  may pre-
scribe  for  the purpose of predicting the
effect on ambient air quality of  any emis-
                                    Dv THE EUPEAU CF NATIONAL AFFAIRS  INC  ',','asnmcion. D C. 2CC27

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      •1:1114
                                                               FEDERAL LAWS
          of any  air  pollutant  for which the
     Administrator has established a national
     ambient air quality standard, and
       (ii) the submission,  upon request,  of
     data related to such air quality  modeling
     to the Administrator:
       (L) require the owner or operator  of
     each major stationary source to pay to the
     permitting authority, as a condition of any
     permit required under this Act, a fee suffi-
     cient to cover—
       (i) the reasonable costs of reviewing and
     acting upon any application for such  a
     permit, and
       (ii) if the owner or operator receives a
     permit for such  source,  the reasonable
     costs of implementing and enforcing the
     terms and conditions of any  such  permit
     (not including  any  court costs  or other
     costs  associated  with  any  enforcement
     action),
     until such fee requirement is superseded
     with respect to such sources by the Ad-
£7  ministrator's  approval of a fee  proeram
'    under title V; and
       (M) provide for consultation  and par-
     ticipation  by  local  political  subdivisions
     affected by the plan.
       (3)(A) [Deleted]
     [Sec.   l!0.(a)(3)(A)  deleted  by   PL
     101-549]
       (B) As soon as practicable, the Admin-
     istrator shall, consistent with the purposes
     of this Act  and the Energy  Supply and
     Environmental Coordination Act of 1974.
     review each State's applicable implemen-
     tation plans and report  to the  State on
     whether such plans can be revised m rela-
     tion to fuei burning stationary sources (or
     persons supply fuei to such sources) with-
     out interfering  with the attainment and
     maintenance of any  national  ambient air
     quality standard within the period permit-
     ted in  this section. If the  Administrator
     determines  that any such plan can be
     revised, he shall notify the State  that  a
     plan revision may be  submitted by  the
     State. Any plan  revision  which is submit-
     ted by the State shall,  after public notice
     and opportunity  for  public  hearing, be
     approved by the  Administrator if the revi-
     sion relates only to fuel burning stationary
     sources (or persons supplying  fuel to such
     sources), and the pian as revised complies
     with paragrapn  (2) of this subsection. The
Administrator shall approve or disapprove
any revision  no later than  three  months
after its submission.
  [PL 93-319. June 24.  1974]
  (C)  Neither the State, in the case of a
plan (or portion thereof) approved under
this subsection, nor the Administrator, in
the case of  a plan  (or  portion  thereof)
promulgated  under subsection  (c), shall be
required to revise an applicable implemen-
tation  plan because  one or more  exemp-
tions under section 118 (relating to Feder-
al facilities), enforcement  orders under
section 113(d), suspensions  under section
110.(f) or (g) (relating to temporary ener-
gy or  economic authority), orders under
section 119  (relating to primary  nonfer-
rous smelters), or  extensions of  compli-
ance  in decrees entered  under  section
1 13.(e) (relating to iron-  and steel-produc-
ing operations) have been granted, if such
plan would have met the requirements of
this section if no such exemptions, orders.
or extensions had been granted.
[PL 95-95. August  7. 1977: amended by
PL 97-23]
  (D)  [Deleted]
[Sec.    110.(a)(3)(D)  deleted   by  PL
101-549]
  (4) [Deleted]
[Sec.  110.(a)(4) deleted  by PL 101-549]
  (5)(A)(i) Any  State may include in  a
State implementation  plan, but  the  Ad-
ministrator may not  require  as a condition
of approval of such plan under this  sec-
tion, any indirect source review program.
The  Administrator  may  approve and en-
force, as part of an  applicable implemen-
tation  plan, an indirect source review  pro-
gram  which  the  State  chooses to adopt
and submit as part of its  plan.
  (ii) Except as provided in  subparagraph
(B), no plan promulgated by the Adminis-
trator  shall  include any indirect source
review program for any air quality control
region, or portion thereof.
  (iii)  Any State may revise an aopiicable
implementation pian approved under  sec-
tion 110.(a) to suspend or revoke any such
program included in such plan, provided
that such plan meets the requirements of
this section.
  (B)  The Administrator shall  have the
authority  to  promulgate, implement  and
enforce regulations  under section  110.(c)
respecting indirect source review programs
which  aoply   only  to federally  assisted
highways, airports, and other major feder-
ally assisted indirect sources and federally
owned or operated indirect sources.
  (C)  For purposes of this paragraph, the
term  "indirect  source"  means  a  facility,
building, structure, installation, real prop-
erty, road, or highway which attracts, or
may attract, mobile sources of pollution.
Such  term includes parking lots,  parking
garages, and other facilities subject to any
measure for management of parking sup-
ply  (within  the  meaning   of   section
110.(c)(2)(D)(ii)), including regulation of
existing  off-street  parking but  such  term
does not include new or  existing on-street
parking. Direct emissions sources or facili-
ties at.  within, or associated  with,  any
indirect source shall not be deemed indi-
rect   sources  for  the   purpose  of  this
paragraph.
  (D) For  purposes  of this  section the
term  "indirect  source  review proeram"
means the facility-by-facihty review of in-
direct  sources  of  air pollution, including
such measures  as are necessary to assure.
or assist in assuring,  that a new or modi-
fied indirect source will  not attract mobile
sources of air pollution, the emissions from
which would cause or   contribute  to air
pollution concentrations—
  (i)  exceeding any national primary am-
bient  air quality  standard  for a mobile
source-related air pollutant after the pri-
mary  standard  attainment date, or
  (ii) preventing maintenance of any such
standard after such date.
  (E)  For purposes of this paragraph and
paragraph  (2)(B),  the  term  "transporta-
tion control measure" does not include any
measure which is an "indirect source re-
view program".
  [PL 95-95. August 7.  1977]
  (6)  No State plan shall be  treated as
meeting  the  requirements  ot  this section
unless such  plan provides that in  the  case
of any source which uses a supplemental.
or intermittent  control system for purposes
of meeting  the requirements of an order
under  section 113.(d) or section  119 (re-
lating  to primary nonferrous  smelter or-
ders), the owner or operator of such source
may not  temporarily reauce the pay 01 any
employee by reason  01  the  use  01 such
supplemental or intermittent or otner dis-
persion dependent control system.
  [PL 95-95. August 7.  1977]
  (b)  The  Administrator may. wherever
he determines necessary, extend the period
for  submission  of an>  pian  or  portion
                                                         Environment Reocner

-------
REFERENCES FOR SECTION 6.2

-------
                              EPA-450/2-78-027R
Guideline  On Air Quality  Models
                (Revised)
         U.S. ENVIRONMENTAL PROTECTION AGENCY
               Office of Air and Radiation
          Office of Air Quality Planning and Standards
             Research Triangle Park, NC 27711

                    July 1986

-------
                        EPA-450/2-78-027R
                          SUPPLEMENT A
                             JULY 1987
         SUPPLEMENT  A
              TO THE
            GUIDELINE
                ON
AIR QUALITY MODELS (REVISED)
      U.S. ENVIRONMENTAL PROTECTION AGENCY
           Office Of Air And Radiation
     Office Of Air Quality Planning And Standards
     Research  Triangle Park. North Carolina 27711

-------
ATS, <           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                        Office of Air Quality Planning and Standards
   ~
-------
                                Attachment 1

(Excerpt of Memorandum  from J. Wilburn to D. Tyler,  Dated November  12,  1934)



     As discussed in this memo, we are quite concerned  as  to  our cred1b1H*v
regarding the development and approval of SIP revisions and bubbles which
consider complicated and Involved modeling   While our  Annco  experfenc  may
S;^l6JJd*by S°me " a^?Jca1' * fMl that the problem is real enough  tTL
point that we request guidance on the following three .questions:

     1.  When do changes in EPA modeling procedures  become official Acencv
         policy?  Do such forms as informal  modeling protocols and consensus
         opinions developed at meteorologist meetings and workshops constate
         official Agency policy?  If so,  how is management at the region!
         division and branch level informed  of those decisions d.e   a?e such
         decisions communicated by policy memorandum or must  regional manac-
         ment be dependent upon regional  participants at such meetings  and
         workshops to accurately convey OAQPS's policy  decisions)?

     2.  How do changes in Agency modeling policy affect in progress modelinq
         analyses?  Do policy changes in  modeling procedures  invalidate
         modeling protocols which accurately reflected  modeling policy  at the
         initiation of ongoing modeling analyses?  If so, we wSuld appreciate
         copies of all  policy memorandums which communicated  such policies

   .  3.  Will  it be necessary in order for Annco1s bubble application *o be
         concurred with by OAQPS,  for Region IV to require Annco to subSl* a
         fourth revision to their modeling procedures which would provide "an
         analysis of the 46 days with more than 6 hours of calm which have
         uhus  far been deleted for the submittal pursuant to the original
         protocol?  If so,  we would like  an  explanation of the rationale *-r
         this  requirement in light of our discussion in this memo

-------
                           Attachment 2


(Excerpt of Memorandum from R.  Rhoads to  J.  Wilburn,  Dated  December  24,  198-)
     Regarding your first question:   Changes  in  EPA  modeling  procedures
become official Agency guidance when (1)  they are  published  as  regulations
or guidelines, (2) they are formally transmitted as  guidance  to Regional
Office managers, (3) they are formally transmitted to  Regional  Modeling
Contacts as the result of a Regional consensus  on  technical  issues,  or
(4) they are a result of decisions by the Model  Clearinghouse that  effec-
tively set a national precedent.  In the  last case,  such  issues and  deci-
sions are routinely forwarded to all of the Regional Modeling Contacts.
In order for this system to work, the Regional  Modeling Contacts must be
actively involved in all Regional modeling issues  and  they must be  con-
sulted on modeling guidance as necessary  by other  Regional personnel.

     Regarding your second question:  The time at  which changes in
modeling guidance affect on-going modeling analyses  is a  function of the
type of agreement under which those analyses are being conducted.  On-going
analyses should normally be "grandfathered" if (1) there  is  a written  pro-
tocol with a legal or regulatory basis (such as the  Lovett Power Plant)  or
(2) the analysis is complete and regulatory action 1s  imminent  or underway.
If the analysis is based on a less formal agreement  and is underway, the
Regional Office should inform the source  operators of  the change and deter-
mine whether the change can be  implemented without serious disruption to
the analysis.  If for some reason any previous 'nalysis must be redone,
then it should be redone in accordance with current  modeling guidance.   In
any event, consequences of failing to implement current guidance should  be
discussed with the OAQPS staff  (Helms/Tikvart) to ensure that  inappropriate
commitments are not made by the Regional  Office.

     Regarding your  third  question:   As  previously  discussed with your
staff, the  recent Armco modeling  analysis  is technically  inadequate and
not  approvable so  long  as  the approximately  46  days with  calms  are
ignored.  At  the  time the  original  protocol  was developed, the  deletion
of  calms  was  common  practice  because  we  had  no  consensus  on  technically
valid procedures  for  addressing calms.   However,  (largely due  to the
assistance  of  RO  IV  staff  in  developing  a  technical solution to the
calms issue)  this practice was  discontinued  by  consensus  of  the Regional
Modeling  Contacts who  recommended*immediate  implementation  of  the  new
procedures  (see  Joe  Tikvart's  June  13, 1983, memo to  Regional  Modeling
Contacts).   The  subsequent Armco  analysis  which ignored  calms  was,  there-
fore, deficient  since there  is  no  rationale  for "grandfathering" an analy-
sis  which was  initiated  after the  new calms  guidance  was  disseminated.
This  issue  is  no  longer  an issue  since Armco has  already  submitted  a
reanalysis  that  addresses  the calms  issue.

-------
                               June 7, 1988
MEMORANDUM

SUBJECT   Revised Model Clearinghouse Operational  Plan
FROM:     Joseph A. Tikvart, Chief
          Source Receptor Analysis Branch (MD-14)

TO:       Chief, Air Branch, Region VII
          Chief, Technical Support Branch, Region I
          Chief, Air and Radiation Branch, Region V
          Chief, Air Programs Branch, Regions II, III, IV, VI, VIII,  U,  X


     On February. 9, 1988 I notified you of the expansion of the Model
Clearinghouse to include all criteria pollutants.  That memorandum
explained briefly how the expanded Clearinghouse would operate and
identified individuals in the Technical Support Division and in the Air
Duality Management Division who would be involved in resolving Agency
regulatory modeling issues.  The memorandum also promised that we would
be revising the 1981 Operational Plan for the Model Clearinghouse to  reflect
the  current operation.  Attached is a copy of that revised plan.

     To highlight major functions of the operational plan which you should
become most familiar with, please note the structure of the Clearinghouse
contained in Section 3, particularly Figure 1.  Also you should become
familiar with the procedures for referring modeling issues to the
Clearinghouse,  described in Section 4.  Appendix B identifies the contacts
in the Regions  for various types of modeling problems.  Please check over
these lists for accuracy and keep us informed of any changes of these
personnel in your Region.

     It  should  be  remembered that the Model Clearinghouse is  a service
we provide to the Regional Offices.  We do not normally deal directly with
the  State/local agencies  or with  industry since  this would compromise our
function as second level  reviewers and would interfere with your  function.
However  we have discussed  access by States to Clearinghouse expertise
througn  the Regional Offices.-  Where a State wishes such a contact, we
urge your staff to work closely with their State counterparts to  establish
a  mutally agreed-upon  position  on the  issue.

     Finally,  for  purposes  of  responding  to questions  from States and  local
agencies about  the  Clearinghouse  and its  operation, we  have no  problem if
you  wish to furnish  them  with  a copy of  this  plan.  For questions from the
public we would prefer that you instead  provide  them  with a copy  of  Appendix C
 a  separate  copy of which  is  attached.  This Appendix  is  a  revised version
 of a flyer we  have  distributed  for  a number  of years  at  the EPA  booth  at
 the  annual  APCA neetina.

-------
                              EPA Model Clearinghouse
                                      Summa ry

     The Model Clearinghouse is the single EPA focal point for reviewing tne use o-
modeling techniques for criteria pollutants in specific regulatory applications.
The Clearinghouse also serves to compile and periodically report for Regional
Office benefit Agency decisions concerning deviations from the requirements of the
"Guideline on Air Quality Models (Revised)."

Need for the Model Clearinghouse
     The Guideline states that when a recommended model or data base is not used,
the Regional Administrator may approve the use of other techniques that are demon-
strated to be more appropriate.  However, there is also a need to provide for a
mechanism that promotes fairness and consistency in modeling decisions among the
various Regional Offices and the States.  The Model Clearinghouse promotes this
fairness and uniformity and also serves as a focal point for technical review of
"nonguideline" techniques proposed for use/approval by a Regional Administrator.

Functions of the Model Clearinghouse
     The major function of the Clearinghouse is to review specific proposed actions
which involve interpretation of modeling guidance, deviations from strict interpre-
tation of such guidance and the use of options in the guidance, e.g., Regional
Office acceptance of nonguideline models and data bases.  This is handled in two
ways:  (1) the Clearinghouse, on request from the Regional Office, will review the
Region's position on proposed (specific case) use of a nonguideline model for tech-
nical soundness and national consistency, and (2) the Clearinghouse will screen
Federal Register regulatory packages for adherence to modeling policy and make
recommendations for resolution of any issues identified.
     A secondary function of the Model Clearinghouse is to communicate to regu-
latory model users in EPA significant decisions involving the interpretation of
modeling guidance.  This is accomplished through an annual "Clearinghouse Report"
which itemizes the significant decisions that have been made and the circumstances
involved.  This report serves to improve consistency in future decisions anc as
a source of technical information for the Regional Offices.  In addition to the
annual report the Clearinghouse informs users on a contemporary basis of signi-
ficant decisions through copies of written decisions and briefings at various
meetings and workshops.

Structure of the Clearinghouse
     The'Clearingnouse "is formally located in the Source Receptor Analysis Brancr,
(SRAB) of OAQPS.  However, the Air Quality Management Division (AQMD) also parti-
cipates in Clearinghouse matters involving SIP attainment strategies  and other
regulatory functions.
     The primary responsibility for managing the Clearinghouse and ensuring that
all of its functions are carried out is performed by a person full-time within
SRAB.  The responsibility for responding to requests for review of modeling
issues is assigned, on a pollutant/program basis to three SRAB individuals.   In
addition, AOMD supports the Clearinghouse with staff who are also knowledgeable in
modeling policy.  These individuals are responsible for screening SIP  submittals
and related documents, referring modeling issues to SRAB through the  Clearingnouse
and documenting the final (and any significant interim) decision on  disposition c~
tne issues.

Cotnmunication Chain
     The Moaei Ciearingnouse functions within the organizational structure of  EPA.
As such the Clearinghouse serves the EPA Regional Offices.   It coordinates witn
a"d communicates decisions to the Regional Offices.  Any coordination  with State
anc local agencies anc individual sources on Clearinghouse activities  is a :unct:c~
cf tw.e EDA Recicnal Offices.

-------
REFERENCES FOR SECTION 6.3

-------
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-------
                             EPA-450/2-78-027R
Guideline On Air Quality Models
               (Revised)
         U.S. ENVIRONMENTAL PROTECTION AGENCY
               Office of Air and Radiation
          Office of Air Quality Planning and Standards
             Research Triangle Park. NC 27711

                   July 1986

-------
          F«d«rsU Register / Vol. 51. No.  174 / Tuesday. September 9.  1986 / Rules  and Regulation
MBS08JJM& tod RTDM (version
Issneanot specifically addresaW in the
goideiiaa. inch at those aaaociated with
new methods or technique* will be
investigated and future guidxnce issued.
subject to public comment ts necessary.
K. Other Issues
  Although the December 7 proposal
solicited, in particular, advice and
comment on eight issues, several of
these topics received little or no
comment. Both EPA and the commenters
found it easier to include these
comments under appropriate sections in
the guideline instead of listing these
issues separately. Responses to public
comments on the eight issues arc
contained in the Summary of Comments
and Response* document (IV-G-28) as
follows:
  (1) Specific changes to 40 CFR Parts 51
and 52 (no comment received);
  (2) Revised format of  the guideline
{Chapters 1 and 3);
  (3) Recommendation! for ozone
models (Chapter 6);
  (4) Proposed changes to preferred
models (Chapters 4. 5. and Appendices
A and B)i
  (5) Improving performance
evaluations (Chapters 3 and 10);
   (0) Modeling uncartainry (Chapter 10))
   (7) Degre* to which State or local
regulatory agencies can have authority
to use nonguidetine models (Chapters 1
and 3): and
   (8) Degree of oversight or  arrproval
authority retained by EPA (Chapters 1
and 3).
EO. 12251
   Under Executive Orcer 12231. EPA
musi  judge whether a ruie 11 "major"
and therefore subject to the requirement
of a Regulatory Impact  Anaiysi*. The
Administrator finds this rule not major
because it will not have an annual effect
on the economy of S100 million or more;
it will not result in a major increase in
co«ts or prices:  and there will be no
significant adverse effects on
competition, employment, investment.
productivity, innovation or on the ability
of U.S.-based enterprises to compete
with foreign-based enterprises  in
domestic or export markets. This
 regulation will result in no significant
 environmental or energy impacts. Thus.
no Regulatory Impact Analysis was
 conducted.
 Regulatory Flexibility Ad
   Pursuant to the provisions of 5 U.S.C
 605i'o). I hereby certify that the attached
 rule wiJl not have a significant impact
 on z substantial number of small
entities. This rale merely update*
existing technical requiraaetrU for air
quality modeling analyses' required by -
other Clean Air Act programs
(prevention of significant deterioration,
new source review. StP-rertsicns) and
imposes no new regulttory burdens.

Economic Impact Assessment

  The requirement for performing an
economic impact assessment in section
317 of the Act 42 U.S.C. 7817, does not
apply to this action since the revisions
included do not constitute t  substantial
change in the regulatory burden imposed
by the regulation. However,  since the
guidance includes more sophisticated
models, and addresses the use of site-
specific data (required under t different
section of the PSD regulations), an
analysis of the relative costs of using
some of the 1978 models and data bases
versus the models and data  base*
specified in the 1980 updated guidance
was prepared. This report. "Coat
Analysis of Proposed Changes to the Air
Quality Modeling Guideline" is
available for inspection in Docket A-80-
48 at the Central Dockat Section whosa
address is gjv*n above, or from the
National Technical Information Service
as NTIS No. PB 83-112177..  ..

Papwmsk Kodurriae Act

  This ruie does not contain any
information collection requirements
subject to review by the Offict of
Management and Budget (OMB) under
the Paperwork Reduction Act of 1980
U.S.C 3501 et sec. EPA has  submitted
this regulation to OMB for renew under
Executive Order 12231 and their written
comments on the revisions and any EPA
responses havt been placed in the
docket for this proceeding.

List of Subje<±i

10 CFR Port 51
   Administrative practice and
procedure. Air pollution control
 Intergovernmental relation*. Reporting
 and recordkeepmg requirement*. Ozona,
 Sulfur oxides. Nitrogen dioxide. Lead.
 Paniculate matter. Hydrocarbons,
 Carbon monoxide.

 40 CFR Pan 62

   Air pollution control. Ozone. Sulfur
 oxides. Nitrogen dioxide. Lead.
   This notice of final rulemaking is
 issued under the authority  granted by
 lectionj 165(e) and 320 of the dean Air
 Act. 42 U.S.C. 7475(e), 7620.
  Dated Attfust IS, 1M&
 LMM.TIMIM*.
 Administrator.

 PART 51-ft£QUIRai£MT3 FOft
 PREPARATION ADOPTION AND
 SUBUITTAL OF tUPUEMEMTATIOK
 PLANS

  Part 5:. Chapter L Title 40 of the Code
 of Federal Regulation*, is amended as
 follows:

  1. The authority citation for Part 51
 continues to read at follows:

  Authority: 42 U3.C 7475(e). 7620.
  2. Section 51.24 is amended by
 revising paragraph (1) to read as follows:

 J51J4  Prevention o( •tgnfflorrt
 d«<»riontlon of «tr qus*ty.
 *     •    •    *     •

  (I) Air quality model*. Th« plan shall
 provide for procedures which specify
 that—
  (1) Ail estimate* of ambient
 concentrations required under this
 paragraph shafi be-based on the
 applicable air quality models, data
 base*, and other requirements) specified
 in the "Cmdelirur-buf Air Quality Moderi
 (Revised}" fi***! «(liBca is incorporated
 by reference. Iris EFA»Publication  No.
 450/2-7&-02/rl aid ft for sale from the
 U.S. Department of Commerce.  National
 Technic.i! Information Service,  sazs ?c-
 Royal Road. Springfield. Virginia. 2215"..
 It is also  available for inspection at tne
• Office of the Federal Register. Room
 8301.1100 L Street. N\V., Washington.
 DC. This incorporation by reference was
 approved by the Director of the Fecers!
 Register on Octobers, 1888. These
 materials are incorporated as they exist
 on the  da» of approval and a notice of
 any change will be published in the
 F«d«rai RrpsUr.
   (2) Where an air quality impact rr.oael
 specified in the "Guideline  on Air
 Quality Models (Revised)"  (198S) u
 inappropriate, the model may be
 modified or another model  substitutes.
 Such a modification or substitution of a
 model may be made on a case-by-^ase
 basi* or. where appropriate, on a generic
 basis for a specific state program.
 Written arrproval of the Administrator
 must be  obtained for any modification
 or substitution. In addition, use of a
 modified or substituted model mujt be
 subject to none* and opportunity for
 public comment under procedures
 developed in accordance vnth
 paragraph (q) of this section.

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         Federal  Reg-Liter / VoL 51.  No. 174 / Tuesday. September 9, 198fl / Ruia* and Regulations    32179
PART 52—APPROVAL AND
PROMULGATION Of-
IMPtEMEKTATlON I
  Part 52. Chapter I of TIBS 40 of the
Code of Federal Regulation*, ir
amended as follows:
  1. The authority citation for Part 52
continues to read as follows:
  Authority: « U.S.C 7475(e). 7B2a
  2. Section 52.21 is amended by
revising paragraph (1) to read a< follows:

§ 52J1   Prvwntion o< (ignMcant
dtttrioraoon of ah- pu»«ty.
*    *    •    »    •
  (I) Air quality models. (1) All
estimates of ambient concentration*
required under this paragraph shall b«
ba«ri on ihe applicable air quality
models, data base* a*d»«
requirementi ipedfied in tfat "Coidellai
on Air Quality Models (RavaadrpflWr
which if incorporated by refenxs. tftt
EPA publication No. 4Xfc*79-Q2rR gat
ia for »*le from the U3. Ocptznntnt at-
Commerce. National Technical
Information Service. M3-5 Port Royal
Road. Springfield. Virgini*. 22161. It U
also available for iaspecQ'on at the
Office of the Federal RegUter. Room
8301.1100 L Street NW.. Washington.
DC This incorporation by reference was
approved by the Director of the Federal
Register on October 0,1986. The*»
materials an incorporated as they exist
on the date of approval and a no tic* of
any change will be published in the
Federal R»gt«tet
  (2) Where an air q-oaliry imp*d mod*!
tp«cifliil« tbrrGafcitiu* or Air
Qtatity Ifedtls fReriMdr (19»il
mapprovttato. tfat nodal nay be
modified -or eaotfatt««d*i
Such a modjBcxtion or nbitiration of i
model nuy Be made on a cxM-by-case
basis or. where appropriate, on a genenc
basis for a specific state program.
Written approval of the Administrator '
must be obtained for any modification
or substitution. In addition, use of a
modified or substituted model must b«
subject to notice and opportunity for
public comment under procedures
developed in accordance with
paragraph (qj of this section.
[FR Doc. 8B-1MM Tiled »-S-» &<5 un|

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                                  EPA-450/4-84-023
Interim  Procedures for Evaluating Air
        Quality Models (Revised)
             U.S. ENVIRONMENTAL PROTECTION AGENCY
               Monitoring and Data Analysis Division
             Office of Air Quality Planning and Standards
             Research Triangle Park, Nortn Carolina 27711

                     September 1 984

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           United States
           Environmental Protection
           Agency
           Office of Air Quality
           Planning and Standards
           Research Triangle Park NC 27711
July 1985
r/EPA
Interim Procedures
For Evaluating Air
Quality Models:
Experience with
Implementation

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                    UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                          Office of Air Quality Planning and Stancards
                   	Research Triangle Paric Nnnh Carolina 777"! 1	
                                *4 JUN 1984


MEMORANDUM

SUBJECT:  Montana  Lead State  Implementation  Plan  (SIP)— Receptor and
          Dispersion  Modeling
fROM:      G.  T.  Helms,
           Control  Programs tDperations "Branch,  CPDD (MD-15)

TO:      -.Tom Harris.. "  '.: - "...     ' --.   .   '=             ...' ..   .  . :
         -•Montana iterations Office, Region -VIII   '     .  --

     Recently, the Region VI Office  asked  for  advice concerning the need
to  run  a  dispersion model after  a  receptor model  in developing a control
strategy.   Our response (Attachment  1)  referenced the Receptor Model
Technical  Series,  Volume  I— Overview of Receptor  Model Application to'
Paniculate Source Apportionment"!   That guidance  indicates that  receptor
modeling  should  not be  used alone  to develop  a control .strategy , but
should  be  used in  conjunction  with  dispersion  modeling.   _

     We have  proposed to  approve the Montana  lead SIP;  although  it
demonstrates  attainment only with  receptor modeling, there appears to
ibe  suffici-ent justification for  this approval.  To avoid  unwarranted
charges of inconsistency, however,  I recommend that technical support
documentation be prepared for  EPA's  rulemaking on the SIP that would
contain the following or  similar wording:

    (
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     2.   EPA's  guidance on receptor modeling, cited above, was
     not  widely circulated at the time the  State was under-
     taking  its receptor modeling analysis.

     3.   EPA's  detailed guidance on dispersion modeling for
     lead SIP'S*.2 did not become available until well after
     Montana began its receptor modeling analysis, which  it
     undertook  in a good faith effort to develop its lead SIP.

     Therefore, £PA is approving the  control  strategy.  If
     subsequent monitoring indicates  that there are ambient
     lead exceedances in the vicinity of the source, EPA  will
    "request Montana-to .revise Its SIP analysis -based on-new •
     dispersion modeling, ss well-as'the previous receptor
     modeling analysis.
     1 Marcn 14, 1983, memorandum from G.T. Helms  to  Conrad Simon.

     2 Updated Information on Approval and Promulcation  of Lead
     Implementation Plans—Draft Manual.   Prepared for U.S. EPA,
     OAQPS, CPDD, Research Triangle Park, N.C.   July  1983.


     This documentation should be placed in the Montana  lead  SIP  file,
and the federal Register notice of final  approval  should indicate that
this documentation"is available for public inspection.

     If you have any questions regarding this issue,  you may  cell
John Silvasi of my Branch at 629-5665.

Attachments

cc:  Robert DeSpain
     Butch Rachel
     Tom Pace                      .
     Ed till is "
     Joe Tikvart
     Jim Dicke
     Dick Wilson
     John Silvasi '".'-.          .                   .  .  '
     Jerry Yarn   -••••-      '   -     '
    . Jack Divita  ~""   .,::              '
     Ken Greer
     John Ulfelder

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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                          OM'ce of Air Qualny Planning and Standards
                         Researcn Triangle Park. Norm Carolina 2771 1
                                  0 8 JUH 1384


MEMORANDUM

SUBJECT:  Receptor .Modeling and Dispersion Modeling
          in Lead SIP Development
FROM:     G. T. Helms, Chief
          Control Programs Operations Branch   (MD-15)

TO:  '   "  Jack Divita,'-;Chief      -..-..-.      -  .-/--     --   ;
        -. Ai r .Programs -Branch, Region VI- '- •      '  -  -  •-"." -   -  '"-''

     A few weeks ego,  Ken  Greer of your  staff  asked  John  Silvasi  of my
Branch about the need  to  re-run a dispersion model  for  ASARCO's  primary
lead smelter in El  Paso after tne State  performs  receptor modeling as
part of  its  study of the  remaining violations  in'the lead State
implementation plan  (SIP).

     John and  I met with Tom  Pace, Jim Dicke,  and Dean  Wilson "of MDAD to
discuss  this question.  MDAD  pointed  out that  EPA's  existing guidance
indicates that  receptor modeling  shoul_d___n_ot_be_used__al_one.-tO-_deyelop  a
control 'stratecfy7~but~~~that it should^be_usecMn conjunction with^ dispersion
modeling. ._! ._am  attaching  the "pertinent  portions of EPA's current guidance
on this  matter.  Therefore,  1 recommend  that  eftsr Texas  performs the
 receptor modelinc,  the results  of bctn the receptor modeling and the
previous dispersion  modeling  be  reconciled.  This will  result in either
confirming  the results of the dispersion-model ing (i.e.,  additional
control  is  necessary  for  attainment  and  Texas  would have  to adopt such
 additional  control)  or that the  dispersion model may have overpredicted
the concentrations  at  the maximum site  and, therefore,  no additional
 control  is  necessary.  • At that  point, regardless of the  outcome, Texas
should  re-run  the  dispersion  model  since new knowledge-gained from the  •
the receptor model  study  may  change existing source-receptor relation-
 ships  and thus the  outcome of the control strategy required to  attain the
 1ead standard.      •  . .  •

      Subsequent to our meeting with MDAD, John Silvesi discussed this
 guidance with Ken Greer on May 30;  Ken expressed concern "that this
 implied that EPA would have to obtain a  commitment  immediately  from Texas
 to re-run disoersion modeling in order for EPA to take final action to
 approve the Texas lead SIP by August 1,  1934.   1 believe that we can
 achieve our objective without such en immediate  commitment  from Texas  at
 this time.   I recommend that the discussion of Texas's study that would
 appear in the Federal Register contain the following or  similar language:

      EPA will base its final approve! of the  study  on  whether  an adequate
      demonstration of attainment is  made that  relies on  both receptor
      modeling and dispersion modeling.

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       KDAD  is  currently drafting source apportionment Guidance  for the purpose
 of developing SIP's  for PHjo.  This guidance will  probably  not  be final
 until  after the nations!  ambient air quality standard for PM]Q  is
 promulgated and is  not expected to be inconsistent with  the above discussion.
 -Attachment

 cc:  J.  Dicke.
      K.  Greer
 -  ._- E.  Lillis  "
--; "-. ' T-  -Pace",.
"r'\ '•'. ":J.  Silvas'i ~
      0.  Tikvart"
      0.  lflfelder
      D.  Wilson
      J.  Yarn

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United States
Environmental Protection
Agency
Office of Air Quality
Planning and Standards
Research Triangle Park NC 27711
EPA-450/4~81-016a
July 1981
Air
                   RECEPTOR MODEL  TECHNICAL  SERIES

                                VOLUME I
                     OVERVIEW OF RECEPTOR MODEL
                     APPLICATION TO PARTICULATE
                     SOURCE APPORTIONMENT
           utrnooucto BT
           NATIONAL TECHNICAL
          INFORMATION SERVICE
            U, 1, Off AfTKfKT Of COWKTXCt
                     , VA. DJ»I

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REFERENCES FOR SECTION 6.4

-------
                             EPA-450/2-78-027R
Guideline On Air Quality Models
               (Revised)
         U.S. ENVIRONMENTAL PROTECTION AGENCY
               Office of Air and Radiation
          Office of Air Quality Planning and Standards
             Research Triangle Park. NC 27711

                   July 1986

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V-/EPA
             United States
             Environmental Protection
             Agency
             Office of Air Quality
             Planning and Standards
             Researcn Triangle Park NC 27711
EPA-450/4-S7-0:
June 1987
             Air
On-Site Meteorological
Program Guidance for
Regulatory Modeling
Applications
                               EXVIfiOii ':
                                 AUG :.'.-> 1231
                               LIBRARY SEAvUu urnti

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•EPA
United States       Office o< Air Quality
Environmental Protection  Planning and Standards
Agency         Research Triangle Park NC 27711
                                        EPA-450 '4-87-OC"
                                        May 1987
             Air
Ambient Monitoring
Guidelines for
Prevention of
Significant
Deterioration (PSD)
              RADIAN LIBRARY
              RESEARCH TRIANGLE PARK. KC

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          Unnec
-•EPA
                   c,nvii ui unc i lio i ivtuimonny
          Environmental Protection  Laboratory
          Agwocv       Research Triangle Park NC 2771 1
                     Feo 1983
          Research and Development
Quality Assurance
Handbook for Air Pollution
Measurement Systems:
          Volume IV. Meteorological
          Measurements

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REFERENCES FOR SECTION 6.5

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                             EPA-450/2-78-027R
Guideline On Air Quality Models
               (Revised)
         U.S. ENVIRONMENTAL PROTECTION AGENCY
               Office of Air and Radiation
          Office of Air Quality Planning and Standards
             Research Triangle Park, NC 27711

                   July 1986

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                 V^MIIUC ui AMI i^iuaiujr I loiamiy aiiu oiaiiuaiui
                 Research Triangle Park, North Carolina 27711
                              1 6 MAP. 1S8£          PN 165-89-03-16-029
MEMORANDUM

SUBJECT:  Use of Allowable Emissions for National Ambient  Air
          Quality^Standards  (NAAQS) Impact Analyses  Under  the
                             revention of Significant
          Dete;

FROM:
          Technic
TO:        Thomas  J.  Maslany,  Director
           Air  Management  Division, Region  III

           William B.  Hathaway,  Director
           Air,  Pesticides,  &  Toxics  Div. ,  Region VI


     This  memorandum is  in  response  to recent  requests from ycur
offices  for  clarification of  the  Environmental Protection
Agency's (EPA)  policy concerning  the implementation of the PSD
air  quality  impact analysis under 40 CFR 51.166(k)  [also
§52.21(k)].  Of specific  concern  is  the  question of whether the
required analysis for nev major sources  and major modifications
is to  be based on actual  or allowable emissions from existing
background sources.   This memorandum sets forth the position thar
allowable  emissions  should  generally be  used.   However, as
explained  below,  certain  allowances  may  be made, primarily with
respect  to the evaluation of  impacts on  the long term NAAQS, tc
consider an  existing source's actual annual operations.  This
position best  resolves the  inconsistencies between previous
written  guidance for PSD  and  the  guidance applicable to NAAQS
attainment demonstrations for State  implementation plans  (SIP's).

     The PSD regulations  at 40 CFR 51. 166 (k) stipulate that
"al lovable emission increases from the proposed source or
modification,  in conjunction  with all other applicable emissions
increases... would not cause  or contribute to air  pollution  in
violation of [any national  ambient air quality  standard
(NAAQS)]." (Emphasis added.)   While this  provision clearly
requires the use of allowable emissions for the new  or modified
source,  it offers no similarly explicit requirement  regarding
emissions to be used for existing source  contributions.

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     Nationally, states and EPA Regional Offices have utilized
several interpretations which have lead to a consistency problem
in implementing the requirement for- a NAAQS demonstration under
40 CFR 51.166(k).  Some States presently accept the use of actual
source emissions for existing background point sources, and
reference EPA guidance to support their position.  Regions, on
the other hand, encourage the use of emissions estimates more
closely reflecting legally allowable emissions.

     Available EPA guidance for PSD, which dates back to 1980,
supports the use of actual emissions to project the air quality
impacts caused by existing point sources.  Specifically, the
"Prevention of Significant Deterioration Workshop Manual" (EPA-
450/2-80-081, October 1980) states that "actual emissions should
be used... to reflect the impact that would be detected by
ambient air monitors" for the PSD NAAQS analysis.  However,
because many sources typically emit at rates well below their
legally allowable emission rate on an annual basis, we now
believe that the use of actual emissions to demonstrate NAAQS
attainment could substantially underestimate the potential air
quality impacts resulting from existing sources.

     The EPA's policy for demonstrating stationary point source
compliance with the NAAQS for SIP purposes clearly requires the
use of emissions which are more closely tied to allowable
emissions.  The model emission input data requirements for such
SIP demonstrations are contained in Table 9-1 of the "Guideline
for Air Quality Models (Revised)" (GAQh), EPA-450/2-78-02R, July
1986.  For "nearby backaround sources" an adjustment to the
allowable emission rater may be  made only for determinations of
compliance with the annual and quarterly NAAQS, and only with
respect to the annual operating factor.  For "other background
sources" an adjustment to both the operating level and the
operating factor, as explained in Table 9-1, could be made for
determinations of compliance with the long term and short tern
NAAQS.

      The referenced model emission input data requirements for
existing point sources are contained in the GAQH which has
undergone rulemaking and is incorporated by reference  in  EFA's
PSD regulations under Parts 51 and 52.  Although a footnote in
Table 9-1 indicates that the model input data requirements may
not apply to PSD NAAQS analyses, we now believe that such
requirements should be applied to PSD rather than  using  actual
emissions as indicated in the 1980 PSD guidance.
     ^Emission rates for model input consist of three components
1) the emission limit, e.g.,  //mmBtu; 2) the operating  level,
e.g., mmBtu/hcur; and 3) the  operating factor, e.g.,  hours/day,
hours/year.

-------
compliance demonstrations for PSD and for stationary source
control strategies under SIP's will be accomplished in  a
consistent manner.

     In order to apply Table 9-1 in the GAQM to PSD NAAQS
analyses, certain clarifications need to be provided.  First,  the
proposed major new source or major modification must be modeled
at its maximum allowable emission rate.  Second, the existing
facility to which a major modification has been proposed,  but
whose actual emissions (not including emissions from the  proposed
modification) will remain unchanged, may be considered  as  the
"stationary point source subject to SIP emission limit(s)..."  to
determine the model emission input requirements.  Portions of  the
existing facility where the emission rate is expected to  increase
as a result of the proposed modification should be modeled at  the
allowable emission rate.  Finally, background point sources 1)
havi-ng already received their construction permit but not yet  in
operation, or 2) with less than two years, of operational  history,
should also be modeled at their allowable, emission rate.

     Of course, an analysis which demonstrates no contravention
of the standards, based entirely on maximum allowable emissions
rates (including full operation for the entire year) for  all
modeled point sources is acceptable.  If a violation of any NAAQS
is revealed by this type of analysis, then the adjustments
described above may be made in cases where it can be shown to the
satisfaction of the permit granting agency that historical
operating levels and/or operating factors will be representative
of future conditions.

     This use cf Table 9-1 of the GAQM for accomplishing the
required PSD NAAQS analysis will supersede the various  procedural
interpretations presently being applied.  Since different
procedures are currently in use, we believe that it  is necessary
to provide a grace period for implementing the reauired
procedure.  Consequently, modeling analyses for any  PSD
application submitted to the reviewing agency on or  after
October 1, 1985 should be based on legally allowable emissions  or
must use the model emission input data requirements  contained  in
Table 9-1 of the GAQM as clarified above for PSD purposes.

cc:  Air Branch Chief, Regions I-X
     New Source Review Contacts
     Reaional Modeling Contacts
     E.~Lillis
     J. Tikvart
     T. Helms
     B. Bauman

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             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                   Office of Air Quality Planning and Standards
                  Researcn Triangle Park. Nortn Carolina 27711


                           JUne 24, 1992
MEMORANDUM

SUBJECT:   Questions and Answers (Q's & A's)  for Lea

FROM:      Joseph W- Paisie, Acting Chief L-id^vW * ^
           SO_/Particulara Tartar Programs'/ Bijancii  (HD-15)

TO:        Chief , Air Branch
           Regions I-X


     Attached, you will find the first set of  Q's i A's  for •> ead
implementation plans.  The responses, which  were deve.ic~e~  wi~h
the  lead contacts, have been reviewed both in  mis cf^-ca~and~*-li
offics  of General Counsel.   As mere questions  arise, we  w-il"1  be"
following this ser virr. crher seT^ of lead Q's & A-'S.
      The Q's « A's serve as a supplement to  the sraff  wcr;c
product for lead which has been incorporated into the  General
Preamble for Title I of the 1990 Clean Air Act Amendments (CAA^
[see  57 FR 12493 and 1S070 , April 15 and 25, 1992,  respective 1 v 1
In  any insranca whers there aay appear to be a discrepancy    ~~ '
between the Q's & A's and the General Preamble, the General
Preamble renains the aors authoritative policy, and the
should be read in ways that support that document.

      The SOa/Particulare Matrar Programs Branch win be
a general Q's 5 A's ncratook with responses  to ouesticns'
concerning implemenratiicn of the CAAA~.  The  aoal is to have a
resource that is specific enough -co address  individual c~ncerr.s
but universal enough to be informative for all of the  peccle wrc
will  be implementing the CAAA.  If you have  any suggestions
regarding this procass, please contact Gwen  Jacobs'at:  (919)
541-5295.  Questions nay be faxed to Gwen at OTO)  541-5^39 Or
mailed to OAQPS (Mail Drop 15).  Thank you for vour succor- of
this  project.                                   "
Attachment:
                                       G6NESAL SERVICES ACUMSTBAFiCN

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                      QUESTIONS AND ANSWERS

                               FOR

                               L2AD
     The EPA's responses to questions regarding iaoleaentation of
the lead national ambient air quality standards (NAAQS) under the
Clean Air Act as amended November 15, 1990 (Pub. L. Ho. 101-545
104 stat- 2399) (CAA) are discussed In this document.  See
generally 42 U.S.C. §S 7401 efc. sgfi.  The answers set forth  here
do not establish or affect legal rights or cblioaticns.  Thev do
not establish a binding r.cra and are not. finally determinative of
the issues addressed.  Agency decisions in any particular case
will be aade by applying the applicable law and' regulations tc
the specific facts of tnar case.  In any prcceedinc in which the
policies described in this document aay be applied" (e-g. ,
rulemaking actions on laad SIP's), the"Agency" will  ticrouchiv
consider the policy's applicability to the facts, the underIving
validity of the policy/and whether changes should  be aade  in  the
policy based on submissions made by any person.
                            Developed, by
                  SO/Partiicuia-ce Programs  Branch
           Office of Air Qualify Planning  and  Standards
                             June 1S92

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                          Lead Q's  &  A's

     Hote:  with respect to the following Q's & A's, the clean
     Air Act Amendments of 1990 included a General Savings Clause
     which provides that regulations (or guidance, etc.) in
     effect before enactment of the Amendaents shall remain in
     effect after enactment (see section 193 of toe amended Act).
     However, the savings Clause also provides that such
     regulations (or guidance, etc, } snail reaain in effect
     "except to the extant otherwise provided under this Act,
     inconsistent with tne provision of this Act, or revised 'by
     the Administrator. **  Unless otherwise indicated, the
     regulations (or guidance, etc.) cited below remain in effect
     consistent with section 193 of the Clean Air Act.

Q:   1.   Is it necessary to calculate a design value for lead
          SIP'S?  The July 1983 document entitled "Draft Updated
          Information on Approval and Promulgation of Lead
          Inplementation plans" indicates that determination of
          the design value for lead SIP's is only recmired when
          the demonstration is based on a "rollback" "model and is
          not applicable if air dispersion modeling is used to
          demonstrate attainment .

A:   Forty CFR Part 51.117(c)(2) requires that lead SIP's enrplov
     dispersion modeling for demonstrating attainment in areas in
     the vicinity of the lead point sources listed in 40 CFR
     51. 117 (a). /Determination of the design value is inherent in
     the application of dispersion modeling to demonstrate
     attainment.  Procedures for calculating the design value
     with dispersion models are contained in the Guideline of Air
     Quality Models fRevisedl  fGAQMI (Section 8.2.1.1, Design
     concsntrations for SO,, Particulate Matter,  kgad.,  and Mix)/
Q:   2.   How is the design value to be calculated — through
          modeling or ambient monitoring?

A:   Again, see Section 8.2.1.1 of the GAQM which describes  how
     to determine the design concentration (design valued  for  a.
     lead air cuality analysis.  An air quality analysis 'is
     necassary to determine if the source will cause  a violation
     of the NAAQS [and, it follows, to determine whether
     attainment is demonstrated in the area.  See section
     132 (a)].  Note that Table 9.1 of the GAQH describes the
     model emissions input data needed to nodel point sources .
     In such an analysis, the background concentration is  added
     tc the estimated impact of the source, as deterained  by
     dispersion modeling, to ger the design concentration.   For
     lead, the highest estimated design concentration based  on an
     individual calendar quarter averaging period should be  used.
     The modeled design concentration is then used as a starting
     point to determine emission limits needed to attain the
     standards and to be included in the demonstration.

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     Theoretically, if the measured air quality values are higher
     than nodeled values at the same receptors, and the Agency is
     certain that the modeling was done correctly (i.e.,
     appropriate model, proper inputs), measured data should be
     used to deteraine baseline air quality.  That is, the model
     estimates for the design value should not be used if the
     aonitored data indicate an ambient problem that will not be
     corrected by a SIP based solely on modeling.  However, the
     State should consult with EPA before staking this decision.

Q:   3-   What emission inventories are necessary for the
          upcoming lead nonattainment area SIP's?  Besides the
          base year emission inventory (which is based upon
          actual emissions), are  other inventories necessary?
          what are they to be based upon  (allowable emissions
          before or after control, include growth, etc.)?

A.   For lead SIP's, two types of emission inventories should be
     submitted—a base year inventory and modeling inventories.
     The SIP base year inventory  aust be  based on actual
     emissions [see sections  H0(p) and 172(c)(3) of the Act].
     The tiaefraffle of the base year inventory, generally,  should
     be representative cf the period of record on which the
     decision tc designate an area as  nonattainment  [pursuant  to
     sections 107(d)(3) or  (d")(5)] or  call  for a SI? revision
     [pursuant to secricn 110()c} (5) ] was  based.  The mcdelina
     inventcries must be based  on allowable  rather than acr.ua!
     emissions  [see section lio(a) (2 }(X)'of  the  Act].  The
     primary role of the modeling inventories will be  for  use  i_n
     the design value  calculation and  the attainment
     demonstration.  An attainment demonstration which provides a
     projection of allowable  emissions to the  year following full
     implementation of the  SIP  is required.  This  is necessary to
     ensure that  the  attainment demonstration  is based on
     enforceable  emission  limits and  control measures  [see
     section  110(a)(2)(A)  and 172(c)(6;  of the Act].

     Regions  and  states  should refer to Table  9-1  ox  the GAQM tc
     determine  model  emission input data requirements.  This
      table specifies  under emission limit:  maximum allowable cr
      federally  enforceable permit limit;  under operating level:
      actual or  design capacity (whichever is greater), or
      federally enferasable permit condition; and under operating
      factor:   actual  operating factor averaged over most recent 2
      years.  The impact of growth, on emissions should also be
      considered in all modeling  analyses covering existing
      sources,

      For ftirther emission inventory guidance beyond the above
      discussion, the Regions and States  should  refer to the lead
      emission inventory doctrnent which is expected to be issued.
      July  1992 ir. draft form.

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Q:   4.   What type of dispersion modeling demonstrations are
          necessary for the upcoming lead nonattainffient  area
          SIP's?  W« understand that a base year modeling
          demonstration, using the base year emission  inventory,
          is used tc compare model predictions to  actual, base'
          year ambient data for the purpose of jaodel validation.
          What should be done next?  Should the  States then rerun
          the base year model after applying controls  [e.g.,
          reasonably available control measures  (BACH) which
          include reasonably available control technology (SACT)]
          to adjust the base year inventory, to  determine the
          level of control needed before growth  is accounted for?
          Then should the States account for growth occurring  up
          to the attainment year, by rerunning the model using a
          post-control, post-growth eaissioh inventory?  If the
          NAAQS are exceeded in this last scenario, should the
          model then be rerun with additional control  strategies
          until the NAAQS are no longer exceeded?

A:   Base year modeling should be run using the  emission
     inventories discussed above, i.e., base year  (actual)  and
     modeling  (allowable for determining design  concentration).
     The jaodel  (using the modeling  inventory)  should  be  reran
     with reduced  emissions, for example, assuming the
     implementation  of RACM  (including KACT) ,  until attainment is
     demonstrated.

     The aodel  should be rerun  again with the  controlled emission
     inventor/  (modelinq inventory with,  for example,  RACK  and
     RACT)  and  any emission  increases  expected to  occrar  as  a
     result of  growth.   If  attainment  is  reached,  no further
     modeling  is  needed.   However,  if  attainment is not
     demonstrated with  this  model  run  (e.g.,  considering growth),
      nore  emissions  reductions  should  be  achieved and the  model
     rerun again until  attainment is demonstrated.

      For SUP'S submitted in  response to nonatfcainment
      designations, determining the necessary control measures
      should te  consistent  vith SPA's interpretation of RACM
      (including RACT).   For further information see the "General
      Preamble," 57 FR 12540-44, 12550,  and 13560-61, Anril 16,
      1992,  which discusses t^ie determination of RACM/RACT for
      lead and PM-10.

      Finally,  nota that background concentrations must be added
      to the modeled results as discussed in the GAQM.

 Q:   5,   What level constitutes an adequate attainment
           demonstration?  For example, for one  complete modeled
           attainment year, must no guarter exceed 1.5 ng/m3 of
           lead?  What if one quarter shows a projected value  cf
           exactly 1.5 figAr  or  1.45

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A.   Tile attainment demonstration must show that the  lead
     standard of  1-5 Mg/a3 maximum arithmetic mean averaaed over
     a calendar quarter will not be exceeded  (see 40  CFR 50.12).
     Modeled results saould not  be rounded off.  Therefore,  if
     the modeled  result is  l.Sl  pg/m3- the standard  is exceeded
     Conversely,  if the result is 1.49 jig/m3, the standard is  not
     exceeded.  It is  extremely  unlikely that a mnrioi will  give a
     result of exactly 1.50 vq/Tir but,  if that did  happen,  it
     would equal, not  exceed,  the standard so tne source would be
     in attainment.

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          UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                Office of Air Quality Planning and Standards
                Research Triangle Park, North Carolina 27711
                          3  MAY 1989
MEMORANDUM

SUBJECT:  Identi^^t^Jfyof New Areas Exceeding  the NAAQS


          /AJ/r Quality xWanagejhent Division   (MD-15)

TO:       William Laxton, Director
          Technical Support Division  (MD-14)


     This is in response to your earlier request for our
consideration of two modeling related State  implementation plan
(SIP) issues.  Specifically, the two issues  are:  (1) approval of
a proposed SIP emission limit for a source under consideration
when there are modeled violations of the national ambient air
quality standards (NAAQS) due to nearby background sources in the
surrounding area, and (2) the resource burden  associated with
assembling the data necessary for modeling the background
sources.  This memorandum restates the existing  policy developed
by the Model Clearinghouse and discusses.limited exceptions to
the policy.

SIP Approvals

     Our general policy may be summarized as follows:

     1.   Background concentrations are an  essential part of the
          total air quality concentration to be  considered in
          determining source impacts.  Nearby sources which are
          expected to cause a significant concentration gradient
          in the vicinity of the source under consideration
          should be explicitly modeled  (as  "background" sources).

     2.   Under section 110 of the Clean Air Act, each SIP must
          provide for attainment and maintenance of the NAAQS.
          Where background sources are  found to  cause or
          contribute to a violation, a SIP  revision for the
          source under consideration generally should not be
          approved until each violation in  the modeled Region is
          prevented or eliminated through the SIP rules.  This
          policy avoids approval of a SIP revision which does not
          provide for attainment throuanout the  modeled area.

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     I also recognize that section no allows for approval of
portions of SIPs.  Therefore, exceptions to the general policy
may be warranted in certain circumstances.   Before any exception
will be considered, it must be clearly shown that the SIP would
be improved as a result of the partial approval.  As a minimum,
the following factors should be considered in determining
exceptions to the general policy:

     l.   Approval would not interfere with expeditious
          attainment (i.e., emissions from the source under
          consideration do not cause or contribute to the modeled
          violation).

     2.   There would be an environmental benefit (i.e., the SIP
          revision would result in an actual emissions decrease
          and ambient air quality improvement).

     3.   Enforcement of the SIP would be improved  (e.g., without
          approval there would be no federally enforceable
          measure for the source under consideration or
          ambiguities in the previous limit serve to frustrate
          enforcement efforts).

     Where it is found that an exception should be made based on
the above factors, we expect the proposed approval notice to
specifically identify the background source violations and
clearly state that the State retains an obligation to take action
expeditiously to correct the background violations.  The final
approval notice  for the source under consideration  should not oe
promulgated before the State acknowledges the background
violations and suomits an acceptable schedule for corrective
action.  The schedule would then be included  in the  final notice
as trie State's response to EPA's identification of  violations.  A
SIP call pursuant to section 110('a)(2)(H) should be  issued where
a State fails to acknowledge its obligation and submit  a schedule
for resolution of violations during the comment period.

Resources

     The resource burden associated with  assembling the necessary
data and modeling the background sources  has  been  extensively
discussed through the Model Clearinghouse  and annual modelers'
workshops.  I believe that the resource  burden  associated  with
modeling background  sources using  current  modeling  guidance  need
not be  as great  as  it potentially  appears.

     The Guideline  on Air  Quality  Models  (Guideline) states  that
the nearby  (background)  source  inventory should be  determined  in
consultation with  the local  air  pollution  control  age.ncy.
Soecificallv,  tne  Guideline  states that  "The  nunoer c:
 ' cackcrcur.c:  sources  rs  ex^ectec  to  re  sr.all  excect in ur.usua_

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situations."  In this and in other areas, the Guideline
necessarily provides flexibility and requires judgment to be
exercised by the reviewing agency.  The resource burden may be
mitigated somewhat by application of this judgement.

     In investigating whether more explicit guidance is needed,
my staff has coordinated with the Model Clearinghouse and the
modeling and SO, contacts in each Regional Office.  Given the
flexibility that is provided by existing guidance and the
tendency for more explicit policy to reduce this flexibility, no
further guidance was judged necessary.  The Regional Offices
generally have been able to .work with their States to collect
sufficient data to support the necessary modeling.  Consequently,
there was little support for the suggestion to revise the current
policy to more explicitly limit the number of sources that should
be modeled for downwash.

Conclusion

     I believe that an exception to the general policy regarding
processing of SIP revisions may be warranted where it is in the
best interests of air quality to approve certain SIP revisions
notwithstanding the existence of violations due to background
sources.  However, the affected State retains an obligation to
take corrective action in response to any properly conducted
analyses which demonstrate a violation.  This policy is
consistent with the Guideline and Model Clearinghouse actions.
My staff is available to assist in application of this policy on
a case-by-case oasis.

     If you would like to discuss these issues further, please
call me or have your staff contact Doug Grano at extension 5255.

cc:  R. Bauman
     R. Campbell
     P. Embrey (OGC)
     E. Ginsburg
        Grano
     J. Silvasi
     D. Stonefield
     J. Tikvart
     D. Wilson
     Air Division Directors, Regions I-X

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 "           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                   Office of AJr Quality Planning and Standards
                  Research Triangle Part;. Nortti Carolina 27711


                               OCT i o  1955
EEMORANDUH

SUBJECT:  Questions and Answers on Impleaenting  the
          Revised Stack Height Regulation

FROM:     S. T. Helms, Chleff' L U>*—-»•
          Control Programs Operations Branch  (MD-15)

TO:       Chief, A1r Branch,  Regions I-X

     A number of questions have arisen 1n several  areas of the revised
stack height regulation since Its promulgation on  July 8.   The following
answers have been developed 1n response.  The questions and answers are
arranged under the general topic headings of Interpretation of the regula-
tion, State Implementation plan (SIP) requirements,  and modeling analyses.
Please continue to call Sharon Relnders at 629-5526  1f you have further
Garments or additional questions.

Interpretation of the Regulation

1.  Q:  What criteria should be used to determine  when a stack was 'in
existence* witn respect to the various grandfatherlng dates 1n the
regul ation?

    A:  The recent promulgation of revisions to  the  stack height regulation
did not change the definition of  'in existence."  The definition is provided
in 40 CFR 51.1(gg) and includes either the commencement of continuous
construction on the stack or entering into a binding contract for  stack
construction, the cancellation of which would result 1n "substantial
loss" to the source owner or operator.  The definition of what constitutes
a  "substantial  loss*  will be the  subject of future guidance.

2.  Q:  What "source" definition  should be used in determining whether  tie-
ins to  grandfathered  stacks should  be permitted or prohibited?

    A:  The terns  "source" in this instance means  a single  emitting unit.
Thus, credit for  tying  a  single  post-1970 unit(s)  into  a  grandfatherec
stack serving  a  number of old  units  is  prohibited under the  regulation.

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                                  •2-
                                                   "
3.  Q:  What is meant in the regulation  by  "facility

    A:  For purposes of this regulation,  the definition  contained  in
40 CFR 51.301(d) should be used.   That definition essentially defines  the
term as the entire complex of emitting activities on  one property  or
contiguous properties controlled  by  a single owner or designee.

A.  Q:  Hust good engineering practice (GEP) stack height be established
separately for each pollutant?  If not,  how should 1t be determined?

    A:  It is not necessary to calculate a  separate SEP  stack height  for
each pollutant.  Since "SEP" 1s defined  by  Section 123 of the Clean A1 r
Act as the height necessary to ensure  against  excessive  concentrations of
any ai
source
excessive concentrations

£.  Q:  How should "reliance" on the 2.5H formula be  determined?
              .
  t as the height  necessary  to  ensure  against excessive concentration
any air pollutant,  it  follows that SEP should be established for each
  urce based on  the pollutant  "equlMng tne greatest height to avoid
    A:  First,  "reliance"  on  the  2.5H  formula applies only to stacks  1n
existence before January 12,  1979.   Credit  for  "relit/ice" on tht  2.5H
formula, can be  granted  under  the  following,  cases:   (a)  Where the  stack
was actually built to a height less  than  or equal  to 2.5H; (b)  Where  the
stack was built taller  than 2.5H  and the  emission  limitation reflects the
use of 2.SH 1n  the SIP  modeling analysis; or (c) Where  evidence 1s  provided
to show 'reliance" as discussed 1n the following paragraph.  If no  modeling
was used to set the emission  limitation for the source, then it cannot  be
argued that there was "reliance"  on  the formula, since  EPA's guidance was
specifically aimed at using stack height  crecit in establishing emission
limitations.  Once 1t is determined  that  the emission limitation  was  In
fact based on estimates of dispersion  from  the  stack, then the  source can
be said to have properly "relied" on the  2.5H formula.   In the  event  that
it cannot be determined tnat  the  emission limit is based on  "reliance"  on
the 2.5H formula, then  the refined  H «• 1.5L formula must be  used.

     Where a clear relationship between a 2.5H  stack height  and the
emission 1 irritation cannot be shown, where  the  emission limitation  was
not calculated based precisely on the  2.5H  height, or where  the stack
height used in modeling cannot bt verified, then additional  evidence will
be needed.  Preferred would be written documentation, such as  copies of
the original engineering calculations  or correspondence between the  State
or the «n1ss1on  source owner  and £?A indicating that the 2.5H  formula
should be used to derive the  emission  limitation.   However,  recognizing
that  such evidence is often not  retained for more than  a few years,
"reconstructed"  documentation aay be considered, but should  only be  used
as a  last resort.  This evidence should  include explanations by those
individuals who  were involved  in designing the facility, calculating
emission  rates,  and  wnc represented the  facility  in dealings with  the

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                                   -3-
State and EPA on  how the emission  limit  was derived, including a discussion
of how the formula was originally  used  in deriving the source emission
limitation, a discussion of the analytical method applied, and a listing
of any contacts or discussions  with  EPA  during that period.  This listing
will  aid EPA in searching its own  files  to find any records of communication
or correspondence that may bear on tfte  issue.

     In no case should a source be allowed after January 12, 1979, to
obtain a relaxation in the emission  limitation by arguing that it "relied"
on past EPA guidance endorsing  the 2.5H formula.  In cases where a relaxation
based on G£? formula height is  sought in the  future, the refined H + 1.5L
formula must be used.

6.  Q:  The preamble specifically  discusses cooling towers as structures to
wnich the formula should not be applied. Will the Office of Air Quality
Planning and Standards be specifying other structures that are not well
represented by the formula?

    A:  The discussion 1n the preamble and SEP guideline is not intended to
be all-inclusive; judgment should  be used in  determining when fluid
modeling should be used to estimate  the effects of structures with rounded,
domed, or tapered shapes.  Water towers and storage tanks are additional
examples of such structures.  As additional  information becomes available
on the aerodynamic effects of specific  building shapes  and configurations,
we will evaluate the need to revise  the GEP guidance.  'However, at present,
there are no plans to issue a "laundry list"  of structures to which  the
formulas do not apply.

SIP Rec-uirements

7.  Q:  Should a compliance averaging time  be explicitly  stated  in  a
SI? revision for sulfur dioxide (S02J emission  limits  that  are  revised to
fleet the stack height regulation?

    A:  A compliance  averaging time need not  be specified  as  an  enforceable
SI? provision  as long as a stack test compliance  method  is  in  place  in  the
underlying  federally  approv'ed SIP.  EPA's current national  policy requires
that SIP's  and permits  contain enforceable "short-term"  emission  limits
set to  Unit maxiraua  emissions to a level which ensures protection of the
short-tera  national  ancient  air quality standards (NAAQS)  and  prevention
of significant deterioration (PSD)  increments.  EPA relies  upon a snort-term
stack test  provision  in  the  SIP as  the method of determining  compliance
with  the  emission  limits.   In  lieu  of a stack test, EPA has accepted fuel
sansoling  and  analysis  and  continuous emission in-stack monitors (CEM's).
When  compliance  is  to  be determined  froo Information obtained by fuel
sampling  anc  analysis  and  CEM's,  short-term  averaging times should be
specified.

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                                   -4-


8.  Q:   Are all  States  -equired  to  have "stack height regulations"?

    A:   Limitations  on  creditable stack height and dispersion techniques
impact  the SIP program  in  two  areas—SIP emission limits for existing
sources and SIP provisions covering new source review {NSR)/PSD permitting
procedures.  For existing  sources,  State regulations limiting credit 'for
stack height and other  dispersion techniques (stack height  regulations)
are not necessary as long  as the SIP emission limits are not affected in
any manner by so much of the stack  height as exceeds GEP, or any other
dispersion technique.  Where a State has stack height regulations, those
regulations must be  consistent with EPA's regulation.  Where a SIP contains
regulations that are inconsistent with EPA's regulation, the State must
either  adopt a stack height regulation that is consistent with EPA's or
Incorporate the EPA  regulation by reference.

     For the NSR/PSD programs, H 1s essential that the  plan contain
limitations on the amount  of creditable stack height and other dispersion
techniques.  The following cases have been developed to  illustrate what
action(s) may be required  of the State since promulgation of the stack
height  regul ation.
CASE All):  A fully or partially  delegated  PSD  program that references  but
            dres not define GE? where  the delegation  agreement does  r^ot conta
            a date to define wnich version  of the  PSD rule is  being  aeie-cate<:
ACTION:     Notify the State that  all  permits  Issued  henceforth must be
            consistent with EPA's  stack helgnt regulation.   All pern-its
            previously issues must be  reviewed and  revised  as  necessary
            witrr, n 9 montns.
CASE A(2):  A fully or partially delegated PSD program that references
            but does not define GE? wnere the delegation agreement
            does contain a date to define which version of the PSD rule
            is oeing delegate^.

ACTION:     Update the delegation agreement to reflect agresnerrt with EPA's
            stacx height regulation as of July 8,  1985.  Notify the State
            that all permits Issued henceforth must be consistent with
            EPA's stacx height regulation.  All permits previously Issuer
            must be reviewed and revised as necessary within 9 months.

CASE B:     The current federally aooroved SIP for NSH/PSD does not
            contain a reference to GE? or dispersion techniques,  i.e.,
            provisions assuring that emission limitations will not be
            affected by stack height 1n  excess of GE? or any prohibited
            dispersion techniques do not exist in the current SIP.

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                                   -5-
ACTION:      Notify  the  State that such provisions must be adopted and
            submitted  as  a  SIP  revision within 9 montns.  This can be
            accomplished by adopting stack height regulations at the
            State level  or  by  adopting the appropriate reference and
            commitment  to comply with EPA's stack height regulation as
            promulgated on  July 8,  1985.  Interim permitting should be
            consistent  with EPA's stack height regulation."

CASE C:      The current federally approved SIP for NSR/PSD contains
            references  to,  but  does  not define, GEP or dispersion techniques.

ACTION:      Notify the  State that a connltnent to comply with EPA's stack
            height regulation  as promulgated on July 8, 1985, is required.
            If a State  1s unable to make  such a comnitsient, State regulations
            must be revised to be consistent and submitted to EPA as  a  SIP
            revision within 9  months and  Interim permitting should be
            consistent  with EPA's stack height regulation.  No "grace
            period" will  be allowed for sources receiving permits between
            July 1985  and April 1986.**

CASE D;     The current federally  approved SIP for NSR/PSD contains  stack.
            height regulations that are inconsistent with EPA's  regulation.

ACTION:      Notify the State  that  such  regulations must be  revised  to be
            consistent  end  submitted as  a SI? revision  within 9  months
            and that interim  permitting  should  be consistent  with  EPA's
            stack heignt regulation.*'

CASE E(l):  A SIP for NSR/PSD has  been  submitted  to  EPA,  or will be
            suomitted  to EPA before the  flue  date  for  stack  heignt  revisions
            The suomittal  contains  provisions that conflict with EPA's
            stacx heignt regulation.

ACTION:     Notify the State that EPA cannot approve the  subraittal  until
            it is revised  pursuant to EPA's  July  8,  1985, regulation.
 **In  tne  event that  a State does not have legal authority to comply with
   EPA's regulation in the Interim  (e.g., because it must enforce  State
   rules that  are  inconsistent with EPA's regulation) and is compelled tc
   issue a  permit  that coes not meet the requirements of the EPA revised
   stack heignt regulation, then EPA should notify the State that  such
   permits  do  not  constitute authority under the Clean A1 r Act to  comence
   construction.

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                                   -6-
CAS- E(2)
ACTION:
CASE F:
ACTION:
            As  in  Case £(1), a SIP for NSR/PSD has been submitted to EPA
            or  will be submitted to EPA before the due date for stack
            height revisions.  The submit!*! is not inconsistent with
            EPA's  stack height regulation, but portions of the existing
            approved  SIP that relate to the submittal are inconsistent.

            Approve the SIP submittal based on a commitment by the State
            to  correct the inconsistencies 1n its existing SIP to comport
            with EPA's July 8 regulation and submit the corrections as a
            SIP revision within 9 months.  Interim permitting should be
            consistent with EPA's stack height regulation." If the exist-
            ing SIP is ambiguous, i.e., the SIP references but does not
            define terms- relating to fi£P or dispersion techniques, the
            action steps outlined in Case C above should be followed.

            In  nonattainment areas, emission limits or permits do not  al
            include modeling, but rather are based on lowest achievable
            emission  rate  (LAER) and offsets.
            If
   no modeling is used in the issuance of a perait, the emission
requirements for the source are not 'affected"  by stack heigntr.
or dispersion techniques, and no action is needed.   However, if
modeling was used in the process of preparing and issuing a
perait, such as cases where offsets were obtained offsite, thai
modeling must be reviewed for consistency with  the  stack neignt
regul ation.
9.  0:   What must all
promulgated?
                      States do now that EPA's stack height regulation is
    A:  States must review and revise.their SIP's as necessary to include cr
revise provisions to limit stack height credits and dispersion techniques
to comport with the revised regulations, and, in addition, review anc
revise all scission limitations that are affected by stacx height crecit
aoove G£? or any other dispersion techniques.  In accordance with Section
406(d)(2) of the Clean Air Act, States have 9 months from promulgation to
submit the revised SIP's and revised SI? emission limitations to EPA.
                                                                      se
     In an August 7, 1S85, memo titled "Implementation of the ,--.,....-
Stacx Keignt Regulation-request for Inventory anq Action Plan to Revi
SIP's," Regional Offices were requested to begin working with each of
their States to develop States' Action Plans.  Each Action Plan snould
induce the following:  (1) An inventory of (a) all stacks greater than
65 meters (m), (b) stacks at sources which exceed 5,000 tons per year
total allowaole $03 emissions; and (2) A reasonable schedule of dates fc
significant State actions to conform both State stack height rules and
emission limitations to EPA's stack height regulation.  Schedules should
include increments of progress.  Regional Offices  should be  satisfies
that eacn of their States Crevice schedules for completion of tne tascs

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as outlined in the August memo and  report  the  status of schedule  commitments
to them on a monthly basis.  Regional  Offices  have been asked to  forward
monthly status reports to the Control  Programs  Development Division  on
the States' progress to meet scheduled commitments and also  report the
results of followup with the States on schedules that are not met.   In
order to facilitate tracking the States monthly progress, guidance on a
standardized format will be issued  shortly.

Modeling Analyses

10.  Q:  Is there any restriction or prohibition against, or demonstration
required for, raising an existing (or replacing) stack up to 65 ra?

     A:  No, as long as prohibited  dispersion  techniques  are not  employed.

11.  Q:  Are flares considered to be stacks?

     A:  No, flares are excluded from the regulation.

12.  Q:  What load should be used for a fluid  modeling demonstration?

     A:- One hundred percent load should generally  be  used  unless there
is a compelling argument otherwise..

13,  Q:  Can new or modified sources who have agreed to  a case-by-case
best available control technology (BACT) emission  rate be required to use
this rate  for fluid modeling rather than a less stringent new  source
performance standard  (NSPS)  emission pate?

     A:  As set forth in 40  CFR  51.1  (kk), the allowable emission rate  to
be used in making demonstrations under this part  shall be prescribed by
the  NSPS tnat is  applicable  to the  source category unless the  owner  or
coerator demonstrates that this  emission rate is.infeasible.

1-i.  Q:  Must tne  exceedance of  KAAQS  or PSD increment due  to  downwash,  wakes,
or edcies  occur at  a  location meeting  the definition of  ambient  air?

     A:   No,  the  exceedance  may  occur  at  any  location, including that  to
wnicn  tne  general  public does not  have access,

15.  Q:   Is  a source  that  meets  NSPS  or BACT  emission linits subject to
restrictions  on  plume merging?

     A:   Yes.   However,  in a majority of  such  cases, there  will  be  no  practica'
effect  since  BACT or  NSPS  limits will  be  sufficient to assure attainment
without creflit  for plume rise enhancement.

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                                   -8-


     0:  What stack  parameters  arc  to be  used  in modeling when  the  actual
staci height is  greater  than  G£P  height?

     A:  Where it is necessary  to reduce  stack height  credit below  wnat  is
existence, for modeling  purposes, use existing stack gas exit parameters--
temperature and  flow rate--and  existing stack  top diameter  and  model at
GEP height.

17.  0-  How should  a stack that  is less  than  G£P height be modeled wne.n
dispersion techniques are employed?

     A:  In order to establish  an appropriate  emission limitation wnere  a
source desires to construct less  than a GEP  stack but  use dispersion
techniques to make up the c  fftrence in plume  rise, two cases should be
tested.  First,  conduct  a modeling  analysis  Inputting  the GEP stack
height without enhanced  dispersion  parameters, then conduct a second
analysis inputting the less than  GEP stack height with the  increased
plurae rise.  The more stringent eoission  limitation resulting frota  each
of the two runs  should be the one specified  as the enforceable  limitation.
be exc
18.  Q:  How are the effects of prohibited  dispersion techniques
for moc"eling purposes?

     A:  Where prohibited dispersion technioues- have been used,  modeling  tc
exclude their effects on the emission limitation will be accomplishes  by
using  the temperature and flew rates as the gas stream enters the stack,  anc
recalculating stacx parameters to exclude the prohibited techniques
(e.g., calculate stack diameter without restrictions in place, determine
exit gas temperatures before the use of prohibited reheaters, etc.).

IS.  Q:  Hew are single flued merged stacks and multiflued stacks tc be
treatec in  a modeling analysis?

     A:  This is a rmjltistep process.  First, sources with allowable SC^
emissions below 5,000 tons/year may be modeled accounting 'or any plune"
merging that has seen employed.  For larger sources, multiflued stacks
are considered as  promcited dispersion techniques in the same way as
single  fluec merged gas stream unless one of the three allowable conditions
has seen met; i.e., (1) the source owner or operator demonstrates tnat
tne facility was originally designed and constructed with such mercec cas
streams;  (2) after date of  promulgation, demonstrate that such merging" -is
associated  with a  change in operation at the facility that Includes the
installation of pollution controls and results  in a  net  reduction  in  the
allowable missions of  the  pollutant for which credit 1s  sought; or  (3)
before date of promulgation, demonstrate that  such merging did  not  result
in any increase in the  allowable emissions  (or,  in the  event  that  nc
emission  1 irr.it exist&c,  actual  emission  level)  and was  associated  wtr, a
c.iance  1,1 operation  a:  :ne  facility  that induced the  install ai

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                                   -9-


emissions control  equipment Of was  carried  out  for  sound  economic  or
engineering reasons, as demonstrated  to  EPA.  Guidelines  on what constitutes
sound economic or engineering justification will be issued shortly.

     If plume merging from multiflued stacks  is  not allowable,  then each
flue/liner must be modeled as a separate source  and the combined impact
determined.  For single flued merged  stacks where credit  is not allowed,
each unit should be modeled as a separate stack  located at the  same
point.  The exit parameters, I.e. velocity  and  temperature, would  be  the
same as for the existing merged stack conditions and  the  volume flow  rate
based on an apportionment of the flow froo  the  Individual units.

20.  0>  What stack height for point  sources  should be  input  to air quality
dispersion modeling for the purpose of demonstrating  protection of the
NAAQS and PSO increments?

     A:  A discussion of the maximum  stack  height credit  to be  used in model i:
analyses is provided in the 'Guideline for  Determination  of Good  Engineering
Practice Stack Height' and provides that the  SEP stack  height should  be
used as Input to the model assessment.  If a  source is  operating with a
less than GEP stack height, then the  actual stack height  should be input
to the "model .

21.  Q:  What stack height should be  used for background  sources  in
         analyses?
     A:  The SE? -stack height for each background source should
be input to the model assessment.  If a background source is operating
with a less than GE? stack height, then the actual stack height should be
input to the model .

22.  Q:  Can credit  for plune merging due to installation of control
eaui praent for total  suspended partlculate (TS?) matter be allowed wnen
setting  the SC  1 imit?
      A:   To  state  the  question  another way, the concern is what  imoact
the merging  and  installation of control eaui pment have on the emission
limit for another  pollutant, and whether the merging occurred before or
after July  8,  1985.  After  July 3, 1985, any exclusion from the  definition
of "dispersion techniques"  applies only to the emission limitation  for
the  pollutant  affected  by such  change  in operation and 1s accompanied by
a  net reduction in allowable emissions of the pollutant.  For example,  a
source tears down  two  old stacks and builds one new GEP stack with  an
electrostatic  precipitator  (ESP).  This results in a net  reduction  in TSP
emissions.   This source could model  using stack gas characteristics
resulting from merging the  two  gas streams  in setting  the TS? emission
limit, but  may not so  model  and receive the credit for stack merging wnen
evaluating  the $02 emission limit.

-------
     Before July 8,  1985,  installation  of  TSP  pollution  control  equipment
generally justifies  the merging of the  stacks  for  TSP.   However,  if a
source's* emission limitation  for S02 increased  after  the merging,  then
credit would generally not be allowed since  it  is  presumed  that  the
merging was to increase dispersion.

     A source with no previous $03 emission  limit  that merges  stacks and
installs an ESP for TSP control may consider the effects of merging on
compliance with the TSP KAAQS but may not  use merging to justify setting
an S(>2 emission limit less stringent than  its  actual  emission  rate before
the merging.

22.  Q:  If, after determining G£P stack height by fluid modeling,
dispersion modeling under other than "downwash" meteorological  conditions
shows that a lower emission limit than  that  from the  fluid  model  6EP
analysis is necessary to meet ambient  air  quality  constraints,  should  a
new stack height be defined for the source?

     A:  No.  GcP stack height is set.   Ambient air quality prob!eras
predicted by dispersion modeling at the fluid  modeled height means that *
more stringent emission limit is necessary.

'24.  Q:  Does EPA intend to issue additional guidance on fluid modeling
demonstrations?

     A:  See the  attached memo  from Joseph A.  Tikvart,  Chief, Source
Receptor Analysis Brancn, to  David  Stonefield, Chief, Policy Development
Section, on guidance  for  a discussion  of  existing   and additional  guidance
on  fluic model demonstrations.
 Attachment

 cc:   Stack  Height  Contacts
      Ron  Camobell
      B. J.  Steigervald

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                       MAR  f, 1. 1989
MEMORANDUM

SUBJECT:  Application of Building Downwash in Prevention of
          Significant Deterioration (PSD) Permit Analyses

FROM:     John Calcagni, Director
          Air Quality Management Division (MD-15)

TO:       William B. Hathaway, Director
          Air, Pesticides, and Toxics Division (6T)
          Region VI

     Thank you for your memorandum of March 8, 1989 in which you
urge consideration of changes to EPA's current policy of applying
building downwash to background sources in PSD modeling.   Your
memorandum describes problems associated with the collection of
building dimension data necessary for downwash modeling, and you
suggest that EPA might issue rules and provide funding to collect
this building data.  Alternatively, you believe that downwash
modeling should not be required for any background sources.

     Members of my staff are currently analyzing several
approaches for handling background sources.  This will be the
subject of a future conference call with the Regional Offices.
In the  interim, some of our  concerns regarding this issue and
your specific suggestions are discussed below.

     The Guideline on Air Quality Models notes that background
concentrations are an essential part of the total air quality
concentration to be considered in determining source impacts and
therefore requires certain background sources to be fully
modeled.  The Guideline indicates that "... all sources
expected to cause a significant concentration gradient in the
vicinity of the source or sources under consideration for
emission limit(s) should be  explicitly modeled."  This guidance
provides considerable  flexibility and requires judgment to be
exercised by the reviewing agency in identifying which background
sources should be fully modeled.  The burden of collecting
building dimension data may  be mitigated somewhat by application
of this judgment.  We  are exploring the development of additional
guidance to better assist in this judgment.  However, I caution
that it may not be possible  to establish many objective "bright
line" tests that will  eliminate the need for Regional Office
judgment in individual cases.

-------
     I realize that information needed to model background
sources is frequently not contained in the State's existing
emission inventory.  In some cases the applicant will need the
reviewing agency to assist in collecting the data.  However, I am
not convinced that we must undertake a national effort to issue
regulations or to fund the States/Regional Offices to collect the
data.  It is important to note that the PSD rules place this
burden primarily on the proposed source, not the regulatory
agencies.

     Your memorandum suggests that the PSD analyses could ignore
building downwash effects.  I do not believe that the PSD rules
and the Guideline allow this alternative.  Further, since it is
not unusual to find a national ambient air quality standards
(NAAQS) violation caused by downwash, the PSD analysis must
carefully consider that possibility.  If a proposed source
contributes to a NAAQS violation caused by downwash from a
background source, the permit cannot be issued.  On the other
hand, not every source potentially subject to downwash must be
evaluated.  Therefore, we are pursuing alternatives to better
define the range within which detailed modeling should be
required.

     In summary, please be assured that we are sensitive to the
issues raised in your memorandum and that we will coordinate with
Region VI in this effort.  If you have any questions, please
contact me or have your staff contact Doug Grano at 629-5255.

cc:  R. Bauraan
     D. deRoeck
     E. Ginsburg
     D. Grano
     W. Laxton
     E. Lillis
     J. Tikvart
     D. Wilson
     J. Yarbrough

AQMD:SDPMPB:DGrano:PFinch:RTP(MD-15):629-5255:3-29-89
DataTech/DOWNWASH.R6
Control Number AQMD-023       Due Date:  3-29-89

Response coordinated with New Source Review Section and Source
Receptor Analysis Branch.

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REFERENCES FOR SECTION 6.6

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             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                   Office of Air Quality Planning and Standards
                  Research Triangle Park, Nortfi Carolina 27711


                           June 24, 1992
MEMORANDUM
SUBJECT:   Questions and Answers (Q's & A's) for Le
FROM:      Joseph W. Paisie, Acting chief
           SO_/Particulata Hatter Programs

TO:        Olief, Air Branch
           Regions I-X
     Attached, you will find the first set of Q's i A's for lead
Implementation plans.  The responses, which were developed w^th
the  lead contacts, have been reviewed both in this cffica~and"the
office of General Counsel.  As more questions arise, we will be"
following this set with other seta of lead Q's & A'S.

     The Q's « A's serve as a. supplement to the staff wcr;c
product for Isad which has been incorporated into the General
Preamble for Title I of the 1990 Clean Air Act Amendments (CAAA1
[see 57 PR 12498 and 18070, April 16 and 28, 1992, respectivelvl
In any instance whers there aay appear to be a discrepancy
between the Q's & A's and the General Preamble, the General
Preamble remains the aors authoritative policy, and the Q&A's
should be read in ways that support that document.

     The SOa/Particulate Matter Programs Branch will be prcducina
a general Q's 5 A's notebook with responses to ouesticns      " "
concerning implementation of the CAAA~  The aoal is to have a
resource that is specific enough to address individual cancels
but  universal enough to be informative for all of the people'wrc
will be implementing the CAAA.  If you have any svicgesticns
regarding this procass, please contact Gven Jacobs'at (919)
541-5295.  Questions aay be faxed to Gwen at  (91^) 541-5439 or
mailed to OAQPS (Mail Drop 15).  Thank you for your suncor^ of
this project.                                        .
Attachment
                                       QENEHAL SSRVICS AlSScipATiCN

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                      QUESTIONS AMD ANSWERS

                               FOR

                              L2AD
     The EPA'a responses to questions regarding iarolementation of
the lead national ambient air quality standards (NAAQS) under the
Clean Air Act as amended Hoyeaber IS, 1990 (Pub. L. Ho. 101-549,
104 stat. 2399) (CAA) are discussed in this document.  See
generally 42 U.S.C. §5 7401 e£ ssa-  The answers set forth here
do not establish or affect legal rights or oblicaticns.  They do
not establish a binding nora and are not finally determinative of
the issues addressed.  Agency decisions in anv Particular case
will be aade by applying the'applicable law and* regulations tc
the specific facts of that case.  la any proceedinc in which tae
policies described in this document aay be applied"(e^g.,    *~
rulemaking actions on laad SIP's), the"Agency will thcroucrhlv
consider the policy's applicability to the facts, the underIvinc
validity of the policy, and whether changes should be aade in the
policy based on submissions made by any person.                ~*
                           Developed, by
                  SO/Particulare Programs Branch
           Office of Air Quality  Planning and  Standards
                             June 1992

-------
                          Lead Q's &  A's

     Rote:  with respect to the following Q's & A's, the Clean
     Air Act Amendments of 1990 included a General Savings Clause
     which provides that regulations (or guidance, etc.) in
     effect before enactment of tbe Amendments shall remain in
     effect after enactment (see section 193 of tbe amended Act}.
     However, the Savings Clause also provides that such
     regulations (or guidance, etc,} shaJI remain in effect
     "except to the extent otherwise provided under this Act,
     inconsistent with the provision of this Act, or revised by
     the Administrator.*  Unless otherwise indicated, the
     regulations (or guidance, etc.) cited below remain in effect
     consistent with section 193 of the clean Air Act.

Q:   1.   Is it necessary to calculate a design value for lead
          SIP'S?  The July 1983 document entitled "Draft Updated
          Information on Approval and Promulgation of Lead
          Implementation Plans" indicates that determination of
          the design value for lead SIP's is only required when
          the demonstration is based on a "rollback" "model and is
          not applicable if air dispersion modeling is used to
          demonstrate attainment.

A:   Forty CFR Part 51.117(c)(2) requires that lead SIP's employ
     dispersion modeling for demonstrating attainment in areas in
     the vicinity of the lead point sources listed in 40 CFR
     51.117(a). /Determination of the design value is inherent in
     the application of dispersion modeling to demonstrate
     attainment.  Procedures for calculating the design value
     with dispersion models are contained in the Guideline of Air
     Quality Models f^gvisedl  fGAQMl (Section 8.2.1.1, Design
     Concentrations for SO,,  Particulate  Matter,  Lead,  and HO,) /

Q:   2.   Bow is the design value to be calculated—through
          modeling or ambient monitoring?

A:   Again, see section 8.2.1.1 of the GAQM which describes how
     to determine the design concentration (design value) for a
     lead, air quality analysis.  An air quality analysis is
     necsssary to determine if the source will cause a violation
     of the NAAQS [and, it follows, to determine whether
     attainment is demonstrated in the area.  See section
     132(a)].  Note that Table 9.1 of the GAQH describes the
     model emissions input data needed to model point sources.
     In such an analysis, the  background concentration is added
     to the estimated impact of the source, as determined by
     dispersion modeling, to get the design concentration.  For
     lead, the highest estimated design concentration based on an
     individual calendar quarter averaging period should be used.
     The modeled design concentration is then used as a starting
     point to determine emission limits needed to attain the
     standards and to be included  in the demonstration.

-------
     Theoretically, if the measured air quality values are higher
     than modeled values at the sane receptors, and the Agency is
     certain that the modeling was done correctly (i.e.,
     appropriate model, proper inputs), measured data should be
     used to deteraine baseline air quality.  That is, the model
     estimates for the design value should not be used if the
     monitored data indicate an ambient problem that will not be
     corrected by a SIP based solely on modeling.  However, the
     State should consult with EPA before making this decision.

Q:   3.   What emission inventories are necessary for the
          upcoming lead nonattainment area SIP's?  Besides the
          base year emission inventory (which is based upon
          actual emissions), are other inventories necessary?
          what are they to be based upon (allowable emissions
          before or after control, include growth, etc.)?

A.   For lead SIP'sf two types of emission inventories should be
     submitted—a base year inventory and modeling inventories.
     The SIP base year inventory must be based on actual
     emissions [see sections I10(p) and 172(c)(3) of the Act].
     The timefraae of the base year inventory, generally, should
     be representative cf the period of record on which the
     decision to designate  an area as nonattainment [pursuant to
     sections 107(d)(3) or  (d){5)] or call for a SI? revision
     [pursuant to section H0()c)(5)] was based.  The modeling
     inventories must be based on allowable rather than actual
     emissions [see section 110(a)(2)(X)' of the Act].  The
     primary role of the modeling inventories will be for use  Ln
     the design value calculation and the attainment
     demonstration.  An attainment demonstration which provides a
     projection of allowable emissions to the year following full
     implementation of the  SIP is required-  This is necessary to
     ensure that the attainment  demonstration  is based on
     enforceable enission limits and control measures  [see
     section 110(a)(2)(A) and  l/2(c)(6} of  the Act],

     Regions and States should refer to Table  9-1 of the  GAQM  tc
     deteraine model emission  input data  requirements.  This
     table specifies under  emission  limit:  maximum allowable  or
     federally enforceable  permit lisiit;  under operating  level:
     actual or design  capacity (whichever is greater),  or
      federally enforcsable  permit condition; and under operating
      factor:  actual operating factor  averaged over most,  recent 2
     years.  The  impact, of  growth, on emissions should also be
      considered  in all modeling  analyses  covering existing
      sources.

      For further  emission  inventory guidance beyond  the above
      discussion,  the Regions and States should refer to the lead
      emission  inventory document which is expected to be issued
      July 1992  in draft form.

-------
Q:   4.   What type of dispersion modeling demonstrations are
          necessary for the upcoming lead nonattainment area
          SIF's?  We understand thai: a base year modeling
          demonstration, using the base year emission inventory,
          is used to compare model predictions to  actual, base
          year ambient data for the purpose of node! validation.
          What should be done next?  Should the States then rerun
          the base year model after applying controls [e-g-,
          reasonably available control measures (RAQi) which
          include reasonably available control technology (5ACT)J
          to adjust the base year inventory, to determine the
          level of control needed before grcwtfi is accounted for?
          Then should the States account for growth occurring up
          to the attainment year, by rerunning the awdel using  a
          post-control, post-growth emission inventory?  If the
          NAAQS are exceeded in this last scenario, should the
          model then be rerun with additional control strategies
          until the SAAQS are no  longer exceeded?

A:   Base year modeling should be run using the emission
     inventories discussed above, i-e., base year  (actual)  and
     modeling  (allowable for determining design concentration).
     The model  (using the modeling  inventory)  should be rerun
     with reduced  emissions, for  example, assuming the
     iapleaent.at.ion of RACT  (including RACT),  until attainment  is
     demonstrated.

     The -aodel  should be rerun  again with tiie  controlled  emission
      inventory (modeling  inventory with,  for example,  RACM and
     RACT)  and  any emission  increases  expected to  occur  as  a
     result of  growth.   If  attainment is  reached,  no further
     modeling is  needed.   However,  if attainment is HOT:
      demonstrated -with tbis  model run (e.g.,  considering growth),
      more  emissions  reductions  should be  achieved and the model
      rerun again  until attainment is demonstrated.

      For SIP's submitted in response to nonattainment
      designations, determining the necessary control measures
      should be consistent with EPA's interpretation of RACM
      (including RACT).   Far further information see the "General
      Preamble," 57 FR 13540-44, 13550,  and 1356O-61, Anril 16,
      1992,  which discusses the determination of RACM/RACT for
      lead and PM-1O.

      Finally, nota that background concentrations  must be added
      to the modeled results as discussed in the GAQH-.

 Q:   5.   What level constitutes an adequate attainment
           demonstration?  For example, for one complete modeled
           attainment. year, must no quarter exceed 1.5 ^g/m3 of
           lead?  What if one quarter shows a projected value of
           exactly 1.5 fig/™3  or  1.45

-------
The attainment demonstration must show that the lead
standard of 1.5 Mg/m3 maximum arithmetic mean averaged over
a calendar quarter will not be exceeded (see 40 CFR 50.12).
Modeled results should not be rounded off.  Therefore, if
the modeled result is 1.51 pg/m*' the standard is exceeded.
Conversely, if the result is 1.49 1*9/3?, the standard is net
exceeded.  It is extremely unlikely that a node! will give a
result of exactly 1-50 pg/ar1 but, if that did happen,  it
would equal/ not exceed, the standard so the source would be
in attainment.

-------
REFERENCES FOR SECTION 6.1

-------
                              EPA-450/2-78-027R
Guideline On Air Quality Models
               (Revised)
         U.S. ENVIRONMENTAL PROTECTION AGENCY
               Office of Air and Radiation
          Office of Air Quality Planning and Standards
             Research Triangle Park, NC 27711

          "         July 1986

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^i%\        UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
        j              Office of Air Quality Planning and Standards
                      Research Triangle Park, North Carolina 27711


                              February 15,  1989
      MEMORANDUM

      SUBJECT:   Modeling Requirements for  Pennsylvania Power and Light
                (PP&L), Martins Creek, Pennsylvania
      FROM:      Robert D. Bauman, Chief
                S0,/Particulate Matter  Programs  Branch (MD-15)

      TO:        Joseph Tikvart,  Chief
                Source Receptor Analysis Branch (MD-14)

           This is in response to a memorandum dated January 4, 1989 from
      Al Cimorelli,  Region 3, to  Dean Wilson of  your branch.  Since this
      appears to be more of a policy than a technical issue, my branch
      agreed to prepare a response.

           Region 3  is asking if EPA policy would allow PP&L's modeling
      analysis  to address only  the designated nonattainment  area in
      Warren  County,  New  Jersey.   If  so,  it might  be  possible to
      reclassify  the   Warren County  area  to  attainment  without  an
      evaluation of  PP&L's impact outside the Warren County  nonattainment
      area.   Additionally, the Region  has asked if a redesignation for
      Warren County could proceed  independent  of  any  revision to the
      Pennsylvania SIP, in the event the modeling analysis shows Warren
      County  to  be  attainment  but  shows  a  modeled   violation  in
      Pennsylvania.

           The Guideline on Air Quality Models  (Revised)  (Guideline^ on
      page 1-3 states that the current guidance should be followed in all
      air  quality analyses relative to  State implementation plans and in
      analyses required by EPA, State and local agency air programs.  This
      policy is consistent with  stack  height implementation policy and
      general guidance  found in  a January 2, 1985  memorandum from  SRAB
      to  the  regional  modeling  contacts.   Guidance  contained in the
      Guideline  recommends  on  page  9-8  that "all  sources  expected to
      cause a significant concentration gradient in the vicinity of the
      source or sources under consideration for  emission limit(s) should
      be explicitly modeled."   On  page  8-4,  the  Guideline  states  that
      "Receptor  sites  for  refined  modeling  should  be  utilized in
      sufficient  derail  to  estimate  the  highest  concentrations and
      oossible violations of a NAAQS or a  PSD increment."

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     I believe that application  of  guidance noted above does not
allow a  partial modeling  analysis.   If  a modeling  analysis is
required for any reason, that analysis must meet the requirements
of the Guideline.

     Redesignation policy is generally contained in the April 21,
1983 memorandum from Sheldon Meyers  to the Regional Air Directors.
That  policy  includes   requirements   for   a  modeling  analysis
demonstrating attainment and evidence of   implementation  of the
approved SIP.   As noted by Region  3, PP&L's analysis  may show
violations at  locations outside of the  designated nonattainment
area, while  demonstrating  an  absence  of  violations  within the
nonattainment area.   In such an event/  the existing  SIP  may be
judged adequate to demonstrate attainment in Warren County and an
action to redesignate the area to attainment could proceed before
the State completes the  necessary effort to  resolve the violations
outside the nonattainment area.   While separate rulemaking actions
are  possible,   it  may   be  morn efficient' to  consolidate  the
redesignation and SIP revision actions whenever possible.

     I trust  that this  memorandum is responsive to  Region 3's
concerns.  If you need any  additional  information, please call me.

cc:  A.  Cioorelli, Region 3
    vJfrf" Ginsburg, OAQPS/AQMD
     D.  Grano,  OAQPS/AQMD
     S.  Sambol, Region 2
     D.  Wilson, OAQPS/TSD

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REFERENCES FOR SECTION 6.8

-------
                              EPA-450/2-78-027R
Guideline On Air Quality Models
               (Revised)
         U.S. ENVIRONMENTAL PROTECTION AGENCY
               Office of Air and Radiation
          Office of Air Quality Planning and Standards
             Research Triangle Park. NC 27711

                   July 1986

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REFERENCES FOR SECTION 7.1

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278S2        Federal Register /  Vol. 50.  No. 130  /  Monday.  July  8. 1985 / Rules  and  Regulations
ENVIRONMENTAL PROTECTION
AGENCY

40CFRPart51

IAO-FBL-2847-ei

Stack Height Regulation

ACCNCY: Er.\ .ro.-.men: .! Protccion
Aacr.c} (EPA).
ACTION: Find! ruiemaking

SUMMARY: Section 123 sf the Clean Air
Art. as amended. requires EPA to
prcr.v.iaate regddtions to ensure that
'•r.e cegrse of emission limitation
reared for me control of any air
poliu'.ant under an applicable Sia'.e
:rr.olemen:.ition plan (SIP) is not
affected by that portion of any suck
hugh; wh;ch  exceeds good engineering
practice (GEP', or by any other
dispersion technique. A regulation
implementing section 123 was
prorr.Mig-itcu or. February a. 19S2. at 4"
FR 5864. Revisions to the regulation
v\ere proposed on November 9. 1984, at
49 FR 44878. Today's action incorporates
changes to the proposal and adopts thi*
regulation in  final form.
EFFCCTtvc OATt This regulation
becomes effective on August 7. 1985.
FOR FURTMIR INFORMATION CONTACT:
Eric O. Gmsburg. MD-15. Office of Air
Quality Planning and Standards. EPA.
Research Triangle Park.  North Carolina
2'711. Telephone (919) 541-5540.
SUWJMIWTAHY INFORMATION:

Docket Statement
   Pertinent information concerning thu
regulation is included in Docket Number
A-83— 49  The docket is open for public
inspection between the hours of 8.-00
a.m. and 4.00 p.m.. Monday through
Fnday. at the EPA Cential Docket
Section. West Tower Lobby. Gallery
One. 401 M Street. SW..  \\ashmgton.
D C Background documents normally
a-, atlable tc the public, such as Federal
Register nonces and Congressional
reports, are not included in the docket.
A reasor^t:!? fee rna> be charged for
copvir.g c

Background
   Section 123. which was added to the
 Clean Air Act by the 1977 Amendments.
 regulates the manner in which
 techniques for disperson of pollutants
 from a source may be considered in
 setting emission limitations. Specifically.
 section 123 requires that the degree of
 emission limitation shall not be affected
 by thai  portion of a stack wjjich exceeds
 GEP or  by "any other dispersion
technique." It defines CEP. with respect
to stack heights at:
the height necessary to insure that emissions
from ihe suck do not result in excessive
concentrations of any air pollutant in the
immediate vicinity of (he lource is I renult of
atmospheric downwash eddies or wakes
which may be created by the source itself.
nearby structures or nearby terrain obstacles
.  . . (Section 123|cj|
Section 123 further provides that CEP
stack height shall not exceed two and
one-halt times the height of the source
(2.5H) unless  a demonstration is
performed showing that a higher stack is
needed to avoid "excessive
concentrations." As the legislative
history of section 123 makes clear, this
reference to a two and one-half times
test reflects the established practice of
using a formula for determining the CEP
stack height needed to avoid excessive
downwash. Finally, section 123 provides
that the Administrator shall regulate
only stack height credits—that is. the
portion of the stack height used in
calculating an emission limitation—
rather than actual stack heights.
  With respect to "other dispersion
techniques" for which emission
limitation credit is restricted, the statute
is less specific. It states only that the
term shall include intermittent and
supplemental control systems (ICS.
SCS). but otherwise leaves the definition
of that term to the discretion of the
Administrator.
  Thus the statute delegates to the
Administrator the responsibility for
defining key phrases, including
"excewive concentrations" and
"nearby." with respect to both
structures and terrain obstacles, and
"other dispersion techniques." The
Administrator must also define the
requirements of an adequate
demonstration justifying stack height
credits in excess of the 2.5H formula.

Rulemaking and Litigation
   On February 8.1982 (47 FR 58641. EPA
promulgated final regulations limiting
stack height credits and other dispersion
techniques. Information concerning the
development of the regulation was
included in Docket Number A-79-01 and
is available for inspection at the EPA
Central Docket Section. This regulation
was challenged in the U.S. Court of
Appeals for the D.C. Circuit by the
Sierra Club Legal Defense Fund. Inc. the
Natural Resources Defence Council Inc.:
and the Commonwealth of Pennsylvania
in Sierra Club v. EPA. 719 F. 2d 436. On
October 11.1983. the court issued its
 decision ordering  EPA to reconsider
pcmon* of the slack height regulaoon.
 reversing certain oonions and upholding
 other portions Further discussion of the
court decision is provided later in th:s
notice.

Administrative Proceedings Sufcsccur•••
to the Court Decision

  On December 19.19S3. EPA held a
public meeting to take comments to
assist the Ag*nry m implementing in?
mandate of the court. This meciir.c was
announced in the Federal Register cr,
December 8.1983. at 48 FK 54999
Comments r»ce-ved by EPA are
included in Docret Nurr.:.*- A-83—;= O.
Februar. 2B. 1984. the e.er.r c po*er
industry filed a petition fj: a x-.n: of
cert'orar. with the L'.S S-prerr.* Coi.:1
While the petition was per. .':r.g before
the court, the mandate fro-  tne L'.S
Court of Appeals was stavtu. On jtm 2
1964. the Supreme Cour cer.ied t.-.c
petition (104 S.Ct. 3571). and  on Jui> IP.
1964. the Court of Appeals' mane*:;
was formally issued, implementing me
court's decision and requinng EPA 10
promulgate revisions to the stack heigr.t
regulations within € months. The
promulgation deadline was ultimate^
extended to June 27.1983. in order to
provide additional opportunities for
public comment to allow EPA to hold a
public heanng on January 8.1985. and to
provide additional time for EPA to
complete its analysis of ruiemakmg
alternatives.

Documents

   In conjunction with the 1982
regulation and this revision.  EPA
developed several technical  and
guidance documents. These served as
background information for the
regulation, and are included in Dockets
A-79-01 and A-83-49. The following
documents have been or will be placed
in the National Technical Information
Service (NT1S) system and may be
obtained by contacting NTIS at 5285
 Port Royal Road. Springfield. Virginia
22161.
   (1) "Guideline for Use of Fluid
 Modeling to Determine Good
 Engineering Stack Height." JuK 198'.
 EPA. Office of Air Quality Plannir.i and
 Standards. EPA-450/4-81-003 (NTIS
 PB82 145327).
   (2) "Guideline for Fluid Modehr.i of
 Atmospheric Diffusion." April 1981.
 EPA. Environmental Sciences Reseircr.
 Laboratory. EPA-600/8-01-009 |N~ Is
 PB81 2014:0).
   (3) "Guidance fc: Detemv.natior. of
 Good Engineering Practice Stack Heis.-.t
 (Technical Support Document for '.he
 Stack Height Regulation}." ).ne 1965
 EPA. Office of Air Qualitv  P'.annmg sr.d
 Standards. EPA-t50'4-8&-C23R.
   (4) ••Determination of Gocfl
 Engineering Practice Stack Heignt—A

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             Federal Register /  Vol.  50. No. 130 / Monday, fuly 6. 1985  /  Rules and Regulations        2?893
Fluid Model Demonstration Study for a
Power Plant." Apnl 1983. EPA.
Environmental Sciences Research
Laboratory. EPA-600/3-83-024 (NTIS
PB83 207407).
  (5) "Fluid Modeling Demonstration of
Good-Engineering-Practice Stack Height
m Complex Terrain." April 1985. EPA
Atmospheric Sciences Research
Laboratory. EPA/600/3-85/022 (NTIS
PB85 203107).
  In addition, the following documents
are available in Docket A-83-49.
  "Economic Impact Assessment for
Revisions to the EPA Stack Height
Regulation." June 1985.
  "Effect of Terrain-Induced Down wash
on Determination of Good-Enginering-
Prmctice Stack Height" July 19M.
Program Ovtrvitw

General
  The problem of air pollution can be
approached in either of two ways:
through reliance on a technology-based
program that mandates specific control
requirements (either control equipment
or control efficiencies) irrespective of
ambient pollutant concentrations, or
through an air quality based system that
relies on ambient air quality levels to
determine the allowable rates of
emissions. The .Clean Air Act
incorporates both approaches, but the
SIP program under section 110 UMS an
air quality-based approach to establish
emission limitations for source*.
Implicitly, this approach acknowledges
 and is based on the normal dispersion of
 pollutants from their points of origin into
 the atmosphere prior to measurement!
 of ambient concentrations at ground
 level.
   There are two general methods for
 preventing violations  of the national
 ambient air quality standards (NAAQS]
 and prevention of significant
 detenoration (PSD) increment!.
 Continuous emission  controls reduce on
 a continuous basis the quantity, rate, or
 concentration] of pollutants released
 into the atmosphere from a source. In
 contrast, dispersion technique* rely on
 the dispersive effects of the atmosphere
 to carry pollutant emissions away from
 the source in order to prevent high .
 concentrations of pollutants near the
 source. Section 123 of the Clean Air Act
 limits the use of dispersion techniques
 b> oollution sources to meet the NAAQS
 or PSD increments.
   Tall stacks, manipulation of exhaust
 gas parameters, and varying the rate of
 emissions ba»»d on atmospheric
  conditions (1CS and SCS) are the basic
  types of dispersion techniques. Tall
  stacks enhance dispersion by releasing
  pollutants into the air at elevations high
above ground level, thereby providing
greater mixing of pollutants into the
atmosphere. The result is to dilute the
pollutant levels and reduce the
concentrations of the pollutant at ground
level, without reducing the total amount
of pollution released. Manipulation of
exhaust gas parameters increases the
plume rise from the source to achieve
similar results. ICS and SCS vary a
source's rate of emissions to take
advantage of meteorelogic conditions.
When conditions favor rapid dispersion.
the source emita pollutants at higher
rates, and when conditions are advene.
emission rates are reduced Use of
dispersion techniques in lieu of constant
emission controls results in  additional
atmospheric loadings of pollutants and
can increase the possibility that
pollution will travel long distances
before reaching the ground.
  Although overreliance on dispersion
techniques may produce advene effects.
some us of the dispersive properties of
the atmosphere has long been an
important factor in air pollution control.
For example, some stack height is
needed to prevent excessive pollutant
concentrations near a source. When
wind meeu an obstacle such as a hill or
a building, a turbulent region of
downwash. wakes, and eddies is
created downwind of the obstacle as the
wind passes over and around it This
can force a plume rapidly to the ground.
resulting in excessive concentrations of
pollutants near the source. As discussed
previously, section 123  recognizes the**
phenomena and responds by allowing
calculation of emission limitations with
explicit consideration of that portion of
a source's stack that is needed to ensure
that excessive concentrations due to
downwash will not be created near the
 source. This height is called CEP stack
height
 Summary of th« Court Decision
   Petitions for review of EPA's 1982
 regulation were filed in the D.C Circuit
 within  the statutory time penod
 following promulgation of the regulation.
 On October 11.1983. the court luued its
 decision ordering EPA to reconsider
 portions of the stack height regulation.
 reversing certain portions and upholding
 others. The following is a summary of
  the court decision.
    The  EPA's 1982 rule provided three
  ways to determine CEP stack height
  One way was to calculate the height by
  using a formula based on the
  dimension* of,nearby  structure*. The
  other two were a de minimi* height of 85
  meters, and the height determined by a
  fluid modeling demonstration or field
  study. The court endorsed the formula
  as a »tartmg point to determine CEP
 height. However, it held that EPA has
 not demonstrated that the formuia wa;
 an accurate predictor of the stack heig
 needed to avoid "excessive
 concentrations of pollutants due to
 downwash. Accordingly, the coun
 directed EPA to re-examine in three
 ways the conditions under which
 exceptions to the general rule of formuia
 reliance could be justified.
   First the 1982 rule allowed a source to
 justify raising its stack above formula
 height by showing a 40-percent increase
 in concentrations due to downwash.
 wakes, or eddies, on the ground that tr.-.s
 was the percentage increase that the
 formula avoided. The court found this
 justification insufficient and remanded
 the definition to EPA with instructions
> to make it directly responsive to health
 and welfare considerations.
   Similarly, the 1982 rule allowed a
 source that built a stack to lea* than
 formula height to raise it to formula
 height automatically. Once again, the
 court required more justification that
 such a step was needed to avoid
 advene health or welfare effect).
   Finally, the court directed EPA either
 to allow the authorities administering
 the stack height regulations to require
 modeling by sources in other cases as a
 check on possible error in the formula
 or explain why the accuracy of the
 formula made such a step unnecessar>
   The 1982 rule provided two formulae
 to calculate CEP suck height For
 source* constructed on or before
 January 12.1979. the date of initial
 propoeeJ of the suck height regulations.
 the applicable formuia was 2.5 times the
 height of the source or other nearby
 structure. For tourcri conitructed after
 that data, the rde specified a newer.
 refined formula, the height of the source
 or other nearby structure plus 1.5 times
 the height or width of that structure.
 whichever is it** (H+1.5L). The EPA
 based its decision-to include rwo
 formulae on the unfatme** of applying
 the new formula retroactively. In its
 examination of this is»ue. the court
  specified four factors that influence
  whether an agency ha* a  duty to apply a
  rule retroactively. They are:
   V Whether the new rule reprwmi «n
  abrupt d*p«rtur» from well eiiablianec
  practice of merely attempt! to fill a void m or.
  uflMtthd ana of law.
    2. The extent to which the parry aga-nst
  whom the new rule la applied relied or. :r.e
  former nil*.
    J.Thed«tT»« of burden which a r«'.reac:^t
  order impoa«j on a parry, and
    4. The itarutory iniereit in applying « "*~ ^
   rule dnpit* the nliance of a party or. -.-.e s-e.
   KandiixL

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 27M4       F«d«tal ReysjUt  /  Vol SO. No. 130 /  Monday, friy a. 1965 /  Rries and Refuiatkuu
 "19 Fid at 467 (citations omitted).
 Applying this analysis to the two
 formulae; the couit upheld EPA's baaic
 decision.
   However, the court also held that
 sources constructed on or be/ore
 January 1Z. 1979. should not be
 automatically entitled to full credit
 calculated under the 2.5K formula  unless
 they could demonstrate reliance on that
 formula. The court remanded this
 provision for revision to take actual
 reliance on the 2.5H formula into
 account
   The statmtr limit* slack hetgbt credit
 to that needed to eveid excemive
 concentration* doe to downweeh csmeed
 by "neerby" «u octet* or terrain
 feature*. The 19*2 regulation defined
 "nearby"  far GO» formula eppKeatfoM
 as five tinw the leoeer of either fee
 height or projected width of the
 structure 0*003 dowowtak. not to
 exceed oon  half cite. No suck distance
 limitation was placed oa stmclurea or
 (errata fea touts whose effect! wen
 being considered in Quid "T^rifj
 demonstrations or field studio*. Taa
 court held that section 123 explicitly
 applies tha "nearby" limitation to
 demonstrations and studies aa well aa
 formula applications, and remanded tha
 rule to EPA to apply the limitation in
 both contexts.
   The 1982 rule defined "dispersion
 techniques" ae those techniques which
 attempt to effect pollutant
 concentratroRi by using taaf ym ifuii of a
 stack exceeding GEP. by veryutf
 emission retee according to atmmptejh.
 conditione or-pollutant eoncenmtione.
 or by the eddlttoa of e fen or rerwefer t»
 obtain e less suingenl eau'seioB
• limitation. The court found Ait
 definition too narrow becaoee any
 techn^ve "sigwficaittly nefiveteii ky aa
 intent to gain emissions credit for
 greater dispersion"  ihooJd be berred
 719 F.2d 462. As a result, (he cotrt
 directed EPA to develop ruts*
 disallowing credit for all SMS dispersion
 techniques unless the Agency
 aaequaterjr uncfted excapetesM oa the
 basts of administrative net.ttmlp at a 6»
 m-.nimu result
   The CEP formulae established in the
 1982 rule do not consider PHBBM n».«B
 the ground that plume nse is not
 significant under downwash conditions.
 In its review of this, provision, the  court
 affirmed this Judgment by EPA.
   The 1962 rule addressed pollutant
 concentrations estimated to occur whan.
 a plume impacts elevated terrain by
 allowing credit {or suck hcighl
 necessary to avoid, ait quality violations
 in such cases. How ever, the court ruled
 thai section 123 did not allow EPA to
 grant credit for plume imptcnon ia
setting cBiaaioa limits, and reversed this
part of the regulation.
  Tte preamble to the 1982 regulation
provided a 22 sooth proceea. fa State
inplaaentation of the refularfua Tne-
court found this period to b* contrary to
section 406(dK2} of tha Ckaa Air Ad
andrerenediL
  The regulation, fouowiaf the sUtute.
excluded stack* "in exittanee" OA or
before Decanbet 31. U?a frcm the CEP
requireaenu. Howevee. the ngKlebo*
did not prohibit source* caajtruaed
after Deceaber 41. lam CTOSB tecaiviag
credit foe tying into pre-1991 sucka.
Although, the court upheld EPA's
defioitioD of "la existence," U aotoo tbol
EP A had lailed to eddnea
issee. Accordingly, the
this issue to EPA far jwUificatiea.
  One other erovkioa of the rejuUrsnai
was challenged ia the. Siena Quo mifc
The eTcluaioB of fiaree froai the
         of "euck," I» Ua review el thie
proviaioo. the court held thot EPA h«4
acted properly.
  Other proviaioaa. of the suck height
regulation, such aa. the d* —-•'—" stack
height eaahliahed luider i SLUiiHl).
were not cheUeaged ia the suit aad thve.
remaia ia efiect.
Summary of Me MueuiAtJ ft I99t.
Notice of Proposed Raltmidng
  In theNovemhera.iafl*,aotka
responding to the court. OBoaicn, EPA
propoaed to redafio* a. •<"«>«»» of
sped"
fie im
                   UCsttsUVA
       iiesk" ^nearby."

important, concapta. "^ ntoiMeojd (0
modify aaoie of the hsjea lot
foQowlat ia. a eunaary
that were proposed
Exctur*a Gmcemtr
  The Court of Appeals held that EPA
erred in deftmae '*exc»«Mv<«
concentretione."  reUte the
dafimtioe, te soaae abeoutte le«el of eir
poiludoa that could be iaterfteted to
endanger health  and welfare, ead uwe
to be "excnasive."
  The EPA proposed two alsanctive
appreac&ee to derlniaf "exceaerre
concentntiona." Fieal. EPA requested
commect oo whether the 4O>eerceae
aporoeck edepied ae poet oTtie Matt
regu/eao iai iact peoieoe aejeteet.the
darujera ID- >e»l»j eod weisai*
enviMoa*d by Cinej>u wa«st it
                       thettvesie
showtng cooidi not be mace. EPA
proposed a two-pert defisu'tioa of
excessiTt caaceBtratioaa. reooinnf ma t
the dowawejh. wekea. or eddies
induced by nearby structuree or tenem
featuree reeajk ia inaeeees  in frewd-
level paihuent coocenfrmnom thec
  (e) Ceuee or euetribute to an
exceedance of a NAAQS or appheebhe
PSO merement end
  (b) Are at least 40 percent in excess of
concentration* projected to occur in the
absence of such structures or terrain.
features.

Definition of CEP Stock Heiffit

  EPA profoeed to find that the
traditional (LSH1 anal refined (H-t-lJiJ
formulae remained proper methods for
calculating CEP stack beitjnt except EPA
proposed to revise its regulation to
allow EPA. the State or local air
pollution control agency discretion to
require e farther demonstration using a
field study or Quid mode! to
demonstrate G£? stack height for a
source tit a case where it waa believed
that the fonmrfa may not refiafiiy predict
CEP height ha the case of structures that
are porous or aarodynamicaJQy smoother
thaa block-shaped structures, it would
require a source to demoaatrate the
downwaah effects" of such structures
using a field study or fluid model before
receiving credit for stack height baied
on the structures. EPA also  proposed
generally to allow sources to raise
existm*. stacks up to foraula CEP height
without further demonatzatio&a wuh the.
exception mt***i ehoore £ox dlacretionary
                                  Rtlicjtc* on the i5H Formula

                                    In its, 1962 rulea. EPA allowed SOWCM
                                  buik eefax* lanuery U isva. the date oa
                                  which it proposed the rested H-rl-Si,
                                  formulae, to cakuUta their eateuae*
                                  limit* hated on the traditieAai 2-SH
                                  formula thai existed previously. The
                                  court approved thia fti»tirw,r>oft, bat
                                  ruled thai U should be batted to sowret*
                                  that "reJUd" OA the tndjtk*ei foTDuia.
                                  mOQasriej. ioi txaxapi*- ^'^ source*
                                  that hoe1 clamed credit for sucks fsr
                                  taller the* theiiomula provided coui
                                  not be eaid> to aeve "reiied"  oa it.
                                    fa retpeeM to the coert deoaioa EPA
                                  proposed he revue r» reeeJedooj »
                                  require dsas £or stacks t> eaoatsnee oa
                                  January 12, 1979. source* deaeooetrece
                                  that Ifaer aetaaUy relied on the 2JW
                                  formmk ia the dawgo oi taesr
                                  before recerno« credM for tke4
                                  settizs; (Beat Bsnusina Uamrtimi  te
                                   proposes. EPA
                                   whetftuoald

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             Fssdewai Raster I Vol.  5a No. 130 /  Monday.  July S. 1988  /  Rules and Regulations
                                                                                                             27893
Dtfinitiom of "
  In iti 1982 rules. EPA allowed sources
that modeled the effects of terrain
obstacles on downwash to include any
terrain features in their model without
limiting their distance from the stack.
The court though persuaded that this
was a sensible approach, since it
allowed the model to best approximate
reality, ruled that Congress had
intended a different result, namely that
terrain features beyond V4 mil* from the
stack should not be included in the
model
   In response. EPA proposed to revise
i 51.1(li)(3] of its regulation to limit the
consideration of downwash. wake*. and
eddy effects of structure* and tarrmia
features to those fi s line* classified as
being "nearby" as defined in I
Under this proposal structures and
terrain features would be considered to
be "nearby"*if they occur within a
distance of not more than OJ km (Mi
mile): terrain featuns that extend
beyond 04 km could be considered if. at
a distance of 0-4 km. they achieved a '
height greater than or equal to 40-
percent of the CEP stack height
calculated by applying the CEP formula
to actual nearby structure*. In other
words,  a terrain feature would be said to
"begin" within H mile if it reached at
leest the height of nearby buildings
within that /»•»*»»«•. Sisoh features
be considered only out to e '*'**•*••*'
equal to 10 times the tmintmim K»>«M
 the feature, not to exceed 2 miles.
   The EPA piopoeeJ two options for
 dutiaguiahing between sources
 constructed before and after the date of
 promulgation of these reviaioaa. The-
 first opboa woold treat both categories
 of source* the same. The second option
 would limit the cooairUration of terrain
 for new source* to only tboee portions of
 terrain feature* that fail mtinly within
 0.8 km. thereby removing the poaaibiliry
 of including features extending beyond
 Vtmile.
   Finally. EPA prapoe*d
 alternative* for conducting Aaid
 modeling to evaluate the
 effect* or nearby terrtm f
 alternatives described vanoo*>warfi at
 limiting terrain m the modd beyond the
 proposed di.«"«r» limitations.
   To establish a baeeiiA* for
 compartsoa two alternatives woald
 initially model the stack on a flat plane
 with no structure or terrain influences.
 To analyze downw**h effects, the firrt
 approach would th*n in*ert nearby
  terrain, with alHerrain beyond the
  distance limrt "cut off" horizontally. The
  second *pcro«ch would gradually
  smooth and slop* rh* terrain beyond the
distance limit down to the elevation of
the base of the stack.
  The third approach would proceed in
a somewhat different manner. A
baseline would be established by
modeling all terrain beyond the distance
limit smoothing and sloping neerby
terrain to minimita its influence. To
analyte downwash effects, the nearby
terrain would than be inserted into the
model and the difference in effect
measured to determine appropriate
downwash credit for stack height
Definition of "Ditptnioo Ttduu'quit"
  In the 1982 rube, EPA identified two
practices, in eddibon to sucks above
CEP and ICS/SCS. M having no pvposa
other than to obtain e law stringent
emifiKm limitation, faj so 
-------
27896       Federal Register / Vol. 50. No.  130 / Monday. July 8. 1985 / Rules and Regulations
Response to Public Comments on the
Novembers. 1984, Proposal
  The EPA received over 400 comment*
during the public comment period and at
the public hearing, addressing a number
of aspects of the proposed
regulation.These comments have been
consolidated according to the issues
raised and are discussed, along with
EPA's responses, in a "Response to
Comments" document included in the
rulemaking docket Certain comments
can be characterized as "major" in that
they address issues that an
fundamental to  the development of the
final regulation. These comments are
summarized below, along with EPA's
responses. Additional discussion of the
issues raised and further responses by
EPA can be found in the "Response to
Comments" document
I. Maximum Control of Emissions in Lieu
of Dispersion
  A central legal and policy question
addressed in this rulemaking was raised
in the comments of the Natural
Resources Defense Council {NRDC) and
the Sierra Club. They contend that
section 123 requires all sources to install
the maximum feasible control
technology before receiving any credit
for the dispersive effects of a stack of
any height or for other practices that
may enhance pollutant dispersion.
   The NRDC argument is summarized
fully in the Response to Comments
document together with EPA's response.
Very briefly. NRDC contends that
litigation prior to the 1977 Clean Air Act
Amendments had established that
dispersion can never be used as an
alternative to emission control and that
this understanding wa* carried forward
and strengthened in the 1977 Clean Air
Act Amendment*. Accordingly, no rule
that does not require full control of
emissions et a prerequisite to any stack
height credit would be consistent with.
Congressional intent
   EPA disagrees. During the S years
between 1977 and NRDC* comment*, a
period covenng two Administration*
and three Administrators. NRDCf
position has never been either adopted
by EPA or seriously advocated before it
The pre-1977 cases cited by NRDCxio
not bar all stack credit but only credit
for stacks beyond the historic*! norm.
Finally, the text and legislative history
of section 123 contain essentially no
support for NRDCs "control firtt"
position.
II. Discussion of Other Major Issues
   The EPA's position on the "control
 first" comment* provides the necessary
 background agauui which the remaining
major issues in this rulemaking are
discussed. These issue* are: the
definition of "excessive concentrations''
due to downwash. wakes, and eddies;
the definition of "nearby:" and the
definition of "dispersion technique." A
question that affects several of these
decisions, and that is addressed where
it arise*, concern* the extent to which
any change* made in the stack height*
regulation* should be applied
praspectively rather than retroactively.
  This discussion of "excessive
concentrations" la in turn divided into t
discussion of the physical characteristics
of downwash. followed by a discussion
of the significance of those
characteristics aa they pertain to the
CEP formulae, to stacks above formula
height to sticks being raised to formula
height and to stacks at formula height
being modeled at the choice of the
administering authorities.
Definition of "Excessive
Concentration!"
  The Physical Nature of Downwash. A
number of commenters, including the
Utility Air Regulatory Croup (UARG).
have argued that the court decision does
not obligate EPA to revise the definition
adopted in the 1982 regulation, but only
directs EPA to ensure that the 40-
percent  criterion protects against
concentrations due to downwash that
could be related to health and welfare
concerns. They point out that when
emissions from a source became trapped
in the wake region produced by the
source itself or upwind structures and
terrain features, those esKCSaions are
brought rapidly to earth, with little
dilution. This, the commeotars argue.
can produce short-tern pe«k
concentrations at groundkvd that are
many times greater that the
concentration levels of the NAAQS.
Because their duration is relatively
short averaging theae concentration*
owr th*> time* specified by the NAAQS
does not result in NAAQS violations.
Nonetheless, the- cammenters argue that
these concentration* should be regarded
as nuisance* that section 123 was
specifically enacted to avoid.
Accordingly, the commenters held that
EPA would be justified in retaining the
40-percent en tenon without requiring
that such increases result in
exceedances of the NAAQS,
   These same commenters argoed that
severe hardships would result if EPA's
second  proposed definition of
"excessive concentre dons" is adopted.
and that by limiting suck height credit
to that just necessary to avoid
exceedanca of NAAQS or PSD
increment*, the definition would set to
limit sctual stack design and
construction in a way that would
increase the likelihood of NAAQS or
PSD exceedance*. This would occur.
they argue because, by building only to
tail • stack as they can receive credit
for. sources would be eliminating a
"margin of safety" that would normally
be provided otherwise. Furthermore, it
was argued that due to the changing
nature of background air quality.
inclusion of absolute concentrations
such as the NAAQS or PSD increments
in the definition would render
determinations of CEP stack height
constantly subject to change.
  NRDC argued on the other hand tha t
only a violation of air quality standards
can be considered the type of
"excessive concentration" for which
downwash credit can be justified, the
EPA had failed to specify the health or
welfare significance of the short-term
peak* mat it might consider as meeting
this description, and that in any event
UARC's attempt to show that short
stacks could cause a large number of
short-term peaks was technically flawed
in several  different ways.
  Response. Extensive discussion of the
downwash phenomenon, aa well a* the
aerodynamic effect* of buildings and
terrain features on wind/low patterns
and turbulence, is contained in the
technical and guidance documents
previously listed in this notice. To
summarize briefly, numerous studies
have shown that the region of
turbulence created, by obstacles to
windflaw  extends to a height of
approximately 2J times the height of the
obstacle. Pollutants emitted into this
region can be rapidly brought to the
ground with limited dilation. Though
this tendency decreases the higher
vertically within the downwash region
that the plume is released, because of
the highly unpredictable nature of
downwash and the lack of extensive
quantitative data, it is extremely
difficult to reliably predict  plume
behavior within the downwash region.
As noted  in tha comments submitted.
the distinguishing features  of downwash
do not show up well over an aversgiag
time aa long as 1 hour or more. Pollutant
concentrations resulting from
downwash can ariae and subside v«ry
quickly as meteorological conditions,
including wind speed and atmospheric
stability vary. This can result in short-
term peaks, lasting up to 2 minutes or so,
recurring  intermittently for up to icveral
hours, that aignirlcantiy exceed ths
concentration* of the 3-  and 24-bour
NAAQS.  Little quantitative information
is available on the actual levels of these
peak*, or on the frequency of their
occurrence since mo*t tucJci h«ve b*«n

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                                                                •

              Federal Register /  Vol.  50.  No. 130 / Monday.  July 8. 1965 /  Rules and Regulations
designed to.avoid downwash and
because downwash monitoring is not
typically conducted.
  A number of modeling and monitoring
studies in the record assess the
significance of downwash when plumes
are released into the downwash region.
The most important of these are a
number of studies cited in the November
9 proposal showing that for sources with
sulf'jr dioxide (SOi) emission rates of 4
to 5 sounds per million British Thermal
Untts (Ib./mmBTU). stacks releasing the
plume into the downwash region can
significantly exceed the 3-hour NAAQS.
  The utility industry submitted
monitoring results from four sites
showing that facilities with short sucks
(ranging from 23 to 80 percent of formula
height) generated many short-term
peaks in the vicinity of the plant at
concentration* at least 2 times the
highest concentration of the 3-hour SOi
standard, i.e., 1 ppm for up to 10
minutes. Those concentrations are the
maximun that could be recorded by the
monitors used. There is no way to
determine from these data the true peak
ground-level concentration*.
   The NRDC in commenting on this
subject, has argued that downwash- •  •
related concentrations are largely
theoretical since sucks have generally
been built to avoid downwash, and that
actual concentration* occur under other
meteorological condition* such as
"inversion breakup fumigations" and
 "looping plum*," that can equal theee
 "theoretical" concentration* predicted
 under downwash,1 The NRDC alao
 en tinted the  utility data on numerous
 technical ground*.
   EPA's srudie* indicate that when
 stacks an significantly les* than CEP
 formula height high short-term
 concentrations can indeed  occur doe to
 downwash that are in the range of the
 values reported by the utility industry.
 Concentrations produced by me other
 conditions cited by NfRDC though high.
 may be lower by an order of magnitude.
 and occur less frequently by as much  as
 two orders of magnitude, than those
 produced by  downwash.' A* stack  '
  ' In 'mvcnion brttkup fvoiifiuon." M ti»
liver diuip«w« OTM to netting of me ground. I
:ne poiluiirut that wen tripped in it dnctad
suddenly to ground level. In "looping plume*." i
p'ume if brought down to the pound do** to lh*
louirt in tht form of mtirmiiMai puffi under v*ry
unstable  (UUtive
•3 P»jk Concenmnoni Uncir Atmoiphenc
D sotnion Procei»«i." A!«n H. Hubtr »nd Fnnen
Poc'tr |r  |u»e 10 IflU.
height approaches the height determined
by the CEP formula, the expected
frequency and severity of short-term
peaks due to downwash become* less
certain. This is to be expected tine* it is
the purpose of a formula height stack to
avoid excessive downwash. While it
might theoretically be possible for EPA
to revise the CEP formula-downward
(e.g. from H+Ut to H+1.2L or some
other value), such a revision would have
little purpose. By moving the release
point further into the downwash region,
such a change would increase the
probability of high downwain-caused
peaks. On the other band such
relatively small changes in stack height
are not likely to appreciably eject die
emission limitation for the sooroat This
is because emission limitations are
calculated based on physical stack
height and associated plume rise under
atmospheric conditions Judged moet
controling for the source. Increasing or
dr • reeling stack height by a small
frii.aon will not greatly change the rate
or extent of dispersion and thus will not
affect the ground-level concentration.
Moreover, as EPA noted in its
November 9 proposal no data presently
exist on which to  base a revision to the
formula.
  The NRDC submitted data  to EPA
which it believed  to support the
conclusion* that it urged EPA to edopt
concerning short-term peak
concentration* under other
meterological conditions.* However.
these data were not presented in a fora
that could be reedily interpreted and
EPA ha* thus far been unable to drew
any conclusions tram them.'
   In reviewing NRDC* comments on
building downwash. EPA agrees that
 there is greet uncertainty about oer
present understanding of this
phenomenon, and this i* supported by
 the range and variation of downwash
 effect* observed in recent  studies.
 However, no information bes been
 presented which would convince EPA to
 abandon the present CEP formulae m
 favor of any alternative.
   The health and welfare significance of
 downwash concentrations that result In
 violation* of the ambient standard*  are
 documented and  acknowledged in the
 standard* themselves. The significance
 of short-term peaks at the levels that
 EPA's analyse* predict is  more
 judgmental. However,  a number of
 studies cited in EPA's "Review of the
 National Ambient Air Quality Standards
                                          •Memorendum from Divid C. Htwkm*. ffltDC to
                                         Willum F PtderMn. |r. Oftict of General CounMi.
                                         USEPA. Mey 2t 1M&.
                                          • Vrnnonmliim from Alen H Hub*r ASM. to
                                         D«vit
traditional (2JH) and refined (H-rl.5L
CEP formulae based simply on thev
relationship-to the 40-percent en tenor.
and argued that the formulae  provide
too much credit in many or most catet.
This,  they argue, result* in allowing
sources to obtain unjiutifiably lenient
emission limits tion*.
  Other coauneoten argued that
Congrtjss explicitly reaffirmed tha
traditional CEP formula, and  that EPA
should allow "***•{f"tm> reliance on it
(and by implication, on tha refined
formula that was subsequently der
fromit).
  /tope***. The ase of EPA's refice?
formula a* a starting point for
determining GXP wss not called Into
question by any litigant ta the Sierra
Club case. The court's opinion likewise
doe* not question the use of the fonauu
as s starting point A detailed discussion
of the court's treatment of the formula.
showing bow it endorsed the formula'*
presumptive validity, is coBtsjoed ID  tk.e
Response to Comments document
   DespUs this HmHxj endorsement ETA
 might need to revunt the fonoula on iu
 own if its reexamination of dM
 "excessive conrentratign" tad modciir^
 issues indicated that the formula ciiir.)
 and typically misatated the d*«r*« of
 stack height needed to avoid downwn;
 concamtrstions thai caose kssjth or
 welfare concern*.
   However, no  such result ha* emenwc
 from our reexanunation. Stacks beiow
 fonnuia height are assooitsd with
 downwash-relsted vioiabons of the  SL-
 quality standards themselves where
 emi»*ion rates significantly  exceed the
 levels specified by NSPS. Even where
 emissions are low. downwish
 condition* at stack* balow (oraiult
 height can be expected, unlue oehe
 condi&oo*. to g«m«rire num«fcwi i'
  term peaks of air  pollution f- high I

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27898        Federal Rey«tar /  Vol. 50.  No. 130  /  Monday. |u|y e. 1985  /  Rulea and Regulations
that raise a real prospect of local health
or welfare impacts.
  As EPA stated in the proposal, it is
impossible to rely primarily on fluid
modeling to implement the stack height
regulations, particularly under the
timetable established by the court 49 FR
44883 (November 9.1964). No
commenter other than NRDC even
suggested a different formula that in
their eyes would be better, and NRDCs
suggestions were premised on their
"control Tint" position, which EPA hai
found inconsistent with the statute and
has rejected EPA considers the  refined
formula to be the state-of-the-art for
determining necessary stack height
   Given the degree of presumptive
validity the formula already poeaeasea
under the statute and the court opinion.
we believe that this record amply
supports its reaffirmation.
  StacJu Abovt CEP Formula Height.
The EPA's 1978 stack height guidelines
[cite] imposed special condition* on
stacks above formula height—the
installation of control  technology—that
were net impoaed on lower stacks.
Similarly. EPA's 1973 proposal had
made credit above formula fctigbt
subject to a vaguely defined "detailed
investigation" (38 FR 25700). The
legislative history of the 1977 dean Air
Act Amendment* cautioned that credit
for stacks above formula height  should
be granted only in ran cases, and the
Court of Appeals adopted this a* oaa of
the keystones of its opinion. The court
also concluded that Congress
deliberately adopted very strict
requirements for sources locating in
hilly terrain.
   For these reasons, EPA Is requiring
sources seeking credit lot stack* above
formula height and credit for any stack
height justified by terrain effects to
(how by field studies  or fluid modeling
that this height is needed to avoid a 4O-
percent increase in concentrations due
 to downwsih and that such an increase
would result  in exceedanca of air
 quality standards or applicable  PSD
 increments. This will  restrict stack
height credit  in this context to cases
 where the downwash avoided ia at
 levels specified by regulation or by act
 of Congress as possessing health or
 welfare significance.
   To conduct a demonstration to show
 that an absolute air quality
 concentration such as NAAQS or PSD
 increment will  be exceeded, it ia
 necessary to specify an emission rate  for
 the source in question.'The EPA
believes that in cases where greater
than formula height may be needed to
prevent excessive concentration*.
sources should first attempt to eliminate
such concentrations by reducing their
emissions. For this reason EPA ia
requiring that the emission rate to be
met by a source seeking to conduct a
demonstration to justify stack height
credit above the formula be equivalent
to the emission rate prescribed by NSPS
applicable to the industrial source
category. In doing this, EPA i* making
the presumption that this limit can b*
met by all sources seeking to justify
stack  heights above formula height
Sources may rebut this presumption.
establishing an alternative emission
limitation, oa a case-by-case basia, by
demonstrating to the reviewing
authority that the NSPS emission
limitation may aot feasibly be met given
the characteristics of the particular
source.' For example, it may be possible
for a source presently emitting SOt at a
rat* of 1.8 Ib./mmfiTU to show that
meeting the NSPS rate of 1J Ib./mmBTU
would be prohibitive in that it would
require scrapping existing scrubber
equipment for the purpose of inciting
higher efficiency scrubber*. Similarly, a
source may be able to show that due to
space constraints  and plant
configuration, it la not poeaibls to install
the necessary equipment to meet the
NSPS emisaion rate. In the event that a
source believe* that downwaib will
continue to result in excewrve
concentration* when the source-
emiMion ret* ia conaiatent with NSPS
requirement*, additional stack height
credit may be tnatifled through fluid
modeling at  that emiaaion rale.
  A source, of course, always remain*
free to accept the emiaaion rat* that ia
asaodated with a formula height stack
rather than relying on a demonstration
under the condition* described hen.
The third alternative mentioned ia the
proposal—using the actual emission
limit for the  source—has been rejected
because, to the extent that limit relied
on greater than formula height it would
amount to using a tall stack to justify
itself.
  The EPA's reliance on excaedanc**.
rather than violation* of the NAAQS
and PSD Increment*, is deliberate. Fluid
modeling demonitration* are extremely
complicated to design and carry out
even  whan the moet simple
demonstration criteria—-that ia, a
percentage inoeaM in concentration*.
   • la cootrut If tiw MM of -
 conctnnooM" lim>Jv«d *
 IBCTMM. tb«« would bt «o a**d to
 tmiMtao m<. fine* th* lacrww m cmantrtaea
 c****d by downw
 mo-
   •Th« EPA wtll raty on IU B*ct Av.dibta Retrofit
 T«c3no4CPfj Ctack height credit Moreover, the
effect* of downwash tend to occur very
near the source, usually on fenced  .
company property. Since concentrations
measured at such location*  are not used
to evaluate NAAQS attainment or PSD
increment consumption, new sources
wishing to locata in the are* are less
likely to be affected.
   Source* planning sequential
construction of new emitting units at
one location or contemplating future
expansion can reduce the uncertainties
noted above by initially obtaining
permit* for the total number of units
 anticipated and by planning for
 expansion in the  calculation of
necessary physical stack height In the
 latter irutanc*. only the allowable Jtaci
 height credit would be revised as

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             Federal Register  /  Vol. 50.  No. 130  /  Monday.  July & 1965 / Rules  and Regula tions
                                                                     27899
expansion is carried out—not actual
stack height.
  An additional theoretical
complication it presented when an
absolute concentration is wed where
meteorological conditions other than
downwash result in the highest
predicted ground-level concentrations in
the ambient air. In such cases, a source
that has established CEP at a particular
height, assuming a given emission rate.
may predict a NAAQS violation at that
stack height and emission rate under
some other condition, e.g.. atmospheric
stability Class 'A.' Reducing the
emission rate to eliminate the predicted
violation would result in stack height
credit greater than absolutely necessary
to avoid an excessive concentration
under downwash. However, reducing
stack height places the source back in
jeopardy of a NAAQS violation under
the other meteorological condition, and
so on. "ratcheting" stack height credit
and emission rates lower and lower. The
EPA has eliminated this "ratcheting"
potential in the CEP guideline by
providing that, once CEP is established
for a source, adjusting the emission rate
to avoid a violation under other
conditions does not requin
recalculation of a new CEP stack height
  EPA is making this part of the
regulations retroactive to December 31.
1970. In the terms of the court's
retroactivity analysis, stacks greater
than formula height represent a situation
that Congress did affirmatively "intend
to alter" in section 123. Moreover. EPA
regulatory pronouncements since 1970
 have placed a stricter burden on sources
 raising stacks above formula height than
 on others.
   N.o source is precluded from building
 a stack height greater than formula
 height if such height is believed to be
 needed to avoid excessive downwash.
 However, the design and purpose of
 section 123 prohibit SIP credit for that
 effort unless a relatively rigorous
 showing can be made.
   Given the ability of sources to avoid
 modeling and rely on validity of the CEP
 formulae and requirement  for further
 control of emissions in conjunction with
 stack heights in excess of formula*
 height, the result predicted by I/ARC—
 exceedances of the NAAQS or PSD
 increment* due to inadequate  stack
 height—is highly unlikely.
   The  potential effect of changes in
 background air quality oc stack height
 credit is not substantially different from
 the effect that such changes in
 background can have on sourca
 emission limitations  in nonattainment
 areas.  In the first  case, however, sources
 may be able to address these effects
 through greater stack height if such
changes affect the concentrations under
downwash. Moreover, the possibility
that shifting background air quality can
yield different calculations of CEP is
significantly limited by the fact that
consideration of background in CEP
calculations is restricted to those cases
where credit for greater than formula
height is being sought or sources are
seeking to raise stacks to avoid
excessive concentrations.
  Ratting Staekt Mow Formula Height
to Formula Htight In response to EPA's
proposal to allow automatic credit for
CEP formula height several commenters
have argued that EPA has failed to
adequately respond to the court's
directive to "reconsider whether, in light
of its new understanding of 'excessive
concentrations,' demonatrationa an
necessary before stack heights may be
raised, even if the final height will not
exceed formula height"
  Rtspontt. Raising a stack below
formula height to formula height is not
in EPA's judgment subject to the same
statutory reservation* a* building suck*
greater than formula height However.
as the court has cautioned, it may still
be necessary for these sources to show
that raising stacks la necessary to avoid
"excessive concentrations" that raise
health or. welfare concerns.
  For these reasons, sources wishing to
raise  stacks subsequent to October IL
1983.  the date of the D.C Circuit
opinion, must provide evidence that
additional height is necessary to avoid
downwash-related concentrationa
raising health and welfare concerns.
These rules allow sources  to do this in
two ways.
  The first way is to rebut the
presumption thai the short stack waa
built  high enough to avoid dewnwaah
problem*: Lc~. to show, by sita-epecific
Information such aa monitoring data or
citizen complaint*, that the short stack
had In fact caused a local  nuisance and
must be ralMd for thia reason. The EPA
believes that both the historical
 experience of the industry and the data
 on short-term peak* di*cu*s«d earlier
 show that short stack* can cau*e local
 nuisances due to downwash. However,
 where a sourca has built a short stack
 rather than one at formula height it ha*
 created a presumption that thi* I* not
 the case. General data on short-term
 peaks may not be strong enough to
 support by themselves and in the
 abstract a conclusion that the stack
 must be raised to-a void local advene
 effects. Instead, that proposition must be
 demonstrated for each particular sourca
 involved.            (
    In the event that a source cannot
 make tuch a ihowuig. th« second way to
 justify raiting a itack is to demonstrate
by fluid modeling or field study an
increase in concentrations due to
downwash that i« at least 40-percent in
excess of concentrationa in the absence
of tuch downwash and in excess of the
applicable NAAQS or PSO increment*.
In making tola demonstration, the
emission rate in existence before the
stack is railed muat be used.
  Since raising stacka to formula height
is not subject to the same extraordinary
reservation* expressed by Congress and
thai court with respect to stack* being
raised above formula  height EPA does
not believe that the us* of presumptive
"well-controlled" emiaaion rate is
appropriate here. A* discussed in EPA's
reapooM to NXDCa "control first"
argument the basic purpose of section
123 was to take sources a* it found them
and. baaed on thoae circumstances, to
aaaure mat they did not avoid control
requirements through additional
dispersion. Use of a source's actual
emiaaion rate in thi* instance is
conaiateat with that Basic purpose and.
aba«nt special indications of a different
intent should be used in stack height
calculation*.
  The EPA believe* that it is most
unlikely that any source with a current
atniaaioa limitation ha* failed to da us
full formula credit for a stack of formula
height Accordingly, the question
whither a sourca can receive stack
height credit up to  formula height will
involve only sources  that want to
actually raise their physical stack, not
source* that simply want to »•'«"« non
credit for a stack already in existence. A
source will presumably not go to the
trouble of raising an  existing stack
without some reason. If a sourca cannot
show that the reason wa* in fact the
desire to avoid a problem caused by
downwash. then the  inference that it
wa* instead a desire for more dispersioo
crtdJt la hard to avoid. A nuisance
caused by dowowashed emissions could
include riti»n or employee complaicu
 or property damage.  A source would tx
 expected to show that complaints of t)ui
 nature were reasonably widespread
 before getting credit  under this section.
   The EPA does not inland to make that
 rule retroactive to stacks that
 "commenced construction" on
 modification* that would raise them to
 formula height prior to October it i960.
 Applying the court's retroactivity
 analysis, it appears:
   l.-The new rule does depart from prior
 practice. The SPA's  1973 proposed rule
 affirmatively encouraged sources with
 shorter stacks to rajM thsm ta formula

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27900        Federal  Regular / Vol. SO, No.  130 / Monday. July 8. 1965  /  Rules and Regulations
height.'Though EPA's 1976 guideline
can be read as iapoiiog a "control first"
requirement on some stack height
increase*, its general thrust gave
automatic credit (or all stacks that met
the "IS" times formula.* Automatic
permission was similarly set forth in the
1979 proposal, in the 1961 reproposaL
and in the 1962 final rule. Only a notice
published in 1960. but later withdrawn.
departs from this trend, requiring the use
of field studies or Quid modeling
deaonstntioos to justify stack height
increasea op to CEP formula height*
Evin than, the notice would have, made
this policy prospective in its application.
   Z. Sources that raised stacks ia
reliance on this past EPA guidance
assuming the availability of dispersion
credit cannot be distinguished from the
sources, in the example approved by the
court that built stacks to the traditional
formula in an identical expectation of
dispersion credit
   3. It cannot be said that the raising of
stacks to formula height is a practice
that Congress "affirmatively sought to
end." It ia not mentioned in the text of
the statute or its legislative history.
Further, as the court has already noted.
the statute attributes a degree of
presumptive validity to the formula on
which sovrcae that raise their stack*
will have relied.
   Daention to Rsquirt FhM Modeling.
Several coaoMoters argued thai EPA's
proposal to allow agenda* to require the
 use at fluid tp"^*1*"^ wa» unnecessary.
 lines EPA had already doomiaated the
 validity of the GEP formula*:
FurtberBore, tneee coosMnters argue
that this allowance would make Quid
modeling the rule, rather thaa the.
 exception. This would rssidV the
 commanten state, because it waa their
 expectation that •gtn"**« or
 environmental groups would Marty
 always call for fluid «w<*iin|
 demonstrations during the permit
 application and review process.
   Other commentcrs stated that
 providing  the discretion to require fluid
 modeling wai  appropriate, since EPA
 had failed to demonstrate that the CE?
 formulae represented the mfnimnm
 height necessary to avoid excessive
 concentrations.
   AMponM. The Court of Appeals
 directed EPA to reexamin* nheoSer its
 rules should allow States, as a matter of
 discretion, to require even sources that
planned to rely on the formula to show
instead by fluid modeling that a stack
this high was required to avoid dangers
to health and welfare caused by
downwash. The court suggested that
EPA should include such a provision
unless it could find that the formula was
so accurate, or tended so much to err oa
the low side, aa to make discretionary
authority to adjust formula height
downward unnecessary.
  The EPA believes that the court waa
mistaken in its conclusion that a stack
at formula height ia likely to generate
downwash concentrations as great as 40
percent only in """•"••mm situations. In
   1 'TlM UM of •«•«* h^ttn ip • *« toil of food
 tnfinOTrmt pncnc* u ncour»f>d fc» CPA ID vrift
 to tvoid local T"'*""-*-" (3* FR UTtBU
   •41 Pit 74(1 (Ftbruuy IS, lSP«k Cmrl^ku
 >Ktwm B.I. c.itn cazv
   • U n 42Z7* ft*** M. IMOt twefle dUemlu* ol
         t O«dtt tl dtiCMMd « «2Sn-».
fact EPA's observatiocs indicate that
when stacks are built to CEP formula
height an increase in concentrations
due to downwaah can still be expected
to occur that ia between 20 and §0
percent greater than the concentration
that would occur ia the absence of
building influences. '*
  Nevertheless, in response to the
court's remand, EPA ia including in this
final rule a provision for the authority
administering these rule* to require field
studies or fluid modeling
demonstrations, even for stacks built to
formula height ia caace where it
believes that the formula nay
significantly overstate the appropriate
stack height credit11
  While EPA believe* the formula is a
reasonable rule of thonh Indicating the-
stack height seeded to avoid sosae
probability at a standards violation aad
a significantly greats* probability of a
local nuieeooa. actmal roauhi tn any
given »•*• may vary sanawbei based .
on specific circumstances. The EPA aa*
attempted to •«««?*«• this possibility
within the limns of ervdabla data by
identifying two particular simoons in
which it believe* mat the fcnmala* SMy
not be ranabi* indicators of GHfc Pore**
itructBres and Doildtnf*. whoae saapee
are aarodynamicaUy ssooother thaa the
simple block-aaaped suectme* en
which the formal** are baaed"
    C«id«to« far DMraiMttoo at Good
 StmMi h**« tM&arrn M myttn •«•
 touumaiooo*. « tfa* Mm* a»

 of Mcttoa iis at KM QM* Air A*.
   '« e*ril* Ef A
      nom «6
 whM tpolM M road*! torcank.
 for e*TUla upend uraaNnt tad coatiaa;
 Pncaca SMcfc Hrtgfcl.' |Wr ISSt M »-» far (fcto
 r«Mai. I?A mil pirrlfirti» mrf ntfti hr m&
 itrucrum vint w«r» mntid prtar i* SonatarSw
 l«M. Sine* EPA f\ud«ne* hu untr tUtrvtt cradil
 (or poratM muetuiti. dw mtrtcaaa In AM nl» fat
 tue* uruernFM «qp*«« M «il ti
However. EPA acknowledges that other
situations, of which the Agency is not
presently aware, may arise wherein the
formulae may not be adequate.
  The EPA intend* to "grandfather any
source that relied on the formula in
building its stack before the date of
EPA'i 1979 proposal from the effect of
this discretionary reexamination
requirement
  Only in that proposal did EPA first
suggest that such a discretionary
reexamination provision might be
included ia the final rule. The
retroactivity analysis set out earlier
therefore supports exempting sucks
built In reliance on EPA guidance before
that data, from discretionary
reexanunation. Indeed a failucs to
"grandfather" these sources would lesd
to the paradoxical result that a lourc*
that had built a GEP stack under the
traditional EPA formula would have its
direct reliance interests protected by the
"grandfather" provision previously
upheld by the court but could then lose
that "grandfathered" credit through a
rsee  speriflr desBonatration reqnvtment
showing that the traditional foraeia  was
somewhat inaccurate—the very teaioo
behind the change in the formula
properly focnd non-retroactive by EPA
earner.
.   Given this background EPA believe*
that the effect oa emission* of including
or of esutmlhiaj e provision for
discretionary determinations from this
rale ia likely to be very small Building
stacks above formula height and rsismg
stacks below formula height to formula
hetgot are coieied by regulatory
provisions already discussed The only
case left for discretionary
determinations to address is the building
of stacks at formula height In the post-
19TB period However, all major sources
built since that time are already
coatroled to SOt emission rates DO
greater than U Ib./mmBTU—and oot
 uncommonly much leas  nnrinr various
 EPA regulations. All new power plants
 on which construction "cosuneDced"
 since 1971 must meet EPA'i NSPS
 mandating an tiruM""1" rats no gruter
 than this level That standard was
 tightened for aH power plants oo wnich
 construction M'^^""^'^»^" aftst 197ft. In*
 addition, all "maior" sources built unce
 1977 in^araa* subject to the Act'i PSD
 requirsnenta have bad to install b*tt
 available control tachnoiogy. That
 technology au*t raqure the greatest
 degree of emiaaioa control thst is
 achievable cooaidenng technology.
            and ssMirgy impacts."
                                           I/-.... .^

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             Federal Register / Vol. SO. No.  130 / Monday. July 8.  1985 / Rules and  Regulations
                                                                     27901
  If such sources had to show that use
of a formula height stack was needed to
avoid exceedances of the NAAQS or
PSD increments, that might prove
difficult for many of them. The
likelihood of such exceedances tends to
decrease as the emission rate for the
source decreases. By the same token.
the incremental emission reductions
available from the sources that are at
issue here tend to be small and among
the most expensive available. In terms
of emission reductions, little is at stake
where these sources are concerned.
  Accordingly, the rules will require
such sources, if a reviewing authority
calls for a demonstration, to the rules
show that the use of a formula stack
height is needed to avoid a 40-percent
increase in concentration* due to
downwash. This will provide a rough
check on whether the formula, as
applied in the particular case at isaue.
produces the result it-was designed to
produce.
  The EPA is not providing here for
sources to justify their formula height
stadcs by arguing that the height in
excess of that needed to avoid NAAQS
violations is needed to avoid a locaJ
nuisance. The discretionary modeling
requirement is designed for application
to stacks before they were built Beyond
that, there is no way to determine bawd
on the-absence of a  local nuisance that a
formula height stack is not too tall in
the Way that the preaena of a nuisance
shows that a stack under formula height
in fact is too short Accordingly, there
will be no way. as there was with short
stacks being raised, to determine from
actual experience whether a  local
nuisance would occur at a shorter stack
height Though avoiding local nuisance
13 a legitimate purpos« for which stacks
are built it would be very difficult to
show by modeling what stack height
was needed to avoid it.
   Some commenters have
misunderstood EPA'5 allowance of
 discretion to require fluid modeling as
 requiring such modeling whenever any
 individual or entity called for-such •
 demonstration. This discretion rest*
 explicitly with the reviewing agencies
 who have always had the prerogative to
 require more stringent analyses in the-
 SIP process.-and no obligation is implied
 for these agencies to require fluid
 modeling simply because it has been
 called for by some individual during the
 permit review process. It is EPA's
 expectation that technical decisions to
 require such additional demonstrations
 would be based on sound rational* and
 va:id data to show why the  formulae
 may r.ci be adequate in a given
 situation. In any case, given the burden
of reviewing a fluid modeling
demonstration, an agency U not likely to
exercise this option absent sufficient
justification. Consequently. EPA
disagrees with thecommenters'
contention that fluid modeling will
supplant the UM of the CEP formulae.
except in what EPA believe* will be
unusual instances.
  Reliance on the ZSH Formula. In
limiting the applicability of the 2-5H
formula to thoae cases where the
formula was actually relied upon, the
November 9 proposal defined such
reliance in terms of stack design, A
number of comments indicated that
actual stack design and construction
may ultimately be control not by the
iSH engineering rule, but by
construction materials specifications.
Consequently, while 24H rale may have
provided an initial starting point in
stack design, the rule may not have
dictated final stack height In other
cases, it was argued that a number of
source owners may have constructed
their stacks in excess of what was
determined to be minimi^ CEP for
precautionary reasons, for process
requirement*, or in anticipation of
additional growth ia the area
surrounding the facility, even though
emission limitations for these sources
would have been limited then, as now.
to formula height Consequently, it was
argued that EPA should allow sourcats to
demonstrate reliance on the formula in
the calculation of emission limits as well
as in the design of the stack.
  In response to EPA's requMt for
comments on what evidence should be
considered acceptable in determining
reliance on the 2-5H formula, some
commenten urged EPA to consider
reconstructed evidence, e.g.. affidavits
from derign engineers or copies of
comspondeace indicating past reliance
on ETA guidance. Other commenters
 stated that "reliance" should be very
 stnctly construed, that EPA should  be
 circumspect in its review of reliance
 demonstrations, and that only
 contemporaneous documentary
 evidence, such as blueprint! and facility
 design plans, be accepted as evidence.
   Responit. The EPA is in general
 agreement with the view that reliance
 should be considered in relation to the
 emission limitation for the source, not
 the design. Since section 123 specifically
 prohibits EPA from regulating  actual
 stack heights and rather regulates stack
 height credits used in setting emission
 limitations, it would be illogical to
 require that  sources demonstrate
 reliance on the 2.SH formula for actual
 • tack design. Moreover,  such an
 spproacn would contradict principles of
sound planning, in that it would per.a;.z('
those sources that have built taller
stacks ia anticipation of facility
expansion or other growth in the area
that could influence CEP
determinations.
  If a stack has been built taller than
2JH formula provides, while the
emission limitation has been calculated
assuming Z£H credit a convincing
demonstration has been made that the
source properly relied on the formula.
Conversely, if the emission limitation for
the source is based on some other stack
height credit such as 2JH. 3.5H or some
other number, it would be difficult to
show that the CEP formula had in fac:
been relied on.
  In some cases the emission limit
information may be unavailable or
inconclusive. In such cases. EPA ml]
allow reliance on reconstructed
evidence of construction intent.
  In comments submitted during the
public comment period and in response
to questions raised by EPA at the  public
hearing held on January 8.1985. industry
representatives repeatedly stated that
contemporaneous evidence of reliance
on the iSti formula, such as facility
design plans, dated engineering
calculations, or decision records are
rarely, if ever, retained for more than a
few years after construction of the
facility  is completed.  Consequently, they
argued  that moet easee of legitimate
reliance would be denied If
contemporaneous evidence w«n
required m order to retain for ms  2-JH
formula.
   The EPA agrees. Additionally, credit
afforded by the 2JH formula in exceu
of that resulting from the use of the
H+1.SL derivative is likely to be  small
except  when the building on which
suck height credit it based Is
substantially taller t*"«« it is wide.
Finally, it is EPA's view that me cour.
did not intend that sources be subject to
a n*orous or overly stringent of reLanc*.
but only that they be accorded a
 reasonable opportunity to show rehince
 on the  2.5H formula. For these reasons.
 EPA will allow the submission of
 reconstructed, la- noncontemponnecus
 documentary evidence to demonstrate
 reliance on the 2_5H formula.
    Definition of "Nearby". Comments
 were submitted by UARG and otters.
 arguing that effectively, no limitation
 should be placed on the consideration cf
 terrain-induced downwath.
 Alternatively. some of these
 commenters argued that the court
 decision requires that a limitation be
 adopted that does not apply any
 distance restriction of ^» mile in
 modeling terrain effects suci *i  u

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27902       Federal R^fataf  /  Vol. SO. No. 130 / Monday. July 8.  1965 / Rales tad Regulations
ipplied to structures in the UM of CEP
formulae, but rather tllowi
consideration of tfl terrain Uut'rciulU
in tbt same dowowaih effect u those
structures within H milt of th« tuck.
  Other coaunenten have argued that
the court decision and legiitattva history
preclude EPA from allowing
consideration of any terrain beyond a
distance of H mile, regardless of when
it begins.
  Response, for the reasons
summarized below. EPA does not accept
either the interpretation that the court
decision authorizes EPA to adopt a
definition based solely oa effect or that
it limits consideration exclusively to
terrain feature* fallinf entirely within H
mile.
  Whan Congress discaased the-
allowance of credit for stack height to
addreea downwsah, it stated that the
term "nearby" waa to be "strictly
construed." noting that if the term w»re
to be interpreted "to apply to man-Biade
structurea or terrain /features %  to H
mile away frcen the sourcae or more, the
result could be aa opaa invitation to
raise stick heights to unreasonably high
elevations and to dafaat the basic
underlying ooensiittae latest" **
  In its opinion, thaxoort held that EPA
could not give ulimltsd credit when
mo«u»«g terrain features because that
would conflict with the Cungiasaiunsl
intention to impoae artificial Units OB
that credit The court waa not presaniad
with, and did not eddreea, (ha question
of what to do about terrain feature* that
••bagam" within * eula and extaadod
outside it The approach adopted by-
EPA carried out thia congress inasl
purpoae to impoaa aa artificial limit bat
st the same time reflects tka real facts
more closely than aa absolute Vt suie
limitation.
  Unlike man-made structures, terrain
featurea do not have readily definable
Hi mansions other than height For thia
reason. EPA has defined "nearby" as
generally allowing jnrin«««i Of
consideration of terrain features that fail
within a distance of ft mile of the stack,
EPA't definition will penal
consideration of such terrain that
extends beyond the H mile Omit if the
terrain begins within % »*»<»»«<'»<«ring the
record on these matters. EPA bsi
determined to *ik* a "middle-ground"
approach to this question. The finiJ
regulation retains the same brosd
prohibition found In tha proposal oa
increasing exhaust gas plume rue by
manipulation of parameter*, or tin
combining of exhaust gases from leveraJ
existing stacks into one tuck, with
several classes of exclusion*. Tbew
exclusions recognize the existence of
independent justifications bated on
engineering and/or economic factor*.
and include:
   (1) Demonstration of original facliry
design and construction with merged
gas streams;
   (2) Demonstration that merging lAer
July 8. 1965 is part of a change in
 operation that includes the iastsJJaoon
of'pollution cootrola and results in * net
reduction ta allowable emiMioni of the
polluUnt for which credit U tought cr

-------
                                  Vol. 50.  No. 130 / Monday. )u]y a, 1965 / Rules and Regulations       2?*Q3
  (3) Demonstration that merging bcfort
July & 1865 wit part of a change in
operation that included the installation
of control equipment, or wa* earned out
for sound economic or engineering
reason*. An allowable esuMioru
increaae createi the .presumption that
the merging was not carried out for
sound economic or engineering
reasons."
Of these exclusions, the first is identical
to the proposal and the second and
third are modifications of the second
exclusion included in the proposal with
a refinement based on prospective/
retroactive application,
  Toe first exclusion was retained for
the reasons stated in the propoaal After
reviewing the comments submitted, EPA
determined that its previous
conclusion— that standard practice in
designing and constructing facilities
routinely includes venting
 from several units into a common or
 multiplied stack— is correct Sound
 engineering and economic reasons.
 based on costs of constructing and
 maintaining separate stacks, availability
 of land, and cost savings for pollution
 control equipment support facility
 design and construction considerations.
 Even if air pollution requirements did
 not exist at all sources would have
 incentive* to use es few stacks as
 possible.
   Since iaavoMUtg plume rise, rather
 than plume rise itseJl is a "dispersion
 technique" and original design and
 construction define the initial base, such
 original design and construction of
 merged gas streams is not considered a
 dispersion technique. Moreover, in
 designing the facility, a source can
 usually choose to build one larger unit
 rather thaa several smaller units,
 Therefore, prohibiting credit for original
 design generally only effect the design
 of units and not the phone rise.
   Objections have been nised to
 applying this logic to sources wfajch are
 constructed over a period of time, bat
 use i single stack. However,  die same
 factual arguments fust listed would"
 apply is  the same, if the original design
 included provision for the additional
 units in the plans for the facility, end in
 the design and construction of toe stack.
 In i uch a case, the later units merged .
 into the stack would be included within
 the exclusion.
    In addition, it would be logically very
 difficult lo apply a ruk denying credit to
 original design stacks. EPA or the State
 would have to assume bow many stacks
would have been built absent a desire
for dispersion credit when they would
have been located, and how high they
would have been. Since these
alternative stacks would be purely
hypothetical there would be no clear
way of answering tfaeae question* the
answer would simply have to be
selected arbitrarily from the wide range
of possible answers. This problem i*
absent when existing stack* have bees
combined.
  In contrast EPA find* change* from
the original design of a facility in order
to include merged stack* to require a
narrower judgment The EPA concluded
that where prospective application is
concerned, the aTirrarion should be
available only to aoorcea that combine
•tacks reduce* allowable fT'***"*!* of
the pollutant for which the credit i*
granted. There are obvious ecooomk
advantage* in «M»hi«i«m stacks to
reduce the number of "r'l"^? control
unit* that must be purchaaed. In
addition, the installation of pollution
control'   the pollutant in question
provide* »ube,tantial aacnranee theu tiM
purpose of the combination is not to
receive a more lenient emisaioa H»»»
  However, given paat EPA guidance on
merging of stack*. EPA ha* concluded
that retroactive application of this leaf
would not be proper. The EPA guidance
documents uniformly took the view that
merging of separata stacks into a tingle
stack "Is generally not considered a
dispersion technique" absent other
factors  such as excessive use of fan* or
other devices." Each document
provided guidance to a source of a
Regional Office regarding the proper
 treatment of merged stacks in
 calculating emission limitation*.
 Considering these statements, EPA must
 consider the standards expressed by the
 court a* previously discussed in this
 notice,  m judging me propriety of a
 differing standard for retroective
 application. Given the nature and
 application* of the guidance which ft
 issued  to the past EPA judges the first
 two criteria--that is, whether the new
 rule represents an abrupt dsparrure from
 wtil-ertablished practice, and whether
 the parties against whom the new rule is
 applied relied on the former rule—to be
 satisfied, m addition, applying the
 prospective criteria to past practice
 would require significant changes in fuel
 and/or control equipment for parties
 whose emission limits were based on.
 previous guidance. Finally, and
 partinlarry where sources have not
                                                      been allowed to increase their
                                                      emissions as a result of the combining e.'
                                                      stacks, EPA does not judge the itatutor
                                                      interest to be overriding in this instanc
                                                      since (be rale even in its retrospective
                                                      version only exempts sources that can
                                                      show a reasonable non-dispersion
                                                      enhancement ground for combining
                                                      stack*, and thereby implements the
                                                      "Intent" test suggested by the court. On
                                                      the other hand EPA has never suggested
                                                      that combined stack* that cannot meet
                                                      sacs a test arc proper. Sources whose
                                                      actual emissions are  increased, or
                                                      whoa* emission limitations are relaxed
                                                      in connection with the combining of
                                                      •tack* create a strong presumption that
                                                      the eomMnation was carried out in
                                                      order to avoid the Installation of
                                                      ountrots. Socn combinations would
                                                      indeed ran counter to the statutory
                                                      ptrpcee, and retrospective application
                                                      of a test dket forbid*  them  is therefore
                                                      proper.
                                                         ExtmptioRM from the Definition of
                                                      Dupinion Technique*. The EPA
                                                      i availed numerous comments in
                                                      response  to its request for input on wtttt
                                                      consideration, if any. should be given to
                                                      •ft-ktMnf source* from the definition of
                                                      "DlapenkB Techniques'' whose
                                                      emissions an below a specified level or
                                                      whose stacks are leea than the di
                                                      oiuonot height These commsnten
                                                      arfoed that combining gar streams 12
                                                       particular often had  an economic
                                                       justification independent of its effeca
                                                       08 ui$persTG&» and therefore should not
                                                       be generally forbidden. Other comoenti
                                                       stated faat in considering any such
                                                       exclusion. EPA should consider ti*
                                                       effect on  tvtej atmospheric loading!.
                                                         Awpojwa. Some limitation on the
                                                       number of sources affected by the
                                                       definition at "dispersion techniquei"
                                                       necessary for EPA to carry out the  stack
                                                       height program. There are currently
                                                       estimated to be over 2X000 source* of
                                                       SOi m me United States with scroaJ
                                                       emiasioos exceeding 100 torn per yeir. It
                                                       would not be possible for EPA or Slttei
                                                       to review the emission limits of even i
                                                       significant fraction of this numb*;
                                                       within a  reasonable time  period.
                                                       Twenty-two thousand of  these worcw
                                                       have enriseion* leu than  5UJOO tons p«r
                                                       year and eon tribute a total of less  thin
                                                       13 percent of the total annual SOi
                                                       emi*SToa.IT7or this  reucn. and fcr
                                                       reasons  of administrative necessity
                                                       discuesed earner. EPA is adopting m
                                                       exemption fruui prohibitions on
                                                       manipulating prome rtia for fsciL'riei
                                                       with allowable 3d emissions below
UMft uo*»d for i      "Mnorudwa troa Daeyl Tylar w !
      nacHH     Roiibim. Ae»w XL loeo. 3«» tUe !•«• fr»» *•*
         *M     B*rtw tram Homrt Ota. Oewfc»r t, 1SSA i
                 Q*nd »toarMd » )u»»»a PUM. fua 7. 1SBB.
                                                                                             i trot* trie CM****. OACP! '•>
                                                                                             *9Qrtlflc«a
-------
2790*       Pedec«i Regular / Vol SO. No. 130 / Monday. Jury  a. 1965  /  Ruie« tad Regulatieus
5.000 tons per year. The EPA believes
the effect of this exemption on total SOi
emissions to be dt minunis in nature.
Even if these sources wen able to
increase their emission rates as the
result of an exemption from the
definition of dispersion techniques, their
combined effect would not be
significant Indeed, because these
sources are exempt on the basis of their
snnuel emissions, there exists an upper
limit to the extent to which they may
obtain relaxed emission limitations. Le*
to m«'"*«'p an.exemption, the fiT"i*l
emissions of a source may never exceed
5.000 tons per year. For these reasons.
the 5.000 ton limit pesses a dt minima
test even more clearly than the 65-meter
limit Included without challenge in the
prior version of this rale. Moreover. EPA
believes that a large majority of these
sources would not be inclined to seek
less stringent emission limitations. In
part because a substantial portion of
them an limited by State and local fuel
UM rules.
   The EPA believes et this time that a
df BMinuf size exemption is Justified
only for sources of SO* and that the
number of email sources for which,
es&issMO limitations for other pollutants
an a significant concern would not
support a similar exemption. The EPA
will mrtftmte to review the oeed for each
exemptions snn. If deemed appropriate.
will propose them for review and
fjxHnmif gt | hiteT*date.
   Phuat lajpoctitui. The EPA received »
number of comments requesting that
credit far plume Impactioa be retained
on thf grounds'
 credit would have severe impact! am
 existing sources. Several approaches
 were offered for overcoming plume
 impactton effects in modeling to
 determine emission limitations hsiecf on
 GEP stack height Generally, these   ..
 approaches focused on modifying the
 itack-terrain relationship represented la
 fK^ fflrtffoi^ Several rr>m Centers sxgDed-
 slong these lines that the court
 recognized and tpproxed-of ERA'S
 attempt to  avoid the eflsjcts ef phxme
 imps conn. but only iflesmeinsd of
 EPA1* regulatory methosus allowing.
 sources to avoid imp*ydoB Thee*
 commenten argued that the court did
 not preclude EPA from euowing credit
 to avoid plume impectioa, bat eaiy from
 allowing credit for stack height in
 excess of GEP: this, it was argued, could
 b< remedied in a way that was
 consistent with the court decision by
 incorporating impactioc avoidance
 within the definition of GEP. It
 ngg**ted that EPA give its "Interfgf
 ipproval" to the use of certain refined
 complex terrain models, in particular the
Rough Terrain Display Model (RTDM).
to calculate emission limitations for
sources affected by changes to the stack
height regulation,
  Respontt. The.EPA agrees that the
court wee cognizant of the problem of
plume impaction and noted that there
was much to recommend EPA's
allowance of credit for Impaction
avoidance. However, the allowance of
credit for plume impaction was not
remanded to EPA for revision or
reconsideration, but was reversed by
the court as exceeding EPA's authority.
  The EPA does net agree that it would
be possible to redefine CEP la a manner
that allowed credit for avoiding
impaction. since GEP Is explicitly
defined in terms of preventing excessive
concentrations due to down wash.
wakes, and eddies. Frame Impaction is a
phenomenon completely unrelated to
dowirwash and, rather, is e consequence
of effluent gasee being emitted at an
insufficient height to evoid their striking
downwind hillsides, cliffs, or
mountainsides prior to dilation
Manipulation or "sdfustmenf* of
modeling parameters to avoid predicting
theoretical plume Impaction where
actual stacks have been constructed
above GEP would be tantamount to
granting the same impaction credit that
was Invalidated by the court
Furthermore. EPA believes that the
manipulation of modeling parameters
for no other reason than to avoid aa
undesirable result is i
indefensible.
  The EPA Is in the peocass o/revttng
iti "Guideline on Air CMlffly.Hodele/
A fliiHirTf of iadtvidufii oomsoentiag on
the guideline have teqaeetad that EPA
approve the use of m* fflJU model aa a
preferred technique. Further dl
of this ieeue ^^r be fioond £n
associated with EPA's action on the
modeling gddettne (Docket No. A-ao-
46% With respect to me revised stack
height regulation. EPA has not rejected
the use of RTDM, To the extent that
appropriate and comptete data bases
and information on modal accuracy are
available, EPA may approve the use of
RTDM on a case-by-case basis when
executed hi accordance with the
guideline requireeaenat. Sponsors of
RTDM and presently developing nore
extensive support for broader
applications of the model When coca
s\ip port is received and reviewed by
EPA. conaideratioa will be given to
allowing more general use of RTDM in
regulatory activities such as compliance
with the stack height rule.
   TLmgtablf for Staff bopltaitatatloo.
A number of commenten itat*d that it
wai not possible to conduct tbe
                                                                              necessary analyses, prepare and »ubmi:
                                                                              revised State rules and source-«peafic
                                                                              emission limitations within the 8-month
                                                                              timeframe referred to la the November 9
                                                                              proposal A variety of alternative
                                                                              schedule* were proposed by these
                                                                              commenters for consideration by EPA.
                                                                                      M. As wfta EPA's previous
allowance of credit for plume impaction.
the timetable for preparation and
lubmittal of revised SIFs was not an
issue remanded by the court The EPA is
in agreement that these revisions to the
stack height regulation will require
•MT^f*"* efforts by State and local
agendas, individual emission source
owners and EPA Regional and
Headquarters offices in order to comply
within the 9-month timeframe required
by section 40B(dH2J of the 1877 Qesn
Air Act Amendments. It was based on
this concern thet EPA originally
provided* a two-step process for Statei
to follow to revising their plans and
submitting them to EPA for spproval
However, the court found that this effort
was explicitly contrary to section
4Q8(dM2frend ordered EPA to follow the
9-month schedule provided in the Clean
Air Act
  Ntw Source* Titd into Pn-197*
Stacks. As indicated earlier, in response
to the court opinion. EPA proposed to
deny "grendfathered" status to post*
1970 sources tying into pre-1971 tucks,
Some commenters stated that EPA was
in no «ay prohibited from allowing
credU far new sources ducted into pre-
1971 stacks exceeding GEP height
Rather, they indicated that EPA simply
had to provide justification for such
aUoweooa.
  Otfaar ooasmeotars indicated general
support far EPA'e proposal with respect
to new aoarces tying into grand fithered
stacks, bat nisjiiterl that several
expansions or dati&cstioas be
provided, most notably that in additioa
 to new and major
 reconstructed sources not be allowed
 greater **»•" GZP stack h*ffi< fffti*
 when tying into greater than GEP rudu.
  JUsponae. In further review of thit
 issue, EPA can fiad no coavindnf
 rationale to allow aoarces contracted
 after December n, OW, to avoid CZP
 restrictions cUapiy by ***fr*-*<*>< tt**ly
 emissions into a stack that is
 "grandfatnered" under section 123. On
 the contrary, the intent of section 123 to
 limit credit far stack height in excess of.
 GEP sagged! that EPA should not allow
 credit for such stack height except to
 honor ^**t|^1fj commitments nude prior
 to the end of 1870. Sources In existence
 after thaJ dale should be treated equally
 under the regulation and not allowed to
 •vtrtd  legitimate control rtquretnecu

-------
             Federal Reystar  /  VoL 50. No. 130 / Monday. July 8. 1965 / Rules and Regulations
                                                                                                              27903
through the use of "grandfathered" stack
heights.
  Sources undertaking major
modification, or reconstruction become
subject to additional control
requirements under the Clean Air Act
and an treated ai "new sources" for the
purpose '.'. new source review and PSD
requirer?v.s. EPA finds it appropriate
that GEr requirements should be
invoked at the time that other
requirements for new, modified, or
reconstructed sources become
applicable.

Summary of Modification! to EPA'»
Proposal Resulting from Public
Comment*

  Based oa comments received during
the public comment period. EPA has
made a number of revisions to its
proposed regulation in addition to those
discussed above. These revisions are
summarized below.
  Section 51.1(hh){2)(8)(ii) of the
regulation has been clarified to require
sources merging gas streams after Jury 1
1983 to achieve a net reduction in
allowable emissions. This change wu
mads to nuke it dear that the effects of
merging should not be used as e way at
achieving compliance with present
emission limits «TVJ to avoid penalizing
source* who are presently emitting at
lesi than allowable level*.
  Section 51.1(hh)(2)(3)(iii) allows
credit for a source that merged gas
streams  in a change of operation at the
facility prior to July & 1968 that included
 the installation of control equipment or
had other sound engineering or
economic reasons. Any Increase in the
 emission limitation, or in the previous
 actual emiiiions where no emission
 limitation existed created a presumption
 that thoit sound reasons were not
 present
   Section 51.:(hh)(2)(EJ hss been sdded
 to  exclude from the definition of
 prohibited "diipersion techniques" the
 use of technique! affecting final exhaust
 gas plume nse where the resulting total
 allowable emissions of SO» from the
 facility do not exceed 5.000 tons per
 year.
   Section 51.1(ii)(l) has been revised to
 specify that the  65 meter de minima
 height is to be measured, ss in other
 determination! of CEP stack height
 from the ground-level elevation st the
 base of the stack. This does not
 represent s lubitantive change in the
 rule or in its application relative to pelt
 practices, but rather a simple
 clarification.
    Section 5l.l(ii)(2) has been revia«d to
 require thst source owners demonstrate
that the 2.5H formula wai relied on in
establishing the emission limitation.
  Section Sl.l(ii)(3) has been revised as
discussed elsewhere in this notice to
specify that an emission rate equivalent
to NSPS moat be met before a score*
may conduct Quid modeling to Justify
suck height credit in excess  of that
permitted by the CEP formulae.
  Section Sl.l(jj) now defines "nearby"
for purposes of conducting field studies
or fluid modeling demonstrations as 04
km (to mile), but allows limited
consideration of terrain features
extending beyond that distance if such
features "begin" within OJ km. as
defined in the regulation.
  Section Sl.l(kl) has been revised to
provide separate diacosjsiona of
"excessive concentrations" for the
separate situations discussed earlier in
this preamble. As that discussion makes
dear. EPA  believes that the differing
categories of sounds subject to this rale
are beet addressed by requirements that
vary somewhat with thoee
circumstances. This definition embodies
that approach.
  Section 31. 12fk) has been corrected to
provide that the provisions of i 51.U(j)
shall not apply to itadc height* in
existence before December n. 1970, The
proposal had incorrectly stated that
"... I 51.12 shall not apply  to itada
existence. . . ."
PlDgTSJCB
  This regulation doe* not limit the
physical stack height of any source, or
the actual as* of dispersion  techniques
at a source, nor doe* it require any
specific stack height for any source,
Instead, it sets limits on the  maximum
credit for stack height and other
dispersion techniques to be  used in
ambient air modeling for the purpose of
Mtting an emission limitation and
calculating the air quality impact of a
source. Sources are modeled et their
 actual physical stack height unless that
height exceeds their CEP stack height.
The regulation applies to all stacks m
 existence and all dispersion techniques
 Implemented since December TL 1970,

                     Plan
Slate
Requirements
  Pnnuant to section 408(41(2) of the
Clean Air Act Amendments of 1977,
EPA is requiring that all States (1)
review and revise, as necessary, their
Sip's to include provisions that limit
stack height credits and dispersion
techniques in accordance with this
regulation and (2) review all existing
emission limitations to determine
whether any of these limitations have
been affected by stack height credit!
                                       above GEP or by any other dispersion
                                       techniques. For any limitations that
                                       have been so affected. States must
                                       prepare revised limitations consistent
                                       with their revised SIP**. All SIP
                                       revisions aad revised emission
                                      •limitations must be submitted to EPA
                                       within 8 months of promulgation of this
                                       regulation.

                                       Interim Guidance

                                        In its proposal. EPA stated that it
                                       would use the proposed regulation to
                                       govern stack height credits during the
                                       period before promulgation of the final
                                       regulation. The EPA further stated that
                                       any stack height credits that are granted
                                       based on this interim guidance would be
                                       subject to review against the final rules
                                       and may need to be revised
                                       Consequently, with these final rules.
                                       EPA is requiring that any actions that
                                       were takes oa stack heights and stack
                                       height credits during this intern penod
                                       be  reviewed aad revised as needed to
                                       be  consistent with this regulation.

                                       Regulatory FlsodbiBry Analysis

                                        Pursuant to the provision* of 5 U.S.C.
                                       806(b). I hereby certify that the attached
                                       nil* will not have significant economic
                                                   substantial number of
                                       small entities. This rule is structured to
                                       apply only to large sources: La, those
                                       with stacks above 66 meters (213 feet).
                                       or with iBffMtJ SOi emissions in excess
of MOO tons, as further noted in the rule.
Baaed on aa analysis of impacts, tiectnc
utility plants and several smeiten and
pulp sod paper »"'"• will be
significantly affected by this regulation.

Executive Order 123*1

  Under Executive Order 12271. EPA
must judge whether a regulation is
"major" and therefore subject to the
requirement of a regulatory impact
analysis. EPA's analysis of economic
impacts predicts a potential cost to
emission source ownen and operators
exceeding tlOO million: therefore, this is
e major rule under Executive Order
12291. However, due to the promulgation
deadline imposed by the court. EPA did
not have sufficient ame to develop s hitt
analysis of costs and ber.f fits si
required by the Executive Order.
Consequently, it is not possible to judge
the annual effect of th:s rule on the
economy. A preliminary economic
impact analysis and s-jrsejuent revision
were prepared and s:j i  ne docket.
   For any facility, the * : ruliry snd
economic impact of ir.«! luck height
regulaflon generally deter.lt on the
extent to which the acr-:i! stack at that
facility conforms to CI71 i^ck

-------
27906
F«da*sJ Raster / Vol SO. No. 130 / Monday. July  8, 1985 / Rules and Regulation*
Thus, when the regulation ii applied to
large sources. ie_ those with itaek
height greater than CEP and emissions
greater than 5.000 ton* per year, it will
have the potential for producing
emission reduction* and increased
control costs.
  A preliminary evaluation of the
potential air quality impacts and a cost
analyiii of the regulation wai
performed at the time of proposal The
impacts identified wen established in
isolation of other regulatory
requirement*. The report predicted a
range of impacts, from a "low impact"
scenario that presumed that maay
potentially affected sources would be
able to justify their existing stack
heights, configurations, and emission
limitations to a "high impact" scenario
which assumed that all of the potentially
affected sources would be required to
reduce their emissions to some degree.
  In the development of its final
ruleouking action. EPA refined Its-
evaluation of potential Impacts.
producing revised estimate* of the
probable coat* of the changes to the
regulation and expected reductions in
SO, emissions. As a resdt of this
refinement EPA estimates that the nde
will yield reductions in SO* emiiiions of
approximately 1.7 million tons per year.
The annui I lied cost of achieving  these
reductions will be aproximately 5790
million, and the capital cost is expected
to be approximately S700 million.
  This regulation was reviewed by the
Office of Management and Budget, and
their written comments and any
responses are contained in Docket A-
83-49.

Judicial Revi*w

  The EPA believes that this rule I*
based on determination* of nationwide
scope and  effect Nothing in section 123
limits its applicability to a particular
locality. State, or region. Rather, section
123 applies to sources wherever located.
Under secnon 307(b)(l) of the dean Air
Act [42 U.SC 7607(b)(l)J. judicial
review of the action* taken by this
notice is available only by the filing of a
petition for review in the United States
Court of Appeals for the District of
Columbia and within 60 day* of the date
of publication.

List of Subject* in 4i CFR Part 51

   Air pollution control Ozone. Sulfur
 dioxide. Nitrogen dioxide. Lead,
 Paniculate mattar. Hydrocarbons,
 Carbcn monoxide.
                          Dated- lune 27.1061
                          Lee M. Tbdtnae.
                          Admuiittmior.

                          PART S1~REOUIREMENT9 POR
                          PREPARATION, ADOPTION, AND
                          SUBMITTAL OP IMPLEMENTATION
                          PLANS

                            Part SI of Chapter L Title 40 of the
                          Code of Federal Regulations is amended
                          as follows:
                            1. The authority citation for Part SI
                          continues to read as fellows:    i
                            Authority: Sec 110. SOlfaJ. and IS. OMB
                          Air Act as amended (42 V3.C. 7410. reotfaj
                          •ad 7423).
                            2. Section 31.1 la amended by revising
                          paragraphs (ha), (ii). (jfl, and (kk) as
                          follows:
                          fll.1
                            (ah)(l) "Dispersion technique" maana
                          any technique which attempts to affed
                          the concentration of a pollutant la the
                          ambient air by:
                            (i) Using that portion of a stack which
                          exceeds good engineering practice stack
                          height
                            (il) Varying the rate of emission of a
                          pollutant according to atmospheric
                          conditions or ambient concentratiooa of
                          that pollutant: or
                            (ill) Increasing final exhaust gaa
                          plume rise by manipulating soercs
                          process parameters, exhaust gas
                          parameters, stack parameters, or
                          combining exhaust gases from several
                          existing stacks into one stack: or other.
                          selective handling of exhaust gas        '••
                          streams so as to increase the exhaust  .
                          gas plume rise,
                            (2) The preceding sentence doe* not
                          include:
                            (i) The reheating of a gas stream.
                          following use of a pollution control
                          system, for the purpose of re turning tbe
                          ga* to the temperature at which it was
                          originally discharged from the facility
                          generating the gaa stream:
                            (ii) The merging of exhauatjas
                          streams where:
                            (A) The source owner or operator _
                          demonstrates that the facility was
                          originally designed and constructed with
                          luch merged gas streams;
                            (B) After July ft, 1983. such merging is
                          part of a change in operation at the
                          facility that includes the installation of
                          pollution controls and Is accompanied
                          by a net reduction in the allowable
                          emission* of a pollutant Thi* exclusion
                          from  the definition of "dispersion
                          .techniques" shall apply only to the
                          emission limitation for the pollutant
                          affected by luch change in operation: or
                             (C) Before July &. 198& such oerpsg
                          wai pan of a change in operation at the
facility that included the installation of
emissions control equipment or wat
carried out for sound economic or
engineering reasons. Where there wai
aa increase in the emission limitation or.
in the event that no emission limitation
was in existence prior to the merging. «n
increase in the quantity of pollutants
actually emitted prior to the merging, the
reviewing agency shall presume that
merging was significantly motivated by
an latent to gain emissions credit for
greater dispersion. Absent a
demonstration by the source owner or
operator that merging was not
significantly motivated by such intent
the reviewing agency shall deny credit
for the effects of such merging in
calculating the allowable emission* for
the sourer
  (iii) Smoke management in
agricultural or sUvicuitural preicnbed
burning programs:
  (tv) Episodic restrictions on
residential woodburning and open
burning; o*
  (v) Techniques under i 51.1(hh)(l)(iii)
which increase final exhaust ga* plume
rise when the resulting allowable
emissions of sulfur dioxide from the
facility do not exceed WOO ton* per
year.
  (ii) "Good engineering practice" (CEP)
stack height means the greater of;
  (1) 68 maters, measured from the
ground-level elevation at the b«M of the
stack
  (2) (i) For stacks hi existence on
JaaoaryU. 197B. and for which the
owner or operator had obtained all
applicable permita or approvals required
under 40 CFR Parts SI and 22.
H.-UK
provided thai owner or operator
produces evidence that this equation
was actually relied on in establishing an
cmiaeioB limitation:
   (ii) For all other stacks,
H.-H+1.S.       *
 H,-f«od tnjmnnai pnctica Mack height.
    Buaund frees ih» prouad-Uvtl
    ttnrtttoe it th« b*M of th« IUCJL
 H-h«fht of Mwtoy ctroetwtU) mtuurcd
    from tba |round4*r»J ilrviaoo it thf
    b*M of t&e stack.
 L-ltMer dif»««.i/»t height or proptftd
    wWtii of DMrb? *trncturt(i)

 provided that the EPA. Stats or local
 control agency may require the use of «
 field (tody or fluid modal to verify CEP
 stack height for the source: or
   (3) The height demonstrated by a  fluid
 model or a field study approved by the
 EPA Stats or local control a^eacy. which
 ensure* that the Mansion* from « itack
 do not mult la txc**«iv*

-------
             Federal Register  /  Vol. SO.  No. 130 / Monday. July a.  1985 / Rulea and  Regulations
                                                                      2790T
concentration* of any «ir pollutant is •
result of atmospheric downwajh. wakes.
or eddy effects created by the source
itself, nearby structures or nearby
terrain features.
  (jj) "Nearby" as used in | Sl.l(ii) of
this part is defined for a specific
structure or terrain feature and
  (1) for purposes of applying the
formulae provided in f 51.1(ii){2) means
that  distance up to five times the lessar
of the height or the width dimension of a
structure, but not greater than 0.8 km (V4
mile), and
  (2) for conducting demonstrations
under i Jl.l(ti)(3) means not greater  '
than OJ km (Vt mile), except that the
portion of a terrain feature may be
considered to be nearby which fails
within a distance of up to 10 times the
maximum height (H,) of the feature* not
to exceed 2 miles if such feature
achieves a height (HJ 0-* km from the
stack that is at least 40 percent of the
GEP stack height determined by the
formulae provided in f 51.1(ti)(2)(ti) of
this  pan or 28 meters, whichever is
greater, as measured from the ground-
level elevation at the base of the  stack.
The  height of the structure or terrain
feature is measured from the ground-
level elevation at the base of the  stack.
  (kit) "Excessive concentration" Is' '
defined for the purpose of determining
good engineering practice stack height
under i 51.1(U)(3) and means:
  (1) for sources seeking credit for stack
height exceeding that established under
 i Sl.l(ii)(2), a maximum ground-level
 concentration due to emissions from a
 stack due in whole  or part to downwash,
 wakes, and eddy effects produced by
 nearby structures or nearby terrain
 fearures which individually is at least 40
 percent in excess of the maximum
 concentration experienced in the
 absence of such downwash. wake*, or
 eddy effects and which contributes to a
 total concentration due to emissions
 from all sources that is greater than an
 ambient air quality standard. For
 source*  subtect to the prevention of
significant deterioration program (40
CFR 51-24 and 52.21). an excessive
concentration alternatively means a
maximum ground-level concentration
due to emission* from a stack due in
whole or part to downwash. wake*, or
eddy effects produced by nearby
structures or nearby terrain features
which individually is at least 40 percent
in excess of the maximum concentration
experienced in the absence of the
maximum concentration experienced In
the absence of such downwash. wake*.
or eddy effects and greater than a
prevention of significant deterioration
increment. Tat allowable emission rate
to be  used in making demonstrations
under this part shall be prescribed by
the new source performance standard
that is applicable to the source category
unless the owner or operator
demonstrates that this emission rate is
in/easible. Where such demonstrations
are approved by the authority
admir.  -sting the State implementation
plan.  *_ alternative emission rate shall
be established in consultation with the
source owner or operator.
  (2)  for sources seeking credit after
October 1.1983,  for increases In  existing
stack heights up to the heights
established under { 5Ll(ii)(2J, either (I)
a maximum ground-level concentration
due in whole or part to downwaah,
wakes or eddy effects as provided in
paragraph fkk)(l) of this section, except
that the emission rate specified by any
applicable State implementation plan
(or. in the absence of such a taut, the
ectual cmisaion  rate) shall be used, or
(ii) the  actual presence of a local
nuisance caused by the «^«*<"| stack.
as determined by the authority
administering the State implementation
plan: and
   (3) for sources seeking credit after
January 12.1979 for a stack height
 determinedunder | Sl.l(ii](2) where the
 authority administering the State
 implementation plan requires the use of
 a field  study or  fluid model to verify
 CEP stack height, for sources seeking
stack height credit after November 9
1964 based on the aerodynamic
influence of cooling towers, and for
sources seeking stack height credit a
December 31.1870 baaed on the
aerodynamic influence of structures net*
adequately represented by the equation!
in I 31.1(ii)(2), a maximum ground-levei
concentration due in whole or pan to
downwash. wakes or eddy effects that
is at least 40 percent in excess of the
maximum concentration experienced in
the absence of such downwash. wakes.
or eddy effects.
  3. Section Sl.l is further amended by
removing paragraphs (U) and (aim).
4.111*  [Amended]
  4. Section 51.12 ia amended by
removing paragraph (!)•
  S. Section 51.12(1] i* amended by
removing "and (1)" from the first
sentence.
  8. Section Sl.lifk) Is revised as
follows:
  GO The  provisions of  i 31.12(j) ihali
not apply to (1)  stack heights in
existence, or dispersion technique*
implemented on or before December  r.
1970, except where pollutants are being
emitted from such stacks or using such
dispersion techniques by source*, as
defined in section lll(a)(3) of the Gear
Ah* Act which wwe constructed or
      rtrocted. or for which i
 modifications, as defined in
 U BLlB
-------
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i) Coke oven batteries;
) Sulfur recovery plants;
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nary source that would result In a
mlf leant net emissions Increase of
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ider the Act.
(ID Any net emissions Increase that
significant for volatile organic com
mnds shall be considered significant
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 :LSAN AIR ACT
 \ct alter the enactment 01" the Clean Air
 Xct Amendments of 1977 which is  more
btrmgent than  the emission  limitation or
requirement tor the source in effect prior
to such aoprovai or promulgation, if any.
or wnere there was no emission limitation
or reauircmem aoproved or  promulgated
bei'ore enactment of the  Clean  Air Act
 \mendments or" 1977. the date for imposi-
tion of the non-compiiance penalty under
this section, shall be either July 1. 1979. or
the date on which the source  is required to
be in  full comoiiance with such  emission
limitation  or   requirement,  whichever is
later,  but  in   no  event later  than  three
 •••ears  after  the aoprovai or  promulgation
of  such   emission   limitation   or  re-
quirement.
   [PL 95-95.  August 7. 1977]

           CONSULTATION
   Sec. 121.  In carrying out the  require-
 ments oi tms Act requiring aopncaoie im-
 plementation oians to contain—
   11)  any  transportation  controls,  air
 quainy maintenance plan  requirements or
 preconstruction review  of direct sources of
 jir pollution, or
   (2) any measure referred  to—
   (A) in  oart  D  (pertaining to nonattam-
 mcnt  requirements I, or
   (B) in.part  C (pertaining to prevention
 of bigmricant  deterioration),
 and  in carrying  out the  requirements of
 Section H3(d)  (relating to  certain en-
 forcement orders), the State snail provide
 j satisfactory  process of consultation witn
 general purpose local governments, desig-
 nated organizations of elected omciais of
 local  governments  and any Federal land
 manager  having authority  over  Federal
 land to wnicn  the State plan aopucs. effec-
 tive  with resoect to any sucn requirement
 which is aooDted more man  one year after
 the date of enactment of the Clean Air
 Act  amendments of 1977 as pan of such
 plan. Sucn process shall be  ;n accoraance
 with  recuiations  promulgated by the Ad-
 ministrator to assure  aaequate consulta-
 tion.  The Administrator  snail update as
 necessary the  original  regulations required
 ana  promulgated unaer tms section las  in
 erfect immcoiateiy before tne date of the
 enactment of the Clean  Air Ac: Amend-
 ments of 1990) to ensure aoeauate consul-
 tation. Only  a  general  purpose  unit  of
 local  government,  regional  agency,  or
 council of governments adversely affected
 by action of the Administrator approving
 any  portion of J plan  reierrea  to  in this
suosection may petition lor moiciai review
of such action on me oasis of a v\oiauon of
the rcauirements of this section.
   [PL 95-95. August
 by PL 101-549)
        LISTING OF CERTAIN
    UNREGULATED POLLUTANTS
  Sec.  122.(a) Not later than one
after date of enactment of this section
(two years for radioactive pollutants) and
after nonce  and  opportunity for  public
hearing, the Administrator shall review ail
available  relevant information ana deter-
mine w nether or  not emissions of radioac-
tive pollutants i including source material.
special nuclear  material, and  byproduct
material), cadmium, arsenic and poiycy-
ciic organic  matter :r.to :ne amoient air
will cause, or contribute :o. air pollution
which may rcasonaoiy be anticicatca  to
endanger puoiic neaun. if :ne Administra-
tor  maices  an amrmauve  determination
with resocct  to  any sucn  substance,  he
shall simultaneously witn sucn determina-
 tion include  sucn substance in  tne list
published unaer  section   108(2.1(1)  or
 112(b)(l)(A) (in tne case of a suostance
 which, in the juogme.ii of '.he Administra-
 tor, causes, or contributes to. air pollution
 which  may  reasonably be  anticicatea to
 result in an  increase in  mortality  or  an
 increase  in  serious irreversible, or  inca-
 pacitating reversible, lilnessi. or shall  in-
 clude cac.T category of stationary sources
 :mimng  sucn   suosianc:  in  significant
 amounts  in the :ist auoiisnea under section
               mum  extent  practicable consistent  with
               this Act. minimize duDiication  of eiidn
               and conserve administrative  resources in
               the establishment,  implementation, and
1977;  amenaed  enforcement of emission limitations, stan-
               dards of performance, and other reature-
               mcnts  and  authorities I substantive and
               procedural) unaer this Act respecting tne
               emission of such  material (or component
 sucn actions.
    
-------
                                                                                                        -EDEHAL LAWS
  The preceding sentence shall not apply
with respect to stack heights in existence
before the date ot' enactment of the Clean
•\ir  Amendments of 1970  or dispersion
techniques implemented before such date.
In establishing an emission  limitation  for
coai-tired steam electric generating units-
wnich are suoiect to the provisions of sec-
tion  1 Iti and which commenced operation
before Juiy 1. 1957. the effect of the entire
stack height of stacks  for  which a con-
struction  contract  was  awarded  before
February 3.  1974.  may be  taken into
account.
  (b) For the ourpose of this  section,  the
term 'disocrsion tecnnique" includes any
intermittent or supplemental control of air
pollutants   varying  wuh   atmospheric
conditions.
  (c) No later than six  months after  the
date of enactment of this section, the Ad-
ministrator, snail after notice and opportu-
nity for puolic hearing, promulgate regu-
lations  to carry  out  mis  section.   For
purposes of this section, good engineering
practice  means, with  respect  to  stack
heignts. the height necessary to insure that
emissions from  the stack do not result in
excessive concentrations of  any air pollu-
tant  in the  immediate  vicinity  of  the
source  as- a  result  of atmospheric down-
wash, eddies and  wakes which may  be
created by the source itself, nearby struc-
tures or nearby terrain obstacles (as deter-
mined  by the  Administrator). For  pur-
poses of this section such height snail  not
exceed two ana a naif times the height of
such source unless the  owner or operator
of the  source demonstrates,  after notice
and ooportumty for  puoiic hearing, to  the
satisfaction of the  Aomimstrator.  that  a
greater  heignt  is necessary  as  provided
unaer tne preceding sentence. In no event
may the administrator  orombit any  in-
crease  in any stack  heignt or  restrict in
any  manner   the  stacK  heignt  of  any
source.

 ASSURANCE   OF   ADEQUACY   OF
             STATE PLANS
  Sec.  124.(a) As expeaitiousiy as  practi-
cable  but not later  man one year after
date of enactment  of  this  section, each
State  snail review  the  provisions of its
implementation plan which relate to major
fuel  burning  sources  and shall  deter-
mine—
   (1) the extent to which compliance with
requirements of such plan is  dependent
upon tnc use oy major-iuei burning sta-
tionary sources of petroleum products or
natural gas.
  (2) the extent to whicn such plan may
reasonably  be anticipated to be inadequate
to meet  tne rcauircments of this Act in
sucn State on  a reliable ana long-term
basis by reason of its dependence upon the
use of sucn fueis. and
  (3) the extent to which compliance with
the requirements of such plan is dependent
upon use of coal or coal derivatives which
is not locally or regionally available. Each
State snail  submit the results of its review
and its  determination  under  this  para-
grapn to tne Aomimstrator promptly upon
comnietion tnereof.
  fb)(l) Not :ater mar. i-.ghteen montns
after me date of ;nac:rr.er.t of this section.
the Administrator snail review  tnc submis-
sions of :r.e States unoer subsection (a)
and shaii reouirc encr. State to revise its
pian if. :r. me judgment of tne Administra-
tor. SUM 3ian revision :s necessary  to as-
sure that sucr. pian wiii  be aoeauate to
assure comniiance with the requirements
of this Ac: :n such State on a reiiabie and
long-term  oasis, taking into account the
actual or potential  prcmbitions on use of
petroleum  rroaucts or  natural  gas. or
both, under any otner aumonty of law.
   (2) Before recutring a pian revision un-
oer this subsection, *un resoec: :o any
State me  Administrator  snail take into
account ine rerort of :r.e review conducted
by  sucn State  under raragrapn  ! 1) ano
snail  consult  wun the  Governor of the
State respecting such required revision.

MEASURES     TO     PREVENT
ECONOMIC   DISRUPTION   OR
          UNEMPLOYMENT
   Sec. :2f.(a) After ncuce ano ooportum-
 iv  for a  :uoiic neanng—
   ( O the Governor of any State in which
a  maior :"uc:  burning  stationary source
refcrrec :o m tnis suosection  ior ciass or
category -.Hereof) is located.
   (2) :ne Administrator, or
   (3) the President (or nis designed, may
determine that action under  subsection (b)
is necessary to prevent or minimize signifi-
cant iocci or regional economic aisrumion
or  unemDioyment which wouid otherwise
result from use oy sucn  source \or class or
category) of—
   (A) coal or coal derivatives other than
 locally or regionally available coai.
   (B)  petroleum products.
  (C) natural gas. or
  (D) any combination of fuels referred to
in subparagraphs  (A)  througn (C1. To
comply  with  the requirements of a State
implementation pian.
  (b) Upon a determination under subsec-
tion (a)—
  (1) such Governor, with the written con-
sent of the President or his desiencc.
  (2) the  President's  designee with the
written  consent of such Governor, or
  (3) the President  may by  rule or order
prohibit any  such  major fuel burning sta-
tionary  source lor  class or category there-
of)  from using fueis otncr man  locally or
regionally  available  coai or coai  deriva-
tives to comoiy wun :mDiementauon oian
reouirements. In taking any action under
this subsection, tnc  Governor, me Presi-
dent,  or me President's designee as me
case may be. snail take into account, me
tinai  cost  to trie  consumer  of sucn  an
action.
  (O The  Governor, in the  case of action
under subsection ibHU, or  the Adminis-
trator,  in  the  case  of  an   action  under
subsection (b)(2)  or i3) shall, by ruie or
order, rcouire each  source to which sucn
action aopiies to—
  (1) enter into iong-icrm contracts of it
least  ten years in  duration (exccct is tne
Preside.-!', or his  designee  may otnerw\se
permit or require by ruie or oraer for 2000
cause* for supplies of locally or  regionally
available coai or coai derivatives.
  (2) enter into contracts  to acquire anv
additional means  of  emission  limitation
whicn me Administrator or  the Stats de-
termines may be necessary to comciy wnn
me reduircmcnts  of this Ac; wmie  using
5uch coai or  coai derivatives  as fuel, ina
  (2) comoiy wun sucn scneouics (includ-
ing  increments of  progress), tirnc'.aoics
and other  requirements as may be neces-
sary  to assure  comoiianc:  wun  me re-
quirements of this Act.
Requirements under this suosccf.cn snail
be established simultaneously wuh. ina as
a condition of. any action under sucsecuon
(b).
   id) This section aooiies omy to existing
or  new maior fuel  burning  stationary
sources—
   (1) which have the  desien caoacuy  to
produce 250.000.000 Btu's oer hour lor us
equivalent),  as determined by the Admin-
istrator, and

-------
    WORKSHOP ON IMPLEMENTING THE STACK
            HEIGHT REGULATIONS
                  (REVISED)

          OCTOBER 29 TO 30, 1985
                     by

            PEI Associates,  Inc.
      505  South Duke  Street,  Suite  503
     Durham,  North  Carolina   27701-3196
    CONTROL PROGRAMS DEVELOPMENT DI9ISION
OFFICE OF AIR QUALITY "PLANNING AND'STANDARDS
    U.S. ENVIRONMENTAL PROTECTION AGENCY
RESEARCH TRIANGLE PARK, NORTH CAROLINA  27711
                October 1985

-------
REFERENCES FOR SECTION 7.2

-------
                          EPA-450/4-80-023R
Guideline for Determination of Good
  Engineering Practice Stack Height
(Technical Support Document for the
      Stack Height Regulations)

               (Revised)
          U S. ENVIRONMENTAL PROTECTION AGENCY
               Office of Air and Radiation
           Office of Air Quality Planning and Standards
             Research Triangle Park. NC 27711

                  June 1985

-------
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(n) Control strategy means a comm-
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lal, commercial, or Industrial faclll-
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.f operation of commercial or industri-
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ncluding, but not limited to, short-
erm changes made In accordance with
tandby plans.
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notor vehicle emission control sys-
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us mandatory maintenance, installa-
lon of emlsslon^fctrol devices, and
conversion to gas^^fuels.

-------
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-------
REFERENCES FOR SECTION 7.3

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REFERENCES FOR SECTION 7.4

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                                 Accacnmeac A
                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                                   WASHINGTON, D.C 20460
 X,
                                 APR 22  BBS
MEMORANDUM

SUBJECT:   Interim Policy  on  Stack Height Regulajtory Actions

FROM:
       &\ Ai
             for Air and Radiation (A1
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dealing with specific source emission limitations,  and  redesignatlons  under
section 107 of the Clean Air Act.  Consequently,  until  resolution of litigation
and completion of any rulemalcing activity to respond to the  court decision,
the following policy will be applied.

     In general, actions to approve States'  rules may proceed  provided appropriate
caveat language is inserted which notes that the  action Is potentially subject
to review and modification as a result of the recent court decision.  Actions
addressing State permitting authority should require States  to provide notice
that permits are subject to review and modification If  sources are later
found to be affected by revisions to stack height regulations. Where States
currently have the authority to Issue permits under fully-approved or delegated
NSR and PSD programs, any permits Issued prior to EPA's promulgation of
revised stack height regulations should provide notice  as described above
that they may be subject to review and modification.  Regional Office  staff
are requested to contact their State officials and  notify them accordingly.
Where EPA has retained authority to issue permits,  it should also Insert
appropriate cautionary language in the permit.

     The EPA will try to avoid tiding source-specific actions  that may need
to be retracted  later.  Such actions may include certain emission limitations
and good engineering practice demonstrations which  reflect dispersion credit
affected by the  remand.  The EPA may approve these  State submittals on a
case-by-case basis, with the explicit caution that  they and  the sources
affected by them may need to be evaluated for compliance with  any later
revisions to the stack height regulations, as a result  of the  litigation.
The E?A will continue to process, under normal procedures,  any source-specific
actions which do not involve the remanded .provisions.

     Requests for  redesignation of areas from nonattainment  to attainment
which are affected by any of the remanded provisions of the  stack height
regulations will be  put  on hold until EPA has completed any  rulemaking
necessary to comply with the court's remand.  This  is  due to the  Issue of
whether EPA has  authority to unilaterally change attainment  designations.

     During this interim period, the Regional Office  staff  should review with
their States  all  regulatory actions  involving dispersion  credits  and  identify
those actions or sources affected by the remanded provisions.   The Region
should  consult  with  their States on  appropriate  action for all such packages,
consistent with  this policy.

      If you  have any questions  regarding the  application of this policy,
please  contact  Doug  Grano at FTS 629-0870 or  Janet Metsa  at FTS 629-5313.

cc:  D. Clay
     A. Eckert
     J. Emison
      D. Grano
      J. Metsa

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             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                   Office of Air Quality Planning and Standards
                   Research Triangle Park, North Carolina 27711
                              WAY  1 v 1553
MEMORANDUM

SUBJECT:  Appli^t<0p^f^the Interim Policy  for Stack Height
          Re qytor A£ti on s
FROM:     tMTOXacagrH , 01 rector
            r Quality' Management Division  (MD-15)
          Chief, Air Branch
          Regions I-X

     On April 22, 1988, J. Craig Potter,  Assistant -Administrator  for Air
and Radiation, issued a memorandum entitled,  "Interim  Policy on Stack
Height Regulatory Actions" (Attachment A).  The memorandum  requests that
the Regional Offices review with their States  all  regulatory actions
involving dispersion credits and determine  the appropriate  action consistent
with the policy.  The purpose of today's  memorandum is to provide guidance
in carrying out the interim policy.

     In general, actions taken at this time to approve or disapprove
statewide stack height rules which are affected by the remand  must include
the qualification that they are subject to  review  and  modification on
completion of EPA's response to the court decision.  Permits issued under
the prevention of significant deterioration or new source review  programs
should also contain caveat language for sources which  may be affected  by
the remand.  Attachment B contains example  boilerplate language to be
Inserted into permits and regulatory packages. Note that States  must
commit to including the caveat before EPA will take final action  on packages
affecting permitting authority.  Those actions not involving the  remanded
provisions may proceed as usual.

     In contrast to our policy regarding the  processing  of  stack  height
rules, our policy for source-specific State implementation  plan  (SIP)
revisions is to avoid proceeding with actions which may  need  to  be
retracted later.  You are advised to consult  with  my staff  and the Office
of General Counsel staff prior^to submitting  such  ruleraaklng  packages.
Affected sources must be deleted from negative declaration  packages  prepared
under the 1985 stack height regulations before EPA can proceed with action
on them.

-------
     My staff has applied the policy when reviewing packages currently in
Headquarters (Attachment C).  While proposals to approve (or disapprove)
State rules will remain on the Headquarters clock, the Regional Offices are
requested to review these packages and provide appropriate boilerplate as
soon as possible.  Negative declaration packages and final actions on State
rules are being returned to the Regional Office clock as more substantial
revisions and commitments may be required.  The redesignation packages
currently in Headquarters which contain sources affected by the remand are
being placed on formal hold.

     If you have any questions regarding the April 22 policy, today's
guidance, or disposition of the SIP's, please contact Janet Metsa
(FTS 629-5313) or Doug Grano (FTS 629-0870).

Attachments

cc:  R. Bauman
     R. Campbell
     C. Carter
     G. McCutchen
     0. Pearson
     J. Sableski

bcc:  B. Armstrong
      P. Embrey
      G. Foote
      E. Ginsburg
      D. Grano
      N. Mayer
      J-^ietsa
     I^S-; Reinders
      R. Roos-Collins
      502  SIP Contacts
      Stack Height Contacts, Regions  I-X

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REFERENCES FOR SECTION 7.5

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  B64        Federal Register /  Vol. 47, No. 26 / Monduy. February 8,1082  / Rules and Rcgulu lions
  ••••••^••^••^•••••^•••^••iM^^^H^MMMH^HHMMHMMM^M^M^^MMMHMHMHMi^^^HMMHMH^^^H^^^M^^MI^HMMM^M
 ENVIRONMENTAL PROTECTION
 AGENCY

 *OCFRP«t61

 (AO-FRL 2010-1; Docket No. A-79-011

 SUck H«lght Regulation*

 AOINCY: Environmental Protection
 Agency (EPA).
 ACTION: Final rulemuklng.

 SUMMARY: Section 123 of the Clean Air
 Act requires EPA to promulgate
 regulations to assure that the degree of
- emission limitation required for (he
 control of any air pollutant under an
 applicable State Implementation Plan
 (SIP) la not affe-ted by that portion of
 any stack height which exceeds good
 engineering practice (CEP) or by any
 other dispersion technique. Regulations
 to implement Section 123 were proposed
 on January 12.1970 at 44 FR 2008 and
 reproposed October 7.1981 at 48 FR
 49814. Today's action Incorporates
 changes to the reproposal  and finalizes
 these regulations.
 DATE: These rules are effective March
 10.1982.
 ADDRESS: Docket A-79-01. containing
 material relevant to this action, is
 (located In the Central Docket Section
 (A-130), i' S. Environmental Protection
 .Agency, 401 M Street, SW., Washington,
 D.C. 20-100.
 FOR FURTHER INFORMATION CONTACT:
 Mr. Bruce Polkowsky, MD-15, Office of
 Air Quality Planning and Standards.
 U.S. Environmental Protection Agency.
 Research Triangle Park, North Carolina
 27711. Telephone: (919) 541-5540.
 SUPPLEMENTARY INFORMATION:

/ Docket Statement
    All per'inent information concerning
  the development of these regulations is
 included in Docket No. A-79-01. The
 Docket i3 open for inspection by the"
 public between the hours  of 8:00 a.m.
 and 4:00 p.m.. Monday through Friday,
 at the EPA Central Docket Section. West
 Tower Lobby, Gallery One, 401 M
  Street, SW.. Washington.  D.C.
  Background documents  normally
  avuiUble to the public, such us Federal
  Register notices and Congressional
  reports, are not included in the docket.
  A reasonable fee may be charged for
  copying documents.
  I. Background

  A. Statute
    Section 123 was added  to the Clean
  Air Act by the 1977 Clcun Air Act
  Amendments. It prohibits stacks taller
  than good engineering practice (CEP)
  height and other dispersion techniques
 from affecting the emission limitations
 required to meet the national ambient
 air quality standards (NAAQS) or
 prevention of significant deterioration
 air quality Increments (PSD increments).
 Section 123 require* EPA to promulgate
 regulations which define CEP stack
• height, and which restrict the use of
^ther dispersion techniques, including
^termittent or supplemental control
 techniques. This rulomaklng fulfills this
 requirement In the near future. EPA
 alto Intends to propose rules on the use
 of Intermittent control techniques.
 B. Rulemakiny
   On January 12.1979 (44 FR 2008). EPA
 published a notice proposing limitations
 on stack height credit and other
 dispersion techniques. The notice
 proposed specific rules  to be used In
 determining CEP stack height for any
 source and specific requirements for
 Slate Implementation Plan (SIP)
 revisions. EPA provided an extended
 period for the submission of public '
 comments on these proposed
 regulations. EPA held a public hearing
 on May 31.1979 followed by a 30-day
 period for the submission of additional
 comments (44 FR 24329. April 25.1079).
 EPA provided for comments on
 additional technical Information (44 FR
 40359. (uly 11.1979 and 46 FR 24590.
 May 1,1981). Finally, EPA recently
 reproposed the regulations with changes
 made in response to the comments
 received (46 FR 49814. October 7.1901).
   Forty individuals and groups
 commented on the October 1981
 proposal. EPA has considered all
 comments and has made a number of
 changes in the regulations In response to
 these comments. Most of these changes
 simply clarify the proposed rules. The
 revisions are outlined in Section IV:
 "Changes in the Regulations from the
 October 1981 Proposal." In addition,
 EPA has prepared a document entitled
 "Summary of Comments and Responses
 on the October 7.1981 Proposal of the
 Stock Height Regulations." This
  document has been placed in Docket A-
  79-01, and, depending upon available
  supplies,  copies may also be obtained
  from:  EPA Library (MD-35). U.S.
  Environmental Protection Agency.
  Research Triangle Park. N.C. 27711.  A
  copy of this document will bo sent to all
  persons who submitted comments on the
 • October 1981 proposal.
  C. Documents
    In conjunction with the regulations.
  EPA developed several technical and
  guidance documents. These served as
  background information for the
  regulations and all arc Included in
  Docket No. A-79-01. The following
document* have been placed In the
National Technical Information Survlcu
(NTIS) system and may be obtained by
contacting NTIS lit 5205 Port Roynl Kd..
Springfield. Virginia 22101.
  (t) "Guideline for Datemilnallon of Gout!
Engineering Practice Suck llelxl.t (Tuchnlciil
Support Document (or Slick I leighl
Regulation!)." (uly 1IW1. c.3. Environment*!
Protection Agency. Office o( Air Qunlily
Planning and Standards. EPA-4SO/4-WM)23.
(miS PD82145301)
  (2) "Guideline for U.e of Fluid Motlcllnii to
Determine Good Engineering Practice Sluck
Height" July 1M1. U.S. Environment*!
Protection Agency, Office of Air Quiihly
Planning and Standards. EPA-4SO/4-H1-W13
(NTIS POM 145327)
  (3) "Guideline for Fluid Modeling of
Atmoipheric Diffusion." April 1081. U.S.
Environmental Protection Agency,
Environmental Sciences Research
Laboratory. EPA-«00/8-81-000. |NT1S  I'UHl
201410)

II. Program Overview

A. Tho Problem
             «
  There are two general methods for
preventing violations of the NAAQS und
PSD Increments. Emission controls
reduce, on a continuous basis, the
quantity, rate, or concentrations of
pollutants released into  the atmosphere
from a source. In contrast, dispersion
techniques rely on the dispersive effects
of the  atmosphere to carry pollutant
emissions away from a source iind to
prevjnl high concentrations of
pollutants near the source. The Clcun
Air Act requires pollution sources to
meet the NAAQS and PSD Increments
by complying with emission limitations
instead of relying on dispersion
techniques.'Section 123 defines stuck
height exceeding CEP as a dispersion
 technique.
   Tall stacks and intermittent or
 supplemental control systems (1CS or
 SCS) are the two busic typos of
 dispersion techniques. Tall stacks
 enhance dispersion by releasing
 pollutants into the utr at elevations high
 above ground level, increasing the
 volume of air through which pollutants
 must travel to reach the ground.
 Releasing pollutants from H tnll sluck
 allows a source to reduce the umbient
 levels of its pollution as meusurccl ut
 ground level without reducing the
 amount of pollution It releases.
 Intermittent and supplemental control
 systems vary a  source's rate of
 emissions to take advantage of
   'S« Section* 110(<)(2)(D|. 123. 3O?|M. »'»! 3021ml
 of the Act. 42 U.S.C. 7410(«]12)|B). 7423. 7«i:(V). Hml
 7002|m).Thi Notice ol Proposed Kulumi.l>m«
 conUIni « more detailed dticuivun of Ihe AIM'S
 prohibition of the use of dispersion lcLhnu(urs. Src
 44 FR 2008-20ia

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            Federal Register / Vol. 47. No.  20 / Monday. February 0. 111(12 /  Rules iind KuxulutiunM       5UC5
 meteorological conditions. When
••atmospheric tondinons-do-noHuvor .........
 dispersion and an NAAQS may bo
 violated, the source temporarily reduces
 lu pollutant •minions. When condHloni
 favor rapid dispersion. the iouree omlti
 pollutants at higher rates.
   Use of dispersion technique* Instead
 of constant emission control* can result
 In additional atmospheric loadings
 which may contribute to undesirable
 environmental effects. The use of tall
 stacks Increases 4ha possibility that
 pollution will travel long distances
 before It settles to the ground.
   Although dliipenion techniques may
 produce adverse effects, some stuck
 height is needed to prevent excessive
 concentrations of pollutant emissions
 created by airflow disruptions caused
 by structures, terrain features, and
 ground-level meteorological phenomena.
 These excessive concentrations result
 from interference with the plume.
 Section 123 responds to this problem by
 allowing EPA to give a source credit for
 that portion of Its slack height needed to
 prevent excessive concentrations near
 the source. This height Is called CEP
 stack height.
    The regulation? promulgated today
 define "excessive concentrations."
 "nearby," and other important concepts.
 They also establish methods for
 determining the CEP stack height for all
 stationary sources to which these
 regulations apply.
 B. The Prvyram
    These regulations do not limit the
 physical stuck height of any source, nor
 require any specific stack height for any
                                  "'""
  maximum stack height credit to be used
  in ambient air quality modeling for the
  purpose of setting an emission limitation
  and calculating the sir quality Impact of
  a source. Sources are modeled at the
  physical stack height unless that height
  exceeds their CEP stock height. The
  regulations apply to .all stacks
  constructed and all dispersion
  techniques  implemented since December
  31. 1970.
    1, Methods of Determining CEP Stack
  HtiighL The regulations establish three
  basic methods of calculating a source's '
  CEP stack height.
    (a) De mlnimls height— EPA is
  adopting 05 meters as the minimum CEP
  stack height for all sources regardless of
  the size or location of any structures or
  terrain features. Sixty-five meters
  represents a reasonable estimate of the
  height  needed to insure that emissions
  will  not be  affected by common ground-
  level meteorological phenomena which
  may produce excessive pollutant
  concentrations. Typical causes of these
 phenomena Include surface roughness
•and the tempera lure chtingus-CMusudby	,
 the solar heating and terrestrial coaling
 cycle (see page 28 of the Technical
 Support Document).
   Virtually all significant sources of SO,
 can justify stack height credits greater
 than K motors. Accordingly, this de
 mlnimls height will have little effect on
 atmospheric loadings of sulfur dioxide.
   (b) Mathematical Formulas—
 Excessive concentrations may be
 produced by down wash, wakes, and
 eddies caused by structures located near
 the stack. EPA Is adopting two formulas
 with which to calculate the CEP slack
 height: One for slacks in existence on
 January 12,1070 (the date of publication
 of EPA original proposed rules], and one
 for stacks constructed after that date.
   For slarks in existence on January 12,
 1979. EPA has adopted the traditional
 engineering formula of two and one-half
 times the height of the nearby structure
 (H.-2.5H) as the formula for
 determining the CEP stuck height. For
 stacks constructed after January 12.
 1979, EPA has established a refined
 formula of the height of the neurby
 structure plus one and one-half times the
 height or width of the structure,
 whichever Is less (H.-H + 1.5L) as tha
 formula for determining the CEP stack
 height.
   (c) Physical Demonstration—In some
 cases, a source may need a stuck tnller
 than the  height predicted by the
 formulas to prevent excessive
 concentrations of a pollutant duo to
 downwash, wakes, or eddies created by
 structures or terrain obstacles. In such
_ cases. Sectjon_123j)rovldesJhn_t_a.jiqurce..
 "may obtain credit for all of the stuck
 height necessary to avoid excessive
 concentrations provided it demonstrates
 to the satisfaction of the reviewing
 authority that the additional height is
 necessary.
    EPA is requlrina such a source to
 demonstrate that maximum
 concentrations caused by the source's
 emissions from its proposed stack
 height, without consideration of nearby
 structures or terrain obstacles, will
  increase by at least 40 percent when the
  effects of the structures or terrain
  obstacles are considered. This
  difference in concentrations must be
  shown either by a fluid model study
  conducted in accordance with guidelines
  published by EPA or by a field study •
  which has been approved by the
  reviewing authority.
    Before a source can obtuin credit for u
  CEP stack height determined by a fluid
  model or field study demonstration.
  Section 123(c) requires that the
  reviewing authority must notify the
  public of the avullubility of the source's
demonstration study and must pruviili;
jin.opporiunlly.fur4».puljlic.hi:«rji)«.	
  2. Method of Adjusting CEl> Stuck
Heifihlfor Elevatud Terrain An-tts. A«
traditionally defined, plume Impuctior.
occurs when a plume emitted from a
stack Interacts with terrain Unit U taller
than the stack. The contact between Iliu
plume and the terrain can produce high
pollutant concentration*. Kl'A Is
establishing a procedure which will
hllow sources to adjust their CEP stuck
height to avoid modeled plume
Impactlon on elevated terrain causing
one to predict violations of the NAAQS
or applicable PSD Increments which will
not occur, (This procedure I* explained
In Section IV.C.) The predicted
violations will not occur because tho
physical slack height Is sufficient to
ensure that thr plume passes over the~7~
elevated terrain.
   Before a source can obtain credit for a
CEP stack height base;! on allowances
 for terrain impactlon, the reviewing
 authority must notify the public of the
 availability of tho source's
 demonstration study and must provide
 an opportunity for a public hearing.
   3. Crandfathervd Slack Height. The
 1970 Clean Air Act became effective on
 December 31,1970. Prior to that date
 some sources hod constructed slacks
 taller than their CEP height, in Suction
 123, Congress recognized this and
 exempted those sources' stack hcixhls.
 Section 123 allows credit for stuck
 height in existence on December 31.
 1970. A source's  stack is considered to
 bo "in existence" if that stuck wax part
 of the design of a facility on  which	
 construction commenced prior to
 December 31.1970.
    4. Other Dispersion Techniques. The
 regulations prohibit the  use of other
 dispersion techniques to attain or
 maintain any NAAQS or protect 11 PSD
 Increment. Those techniques include
 major alteration of plume characteristics
 such ns the manipulation of  exhaust
 flow rates or temperuturcs for the
 purpose of enhancing plume rise. The
 regulation defines three types of
  dispersion techniques: (1) tall stacks. (2)
  use of ICS or SCS. and (3) addition of B
  fan or reheater to obtain » less stringent
  emission limitation. However, the
  regulations exempt (1) reheating of a gas
  stream following the use of  u pollutant
  control system.  (2)  smoke management
  in agricultural or silvicultural programs,
  and (3) combining exhaust gases from
  several slacks into one sl.tck.

  III. Slate Implementation Plan
  Requirements

     EPA is establishing a two-stage
   process for the  implementation of these

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   5866      Federal  Register / Vol. 47. No. 20 / Monday,  February U,  19112 / Rules und  Regulations
   regulations. AH Slates mutt review anJ
  jevlsa." ngcaoajy. thiHr S1P» lo-
 tho new formula should bo npplicd
	•IriclUda-prtwiilonrthaTllmU itack height"
   credlti and dUpenlon tcchnlquci In
   accordance with thorn regulation*.
  'Section 40n(d)(2) of the Clean Air Act
   Amondmenti ol 1877 rnqulrel that these
   SIP revision* be submlttad within nine
   month* of promulgation of thoie
   regulations.
     After EPA approves • State's stack
   height rules, the State must review
   existing limitations to determine
   whether these limitations have been
   affected by stack height credit above
   CEP levels or any other dispersion
   technique. If so, the Slate must revise
   the emission limitations to be consistent
   with itc revised SIP.
	IV^Changes In the Regulations From the
   October 7.1981 Proposal

     EPA has made several change* in the
   proposed regulations as a rasult of the
   public comments on the reproposed
   regulations. These changes are noted
   below.

   A. Prospective Application of the New*
   CEP Formula

     On February 18.1978 (41 FR 74SO),
   EPA published the "Stack Height
   Increase Guideline" which provided
	guidance on Its policy for the uae of tall
   (lack*. The guideline permitted credit
   for stacks up to two and one-half times
 • the height of the facility It served. On
   November S. 1077, after passage of the
   Clean Air Act  Amendments of 1377,
   EPA promulgated a final rule on some
   changes_tp_ils prevention of. significant
   'delcrioration (PSD) program (42 FR
   57459). As part of the preamble to that
   notice, EPA defined CEP as "two and
   one-half times the height of the source"
   (2.5H).
     On January 12,1979 (44 FR 2608). EPA
   proposed regulations to implement
   Section 123  which refined the two and
   one-half times rule by defining CEP
   slack height as the height of a nearby
   structure plus one and one-half times the
   lesser of the height or width of the
   nearby structure (H-t-l.SL). That
   proposal and the rcproposal of thut
   regulation on October 7.19S1  (46 FR
   49014) would have made the new
   formula retroactive to December 31,
   1970.
     Four commcntcrs argued that EPA's
   definition of CEP. until January 12.1979.
   had been baaed on two and one-half
   times the building height and that
   sources In good faith had constructed
   stacks In accordance with thut
   definition. A.pplying the new formuln
   retroactively would be unfair to those
   sources. The commcnlers argund that
undur stable atmospheric condition* in
TvliU.li tin;
	th' re'tpohsb'tb'theso 'cbmmdnla, EPA'" "
 has developed two formulas for
 determining CEP stock height: (1) For
 stacks In existence on January 12.1070,
 the formula Is H. - 2.5H; (2) for all other
 stacks, tho formula 1s H.-H + l.SL
 B, Definition of "in existence"
   Section 123 does not affect stack
 heights "in existence" on December 31.
 1970. In October 1981. EPA proposed to
 define "in existence" to moan that the
 ov/ner or operator of a stuck hud
 obtained all necessary proconstructlon
 permits or approvals required by
 Federal. State or local air pollution
 control agencies, and either (1) actunlly
 commenced construction, or (2) entered
 Into a binding commitment for
 construction.
   Comments on the  reproposed
 definition stated that this new definition
 would discriminate unfairly ago Ins t
 sources located in the few States or
 local Jurisdictions which required
 construction permits for air pollution
 sources in 1970. (There were no Federal
 permit progrnmo In 1970.) EPA agree*
 that the reproposed  definition might
 operate unfairly. EPA has dclolod the
 requirement for such approvals or
 permits in determining whether a
 source's stack Is "In existence" as of
 December 31.1970.
   However, the regulations now apply
 the two and one-half tlmos formula for
 determining CEP only to stacks "In
 existence"  on January 12,1979. Federal
 requirements for preconstruction
 permits for air pollution sources were
 effective well before 1979. Accordingly,
 EPA is retaining the permit requirement
 for sources which want to claim credit
 for stacks "in existence" as of January
 12.1979. EPA has changed 5 Sl.l(ii),
 which defines CEP, to require sources
 wishing to  use the two and one-half
 times formula to show  that they hud
 obtained, prior to January 12.1978, all
 preconsluction permits required by 40
 CFR Parts 51 and 52.
    The remaining portions of the
 definition of "In existence"  ore identical
 to the October 1981 proposal.
  C. Impaction Credit
    Many comments  on the January 1979
  proposal asked EPA to provide stack
  height credit for a source which
  experiences plume  Impaction. Plume
  impaction occurs when a plume emitted
  from a stack interacts with a terrain
  feature that is taller than the stack. The
  contact between the plume and the
  terrain feature can  produce high
  pollutant concentrations, especially
  EPA decided thnt sources should
rucolve stack height credit when
Impacllon produces concunlrntiuii* luxh
enough to violate an NAAQS or
applicable PSD Increment. KI'A Included
In Its October 1901 reproposul u
procedure for determining the nmounl «l
credit needed to prevent plume
Impacllon.
  EPA has received three typ«s of
comments on the proposed Inipnclinn
credit. Environmental groups churned
that Section 123 docs not authorize
Impaction credits. Several Industrial
commenlers asked EPA to clarify the
proposed procedures for impiiction
credits. Finally, some Induslriul
commanlars asked EPA to modify H
portion of Its proposed procedures. To
respond to these comments. EPA is
presenting below a brief description of
its rationale and procedures for
impaction credits. EPA Is also providing
a brief explanation ol it* reason for
declining to make procedural
modifications.

(1) Rationale
  Plume Impuction resembles
downwash. wakes, and eddies. In ull of
these events, structures or term in
features Interfere with plume dispersion.
If the Interference  occurs relatively  close
to the stock, before the plume hue hud
adequate opportunity to disperse, high
concentrations of pollutants ctin occur.
  In enacting Section 123, Congress
decided that sources should be allowed
sufficient stack height credit to prevent
high pollutant concentrations cuuscd by
downwash, wakes, and eddies.
Congrcsc called this height "good
engineering practice." Any additionul
stack height was to be regarded as  H
dispersion technique that might allow H
 source to relax its emissions limitations
 Section 123 does not mention impuclion
 However, neither  the languuge of the
 statute no.- the legislative history show
 that this omission wai; deliberate. EI'A
 considers impaction to be enough like
 downwash that the same rationale
 should apply. CEP slack height should
 include credit needed lo avoid hi^h
 concentrations cuuscd by impnclion
 Accordingly, EPA has decided to
 exercise general rulcmaking authority lo
 cstabliih stack height credit needed lo
 prevent high concentrations cuused by
 plume Impaction.
   EPA recognizes Congress did not
 want the stack heigh', rules to granl lot)
 much credit to sources locating in
 complex terrain, for "the result could be
 on open invitation to raise stuck hni^hls
 lo unreasonably high elevations."  11 R

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             Federal Register  / Vol. 47. No. 20  /  Monday.  February B.  1002 / Rules and RuKuliillons       5W~
  Rep, No. 8S-204. BSth COM., lit Sail, it
-J)a(1977)jnkanfara. EPA has carefully. -
  tailored inunction credit procedure* to
  provide only the minimum itook holghl
  credit needed to avoid high
  concentrations * produced by tmpaction.
  Theie procedure! tre described In man
  detail below.
    EPA li convinced that 111 narrowly
  drawn rules represent a reasonable
  solution (or a plume oflect that closely
  resembles the phenomena of downwash,
' wakes, and eddies. Credits for plume
  Impaction, when carefully limited.
  should not be regarded as a dispersion
  technique. Although the promulgated
  procedure allows tor the use of some
  stack height to avoid high pollutant
  concentrations en elevated terrain. It
  does not permit excessive dispersion
  credits.  '   -
  (2) Explanation of Procedure*
    EPA has developed a three-step
  procedure for determining the amount of
  stack height credit appropriate for a
  source with a predicted Impaction
  concentration violating an NAAQS or
  applicable PSD Increment.
    First a source must determine Us
  downwash CEP height—the amount of
  stack height that can be justified based
  on downwash, wakes, or eddies—using
  any of the three methods described In
  Section 113. above. Using this CEP
  height, the source must show that Its
  plume would come Into contact with
  elevated terrain (defined as terrain taller
  than this CEP height) and together with
  background concentrations cause a
  violation of an NAAQS or applicable
  PSO increment If the source cannot
  show that a violation would occur. It
  cannot claim any  Impaction credit Its
  slack height credit would be limited to
  the CEP height already calculated.
    If a violation Is modeled, the second
  step Is to determine the source's
  maximum allowable emission limitation.
  In this step the source would model its
  air quality impact using the previously
  determined CEP height and assuming
  that the terrain feature(s) causing
  Impaction Is no taller than Us
  downwaah CEP height Using the
  appropriate maximum concentration
  from this modeling scenario, the source .
    'EPA coniidcn "hlilh concentralloni" la be i
   violation of an NAAQS or applicable PSD
   Increment. Unlike "excessive concentrations"
   Cauud by downwash, high concentrations caused
   by plum* Impaetlon o=cur In different
   Meteorological conditions than downwesh end ere
   longer In duration. High concentration! due to
   plume Impnctlon can be compared easily (o an
   NAAQS or applicable PSO Increment. Therefore.
   EPA has required that the concentration cauiod by
   ptume impactiun mutt be In excess of en NAAQS or
   applicable PSD increment before a aoiircv can
   edjutt lt> OKI1 stuck, height.
would calculate an emission limitation
•which would become Its maximum
allowable emission limitation.
  Hit third stop allows the source lo
adjust tti CEP stack height lo account
for the plume Impaction on actual
terrain features above the downwash
CEP stack height The source cannot
adjust Ita maximum allowable emission
limitation. The source would model Its
air quality Impact again, this time using
actual terrain elevations, but limiting Its
emissions to the rate fixed by the
emission limitation developed'ln step
two. The source would increase the
height of the stack In the model to the
height at which the maximum
concentration predicted to occur on
elevated terrain equaled the maximum
concentration predicted to occur In step
two. This Increased stack height Is the
source's maximum CEP height to avoid
high concentrations due to Impaction.
   Uke the downwash CEP height this
 stack height will represent maximum
 allowable credit The source would not
be able to claim this credit If Its physical
 (actual or proposed) stack height wore
 not as tall as its mnximum creditable
 height In that case, the source would be
 able to claim only Us physical  slack
 height A source with physical stack
 height lower than Its allowable CEP
 height would have to adjust Its emission
 limitation downward to prevent a
 violation of an NAAQS or applicable
 PSD Increment.

 (3) Modification Requested by
 Commentary

   The electric utilities requested thut
 EPA assume, during the Step two
 modeling, that all terrain features ure no
 taller than ground elevation at the biiso
 of the stack or. In other words, that the
 source Is located In absolutely Hot
 terrain.  The utilities believe that this
 assumption In necessary to ensure
 equity between sources located in
 elevated terrain and sources In flut
 terrain.
    EPA has decided not to moke this
 change  to Us procedure. EPA's objective
 is to provide the minimum stuck height
 credit needed to allow a source to avoid
 high concentrations caused by plume
 Impaction. A source In assumed Hut
 terrain  would obtain a less restrictive
 emission limitation than a source In
 terrain  assumed to be as tall as Us
 downwash CEP height. The flat terrain
 assumption would thus allow a source
 to obtain more slack height credit thun
 needed to prevent Impaction. It would
 also have a greater negative Impitct on
 air quality by allowing luller stocks and
 more relaxed emission limits.
D. Dliponlon Tochnique

  ETA received numerous conmiunti on
the ddflnlllon of the term "illipi-nlon
technique." Most of thnso comments
stated that wording concerning tha
enhancement of plume rlsu win vuxuc.
Comments specifically mentioned that
many changes In operation or equipment
made for engineering purposes, lo
Improve reliability or efficiency, could
be construed as a dlsperison technique.
This la not the Intent of the definition.
EPA has changed the definition of
dispersion technique to prevent the
addition of a fan or rehealur to ob'.uln a
less stringent emission limitation. The
purpose of this change is  lo prevent only
the Installation of equipment clearly
Intended to enchanee plume rise. The
new definition should not prevent
equipment changes Intended to Improve
reliability and efficiency.

£ Definition 0} "Stack"
   Comments on the January 11)70
proposal urged EPA to exempt "(lures'*
from the definition of "stock." EPA
agreed that flares, which arc designed to
dispense heat and vent emissions
Intermittently for safety purposes, do
not serve the same purpose as stocks.
which are typically a source's mnjor and
most constant emissions  point. EPA
announced that It would  exempt flares
from the slack height regulations in tha
preamble to the October 1001
reproposal. New  comments urged EPA
to Include this exemption In the
regulations themselves to ellminnic any
potential for confusion or
 misunderstanding. In response to these
 comments. EPA Is incorporating a
 specific exemption fur flares Into the
 definition of "stuck."

 F. Section 123 and Physical Slack
   EPA received several comments on
 the October 1981 repropo.ml which — ..... —
 Indicated that the commenters believed
 that the proposed regulations would give
 EPA authority to limit a source's uctuul
 stuck height EPA did not Intend to
 create this Impression. In fuel, F.PA
 stated in the preamble to the rcpropnsiil
 thut Section 123 expressly prohibits thu
 Agency from limiting physical alack
 height. Section 123 limits only the
 theoretical slack height used in
 determining a source's emission
 limitation. However, to climtnttto this
 confusion. EPAJs adding a stttlement to
 JS 51.12(i) and 51.18(1) of the resolutions
 stntlng that these regulations do rot
 restrict in any manner the actual height
 of any stnck at tiny source.

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5868       Federal Register / Vol. 47. No. 28 / Mondiiy. Fobninry H. H1H2  /  Riilfi  uncl  Rcgulullunii
G. AfttiMUiwrnMtf ofBtnrk
  In lha pmpui«il iluftnlilim u( M
"alack." EPA Holed that the "stack
height li the distance from the ground-
level elevation of the plant lo Ilin
•lavatlon of the (lack outlet." Boverul
commenters requested clarification In
thi establishing th« (round-lave!
elevation of the plant. For Inalanca. the
commenUn noted that where a plant
was buflt on • slope the regulation could.
                                      VI, (Uiulftlary flimlblllly Annlysls
                                        IHirsiiNitl |u lit* (iriivUliins ul ft II.H.U
                                      006|bJ. I hereby certify that tlm attached
                                      rule will not have significant economic
                                      Impact on a substantial number of small
                                      entitles. This rule applies only to lurge
                                      sources. The Impact assessment
                                      predicted that these regulations would
                                      not have significant Impact on any smnll
                                      entitles. Based upon our Impact
                                      analysts, only electric utility plnnts nnd
                                      possibly'om smelter wttlbe
 portion of ins plant iiie consldurod
 ''nearby" the (teak,
   EPA is changing the regulations to
 clarify this point. EPA deleted from the
 definition of« "stack," the statement
 defining stack height However, EPA
 clarified the methods for determining
 CEP slack height by stating that all
 alack and structure heights are
 measured from the ground-level
 elevation at the base of the stack.
   If a stack is on top of a building, tht
 ground-level elevation of the building Is
 used as the base elevation. In order lo
 appropriately assess the impact of
 nearby structures on this slack height,
 the height of structures Is alao
 determined relative to the ground-level
 elevation of the stack.

 H. Minor Wording Changes
   Several commenters Identified
 typographical errors and areas where
 minor wording changes could clarify  the
 regulations. These and other wording
 changes have  been made to correct and
 to clarify the regulations. These changes
 did not have any significant effect on
 the regulations.
 V. Impact Analysis
   'EPA has prepared a scries of impact
 analyses on thrse regulations. These
•- analyses-are-hv Docket •A-yiMnrThe-	
 analyses show that the expected 'Vorst-
 case" national annual costs to f sesU-fuel
 Fired power plants should be less than
 $45 million per year. These costs result
 from conservative estimates of required
 purchases of lower sulfur coul nnd
 mtlmnlna of required rnlrof\( of
 electrostatic preclpllators at some plants
 which purchase the lower sulfur coal.
 The worst-case analyses show that the
 expected reduction in SOj emissions is
 less than 200,000 tons per year.
 Nationally, these costs could increase
 electric utility rate charges
 approximately 0.1 to 0.2 percent.
 Increases for Individual power company
 rates could range from 0.5 lo 30 percent.
                                             Undsr Executive Ordnr 1221)1, KI'A
                                           must Judge whether e regulation is
                                           "major" and therefore subject to the
                                           requirement of • Regulatory Impact
                                           Analysis. This regulation is not "major"
                                           because U does not result In an annual
                                           effect on the economy of $100 million.
                                           nor does It result in • major Increase in
                                           costs or prices for consumers. Federal
                                           State, or local governments or Individual
                                           Industries, including the electric power
                                           Industry.
                                           VIII. Judicial Review
                                             FPATr»lmunr-rtmUhl« ruin U hii.ivt nn^
                                           determinations of nationwide scope and
                                           effect Nothing In Section 123 limits Its
                                           applicability to a particular locality,
                                           State, or region. On the contrary. Section
                                           123 applies to sources wherever located.
                                           Because of the rule's notional
                                           applicability. Section 307(b) (42 U.S.C.
                                           7007(b)) requires that any petition for
                                           review of the promulgated rule be Filed
                                           only In the United Stated Court of
                                           Appeals for the District of Columbia and
                                           within 60 days of the date of
                                           publication.
                                           (Sect. 110,123, 301. Clean Air Act ai
                                           amended (42 U.S.C. 7410. 7423. and 7001)
                                             Dated: January 31.1&82.
                                           John W. Hernandez, Jr.,
                                           Acting Adminittntor.
•"PARTST-TtEOUIREMENTSFOR	
 PREPARATION. ADOPTION, AND
 SUBMtTTAL OF IMPLEMENTATION
 PLANS

   r>art 51 of Chapter I. Title 40 of the
 Code of Federal Regulations is amended
 H« follows)
   1. Section 81.1 Is amcmdod by ruvialiuj
 paragraph (z) und by uddlng purugniphs
 (fO. (88). (hh). (11). (jj). (kk), (II). and (mm)
 as follows:

 {51.1  Definitions.

   (z) "Emission limitation" and
 "emission standard" mean a
 requirement established by a State, local
 government, or the Administrator which
limits III* qunnllly. ruin, tir
IHIMI-HllllMllllll III PllilMlllHI III rill
pulUiliinli an a wiiilliiumu Imtis,
Including any requirements which limn
Iliu level of opacity, prescrllm
equipment, sal fuel specifications, ur
prescribe operation or maintenance
procedures far a source lo assurn
continuous emission reduction.

   |ff) "Suck" mean* any point In •
source designed to «mli •oluls. liquids

     (nil  fr si«uk in'e"d engineering pructicr jlnuk height.
                                                                                       meuiurcd from the grouml-lnvol
                                                                                       elevation at the bate of the (luck.
                                                                                   ll»helsh! of nearby «tructure(a) mensun-d
                                                                                       from the (round-level elevation ill the
                                                                                       base of the stack.
                                                                                   L<»lessrr dimension (heijjht or projecml
                                                                                       width) olnoarby »truclurc|s);

                                                                                      (3) The height demonstrated by 11 fluul
                                                                                   model or a field, study approved by thr

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           Federal Register / Vol. 47, No. 20 / Morv.lny. Fuliniitry B. 1UB2 / Rulus  nnd
                                                                       5UGU
reviewing agency, which Bniurat that
the omlitloni from • »tack do not reiull •
In excessive concentrmtloni of any air
pollutantat • mult of atmospheric
downwash. wakes, or eddy effect!
created by the tource Itself, itructuroi,
or terrain obstacles.
  ()|) -Nearby" ai mod In I 6U(II)(2) li
that dlitance up to five tlmei the letter
of the height or the width dimension of a
•tructure but not greater than 1X8 km
(one-half mile). The height of the
structure It measured from the ground-
level elevation at the base of the stack.
  (kk) "Excessive concentrations" for
the purpose of determining good
engineering practice stack height In a
fluid model or field study means a
maximum concentration due to
downwash wakes, or eddy effects
produced by structures or terrain
features which Is at least 40 percent In
excess of the maximum concentration
experienced In the absence of such
downwash, wakes, or eddy effects.
   (11) "Plume Impactlon" means
concentrations measured or predicted to
occur when the plume Interacts with
elevated terrain.
   (mm) "Elevated terrain" means terrain
wfyr^ avfft^^y the elflvtHpn ^f
pollutant must not be affected by so
much of any source's stuck height that
exceeds good engineering practice or by
any other dispersion technique, except
as provided In I S1.12(k) and (1). The
plan must provide that before a Stale
submits to EPA a new or revised
emission limitation that Is based on a
good engineering practice stack height
that exceeds the height allowed by
181.1(11) (1) or (2). the State mutt notify
the public of the availability of the
demonstration study and must provide
opportunity for public hearing on It. This
Section does not require the plan to
restrict, in any manner, the  actual stack
height of any source.
   (k) The provisions of i I 91.12(1) and
81.18(1) shall not apply to (l) slack
heights In existence, or dispersion
techniques implemented prior to
December 31,1070, or (2) coal-fired
steam electric generating units, subject
to the  provisions of Section 118 of the
Clean Air Act, which commenced
operation before July 1,19S7, and whose
stacks were constructed under a
construction contract awarded before
February 8,1074.
   (1) The good engineering  practice
IGEl'J stack halghlIot.Bny_io.urce__
 engineering prectice stack as calculated
 under paragraph (II) of this section.
   2. Section 51.12 it amended by adding
 paragruphi (J). (k), and (I) at fallows:

 151.12  Control strategy. General.
   (j) The plan must pruvlde that the
 degree of emission limitation required of
 any source for control of any nlr
 seeking credit because of plume
 Impactlon which results In
 concentrations In violation of nntlonal
 ambient air quality standards or
 applicable prevention of significant
 deterioration Increment! can be
 adjusted by determining the stark height
 necessary to predict the sumo maximum
 air pollutant concentration on any
 ulovuted terrain feature ui the maximum
concentration associated wiili (lie
emission Until which results lium
modeling the source using the CK1' »iai
height at determined In i SI.l(il) and
atsumlng the elevated terrain (caluu-t lu
be equal In elevuliun lu Ilia I'M' stuck
height. If Ilils ad|uilud CKI1 sUck liciuht
It greater than the slack height the
source proposes lu use. the source's
emlmlon limitation and air quality
Impact shall be determined using the
proposed slack height nnd the actual
terrain heights.
  X Section 51.18 It amended by adding
paragraph (I) at follow*:

111.11  Revttw of new sources end
modification!.
   (I) Such procedure* must provide that
 the degree of omission limitation
 required of any aource for control of any
 air pollutant mutt nol be affected by so
 much of any source's slack height (hit!
 exceedt good engineering practice or by
 any other dispersion technique, except
 nt provided In i S1.12(k) and (i). Such
 procedure! mutt provide that before a
 Stale Issues a permit to a source based
 on a good engineering practice stuck
 height that exceed! the halghl allowed
 by | 51.1(11) (1) or (2). the Stale musl
 notify the public of (he availability of
 the damon*iri«(lon study and musl
 provide opportunity for public hearing
 on It. This section does not require suc|
 procedure! to restrict. In any manner.
 the actual stuck, height of tiny source.
 |KX U*. u -

 KUma COM (MO-M-M

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             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
    ;               Office of Air Quality Planning and Standards
                  Research Triangle Park, North Carolina 27711


                         OCT 2 8 1985


MEMORANDUM

SUBJECT:  Determining Stack Heights "LrflExIsten^e"  Before December 31,  1970

FROM:      Darryl D.  Tyler, Director/%,
          Control Programs Development DyrTsion (MD-15)

T0:       Director,  Air Management Division
          Regions I-X

     The following guidance is provided to'describe how the definition  of
"in existence" should be implemented and to assist  States and  emission
source owners and operators in providing appropriate evidence  of commitments
to undertake stack construction on or before December 31, 1970.   Please
note that this is guidance; States may submit alternative demonstrations
in support of grandfathering claims, if they feel the circumstances
warrant.

     We intend to rely on the general provisions of this guidance to
determine eligibility for grandfathering exemptions from certain other
provisions of the revised stack height regulations:  restrictions on the
use of GEP formulae for cooling towers, use of the  refined GEP formula,
fluid modeling to justi-fy GEP formula stack  height, credit for merged
stacks, credit for new sources tied  into grandfathered stacks, and credit
for stacks raised to GEP formula height.

Background

     Section 123 of the Clean Air Act, as  amended,  contains a grandfather
clause  intended to exempt stack heights and  techniques for pollutant
dispersion that *ere  in  existence on or before December 31, 1970, from
general provisions of Section 123 restricting the degree to whicn emission
limitations may be affected  by dispersion.   When EPA promulgated stack
neicnt  regulations pjrsuant  to Section 123  in 1932, it adopted a definition
of "stack heights in  existence before December 31,  1970."  This definition
allowed the grandfathering  of  stacks on which construction had not yet
commenced, but  for which  binding contracts  had been signed that could not
be modified or  cancelled  without substantial loss to the owner or operator.
The EPA's definition  was  upheld by  the U.S.  Court of Appeals for the D.C.
Circuit i n Sierra Club  v.  EPA, 719  F.2d 436, and has not been modified  in
 any way by the  rule  revisions  promulgated  on July S, 1935, except to
restrict  its  applicability  to  facilities that have not undertaken major
•ncdifications or  reconstruction, and have  not djcted the effluent gas
 stress fron  pcst-1970  units  into prs-1971  st2C
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     Subsequent to the recent revisions, questions have been raises  aoout
how the definition should be implemented, i.e.,  what EPA should  consider
to be a binding contract, and what should constitute a "substantial  loss"
for determining whether a stack should be grandfathered.

General Provisions

     The burden of proof for showing that a stack 1s eligible for
grandfathering exemption lies with either the State or the source owner or
operator, as appropriate, and documentation in support of exemptions must
be made available for public review during the rulemaking process.   In the
event that no case for exemption under this provision is made, or that
satisfactory support for such a request is not provided,  the stack is
presumed not to be grandfatnered, and therefore subject to the reouirements
of Section 123 and the stack height regulations  promulgated by EPA.

     Grandfathering exemptions may be supported in one of three  ways:  by
showing that the stack was comple- ed or was physically in existence  prior
to December 31, 1970; by showing that actual on-site continuous  stack
construction activities began on or before December 31, 1970; or by  showing
that a binding contract'for  stack construction was executed on or before
tnat date.

Documenting Stack Construction

     In cases where a stack  was completed prior to December 31,  1970,  the
State may make a summary determination that the stack 1s grandfathered,
but must provide an explanation of the reasons for  its determination.
One way in which it can be documented that the'stack was physically in
place  before December 31, 1970, is to provide a copy of the 1970 Federal
Power  Commission report  Form 67, which includes stack height, among  other-
information.  Evidence  that  may be submitted  to support the date of
commencement of  stack construction can  include virtually any contemporaneous
documentation  that  cliarly  indicates  that  construction activities were uncer
way  as of December  31,  1970.   This could consist of building inspection
records, construction materials delivery receipts,  correspondence,
interoffice memoranda,  photographic  records, or  news clippings.  In the
event  that  documentation is  lacking  or  weak,  EPA will  consider  affiaavi:s
wnich  include  detailed  descriptions  of  efforts  that were undertaken to
cotain contemporaneous  supporting  documentation.

Documenting Contractual  Obligations

     The date  of signature  on a  contract for stack  construction will oe
 acceptable  for  applying grandfathering  exemptions  if  the  contract itself
meets  certain minimum qualifications.   A "binding contract,"  under  the
 previously-discussed  provisions  is considered to  be one  that commits the
 source owner or operator financially to undertake stack  construction  and
 that did  not  have in  effect on December 31,  1970,  an  "escape" provision
 tnat allows cancellation by the  owner or operator without penalty.

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     In the event that a contract contains provisions  for  assessing
penalties for modification or cancellation by the owner or operator,  and
those provisions were"in effect on December 31,  1970,  then the  provisions
must be reviewed to determine whether the penalties and other costs  of
cancellation would have imposed a "substantial  loss" on the owner or
operator.  For new facilities, EPA will  presume that a substantial loss
would have resulted where the penalties  exceed  ten percent of the project
cost.  Where the project involves only stack construction  or replacement,
EPA will review claims on a case-by-case basis.

     If a contract does not contain provisions  which impose financial
obligations on the owner or operator for contract modification  or
cancellation, then any determinations of whether liability to the owner
or operator resulting from such modification would constitute substantial
losses must be made on a case-by-case basis.  In general,  EPA's rule  of
thumb relying on ten percent of the project cost will  be used.

     If you have any questions -.garding application of this guidance in
specific instances, please contact Eric Ginsburg at (FTS)  629-5540 or
Sharon Reinders and (FTS) 629-5526.

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             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
    z              Office of Air Quality Planning and Standards
   ./             Research Triangle Par*. Nortn Carolina 2771 1
                               OCT 1 o 19S5
MEMORANDUM

SUBJECT:  Questions and Answers  on  Imp! men ting the
          Revised Stack Height Regulation

FROM:     6. T. Helms, Chieff- L^   *•
          Control Programs Operations  Branch   (MD-15)

TO:       Chief, A1r Branch,  Regions  I-X

     A number of questions have  arisen in  several  areas  of  the  revised
stack height regulation since Its  promulgation on  July 8.   The  following
answers have been developed in  response.   The  questions  and answers  are
arranged under the general topic headings  of interpretation of  the
tion, State implementation plan  (SIP)  requirements,  and  modeling
Please continue to call Sharon  Reinders at 629-5526  if .you  have furthe
comments or additional questions.

Interpretation of the Regulation

1.  Q:  What criteria should be used to determine  when  a stack  was  'in
existence" with respect to the various grandfathering dates in  the
regul ation?

    A:  The recent promulgation of revisions to  the  stack height regulatic
did not change the definition of "in existence.*   The definition is  provid
in 40 CFR 51.1(gg) and includes either the commencement of continuous
construction on the stack or entering into a  binding contract for stack
construction, the  cancellation of which would  result in "substantial
loss" to the source owner or operator.  The definition  of what constitutes
a  "substantial  loss"  will be the subject of future guidance.

2.  Q:  What "source" definition should be used in determining whether tie-
ins to  grandfathered  stacks should be permitted or prohibited?

    A:  The term  "source" in this instance means  a single  emitting  unit.
Thus, credit for  tying  a  single post-1970 unit(s)  into  a grandfathered
stack serving  a  number of old units is prohibited under the  regulation.|

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                                   -2-


3.  Q:  What is meant in  the regulation  by  "facility"?

    A:  FOP purposes of this regulation, the definition contal-ned  in
40 CFR 51.301(d) should be used.   That definition essentially defines the
term as the entire complex of emitting activities on one property  or
contiguous properties controlled  by a single owner or designee.

4.  Q:  Must good engineering practice (S£P) stack height be established
separately for each pollutant?  If not,  how should 1t be determined?

    A:  It is not necessary to calculate a  separate 6EP stack height  for
each pollutant.  Since "SEP" is defined  by  Section 123 of the Clean A1 r
Act as the height necessary to ensure against  excessive concentrations of
any air pollutant, it follows that SEP should  be established for each
source based on the pollutant requiring  the greatest height to  avoid
excessive concentrations.

5.  Q:  How should "reliance" on  the 2.5H formula be determined?
                                                          *
    A:  First, "reliance" on the  2.5H formula  applies only to stacks  in
existence before January 12, 1979.  Credit  for "reliance" on the 2.5H
formula, can be granted under the  following  cases:   (a) Where the stack
was actually built to a height less than or equal to 2.5H;  (b)  Where  th*
stack was built taller than 2.5H  and the emission limitation reflects t.
use of 2.5H 1n the SIP modeling analysis; or  (c) Where  evidence 1s provide.
to show 'reliance11 as discussed in the  following paragraph.   If no model 1n:
was used to set the emission limitation  for the source, then it cannot  be
argu-ed that there was "reliance"  on the  formula, since  EPA's guidance was
specifically aimed at using stack height credit in  establishing emission
limitations.  Once it is determined that the  emission  limitation was  in
fact based on estimates of dispersion  from  the stack,  then  the  source can
be said to have properly "relied" on .the 2.5H formula.   In  the  event  that
it cannot be determined that the emission  limit is  based  on  "reliance"  on
the 2.5H fonr.uia, then the refined H *  1.51 formula must  be  used.

     Where a clear relationship between  a  2.5H stack height  and the
emission limitation cannot be shown, where  the emission  limitation was
not calculated  based precisely on the 2.5H  height,  or where the stac*
height used in modeling cannot be verified, then additional  evidence  win
be needed.  Preferred would be written documentation,  such as  copies  of
the original engineering calculations or correspondence between the State
or the emission  source owner  and EPA indicating that the 2.5H formula
should be used  to derive the  emission limitation.   However, recognizing
that  such evidence  is often not retained for more than a few years,
"reconstructed" documentation may be considered, but should only be used
as a  last resort.  This  evidence  should include explanations by those
individuals who were involved  in designing the facility, calculating
emission  rates,  and  who  represented the facility in dealings with the

-------
                                   -3-


State and EPA on how the emission  Unit was derived, including a discussion
of how the formula was originally  used  in deriving the source emission
limitation, a discussion of the analytical method applied, and a listing
of any contacts or discussions  with EPA during that period.  This listing
will  aid EPA 1n searching its own  files to find any records of communication
or correspondence that may bear on the  Issue.

     In no case should a source be allowed after January 12, 1979, to
obtain a relaxation in the emission limitation by arguing that 1t "relied"
on past EPA guidance endorsing  the 2.5H formula.  In cases where a relaxation
based on GEP formula height is  sought 1n the  future, the refined H * 1.51
formula must be used.

6.  Q:  The preamble specifically  discusses cooling towers as structures to
wnich the formula should not be applied.  Will the Office of Air Quality
Planning and Standards be specifying other structures that are not well
represented by the forraul a?

    A:  The discussion in the preamble  and GEP guideline  1s not  intended to
be all-inclusive; judgment should  be used 1n  determining when fluid
modeling should be used to estimate the effects of structures with rounded,
domed, or tapered shapes.  Water towers and storage tanks are additional
examples of such structures.  As additional Information becomes  available
on the aerodynamic effects of specific  building shapes  and configurations,
we will evaluate the need to revise the GEP guidance.   However,  at  present,
there are no plans to Issue a 'laundry  11st'  of structures to which  the
formulas do not apply.

SIP Requirements
7.  Q:  Should a compliance averaging-time be explicitly stated in a
SI? revision for sulfur dioxide ($03) emission limits that are revised to
meet the stack height regulation?

    A:  A compliance averaging time need not be specified as an enforceable
SI? provision as long as a stack test compliance method 1s in place in the
underlying  federally approved SIP.  EPA's current national policy requires
that SIP's  and permits contain enforceable 'short-tern" emission limits
set to  limit maximum emissions to a level which ensures protection of the
short-tera  national ambient air quality standards (NAAQS) and prevention
of significant deterioration (PSD) Increments.  EPA relies upon a short-term
stack test  provision in the SIP as the method of determining compliance
with the emission  limits.   In lieu of a stack test, EPA has  accepted  fuel
sampling and analysis and continuous emission in-stack monitors (OEM's).
When compliance  is to be determined  froa  Information obtained by  fuel
sampling and analysis and CE.M's,  short-term  averaging times  should be
specified.

-------
                                   •4-


8.  Q:   Are all  States  required to  have "stack height regulations"?

    A:   Limitations  on  creditable stack height and dispersion techniques
imoact  the SIP program  in two  areas—SIP emission Units for existing
sources and SIP provisions  covering new source review (NSRJ/PSD permitting
procedures.  For existing sources,  State regulations limiting credit 'for
stack height and other  dispersion techniques (stack height regulations)
are not necessary as long as the SIP emission limits are not affected in
any manner by so much of the stack  height as exceeds SEP, or any other
dispersion technique.  Where a State has stack height regulations, those
regulations must be  consistent with EPA's regulation.  Where a SIP contains
regulations that are inconsistent with EPA's regulation, the State must
either  adopt a stack height regulation that is consistent with EPA's or
Incorporate the EPA  regulation b; reference.

     For the NSR/PSD programs, it is essential that the plan contain
limitations on the amount of creditable stack height and other dispersion
techniques.  The following  cases have been developed to Illustrate what
action(s)  may be required of the State since promulgation of the stack
height  regul ation.

CASE All):  A fully  or  partially delegated PSD program that references  but
            does not define GEP where the delegation agreement does not contai
            a date to define which  version of the PSD rule 1s being "oeTegatfri.

ACTION:     Notify the  State that all permits issued henceforth must be
            consistent  with EPA's stack height regulation.  All  permits
            previously  issued  must  be reviewed and revised as necessary
            witnin 9 months.

CAS- A(2):  A fully  or  partially delegated PSD program that  references
            but does not define  GEP where the delegation  agreement
            does contain a  date  to  define which  version of the  PSD  rule
            is Deing delegated.

ACTION:     Uocate the  delegation  agreement .to reflect agreement with  EPA's
            stac* height regulation as of July 8, 1985.   Notify the State
            that all permits  issued henceforth must  be consistent with
            EPA's stack height regulation.   All  permits previously  Issued
            must be  reviewed  and  revised  as  necessary within  9  months.

CASE B:     The current federally  approved  SIP for NSR/PSD does not
            contain  a reference  to  GEP  or dispersion techniques, i.e.,
            provisions  assuring  that emission  limitations will  not be
            affected by stack  height 1n  excess of GEP or  any prohibited
            dispersion  techniques  do not  exist  in the current SIP.

-------
                                  -5-
ACTION:     Notify the State that such provisions must be adopted and
            submitted as  a  SIP  revision within 9 months.  This can be
            accomplished by adopting stack height regulations at the
            State level  or  by adopting the appropriate reference and
            commionent to comply with EPA's stack height regulation as
            promulgated on  July 8,  1985.  Interim permitting should be
            consistent with EPA's stack height regulation.**

CASE C:     The current federally approved SIP for NSR/PSD contains
            references to,  but  does  not define, 6EP or dispersion techniques.

ACTION:     Notify the State that a corner! tnent to comply with EPA's stack
            height regulation -•$ promulgated on July 8, 1985, 1s required.
            If a State 1s unac*e to make such a commitment, State regulations
            must be revised to  be consistent and submitted to EPA as  a  SIP
            revision within 9 months and Interim permitting should  be
            consistent with EPA's stack height regulation.  No "grace
            period* will  be allowed for sources receiving permits between
            July 1985 and April 1986.**

CASE D;     The current federally approved SIP for NSR/PSO contains stack
            height regulations  that are Inconsistent with EPA's  regulation.

ACTION:     Notify the State  that  such  regulations must  be revised  to be
            consistent and  submitted as a SIP revision within 9  months
            and that  interim  permitting should  be consistent with  EPA's
            stack height regulation.**

CASE E(l):  A SIP for NSR/PSO has  been  submitted  to  EPA,  or will be
            submitted to EPA before the due  date  for stack height  revisions
            The submittal  contains  provisions that conflict with EPA's
            stack height regulation.

ACTION:     Notify the State that EPA cannot approve the submittal  until
            it is revised  pursuant to EPA's  July 8,  1985, regulation.
 **In  the event  that  a State does not have legal authority to comply  with
   EPA's  regulation in the  interim  (e.g., because 1t must enforce  State
   rules  that are  inconsistent  with EPA's regulation) and is compelled to
   issue  a permit  that does not meet the requirements of the EPA revised
   stack  height  regulation, then EPA should notify the State that  such
   permits do not  constitute authority  under the Clean A1r Act to  ccrwaence
   construction, ,

-------
                                   -6-
CAS£ £(2):   As  in Case £(1),  a SIP for  NSR/PSD has been submitted to EPA
            or  will  be submitted  to EPA before the due date for stack
            height revisions.  The submittal 1s not Inconsistent with
            EPA's stack height regulation, but portions of the existing
            approved SIP that relate to the submittal are inconsistent.

ACTION:     Approve the SIP submittal based on a commitment by the State
            to  correct the inconsistencies in its existing SIP to comport
            with EPA's July 8 regulation  and submit the corrections as a
            SIP revision within 9 months. Interim permitting should be
            consistent with EPA's stack height regulation.** If the exist-
            ing SIP is ambiguous, I.e., the SIP references but does not
            define terms relating to 6£P  or dispersion techniques, the
            action steps outlined in Case C above should be followed.

CASE F:     In  nonattalnment areas, emission limits or permits do not always
            include modeling, but rather  are based on lowest achievable
            emission rate (LAER)  and offsets.

ACTION:     If  no modeling is used 1n the Issuance of a  permit, the emission
            requirements for the  source are not "affected" by stack heigntj
            or  dispersion techniques, and no action  is needed.  However,  1f
            modeling was used 1n  the process of preparing and issuing a
            permit, such as cases where offsets were obtained offslte, that
            modeling must be reviewed for consistency with the  stack  height
            regul ation.
9.  0:  Vhat must all
promulgated?
States do now that EPA's  stack height regulation is
    A:  States must review and revise.their SIP's as necessary to include or
revise provisions to limit stack height credits and dispersion techniques
to comport with the revised regulations, and, in addition, review and
revise all emission limitations that are affected by stack height credit
above G£? or any other dispersion techniques.  In accordance with Section
A06(d)(2) of the Clean A1r Act, States have 9 months from promulgation to
suomit the revised SIP's and revised SIP emission limitations to EPA.

      In an August 7, 1985, memo titled 'Implementation of the'Revised
Stack Height Regul ation--Request for Inventory and Action Plan to Revise
SIP's," Regional Offices were requested to be?1n working with each of
tneir States to develop States' Action Plans.  Each Action Plan should
include the following:  (1) An Inventory of  (a) all stacks greater than
65 meters (m), (b) stacks at sources which exceed 5,000 tons per year
total allowable $63 emissions; and  (2) A reasonable schedule of dates for
significant State actions to conform both State stack height rules and
emission  limitations to EPA's stack height regulation.  Schedules should
include increments of  progress.  Regional Offices should  be  satisfied
that  each of theiv States provide scnecules  for completion of tne tasks

-------
                                   -7-


as outlined in the August memo  and  report the status of schedule commitments
to then on a monthly basis.   Regional Offices have been asked to forward
monthly status reports to the Control Programs Development Division on
the States' progress to meet scheduled  commitments and also report the
results of followup with the States on  schedules that are not met.   In
order to facilitate tracking the States monthly progress, guidance on a
standardized format will be  issued  shortly.

Modeling Analyses

10.  Q:  Is there any restriction or prohibition against, or demonstration
required for, raising an existing (or replacing) stack up to 65 m?

     A:  Ho, as long as prohibited  dispersion techniques are not employed.

11.  Q:  Are flares considered  to be stacks?

     A:  No, flares are excluded from the regulation.

12.  Q:  What load should be used for a fluid modeling demonstration?

     A:- One hundred percent load should generally be  used  unless  there
is a compelling argunent otherwise..

13.  Q:  Can new or modified sources who have  agreed to  a  case-by-case
best available control technology (BACT)  emission  rate be  required to  use
this rate  for fluid modeling rather than a less  stringent  new  source
performance standard  (NSPS)  emission rate?

     A:  As set forth in 40 CR 51.1 (kk), the  allowable emission rate to
be used in making demonstrations under  this part  shall be  prescribed by
the NSPS that is  applicable to the source category unless  the owner or
operator demonstrates that this emission rate  is  infeasible.

14.  Q:  Must the  exceeddnce of KAAQS or PSD increment due to downwash, wakes,
or eddies  occur at  a  location meeting the definition of  ambient air?

     A:   No,  the  exceedance may occur  at any location, including that  to
wnich  the  general  public does not  have access.

15.  Q:   Is  a  source  that meets  NSPS or BACT emission Halts subj«c* to
restrictions  on  plume merging?

     A:   Yes.   However, in  a majority  of  such cases, there will be  no  practic
effect since  BACT or  NSPS limits will  be  sufficient to assure attainment
without  credit  for plume rise  enhancement.

-------
                                   •8-


     Q:  What stack parameters are to be  used  in modeling when the actual
stack neignt is greater than G£P"he1ght?

     A:  Where it is necessary to  reduce  stack height credit below what  is ir,
existence, for modeling purposes,  use existing stack gas exit parameters--
temperature and flow rate—and existing stack  top diameter and model at
GEP height.

17.  Q:  How should a stack that 1s less  than  GEP height be modeled when
dispersion techniques are employed?

     A:  In order to establish an  appropriate  emission  linn'tat ion where  a
source desires to construct less than a GEP stack but use dispersion
techniques to make up the difference in plume  rise, two cases should be
tested.  First, conduct a modeling analysis inputting the SEP stack
height without enhanced dispersion parameters, then conduct a second
analysis inputting the less than GEP stack  height with  the increased
plume rise.  The more stringent emission  limitation resulting from  each
of the two runs should be the one  specified as the enforceable limitation.

18.  Q:  How are the effects of prohibited  dispersion techniques to  be excludes
for modeling purposes?

     A:  Where prohibited dispersion techniques  have been  used, modeling to
exclude their effects on the emission  limitation will be  accomplished  by
using the temperature and flow rates as the gas  stream  enters the  stack, anc
recalculating stack parameters to exclude the  prohibited  techniques
(e.g., calculate stack diameter without  restrictions  in place, determine
exit gas temperatures before the use of  prohibited  reheaters, etc.).

15.  Q:  How are single flued merged stacks and  multlflued stacks  to be
treated in a modeling analysis?

     A:  This is a rr-jltistzp process.  First,  sources  with allowable S02
emissions be'tow s,000 tons/year may be modeled accounting for any plume
merging that has been employed.  For larger sources,  multi flued  stacks
are consiaered as  prohibited dispersion techniques  in  the same way as
single  flued merged gas streams unless one of the  three allowable conditions
has been met; i.e., (1) the source owner or operator demonstrates that
the facility was originally designed and  constructed with such merged gas
streams;  (2)  after date of promulgation,  demonstrate that such merging  is
associated with a  change  in operation at the facility that Includes the
installation  of pollution  controls and results in a net reduction in  the
allowable  emissions of the pollutant for which credit 1s sought; or (3)
before  date of promulgation, demonstrate that such merging did not  result
1n any  increase in the allowable  emissions  (or, in the event that no
emission  limit existed, actual  emission  level)  and was associated with  a
change  in operation at the  facility that included the  Installation  of

-------
                                   -9-


emissions control  equipment  or was  carried out for sound economic or
engineering reasons,  as  demonstrated to EPA.  Guidelines on what constitutes
sound economic or  engineering justification will be issued shortly.

     If plume merging from multiflued stacks is not allowable, then each
flue/liner must be modeled as a  separate source and the combined impact
determined.  For single  flued merged stacks where credit is not allowed,
each unit should be modeled  as a separate stack located at the same
point.  The exit parameters, i.e. velocity and temperature, would be the
same as for the existing merged  stack conditions and the volume flow rate
based on an apportionment of the flow from the Individual units.

20.  Q:  What stack height for point sources should be input to air quality
dispersion modeling for  the  purpose of demonstrating protection of the
NAAQS and PSD increments?

     A:  A discussion of the maximum stack height credit to be used in model in;
analyses is provided  1n  the  "Guideline  for Determination of Good Engineering
Practice Stack Height' and provides that the GEP stack height should be
used as input to the  model assessment.   If a source is operating with  a
less than GEP stack height,  then the actual  stack height should be  input
to the "model.

21.  Q:  What stack height should be used  for  background sources 1n
modeling analyses?

     A:  The GEP-stack height for each  background  source should
be input to the model assessment.  If  a background  source  is  operating
with a less than GE?  stack height,  then the  actual  stack height  should be
input to the model.

22.  Q:  Can credit for plurae merging  due  to installation  of control
equipment for total suspended paniculate  (TSP)  matter be  allowed  when
setting the SOj 1 imit?

     A:  To state  the question  another way,  the concern is what impact
the merging and installation of control  equipment  have on  the emission
limit  for  another  pollutant, and whether the merging  occurred before or
after  July  8, 1985.   After July 8, 1985, any exclusion from the definition
of "dispersion  techniques"  applies only to the emission limitation for
the  pollutant affected  by such  change in operation and 1s  accompanied by
a  net  reduction in allowable emissions of the pollutant.  For exanple, a
source tears down  two old stacks and builds one new GEP stack with an
electrostatic  precipitator  (ESP).  This results in a net reduction in TSP
emissions.  This  source could model using stack gas characteristics
resulting  from  merging  the  two  gas streams in setting the TSP emission
limit, but  may  net so model  and  receive the credit for stack merging  when
evaluating  the  SOj emission limit.

-------
                                    -10-
      Before July 8, 1985, installation of TSP pollution  control  equipnen-
 genera, iv justifies the merging of the stacks for  TSP.   However   if  i
 source's emission limitation for S02 increased  after  the merging  then
 creeit would generally not be allowed since  it  is  presumed that the
 merging was to increase dispersion.                            In*

     A source with no previous S02 emission  limit  that merges stack* .»H
 installs an ESP for TS? control  may consider the effects of merino  QJ
 compliance with the TSP KAAQS but may not use merging to JustlfJ  J!tT?«
 an S02 mission limit less stringen/than its acSMsi?on rite before
 tne merging.                                                       «•«.«! e

 23.  Q:  if,  after determining 6£P stack  height by fluid model 1na
dispersion  modeling under other  than  "downwash" meteorologlca  conditi0n5
 snows that  a  lower enission  limit than that  from the nuld «Jdt"
                                                       u   «tp
 analysis 1s necessary to meet ambient air quality constraints   should  ,
 new  stack neight be defined for the source?       wnstraints,  should  a


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-------
REFERENCES FOR SECTION 7.6

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278S2        Federal Register  / Vol. SO. No. 130 / Monday. July 8.  1965 / Rules and Regulations
ENVIRONMENTAL PROTECTION
AGENCY

40CFRPart 51

IAD-FRL-2847-6I

Stack Heignt Regulation

ACINCYI Er.--.ror.men: •! Prolccnon
Accr.c;. (EPA).
ACTION: Final ruiemakng

SUMMARY: Section 123 cf the Clean Air
A*:, as amended, requires EPA to
rTcnv.iBate regulations to ensure that
;.-.e csgree of emission limitation
reared for tne control of any air
poliuiant under an applicable State
irr.alemer.iaiion plan (SIP) is not
effected by that portion of any stack
height which exceeds zuod engineering
practice (GEP', or by any other
dispersion technique. A regulation
implementing secucr. 123 was
prorr.uisitcJ or. February 8.19R2. at 47
FR 5364. Revisions to the regulation
 were proposed on November 9.1984. at
 49 F?. 44878. Today's action incorporates
 changes to :he proposal and adopts this
 regulation in final form.
 EFFECTTVT OATt This regulation
 becomes effective on August 7.19S5.
 FOR FURTHER INFORMATION CONTACT.
 Enc 0. Gmsburg. MD-15. Office of Air
 Quality Planning and Standards. EPA.
 Research Triangle Park. North Carolina
 2T711. Telephone (919) 541-5540.
                INFORMATION:
 Docket Statement
   Pertinent information concerning thii
 regulation is included in Docket Number
 A-33— 49. The docket is open for public
 inspection between the haurs of RrOO
 a.m. and 4.00 p.m.. Xtonday through
 Friday, at the EPA Cential Docket
 Section. West Tower Lobby. Gallery
 One. 401 M Street. SW..  Washington.
 D.C. Eackcround documents normally
 a-, ailable tc the  public, such as Federal
 Register nonces and Congressional
 reports, are noi included in the docket.
 A reasonable fee may be charged for
 copyir.s
  Background
    Section 123. which wds added to the
  Clean Air Ac; by the 1977 Amendments.
  regulates the manner in which
  techniques for disperson of pollutants
  from a source may be considered in
  setting emission limitation!. Specifically.
  section 123 reauires that the degree of
  emission limitation shall no; be affected
  by that portion cf a stack which exceed!
  CE? or by "any other dispersion
technique." It defines CEP. with respect
to suck heights as:
the height necciury 10 insure that emissions
from the suck do not result in excessive
concentrations of any air pollutant in the
immediate vicinity of the source as a rtnult of
atmospheric downwtsh eddies or wakes
which may be created s\ the source itself.
nearby strjct-res or ntarDy terrain obttacles
.  . . (Section I23|c||
Section 123 further provides that CEP
stack height shall not exceed two and
one-hall times the heigh! of the source
(2.5H) unless a demonstration is
performed showing that a higher stack  is
needed to avoid "excessive
concentrations." As the legislative
history of section 123 makes clear, this
reference to a two and one-half times
test reflects the established practice  of
using a formula for determining the CEP
stack height needed to avoid excessive
downwash. Finally, section 123 provides
that the Administrator shall regulate
only stack height credits—that is. th*
portion of the stack height used in
calculating an emission limitation—
rather than actual stack heights.
   With respect to "otner dispersion
techniques" for which emission
limitation credit is restricted, the statute
is less specific. It states only that the
term shall include intermittent and
 supplemental control systems (ICS.
 SCS).  but otherwise leaves the definition
 of that term to the discretion of the
 Administrator.
   Thus the statute delegates to the
 Administrator the responsibility for
 denning key phrases, including
 "excessive concentrations" and
 "nearby." with respect to both
 structures and terrain obstacles, and
 "other dispersion techniques." The
 Administrator must also define th«
 requirements of an adequate
  demonstration justifying stack height
  credits in excess of tne 2.5H formula.
 Rulemaking and Litigation
    On February 8.1982 (47 FR 5864). EPA
  promulgated final regulations Uniting
  stack height credits and other dispersion
  techniques. Information concerning the
  development of the regulation was
  included in Docket Number A-79-01 and
  is available for inspection at the EPA
  Central Docket Section. This regulation
  was challenged in the U.S. Court of
  Appeals for the D.C. Circuit by the
  Sierra Club Legal Defense Fund, inc.- the
  Natural Resources Defence Council. Inc.:
  and the Commonwealth of Pennsylvania
  in Sierra Club v. EPA. 719 F. 2d 436. On
  October 11.1985. the court issued its
  decision ordering EPA to reconsider
  portions of the stick height regulation.
  reversing cenain portions and upholding
  other portions  Further discussion of  the
court decision is provided later in th:s
notice.
Administrative Proceedings Sukse«,,e:-'
to tne Court Decision
  On December 13.1S23. EPA held a
public meeting to takt comment* to
assist the Ag^nry m implerr.tnti.-.j tn?
mandate of the court. Tnis mectir.c w«s
announced in the Federal Register or,
December 8.1983. at 48 FR 5499S
Comments r^ce'ved by E?A are
included in Docre: Nurr.-.f r A-33—;S 0-.
February 2i. 1984. the eiect:: pov,e:
industry filed a petition '•: a \-.n: cf
cert'oran with the L'.S S.prs-* Con."
While the petition was per. !:r.g before
the court, the mandate i:j- \n?. L'.S
Court of Appeals was s:a>tc. Or. juiv 2
1964. the Supreme Cour cer.ied t.-.e
petition (104 S.Ct. 3571). and on |ui> :E
1964. the Court of Appeals' mane*:;
was formally issued, implementing me
court's  decision and requiting E?A to
promulgate revisions  to tne stack het:v
 regulations within £ montris. The
 promulgation deadline was ult;rna!t.;.
 extended to June 27.1963. in order to
 provide additional opportunities for
 public comment to allow  EPA to hold a
 public hearing on January 8.19&S. and  to
 provide additional time for EPA to
 complete its analysis of rulemaking
 alternatives.

 Documents
   In conjunction with the 1982
 regulation and this revision. EPA
 developed several technical and
 guidance documents. These served as
 background information for the
 regulation, and are included in Dockets
 A-79-01 and A-83-49. The following
 documents have been or will be placed
 in the National Technical Information
 Service (NTIS)  system and may be
 obtained by contacting NTIS al 5285
 Port Royal Road. Springfield. Virginia
 22161.
    (1) "Guideline for Use of Fluid
 Modeling to Determine Good
 Engineering Stack Height." July 198".
  EPA. Office of  Air Quality Planrv.r.e and
  Standards. EPA-450/4-S1-003 (NT!S
  PBS2 145327).
    (2) "Guideline for Fluid Sfodei:r.; o;
  Atmospheric Diffusion." April 1981.
  EPA. Environmental Sciences Resear"
  Laboratory. EPA-600/8-01-009 (STIi
  PBB1 201410).
    (3) "Guidance fcr Determination, of
  Good Engineering Practice Stack Heisr.'.
  (Technical Support  Doc-.mer.'. for the
  Stack Height Regulation!." ]-.ne 1965
  EPA.  Office of Air Quai;t> Planning sr.d
  Standards. EPA-450-4-6O-C23R
     (4) "Determination oi  Good
  Engineering Practice Stack Heigm—A

-------
              Federal Register / Vol. SO. No. 130 / Monday. July 8. 1985 /  Rules and Regulations
Fluid Model Demonstration Study for a
Power Plant." April 1983. EPA.
Environmental Sciences Research
Laboratory. EPA-600/3-33-024 {NT1S
PB83 207407].
  (S) -'Fluid Modeling Demonstration of
Good-Engineenng-Practice Slack Height
in Complex Terrain." April 1985. EPA
Atmospheric Sciences Research
Laboratory. EPA/600/3-65/022 (NTIS
PB8S 203107).
   In addition, the following documents
are available in Docket A-43-48.
   "Economic Impact Assessment for
Revisions to the EPA Stack Height
Regulation." June 19*5.
   "Eflect of Terrain-Induced Downwash
on Determination of Good-Enginenng-
Pnctice Stack Height" July 1904.

Program Overview

 General
   The problem of air pollution can be
 approached in either of two ways:
 through reliance on a technology-based
 program that mandates specific control
 requirements (either control equipment
 or control efficiencies) irrespective of
 ambient pollutant concentrations, or
 through an air quality based system that
 relies on ambient air quality levels to
 determine the allowable rates of
 emissions. The .Clean Air Act
 incorporates both approaches, but the
 SIP program under section 110 "is*s an
 air quality-based approach to establish
 emission limitations for sourest*.
 Implicitly, this approach acknowledges
 and is based on the normal dispersion of
 pollutants from their points of origin into
 the atmosphere pnor to measurements
 of ambient concentrations at ground
 level.
   There are two general methods for
 preventing violations of the national
 ambient air quality standards (NAAQS)
 and prevention of significant
 detenoration (PSD) increments.
  Continuous emission controli reduce on
  a continuous basis the quantity, rate, or
  concentrations of pollutants released
  into the atmosphere from a source. In
  contrast, dispersion technique* rely on
  the dispersive effects of the atmosphere
  to carry pollutant emissions away from
  the source in  order to prevent high  .
  concentrations of pollutants near the
  source. Section 123 of the Clean Air Act
   iirr.its the use of dispersion techniques
  by pollution sources to meet the NAAQS
   or PSD increments.
    Tall stacks, manipulation of exhaust
   gas parameters, and varying the rate of
   emiinons basexl on aunosphenc
   conditions (ICS and SCSI are the bane
   types of dispersion techniques. Tall
   stacks enhance dispersion by releasing
   pollutants into the air at elevations  high
above ground level, thereby providing
greater mixing of pollutants into the
atmosphere. The result is to dilute the
pollutant levels and reduce the
concentrations of the pollutant at ground
level without reducing the total amount
of pollution released. Manipulation of
exhaust gas parameters increases the
plume rise from the source to achieve
similar results. ICS and SCS vary a
source's rate of emissions to take
advantage of meteorologic conditions.
When conditions favor rapid dispersion.
the source emits pollutants at higher
rates, and when conditions art advene.
emission rates are reduced. Use of
dispersion techniques in lieu of constant
emission controls results in additional
atmospheric loadings of pollutants and
can increase  the possibility that
pollution will travel long distances
before reaching the ground.
   Although overreliance on dispersion
techniques may produce advene effects,
some ur of the dispersive properties of
 the atrcciphere has long been an
 important factor in air pollution control.
For example, some stack height is
 needed to prevent excessive pollutant
 concentrations near a source. When
 wind meets an obstacle such as a hill or
 a building, a  turbulent region of
 downwash, wakes, and eddies  is
 created downwind of the obstacle as the
 wind passes over and around it This
 can force a pluma rapidly to the ground.
 resulting in cxcnsivt concentrations of
 pollutants near the sourcs. As discussed,
 previously, section 123 recognizes the**
 phenomena and responds by allowing
 calculation of emission limitations with
 explicit consideration of that portion of
 a source's stack that is  needed to ensure
 that excessive concentrations due to
 down-wish will not b* created near the
 sourca. This height is called CEP stack
 height

 Summary of tht Court Decision
    Petitions for review of EPA's 1962
  regulation were filed in tht D-C. Circuit
  within the statutory time penod
  following promulgation of th< regulation.
  On October 11.1883. the  court issued its
  decision ordering EPA to reconsider
  portions of  tht stack height regulation.
  reversing certain portions and upholding
  other*. The following is a summary of
   the court decision.
    The EPA's 1982 rule provided three
   ways to determine GEP stack height
   One way was to calculate the height by
   using a formula based on the
   dimensions of.nearby  structures. Tht
   other two were a de minimis height of &5
   meters, and the height determined by a
   fluid modeling demonstranon or field
   study. The  court endorsed the formula
   as t starting point to determine GEP
height However, it held that EPA has
not demonstrated that the formula war
an accurate predictor of the stack heig:
needed to avoid "excessive
concentrations of pollutants due to
downwash. Accordingly, the court
directed EPA to re-examine in three
ways the conditions under which
exceptions to the general rule of formula
reliance could be justified.
  First, the 1982 rule allowed a source to
justify raising its stack above formula
height by showing a 40-percent increase
in concentrations due to downwash.
wakes, or eddies, on the ground that this
was the percentage increase that the
formula avoided. The  court found this
justification insufficient and remanoec
tht definition to EPA with instructions
to make It directly  responsive to heaitr.
and welfare considerations.
   Similarly, the 1982 rule allowed a
sourca that built a stack to less man
formula height to raise it to formula
height automatically. Once again, the
court required more justification inat
such a step was needed to avoid
advene health or welfare effects.
   Finally, the court directed EPA either
 to allow the  authorities administering
 the stack height regulations to require
 modeling by sources in other cases as a
 chick on possible  error in the formula
 or explain why the accuracy of the
 formula made such a step unnecessary
   The 1962 rule provided two formulae
 to calculata GEP suck height. For
 sourca* constructed on or b«for»
 January 12.1979. the data of initial
 propoMl of the stack haight regulations.
 the applicable formula was 2.5 ones  LK.e
 height of the source or other nearby
 strucrurt. For scorers constructed after
 that data, the ruit specified a newer.
 refined formula, the height of the sourc:
 or odier nearby structure plus I.I time*
 the height or width of that structure.
 whichever is lew (H-"-l-5L). The EPA
 based its decision to include two
 fonnulat on tht unfairness of acpiyir.g
 the new formula retroactively. In us
  examination of this issue, the ccurt
  specified four factors that influence
  whether an agtncy has • duty to apply i
  rule retroactively. They are:
    1. Whether tht new rult reprewnu in
  abrupt d»p«rrurt from well estabiuftec
  pracnwor martiy attempt! to fill « void  :r. c
  ucMtUvd area of law.
    2. The extent to which tht parry asur.s:
  whom the new rult is applied relied or. :r.e
   former rult.
    1 Tht dejrw o/bunitn which t rtiroacn*
   ordtr tmpoMi on a parry, and
     «. Tht lurutory interest in apply."-! « n«w!
   rule d»tpitt tht Ttiiane* of • party c.i the oic
   standard.

-------
27884       Federal  Regstec / Vol SO. No. 130 / Monday, frfr a, 1965 /  Rafes and  Retjuktiona
719 FJJ it 467 (citation* omitted).
Applying this analysis to the two
formulae, the court upheld EPA's basic
derision.                ....
  However, the court also held that
sources constructed on or be/ore
January 12. 1979. should not be
automatically entitled to fufl credit
calculated under the &SK formula unless
they could demonstrate reliance on that
formula. The court remanded this
provision for revision to take actual
reliance on the i5H formula into
account
  The slarite limits slack height eredtt
to that needed to avoid excessive
concentration* doe to do»n*a»h ceuswd
by "nearby" auettaee or terrain
feanma. Tee 19t2 reewietioa defined
"nearby" far CEP foramla epeKcatioM
as Evt time* the lever of ertW fee
height or projected wrdtfc of tbe
structure ""^~g dowmraak. not to
exceed one half rak. No such dietaac*
limitation was placed oa structures or
terrain features weone effect* wen
being considered in fluid stnrieoag
demonstrations or field studio*. The
court held that section 123 explicitly
applies the "nearby" limitation to
demonstrations and studies as weJI aa
formula applications. and. »«""~W tht
 rule to ETA to apply the limi'ration in
 both contexts.
   The 1982 rule defined 'dispersion
 techniques" ae those techniques which
 attempt to affect poDutant
 concentre tfuns by ua'N^ faef pcnlfuu of a
 stack exceeding GEP. by verjrutf
 emission ntee accordws* to aUumpoeiJv.
 condition* or pollutant concentration*.
 or by the nkBttou of e fan or utiimnu »
 obtain a IMS «rin§ tut emieeion
• limitation. The court kmnd tkii
 definition too narrow becat*e any
 technwfw 'ii&a&cutttf vwavetee* Vy a«
 intern to gain enusuons credit for
 greiter dispersion" ihonld b« berred
 ri9 F.2d 4SZ. As a rcsaiL (he camrt
 directed EPA to develop ruts*
 disallowing credit for all sacSt diapenion
 techniques onles* the Agency
 adequately psnfied excepetaae oa the
 basis  of sdnmutiatiYe neceeerty. or e d»
 rr.'.nimis result.
   Tbe CEP fcnnuuc estahmhed in the.
 1962 rule do not consider pieae* rue.-oa
 :he ground that plume nse is not
 significant under downwaih conditions.
 In its review of this, provision, the court
 a/finned this judgment fay EPA.
   The 1982 rule addressed pnllutsnt
 concentration* estimated to occur whan.
 a plume impacts elevated terrain by
 allowing credit {or stack height
 necessary to avoid ail  quality violationa
 in such cases. However, the court ruled
 that secuon  123 did not lilow EPA to
 grant credit for plume imp»cnon in,
setting BBisuon limits. tnd revened thia
part of the regulation,
  Tb* pcuBhl* (0 me 1S82 rejukboa
provided • 21 month procee* k» Stale
isapLiDenta>tion oi the. RfuUiiea Tbe
court found thi* period to becoBtrary to
section. 4i6(d)W of the. Oe«a Air Ad
and nvcned it
  Th* reguktioo. followinf the stetuie.
excluded stafki "in exiat«ice" oa or
before Decunbei ML U?(X fro« the CEP
requirement*. However, the regvktio*
did not prohibit tourcs* coMtncted
after December 31. IflDU freem nceiviag
credit foe tying into pra-ian stacka.
Although, the court uphold EPA'i
definitiao of "in exitJence," U ao4e« th*4
EPA had lajled to eddreM ta» tie-ia
iasM. Arrnrrihijty. the eMMt leaiiinleri
this issue to EPA for jutiSoitiea.
  One other proviaioa nf Ihi nanlatkei
was challenged i& the. Sierra Ou6 s*it
The eTrluaioii of flam fro* the
         oi "euck.~ U U* review of thie.
provuiatk the coun heid th*t EPA hed
acted properly.
  Other proviaiauaf the itirVhiiqel
regulation, such aa. the. de ok/uau* stack
height eetaMsJaed under I £Ll^>Kl).
were not challcaged in the, suit aad tave.
remao. in effect.
Summary of rte Abvwirc*r * 19tt.
Notice
   In the November 9. 1354. aotka.
 responding to the. court dadjton. EPA
 prepoied tn redefine a,us&b«r of
 specific
 techniqiutaC* ^nearby," aad otoei
 modify aama of tfae, buea far
•foOowias; ia. a susuaefy of the revuieas.
 that were, proooeed.
 Exctufmi ContmtntKT*
   The Coun of Appeals held that EPA
 erred In defttnae; "Vrg»«irre
 concanoatione." dme ta -»— -- 1t i«
 purpoaee of jmtifyiat a
 than formuU MI«AL M aothuij
 than a 40-oercext u>cr»**ft i
 coacaotratroas over waej wooki occur
 in the ih»>nrt ol dowvuk. H
 remaaoed Uu* M4ua to EPA I* r«We the
 dtfimnne, to tosne ebeokie kvei of atr
 polluboa thfti could be internet tad to
 endanger health and welfen. eaa lajeo
 to bt "excaeajve,"
   The EPA f ropoeed rw» alsereaiive
 appcecuee to defuunf "exceaerre
 concentration*." Fket. EPA reqeested
 commenf on waeiker the ^O-
 approeck adapted »* pe*t
 rrjiilirra M im i inn» » nei'irr the
showing coaM not be made. EPA
proposed a two-pert deAsutioo of
excessive easteamtioBe. raqainnf thai
the dowtswexa, woksc. or eddies
induced by nearby stnicturee or terrew
feebiree IMS! la inaaeMi  in yroud-
level polhuant eoaceiitntkjee ther.
  (a) Cauee or contribute to an
exceeduer of t NAAQS or spphcxbre
 danger* K> tuJrh ead
 emnieinxi by rnixp-*e< wtest k
 lectiom 13- i« U» ervat l&rt r»ci e
  (b) Arc at least 40 percent in excess of
concentration! projected to occur in the
absence of such structures or terrain
features.

Definition of CEP StacA Height

  EPA piottnsed to find the* the
tradiUonai pJHiajid refine* (H-l JL)
formulae remained proper methods for
calculating CEP stack height except EPA
proposed to revise its regulation to
allow EPA. the State or local air
pollution contra! agency discretion to
require c farther demonstration using a
field study- or Quid model to
demonstrate CEP stack height for a
source to a case where, it waa believed
that the romtda may not rafiafcly predict
GEP height m the case of structures that
an porous or aeitxfyaemiciHy smoother
than bloci-sneped structures, it would
require a source to demonstrate the
downwaah effects of ruck structures
using a field study or fluid model before
recaiTinf credit for stack height baied
on the structures. EPA alia proposed
generally to aAow sources to raise
•*-i«tfn£ itacks up to Gonsuila i-*f height
without farther «>•»«««••>• *vm« *an tbe
exception ro*^ ahoee. fox *
moff»rirv»

Rglianc* on tht 2JH Formula

   In its U6Z rule*, EPA attowed
buik eefare iaswery U. Vtn, the date on
 which it propeeed the refiaed H-rl^L
 formulae, to caJcula4e tbeir emeitoei
 limit^ k-rH TIP tee frr-*4*1^"-*1 ^ ^"
 forsaule tk*l existed peewousiy. T&»
 court a&cco'ved UM ^rift^r^r^p OHI
 ruled the4 U should be UmAed  to Karen
 that "neted."  OA ta* traditice*i forasuh.
 tnao«»he4. fat axunple. that smircn
 that hoe1 clewed credit for tiackx be-
 taller thae, lho.ionuda pttrmied coud
 not D* eaid Ve, aeve "reUed" oa rt
   ka mpoaee to the coert dedsxn. EPA
 propoeed te nviae rt* resjeistbosi »
 require tes for cxcks a eaostenee
 January 12. 1979. source*
 that tfaay aetaaliy relied ce
 fornntk a the dsietsja ol tkesr
 before recerrsssj cndM far ta*J ke
 settasf loev  •ruam Iiart«*«cx to n>«
         i ai soda rekencs.

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                                                                             -. -  ' -          "      *
            Fedecd Ragtag I Vol 30. No. 130 / Monday. July 8. 198S / Rules and Regulation!
                                                                    2T895
Definition of "J

  In its 1982 rule*, EPA allowed source*
that modeled the effects of terrain
obstacles on downwash to include any
terrain feature* in their model without
limiting their distance from th* stack.
The court though persuaded that this
was a sensible approach, since it
allowed the model to best approximate
reality, ruled that Congress had
intended a different result namely that
terrain features beyond V4 mil* from the
stack should not be included in the
model
   In  response. EPA proposed, to revise
 i 51.1(ii)(3) of its regulation to limit the
 consideration of downwash. waJca*. and
 eddy effects of structure* aad lamia
 feature* to thru* feshir** classified aa
 being "nearby-  as defined in i 31.1/jj).
 Under this proposal structures aad
 terrain features would be considered to
 be "n*arby"vif they occur within a
 distance of not more than &6 km (V»
 mile): terrain features that extend
 beyond CLS km could b* considered it at
 a distance of 0-A km, they achieved a
 height greater than or equal to 40-
 percent of th* CEP stack height
 calculated by applying the CEP tami^*
 to actual nearby structures. In other
 words, a terrain feature would be said to
 "begin" within  V4 mile if it reached at
 least th* height of nearby buildings
 within that distanna. Such features crxild
 b* considered only out to a 'ti«*«~-<'
 equal to 10 time* *bt m«Timnm K»»jhi of
 the feature, not to cxcaed
                                      distance limit down to the elevation of
                                      the base of the stack.
                                        The third approach would proceed in
                                      a somewhat different manner. A
                                      baseline would be established by
                                      modeling all terrain beyond th* distance
                                      limit smoothing aad sloping nearby
                                      terrain to minimi** it* influence. To
                                      analyz* downwuh effects, th* nearby
                                      terrain would than b* inserted into the
                                      model and the difference to effect
                                      measured to determine appropriate
                                      downwash credit for stack height
                                      Definition of "Duptnioa 7ecao/ou«* "
                                         In the 1982 raba. EPA identified two
                                      practices, in addition to sucks above
                                      CEP aad ICS/SCS. a* having no pwpoe*
                                      other than to obtaia a law stringent
                                      ctBjmofl iisiiteSlQ^iet CD to ttOiflit it
                                      allowed credit for any other practice
                                      that had th* molt of lac
  The EPA propoe«d two options for
          t»« between IOUIT**
                                       dispersion. The court concluded that
                                       Congress had intended, at a minimu
                                       to forbid any dispersion ^nrj
practice that was significantly
motivated by an intent to obtain
additional credit for greater dispersion.
and remanded the question to EPA for
reexanrfnation.
  The EPA proposed to revise it>
definition of "dirpertkw techniques"
generally to indade, m addition to K3,
SCS and stack hetgats in exes** of CEP.
any ttdnuove* that have the effect of
enhaaemf exhan* g*j pioeae rise
Combiatag several eodsttaf racks bto
one new etadc can have socfa an effect
However, eaefe cotabiaatioos alto often
haw fflaepeBdcnt ^cooooJc do
engia**riag fuatHrcatttoe. Aoeurdtegry.
constructed before aad after the date of
promulgation at tb*M reviakwa. Toe-
first opooa wovld treat both categoric*
of sourca* the a*jm*. The Mooad optiaa
would limit the mosjrU ration of terrain
for new SOUTDM to ooiy thoM porticos of
terrain feature* that fail entirely within
0.8 km. thereby removing the paeeibility
of induding feature* exteodiag bwyood
Hmile.
  Finaily. EPA propoeeJ thae>
alternative* for conducting filed
modeling to evaluate the downwasa
effects or nearby terrain feeMsee. Thee*
alternatives dncribed v*noat,w«ry* of
limiting terrain in the model beyond the
proposed 
                                         definition of prohibited dispersion
                                          technique* for smolu mana-gemet in
                                          agricurtnrt} and sihrlcultanJ prescribed
                                          burning programs and also proposed to
                                          exclude episodic restrictions on
                                          residential woodbuming and debris
                                          burning,

                                          New Source* Titd into Pn-19Tl Stadu
                                            Section 123 exempts stacks "la
                                          existence" at the end of 1770 from its
                                          requirements, EPA's {reneral approach to
                                          implementing this language was upheld
                                          by the court However, b its 1982 rait
                                          EPA had alto allowed tnis credit to
 sources built after that date that had
 tied into stack* built before that date.
 EPA failed to respond to comments
• objecting to this allowance, and so the
 conn remanded the question to EPA for
 the agency to addresa,
   Upon ^examination. EPA saw no
 convincing justification for granting
 credit to these sources. Consequently.
 for sources constructed after December
 31.1970. with emission* ducted into
 grandfathered stacks of greater than
 CEP height and for sources constructed
 before that date but for which major
 modifications or reconstruction have
 been carried out subsequently. EPA
 proposed to limit stack height credit to
 only so much of tha actual stack height
 as conforms to CEP. Sources
 constructed prior to December 31.1970.
 for which modifications tn earned out
 that are not classified as "major" under
 40 CFR S1.18(J)(i). SU4(6](2)[n. and
 31.21(0)(2Xi) would b* allowed to retain
 full credit for their existing Mack
 heights.

 Plume impaction

    In its 196 rule*. EPA allowed stack
 height credit for "plume iznpacnon." a
 phenomenon that is distinct from
 downwash. wakes and eddies. The
 court though sympathetic to EPA's
 policy position, reversed this judgment
  as beyond th* scop* of tha statute.
  Accordingly. EPA proposed to deltit iht
  allowance of plume imp*ctio& credit
  from.its regulation in compliance with
  the court decisinn However. EPA *i*o
  recognized that aoerce*. in compkx
  terras iao* additiooal analytical
                                                  when attetaa4S«t to conduct
                                        modeling to deooaia* apprecsratt
                                        mnleskn liautationa. Cooev^ocBtly. EPA
                                        requeMeci eocsmeot on whatbar any
                                        allowance should b* taed* for
                                        imaiecnaetathsi proelem* that may
                                        rerult from the application of revised
                                        CEP stack height aseranprion* and. if so.
                                        bow such allowance should be made.

                                        Statt ImpJftMtatioa Plan Reqvinmenu

                                          EPA's 1988 reies gave states a toiiJ of
                                        22 months to reviM their rules tnd to
                                        establish source emission limitations
                                        based on new stack height credits. The
                                        court found this, too, to go-beyond the
                                        language of th* taruta. In rtjpon**.
                                        EPA stated in th* propo*aJ that Sines
                                        would be required pursuant to stcuon
                                        «OtXd)(2)(b) of th* a**n Aar Act. to
                                        review their rd« and existing emission
                                        limitation*, revising th*tn a* n*«ded to
                                        comply wiln the rww res/aJatioo within 9
                                         months of tfi* dai* of ia

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               •

27896      . Federal Renter / Vol. 50. No.  130 / Monday. July  8. 1985  / Rules and Regulations
Response to Public Comments on the
Novembers. 1984. Proposal

  The EPA received over 400 comments
during the public comment period and at
the public hearing, addmsing a number
of aspects of the proposed
regulation/These comments have been
consolidated according to the issues
raised and are discussed, along with
EPA's responses, in a "Response to
Comments" document included in the
rulemaking docket Certain comments
can be characterized as -major'* in that
they address issues that are
fundamental to the development of the
final regulation. These comments an
summarized below, along with EPA's
responses. Additional discussion of the
issues raised and further responses by
EPA can be found in the "Response to
Comments" document.

1. Maximum Control of Emissions in Lieu
of Dispersion
   A central legal and  policy question
addressed in this rulemaking wes raised
in the comments of the Natural
Resources Defense Council (NRDC) and.
 the Sierra Club. They  contend that
section 123 requires all sources to install
 the maximum feasible control
 technology before receiving any credit
 for the dispersive effects of a suck of
 any height or for other practices that
 may enhance pollutant dispersion.
   The NRDC argument is summarized
 fully in the Response  to Comments
 document together with EPA'i response.
 Very briefly. NRDC contends that
 litigation prior to the 1977 Dean Air Act
 Amendments had established that
 dispersion can never  be used as an
 alternative to emission control  and that.
 this understanding wss earned  forward
 and strengthened in the 1977 Clean Air
 Act Amendments. Accordingly, no rule
 that does not require  full control of
 emissions M a prerequisite to any stick
 height credit would be consistent with.
 Congressional intent
    EPA disagrees. During the 8 years
 between 1977 and NRDCs comment*. •
 period covenng two Administrations
 and three Administrators. NRDCs
 position has never beeo either adopted
 by EPA or seriously advocated before it
 The pre-1977 cases cited by NRDCdo
 not bar all stack credit but only credit
 for stacks beyond the historical norm.
 Finally, the text and legislative history
 of section 123 contain essentially no
 support for NRDCi "control first"
 petition.

 II. Discussion of Other Major Isaues
    The EPA'i  petition on the "control
  first" comments provides the necessary
  background against which the remaining
major issues in this rulemaking are
discussed. These issues arc the
definition of "excessive concentrations-
due to downwaih. wakes, and eddies:
the definition of "nearby:'' and the
definition of dispersion technique." A
question that affects several of these
decisions, and that is addressed where
it arises, concerns the extent to which
any changes made in the stack heights
regulations should be applied
prospectively rather than retroactively.
  This discussion of "excessive
concentrations" is in turn divided into a
discussion of the physical characteristics
of downwash, followed by a discussion
of the significance of those
characteristics as they pertain to the
GEP formulae, to stacks above formula
height to stacks being raised to formula
height and to stacks at formula height
being modeled at the choice of the
administering authorities.
Definition of "Excetsivt
Concentrations"
   The PhysicaJ Natun of Downwaih. A
number of commenters, including the
Utility Air Regulatory Croup  (UARG).
have argued that the court decision does
not obligate EPA to revise the definition
adopted in the 1982 regulation, but only
directs EPA to ensure that the 40-
percent criterion protects against
concentrations due to downwash that
could be related to health and welfare
concerns. They point out that when
emissions from a source become trapped
in the wake region produced by the
source itself or upwind structures and
 terrain features, those ewiaioas are
 brought rapidly to earth, with little
 dilution. This, the coaustatcrs argue.
 can produce inert-term p*ak
 concentrations at groundJevel that are
 many times greater that the
 concentration levels of the NAAQS.
 Because their duration is relatively
 ihort averaging the** concantratioaa
 owr the times specified by th« NAAQS
 does not result in NAAQS violations.
 Nonetheless. lh» coalman ten argue that
 these concentrations should be regarded
 at nuisances that section 123 wa*
 specifically enacted to avoid.
 Accordingly, the commtnten held that
 EPA would be justified in retaining the
 40-percent criterion without requiring
 that such increases mult in
 exceedances of the NAAQS
   These same  commenters argued that
 severe hardships would result if EPA's
 second proposed definition of
 "excestivi conctntranons"  is adopted.
 and that by limiting f tack height crtdit
 to that just necessary to avoid
 exceedance of NAAQS or PSD
 increments, the definition would act to
 limit actual stack d«*ign and
construction in a way that would
increase the likelihood of NAAQS or
PSD exceedances. This would occur.
they argue, because, by building only so
tall a stack aa they can receive credit
for. sources would be eliminating a
"margin of safely" that would normally
be provided otherwise. Furthermore, it
was argued that due to the changing
nature of background air quality.
inclusion of absolute concentrations
such as the NAAQS or PSD increments
in the definition would render
determinations of CEP stack height
constantly subject to change.
  NRDC argued on the other hand that
only a violation of air quality standards
can be considered the type of
"excessive concentration" for which
downwash credit can be justified, the
EPA had failed to specify the health or
welfare significance of the short-tern
peaks- that it might consider as meeting
this description, and that in any event
UARG's attempt to show that short
stacks could cause a large number of
short-term peaks was technically flawed
in several different ways.
   ResponMt. Extensive discussion of the
downwaah phenomenon, as well ai the
aerodynamic effects of building* and
terrain features on wind/low patterns
and turbulence, is contained in the
technical and guidance documents
previously listed in this notice. To
summarize briefly, numerous studies
have  shown that the region of
turbulence created by obstacles to
windflow extends to a height of
approximate^ 2J times the height of the
obstacle. Pollutants emitted Into this
region can be rapidly brought to the
ground, with limited dilution. Though
this tendency decreases the higher
vertically within the downwash region
 that the plume is released, because of
the highly unpredictable nature  of
downwaah and the lack of extensive
 quantitative data, it is extremely
 difficult to reliably predict plumt
 behavior within the downwish rrzior,.
 As noted in the comments suborned.
 the distinguishing features of downwash
 do not show up well over an avenging
 time aa long aa 1 hour or more. Pollutant
 concentrations resulting from
 downwash can arise and subside vary
 quickly aa meteorological condition*.
 including wind speed and atmospheric
 stability vary. This can result in  ihon-
 term peaks, lasting up to 2 minutes or so.
 recurring inlarmittently for up to leveral
 hours, that significantly exc**d thi
 concentrations of the 3- and 24-bour
 NAAQS, Uttia quantitative information
 is available on the actual laveis  of ihe»-e
 peaks, or on th* frequency of their
 occurrence since most sucks have

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             Federal Register / VoL sa No.  130 / Monday. July a. 1965 / Rules  and Regulations
designed to.avoid downwash and
because downwash monitoring n not
typically conducted.
  A number of modeling and monitoring
studies in the record assess the
significance of downwash when plumes
are released into the downwash region.
The most important of these are a
number of studies cited in the November
9 proposal showing that for sources with
sulf'jr dioxide (SOi) emission rates of 4
to i pounds per million British Thermal
Units (Ib./mmBTU). stacks releasing the
plume into the downwash region can
significantly exceed the 3-hour NAAQS.
  The utility industry lubmittid
monitoring results from four sites
showing that facilities with short stacks
(ranging from 23 to 88 percent of formula
height) generated many short-term
peaks in the vicinity of tat plant at
concentrations at least 2 times the
highest concentration of the 3-hour SO,
standard, i.s- 1 ppm for up to 10
minutes. Those concentrations are the
maximun that could be recorded by the
 monitors used. There is no way to
 determine from these data the true peak
 ground-leva! concentration*.
   The NRDC in commenting on this
 subject has argued that downwaah- • •
 related concentrations are largely
 theoretical since sucks have generally
 been built to avoid downwash. and that
 actual concentrations occur under other
 meteorological conditions such as
 "inversion breakup fumigations" tod
 "looping plum*," that can tqual the**
 "theoretical" concentrations predicted
 under downwash,' The NRDC also
 criticized the utility data on numerous
 technical grounds.
    EPA'i studie* indicate that. when
 stack* an significantly leu than GS>
 formula height high short-term
 concentrations can indeed occur due to
 downwash that are in the rang* of the
 values reported by the utility industry.
 Concentrations produced by the other
  conditions cited by NRDC tSough high,
  may be lower by an order of magnitude.
  and occur less frequently by as much as
  two orders of magnitude, than those
  produced by downwash.1 As slack "
  ' In "mvtnioa bnuup fumitauoo."
layer aiujptia* out to naaUBi, of tit ground. Ivmaf
tnc pollutant* (hit W«TI trapped in it daicaad
luddtniy to fround Irvtl. In 'looping plum**." a
p!umt i* brought oo«*n to th* grou&d clovt fo the
louni m in* form of inttfnttuiu pqff< under vrry
uniuMt aima*en«ne nntfiooM.
  1 "Commtnu on Ptak C«jund-Lrr»)
Conctnirationt Out to Buildinj Do»rn««a»h FUUuvt
•i Ptik Conctnmtioni Unoar Atmoiphcnc
D'lotnron ProctJKf." Alan H. Hutxr and  Prjncu
Poo'tr lr lunc 10. 1884.
height approaches the height determined
by the CEP formula, the expected
frequency and Mvthty of short-term
peaks due to downwaih becomes less
certain. This is to bt expected, sine* it is
the purpose of a formula height stack to
avoid excessive downwash. While it
might theoretically be possible for EPA
to revise the CEP formula-downward
(e.g, from H+UL to H+1.2L or some
other value), such a revision would hive
little purpose. By moving the release
point further into the downwash region.
such a change would increase the
probability of high downwasb-cau**d
peaks. On the other hand such
relatively small changes in suck height
are not likely to appreciably affect this
emission limitation for the source. This
is because emission limitations are
calculated based on physical stick
height and associated plume rise under
atmospheric conditions iudged meet
controling for the source. Increasing or
oV reasing stack height by a small
frisson will not gnatly change the rate
or extent of dispersion and thus will not
affect the ground-level concentration.
Moreover, as EPA noted in its
November 9 proposal no data presently
 exist on which to base a revision to the
 formula.
   The NRDC submitted data to EPA
 which It believed to support me
 conclusions that it urged EPA to adopt
 conceminf short-term peak
 concentrations under other
 meterological conditions.'However.
 these data were not presented In e fora
 that could be readily interpreted aad
 EPA has thus far been unable to draw
 any conclusions from them.4
   Ln reviewing NRDCs comment! on
 building downwash. EPA agrees that
 there is great uncertainty about oer
 present understanding of this
 phenomenon, and this is rapported by
 the range and variation of downwash
 effects ub«er>ed in recent studies.
 However, no information has been
 presented which would convince EPA to
 abandon the preeent CEP formulae to
  favor of any alternative.
    The health and welfare  significance of
  downwash  concentrations that result in
  violations of the ambient standards are
  documented and acknowledged in the
  standards themselves. The significance
  of short-term peaks at the levels that
  EPA's analyses predict is more
  judgmental. However, a number of
  studies cited in EPA's "Review of the
  National Ambient Air Quality Standards
                                           •M»moT»ndu» from Dtvid C. Hiwkrru. NIDC to
                                         William F. Prdtrnn. |r. Offic* of Cm*n\ CaunMj.
                                         t'SZTA. May a. IMS.
                                           •Mrmonndum from Aim H. Hukwt A3RI- to
                                         Divid Stonefitld. OAQPS. |u/>« II. 1*«S-
for Sulfur Oxider Assessment of
Scientific and Technical Information
(EPA-450/5-82-007. November If
indicate that concentrations of or
sustained for durations of 5 minute:,
more can produce bronchoconstrict!
in asthmatics accompanied by
symptoms such as wheezing and
coughing. Such concentrations art we:
within the range of concentrations tha:
can result from downwash. When
sources meet the ambient standards. :h
frequency of occurrence for these
concentrations under the other
conditions died by NRDC Is
substantially lower than for down was.-
when stacks ate less than CEP.
   CEP formula Stack HtjghL Somt
commeatars, including NRDC stated
that EPA cannot justify retention of tie
traditional (2JH) and refiaed (H-l.S^
GEP formulae baaed simply on their
relstionship-to die  40-percent cnianor.
and argued that the formula* provide
too much credit In  many or moat ca*et.
This, they axgus. results in allowing
sources to obtain unjustifiably lament
emission limitations.
   Other coamentan argued that
 Prinpees explicitly reaffirmed th«
traditional GEP formula, aad that EPA
 should allow oMximum raiianc* on it
 (and by implication, on dM refined
 formula that was smbseouentiy der
 fromU).
   rtaepo/we. The use of EPA's refc
 formula as a starting pomt for
 determining GSP was not called into
 question by say litigant in die Sierra
 Club case. The conrt's opinion likrwrx
 does not question the use of the fonnuit
 as a starting point. A detailed dlsc-ojuo:
 of the court's treatment of tha formula.
 showing how it endorsed tin formula'!
 presumptive validity, la contained ic tht
 Response to Comments document
    DeapiU this ""'»»<< cndonemeiu. EPA
  might need to revisit tha formula on 1U
  own if its reexamination of tfi«
  "cxcescive eoncamnitJ«r and nodeiini
  lasues indicated that the formula clear.)
  and typically misstated the a*grw of
  stack height needed to avoid downwaih
  concratrttionj thai caoea aaaith or
  welfare coacams.
    However, no such reault k*a emerge
   froei our recxamination. Sucks b«iow
   formuia height are asscoated with
   downwash-related  violations of the 11:
   quality standards themselves where
   emission rates lignificantly ixcwd the
   levals ipecified by  NSPS- Even where
   emissions are low.  downwish
   conditions at stacks below formula
   height can be expected, unlike om«
   condition*, to generate num*fWJ^«T
   tenn peiks of air pollution rt hig..

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27898        Fexkral Register /  VoL SO. No. 130 / Monday. July 8. 1985 /  Rulea and Regulations
that raise a real prospect of local health
or welfare impact!.
  As EPA stated in the proposal, it is
impossible to rely primarily on fluid
modeling to implement the stack height
regulations, particularly under the
timetable established by the court 49 FR
44883 (November 9.1984J. No
commenter other than NRDC even
suggested a different formula that in
their eyes would be better, and NRDCs
suggestions were premised on their
"control first" position, which EPA has
found inconsistent with the statute and
has rejected. EPA considers the refined
formula to be the suta-of-the-art for
determining necessary suck height.
   Given the degree of presumptive
validity the formula already poes«ss«*
under the statute and the court opinion.
we believe that this record amply
supports its reaffirmation.
   Stocks Abon CEP Formula Height.
The EPA's 1978 stack height guidelines
 [cite] imposed special conditions on
 stacks above formula height—the
 installation of control technology—that
 were net imposed on lower sucks.
 Similarly. EPA's 1973 proposal had
 made credit above formula fcughl
 subject to a vaguely  defined "detailed
 investigation" (38 FR 25700). The
 legislative history of the 1977 Qean  Air
 Act Amendments cautioned that credit
 for sucks above formula height should
 be granted only in rare case*, and the
 Court of Appeals adopted this as oae o/
 the keystone* of iU opinion. The court
 •l*o coododed that  Congreu
 deliberately adopted very strict
 requirements for sources locating in
 hilly terrain.
    For the«e reasons. EPA is requiring
 sources seeking credit .for sucks above
 formula height and credit for any suck
 height justified by ternin effects to
 ihow by field studies or fluid modeling
 that this height is needed to avoid a 40-
 percent increase in concentration! due
 to downwash and that mch an increase
 would result in exceedanca of air
 quality standards or applicable PSD
 increments. This will restrict suck
 height credit in this  context to cases
 where the downwash avoided  ia at
 levels specified by regulation or by act
 of Congress as possessing health or
 welfare significance.
    To conduct a demonstration to show
 that an absoiuu air quality
 concentration such  as NAAQS or PSD
 increment will be exceeded, it  is
 necessary to specify an emission rate for
 the source in question.'The EPA
believes that in cases where greater
than formula height may be needed to
prevent excessive concentrations.
sources should first attempt to eliminate
such concentrations by reducing their
emissions. For this reason EPA is
requiring that the emission rate  (o be
met by a source seeking to conduct a
demonstration to justify stack height
credit above the formula be equivalent
to the emission rate prescribed by NSPS
applicable to the industrial source
category. In doing this, EPA is making
the presumption that this limit can be
met by all sources seeking to justify
suck heights above formula height
Sources may rebut this presumption.
esUblishing an alternative emission
limitation, on a case-by-case basis, by
demonstrating to the reviewing
authority that the NSPS emission
limiUtion may aot feasibly be met given
the characteristics of the particular
source.'For example, it may be possible
for a source presently emitting SOi at a
rate of 1.8 lb./mmBTU to show that
meeting the NSPS rate of 1.2 Ib./mmBTU
would be prohibitive in that it would
require scrapping existing scrubber
equipment for the purpose of in«t«IHnj
higher efficiency scrubbers. Similarly, a
source may be able to show that due to
space constraints aad plant
configuration, it is not poeaible to install
the necessary equipment  to meet the
NSPS emission rate. In the event that a
source believes that dowcwaah-will
continue to mult in excessive
concentrations when the scare*
 emission rate is consistent witk NSPS
 requirement*, additional suck  height
 credit may be Justified through fluid
 modeling at that emueioa rate.
   A source, of course, always remain*
 free to accept the emission rau that is
 associated with a formula height stack
 rather thaa relying on a demonstration
 under the conditions described here.
 The third alternative mentioned in the
 proposal—using the actual emission
 limit for the source—has been  rejected
 because, to the extent mat limit relied
 on greater than formula height it would
 amount to using a tall suck to justify
 itself.
   The EPA's reliance on exceedancsjs,
 rather than violations of the NAAQS
 and PSD increments, is deliberate- Fluid
 modeling demonstrations are extremely
 complicated to design and carry out.
 even when the most simple
 demonstration criten*—-that is, a
 percentage increeje m concentrations.
    • la coetrwc if th* »« at ~nnt*n*
  concnnooM* ln»et»«d < mask
  mo****. lfc«rt would bi to OMd la ipvcify
  rrnixrn rnt. nac* tSt I&CTUM m
  ca«Md IT dowawufc a ic4co
-------
                      Kegnter / Vol. 50. No. 130 / Monday. July a. 1985 / Rules  and Regulationa
                                                                     27899
expansion is carried out—not actual
stack height
  An additional theoretical
complication is presented when an
absolute concentration is wed where
meteorological conditions other than
downwash result in the highest
predicted ground-level concentrations in
the ambient air. In such cases, a source
that has established CEP at a particular
height, assuming a given emission rate.
may predict a  NAAQS violation at that
stack height and emission rate under
some other condition. e.g^ atmospheric
stability Class 'A.' Reducing the
emission rate  to eliminate the predicted
violation would result in stack height
credit greater  than absolutely necessary
 to avoid an excessive concentration
under downwash. However, reducing
stack height places the source back in
 jeopardy of a  NAAQS violation under
 the other meteorological condition, and
 so on. "ratcheting" stack height credit
 and emission  rates lower and lower. The
 EPA has eliminated this "ratcheting"
 potential in the GEP guideline by
 providing that, once CEP is established
 for a source, adjusting the emission rate
 to avoid a violation under other
 conditions does not require
 recalculation  of a new CEP stack height
   EPA is making this part of the
 regulations retroactive to December 31.
 1970. In the terms of the court's
 retroartivity analysis, stacks greater
 than formula,  height represent a situation
 that Congress did affirmatively "intend
 to alter" in section 123. Moreover. EPA
 regulatory pronouncements since 1970
 have placed a stricter burden on sources
 raising stacks above formula height than
 on others.
    N.o source  is precluded from building
 a statk height greater than formula
 height if such height is believed to b«
 needed to avoid excessive downwaih.
 However, the design and purpose of
  section 123 prohibit SIP credit for that
  effort  unless  a relatively rigorous
  showing can be made.
     Given the  ability of sources to avoid
  modeling and rely on validity of the CEP
  formulae and requirement for further
  control of emissions in conjunction with
  stack heights in excess of formula*
  height, the result predicted by UARG—
  exceedances of the NAAQS or PSD
  increments due to inadequate stack
  height—is highly unlikely.
     The potenoal effect of changes in
   Background  air quality on stack height
  credit is not  substantially different from
   the effect that such changes in
   background  can have on sourca
   emunon limitations in nonattauuneot
   areas. In the first cas«. however, sources
   may be able to address these effects
   tnrough greater stack height if such
changes affect the concentrations under
dowowuh. Moreover, the possibility
that shifting background air quality can
yield different calculations of CEP is
significantly limited by the fact that
consideration of background in CEP
calculations la restricted to those cases
when credit for greater than formula
height is being sought or sources are
seeking to raiM stacks to avoid
excessive concentrations,
  flailing Stacks Mow Formula Height
to Formula Height In response to EPA's
proposal to allow automatic credit for
CEP formula height several coaunenten
have argued that EPA has failed to
adequately respond to the court's
directive to "reconsider whether, in light
of its new understanding of 'excaaaiva
concentration*,' demonstrations are
necessary before stack heights may be
raised, even if- the final height will not
exceed formula height"
  RtspOMt. Raising a stack below
 formula height to formula height is not
 in EPA's judgment subject to the same
 statutory reservations as building stacks
 greater than formula height However.
 as the court has cautioned, it may still
 be necessary for these sources to show
 that raising stack* Is necessary to avoid
 "excessive concentrations" that raise
 health or welfare concerns.
   For these reasons, sources wishing to
 raise stacks subsequent to October 1L
 1983. the date of the D.C. Circuit
 opinion, must provide evidence that
 additional height is necessary to avoid
 dowswash-related concentrations
 raising health and welfare concern*.
 These rules allow sources to do this in
 two ways.
   The first way is to rebut the
 presumption that the short stack was
 built high enough to avoid dewnwash
 problems; La. to show, by site-«peciflc
 information such as monitoring data or
 citizen complaints, that the short stack
 had in fact caused a local nuisance and*
 must be raised for this reason. The EPA
 believes that both the historical
 experience of the industry and  the data
 on short-term peaks discussed earlier
 show that short stacks can.cause local
 ntusanui dus to downwash. Howervr,
 where a source has built a short stack
  rather than one at formula height it has
  created a presumption that this Is not
  the case. General data on short-term
  peaks may not be strong enough to
  support, by themselves and in the
  abstract a conclusion that the suck
  must be raised to-avoid local adverse
  effects. Instead, that proposition must k*
  demonstrated for each particular source
  involved.            ,
    In the tvent that a source cannot
  makt such a showing, the second way to
  justify raising a stack is to demoostrata
by fluid modeling or Held study an
increase in concentrations due to
downwash that is it least 40-percent in
excess of concentrations in the absence
of such downwash and in excess of the
applicable NAAQS or PSD increment!.
In making this demonstration, the
emission rate in existence before the
suck is raised must be used
  Since raising sucks to formula height
is not subject to the same extraordinary
reservation* expressed by Congress and
the court with respect to sucks being
raised above formula height EPA does
not believe that the use of presumptive
"well-controlled" emission rate is
appropriate hen. As discussed in EPA'i
response to NRDCs "control first"
argument the basic purpose of section
123 we* to take source* aa it found them
and, based on those circumstances, to
aaann that they did not avoid control
requirements through additional
dispersion. Use of a source's actual
emission rets tn this inatance is
consistent with that Basic purpose and.
abeent special indications of a different
intent should be used in suck height
calculations.
   The EPA believes that it is most
 unlikely that any source with t current
 emission UmiUtioo has failed  to date
 full formula credit for a suck of formula
 height Accordingly, the question
 whether a.source can receive sUck
 height credit up to formula height w\U
 involve only sources that want to
 actually raise their physical stack. Dot
 source* that simply want to claim DOM
 credit for a suck already in existence. A
 lource will presumably not go to tha
 trouble of raising an cxiatinf suck
 without tome reason. If a source cannot
 show that the reason wu in fact thi
 desire to avoid a problem caused by
  downwash. then the inference that it
  was Instead a desire for more dispenion
  credit is hard to avoid. A nuisance
  caused by dowcwashad emissions could
  include dtizsa or employee complainu
  or property danug*. A source would be
  expected to show that complainu of this
  nature wen reasonably widespread
  before getting credit under this secnoc.
    The EPA does not intend to make this
  rula retroactive to sucks that
  "commenced construction" on
  modifications that would raise them to
  formula height prior to October 11.1982.
  Applying the court* recroactivlry
  analyais, it appears:
    l.-The new rule does depart from prior
  practice, Tha EPA's 19T3 propo*ed rule
  affirmatively encouraged sources with
  shorter sucks to rxiu them  p formula

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27900       Fedaral Rafjsrtsg  /  Vol sa No. 130 / Monday. July  8, 1965 / Rules, and  Regulations
height1 Though EPA's 1970 guideline
can be read u imposing a "control first"
requirement on some suck height
increases, its general thrust gave
automatic credit for all stacks that met
the "Z5~ times formula.'Automatic
permission was similarly set forth in the
1979 proposal in the t9« reproposaL
and in the 1962 final rule. Only a notice
published in I960, but later withdrawn.
departs from thu trend, requiring the uie
of field stum's* or fluid modeling
demonstration* to justify stack height
increases op to CEP formula height.'
Even then, the notice would have mad*
this policy prospective in its application
   2. Sources that raised sucks m
 reliance on this past EPA guidance
 assuming the availability of dispersion
 credit cannot be distinguished from the
 sources, in dw example approved by the
 court that built sucks to the traditional
 formula in an identical expecUtioe of
 dispersion credit
   3. It cannot be said that the raising of
 stacks to formula height is a practice
 that Congress "affirmatively sought to
 end* It is not mentioned in the text of
 the statute or its legislative history.
 Further, as die court has already noted,
 the sutuU attributes a degree of
 presumptive validity to the formula on
 which eoercee mat raise their stack*
 will have relied.
   Dnention to R*quin FhM Mock/ing.
 Several cooaaenters argued thai EPA's
 proposal to allow tgeociea to require the
 UM of fluid H*"^**?^ wo unnecessary!
 since EPA had- already doanpeotad the
 validity of the CEP formula*;
 Purtherflhore, these coomentan argue
 that this allowance would make umd
 modeling the rale, rather than to*
 exception. This would riiaft. the
 commenters state, because It wma their
 expectation that agencies or
 environmental groups would nearly
 ajways call for fluid modeling
 demonstrations during the permit
 application and review procaaa.
    Other commenters stated that
  providing the discretion to require fluid
  modeling was appropriate, since EPA
  had failed to  demonstrate  that die GEP
  formulae represented the mtn. Poroee
 itruetsres cad >"">^f« wfeoee skapee
 are aeroOTBajnicaDy semxXber than  the
 siapi* block-«haped urectufee eo
 which the formala* are beeed*
   •GofeteM fer Dwmoauooo a/ Good
   pwm« Pmcne» 9to<* Hv^K. i
     i km w^omr • raq«M
 dtttjummoop*. «B BM HHM

 of MCOM ns of tk« Qwa AJr AM.
   "UrUwBTA
However. EPA acknowledges that other
situations, of which the Agency u not
presently aware, may arise wherein the
formulae may not be adequate.
  The EPA intends to "grandfather'' tny
source that relied on the formula in
building iu stack before the date of
EPA's 1979 proposal from the effect of
this discretionary reexamination
requirement.
  Only in that proposal did EPA first
suggest that  such a discretionary
reexamination provision might be
included in the final rule. Toe
retroactivity analysis set out earlier
therefore supports exempting sucks
built in reliance on EPA guidance before
that data, from discretionary
reexamination. Indeed, a f«ii«fy to
"grandfather" that sources would lesd
to the paradoxical result that a socru
that had built a GEP stack under th«
traditional EPA formula would have m
direct reliance interests protected by th«
"grandfather" provision previously
upheld by me court but could then lose
that "gnidfatbered" credit through *
caae specific deeaonstration reqosrtment
    ' "TVi tu* «f tt*di hrttM vp » tfw 1ml tt f«W
  mpiM«nof pncnca u «t»counfid b>r IP A to wb«r
  to iToui \oai pii*"r*l" (M FS. 11700^
    Ml nt 7411 (Tcbruuy IS. unt Cwdaitet
  yrcntm B.1. ClBl C32V
                 X. ne&t »«afle dl»CM»«>« ei
  wttte ipoiMd to rwadid aavzank.
  for oruia («»*nd itrucnni tad CDoftac
         br DnvrmaifloB
  itnirrurw thai w»rt fr»ct*d pnar t»
  19*4. Slue* EPA fvutUeca hu an
  [or porevM HJULIIU**. OM mtficoea In OK nit far
  luc* unarm •pp^w W ^1 IWOLJ ta txmtwta*
  unem O»a*BO* U. ISTtL
 showing that the traditional formtis wss
 somewhat inaccurate—-the very reason
 behind the change in the formula
 properly focnd noD-nxroect>ve by EPA
 earner.
.  Given this background. EPA believe*
 that the effect on emission* of t&chjding
 or 01 erctedtasj a  pronsloo for
 discretionary determiBetio&s from this
 role is likely to be very small Boildrig
 stacsj above formula height, and nisTnsj
 stada below formula height to forauii
 heiijht are cuiiuti by regulatory
 provisions already discussed Thf only
 case left for discretionary
 rfoi«Miifn«Hnn« to address is tht building
 of sUcks at formula height In the pcst-
 1979 period However, all z&ajor tc'^rces
 built sacs that *m* are alnady
 condoled to Sd emission rates DO
 greater tK«^ u Ib./mmBTU—tnd. Dot
 uncommonly much less  unrirr vsr.out
 EPA regulations. AH new power piinu
 on which rftnttnK^ir*^ **cnmm*Fr>^"
 since 1871 ffmyt m«t EFA's KSPS
 mandating an tmin"^" rats no grMitr
 th»t^ this level That standard wu
 tightened for aJQ  power plants oo winch
 construction "comovaaced" thu 1K78- IB*
 addition, all "ma^or" sources buih iince
 1977 in^aieea subject to the Act's PSD
 requirements have bed to iosttll btit
 available QQOOQI technology. That
 technology BUSK reoaire the gnsuit
 degree of smininn control thst u
 achieveoie coosideGnt technologr.
           i, and  sea ijj impacts.0

-------
             f eqerai Kegister / Vol. 50. No. 130 / Monday. July &  1985 / RulM and  Regulations       27901
  If such sources h»d to show that use
of a formula height stack wis needed to
avoid ixceedances of the NAAQS or
PSD increments, that might prove
difficult for many of them. The
likelihood of such exceedances tends to
decrease as the emission rate for the
source decreases. By the same token.
the incremental emission reductions
available from the sources that are at
issue here tend to be small and among
the most expensive available. In terms
of emission reductions, little is at stake
where these sources are concerned.
  Accordingly, the rules will require
such sources, if a reviewing authority
calls for a demonstration, to the rule*
show that the use of a formula suck
height is needed to avoid a 40-percent
increase in concentrations due to
downwash. This will provide a rough
check on whether the formula, as
 applied in the particular case at issue.
 produces the result it-was designed to
 produce.
   The EPA is not providing here for
 sources to justify their formula height
 stacks by arguing that the height in
 excess of that needed to avoid NAAQS
 violations is needed to avoid a local
 nuisance. The discretionary modeling
 requirement is designed for application
 to stacks before they were built Beyond
 that, there is no way to  determine bawd
 on A f-absence of a local nuisance that a
 formula height stack is not too talL in
 the Way that the presence of a nuisance
 shows that a stack under formula height
 in fact is too short Accordingly, there
 will be no way. as there was with short
 stacks being raised, to determine from
 actual expenence whether a local
 nuisance would occur at a shorter stack
 height Though avoiding local nuisance
  is a legitimate purpose  for which stacks
  are built it would b« very Difficult to
  show by modeling what stack height
  was needed to avoid it.
    Some commenters have
  misunderstood EPA's allowance of
  discretion to require fluid modeling as
  requiring such modeling whenever any
  individual or entity called foMudi a
  demonstration. This discretion rttt*
  explicitly with the reviewing  agencies
  who have always had  the prerogative to
  require more stringent analyses in the-
  SIP process.-and no obligation is implied
  for these agencies to require fluid
  modeling simply because it has been
  called for by some individual during the
  permit review process. It is EPA's
  expectation that technical decisions to
  require such additional demonstrations
   would be based on sound rational* and
   valid data to show why the formulae
   may r.ct be adequate in a given
   situation. In any case, given the burden
of reviewing a fluid modeling
demonstration, an agency is not likely to
exercise this option absent sufficient
justification. Consequently, ETA
disagrees with thecomaienters'
contention that fluid modeling will
supplant the us* of the CEP formulae.
except in what EPA believe* will be
unusual instances.
  Reliance on the iSH Formula. In
limiting the applicability of the 2JH
formula to those cases where the
formula was actually relied upon, the
November 9 proposal defined such
reliance ia terms of suck design. A
number of comments indicated that
actual suck design and construction
may ultimately be control not by the
2-5H engineering rule, but by
construction materials specifications.
Consequently, while 2-SH rale may have
provided an initial starting point in
suck design, the rule may not have
dictated final stack height In other
cases, it was argued that a number of
source owners may have constructed
their stacks in excess of what was
determined to be minimum CEP for
precautionary reasons, for proem
 requirements, or in antidpaaoa of
 additional growth in the area
 surrounding the facility, evan though
 emission limitations for theM sourcas
 would have been limited then, as now,
 to formula height Consequently, it was
 argued that EPA should allow sources to
 demonstrate reliance on the formula in
 the calculation of emission limits ts well
 as in the design of the stack.
   In respcnM to EPA's request for
 comments on what evidence should bt
 considered accepuble in determining
 reliance on the 2-3H formula, scat
 commenters urged EPA to consider
 reconstructed evidence. s.g_ affidavits
 from design engineers or copies  of
 correspondence indicating past reliance
 on EPA guidance. Other eommenten
  stated that "reliance" should be wry
  strictly construed, that EPA should be
  circumspect in its review of reliance
  demonstrations, and that only
  contemporaneous documentary
  evidence, such as blueprints and facility
  design plans, be accepted as evidence.
    Response, The EPA is in general
  agreement with the view that reliance
  should be considered in relation to the
  emission limitation for the source,  not
  the design. Since section 123 specifically
  prohibits EPA from regulating actual
  stack heights and rather regulates  stack
  height credits used in setting emission
  limitations, it would be illogical to
  require that sources demonstrate
  reliance on the 2.JH formula for actual
  stack design. Moreover, such an
  approach would ccntradic: principles of
found planning, in that it would penalize
those sources that have built taller
SUcks ia anticipation of facility
expansion or other growth in the area
that could influence CEP
determinations.
  If a suck has been built taller than
2JH formula provides, while tas
emission limiution has been calculated
assuming £5H credit a convincing
demonstration has been made that the
source properly railed on the formula.
Conversely, if the emission limitation for
the source is based on some other stack
height credit, such aa i&H. 3 JH or some
other number, it would be difficult 10
show that the CEP formula had in fact
been relied on.
  In some cases the emission limit
information may be  unavailable or
inconclusive. In such cases. EPA will
allow reliance OB reconstructed
evidence of construction intent
  In commenU submitted during the
public comment period and la response
to questions railed by EPA at the public
hearing held on January & 1985. industry
representatives repeatedly suted thai
contemporaneous evidence of reiiecc*
 oa the 2JH formula, such as facility
design  plans, dated engineering
 calculations, or decision records are
 rarely, if ever, retained for more this i
 few years after construction of the
 facility is completed Consequently, they
 argued that mort cases of legitimate
 reliance would be denied If
 contemporaneous evidence wen
 required ta order to retain for mi 2-5H
 formula.
   The  EPA agrees.  Additionally, credit
 afforded by the 2-SH formula in excess
 of that resulting from the use of the
 H+1.SL derivative is likely to bt small
 except when the building on which
 suck height credit Is based Is
 substantially taHer tfr»" it is wid*.
 Finally, it is EPA's view that the court
 did not intend mat sources b« subject to
 a  rigorous or overty stringent of reliance.
 but only that they  be accorded a
  reasonable oppominity to show reliicc*
  on the 2-SH formula. For these retsor.s.
  EPA will allow the submission of
  reconstructed, i.a- noncontemporsjieous
  documentary evidence to demonstrate
  reliance on the 2_SH formula.
    Definition of "Nearby". Comments
  were  submitted by UARG and others.
  arguing that effectively, no limiUtion
  should be placed on the consideration of
  terrain-induced downwaih.
  Alternatively, son* of these
  commenters argued that the court
  decision requires  that a limitation b«
  adopted that does no( apply any
  distance restriction of Vj mile Ln
  modeling terrain effecis such n u

-------
27802       Federal S»gi«*ag / Vol. SO. No.  130 / Monday. July s. 1885 / Rule*  and RagnUtiorn
spoiled to itrucflim in tht UM of CEP
formula*. but rather tflowt
conaidtntioa of all tetnia that rtiulti
in tfat Mtnt downwaih cfitct u tho««
strnctuns within tt mil* of tht stack.
  Other commenters have argued that
the court decision and legislative history
predude EPA from allowing
consideration of any terrain beyond a
distance of V* mile, regardless of when
it begins.
  Response, for the reasons
summarized below. EPA does not accept
either the interpretation that the court
decision authorize* EPA to adopt a
definition bated soleiy on effect or that
it limits consideration excfasivery to
terrain fearon* falling entirely within H
mile.
   Whan Coagma diacaaeed the-
allowance of credit for stack height to
addieee  downwash. It stated that tfae
term •"nearby" was to be "itrictiy
construed" noting that if the tens wvre
to be interpreted "to apply to man-nade
ttrucfuresi or ttmin fiatunt % to V»
mile away from the sources or more, the
result could be an opea inriUtion to
raise stack beighti to unreasonably high
 elevation* and to defeat the basic
   In its opinion, tbaxoort held that EPA
 could not give unlimited credit win
 mooting terrain feature* because that
 would conflict with tbe Coegraeaional
 intention to impose artificial Units on
 that credit The court waa not prewnnd
 with, and did not address, the o^wctioa
 of what to do about terrain feature* that
 "bafam" withto fc auk and exBeoaad
 outside it The approach  adopted by-
 EPA carried out this i:i,Tigr**s >>•••!
 purpose to iinnnsi an artificial tixait bat
 at the sam« tima reflects tia nal facts
 more dos«ly *h«« an absolute Vi atile
 limitation,
    Unliks m«rv-rpf rU structure*. terrain
 feamrea do not hav* readily definable
 Him«fl«inr>« otfaeT >h«" height. For *h<«
 reason. EPA has defined "aearby" u
 generally allowing inclusion of
 consideration of terrain feamra*. that fall
 within a distance of Vt mile of the stack.
 EPA'i  definition win paonft
 consideration of such  terrain that
 extends beyond the W mile Omit if the
 terrain begins within %  mtu, tllowlng
 that portion within 10 time* the  .
 maximum height of the feature, not to
 exceed 2 miles, at described in the
 proposal
    To define when a terrain feature
 "begins" within H mile. EPA hat related
 terrain height at the Vi mile distance to
 the maximum stack height that could be
 justified under the other two methods
for determining CEP. Accordingly. EPA
will require, that terrain featuna reach a
height tt tht 14 milt diiwifa limit of
either 28 meter* (La. 63 meters divided
by U) or 40 percent of tht stack height
determined by tot CEP formulae applied
to nearby building*.
  Ttvatmint ofNtw nrtui Exitting
Source* Under tht Definition of
"Nearby". In the proposal EPA
requested comment en whether new
sources should be treated differently
from existing sources and presented two
options for addressing mem.
  Few comments wtn received on
these options.  Several questioned the
logic of distinguishing between new and
existing source* in the regulation*. One
commenter argued that new and existing
sources should both be subject to the
strict tt mile limit piuyueed under one
option for aew source* only. This baa
already been discussed under EPA's
response to comments on tbe general
definition of "nearby" and is not
sddresaed further here.
  /UeponM. New sources an initially
subject to mon stringent control
requirements than many existing
sources. Consequently, it is lee* likely
that the emission limitations and stack
height credits  for these sources will be
affectad by terrain feature*.
Furthermore, EPA believe* that tbe
effect of applying a sure restrictive
and will result only in minor change* hi
i i ting, rather *^»« substantial nlocaticsi
oi sources. For this reason. EPA baa
selected the second option, treating i
and ext*tm*> soorce* Identic
the definite* of "aeufcy."
  EPA is giving this definition of
"nearby" retroactive application to.
December 31. IflTU. Tbe court's iir*'i~m
makea dear its cooducon that Cnngrese
af&rmativeiy focused oo this ISM* and
decided t^<>* m*^Hna apoiicatioo aa of
the sTverfTTHfit  dat* proper.
  Definition of Other Ditptniao
TK&niqiM*. Tbe EPA received many
comments on the proper scope of the
definition of "disoenion techniques,"
and perhaps more an"ihs spprophau
bounds of the ^Tfci^c""*- icdus&y
commenurs geoerally argaed that EPA
had isproperiy proposed to deny
considention
                                        Other commentm argued that £?A
                                      mutt OM a te*t based purely on tfjKis.
                                      prohibiting credit whan a technique w
                                      practice ha* the effect of enhancing
                                      dispersion, regard!*** of any other
                                               t. In the final regulation. EPA
                                      baa rejected the polar posiOoos
                                      discosMd above. The arguoaat that
                                      dispersion tfftct* an forfaiddsa
                                      regardles* of motive is discussed and
                                      rejected as a part of the general
                                      response to tht argument that only
                                      '^well-controlled'* sources can rsceiva
                                      any dispersion credit
                                        Conversely, a pun "but for" tut run*
                                      the risk of creating exdusioni that
                                      effectively swallow the nils iu*lf. Tht
                                      EPA judge* that few, if any,
                                      circumstances an likely to arise, in
                                      which some other benefit or justification
                                      cannot be asserted aa the buii for i
                                      practice, v"f thanfon for tuch in
                                        When prospective evaluation of
                                      merged |** stnanu. or combined
                                      stacks, U concerned, there u no rtuaz
                                      to assume the serious adminiin&vt
                                      burdana investigating inch f!«r*i« night
                                      entail The court directed EPA to apply
                                      an intent test "at a minimum H md i»ft \\
                                      free to taka an approach that cay b«
                                      kss gasarous toward credit fu
                                               { stacks, -^p^fl souTC£i in the
                                       futnn win be able to plan
                                       backgroond of rale* thit de£ze
                                       pennijaibl* credits pnoMly, little
                                       mifofirtu result! from a
    14 HJLXjjoa. No. 2M. Mtfc Cooa. Ul!
  (1877).
 effects that are "coinddenuT with
 t»chniqaes' and praoice* roatinely
 carried out for sound qng| and
 economic reasons. They argaad that
 EPA should prohibit credit oaly whan a
 technique or practice was decisively
 fflotivsted by a desire for dispersion
 credit Such an approach would create a
 "but for" test using the Intent of the
 sourca owner or operator u th* buiis
 for EPA'i decision*.
                                        approach,
                                          Whaa ntroepective application ii
                                        '^""^r'M. Uowevar. tha retroacaviry
                                        analyst* spelled out by tha curt direcu
                                        that an intanl-ba**d tact be e=?ioycd u
                                        described. later.
                                          Acconfingiy, after ni''^^--! tbe
                                        record on thase matten. EPA tii
                                        dstarsined to taka a "middle-jTsuiid"
                                        apprq«ch to this question. Tht £21!
                                        regulation retain* the same bread
                                        prohibition found In tha propciii on
                                        increasing exhaust gas piuoe rue by
                                        manipulation of parameters, or tbt
                                        combining of exhaust ga*«i frc= teveraJ
                                        •*i**r>i ttacks into ana ittci- with
                                        Mvaral classes of exdutinni. Thew
                                        axduaioQs recogniza tht exiiu^ce of
                                        independent justification! bsied on
                                        T"f*iit^||ng and/ or economic factors.
                                        and include:
                                           (1] Demonstration of origiail facility
                                        design "xi construction with zisryed
                                        gas  stnaaa:
                                           (2] Demonstration that nets* after
                                        July 8, 19U I* part of a ciangt in
                                        operation that indudai tht uuiall'Qon
                                         of polktton cantroU and rwuJ'J in i  net
                                        r»durtOB tn aflowablt euiwica* of the
                                         polluUnt for which crrcit is *os$hc or

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                                                    ,w.iu«y. juiy a. 1965  /  Rules and Regulation!
                                                                                                             27903
  (3) Demonstration that merging befon
July & 1985 was pan of • chance in
operation that included the installation
of control equipment or was carried out
for sound economic or engineering
reasons. An allowable emissions
increase creates the .presumption that
the merging was not carried out for
sound economic or engineering
reasons.11
Of these exclusions, the first is identical
to the proposal and the second and
third an modifications of the second
exclusion included in the proposal with
a refinement based on prospective/
retroactive application.
  The first exclusion was retained for
the reasons stated in the proposal After
 reviewing  the comments  submitted EPA
determined that its previous
 conclusion—that standard practice in
 designing and constructing facilities
 routinely includes venting i
 from several units into a common or
 multiflued stack—is correct Sound
 engineering and economic reasons,
 based on coiu of constructing and
 maintaining MperaU stacks, availability
 of land, and cast savings for pollution
 control equipment support facility
 design and construction considerations.
 Even if air pollution requirements did
 not exist at all sources would have
 incentives to use as few itacks as
 possible.
   Since iacnaiing plume rise, rather
 than phone rise itseii is a "dispersion
 technics" and origins! design and
 construction d«ft"* the Initial base, such
 original design and construction of
 merged gas streams U not considered a
 dispersion technique. Moreover, in
 designing the facility, a source can
 usually choos* to build one larger unit
 rather than several smaller units.
 Therefore, prohibiting credit for original
 design generally only effect the design
  of units and not the phme rise.
    Objections hare be«n rsised to
  applying this logic to source* which an
  constructed over a period of time, but
  use a single stack. However, the same
  factual arguments furt listed would*
  apply is the seme, if the tn^i\»] design
  included provision for the additional
  units in the plans for the facility, end in
  the design and construction of the stack.
  la tuch a case, the later units msigiii .
  into the stack would b« inctaded wrthin
  the exclusion.
    In addition, it would be tegicalrf very
  difficult to spply a rule denying credit to
  original design stacks. EPA or the State
  would heve to essTime bow many sucks
                                     would have been built absent a desin
                                     for dispersion credit when they would
                                     have been located and how high they
                                     would have been. Since these
                                     alternative stacks would be punly
                                     hypothetical then would be BO clear
                                     way of answering these questions,- the
                                     answer would simply have to be
                                     selected arbitrarily from the wide  range
                                     of possible answers. This problem is
                                     absent when existing stacks have  bees
                                     combined
                                       In contnst EPA finds changes from
                                     the original design of a facility in order
                                     to include merged stacks to regain a
                                     narrower judgment The EPA concluded
                                     that when prospective application is
                                     concerned *b* y^^hiyrim should be
                                     available only to eoorcee
                                     stacks reduces allowable fr'^Tre ol
                                     the pollutant for which the credit is-
                                     granted Than an optima ecaaoauc
                                     advantasjM in ****!* Hi PlTf stacks to
                                     reduce the number of T'"^ control
                                     units that must be purchased In
                                     addition, the installation of pollution
                                     control.'   the pollutant in question
                                     providei Mjbeunttal assurance theu th«
                                     purpose Of the ermhin*nrm U OOt tO
                                     receive a more I^I'T^IT emission H""*
                                        However, given past EPA guidance on
                                     merging of stacks. EPA has concluded
                                     that retroactive application of this tear
                                     would not be proper. The EPA guidance
                                     documents uniformly took the view that
                                     merging of separata stacks into a single
                                     stack  "is generally not considered a
                                     dispersion technique" absent other
                                     factors such as excessive use of fans or
                                     other  devices." P«>*^ 4TUTrrnt
                                      provided guidance to a source  of a
                                      Regional Office regarding the proper
                                      treatment of merged stacks in
                                      calculating emission limitations.
                                      Considering these statements.  EPA must
                                      consider the standards expressed by the
                                      court, as previously discussed in this
                                      notice, m fudging the propriety of s
                                      differing standard for retroactive
                                      application. Given the nature and
                                      applications of the guidance which it
                                      issued in the  past EPA fudges the first
                                      two eritene—-that is, whether  the new
                                      rule represents an abrupt departure from
                                      wcll-estabtished practice, and whither
                                      the parties against whom the new rule is
                                      applied relied on the former rule-—to be
                                      istisfied m addition, applying ths
                                      prospective criteria to past practice
                                      would requin significant changes in fuel
                                      and/or control equipment for parties
                                      whose emission limits were based on
                                      previous guidance. Finally, and
                                      particalarfy where sources hare not
                                                     been aDowed to increase their previonj
                                                     emissions as a result of the combining of
                                                     stacks. EPA does not judge the statutcr
                                                     interest to be overriding in this insur.c
                                                     since the rule rrra in its retrospective
                                                     version only exempts sources that can
                                                     show a reasonable non-dispersion
                                                     enhancement g*°wj for combining
                                                     stacks, and thereby implements the
                                                     "intent" tcet suggested by the court On
                                                     tht other hand EPA has never suggested
                                                     that combined stacks that cannot meet
                                                     such a test an pruper. Sources whose
                                                     actual emissions an increased or
                                                     whoM emission limitations are relaxed
                                                     in connection with the combining of
                                                     stacks create a strong presumption that
                                                     the combination was carried out in
                                                     order to avoid the installation of
                                                     ooDtrotL S^ch comometions would
                                                     indeed ran counter to the statutory
                                                     fiurpUM. and remspectiTe application
                                                     of a tsjft that forbid* them is men/ore
                                                     proper.
                                                        Exemptions from the Definition of
                                                     Ditptnioa Ttchnjquet. The EPA
                                                                   fyjiv^ CQZDIDPfitJ 12
                                                              to its request for input on wnat
                                                      consideration, if any. should be given to
                                                      exrhvttny scarce* from the definition of
                                                      "Dispersion Techniques'' whose
                                                      ertTisemrrc are below a specified level or
                                                      whoee stacks an Jew than the dt
                                                      otndsot h'fgfrt These cozumcnteri
                                                      arfBtd that pnn"h*i"i"g gar stream 12
                                                      particular often had an economic
                                                      justification independent of its effects
                                                      08 dispenten, and theuifmi snouid not
                                                      be generally furbKlden. Other cocaenti
                                                      statM Qsat in wnskierinsj any sues
                                                      •xchtftoB. EPA should consider tb«
                                                      effect on total atmospheric loadings.
                                                         Rstpom*. $*m* timitation on &*
                                                      number of sources affected by ths
                                                      definition at "dispersion technique!"
                                                      necessary for EPA to carry out the itack
                                                      height program. Then are currently
                                                      estimated to be over n.OOD sources of
                                                      SOi m da Untied States with scroll
                                                      emissions exceeding 100 tons per year. It
                                                      would not be possible for EPA or Statei
                                                      to review the emission limits of ever, i
                                                      significant friction of this number
                                                       within a naecnable time period
                                                      Twenty-two thousand of these KTCTCM
                                                       have emissions leu than iOCC tons p«r
                                                       year and contribute a total of less than
                                                       13 percent of tire total annual SOi
                                                       emiaeioe.1TFor this reason, and fcr
                                                       reasons of ad&tustratlve necessity
                                                       discussed eartar. EPA is adopting tn
                                                       exemption from prohibitions on
                                                       manipulatiasj phime rise for fadlitlei
                                                       with allowable SOi emissions beio-w
  » IB u*« •*•?» no
»o«n* jrwrw » DcrrylTyUr to •
      to •* *     Hothtlrrt. Am* a IMC. S*» ti«o ten» tram W«h
                      tnm How* EB*. Ocmecr 1.1»
                                                                                                            OACW '-
                                                                                 D.vwi
                                                                                                        erf SO,

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27904       Federal ReyaUr / VoL SO. No. 130 / Monday. July  6. 1965 / Rulei tnd Regulatious
 5.000 tons per year. The EPA believes
 the effect of this exemption on total SOi
 emissions to be de ttiinunit in nature.
 Even if these sources wen able to
 increase their emission rites u the
 result of an exemption from the
 definition of dispersion techniques, their
 combined effect would not be
 significant Indeed, because these
 sources an exempt on the basis of their
 annual emissions, there exists an upper
 limit to the extent to which they may
 obtain relaxed emission limitations. Le~
 to Tn«in>«in exLexefflptioa, the fTffl"*^
 emissions of a source may never exceed
 5.000 tons per year. For these reasons.
 the 5.000 too limit passes a oe minima
 test even more clearly than the 05-meter
 limit included without challenge in the
 prior version of this rale. Moreover. EPA
 believes that a large majority of theee
 sources would not be inclined to seek
 less stringent emission limitations, in
 part because a substantial portion of
 them are malted by State and local fuel
 use rules.
    The EPA believes at this time met a
 oVsBSKun/s' size exemption is justified
. only for source* of SO> and that the
 number of smell sources for which.
  emission limitations for other pollutants
  an a eiejitflnant concern would not
  support a similar exemption. The EPA
 will ""^^m to review the need for sach
  exenpoflBx snn. if deeoud appropriate,
  will propose then for review aad

    Phuat Lcapoctioa. The EPA received s>
  number of comments requesting that
  credit for plume impactioa b* retained
  Ofl tuAt aVOTXQuA uXAt ftuXS^&lftflXkfl fVCft
                                       Rough Terrain Display Model (RTDM).
                                       to calculate emission limitations for
                                       sources affected by changes to the stack
                                       height regulation.
                                         Responi*. ThcEPA agrees that the
                                       court was cognizant of the problem of
                                       plume impaction and noted that then
                                       was much to recommend EPA's
                                       allowance of credit for impaction
                                       avoidance. However, the allowance of
                                       credit for plume impaction was not
                                       remanded to EPA for revision or
                                       reconsideration, but was reversed by
                                       the court as exceeding EPA's authority".
                                         The EPA does not agree that it would
                                       be possible to redefine CEP in a manner
                                       that allowed credit for avoiding
                                       impaction. since GEP is explicitly
                                       defined in terms of pi eventing exeeaeire
                                       concentrations doe to duwuwash.
                                       wakes, and eddies. Phone impaction is a
                                       phenomena* completely unrelated to
                                       downwash and. rather,  is a consequence
                                       of effluent gases being emitted at an
                                       insufficient height to avoid their striking
                                       downwind hillsides, cliffs, or
                                       mountainsides prior to dilution.
                                       Manipulation or "adjustment" of
                                       modeling parameters to avoid predicting
                                       theoretical plume impaction where
                                       actual stacks have been constructed
                                       above GEP would be tantamount to
                                       granting the same impaction credit that •
credit would have seven
existing source*. Several approach**
w«rc offered for overcoming plume
impection effects in mnAmtin^ to
determine emission limtatioas based oo
GEP stack height Generally, theee   ,
approaches focused oa modifying the
stack-terrain reiation&kip repreeented ta
the models. Several commenlcrs argued.
along these lines that toe court
recognized and approt«oVa< ESLA's
attempt to svoid the efiects.ef phone
impacnofl, but only desvproved of
EPA's regulatory methaite allowing.
sources to avoid impacrtrsa. Theee
commeaten argued that tile court did
not preclude EPA from allowing credit
to avoid plume impection. but eeljr froa
allowing credit for stack height tn
excess of GZPi *H«. it was argued, could
be remedied in a way that was
consistent with the court dedsioa by
bcorporating impaction avoidance
within tae definition of GZP. It wa*j«eto
fogg*«ied that EPA give its "lateral
spcwa!" to the use of certain refined
complex terrain models. In particular the
                                        was invalidated by the court.
                                        Furthermore, EPA believes that the
                                        manipulation of modeling parameters
                                        for no other reason than to avoid as
                                        undesirable result is |
                                          The EPA Is in the peoceas of wrfring.
                                        la -Guideline oa Air Ottllr/.tZbdels."
                                        A fiin^^r of iadrviduus "nTT****rit*'>g oa
                                        the guideline have teqaested that EPA
                                        approve the use of the K2DU model as a
                                        preferred technique. Furtner
                                        of this ieeue can be
                                        associated with. EPA's action oo the
                                        modeling gtddeh&e (Docket Mb. A-9D-
                                        40^ With respect to the revised stack
                                        height regulation. EPA has not rejected
                                        the sse of RTDM. To the extent that
                                        appropriate and coopleta data bases
                                        aad informs tinn oa model accuracy are
                                        available. EPA may acnrove the oae of
                                        RTDM oo a rise by-case basis whea
                                        executed in accordeoce with the
                                        guideline rsquireesents. Sponsors of
                                        RTDM and presently deveicptnj saore
                                        extensive support for broader
                                        applications of the model Whea such
                                        support Is received mni^ reviewed by
                                        EPA. consideration wiH be given to
                                        allowing .mars general nse of RTDM in
                                        regulatory activities such as compliance
                                        with  the stack height rule.
                                           TIaiftabJt for Staff Impltatnntatioa.
                                        A number of cotaaenten stated that It
                                        was not possible to conduct tin
necessary analyses, prepare aad submit
revised State rules and sourcs-specfic
emission limitations within the ft-month
tiaeframe referred to in the November 9
proposal A verier/ of alternative
schedule* were proposed by these
commenters for consideration by EPA,
  Rnpotit*. As with EPA's previous
allowance of credit for plume iapectioa.
the timetable for preparation and
submittal of revised SIPs was not an
issue remanded by the court The EPA is
in agreement that these revisions to the
stack height regulation will require
«ignifie«nt efforts by State and local
agencies, individual emission source
owners and EPA Regional and
Headquarters offices in order to comply
within the 9-inanm ttmefrsne required
by section 408(d)(2J of tke 1977 Clean
Air Act Amendmenti. It was based on
*H*nH%] commitments znsds prior
                                                                                to the end of 1870. Sources in txistrnce
                                                                                after thai data should be created equally
                                                                                under the regulatioo and oot allowed to
                                                                                avoid leptixaits control requireaecu

-------
              f «o«r«l Kepsur  /  Vol SO. No. 130 / Monday. July 8. 1965  /  Rules «nd 'Regulation*
                                                                     27905
through the use of "grandfathered" stack
heightt.
  Source! undertaking major
modification, or reconstruction become
subject to additional control
requirement! under the Clean Air Act
and are treated a* "new sources" for the
purpoie r.f new source review and PSD
requirer?-.ts. EPA finds it appropriate
that GEr requirements should be
invoked at the time that other
requirements for new. modified, or
reconstructed sources became
applicable.

Summary of Modification! to EPA't
Proposal Resulting fnm Public
Comment*

   Based on comment! received during
 the public comment period. EPA has
made a number of revision* to to
 proposed regulation in addition to tboee
 discussed above. These revision! are
 summarized below.
   Section Sl.lfhh)f2}fB}fii} of the
 regulation has been clarified to require
 sources merpng ges stream* after Jury &.
 1983  to achieve a net reduction in
 allowable emission!. This change wu
 mads to make it dear that the effects of
 merging should not be used BJ a way of
 achieving compliance with present
 emission limits and to avoid penalizing.
 sources who are presently emitting at
 less  than allowable level*.
   Section Sl.lfhhfflfBXiii} allows
 credit for a source that merged gas
 streams in a change of operation at the
 facility prior to July 8.1965 that induced
 the installation of control equipment or
 had  other sound engineering or
 economic reasons. Any Increase m the
 exussion limitation, or in the previous
 actual emissions where no emission
 limitation existed created a presumption
 that those sound reasons were not
 present
    Section Sl.l(hh)(2)(EJ has b*ra added
 to exclude from the definition of
 prohibited "dispersion techniques" the
 use  of techniques affecting final exhaust
 gas  plume ns« where the revolting total
 allowable emissions of SO» from the
 facility do not exceed S.OOO tons per
 year.
    Section Sl.lfiijfl) has o*« revised to
  specify that the 65 meter de minimis
  height is to be measured, as in other
  determinations of CEP stack height.
  from the ground-level elevation at the
  base of the stack. This does not
  represent a substantive change in the
  rule or in its application relativt to past
  practices, but rather a  simpl*
  clarification.
    Section S}.l(ii)(2) has been revised to
  require  that loorce owners demonstrate
that the 2-SH formula was relied on in
establishing the emission limitation.
  Section 5Ll(ii)(3) has been reviaed as
discussed elsewhere in this notice to
specify that aa emission rate equivalent
to NSPS must be met before a source
may conduct Quid modeling to Justify
stack height credit in excess of that
permitted by the CEP formulae,
  Section 51.XJJ) now defines "nearby"
for purposes of conducting field studies
or fluid modeling demonitrationa aa 04
km (H mile), but allows limited
consideration of terrain feature*
extending beyond that distance if such
features "begin" within 04 km, aa
defined in the regulation.
   S*coon Sl.l(Ut) has been revised to  •
provide separate diseueeiona of
"excessive concentrations" for the
separata situation! discussed earlier in
this preamble. As that discussion makes
dear. EPA believes that the differing
categories of sources subject to this rule
are best  addressed by requirement! that
vary somewhat with those
circumstances. This definition embodies
that approach.
   Section 31.12fk} has been corrected to
provide that the provisions of } 5L12(j)
shall not apply to /rod: height* in
existence before December 31. 1970. The
proposal had incorrectly stated that
 ".  . . i 51.12 shall not apply to iftxab
 existence.. . ."
 Piugjeiu
   This regulation doee not limit the
 physical stack height of any source, or
 the actual ose of diapenioa technique*
 at a source, nor doee it require  any
 specific stack height for any source,
 Instead. It sets limit* on the aejomua
 credit for stack height and other
 dispersion techniques to be used in
 ambient air modeling for the pcrpoee of
 setting an emission limitation and
 calculating the air quality imped of a
 source.  Sources are  modeled at their
 actual physical stack height unless that
 height exceeds their CEP stack height.
 The regulation applies  to all  stack* m
 existence and all dispersion  techniques
 Implemented since December 31 1870.
                     Plaa
Slate
Requirements
  Pursuant to section 406(01(2) of the
Clean Air Act Amendments of 1977.
EPA is requiring that all States (1)
review >"d revise, as necessary, their
SIP*s to include provisions that limit
stack height credits and dispersion
techniques in accordance with this
regulation and (2) review all existing
enuii ion limitations to determine
whether any of these limitations have
been affected bv Hack height credits
above CEP or by any other dispersion
techniques. For any limitation* that
have been so affected. States must
prepare revised limitations consistent
with their reviaed SIP"*. All SIP
revisions and revised  emission
•limitation* must be submitted to EPA
within 9 months of promulgation of this
regulation,

Interim Guidaace

   In its proposal. EPA itated that it
would use the proposed regulation to
govern stack height credit* during the
period before promulgation of the final
regulation. The EPA further stated that
any stack" height credit* that are granted
based on mis interim guidance would bt
subject to review against the final rules
and may seed to be revised
Consequently, with theee final rules,
EPA is requiring that any action* that
were taken oa stack heights and stack
height credrta during this intern penod
be reviewed and reviaed as needed to
 be consistent with this regulation.
 Regulatory Flexibility Analysis

   Pursuant to Use  provisions of 5 U.S.C.
 e06(b), I hereby certify that the attacked
 rule will no< have "ip'R^p* economic
 Imparts oo a substantial number of
 small entities. Thi* rule is strucrortd to
 apply only, to large sources; La_ ihon
 with stack* above 66 meters (213 feet).
 or with ^r1**11^! SOt emisaion* in excess
 of WCC tana, as further noted in ths rait.
 Based on u analysi* of impacu, tiectnc
 utility plants and several smaltsn  and
 pulp aod paper ™
-------
27906       FaxUrai Register / Vol SO. No. 130 / Monday. July & 1985  /  Rules and Regulations
Thus, wfatn the regulation is applied to
large touras. La. tboM with suck
height greater than CEP and emissions
greater than S.OOO tons p«r year, it will
have the potential for producing
emifiion reductions and increased
control costs.
  A preliminary evaluation of the
potential air quality impacts and a cost
analysis of the regulation was
performed at the time of proposal The
impacts identified were established in
isolation of other regulatory
requirements. The report predicted a
range of impacts, from a "low impact"
scenario that presumed that many
potentially affected source* would be
able to justify their existing stack
heights, configuration*, and emission
limitations to a "high impact" scenario
which assumed that all of the potentially
affected sources would be required to
reduce tbeir emissions to some degree.
   In the development of its P"*l
rulemaking action, EPA refined It*
evaluation of potential impacts.
producing revised estimate* of the
 probable cocts of the change* to the
regulation-and expected reductions in
 SOt emissions. As a result of this
 refinement EPA estimates that the rule
 will yield reductions in SOt emissions of
 approximately U million tons per year.
 The annualized cost of achieving theee
 reductions will be aproximately $750
 million, and the capital cost rs expected
 to be approximately 3700 million.
   This regulation wu reviewed by the
 Office of Management and Budget and
 their written comments and any
 responses are contained in Docket A-
 63-48.

 Judicial Review

    The EPA believe* that this rule i»
 based on determinationj of nationwide
 jcop« and effect Nothing in section 123
 limits lU apph'cability to a particular
 locality.  State, or region. Rather, section
 123 applies to sources wherever located
 Under i*cnon 3C7(b)(l) of the dean Air
 Act [42 U.S.C. 7607(b)(l)l judicial
 review of the actions taken by this
 notice i* available onJy by the filing of a
 petition for review in the United State*
 Court of Appeals for th« District of
 Columbia and within 00 days of the. date
 of publication.

 List of Subjects in 44 CTR Part 51

    AJT pollution control Ozone, Sulfur
  dioxide. Nitrogen dioxide. Lead.
  Participate maiur. Hydrocarbon*,
  Carton monoxide.
Dated- ]uae 27. IOCS.
UeM-Tbooa*.
Mauniitntar.

PART S1-RCOUIREMEXTS POR
PREPARATION, ADOPTION, AND
SUBUfTTAL OP IMPLEMENTATION
PLANS

  Pan 51 of Chapter L Tide 40 of the
Code of Federal Regulations is amended
as follows:
  1. The authority citation for Part 51
continues to read aa follows:    j
  AntfMritjr See. 110. Xl(a). aad 123. Oeaa
Air Act as amended (42 U.S.C. 7410. TWl(a)
and 7423).
  2. Section 51.1 la amended by revising
paragraphs (ah). (11). (Jfl, and (kk) aa
follows:
       OeflMbone.
  (hh)(l) "Dispersion technique" means
any technique which attempts to affect
the concentration of a pollutant in the
ambient air by:
  (i) Using that portion of a stack which
exceeds good engineering practice stack
height
  (U) Varying the rate of emission of a
pollutant according to atmospheric
conditions or ambient concentratiooa of
that pollutant or
  (iii) Increasing final exhaust gas
plume rise by maninulaf+nj scarce
procese parameters, exhaust gas
parameter*, stack parameters, or
combining exhaust gase* from several
existing stacks into one stack: or otfaex
selective hanrfling of exhaust gaa
streams so as to increase the exhaust  .
gas pluaa rise.
  (2) The preceding sentence does net
include;
  (i) The reheating of a gas smam,.
following use of a pollution control
system, for tba purpose of returning ti>e
ga* to the temperature at which it was
originally discharged from the facility
generating tha gaa stream:
  (ii) The merging of exhaustja*
 streams where
  (A) The source owner or operator _
 demonstrates that the facility was
 originally designed and constructed with
 mca merged gas streams;
   (B) After July 8. 1963, such merging is
 part of a change in operation at the
 facility that includes the installation of
 pollution controls and is accompanied
 by a net reduction in tha allowable
 emissions of a pollutaat This exclusion
 from the definition of "dispersion
 technique*" shall apply only to the
 emission limitation for tit pollutant
 affected by such change in operation; or
   (C) B«for» July 8.1985. such merging
 wai part of a change in operation at tb*
facility that included the installation of
emissions control equipment or was
carried out for sound economic or
engineering reasons. When there wti
an increase in the emission limitation or.
in the event that no emission limitation
waa in existence prior to the merging, an
increase in the quantity of pollutants
actually emitted prior to the merging, the
reviewing agency shall presume that
merging was significantly motivated by
aa intent to gain emissions credit for
greater dispersion. Absent a
demonstration by the source owner or
operator that merging was not
significantly motivated by such intent
the reviewing agency shall deny credit
for the effects of tuch merging in
calculating the allowable emissions for
the scarce;
  (ill) ftmokt management  in
agricultural or sihicultural prescribed
burning programs;
  (hr) Episodic restrictions on
residential woodbtming and open
burning; w
  (v) Technique* under i Sl.l(hh)(l)(iii)
which increase  final exhaust gss plane
rise where the resulting allowable
ftniasinns of yiTftrr dioxide from the
facility do not exceed 5.000 tons per
year.
   (ii) "Good eng4n*ering practice"  [CEP]
stack height means the greater of:
   (1) 63 meter*, measured  from the
ground-level elevation at the ba»c  of the
 stack:
   (2)'(i) For stacks in existsnc* on
 January 12, 1979. and for which tire
 owner or operator had obtained all
 applicable permits or approvals required
 under 40 CJR Parts 51 and 52,
                                         provided the owner or operator
                                         produce* evidence that this equation
                                         was actually relied on in e*tabu*hing an
                                         emim'on limitation;
                                           (ii) For all other stacks.
                                         H.-H
                                         wbwt
                                         H,-ft«od t&finMnnt pncac*
                                            muMrwi from
                                            turraQoB at Uu baM of tht mci.
                                         H-h»nhtoln««jby ttrocrar^i) suuurrd
                                            trcJB UM frouad-Uv«i ilrviaoo ti tht
                                            b«M of the ruck.
                                         L»le
                                             width, of Marby rtracrurr(i)

                                         provided that the EPA, Stats or local
                                         control agency may require the use of »
                                         field study or fluid modal to verify GE?
                                         stack height for the source or
                                           (3) The height demonstrated by a  fluid
                                         model or a Said study approved by  the
                                         EPA State or local ccnrol agency, wmch
                                         enaurw that the eiaujionj froE i itaoc
                                         do not result in exowaivt

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concentrations of any air pollutant as a .
result of atmospheric downwwh. wakes,
or eddy effects created by the source
itself, nearby structures or nearby
terrain features.
   (jj) "Nearby" as used in  i 51.1{ii) of
this part is defined for a specific
structure or terrain feature and '
   (1) for purposes of applying lh«
formulae provided in | Sl.l(ii}(2) means
that distance up to five times the lesser
of the height or the width dimension of a
structure, but not greater than 04 km (Yfc
mile), and
   (2) for conducting demonstrations
under i Sl.l(ii)(3] means not greater  '
than OJ km (Vt mile), except that the
portion of a terrain feature may b*
considered to be nearby which falls
within a distance of up to 10 times the
 maximum height (HJ of the features not
 to exceed 2 miles if such feature
 achieves a height (HJ 0.8 km from  the
 tuck that is at least 40 percent of the
 CEP suck height determined by the
 formulae provided in f Sl.l(ll)(2)(li) of
 this part or 28 meters, whichever is
 greater, as measured from the ground-
 level elevation at the base of the tuck.
 The height of the structure or terrain
 feature is measured from the ground-
 level elevation at the base of the suck.
   (kk) "Excessive concentration'* is*  '
 defined for the purpose of determining
 good engineering practice suck  height
 under i 51.1(ii)(3) and means:
   (1) for sources seeking credit for stack
 height exceeding that  •tublished under
  J 51.1(ii)(2), a ™«Tmmm ground-level
  concentration due to emissions  from a
  tuck due in whole or part to downwash,
  wakes, and eddy effects produced by
  nearby structure* or nearby terrain
  features which individually is at least 40
  percent in excess of the maximum
  concentration experienced in the
  tbsenca of ruch downwash. wakes, or
  eddy effects and which contribute* to a
  total concentration due to emissions
  from til sources that it greater  thjLn an
  ambient air quality standard. For
  jourc** subject to the prevention of
.significant deterioration program (40
 CFR 31.24 and 52.21), an excessive
 concentration alternatively means «
 maximum ground-level concentration
 due to emissions from a tuck due in
 whole or pan to downwash. wakes, or
 eddy effects produced by nearby
 structures or nearby terrain features
 which individually is at least 40 percent
 in excess of the maximum concentration
 experienced in the absence of the
 maximum concentration experienced in
 the absence of such downwash. wakes,
 or eddy effects and greater than a
 prevention of significant deurioration
 increment. Tat allowable emission rate
 to be used in making demonstrations
 under this pert shall be prescribed by
 the new source performance standard
 that  is applicable to the source category
 unless the owner or operator
 demonstrates that this emission raU is
 infeatible. Where such demonstrations
 are approved by the authority
 admir. lenng the Sute implemenUtion
 plan, t_ alternative emission rate shall
 be esublished in consulution with the
 source owner or operator.
    (2) for sources seeking credit after
 October 1.1983, for increase* in existing
 suck heights up to the heights
 established  under i 5Ll(ii){2), either (i)
 a maximum ground-level concentration
 due  in whole or pert to downwash.
 wakes or eddy effects as provided in
 paragraph (kk)(l) of this section, except
  that the emission raU specified by any
  applicable Suu implemenUtion plan
  (or.  in the absence of such a limit the
  actual emission raU) shall be us*d. or
  (ii)  the actual presence of a local
  nuisance caused by the existing suck,
  as determined by the authority
  administering the SUU implcsvenUtion
  plan: and
    (3) for sources seeking credit after
  January 12.1779 for a tuck height
  determined-under } 51.1(ii)(2) wbcre the
  authority administering the State
  ImplemenUtion plan requires th« UM of
  a field study or Quid model to verify
  CEP tuck height for source* seeking
suck height credit after November 9.
1984 based on the aerodynamic
'influence of cooling towers, and for
sources seeking suck height credit a
December 31.1870 based on the
aerodynamic influence of structures not
adequauly represented by the e^uiu
in I 5Ll(ii)(2). a "••""""" ground-le
concentration duet in whole or part to
downwash. wakes or eddy effects thai
is at least 40 percent in excess of the
maximum concentration experienced in
the absence of such downwath. wakes.
or eddy effects.
  3, Section 51.1 la further amended by
removing paragraphs (11) and (mm).
  4. Section 51.12 is amended by
removing paragraph {!)•
  5. Section 51.12(1) is amended by
removing "and (1)" from the first
sentence,
  6. Section S1.12(k) Is revised at  •
follows:
  (k) The provisions of i 51.12(j) shall
not apply to (1) suck heights in
existence, or dispersion technique* -
implemented on or before December 31.
1970, except where polhiunts tre being
emitted from such sucks or using tuck
dispersion techniques by source*, «t
 defined in section lll(a)(3] of the Clear
 Air Act which  were constructed or
 reconstructed, or for which major
 modifications, as denned in
 U 81.ia(JXlHv)(a). SlJ4(b)(2Ki) and
 5£21(b)(2)(i). were carried out after
 December 31.1970: or (2) coal-fired
 suam electric generating oniti lubj
 to the provisions of Section 118 of the
 dean Air Act which commenced
 operation before July 1.1857. and who**
 sucks were constracted under t
 construction contract awarded before
 February 8.1974.
  {Ill*  [t
    7. Section 51.180) i* amended by
  mooring "and {\}~ from the first
  sentence
  (TR Doe. Sft-WOW FU«1 7-8-&S: fc« in

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                          EPA-450/4-80-023R
Guideline for Determination of Good
  Engineering Practice Stack Height
(Technical Support Document for the
      Stack Height Regulations)

               (Revised)
          U S. ENVIRONMENTAL PROTECTION AGENCY
               Office of Air and Radiation
           Office of Air Quality Planning ana Standards
             Researcn Triangle Park. NC 2771 1

                  June 1985

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             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
    I               Office of Air Quality Planning and Standards
                  Research Triangle Park, North Carolina 27711


                          OCT  2 8 1985


MEMORANDUM

SUBJECT:  Implementation of Stack Height .Regulations • Presumptive NSPS
          Emission Limit for Fluid Mod«fl/ig StadrtT'Above Formula GEP  Height
FROM:     Darryl D. Tyler, Director 1
          Control Programs Development D1vfs1on (MD-15)

TO:       Director, Air Management Division
          Regions I-X

     The following guidance is provided to explain the general  emission
control requirements for sources conducting fluid modeling to justify stack
height  in excess of tnat provided by the GEP formulae.  While some of the
discussion and  examples contained herein focus on utility sources, the
procedures outlined in tnis memorandum are generally applicable to all
stationary source categories.  Please note that this is guidance.  States
may .present  any other demonstrations that they may feel are warranted in
individual circumstances.

Background

     .The  revised stack height  regulations published on July 8, 1985, define
three  methods for determining  good engineering practice (GEP) stack
height.  These  methods include:

     1- a 65 meter  de mini mis  GEP height;

     2- the  height  determined  by using  an applicable  formula based on the
         dimensions  of  nearby  buildings;  and

      3- the height necessary  to avoid  excessive  concentrations due  to
         downwash as shown using a field  study or fluid modeling
         demonstration.

      As the preamble to  tne regulations points out,  the  revised  definition
 of "excessive concentrations," a 40-percent increase  in  concentrations
 due to downwash resulting in a NAAQS or PSD increnent exceedance,
 necessitates that an emission rate  be specified  for  purposes of  evaluating
 fluid  modeling.  The regulations require that a presumptive emission rate
 equitfalent  to  the new source performance standards (NSPS) be  established
 for the source in question before modeling may be conducted to determine

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stack height needed to avoid excessive concentrations due to downwash.*
This emission nte is described as "presumptive" because it is EPA's
presumption that all sources seeking to justify stack heights exceeding
those provided by the GEP formulae are capable of controlling their
emissions to NSPS levels.  However,.the regulations also allow source
owners or operators to rebut this presumption, establishing an alternative
emission rate that represents the most stringent level of control that
can feasibly be met by that source 1n excess of the NSPS level.  In the
preamble to the regulations, EPA Indicated that 1t will rely on the
"Guidelines for Determination of Best Available Retrofit Technology'for
Coal-Fired Power Plants  end other Existing Stationary Facilities,
EPA-450/3-80-009b" (SART Guidelines) whsn reviewing these rebuttals.

     If 1t is Infeasible for a source to control Its emissions to NSPS
levels, then an alternative limit representing the lowest feasible emission
limit must be met before obtaining credit for stack height in excess of
GEP formula height.  Sources may consider such factors as remaining plant
life and the cost of modifying existing equipment when determining NSPS
feasibility.

Procedures

     The general procedure  that is describee in the BART Guidelines for
analyzing control alternatives should be followed to identify and evaluate
alternatives for sources seeking credit for stack heights in excess of
those produced by the applicable GEP forr-jlae.  Because the guidelines
were originally written  to  address visibility impairment, however,  not all
of the analytical steps  or  applicability criteria—such as analysis of
visibility  impairment or exemptions  for power plants  below 750 megawatts--
will be appropriate, and need  not be addressed.

     General steps  in the  analysis described in Section 2.0 of the
guidelines  can be summarized  as follows.

     1.   Identify a  range  of  control alternatives,  including  both pre- and
post-combustion controls.   In  this regard, several fuel substitution and
alternative fuel blends  should  be considered, as well  as  technological
alternatives, such  as coal  cleaning  and flue gas desulfurization.

     2.   Calculate  tie  c:s:,  emissions,  and other  environmental  and energy
impacts of  the  alternatives ^including  those meeting  NSPS objectives).

     3.   Select  the alternative that represents  the  most  stringent  level
of  emissions control  feasible.
      *Where the HS?S "las been subject to revision,  and the  source  in
 question is not subject to the revised NSPS,  the  earliest standard will be
 applied; e.g.,  for power plants a rate of 1.2 Ib/mm3tu would  be  used.

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     In performing these analyses, it is important to keep in mind that
EPA's presumption is that the NSPS emission limit is feasible unless
demonstrated otherwise.  When carrying out evaluations, source owners  or
operators may consider such factors as remaining useful plant life, the
remaining life of any equipment affected by revised emission rates
(including any control equipment), the cost of modifying boilers,  control
equipment, and fuel handling facilities, and the cost of modifying or
cancelling existing fuel supply contracts (remaining useful  plant  life,
if a significant factor in determining NSPS feasibility, may necessitate
restrictions on the period of applicability of less stringent emission
limits).  Finally, it  is important to analyze, not only a range of alter-
native controls, but several combinations of alternatives, since such
combinations may yield  a greater and more cost-effective degree of
emissions control.

     Since determinations of the adequacy of any rebuttals of the  NSPS
emission  limit and the  reasonabl? •'ess of control alternatives considered
must be made on  a casa-by-case basis, and will be subject to public review
and comment during the  rulemaking process, all technical and economic
analyses, as well as  any claims of infeasibility, must be fully documented
and supported by  any  information that may be available.

     If you hava  any  questions regarding the application of this guidance
in a particular  set of  circumstances, please contact Eric Ginsburg at
(FTS)  629-5540 or Sharon Reinders  at  (FTS) 629-5526.

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          UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
  .              Office of Air Quality Planning and Standards
- '              Research Triangle Park, North Carolina 27711
                                 APR 2
Mr. John P. Proctor
Bishop, Cook, Purcell and Reynolds
Law Offices
1400 L Street, N.W.
Washington, D.C.  20005-3502

Dear Mr. Proctor:

     Your letter of February 23, 1989 to Administrator Reilly was
referred to me for response.  The issues you describe were
previously raised to the attention of the Environmental
Protection Agency's (EPA's) Region III Office.  You now question
Region Ill's rejection of your position that the best available
retrofit technology (BART) emission rate used in determining the
creditable stack height can be ignored for purposes of setting
the facility's operating rate as long as the operating rate is
consistent with the national ambient air quality standards
(NAAQS).  The response provided to you by Region III on October
6, 1988 was extensively discussed with this office and with the
Office of General Counsel, and we fully endorse Region Ill's
conclusions and supporting rationale.

     In your letter you stated that the sole basis for conducting
a fluid modeling study is to justify credit for stack height
above formula height, and that nothing requires States to rely on
the BART emission rate to determine the appropriate operating
rate.  Actually, as noted by Region III, before such credit may
be considered, the preamble to the stack height regulation is
clear that the operating rate must be limited to the BART or new
source performance standards (NSPS) rate.  The preamble to the
stack height regulation also notes that an emission limit more
stringent than BART/NSPS may be needed because the sources must
also meet the NAAQS and prevention of significant deterioration
requirements.

     We agree with Region Ill's conclusion that NRDC v. Thomas,
838 F.2nd 1224 (D.C. Cir 1988), does not support your position.
In your February 23, 1989 letter to Administrator Reilly, you
raise a new argument not presented to Region III.  You argue that
the court recognized that operating emission limitations are to
be determined after stack height credit has been calculated,
based on the court's acknowledgement that Congress imposed
technology-based limits in some situations, and EPA has authority
to mandate such limits for modeling demonstrations to determine
stack height credit.  From this you conclude that a technology-
based emission rate used for fluid modeling is relevant only to
that modelina.

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     In response, we point out first that the court's discussion
of technology-based emission limitations (838 F.2d at 1241) was
in reference to NRDC's control-first position and not related to
fluid modeling as you suggest.  We believe that the opinion
indicates clearly that the court regarded the presumptive NSPS
emission limit as a limit that must be complied with once the
fluid modeling was completed ("We find the attempt of industry to
bar control-first no stronger than NRDC's effort to require it in
the within-formula context."  838 F.2d at 1241; "... industry
petitioners assert that in order to use the NSPS presumption, EPA
must be able to point to substantial evidence that it is attain-
able by most of the affected sources.  But as EPA allows any
source to use a higher emissions rate when NSPS is infeasible,
there is no need for any sort of generic demonstration that it is
normally so." id at 1242).

     Second, in quoting EPA's statement about the significance of
fluid modeling demonstrations, the court was merely citing with
approval EPA's rationale for refusing to grandfather demonstra-
tions undertaken and approved prior to adoption of the 1985
regulations.  This in no way implies a finding by the court that
the presumptive NSPS requirement (or higher BART limit) is not
the constraining limit.  Neither of these references provides
support to your position.

     In conclusion, we are in full agreement with the position
taken by Region III that sources seeking credit above formula
height must meet an emission rate consistent with BART/NSPS.
While final action as to any particular source would necessarily
await a State implementation plan revision, I hope the above
responds to your inquiry.  Staff in our Region III Office are
available to assist you and your client, and I suggest that you
contact them directly if you have further questions.

                                        Sincerely,
                                         Gerald A.  Emison
                                             Director
                                  Office of Air Quality Planning
                                          and Standards

 cc:   Charles  Carter.  OGC
      Thomas Maslany,  Region III
      Marcia Mulkey,  Region III

 bcc:   Robert  Bauman,  AQMD                    Pat Embrey, OGC
       Jesse Baskerville, Region  III          Eric Ginsburg, AQMD
       John Calcagni,  AQMD                    Doug Grano, AQMD

 SDPMPB:DGrano:DataTech/PROCTOR2:PFinch:RT?(MD-15):629-5255:4-4-89
 Control Nurroer  CAQP5--5-      Due  Date:  £-3-89

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             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
    5              Office of Air Quality Planning and Standards
   /             Research Triangle Park. North Carolina 27711


                                   1 0 13S5
MEMORANDUM

SUBJECT:  Questions and Answers  on  Implement ing the
          Revised Stack Height Regulation

FROM:     6. T. Helms, Cnief^' L U^—«•
          Control Progrsns Operations  Branch  (MD-15)

TO:       Chief, Air Branch,  Regions  I-X

     A number of questions have  arisen in  several  areas of  the  revised
stack height regulation since its promulgation on  July 8.   The  following
answers have been developed in response.   The questions and answers  are
arranged under the general topic headings  of interpretation of  the regula-
tion, State implementation plan  (SIP)  requirements,  and modeling  analyses.
Please continue to call Sharon Reinders at 629-5526  if .you  have furtner
comments or additional questions.

Interpretation of the Regulation

1.  Q:  What criteria should be  used  to determine  when a  stack  was 'in
existence' with respect to the various grandfathering dates in  the
regul ation?

    A:  The recent promulgation  of  revisions to the  stack height  reculatic
did not change the definition of "in  existence."   The definition  is'provic
in 40 CFR 51.1(gg) and includes  either the commencement of continuous
construction on the stack or entering into a binding contract for stack
construction, the cancellation of which would  result in  "substantial
loss" to the source owner or operator.  The definition of what  constitutes
a "substantial loss" will be the subject  of  future guidance.

2.  Q:  What "source" definition should be used in determining whether  tie
ins to grandfathered stacks should  be permitted or prohibited?

    A:  The terra "source" in this instance means  a single ereittlna unit.
Thus, credit for tying a  single  post-1970 unit(s)  into  a grandfathers
stack serving a number of old units is prohibited  under  the regulation.

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                                   -2-


3.  Q:  What is meant  in  the regulation by "facility"?

    A:  For purposes of this regulation, the definition contained in
40 CFR 51.301(d) should be used.   That definition essentially defines the
term as the entire complex of emitting activities on one property or
contiguous properties  controlled  by a single owner or designee.

4.  Q:  Must good engineering practice (GEP) stack height be established
separately for each pollutant?  If not, how should it be determined?

    A:  It is not necessary to calculate a separate SEP stack height  for
each pollutant.  Since "SEP" is defined by Section 123 of the Clean Air
Act as the height necessary to ensure  against  excessive concentrations of
any air pollutant, it  follows that SEP should  be established for each
source based on the pollutant requiring the greatest height to  avoid
excessive concentrations.

5.  Q:  How should "reliance" on the 2.5H formula be determined?

    A:  First, 'reliance" on the 2.5H formula  applies only to stacks  in
existence before January  12, 1979.  Credit for "reliance" on the 2.5H
formula, can be granted under the following cases:   (a)  Where the stack
was actually built to  a height less than  or  equal to 2.5H;  (b)  Where  the
.stack was built taller than 2.5H and the  emission limitation reflects th ^^
use of 2.SH in the SIP modeling analysis; or  (c) Where  evidence is  provijBp
to show "reliance" as discussed in the following paragraph.   If no  model 1r:
was used to set the emission limitation for  the source, then it cannot  be
argu-ed that there was  "reliance" on the formula, since  EPA's guidance was
specifically aimed at  using stack height  credit in  establishing emission
limitations.  Once it  is  determined that  the  emission  limitation was  in
fact  based  on estimates of dispersion from  the stack,  then  the  source can
be said to  have properly "relied" on .the 2.5H formula.   In  the  event  that
it cannot be determines that the emission limit is  based on "reliance"  on
the 2.5H  formula, then the refined H + 1.51 formula must be used.

      Where  a clear relationship between a 2.5H stack height and the
emission  limitation cannot be  shown, where  the emission limitation was
not calculated  based  precisely on  the 2.5H height,  or where the stact
height  used  in  modeling cannot be  verified, then additional  evidence will
be  needed.   Preferred would  be written documentation, such as copies of
the original engineering  calculations or correspondence betw«en the State
or  the  emission source owner  and  EPA indicating that the 2.5H formula
should  be used  to derive  the  emission limitation.  However, recognizing
that  such evidence 1s often  not  retained for  more than a few years,
"reconstructed"  documentation  may be considered, but should only be  use-i
 as  a  last resort.  This  evidence should include explanations by those
individuals who were  involved  in  designing the facility, calculating
 emission  rates, and who  represented the facility in dealings with  the

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                                   -3-


State and EPA on how the emission  limit was derived, including a discussion
of how the formula was originally  used in deriving the source emission
limitation, a discussion of the analytical method applied, and a listing
of any contacts or discussions with EPA during that period.  This listing
will  aid EPA in searching its  own  files to find any records of conununication
or correspondence that may bear on the Issue.

     In no case should a source be allowed after January 12, 1979, to
obtain a relaxation in the emission limitation by arguing that it "relied"
on past EPA guidance endorsing the 2.5H formula.  In cases where a relaxation
based on GE? formula height is sought 1n the future, the refined H + 1.51
formula must be used.

6.  Q:  The preamble specifically  discusses cooling towers as structures to
wnich the formula should not be applied.  Will the Office of Air Quality
Planning and Standards be specifying other structures that are not well
represented by the formula?

    A:  The discussion in the preamble and GEP guideline is not intended to
be all-inclusive; judgment should  be used in determining when fluid
model in-g should be used to estimate the effects of structures with rounded,
domed, or tapered shapes.  Water towers and storage tanks are additional
examples of such structures.  As additional Information becomes available
on the aerodynamic effects of specific building shapes and configurations,
we will evaluate the need to revise the GEP guidance.  "However, at present,
there are no plans to Issue a "laundry 11st" of structures to which  the
formulas do not apply.

SIP Requirements
7.  Q:  Should a compliance averaging-time be explicitly  stated  in a
SI? revision for sulfur dioxide ($03)  emission limits  that  are revised  to
meet the stack: height regulation?

    A:  A compliance averaging time need not be specified as  an  enforceable
SIP provision as long as a stack test  compliance method is  in place in  the
underlying federally approved SIP.  EPA's current national  policy requires
that SIP's and permits contain enforceable "short-tens" emission limits
set to limit maximum emissions to a level whicn ensures protection of the
short-term national ancient air quality standards (NAAQS) and prevention
of significant deterioration (PSD) Increments.  EPA relies  upon  a short-ten:,
stack test provision in the SIP as the method of determining  compliance
with the emission limits.  In lieu of a stack test, EPA has accepted fuel
sampling and analysis and continuous emission 1n-stack monitors  (CEM's).
When compliance is to be determined from Information obtained by fuel
sampling and analysis and CEM's, short-tern averaging times snould be
specified.

-------
                                   -4-


8.  Q:   Are all  States  required to  have  "stack height regulations"?

    A:   Limitations on  creditable  stack  height and dispersion techniques
impact  the SIP program  in  two  areas—SIP emission limits for existing
sources and SIP provisions covering new  source review (NSR)/PSD permitting
procedures.  For existing  sources,  State regulations limiting credit "for
stack height and other  dispersion  techniques (stack height regulations)
are not necessary as long  as the SIP emission limits are not affected  in
any manner by so much of the stack  height as exceeds GEP, or any other
dispersion technique.  Where a State has stack height regulations, those
regulations must be consistent with EPA's regulation.  Where a SIP contains
regulations that are inconsistent  with EPA's regulation, the State must
either adopt a stack height regulation that  is consistent with EPA's or
Incorporate the EPA regulation by  reference.

     For the NSR/PSD programs, It  is essential that the  plan contain
limitations on the amount  of creditable  stack height and other dispersion
techniques.  The following cases  have been developed to  Illustrate what
action(s) may be required  of the  State since promulgation of the stack
height regul ation.

CASE All):  A fully or  partially  delegated PSD prograen that  references but
            does not define GEP where the delegation agreement does  not  conta
            a date to define which version of the  PSD  rule  is being  aTTegate<:

ACTION:     Notify the  State that all  permits Issued henceforth  must  be
            consistent  with EPA's stack  height  regulation.   All  permits
            previously  issued  must be  reviewed  and  revised  as necessary
            within 9 months.

CASE A(2):  A fully or partially delegated PSD  program that references
            but does not define GE? where the delegation agreewent
            does contain  a date to define which version of the PSD rule
            is being delegated.

ACTION:     Uoc'ate  the delegation  agreement  to  reflect agreement with EPA's
            stack height  regulation as  of July  8,  1985.   Notify the State
            that  all permits  Issued henceforth  must be consistent with
            EPA's  stack height regulation.  All  permits previously Issued
            must  be reviewed  and  revised  as necessary within 9 months.

CASE B:     The  current federally  approved SIP for NSR/PSD does not
            contain  a  reference to  GEP  or dspersion techniques, i.e.,
            provisions  assuring that emission limitations will not be
            affected by stack  height 1n excess of GEP or any prohibited
            dispersion tecnniques  do not exist in the current SIP.

-------
                                   -5-
ACTION:     Notify the State that such provisions must be adopted and
            submitted as  a  SIP revision within 9 months.  This can be
            accomplished by adopting stack height regulations at the
            State level  or  by adopting the appropriate reference and
            comraitnent to comply with EPA's stack height regulation as
            promulgated on  July 8, 1985.  Interim permitting should be
            consistent with EPA's stack height regulation."*

CASE C:     The current federally approved SIP for NSR/PSD contains
            references to,  but does not define, GEP or dispersion techniques.

ACTION:     Notify the State that a commitment to comply with EPA's stack
            height regulation as promulgated on July 8, 1985, is required.
            If a State is unable to make such a commitment, State regulations
            must be revised tc se consistent and submitted to EPA as a SIP
            revision within 9 months  and interim permitting should be
            consistent with EPA's stack height regulation.  No "grace
            period" will  be allowed for sources receiving penults between
            July 1985 and April 1986.**

CASE D;     The current federally approved SIP for NSR/PSO contains stack
            height regulations that are inconsistent with EPA's regulation.

ACTION:     Notify the State that such regulations must be revised to be
            consistent and  submitted 'as a SIP revision within 9 months
            and that interim permitting should be consistent with EPA's
            stack height  regulation.**

CASE E(l):  A SIP for NSR/PSD has been submitted to EPA, or will be
            submitted to  EPA before the due date for stack height revisions.
            The submittal  contains provisions that conflict with EPA's
            stack heignt  regulation.

ACTION:     Notify the State that EPA cannot  approve the subraittal  until
            it is revised  pursuant to EPA's July 8, 1985, regulation.
**In the event that a State does not have legal  authority to comply with
  EPA's regulation in the interim (e.g.,  because 1t  must  enforce State
  rules that are inconsistent with EPA's  regulation)  and  is compelled to
  issue a permit that does not meet the requirements  of the EPA revised
  stack height regulation, then EPA should notify the State that sucn
  pera-its dc not constitute authority under the  Clean Air Act to coranence
  construction.

-------
                                   -6-
CASE £(2):   As  in Case 1(1) t  a  SIP  for  NSR/PSO has been submitted to EPA
            OP  will  be submitted  to EPA before the due date for stack
            height revisions.  The  submittal is not Inconsistent with
            EPA's stack height  regulation, but portions of the existing
            approved SIP that relate to the  submittal are inconsistent.

ACTION:     Approve the SIP submittal based  on a cawritoent by the State
            to  correct the inconsistencies in its existing SIP to comport
            with EPA's July 8 regulation  and submit the corrections as a
            SIP revision within 9 months. Interim permitting should be
            consistent with EPA's stack height regulation.** If the exist-
            ing SIP is ambiguous, I.e., the  SIP references but does not
            define terms relating to SEP  or  dispersion techniques, the
            action steps outlined in Case C  above should be followed.

CASE F:     In  nonattainment areas, emission limits "or permits do not always
            Include modeling, but rather  are based on lowest achievable
            emission rate (LAER) and offsets.

ACTION:     If no modeling is used  1n the Issuance of a  permit,  the  emission
            requirements for the source are  not  "affected" by  stack  heignts
            or dispersion techniques, and no action  is needed.   However,  1f
            modeling was used 1n the process of  preparing  and  issuing  a
            permit, such as  cases where offsets  were obtained  offsite,  that
            modeling must be reviewed for consistency with the stack  heignt
            regul ation.
9.   Q:  What must all
promulgated?
States do now that EPA's  stack  height  regulation  is
     A:   States must review and revise.their SIP's as necessary to include or
 revise  provisions to limit stack height credits and dispersion techniques
 to  comport  with the revised  regulations, and, in addition, review and
 revise  all  emission limitations that  are affected by stack heignt credit
 above GE? or  any other  dispersion techniques.  In accordance with Section
 406(d)(2) of  the Clean  A1r Act, States have 9 months from promulgation to
 sucmit  tne  revised SIP's  and revised  SIP emission limitations to EPA.

      In an  August  7, 1985, memo titled 'Implementation of the Revised
 Stack Height  Regul ation--Request  for  Inventory and Action PI an  to Revise
 SIP's," Regional Offices  were requested  to begin working with each of
 tneir States  to develop States' Action Plans.  Each Action PI an should
 include the following:   (1)  An Inventory of  (a)  all stacks greater than
 65 meters (m),  (b)  stacks at sources  which  exceed 5,000 tons per year
 total allowable S0£  emissions; and  (2) A reasonable schedule of dates  for
 significant State  actions to conform  both State  stack  height rules  and
 enission limitations  to EPA's stack height  regulation.  Schedules  should
 Include increments of progress.   Regional Offices  should  be  satisfies
 that eacn of thei .^ States provide schedules  for  completion  of tne  tasfcs

-------
                                   -7-


as outlined in the August memo  and  report  the status of schedule  commitments
to them on a monthly basis.   Regional Offices have been asked  to  forward
monthly status reports to the Control Programs Development Division on
the States' progress to meet scheduled  commitments and also  report the
results of followup with the States on  schedules that are not  met.   In
order to facilitate tracking the States monthly progress, guidance on a
standardized format will be  issued  shortly.

Modeling Analyses

10.  Q:  Is there any restriction or prohibition against, or demonstration
required for, raising an existing (or replacing) stack up to 65 m?

     A:  No, as Long as prohibited  dispersion techniques are not  employed.

11.  Q:  Are flares considered  to be stacks?

     A:  No, flares are excluded from the  regulation.

12.  Q:  What load should be used for a fluid modeling demonstration?

     A:~ One hundred percent load should  generally be used  unless there
is a compelling argument otherwise..

13.  Q:  Can new or modified sources who  have agreed to  a case-by-case
best available control technology (BACT)  emission rate be required  to use
this rate for fluid modeling rather than  a less stringent new  source
performance standard (NSPS)  emission rate?

     A:  As set forth in 40  CFR 51.1 (kk), the allowable  emission rate  to
be used in making demonstrations under  this  part shall be prescribed by
the NSPS that is applicable  to the source category unless the  owner or
operator demonstrates that this emission  rate is infeasible.

I*.  Q:  Must the exceeddnce of KAAQS or PSD increment due  to  downwash,  wakes,
or eddies occur at a location meeting the definition of  ambient air?

     A:  No, the exceedance may occur at any location,  including that to
wnich the general public does not have  access.

15.  Q:  Is a source that meets NSPS or BACT emission  limits subject to
restrictions on plume merging?

     A:  Yes.  However, in a majority of such cases,  there  will be no practical
effect since 5ACT or NSPS limits will be sufficient  to  assure  "attainment
without credit fcr olume rise enhancement.

-------
                                   -8-
     Q:   What stack  parameters  are  to  be used in modeling when the actual
stack neicnt is  greater  than  GE? height?

     A:   Where it is necessary  to reduce stack height credit below what is in
existence, for modeling  purposes, use  existing stack gas exit parameters--
temperature and  flow rate—and  existing stack top diameter and model at
GE? heignt.

17.  Q:   How should  a stack  that 1s less than GEP height be modeled when
dispersion techniques are employed?

     A:   In order to establish  an appropriate emission limitation where a
source desires to construct  less than  a GEP  stack but use dispersion
techniques to make up the difference 1n plume rise, two cases should be
tested.   First,  conduct  a modeling  analysis  Inputting the GEP stack
height without enhanced  dispersion  parameters, then conduct  a second
analysis inputting the less  than GEP stack height with the Increased
plume rise.  The more stringent emission  limitation resulting from  each
of the two runs  should be the one specified  as the enforceable limitation.

18.  Q:   How are the effects of prohibited dispersion techniques  to  be excluc
for modeling purposes?

     A:   Where prohibited dispersion techniques  have been  used, modeling  to
exclude their effects on the emission limitation will be  accomplished  by
using the temperature and flow rates as the  gas  stream  enters the stack,  and
recalculating stack parameters  to  exclude the  prohibited  techniques
(e.g., calculate stack diameter without restrictions  1n  place, determine
exit gas temperatures before the use of prohibited  reheaters, etc.).

19.  Q:   How  are single  flued merged stacks  and  multiflued stacks to be
treated in  amoceling analysis?

     A:   This is a rr.uUist.ep process.  First,  sources  with allowable S02
emissions  below  t.OOO tons/year may be modeled accounting for any plume
merging that  has been employed.  For larger sources,  multiflued stacks
are  considered  as prohibited dispersion techniques in the same way as
single  flued  merged  gas  streams unless one of the three allowable conditions
has  been  met; i.e.,  (1)  the  source  owner or operator demonstrates that
the  facility  was  originally  designed  and constructed with such merged gas
streams;  (2)  after  date  of  promulgation, demonstrate that such merging is
associated with  a change in  operation at the facility that  includes the
installation of pollution controls and results  in a net reduction  in  the
allowable emissions  of  the  pollutant  for which credit 1s sought; or  (3)
before  date of  promulgation, demonstrate that such merging  did not  result
in any  increase  in  tne  allowable emissions  (or,  in the event that  no
emission  limit  existed,  actual  emission  level)  and was associated  with  a
change  in operation  at  the  facility that  included the installation  of

-------
                                   -9-


emissions control  equipment or  was  carried  out for  sound  economic  OP
engineering reasons, as demonstrated  to  EPA.  Guidelines  on what constitutes
sound economic or  engineering justification will be issued shortly.

     If pluroe merging from multiflued stacks  is not allowable, then each
flue/liner must be modeled as a separate source and the combined impact
determined.  For single flued merged  stacks where credit  is not allowed,
each unit should be modeled as  a separate stack located at the sane
point.  The exit parameters, i.e. velocity  and temperature, would  be the
same as for the existing merged stack conditions and the  volume flow rate
based on an apportionment of the flow from  the individual units.
Q:  What stack height for point  sources  should be  input to  air  quality
rsion modeling for the purpose of  demonstrating protection  of the
20.
dispersion
NAAQS and PSD increments?
     A:  A discussion of the maximum stack height  credit to  be used in modeling
analyses is provided in the "Guideline for Determination of  Good  Engineering
Practice Stack Height* and provides that the GEP stack  height  should be
used as input to the model assessment.  If a source is  operating  with a
less than GEP stack height, then the actual  stack  height should be input
to the "model .

21.  Q:  What stack height should be used for background sources  in
modeling analyses?

     A:  The SE? -stack height for each background  source should
be input to the model assessment.  If a background source is operating
with a less than GE? stack height, then the actual stack height should be
input to the model .

22.  Q:  Can credit for plume merging due to installation of control
equipment for total suspended particulate (TS?) matter  be allowed when
setting the S02 1 imit?

     A:  To state the question another way, the concern is what impact
the merging and installation of control equipment  have  on the emission
limit  for another pollutant, and whether the merging occurred before or
after  July 8, 1985.  After July 8, 1985, any exclusion  from the definition
of 'dispersion techniques" applies only to the emission limitation  for
the pollutant affected by such change in operation and  1s accompanied by
a net  reduction  in  allowable emissions of the pollutant.  For exsnple,  a
source tears down two old stacks and builds one new GEP stack with  an
electrostatic precipitator (ESP).  This results in a net reduction  in TS?
emissions.  Tnis source could model using stack gas characteristics
resulting from merging tne two gas streams  in setting the TS? emission
litr.it, but flay not  so nocel and receive the credit for  stack merging  wnen
evaluating  the 302  emission limit.

-------
                                   -10-
     Before July 8, 1985,  installation  of TSP pollution control equipment
generally justifies the merging  of the  stacks for TSP.  However, if a
source's emission limitation  for S02  increased after the merging, then
credit would generally not be allowed since it is presumed that the
merging was to increase dispersion.

     A source with no previous SOj emission limit that merges  stacks and
installs an ESP for TSP control  may consider the effects of merging on
compliance with the TSP NAAQS but may not use merging to justify setting
an S02 emission limit less stringent  than Its actual emission  rate before
the merging.

23.  Q:  If, after determining GEP stack height by fluid modeling,
dispersion modeling under  other  than  "downwash" meteorological conditions
shows that a lower emission limit than  that from the fluid model 6EP
analysis is necessary to meet ambient air quality constraints, should  a
new stack height be defined for  the source?

     A:  No.  GE? stack height 1s set.   Ambient air quality problems
predicted by dispersion modeling at the fluid modeled height means that  a
more stringent emission limit is necessary.

24.  Q:  Does EPA intend to issue additional guidance on  fluid modeling
demonstrations?

     A:  See the attached  memo from Joseph  A.  Tikvart,  Chief,  Source
Receptor Analysis Branch,  to David Stonefleld,  Chief, Policy  Development
Section, on guidance for a discussion of existing  and  additional  guidance
on fluid model demonstrations,

Attachment

cc:  Stack He lent Contacts
     Gerald Emison
     Ron Campoell
     5. J. Steigerwald

-------
           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                  Office of Air Quality Planning and Standards
                  Research Triangle Park, North Carolina 27711
FILE   COPY
                              NOV 2  7 -.390
  MEMORANDUM

  SUBJECT:

  FROM:


  TO:
Stack Height Questions

John Calcagni, Director
Air Quality Management Division  (MD-15)

Irwin L. Dickstein, Director
Air and Toxic Division, Region VIII
       The  following guidance  is  provided  in  response to the five  issues raised
  in your memorandum of  November  8,  1990 regarding good engineering practice
  (GEP)  stack  height.  The  issues and  answers are presented below  in the same
  order as  your memorandum.

  1.   Issue:
       A source seeking  stack  height credit above formula GEP  is required by
       regulation  to demonstrate  an  exceedance of an ambient air quality
       standard.   The  regulation  also  provides that the allowable  emission rate
       to be used  in making  the demonstration shall be the new source
       performance standard  (NSPS),  unless this  is shown to be infeasible.• The
       regulations, however, do not  address what emission rates to use when
       there are no NSPS emission rates applicable.

       Answer:
       The  preamble to the  stack  height regulation is clear that the emission
       rate must be limited  to the NSPS or best  available retrofit technology
       (BART)  rate (50 FR 27898).  The legislative history of the  stack height
       requirement cautioned that credit for  stacks above formula  height be
       granted only in rare  cases.   For this  reason, EPA determined that sources
       seeking credit  above  formula  height should first attempt to reduce their
       emissions.   In  establishing an  emission rate other than NSPS, the
       preamble states that  EPA will rely  on  its BART guideline.   Thus, we
       believe that a  BART  analysis  must be conducted to determine the emission
       rate to be  used in studies demonstrating  GEP stack height greater"than
       formula height  when  no  NSPS limit is applicable.

  2.   Issue:
       In completing a BART  analysis,  should  we  follow the procedures described
       in the  October  28, 1985 memorandum  from Darryl Tyler to the Air
       Management  Division Directors entitled "Implementation of Stack Height
       Regulations—Presumptive NSPS Emission Limit for Fluid Modeling Stacks
       Above Formula GEP Height?"

-------
     Answer:
     This guidance continues to apply to all fluid modeling and field  study
     demonstrations and thus should be followed by the State of Montana  and
     ASARCO.

3.   Issue:
     Does Headquarters have individuals to review a BART analysis for  a
     primary lead smelter?

     Answer:
     The Office of Air Quality Planning and Standards will provide whatever
     assistance is needed to Region VIII concerning the BART analysis.

4.   Issue:
     Following a demonstration that credits stack height above formula GEP, is
     the source still required to meet an emission limit consistent with the
     NSPS/BART limit if the source can demonstrate that it can emit more but
     still be in compliance with the national ambient air quality standards
     (NAAQS)?

     Answer:
     The preamble to the stack height regulation is clear that the operating
     rate must be limited to the BART or NSPS rate (50 FR 27898).  The
     preamble also notes that an emission limit more stringent than NSPS/BART
     may be needed because the sources must also meet the NAAQS (50 FR 27899).
     Thus the BART limit, once established, must be complied with by the
     source unless additional control is needed to meet the NAAQS when stack
     height credit is limited to GEP.

5.   Issue:
     The stack height regulation requires sources seeking credit above formula
     GEP to show an exceedance of an air quality standard.  Does this mean an
     exceedance of a NAAQS or ambient standards that have been approved in
     State implementation plans?

     Answer:
     We  interpret the reference in the regulation to "an" ambient air quality
     standard as meaning a "national" ambient air quality standard.  A State,
     however, is always free to impose more  stringent requirements.   In some
     instances, it may be difficult to determine whether  a  State standard  is
     more  stringent than a NAAQS; therefore, a case-by-case analysis would be
     required when using standards other than a NAAQS.

     I trust this guidance adequately responds to your concerns.  For further
discussion, please have your staff contact Doug Grano at  FTS 629-5255.

cc:  Pat  Embrey, OGC
     S02 Contacts

OAQPS:AQMD:SDPMPB:MD-15:DGrano:lferrell:629-5585:11/26/90
Disk:  DG  #3, Doc. ASARCO       AQMD-061     Due:   11/26/90

-------
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                                                            .uj-eo-uy-19-006
              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                     Office of Air Quality Planning and Standards
                    R«»«arch Triangle Park. North Carolina 27711

                             September 19, 1985
MEMORANDUM

SUBJECT:  Guidance on Fluid Model Demonstrations for Determining GEP
          Stack Height in Complex Terrain

FROM:  „  Joseph A. Tikvart, Chief
          Source Receptor Analysis Branch, MDAD

TO:       David Stonefield, CMef
          Policy Development section, CPDD

     The recently promulgated gtack height regulation requires that a  source
that wishes to receive credit for the effects of wakes, eddies and downvash
produced by nearby terrain for the purpose of calculating GEP stack height
must conduct a fluid model demonstration or a field atudy.  Recent guidance
for fluid modeling these terrain effects is contained in Section 3.6 of the
"Guideline for Determination of GEP Stack Height (Revised)," EPA 450/4-80-023Ru
June 1985, available from NTIS as PB 85-225-241.  In addition, the report
"Fluid Modeling Determination of Good Engineering Practice Stack Height in
Complex Terrain," EPA 600/3-85-022, available from NTIS PB 85-203-107,
provides an actual case of how EPA conducted a GEP determination, short of
performing the "excessive concentration" criteria test.  Requests to conduct
field studies in lieu of fluid modeling demonstrations" will be evaluated on
a case-by-case basis; refer to pp. 46-47 of' the GEP Guideline.

     Previously, EPA published three documents which form the basis for
conducting fluid model demonstrations, particularly in flat terrain
situations:  (1) "Guideline for Fluid Modeling of Atmospheric Diffusion,"
EPA 600/8-81-009, April 1981, available from NTIS as PB 81-201-410;  (2)
"Guideline for Use of Fluid Modeling to Determine Good Engineering Practice
Stack Height," EPA 450/4-81-003, July 1981, available  from NTIS as PB  82-145-
327; and (3) "Determination of Good-Engineering-Practice  Stack Height: A
Fluid Model Demonstration Study for a Power Plant," EPA 600/3-83-024,  April
1983, available from NTIS as PB 83-207407.

     Lastly, EPA conducted a 4-day workshop on fluid modeling  and GEP
determination at the Fluid Modeling Facility at RTP in February  1981,
attended by staff from each Regional Office.  Although some  attendees are
no longer with the Agency, we believe at  least one person in  each Region
who attended is still "on board," except  for Regions  II and VIII,  and could
serve as a resource person.  At the Regional Workshop  on  the  Stack Height
Regulation next month, we will poll the attendees  concerning  the  need for

-------
another fluid modeling workshop for Regional Office and State technical
staff.  If a need is expressed and specific attendees can be Identified, we
will request the Meteorology and Assessment Division, ASRL, to present such
a workshop at RTF within the next few months.

     The above documents together with staff that have some knowledge of
fluid modeling should enable most Regions to provide initial technical
assistance to the States and enable the States to increase their own level
of expertise.  Note that document (2) contains a report checklist in Section
5, outlining what a fluid model report should contain.  Additional items
explicitly related to complex terrain studies may be required on a case-by-
case basis, especially after reviewing EPA's example study carefully.  More
detailed procedures for Implementing the excessive concentration criteria
calculations, using data from a fluid model demonstration, are being developed
and will be provided at the upcoming Regional Workshop.

     Should technical questions arise regarding CEP determinations or fluid
model demonstrations, please contact Jla Dlcke or Dean Wilson of ay staff,
FTS 629-5681.  We assume the Regional Office staffs will attempt a first-cut
resolution of technical Issues before requesting our assistance.

cc:  S. Relnders
     R. Rhoads
     F. Schiermeier
     D. Wilson

-------
UniMd States
Environmental Protection
Agency
Office of Air Quality
Planning and Standards
Research Triangle Park NC 27711
EPA-4 50/4-81-003
July 1981
Air
Guideline for Use of
Fluid Modeling to Determine
Good Engineering Practice
Stack Height
         ENVIRONMENTAL PROTECTION
             AGENCY

           XT 30 1981
                      LIBRARY SERVICES OFFICE

-------
        tMMSatn
&EFA
                       MC 27711
        R«S4«reft and Development
Determination of
Good-Engineering-
Practice Stack
Height
    •
A Fluid Model
Demonstration
Study for a Power
Plant
                             19S3

-------
United States
Environmental Protection
Agency
EPA-600/8-81-009
April 1981
Research and

Development


Guideline for
Fluid Modeling of
Atmospheric Diffusion
   ENVIRONMENTAL PROJECTION
       AGENCY


     OCT 3U 1961
    HBRARY SERVKXS OFFICE
Prepared for


Office of Air Quality
Planning and Standards
Prepared by


Environmental Sciences Research
Laboratory
Research Triangle Park NC 27711

-------
Environment*; Protection Lefty ir.xy

  "*"'
                 2771 1
   t-VJ
Fluid Modeling
Demonstration of
Good-Engineering-
Practice Stack
Height in Complex
Terrain

-------
REFERENCES FOR SECTION 7.7

-------
  no *r«,
/^ %         UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
i  ^H ^K  ».!
        ;               Office of Air Quality Planning and Standards
        '              Research Triangle Park. North Carolina 27711


                               OCT 28
    MEMORANDUM

    SUBJECT:  Implementation of Stack HelghtlRegulatljyis - Exceptions From
             Restrictions on Credit for>ferfled St<

    FROM:     Darryl D. Tyler, 01 rectorj
             Control Programs Development

    TO:       Director, A1r Management Division
             Regions I-X

        This guidance  has been prep red to address two Issues pertaining to
    credit for merged stacks prior to July 8, 1985.   It establishes a procedure
    that should be used to prepare and to review justifications for merging gas
    streams for economic or engineering reasons, and to address the presumption
    that merging was significantly motivated by an Intent to gain credit for
    Increased dispersion.  Please note that this 1s guidance; States may submit
    alternative demonstrations 1n support of merged stack exemptions 1f they
    feel the Individual circumstances warrant.

    Background

        Recent revisions to EPA's stack height regulations place certain
    restrictions on the degree to which stationary sources may rely on the
    effects of dispersion techniques when calculating allowable emissions.
    One such restriction 1s provided for the merging of gas streams, or
    combining of stacks.  Several exemptions have been provided 1n the regula-
    tion, however.  More specifically, 40 CFR Part 5l.l(hh)(2)(11) allows
    credit under circumstances where:

        A.  The source owner or operator demonstrates that the facility was
    originally designed and constructed with such merged gas streams;

        B.  After July 8, 1985, such merging 1s part of a change 1n operation
    at the facility that Includes the Installation of pollution controls and 1s
    accompanied by a net reduction 1n the allowable emissions of a pollutant.
    This exclusion from the definition of "dispersion techniques' shall apply
    only to the emission limitation for the pollutant affected by such change
    1n operation; or

        C.  Before July 8, 1985, such merging was part of a change 1n operation
    at the facility that Included the Installation of emissions control equlp-
    itent or was carried out for sound economic or engineering reasons.  Where
    there was an  Increase 1n the federally-approved emission limitation for any

-------
pollutant or, 1n the event that no emission limitation was 1n existence
prior to the merging, an Increase 1n the quantity of any pollutants  actually
emitted from existing units prior to the merging, the reviewing  agency
shall presume that merging was significantly motivated by an Intent  to gain
emissions credit for greater dispersion.  Absent a demonstration by  the
source owner or operator that merging was not significantly motivated by
such an Intent, the reviewing agency shall deny credit for the effects of
such merging 1n calculating the allowable emissions for the source.

General Requirements

     Figure 1 Illustrates a framework for evaluating claims for  merged
stack credit.  Because merged gas streams are generally regarded as  prohibited
dispersion techniques under the regulations, 1t 1s Incumbent on  the  State
or the source owner or operator to demonstrate that such merging was conducted
for sound economic or engineering reasons, and was not significantly motivated
by an Intent to avoid emission controls.  Consequently, the first step
should entail a review of State and EPA files to determine the existence of
any evidence of Intent on the part of the source owner or operator.
Information showing that merging was conducted specifically to Increase
final exhaust gas plume rise serves as a demonstration of dispersion Intent
that justifies a denial of credit for merged gas streams.  Demonstrations  that
merging was carried out for sound economic or engineering reasons are
expected to show that either the benefits of merging due to reduced
construction and maintenance costs outweigh the benefits relating to lower
emission control costs or that relevant engineering considerations showed
the merging to be clearly superior to other*conf1gurat1ons.

Demonstration Requirements

     Several exemptions from prohibitions on gas stream merging  are  provided
for existing sources 1n the stack height regulations:

     1- where sources constructed their stacks before December 31, 1970,

     2- where the total facility-wide emissions from the source  do not
exceed 5,000 tons per year,

     3- where the facility was originally designed  and constructed
with merged gas streams, and

     4- where the aerglng was part of a change 1n facility operation that
Included the Installation of pollution control equipment and resulted 1n
no  Increase  1n the  allowable emissions  of any pollutant.*  Where there
was  an Increase 1n  emissions 1n conjunction with the merging and Installation
of control equipment, the  regulations require that  source owners also make
an affirmative demonstration that the merging was  not motivated by dispersive
Intent.

     *Where  there was  no  federally-approved emission  Hm1t  prior to merging
gas  streams, there  must be  no  Increase  1n the actual  emissions  of any
pollutant.   Moreover,  it  1s  Incumbent  on the  State  to  demonstrate that  there
was  a  logical  relationship  between  the  merging  of  existing  gas  streams  and
the  Installation  of controls.

-------
     Sources that are not covered under these criteria may stm  qualify for
exemption if they can show that merging was  conducted  for  sound economic
or engineering reasons.   Such demonstrations should  Include justifications
for having replaced existing stacks.   This may be  done,  for Instance, by
documenting through maintenance records, correspondence, or other
contemporaneous evidence, that the existing  stacks had reached the end of
their useful life, were  prematurely corroded,  had  sustained other damage
making them unservlcable, were of a height less than that  regarded as
good engineering practice, thereby causing downwash  problems, or  that the
addition of new units at the facility necessitated additional stacks and
Insufficient land was available.  The absence of any evidence supporting
the need for stack replacement creates a strong presumption that  merging
was carried out specifically to avoid the Installation of  pollution
controls, I.e., was "significantly motivated by an Intent  to gain emissions
credit for Increased dispersion."

No Increase 1n Allowable Emissions

     Once this Initial criterion 1s satisfied, demonstrations may show
that merging was based either on sound economic or sound engineering
reasons.  Claims based on strict engineering justifications may be more
difficult to show, since the existence of more than  one reasonable
engineering solution generally leads to a decision based on economics.
However, 1f 1t can be documented that the merged stack configuration was
clearly superior to other stack configurations for purely  engineering
reasons, without consideration of cost, then credit  for merging may be
granted.

     In order to most reliably Implement the provisions of the regulations
regarding the merging of gas streams for sound economic reasons,  1t would
be necessary to ascertain the actual Intent  of the source  owner or operator
at the time the decision was made to merge gas streams.  Recognizing that
the difficulty of doing  so was the basis for EPA's rejection of an "Intent
test" 1n the rule, the following approach provides a surrogate demonstration
of Intent.  This approach 1s summarized 1n Figure  2.

     Because the potential savings attributable to the avoidance  of
pollution controls can significantly Influence decisions to merge stacks,
one way to show the absence of dispersion Intent 1s  to conduct an analysis
of the annual1zed capital and maintenance costs for  merged stacks and for
Individual stacks, and compare the results to the  compliance costs (fuel
and operation and maintenance of any control equipment) calculated based on
the emission limitations derived with and without  aerged stack credit.   If,
when the difference 1n capital and maintenance costs 1s compared  with the
difference 1n compliance costs over the period of  capital  amortization,  the
capital and maintenance cost saving 1s greater than  the compliance cost
saving, then merging can be accepted as having a sound economic basis.

     In establishing this rule of thumb, we  are aware  that a benefit of  as
little as 10-20 percent could be considered  "significant"  1n the  context of
the court's holding on this matter—I.e., such a benefit could  have  been
considered to be a relevant factor 1n decisions to construct  merged  stacks.

-------
However, recognizing that documentation of cost analyses after an extended
period of time—up to 15 years—Is likely to be limited, we believe  that
the 50 percent test articulated above would constitute  a more  reasonable
basis for initial determinations (that 1s, a level  at which we believe  that
there was likely a significant incentive to merge  stacks to avoid control
requirements).

Affirmative Demonstrations of Nondisperslon Intent

     In some instances, a State or emission source  owner may not  be  able to
nake a demonstration as described above, or believe that sound economic
reasons existed for merging stacks, regardless  of  the relationship between
financial savings attributable to reduced emission control  requirements
versus lower stack construction cost.  In such  cases, an opportunity should
be provided to affirmatively demonstrate that merged stacks were  not
•significantly motivated by an intent to obtain emissions credit  for
increased dispersion."  The burden of proof rests  solely with  source owners
or operators attempting to make this showing.

     Demonstrations may rely on any relevant evidence,  including  but not
limited to the following:

     - construction permits, or permits to operate from pollution control
       agencies
     - correspondence between the source owner or  operator and government
       agencies
     - engineering reports relating to the facility
     - facility records
     - affidavits
     - any other relevant materials

     For  instance, such  a demonstration could be made by submitting
documentary or other evidence  (e.g., internal company memoranda presenting
the  alternative construction opportunities available to the company) that
indicates the intent of  the source owner or operator and shows that
consideration of dispersion advantages was conspicuously absent.

     Alternatively, it might be shown that either action by the State  in
approving a revised emission  limit followed  actual merging sufficiently
later  in  time to suggest that  dispersion credit was  not considered by the
source at the ti»e of merging  or  the State  approved  limit was unrelated to
the  merging.

      In  attempting to make  demonstrations,  source owners or operators
should present  as much  evidence as can  be  located, with  the understanding
that demonstrations based  on  any  single category of  evidence  (such  as
affidavits) presented  in isolation  are  less  likely to  constitute  acceptable
showings  than demonstrations  based  on cumulative bodies  of  evidence.
         discussed  below,  affirmative  showings  will be  required of sources
 whose merged stacks were  associated with  an increase  in  allowable emissions
 as  well  as  some  sources whose  mergers  were  not associated  with such

-------
Increases.  However, EPA expects sources whose emission limits Increased
subsequent to the merging to present stronger showings than those with no
Increase, since the regulatory definition of "dispersion technique"  views
such increases as an explicit Indication that the merged stacks were
significantly motivated by an Intent to gain credit for Increased disper-
sion.  Sources who do not Increase their emissions, but who have difficulty
making other demonstrations, such as the Installation of pollution controls,
or merging for sound economic or engineering reasons convey a more Implicit
Indication of dispersion Intent that must be rebutted; for such sources,
however, the presumption of Intent 1s not as compelling.

Increases 1n Allowable Emissions

     As stated above, 1n cases where the allowable emissions of any
pollutant Increased 1n conjunction with the merging of gas streams,  such
an Increase provides even stronger circumstantial evidence that merging
was not carried out for sound economic or engineering reasons, but was
"significantly motivated by an Intent to gain emissions credit for greater
dispersion."  This presumption may be rebutted by making one of the
following demonstrations.

     1- by showing that the cost savings associated with reduced compliance
costs for merged stacks are less than 50 percent of the total savings  due to
merged stacks (I.e., annual compliance savings plus annuallzed capital
and maintenance savings), and by making an affirmative showing, as described
above, that there was no significant motivation to gain credit for the
Increased dispersion provided by merged stacks; or

     2- by showing that alternatives to stack merging were reasonably
precluded strictly for engineering reasons, and by affirmatively demon-
strating the absence of significant dispersion Intent, as noted above.

     In the absence of such a showing, 1t should be presumed that avoidance
of emissions control was a significant factor 1n the decision to merge gas
streams, and credit should be denied.

     If you or your staff have any questions regarding the application of
this guidance 1n specific Instances, please contact Eric Glnsburg at
(FTS) 629-5540 or Sharon Relnders at (FTS) 629-5526.
Attachments

-------
                                      FIGURE  1
                                    Pre-  7/8/S5
                               Retrofit Merged Stacks
                                  Record of Intent
                                   for Dispersion
                                      Purposes
                                                   No
                                                 Credit
                                         No

                                     Installed
                                 Pollution  Controls
           Increased
           Emissions
Credit
Granted
Yes
                Affirmative
                 Showing	
credit"
Granttd
No
                                               No
                                    Reason to
                                  Replace Stacks


No
Credit
                                          Engineering
                                          Reasons  for
                                            Merging
 No
 Credit
                              No
                              Credit
                                                Economic
                                              Reasons for
                                                Mergi ng
                                             Increased"
                                             Emissions
          Engineering
          Reasons make
         Merging Clearly
            Superior	
                Credit^
                Granted
                                                   See
                                                Figure 2
              Yes
      Engineering Reasons
      to Preclude Alternatives
    es
                               Credit
                               Granted
                      HUH
Affirmative
 Showing
No
Credit
                                                      No
                                            No
                                            Credit

-------
                           Figure  2

                    Economic  Justification

                      for Merged Stacks
Savings due to Avoidance
of More Stringent
Emission Limit
No Increase
In Emissions
Increase
In Emissions
Less than SOX of Total
Savings due to Merged
Stack Construction
Credit
Granted
 Affirmative
 Showing
Exceed SOX of Total
Savings due to Merged
Stack Construction
Affirmative
Showing
  No
  Credit

-------
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-------
REFERENCES FOR SECTION 7.8

-------
                                                                                                       FSDEHAL LAWS
pursuant  10  paragraph  (1)  and  section
403(a)(l)  as basic Phase  II  allowance
allocations, beginning January  1. 2000.
.ind for cacn calendar year thereafter until
and including 2009.  the Administrator
ihall   allocate annually  for  each  unit
subject  to   the  emissions   limitation
requirements of paragraph (1) allowances
from  the  reserve created  pursuant   to
subsection (a)(2) in an  amount equal  to
the  unit's baseline multiplied by 0.050
Ibs/mm Btu. divided by  2.000.
   13)  In addition to allowances allocated
pursuant  to  paragrapn  11) and  section
403(a)(l), beginning January 1, 2010. the
-Administrator snail allocate annually  for
each  unit  subject   ;o  the  emissions
limitation  reauiremcnts  of paragrapn (1)
allowances in an  amount  equal  to the
unit's  baseline    mumpiiea   by   0.050
Ibs/mmBtu.  divided by 2.000.
   ii)  Units in High Growin States.—U)
 In  addition  to  allowances   allocated
pursuant  to  this section  ana  section
403(a)U) as  basic  Phase II  allowance
allocations,  beginning  January 1. 2000.
 the Administrator shall allocate annually
allowances for each unit,  subject to  an
emissions  limitation  requirement under
 this section,  and located :n a State tnat—
   (A) has   experienced  a  growtn   in
 population in excess of 25 percent  between
 1980   and   1988  according  to  State
 Peculation  and  Housenoid  Estimates.
 With  Age.   Sex, ana  Camoonents   of
 Change:   1981-1988  ailocateo   by  the
 United States Deoartmeru  of Commerce.
 ana
   !B)   haa    an
installed   eiectncai
 generating  capacity   of  more   than
 30.000.000 kw in 1988.
 in an  amount  equal  to tne  difference
 between  (A) the  numocr of  allowances
 that would be allocatea for  the  unit
 pursuant  to  the  emissions   limitation
 requirements of this section applicable to
 the  unit  adjusted  to  reflect   tne  unit's
 annual average fuel consumotion on a Btu
 basis of  any three consecutive calendar
 years between  1980 and 1989  (inclusive)
 as elected by  the owner or operator ana
 (B)  the  number of allowances allocatea
 for the  unit pursuant to the emissions
 limitation requirements  of this  section:
 Provided. That the numoer of allowances
 allocated pursuant to this subsection shall
 not exceed an  annual  total of 40.000. If
 necessary to meeting the 40.000 allowance
restriction tmposeo unoer this  subsection
the Administrator snail reduce, pro rau.
the additional annual allowances allocated
to each unit unoer this subsection.
   (2)  Beginning January   1.   2000.  in
addition to allowances allocated pursuant
to this section  and section 4Q3(aMU as
basic Phase II  allowance allocations, the
Administrator snail allocate annually for
each  unit  subject   to  the   emissions
limitation  requirements   of  subsection
(b)(l), (A)  the lesser of whose actual or
allowable  1980 emissions rate has declined
by 50 percent or more as of the date of
enactment  of  the  Clean   Air   Act
Amenamcnts of 1990. (B) wnose actual
emissions  rate is less tnan 1.2 !bs/mmfltu
as  of  January  !.   1000. (l):
Provided. That ;ne numocr of allowances
ailocatca  pursuant to tms paragraon snail
not exceca an annual total of  5.000.  If
necessary to meeting tne 5.000-allowancc
restriction imoosea m me last clause of the
preceamg   sentence  the   Aamimstrator
shall reauce.  pro   rata.   the  aaditionai
allowances allocated to each unit pursuant
to this paragrapn.
   (j) Certain Mumcicaily  Ownea Power
Plants.—Beginning  January  i.  2000.  in
addition to allowances allocated pursuant
to this section and  section 403(a)(l)  as
basic Phase II allowance  allocations, the
Administrator  snail  allocate annually for
each existing mumcioaily  ownea oil and
gas-nrea   utility  unit  with   namcDiatc
caoacity equal to. or less tnan. 40 MWe.
the lesser  of whose  actual or ailowaoie
1985  sulfur dioxide emission  rate is  less
than  1.20  Ibs/mmBtu. allowances  m  an
amount equal to the product of the unit's
annual fuci consumption on a Btu basis at
a 60 percent capacity factor multiplied by
the lesser  of its allowable 1985 emission
rate  or  its  actual  1985  emission  rate.
divided by 2,000.

ALLOWANCES  FOR STATES  WITH
EMISSIONS RATES  AT OR  BELOW
           0.80 LBS/MMBTU
   Sec. 406.(a) Election of Governor.—(n
addition to basic Phase II allowance allo-
cations, upon the election of tne Governor
of any State, with a 1985 state-wide annu-
al sulfur dioxide emissions rate eauai :o or
less than, 0,80 Ibs/mmfltu. averagea over
ail fossil fuel-fired utility steam generatina
units, beginning January  1. 2000. ana  for
each  calendar year  thereafter until  and
including  2009.  the Administrator  snail
allocate, in lieu of other Phase II bonus
allowance  allocations, allowances from the
reserve  created   pursuant   to   section
405(a)(2)  to all such units in  the State in
an amount equal to 125.000 multiplied by
the unit's pro  rata share of electricity
generated  in caienoar year 1985 at  fossil
fuel-fired utility steam units in ail States
eligible for the eierrion.
   (b)  Notification  of  Administrator.—
Pursuant to  section 4Q3fa)(l), sach Gov-
ernor of a State eligible to maxc an elec-
tion under paragraph (a) shall notify  the
Administrator of  such election.  In  the
event that the Governor of any sucn State
fails  to notify the  Administrator of  the
Governor's elections,  the  Aamimstrator
shall allocate allowances pursuant :o sec-
tion 405.
    (c)  Allowances  After  January   I.
 2010.—After January 1. 2010.  the  Ad-
 ministrator  shall allocate allowances to
 units subject to the provisions of this sec-
 tion  pursuant to section 4Q5.

 NITROGEN  OXIDES  EMISSION
        REDUCTION PROGRAM
   Sec.  407.(a)   ADplicaoiiity.—On   the
date that  a coai-ftred utility unit becomes
an affected unit pursuant to sections 404.
405. 409,  or on the date a unit subject to
the provisions of section 404(d) or 409(b),
must meet  the  SO:  reouction  require-
ments, each  such unit shall become an

-------
    WORKSHOP ON  IMPLEMENTING THE STACK
            HEIGHT REGULATIONS
                  (REVISED)

          OCTOBER 29 TO 30, 1985
                     by

            PEI  Associates,  Inc.
      505  South  Duke  Street,  Suite  503
     Durham, North  Carolina   27701-3196
    CONTROL PROGRAMS DEVELOPMENT DIVISION
OFFICE OF AIR QUALITY "PLANNING AND STANDARDS
    U.S. ENVIRONMENTAL PROTECTION AGENCY
RESEARCH TRIANGLE PARK, NORTH CAROLINA  27711
                October 1985

-------
              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                     Office of Air Quality Planning and Standarcs
                    Research Triangle Park, Noah Carolina 27711
                             9  OCT 1987

     MEMORANDUM

     SUBJECT:  Processing of Stack Height Negative Declarations

     FROM:     G. I. Helms, Chief  J$ ^ /Jc-x£/^<2^
               Control Programs Operations Branch

     TO:       Chief, Air Branch
               Regions \-\


          The purpose of this memorandum is to clarify and revise some points
     in my September 3, 1987, memorandum entitled "Technical Support for Stack
     Height Negative Declarations."   That memorandum included a list of minimum
     requirements for determining adequate documentation with three additional
     guidance documents attached.   One  of the attachments was the August 28,
     1987, memorandum from Charles  Carter of the Office of General Counsel  (OGC)
     and  me to Bruce Miller of Region IV, entitled "Documentary Support for
     Deficiencies in Stack Height Review Packages."  Because several actions
     are  being delayed by inadequate documentation, we sent copies of the
     August 28 memorandum to all ten Regions as examples to alert them to
     these problems.

          The Tennessee State implementation plan (SIP) was used as an example
     because we  believed it had deficiencies that were common to other negative
     declaration packages.  The use of  the Tennessee evaluation as an example
     was  not intended to single out  Region IV as having more problems with
     documentation  than other Regions,  although the tone of the memorandum
     might have  given- this impression.   I am sorry for this misrepresentation.

           In a  recent conference call with OGC and Region  IV, Region IV
     suggested three clarifications  and revisions to the guidance that we
     included  in the August 28, 1987, and September 3, 1987, memorandums.  We
     believe these  should be  incorporated.  They are as follows:
               The requirement  for a list  of  sources evaluated for
               negative  declarations applies  only to sources greater
               than fi5 mptpr*.
1.

    than 65 meters
               For grandfathering documentation,  the date the
               source  was  built  is  not  essential, but the type and
               date of the documentation  that  the source was built
               prior to December 31,  1970,  must be listed.  However,
               whenever the actual  construction date is submitted
               by  the  State,  it  should  be  included.
NOTE:  Attachments 1 and 2 are not
       included in the Policy and
       Guidance Notebook.

-------
     3.  It is  not necessary that a Region give assurances  that
         they are confident the documentation is adequate;  however,
         regional management should be satisfied that the State
         submission meets the requirements of the stack height
         regulation.

     We also agreed during the conference call that the Delaware negative
declaration (#3356) (See Attachment 1) includes a good tabular form  to
present the good engineering practice (GEP) review in a Federal  Register
notice or the accompanying technical support document (TSD).Attachments
2 and 3 present expanded tables for stacks over 65 meters and for sources
over 5000 tons per year.  The notice does not have to include tables in
these formats, but the information required in them should be discernable
from the notice and/or TSD.  For example, the Delaware table in Attachraen:
is a shortened version of Attachment 2, since no stacks exceeded GEP.

     I hope this memorandum clarifies my past correspondence and gives
you a better understanding of the documentation necessary for processing
stack height negative declarations.  If you have any questions, please
call Ted Creekmore  (629-5699) or me (629-5526).  Thank you for your
patience during the processing of these complex SIP revisions.

Attachments

cc:  Charles Carter
     Pat Enibrey
     Sharon Reinders
     Richard Rocs-Collins
     Ted Creekmore
     Dave  Stonefield
     - Eric  Ginsberg
     John  Silvasi

-------
                      //'
  «•>.» » • *«««•»
  -l-.nn.-.Ri
                             "able 1
      A sircaary of applicable  sources-and  the  States review.

 Ni.-e of Coroanv             .     Grancfatheredl   GE?£

 '•ilr.ir.gtcr. Finishing Company              v
 3elr.arva Power & Light
  Ecge.T.oo
      Unit *3
      unit *4
      "Jr.it \l

 Delaware City

 Indian  River
      Unit n
      Unit n
      Unit n
      Unit M

 repent  Seaford

 Texaco
 Sulfur  Reccvery Unit
 fluid  Ccker

 Crude  Unit

 Catalytic Cracker

Sun Olin Chemical Co.
 Bciler Stack
Allied Corroration
 3ciler Stack' East


3elaw^^e Trust Building


American International' Building



:  Stack was in place or binding

-  Source Follows Good  Er.gi.-.eerir
  vith the July 8, 1?£5 Federa1'
                                           X
                                           X
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                                           X
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3FERC report 19£.
 F£RC report 1S€£
 State Air ?«rait
 FERC
                                                             report  1256
      report 1957
 FERC  report 1955
 FERC  report 1S70
 State Air  P«nait

 Craving dated
 1939

 State Air  Perr.it
 Drawing dated
 12/2/55
 Drawing dated
 9/28/55
 Drawing dated
 5/10/60

Purchase orde"
V6/61
                                                      Drawing dated
                                                      9/28/59

                                                      Drawing dated
                                                      1/12/59

                                                      Drawing da.ted
                                                        10/8/65
                                contract before 12/31/70.

                                ig  Practice  in accordan

-------
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-------
               UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
      ^              Office of Air Quality Planning and Standards
      f              Research Triangle Park. North Carolina 27711

                                f£i -1  /986
MEMORANDUM

SUBJECT:  Clarification of Existing Guidance on Dispersion
          Modeling Requirements for Plants With "Tall  Stacks
          and Other Prohibited Dispersion Techo/ques
M
FROM:     Darryl D. Tyler, Director^
          Control Programs Development Dy^ls'ion  (MD-15)

TO:       Director, Air Division, Regions I-X

     The purpose of this memo is to clarify EPA's guidance on the dispersion
analysis requirements that are necessary to implement the revised stack
r.eignt regulations (see EPA's Stack Height Workshop Manual dated October
1985) and, second, to respond to questions on whether dispersion modeling
is required in the context of checking for prohibited dispersion credit
if a source's emission limitation was not developed by means of a case-
specific dispersion analysis.

     In cases where stack height credit and/or dispersion credit changes
and  a dispersion analysis has been performed in any context, that
analysis must to be reviewed to determine if the model inputs reflect
credit for stack heignt(s) above good engineering practice (G£P) or any
otner prohibited dispersion tecnmque(s).(Review of tne model inputs
applies to botn tne specific source(s) for which the analysis is conducted
and  nearby point sources  as performed for a new or renewed-permit, a new
source review/  prevention of significant deterioration national amoient
air  quality standard  attainment or increment analysis, a  State  plan to
propose  revision of  its  federally  approved State implementation plan
 (SIP)  emission  limitations, justification of the current  SIP limitations,
or any  attainment/nonattainment  redesignation(s), etc.)

      If  the analysis  reflects credit  for prohibited dispersion  techniques,
tnen the  source(s)  need  to be remodeled without the prohibited  credit(s)
and  revised emission  limitation  established in tne event  that the analysis
snows  an  attainment  or  increment  problem.   If  a  source's  emission limit
was  established by ambient air  quality considerations such  as rollback,
modeling  is required  to  demonstrate  consistency with  the  stack  heignt

-------
                                   -2-
regulation because creait for prohibited dispersion techniques is  reflectec
in tne monitor-efl value.  If a source has never been analyzed for cispersior.,
then it is" not necessary to conduct a dispersion analysis now.

     It is a State responsibility to demonstrate (1) that the SI? limit
does not consider the results of dispersion analyses, (2) that the source
has never been evaluated for dispersion credit, or (3) that existing or new
analyses are consistent with guidance.  Regions are encouraged to  provide
assistance to States in this endeavor if the Impacted agency so desires.
It is always appropriate for an individual State or Region to request  or
initiate a modeling analysis where one does not exist if there is  reason
to believe that a source's emission limitation is inconsistent with  the
stack height regulations.  However, EPA 1s not calling for an across the
board modeling analysis from every source.
     Please pass this information along to your States.   If
questions on imp! enenting this guidance, please call  Sharon
F7S 529-5526 or Eric Ginsourg at FTS 629-5540.
        you have
        Reinders
any
at
cc:  Regional Administrator, Regions I-X
     Chief, Air Branch, Region I-X
     Regional Stack Height Contact, Regions I->
     R. Brenner
     R. Campbell
     C. Carter
     C. Elkins
G. Emison
T. Helms
0. Rhoads
B. J. Steigerwald
J. Tikvart
P. Wyckoff

-------
REFERENCES FOR SECTION 8.1

-------
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-------
REFERENCES FOR SECTION 8.2

-------
'vvEPA
               United States
               Environmental Protection
               Agency
Office of Air Quality
Planning and Standards
Research Triangle Park NC 27711
EPA-450/2-56-001
June 1987
               Air
               Development
               Guideline

-------
             UNfTED 5TATE5 ENVIRONMENTAL PROTECTION AGENCY
                   Office of Air Quality Planning and Standards
                  Researcn Triangle Park, Nortti Carolina 27711


                           June  24,  1992
MEMORAMDUH
SUBJECT:   Questions and Answers (Q's & A's) for La

FROM:      Joseph W. Paisie,  Acting Chief L^d/A
           SfX/Particulaca Hsrtar  Programs! Bijanch (MD-15)

TO:        Chief, Air Branch
           Regions I-S.


      Attached, you will find tie first set of Q's S A's for lead
iaplenentation plans,  The responses, which were developed with
the  lead contact, have been reviewed both in rhis cf iicVand "the
offica of General Counsel.  As mere questions arise, we will be
following this set: with ether se-cs of lead. Q's  4 A
      The Q's « A's serve as a supplement to the staff wcr;c
 product for lead which has been incorporated inro the General
 Preamble for Title I of the 1990 Clean Air Act Aaendaents (CAAA)
 [see 57 FR 12498 and 18070, April IS and 28, 1992, respecrivelv ] .
 In any instance whers there aay appear to be a discrepancy
 between the Q's S Ars and the General Preamble, the General
 Preamble remains the aors authoritative policy, and the Q&A's
 should be read in ways that support that document.

      The SOa/Particxilate Mattar Programs Branch will be prcducina
 a general Q's 5 A's norabook with responses to craesticns
 concerning implementation of the CAAA.  The goal  is to have  a
 resource that is specific enough ro address individual concerns,
 but universal enough to be informative for all of the people^whc
 will be implementing the CAAA.  If yen have any  sucgesticns
 regarding this procass, please contact Gwen Jacobs'at  (919)
 541-5295.  Questions aay be faxed to  Gwen at  (913)  541-5439  or
 mailed to OAQPS  (Mail Drop 15).  Thank you  for your suprorr  of
 this project.                                        .
 Attachment;

-------
                      QUESTIONS AND ANSWERS

                               FOR

                               LZAD
     The EPA's responses to questions regarding  iaoleaentation  of
tile lead national ambient air quality standards  (NAAQs) under the
Clean Air Act as amended Noveaber 15, 1990 (Pub. L.  Ho. 101-549
104 stat. 2399) (CAA) are discussed in this document,  "see
generally 42 U.S.C. §S 7401 e£ SSS-  The answers set forth here
do not establish or affect legal rights or obligations.  Thev do
not establish a binding nora and ars not finally determinative  of
the issues addressed.  Agency decisions in anv particular case
will be aade by applying the" applicable law andT regulations  tc
the specific facts of that case.  la any proceedinc  in which the
policies described in. this document aay be applied" (a.a.,    "~
rulemaking actions on laad SIP's), the"Agency" will thcrouchlv
consider the policy's applicability to the facts, the underlvi_ng
validity of the policy/and whether changes should be aade in the
policy based on submissions made by any person.               ~*
                           Developed by
                  SO/ParticuIare Programs Branch
           Offics cf AJr Qualify Planning and Standards
                            June  1992

-------
                         Lead Q's  & A's

     Hota:  with respect to the following Q's & A's, the clean
     Air Act Amendments of 1990 included a General Savings Clause
     which provides that regulations (or guidance, etc.) in
     effect before enactment of tne Amendments shall remain in
     effect after enactment (see section 193 of the amended Act).
     However, the Savings Clause also provides that such
     regulations (or guidance,  «tc,) f^fra11 remain in effect
     "except to the extent otherwise provided under this Act,
     inconsistent with the provision of this Act, or revised'by
     the Administrator."  Unless otherwise indicated, the
     regulations (or guidance,  etc.) cited below remain in effect
     consistent with section 193 of the clean Air Act.

Q:   1.   Is it necessary to calculate a design value for lead
          SIP's?  The July 1983 document entitled "Draft Updated
          Information on Approval and Promulgation of Lead
          Implementation plans" indicates that determination of
          the design value for lead SIP's is onlv reouired when
          the demonstration is based on a "rollback" "model and is
          not applicable if air dispersion modeling is used to
          demonstrate attainment.

A:   Forty CFR Part 51.117(c)(2) requires that lead SIP's enrolov
     dispersion modeling for demonstrating attainment in areas in
     the vicinity of the lead point sources listed in 40 CFR
     51.117(a). /Determination of the design value is inherent in
     the application of dispersion modeling to demonstrate
     attainment.  Procedures for calculating the design value
     with dispersion models are contained in the Guideline off Air
     Quality Models (Revised! fGAOMl  (Section 8.2.1.1, Design
     Concantrations for SO,, Particulate Matter, Lead, and NO.) /

Q:   2.   How is the design value  to  be  calculated—through
          modeling or  ambient monitoring?

A:   Again,  see Section 8.2.1.1 of the GAQM which describes how
     to determine the  design concentration  (design value) for a
     lead air quality  analysis.  An air  quality analysis is
     necassary to determine if  the source will cause a violation
     of the NAAQS  [and, it follows, to determine whether
     attainment is demonstrated in the area.  See section
     132(a)].  Note that  Table  9.1 of the GAQH describes the
     model  emissions input data needed to model point sources.
     In such an analysis,  the background concentration  is added
     to the estimated  impact of the source, as  determined by
     dispersion modeling,  to ger the  design concentration.  For
     lead,  the highest estimated design  concentration based on  an
     individual calendar  quarter averaging period should be used.
     The  modeled  design concentration is then  used  as a starting
     point to determine emission limits  needed  to attain the
     standards and  to  be  included  in  the demonstration.

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    attainment demonstration must show that the lead
standard of 1-5 pg/m3 maximum arithmetic mean averaged over
a calendar quarter will not be exceeded (see 4O CFR 50.12).
Modeled results should not be rounded off.  Therefore, if
the modeled result is 1.51 pg/u*' the standard is exceeded.
conversely, if the result is 1-49 vq/sf, the standard is not
exceeded.  It is extremely unlikely that a model will give a
result of exactly 1.5O pg/ffl3 but, if that did happen,  it
would equal/ not exceed, the standard so t*w source would be
in attainment.

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     Theoretically, if the measured air quality values are higher
     than Modeled values at the same receptors, and the Agency is
     certain that the model ing was done correctly (i.e.,
     appropriate model, proper inputs), measured data should be
     •used to determine baseline air quality.  That is, the model
     estimates for the design value should not be used if the
     monitored data indicate an ambient problem that will not be
     corrected by a SIP based solely on modeling.  However  the
     State should consult with EPA before making this decision.

Q:   3.   What, emission inventories are necessary for the
          upcoming lead nonattainment area SIP's?  Besides the
          base year emission inventory (which is based upon
          actual emissions), are other inventories necessary?
          What are they to be based upon (allowable emissions
          before or after control, include growth, etc.)?

A.   For lead SIP's, two types of emission inventories should be
     submitted—a base year inventory and modelinc inventories.
     The SIP base year inventory must be based on "actual
     emissions [see sections 110(p) and 172(c)(3) of the Act!.
     The timeframe of the base year inventory, generally, should
     be representative cf the period of record on which the
     decision to designate an area as nonattainment [pursuant to
     sections 107(d)(3) or (d)(5)] cr call for a SI? revision
     [pursuant to  section 110(k)(5)J was based.  The mcdellna
     inventories must be based on allowable rather than actual
     emissions [see section lio
-------
Q:   4.   What type of dispersion modeling demonstrations are
          necessary for the upcoming  lead nonattainment area
          SIP's?  We understand that  a base year modeling
          deaonstraticn, using  the base year emission inventory,
          is used to compare model predictions  to actual, base
          year ambient data for the purpose of  model validation.
          What should be done next?   Should the States then rerun
          the base year model after applying controls [e.g.,
          reasonably available  control measures (EACH) which
          include reasonably available control  technology (SACT)]
          to adjust *"*g base year inventory, to determine the
          level of control needed before growth is accounted for?
          Then should the  States account for growth occurring up
          to the attainment year/ by  rerunning  the awdel using a
          post-control, post-growth emission inventory?  If the
          NAAQS are exceeded in this  last scenario, should the
          model then be rerun with additional control strategies
          until the HAAQS  ara no  longer exceeded?

A:    Base year modeling should  be run using the emission
      inventories discussed above, i-e., base year (actual) and
      modeling  (allowable for determining design concentration).
      The uodel  (using  the  modeling  inventory)  should be rerun
      with reduced  emissions, for  example, assuming the
      iapleaienr.at.ion  of  RACt (including HACT),  until atcairanem: is
      demonstrated.

      The aodel  should  be  rerun  again  with the  controlled emission
      inventory  (modeling  inventory with,  for  example, RACM and
      RACT)  and  any emission increases expected to occur as a
      result of  growth.   If attainment is  reached, no further
      modeling is  needed.   However,  if attainment is nor
      demonstrated with this model run (e.g.,  considering growth),
      more emissions reductions  should be  achieved and the'model
      rerun again until attainment, is  demonstrated.

      For SIP's  submitted in response  to nonattairunent
      designations, determinina the necessary control measures
      should be  consistent with SPA's interpretation of RACM
      (including RACT).  For further  information see the  "General
      Preamble," 57 FR 13540-44, 13550, and 1356O-61, Anril  16,
      1992,  which discusses the de-termination of RACM/RACT  for
      lead and PM-10.

      Finally,  note that background coneenrrations must be  added
      to the modeled results as discussed in the GAQM-.

 Q:   5.   What level constitutes an  adeguate attainment
           demonstration?  For example, for one complete  modeled
           attainment year, mus~ no guarter exceed 1.5 v.q/u? of
           lead?  What if one quarter shows a projected value of
           exactly 1.5 ng/m3 or  1.45

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REFERENCES FOR SECTION 8.3

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             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
      ',            Office of Air Quality Planning and Standards
                  Research Triangle Park, North Carolina 27711


                             April 23, 1992




MEMORANDUM

SUBJECT:  Questions for  Lead State Implementation  Plans  (SJP's)
FROM:     Joseph W. Paisie, Acting Chief
          S09/Particulate Matter ProgramsBranch,  AQMD  (MD-15)
            ^
TO:       Douglas M. Skie, Chief
          Air Programs Branch, Regions  VIII


     We are responding to questions you submitted on January 13,
1992.  In your memorandum you raised  questions  and suggested
answers for what we would classify as two  distinct subject areas
with respect to lead State implementation  plans (SIPs).   The
first set of questions/answers relate to modeling type SIP issues
and -was a reiteration of questions you  had submitted previously.
The second set of questions/answers relate to control type SIP
issues.  We are preparing a  separate  response to the modeling
questions you had raised before  and reiterated  in your
January 13, 1992 memorandum.  This memorandum responds only to
the questions and suggested  answers you submitted regarding
reasonably available control measures (RACM)  [including
reasonably available control technology (RACT)], reasonable
further progress  (RFP), and  contingency measures.

     Answers to your questions are provided  below.  Your
suggested answers,  in part,  captured  our thinking on the issues.
However, we have revised your suggested answers as indicated
below to convey our current  thinking  on these issues. 'You should
be aware that we are working with STAPPA/ALAPCO to develop
guidance for the very questions  you raised.   We are hopeful that
STAPPA/ALAPCO will  prepare a position paper, on  these issues
shortly after their annual meeting  in San  Francisco in late April
1992.  We will examine the STAPPA/ALAPCO position, in light of
the Clean Air Act  (CAA) and  applicable EPA regulations and
guidance, and inform you if  we conclude that it reflects our
policy position.                                      ;

Q:   I.   How should States  determine reasonably available
          control measures  (RACM)?  Must a State evaluate all
          available control  measures, or just those which are
          necessary to  attain  and maintain the  NAAQS?

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The suggested starting point for specifying RACM for area
sources in each SIP is the listing of available control
measures for fugitive dust contained in the document Control
of Open Fugitive Dust Sources (EPA 450/3-88-008, September
1988).  If a State receives substantive public comment
demonstrating through appropriate documentation that
additional control measures may well be reasonably available
in a particular circumstance, those measures should be added
to the list of available control measures for that area.
The RACM is then determined for the particular area to which
the SIP applies.  If it can be shown that one or more
measures are unreasonable because emissions from the
reentrainment of fugitive lead-bearing dust are de minimis
(i.e., insignificant), those measures may be excluded from
further consideration as they would not represent RACM for
the area.  The State should evaluate the resulting available
control measures for reasonableness, considering their
technological and economic feasibility in the area to which
the SIP applies.  A-State should consider the feasibility of
implementing measures in part when full implementation would
be infeasible.  The SIP submittal to EPA should contain a
reasoned justification for partial or full rejection of any
available control measures, including those considered or
presented during the State's public review process that
explains, with appropriate documentation, why each rejected
control measure is infeasible or otherwise unreasonable.  If
the SIP demonstrates attainment of the lead national ambient
air quality standards (NAAQS) by the required date then, in
accordance with the discussion below, a State may be able to
demonstrate that available and otherwise feasible control
measures are unreasonable and do not constitute RACM for the
area because they do not expedite attainment.

SIP'S WHICH DEMONSTRATE ATTAINMENT:

The SIP's for lead nonattainment areas that demonstrate
attainment of the NAAQS should include implementation of
available control measures for sources of lead  (including
available control technology for stationary sources of  lead
emissions) to the extent necessary to demonstrate attainment
of the lead NAAQS "as expeditiously  as.practicable" but no
later than-the  applicable statutory  attainment  date.   See
section  192(a)  of the Act.  'Therefore, if a State adopts
less than all available measures but demonstrates,
adequately and  appropriately,  that  (a) reasonable further
progress  (discussed  later) and attainment of  the  standards
is assured,  and (b)  application  of  all such available
measures would  not result in attainment  any faster,  then a
plan which requires  implementation  of  less than all
technologically and  economically available measures  may be
approved.  The  EPA believes  it would be  unreasonable  and,
therefore, would not constitute  RACM (including RACT)  to

-------
     require that a plan which demonstrates attainment include
     all technologically and economically available control
     measures even though such measures would not expedite
     attainment.

Q:   2.   How should States determine reasonably available
          control technology (RACT)?  Must a State evaluate all
          available control measures for every emission point, or
          just those which are necessary to attain and maintain
          the NAAQS?

A:   We would recommend following EPA's historic definition of
     RACT which is the lowest emission limitation that a
     particular source is capable of meeting by the application
     of control technology that is reasonably available
     considering technological and economic feasibility.
     Stationary sources which actually emit a total of 5 tons per
     year of lead or lead compounds measured as elemental lead
     should be the minimum starting point for RACT analysis;
     however, depending on the attainment needs of the area or in
     order to ensure that the area provides for attainment as
     expeditiously as practicable, it may be necessary to
     evaluate whether control technology is reasonably available
     for sources which actually emit less than 5 tons per year of
     lead or lead compounds. -The RACT is a subset of RACM that,
     for example, applies to "existing sources" of lead stack and
     process fugitive emissions and fugitive dust emissions
     (e.g., haul roads, unpaved staging areas) [see section
     172(c)(l)].  Generally, EPA recommends that available
     control technology be applied to those existing sources  in
     the nonattainment area that are reasonable to control in
     light of the attainment needs of the area (see discussion on
     SIP's Which Demonstrate Attainment in Answer 1) and the
     feasibility of such controls.  Specific guidance on the
     evaluation of the technological and economic feasibility of
     RACT is contained in Appendix C4  (RACT Determinations for
     Stationary Sources) of the General Preamble which was signed
     March 27, 1992 by the Administrator.  Although Appendix  C4
     is specific to PM-10, the information contained in Appendix
     C4 logically applies to the RACT determination for lead.

Q:   3.   How should States ensure that the SIP provides for
          reasonable further progress.(RFP), as required by
          section 172(c)(2) of the Clean Air Act?

A:   The EPA recommends that SIP's for lead nonattainment  areas
     provide a detailed compliance schedule for the RACM
     (including RACT) to be implemented in the area and
     accurately indicate the corresponding annual  emission
     reductions to be realized from each milestone  in the
     schedule.  In reviewing the  SIP,  EPA  will determine whether,
     in light of the statutory objective of RFP to  ensure  timely

-------
     attainment of the lead NAAQS, the annual incremenral
     emission reductions to be achieved are reasonable.  See
     section 171(1) of the Act.

Q:   4.   How should States ensure that the SIP provices for
          contingency measures, as required by section 172(c)(9)
          of the Clean Air Act?

A.   Section 172(c)(9) of the CAA defines contingency measures as
     measures in a SIP which are to be implemented if an area
     fails to maintain RFP or fails to attain the NAAQS by the
     applicable attainment date.  Contingency measures become
     effective without further action by the State or the
     Administrator, upon determination by the Administrator that
     the area has failed to (1) maintain reasonable further
     progress or (2) attain the lead NAAQS by the applicable
     statutory deadline.  Contingency measures should consist of
     available control measures that are not included in the
     primary control strategy.

    - Examples of contingency measures for controlling area
     fugitives include paving more roads, stabilizing more
     storage piles, increasing the frequency of street cleaning,
     etc.  Examples of contingency measures for process fugitive
    • emissions include increasing enclosure of buildings,
     increasing air flow in hoods, increasing operation and
     maintenance (0 & M) procedures, etc.  Examples of
     contingency measures for stack sources include reducing
     hours of operations, changing the feed material to lower
     content lead pending the adoption of a revised SIP, and
     reducing the occurrence of malfunctions by increasing O & M
     procedures, etc.

     Please contact Laurie Ostrand at  (919) 541-3277 if you have
any questions regarding  this memorandum.

Attachment

cc:  John Calcagni, AQMD
     Eric Ginsburg, AQMD
     Laura McKelvey,  AQMD
     Rich Ossias,  OGC
     Laurie Ostrand,  AQMD
     Vickie Patton, OGC
     Lydia Wegman,  OAQPS
     Lead Contacts, Region  I-X
     Chief, Air  Branch,  Region  I-X

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REFERENCES FOR SECTION 9.1

-------
                                               CLEAN AIR ACT

                (42 U.S.C. 7401 et seq.. as amended by the Air Quality  Act of 1967. PL 90-148:
           Clean Air Amendments  of 1970, PL 91-604: Technical Amendments to the Clean Air
           Act. PL 92-157: PL 93-15, April 9. 1973: PL 93-319. June 24, 1974: Clean Air Act
           Amendments of 1977, PL 95-95. August 7. 1977: Technical  Amendments to the Clean
           Air ACL PL 95-190. November 16, 1977: Health Services Research. Health Statistics.
           and  Health  Care Technology Act  of 1978. PL 95-623. November 9.  1978: PL 96-209.
           March 14.  1980:  PL 96-300.  July 2.  1980: PL  97-23. July 17,  1981: PL 97-375.
           December 21. 1982: PL  98-45.  July  12.  1983: PL 98-213.  December 8. 1983: PL
           101-549. November 15. 1990)
Title I — Air Pollution Prevention And
               Control

Part  A  —  Air  Quality  and  Emission
              Limitations

     FINDINGS AND PURPOSES
  Sec. 101.(a) The Congress rinds—
  (1) thai the  predominant  part  of the
Nation's copulation is located in its rapia-
ly expanding  metropolitan  and other  ur-
ban  areas,  which  generally cross  tne
boundary lines of local jurisdictions ana
often extenc  into two or more States:
  ill that tne growtn in tne  amount ana
-•omoiexity or air pollution  brought about
DV uroamzauon. inaustnai deveioomcnt.
and the increasing use of motor vehicles.
nas resulted  in mounting dangers  to  the
public health and welfare, including injury
to agricultural crops and livestock, dam-
age to and the deterioration  of property,
and   hazaras   to   air   and   ground
transportation:
  (3) that air pollution prevention (that is.
the reduction or elimination,  througn any
measures, of the amount of pollutants pro-
duced or created  at the source) and  air
pollution  control at its source is the prima-
ry responsibility of Slates  and  local gov-
ernments: ana
[Sec.  101UM3) amended by PL 101-549]
  (-)  that  Federal financial  assistance
and leadership is essential for the develop-
ment of cooperative Federal. State, region-
al,  and  local programs  to prevent and
control air pollution.
  (b) The purposes of tnis title are—
  (1)  to protect and enhance tne  quality
of me Nation's  air resources  so  as  to
promote the public health and welfare and
the productive capacity of its population:
  (2}  to initiate and accelerate a national
research  and  development  program  to
acnieve  the prevention and control of air
pollution:
  (31  to provide tecnmcai anc financial
assistance to State and local governments
in connection witn the  development and
execution of their air pollution prevention
ana control programs: and
  <4)  to encourage  and assist the develop-
ment and ooeration of regional air pollu-
tion prevention and control programs.
[Sec.    101.(b)(4)   amended   by  PL
101-549]
  (c'j  Pollution Prevention. —  A primary
goal of this Act is  to encourage or other-
wise promote reasonable  Federal. State.
and local governmental actions, consistent
with the provisions of this Act. for pollu-
tion prevention.
[Sec.  101.(c) added by PL 101-549]
COOPERATIVE  ACTTVTITES   AND
          UNIFORM LAWS
  Sec.  102.(a) Tne  Administrator snail
sncourage cooperative activities by  the
States and local governments for the pre-
vention and control  of air pollution; en-
courage the enactment of improved ana.
so far as practicable in the light of varying
conditions and needs, uniform State and
local laws relating to the prevention and
control of air pollution: and encourage the
matcing of agreements and compacts be-
tween States for the prevention and con-
trol of air pollution.
  (bl Tne Administrator shall  cooperate
•*itn and encourage  cooperative activities
by ail  Federal departments and agencies
having functions relating  to the prevention
ana control of air pollution, so as to assure
the utilization in the Federal air pollution
control program of all  appropriate  and
available facilities  and  resources  within
the Federal Government.
  (c) The consent of the  Congress is here-
by given to two or more States to negotiate
ana  enter into  agreements or  compacts.
not in  conflict witn  any  law or treaty of
the United States, for (1) cooperative ef-
fort and mutual assistance for the preven-
tion  and control of air pollution and the
enforcement of their respective laws relat-
ing thereto, and (2) the  estaolishment of

-------
REFERENCES FOR SECTION 92

-------
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-------
                                : •'-.•-•-;' Thursday•> :
                                -"••:r.V April 16, 1992 . •-;
                                     Part 111

                                     Environmental
                                     Protection Agency
                                     40 CFR Part 52
                           *=r"      State Implementation Plans; General
                                     Preamble for the Implementation of Title
                                     I of the Clean Air Act Amendments of
                                     1990; Proposed Rule


'It

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REFERENCES FOR SECTION 9.3

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                                                                                                       FEDERAL LAWS
maac unaer this section until the Adminis-
trator has consulted with the appropriate
official as designated by the Governor or
Governors of the State or States affected.
[New Sec. 105(c) added by PL 101-549]

      INTERSTATE AIR QUALITY
     AGENCIES OR COMMISSIONS

   Sec. 106. For the purpose of developing
implementation  plans  for any interstate
air quality control region designated pur-
suant 10 section 107  or of implementing
section  -76A (relating to control of inter-
state air roiiutionl or section 184 (relating
10  control  of interstate ozone ooiiution).
tne adrr.'.nistrator is authorized to pay. for
two years. UD to 100 ocr c:r.tum of the air
duality   canning  program  costs  of any
commission  established  under   section
 176A ir;:aung to  control of interstate air
ooiiution i or section 184 (relating to con-
trol of  :nterstate ozone ooilutioni or any
agency designated by the Governors of the
arfeciec States, which agency snail be ca-
pable o:' recommending to the Governors
plans for imotemcntation  of national pri-
mary zr.o secondary  ambient air quality
standards and shall include representation
 from tne States and  appropriate  political
subdivisions within the  air quality control
 region.  After the initial two-year  period
 the Acnimstrator is authorizsc  to make
grants :o such agency in ar. amount up to
 three-nfths of the  air quality implementa-
tion program costs of such agency or such
commission or commission.
 [Sec. 106 amended by PL 101-549]

  AIR QUALITY CONTROL REGIONS
   Sec.  :07.(a) Each  State shall  have the
 onmarv  rssoonsibiiity  for  assuring air
juaiity •*ithm the entire geogranntc area
 comonsine such State  by submitting  an
 implementation plan  for sucn State wnich
 will soic'.fy the  manner in whicn national
 primary and secondary amoient air qual-
 ity standards will be achieved and main-
 tained  wunin each air  quality control  re-
 gion in such State.
    (b) For purposes of developing and car-
 ryme out implementation plans unoer sec-
 tion  i 10—
    (1) an air quality control region desig-
 nated under this section before ine date of
 enactment of the  Clean Air Amendments
 of 1970. or a region designated after sucn
 date unaer subsection (c). shall be an  air
 aualitv control region: and
  (2) the portion of such State which is
not pan of any  such  designated  region
shall be an air quality control region, but
such portion may be subdivided by the
State into two or  more air quality control
regions   with  the   approval   of   the
Administrator.
  (c) The Administrator shall,  within 90
days after the  date  of enactment of the
Clean  Air  Amendments  of 1970.  after
consultation with  appropriate State  and
local authorities, designate as an air qual-
ity control region any interstate area or
major intrastate area which he deems nec-
essary or appropriate for the attainment
and maintenance  of ambient air quality
standards. The Administrator shall imme-
diately notify the governors of the affected
States of any designation made  under this
subsection.
   (d)(l)(A) Submission By Governors Of
Initial Designations  Following  Promulga-
tion Of New Or Revised Standards. —
By sucn date as  tne Administrator  may
reasonably  require,  but  not later  than  1
year after promulgation of a new  or re-
vised national ambient air quality  stand-
ard for  any pollutant  under section  109.
the Governor of  each State shall (and at
any other time tht  Governor of a  State
deems  appropriate  the  Governor  may)
suomit  to the Administrator a  list of all
areas (or portions thereof) in  the  State,
designating as—
   li) nonattammcnt. any  area  that  does
 not meet (or that contributes to ambient
air quality in a nearoy area that does not
meet) the national  primary or  secondary
ambient  air  quality  standard  for the
 pollutant.
   (ii) attainment, any ares (other tnan an
 area identified in Clause ti)) that meets
 the national primary or secondary ambient
 air quality standard for tne pollutant, or
   (iii) unciassmabic. any area that cannot
 be classified on tne basis of available in-
 formation as meeting or  not meeting the
 national primary or  secondary ambient air
 quality standard for the pollutant.
   The  Administrator may not require the
 Governor to submit  the required list soon-
 er than  120 days after promulgating a new
 or  revised  national ambient air quahty
 standard.
    (B) Promulgation By EPA Of Designa-
 tions. — (i) Upon  promulgation or revi-
 sion of a  national ambient  air  quality
 standard, the Administrator shall oromul-
gate the designations of all areas (or por-
tions  thereof) submitted  under suboara-
graph (A) as expcditiously as practicable.
but in no case later than 2 yean from the
date of promulgation of the new or revised
national ambient air quality standard.
Such period may be extended for UD to one
year in  the event the Administrator has
insufficient information to promulgate tne
designations.
   (ii)  In making the promulgations  re-
quired under clause  li), the Administrator
may make such modifications as the Ad-
ministrator  deems necessary to the desig-
nations of the areas (or portions thereon
submitted  under  subcaragrapn tA)  (in-
cluding to the boundaries of such areas or
portions thereof).  Whenever  the Adminis-
trator intends to make a modification,  tne
Administrator  shall notify the State and
provide such State with an opportunity to
demonstrate why  any proposed modifica-
tion is  inappropriate. The Administrator
shall give such notification no later tnan
 120 days before the date the Administra-
tor promulgates the designation, including
any modification thereto. If the Governor
fails to submit the list in whole or in pan.
as required under subparagraph (A),  the
Administrator shall promulgate tne desig-
nation  that the Administrator oeems  ap-
propriate for any area (or portion thereof)
 not designated by the State.
   (iii) If the Governor of any State, on the
Governor's  own motion, under  subpara-
graph  (A),  submits a  list  of areas  (or
 portions thereof)  in the State designated
 as nonauainment. attainment,  or unciassi-
 fiable. the Administrator shall  ac: on such
 designations in accordance with the proce-
 dures under  paragrapn  (3)  (re:aung to
 rcdesignationi.
   (iv)  A designation for an  area  tor por-
 tion thereof) made pursuant to tnis subsec-
 tion shall remain in effect until the area
 (or portion  thereof) is rcdesignated pursu-
 ant to paragraph  (3) or  (4).
   (C) Designations By Operation of Law.
 — (i) Any  area designated with resDcc: to
 any air pollutant under the provisions of
 paragraph (I )(A), (B). or (C) of this sui>
 section  (as  in  effect immediately before
 the date of the enactment of the Clean Air
 Act Amendments of 1990)  is designated.
 by operation of law. as  a nonattamment
 area for such pollutant within the meaning
 of subparagrapn (A)(i)

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CLSAN AIR ACT
  (ii) Any area designated with rcsoect to
uny air poiiutam unaer the provisions of
paragraph (1 ME) (as in effect immediate-
ly before the dale of the enactment of the
Clean.Air  Act Amendments of 1990) is
designated by operation of law. as an at-
tainment area for  sucn pollutant within'
the meaning of subparagrapn (A)(ii).
  (iii) Any area designated with respect to
any  air pollutant under the provisions of
paragraph (1)(D) (as in effect immediate-
ly before the date of the enactment of the
Clean Air Act Amendments of 1990) is
designated, by operation of law, as  an
unciassinable  area for such pollutant  with-
in the meaning of subparagraph (AHiii'i.
   (2) Publication  Of Designations  And
Redesignations. —  (A) The Administrator
shall publish a notice in the Federal Regis-
ter  promulgating any  assignation unaer
paragrapn (1) or (51. or announcing any
designation unaer  paragrapn (4), or pro-
mulgating any reaesignauon under  para-
grapn (3).
   (B) Promulgation or announcement of a
designation unaer  paragraph  (1), (4) or
 (5) shall not be subject to the provisions of
sections 553 through 55" of title 5 of the
 United States Code (relating to notice and
comment), except  nothing herein  shall be
 construed as precluding sucn oubiic none:
 and comment whenever possible.
   (3) Redesignation. — (A)  Subject to
 the  reauiremcnis  of suboaragraph (E).
 and  on the basis of air quality data, plan-
 ning  and  control  considerations, or  any
 other air qualuy-reiatco considerations tne
 Administrator deems appropriate, the Ad-
 ministrator  may at any time notify the
 Governor of any State mat available infor-
 mation  indicates mat  me  designation of
 any area or portion of an  area within the
 Siate or interstate area should be revised.
.in issuine sucn notification, wnich shall be
 puoiic. to tne Governor, the Administrator
 shall provide such information as tne Ad-
  ministrator may have avaiiaoie exoiaimng
 the basis for  the notice.
    (B) No later than 120 days  after receiv-
  ing  a  notification  under  suoparagraph
  (A), the  Governor shall suomit to the
  Administrator such redesignation. if any,
  of the approonate area (or  areas) or por-
  tion thereof  within the State or interstate
  area.   as   the   Governor   considers
  appropriate.
    (C) No later than  120 days after the
  date described  in suooaragraph (B) (or
paragraph (l)(B)(iii)), the Administrator
shall promulgate the reaesignauon. if any.
of the area or portion thereof, submitted
by the Governor in accordance with sub-
paragraph (B), making such modifications
as the Administrator may deem necessary,
in the same manner and under the same
procedure as  is applicable under clause
(ii) of paragraph (1)(B),  except that the
phrase '60 days'  shall be substituted for
the phrase '120 days'  in that clause. If the
Governor does not  submit, in accordance
with  subparagraph (B),  a redesignation
for an area  (or portion thereof) identified
by the Administrator  under subparagraph
(A),  the Administrator shall promulgate
such  redesignation. if any, that  the Ad-
ministrator deems appropriate.
   (D) The Governor of any State may, on
the Governor's own motion, submit to the
Administrator a revised designation of any
area  or portion tnereof within the State.
 Within 18 montns of  receim of a complete
 State redesignation suomittai. the Admin-
 istrator shall  approve or  aeny such rede-
 signation. The suomission of a reaesigna-
 uon  by  a Governor  shall not affect tne
 effectiveness or enforceabiiity of the appli-
 cable implementation plan for the State.
   (E) The Administrator may not promul-
 gate a redesignation  of a  nonattainmcm
 area (or portion tnereof)  to  attainment
 unless—
   (i) the  Administrator determines that
 tne area has attained the national ambient
 air quality standarc:
   (ii) the  Administrator  has fully  ap-
 oroved the applicable implementation plan
 for the area under section 110.(k);
   (iii) the  Administrator  determines that
 the  improvement in  air quality  is due to
 permanent and  enforceable reductions in
 emissions resulting  from imDiementation
 of the applicable imDiementauon pian anc
 applicable  Federal  air pollutant  control
 regulations and  otncr permanent and en-
 forceable reductions:
    (iv) the  Administrator has  fully  ap-
 proved a maintenance pian for the area as
 meeting the requirements of section 175A:
 and
    (v) the State containing such  area has
  met all requirements  applicable to the
 area under section 110 and pan D.
    (F) The Administrator shall  not pro-
  mulgate any redesignation of any area (or
  portion  thereof)  from  nonattainment to
  unciassiriable.
  (4)  Nonattainment  Designations  For
Ozone. Carbon Monoxide And Paniculate
Matter (PM-10).—

  "(A) Ozone And Carbon Monoxide. —
(i) Within 120 days  after the date of the
enactment of the Clean Air  Act Amend-
ments of  1990. each  Governor of each
State shall submit to the Administrator a
list that designates, affirms  or reaffirms
the designation of. or redesignatcs (as the
case may be), all areas (or portions there-
of) of the Governor's State as attainment.
nonattainment. or unciassinable with re-
spect to the national ambient air quality
standards for ozone and carbon monoxide.

   (ii) No later than  120 days after the
date  tne Governor is  required to submit
the  list  of areas  (or ponions thereof) re-
quired  under  clause ti) of  this suooara-
grapn. the Administrator snail promulgate
such designations, making such modifica-
tions as  the Administrator may deem nec-
essary, in the same manner, and under the
same procedure,  as is  applicable  unaer
clause  (ii) of paragraph (1)(B). exceot
that tne phrase '60  days' shall be substi-
 tuted for  the  phrase '120  days' in that
clause. If the Governor docs  not submit, in
 accordance with clause (i) of ibis subpara-
 grapn. a designation for  an  area (or por-
 tion thereof), the Administrator snail pro-
 mulgate   the   designation   that   the
 Administrator deems approonate.
   (iii)   No nonattainment  area  may be
 redesianated as an attainment area under
 this subparagraph.
   (iv)   Notwithstanding   paragraph  (1)
 (C)(ii)  of this subsection, if an ozone or
 caroon  monoxide nonattainment area io-
 catea  within  a  metropolitan statistical
 area or consoiidated meirorxjiitan statisti-
 cal area tas estaDiisheo by  the Bureau of
 the Census) is classified unaer pan D  of
 this title as a Senous. Severe, or Extreme
 Area,  the boundanes of such area ar;
 hereby  revised (on  the date 45 days after
 such classification)  by operation of law  tc
 include the entire metropolitan statistic::
 area or consolidated metropolitan statisti-
 cal area, as the case may be. unless witmr.
 such 45-day period the Governor (in cor-
 suitation with State and local air poiiuuor.
 control acencies) notifies the Administra-
 tor  that  additional  time is necessary  tc
 evaluate  the  application  of clause (vi.
 Whenever a Governor has submitted sue:
 a nodes to the Administrator, suca bounc-

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                                                                                                        FEDERAL LAWS
ary revision shall occur on ihc later of the
date 8 months after sucn classification or
14 montns after the date of the enactment
of the Clean Air Act Amendments of 1990
unless the Governor makes  the  finding
referred to in clause (v), and the Adminis-
trator concurs in such finding, within such
period.  Except as  otherwise  provided in
this paragraph, a boundary revision under
this  clause or clause (v) shall appiy for
purposes of any State implementation plan
revision required to be submitted after the
date of the enactment  of  the Clean Air
 Act Amendments of 1990.
  (v) Whenever the Governor of a  State
has suomitted a notice  under Clause liv).
:he Governor, in consultation with  State
ana  local  air pollution  control  agencies.
snail undertake a study to evaluate wneth-
er :ne :nurc metropolitan  statistical area
or  consolidated  metropolitan statistical
.irea snouid be included  within the nonat-
tamment  area.  Whenever  a  Governor
 nnas ano demonstrates  to tn= satisfaction
of tne Administrator, and the Administra-
 tor concurs in such finding,  mat with re-
spcct to a oortion of a metropolitan statis-
tical  area or  consolidated  metroooiitan
statistical area,  sources  in the portion do
 not contribute significantly to violation of
 tne national ambient air quaiity standard.
 the Administrator shall  approve the Gov-
 ernor's  reauest  to  exclude  sucn  portion
 from'tne nonattamment area. In  making
 sucn rinding,  the Governor  and tns Ad-
 ministrator snail consider factors sucn as
 population  density, traffic  congestion.
commercial deveiopment. industrial devel-
opment,  meteorological conditions, and
 pollution transport.
   (B1 PM-10  designations.  — By oper-
ation of :aw. until redesignation by tne
 Administrator   pursuant  to  oaragrapn
 •,:<)—
   (i) eacn area  identified in 51  Federal
 Register 29383 (Aug. 7, 19871 as a Group
 1  area  (except  to  the  extent tnat such
 identification was modified by the Admin-
 istrator oeforc the  date  of the enactment
 of  the  Clean  Air  Act Amendments  of
 1990)  is  designated  nonattainmcnt  for
 PM-10:
   (ii) any area containing a site for which
 air quaiity monitoring data show  a viola-
 tion of the national ambient air quality
 standard  for  PM-10 before January  1,
 1989 (as determined under pan 50. appen-
 dix  K of title 40 of the Code of  Federal
Regulations)  is hereby designated nonai-
tamment for PM-10: and
  (iii)  each area not  described in clause
(i) or (ii) is hereby designated unclassina-
ble  for PM-10.
  Any designation for paniculate matter
(measured  in terms  of  total suspended
particuiatesl  that the Administrator pro-
mulgated pursuant  to this subsection (as
in effect immediately before the date of
the  enactment  of  the  Clean  Air Act
Amendments of 19901 shall remain in ef-
fect for purposes  of implementing  the
maximum  allowable increases in concen-
trations of parucuiate matter (measured
in terms of total susoended  particuiates)
pursuant to section 163(b), until the Ad-
ministrator determines that sucn designa-
tion is  no  longer   necessary  for  tnat
purpose.
  (5) Designations  for Lead. — The Ad-
ministrator may, in  tne  Administrator's
discretion  at any time tne Aamimstrator
deems appropriate,  reauire a State to des-
ignate  areas  tor portions  tnereofi  wun
resoect to the national amoient air quality
standard for lead in effect as of the date of
the  enactment  of the  Clean  Air  Act
Amendments of 1990. in accordance with
the  procedures under suoparagrapns (A)
and (B1 of paragrapn U). except tnat in
applying  suboaragraon  iBKi)  of para-
graph  (1)  the pnrase 'I  years  from tne
date of promulgation of tne new or revised
national ambient  air quality  standard'
shall be replaced by tne  pnrase  '1 year
from trie date tne  Administrator notifies
the  State of the requirement to designate
areas  with respect  to me  standard for
lead'.
[Sec. 107(d) revised by PL 101-549] •'

AIR  QUALITY  CRITERIA  AND
       CONTROL TECHNIQUES

   Sec. i08.(a)(l) For tne purcose of es-
tablishing  national primary and secondary
amoient air quaiity standards, the Admin-
istrator snail within 30 aays after tne date
of  enactment of the Clean Air Amend-
ments  of  1970 publisn.  and shall  from
time to time thereafter revise, a hst which
includes each air pollutant—
   (A) emissions of which, in his judgment.
cause  or contribute to air pollution which
may reasonably be anticipated  to endan-
ger public health or welfare:
   [PL 95-95. August 7.  1977]
  (B) the presence of which in the ambi-
ent air  results  from numerous or diverse
mobile or stationary sources: and
  (C)  for which air quaiity criteria had
not been issued before the date of enact-
ment of the Clean Air  Amendments of
1970, but for which he plans to  issue air
quality criteria under this section.
  (2) The  Aministrator shall  issue  air
quality criteria for an air pollutant within
12  months  after  he has  included such
pollutant  in  a  list under paragraph (1).
Air  quaiity criteria for  an  air pollutant
shall accurately reflect the latest scientific
knowledge useful  in indicating  the  kind
and extent  of  all  identifiable effects on
puoiic hcaitn or  welfare  wnich may DC
expected from  the presence of sucn pollu-
tant in the ambient air. in varying quanti-
ties. The criteria  for an air pollutant, to
the extent practicable, snail  include infor-
mation on—
   (A)  those vanaoie factors iinciuoine
jtmosoneric  conditions i  whicn of  them-
seives or in combination with otner factors
may aiter tne  effects on pubiic health or
welfare of such air pollutant:
   (81  the types of air pollutants  which.
when present in tne atmospnerc. may in-
teract with such pollutant to produce an
adverse effec: on puoiic heaitn or welfare:
and
   (Q any known  or anticipated adverse
effects on welfare.
   (b)(l) Simultaneously with the issuance
of criteria under  suosection (a), the Ad-
ministrator shall,  after consultation wun
appropriate advisory committees and Fed-
eral departments and agencies, issue to tne
States and  appropriate air pollution con-
trol agencies information on air pollution
control  tecnnmues. wnicn  information
snail include data relating to tne  cost of
installation ano operation, energy require-
ments, emission  reduction  benefits,  ana
environmental  impact of the emission con-
trol technology. Sucn  information  snail
include such data as are avanaoic on avail-
able technology ana alternative metnoos
of prevention and control of air  pollution.
Such information snail  also include data
on alternative fuels, processes, and operat-
ing mctnods which will  result in elimina-
 tion or significant reduction  of emissions.
   (2)  In order  to assist in the development
of information  on pollution control tecn-
 niducs. the Administrator may establish a
standing consulting committee for eacn air

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1,
     0°
              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                   Office of Air Quality Planning and Standards
                  Research Triangle Park, North Carolina 2771 1
                             MAY 8 1 1991
  MEMORANDUM
  SUBJECT:
  FROM:
  TO:
Lead Nonattaimnent Area State  Implementation  Plan (SIP)
Guidance:  Final Staff Work,

John Calcagni, Direct
Air Quality Managemen
Director, Air, Pesticides,  and
  Division, Regions  I,  IV,  VI
Director, Air and Waste Management  Division
  Recion II
Director, Air Management  Division
  Re< ions III and IX
Diret tor, Air and Radiation Division
  Rec ion V
Direc tor, Air and Toxics  Division
  Re ions VII, VIII,  X
nagement
       The 1990 Amendments to the Clean Air Act  (Pub. L.  No.  101-
  549, 104 Stat. 2399) provide legal authority for  EPA  to designate
  areas as nonattainment, attainment, or unclassifiable for the
  lead national Ambient air quality standard  (NAAQS)  in effect as
  of the date of enactment, of the Amendments  [see section 107(d)(5)
  of the amended Act].  Any State having an area designated as
  nonattainment for lead under this provision must  submit a State
  implementation plan (SIP) for the area in accordance  with the
  applicable provisions of Subparts 1 and  5 of Part D of Title I of
  the amended Act.  For example, section 191(a)  of  the  amended Act
  provides that States containing areas designated  nonattainment
  for the lead NAAQS in effect on the date of enactment of the
  Amendments must submit SIP's for these areas within 18 months  of
  the nonattainment designation.

       The purpose of this memorandum is to  (1)  provide an overview
  of the statutory requirements for the lead  NAAQS  that are  set
  forth in the Clean Air Act as recently amended (e.g.
  designations, classifications, SIP submittal dates, and
  attainment dates);  (2) provide a general discussion of activities

-------
(e.g., emission inventories, modeling, etc.) that States should
be undertaking to prepare for the SlP's which will be due within
18 months of nonattainment designation (specific control
strategies and how to evaluate them are not provided in this
memorandum for several reasons which will be discussed below);
and (3) provide a discussion of transition issues that have
arisen as a result of the Amendments to the Act.

     The Act contains provisions which address the lead NAAQS in
effect on the date of enactment of the Amendments as well as any
new or revised NAAQS which are promulgated subsequent to the date
of enactment of the Amendments.  This lead guidance document only
addresses the statutory requirements insofar as they are applied
to the lead NAAQS in effect on the date of enactment of the
Amendments.  Some of the requirements applicable under a revised
lead NAAQS may differ from the requirements for the lead NAAQS in
effect on the date of enactment of the Amendments.  When and if a
revised NAAQS is proposed, EPA will discuss the applicable
statutory requirements.  However, it is important to note that
the existing lead NAAQS and associated requirements remain in
effect until they are finally changed, i.e., a revised lead NAAQS
is finally promulgated and any new requirements supersede those
that existed before.

     In this guidance document we have chosen to provide a
general discussion of pre-SIP submittal activities and not a
detailed discussion of the SIP requirements for several reasons.
First, it is not compelling to elaborate on SIP requirements when
no areas have yet been designated.  Second, EPA is in the process
of revising the lead control techniques document.  Third, EPA is
conducting further technical work in support of potential
revisions to the lead NAAQS.  These considerations do not obviate
the legal obligation to submit SIP's and demonstrate attainment
of the existing lead NAAQS within the statutorily-mandated
timeframes.  Later this year, EPA will prepare additional
information which provides detailed guidance for the remaining
SIP requirements applicable to those areas designated
nonattainment for the lead NAAQS in effect on the date of
enactment of the Amendments.

     Additionally, prior to enactment of the Amendments, EPA
handled violations of the lead NAAQS in a different manner.  That
is, States having areas which violated the lead NAAQS were issued
SIP calls which required States to revise SIP's in accordance
with section 110 of the Act.  The Amendments, however, provide
EPA the authority to designate as nonattainment those areas which
violate the lead NAAQS.  Once an area is designated as
nonattainment, a State is required to submit a "Part D" SIP  (i.e.
a SIP meeting the applicable requirements of Part D of Title I of
the amended Act).  Because several States have outstanding SIP

-------
calls and because EPA is in the process of designating these SIP
call areas to nonattainment, it is necessary to discuss
transition issues.

     Finally, note that this lead guidance document does not
establish or affect legal rights or obligations.  It does not
establish a binding norm and is not finally determinative of the
issues addressed.  Agency decisions in any particular case will
be made applying the applicable law and regulations to the
specific facts of that case.  In any proceeding in which the
policy articulated in this document may be applied, the Agency
will thoroughly consider-the policy's applicability to the facts,
the underlying validity of the policy, and whether changes should
be made in the policy based on submissions made by any person.

Statutory Background

     Designations

     In 1978, when EPA promulgated the lead NAAQS, the Agency
believed that implementation and maintenance of the lead NAAQS
should be in accordance with the SIP requirements set forth in
section 110 and rot Part D.  The Agency believed that section
107—and the Part D requirements—were intended by Congress to
apply only to NA^QS which were set prior to 1977.  In these
cases, SIP's had already been adopted, the attainment dates had
already passed, end the SIP's had proven to be inadequate.  The
designation process was intended as a mechanism to initiate new
SIP revisions for those existing NAAQS.  Since the attainment
date for the lead NAAQS at that time had not yet arrived, no lead
SIP's had yet been proven inadequate.  Consequently, lead did not
meet the circumstances which initially resulted in a need for
nonattainment designations and plan revisions under Part D.

     The Act, as amended, clearly defines EPA's authority to
designate areas for lead.  Section 107(d)(5) authorizes EPA to
require States to designate areas  (or portions thereof) as
nonattainraent, attainment or unclassifiable with respect to the
lead NAAQS in effect as of the date of enactment of the
Amendments.1  As provided in section  107(d)(5), these  lead areas
are to be designated pursuant to the  procedures outlined in
      •'•Section  107(d)(5)  of  the  amended  Act  does  not  indicate  that
 all areas of the  State must be  designated.   At this  time,  EPA has
 only  requested that  specified areas  within  affected  States be
 designated.  Therefore,  most States  and the vast majority  of  the
 areas within affected States will  still have no  designations,
 i.e., will not be designated as attainment,  nonattainment, or
 unclassifiable for lead.

-------
sections 107(d)(l)(A) and (B) except that certain timeframes of
subparagraph (B) have been modified by section 107(d)(5).
Section 107(d)(l)(A) permits EPA to require the Governors  of
affected States to submit recommended designations for the areas
EPA seeks designated in a timeframe that EPA deems reasonable.
This timeframe, however, can be no sooner than 120 days nor later
than 1 year after the date EPA notifies the State of the
requirement to submit such designations.  Section 107(d)(1)(B)
requires that EPA must then promulgate these designations  no
later than 1 year after notifying the State of the requirement to
designate areas for lead.  The EPA may make any modifications
deemed necessary to the areas submitted by the State [see
generally section 107(d)(l)(B) of the amended Act].  However, no
later than 120 days before promulgating a modified area, EPA must
notify the affected State and provide an opportunity for the
State to demonstrate why any proposed modification is
inappropriate.  If the Governor of an affected State fails to
submit the required lead designations, in whole or in part, EPA
is required to promulgate the designation that it deems
appropriate for any area (or portion thereof) not designated by
the State.

     Area Boundaries

     States should identify the boundaries of the nonattainment
areas when submitting nonattainment designations for lead.
Generally, a lead nonattainment area consists of that area wnich
does not meet  (or that contributes to ambient air quality in a
nearby area that does not meet) the lead NAAQS.  Consequently,
EPA recommends that the lead nonattainment boundary be defined by
the county perimeter for the county in which the ambient lead
monitor(s) recording the violation is located.  In addition, if
the ambient monitor measuring violations is located near another
county, then EPA recommends that the other county also be
designated as nonattainment for lead.  In some situations,
however, a boundary other than the county perimeter may be
appropriate.  States may choose alternatively to define the lead
nonattainment boundary by using any one, or a combination, of the
following techniques:   (1) qualitative analysis, (2) spatial
interpolation of air monitoring data, or (3) air quality
simulation by dispersion modeling.  These techniques are more
fully described in "Procedures for Estimating Probability of
Nonattainment of a PM-10 NAAQS Using Total Suspended Particulate
or PM-10 Data," EPA-450/4-86-017, December 1986.  When submitting
a recommended lead nonattainment boundary, EPA recommends that
the State submit a defensible rationale for the boundary chosen
with the Governor's request to designate the area.

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     Classification2

     Section 172(a)(l)(A) of the amended Act allows EPA to
classify areas designated as nonattainment for the purposes of
applying an attainment date pursuant to section 172(a)(2)  or for
other reasons.  In determining the appropriate classification,
EPA may consider such factors as the severity of the
nonattainment problem and the availability and feasibility of the
pollution control measures [see section 172(a)(l)(A) of the
amended Act].  The EPA may, but is not required to, classify lead
nonattainment areas.  At this time, EPA does not intend to
classify lead nonattainment areas with respect to the lead NAAQS
in effect on date of enactment of the Amendments because there
appears to be little benefit.  That is, section 172(a)(l)(A)
provides a mechanism to classify nonattainment areas.  However,
section 172(a)(2)(D) provides that the extensions described in
section 172(a)(2)(A) do not apply to nonattainment areas having
specified attainment dates under other provisions of Part D.
Section 192(a) specifically provides an attainment date for areas
designated as nonattainment for the lead NAAQS in effect at the
date of enactment of the Act.  Therefore, EPA has legal authority
to classify lead nonattainment areas, but the 5-year attainment
date under section 192(a) cannot be extended pursuant to section
172(a)(2)(D).

     Plan Submission

     Generally, the date by which a plan must be submitted for an
area is triggered by the promulgation date of the area's
nonattainment designation.  For areas designated nonattainment
for the primary lead NAAQS in effect on the date of enactment of
the Amendments, States must submit SIP's which meet the
applicable requirements of Part D of the Act within 18 months of
an area's nonattainment designation [see section 191(a) of the
amended Act].

     Attainment Dates

     Generally, the date by which an area must attain the  lead
NAAQS also is triggered by the promulgation date of the area's
nonattainment designation.  For areas designated nonattainment
     2It is important to note that classifications and
designations are separate concepts.  Designations refer to the
attainment status of an area, i.e., attainment, nonattainment,
or unclassifiable.  Classifications apply to areas designated
nonattainment and are a mechanism for addressing differences
among nonattainment areas.  For example, classifications usually
result in applying additional control measures and providing
longer attainment deadlines for those areas having more serious
nonattainment problems.

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for the primary lead NAAQS in effect on the date of enactment of
the Amendments, SIP's must provide for attainment of the lead
NAAQS as expeditiously as practicable but no later than 5 years
from the date of an area's nonattainment designation [see section
192(a) of the amended Act].

Pre-SIP Submittal Activities

     As discussed above, any States containing an area designated
as nonattainment with respect to the lead NAAQS in effect on the
date of enactment of the Amendments must develop and submit a
Part D SIP providing for attainment.  Most of the general Part D
nonattainment plan provisions are set forth in section 172(c).
The SIP's submitted to meet the Part D requirements must, among
other things, include reasonably available control measures
(RACM) [including reasonably available control technology
(RACT)], provide for reasonable further progress (RFP), and
specify contingency measures.  As mentioned earlier, at this time
EPA is not prepared to address in detail the RACM, RFP,
contingency measures, and other Part D lead SIP requirements.
The EPA recommends, however, that States continue to collect
information and data necessary to complete SIP analyses.  A
listing of some of the SIP activities States should be completing
is described below.  As mentioned, EPA will provide more detailed
guidance on the Part D lead SIP requirements later this year.

     Nonattainment New Source Review (HSR1)

     Previously, areas that were not attaining the lead NAAQS
were not designated as nonattainment and therefore were not
required to have a nonattainment NSR program consistent with
section 173 of the Act.  However, "now that there will be areas
designated nonattainment for lead, a nonattainment NSR program is
required for such areas.  Specifically, section 172(c)(5)
provides that States having areas designated nonattainment for
lead submit as part of the applicable SIP, provisions requiring
permits for the construction and operation of new or modified
major stationary sources anywhere in the nonattainment area,  in
accordance with section 173.  Further guidance is provided in the
March 11, 1991 memorandum from John Seitz, entitled "New Source
Review (NSR) Program Transitional Guidance to Implement the Clean
Air Act Amendment Changes that Affect NSR" which is attached.
Among other things, this guidance document addresses the interim
NSR requirements applicable to an area upon its designation as
nonattainment for lead but before the amended law provides for
submittal of its NSR program.  The EPA generally recommends that
States evaluate their existing rules to determine whether there
are any impediments to implementing a nonattainment NSR program
in the areas designated as nonattainment for lead.

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     Emission Inventories

     Determining the nature and extent of specific control
strategies needed requires an emissions inventory.  Emissions
inventories should be based on measured emissions or documented
emission factors.  The more comprehensive and accurate the
inventory, the more effective the control evaluation [see section
172(c)(3) of the amended Act which specifies that nonattainment
area SIP's include "a comprehensive, accurate, current inventory
of actual emissions from all sources of the relevant pollutant or
pollutants in such area . . ."]•  The States should begin to
evaluate the type of emissions inventory that needs to be
developed and the type of information that needs to be collected
to support a SIP submittal.  Postponing completion of the
emissions inventory could jeopardize the submittal of the lead
SIP within the statutorily-mandated deadlines.

     The following documents provide further information for lead
emissions inventory development:  Draft Manual "Updated
Information on Approval and Promulgation of Lead Implementation
Plans," EPA, July 1983; "Guideline Series, Development of an
Example Control strategy for Lead," EPA-450/2-79-002, April 1979;
and "Guideline Scries, Supplementary Guideline for Lead
Implementation Plans," EPA-450/2-78-038, August 1978.

     Modeling an<  Meteorological Monitoring

     The lead SIl regulations at 40 CFR 51.117 require that
atmospheric dispc rsion modeling be employed for the demonstration
of attainment for areas in the vicinity of point sources listed
in 40 CFR 51.117(a)(I)3.  To complete the necessary dispersion
modeling, meteorological and other data will be necessary.  At
this time, States should be evaluating whether the necessary
meteorological data are available and, if not, determine what
needs to be done to obtain these data.  Dispersion modeling
should follow the procedures outlined in the "Guideline On Air
Quality Models (Revised)," EPA-450/2-78-027R.  The "Guideline"
      Generally, in addition to meeting applicable requirements
under Part D of Title I of the amended Act, SIPs for those areas
designated nonattainment for lead must also meet the applicable
regulatory requirements set forth in 40 CFR Part 51 except to the
extent those requirements are inconsistent with the amended Act.
The Clean Air Act Amendments of 1990 include a General Savings
Clause which provides that regulations (or guidance, etc.) in
effect before the enactment of the Amendments shall remain in
effect after enactment [see section 193].  However, the Savings
Clause also provides that such regulations (or guidance, etc.)
shall remain in effect "except to the extent otherwise provided
under this Act, inconsistent with any provisions of this Act, or
revised by the Administrator."  Id.

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                                8

indicates that if on-site meteorological stations are used, 12
months of data are required.  Postponing the decision to
determine whether on-site stations need to be established could
jeopardize the submittal of the lead SIP within the statutorily-
mandated deadlines.

     Control Measures

     As indicated above, EPA is not prepared to fully discuss the
RACK measures recommended for lead SIP's.  However, EPA
recommends that States focus their efforts now on preliminary
engineering evaluations of sources.  These efforts should include
an assessment of operation and maintenance (O & M) and work
practice measures.  In addition. State efforts should identify
and analyze control measures which reduce process fugitive and
lead-bearing open dust emission sources.  These evaluations
should consider the technological feasibility of additional
control measures as well as the cost of the identified options.

Transition Issues

     Transition from Pre-amended Law

     As mentioned, under the pre-amended law there were no
designations for lead and States were required to submit SIP's in
accordance with section 110.  The amended law, as discussed, now
authorizes EPA to designate areas for lead.  There are
transitional issues raised by the changes in the new law
including, for example, the status of the obligation to submit
adequate section 110 SIP's under the pre-amended law and the
status of any approved section 110 SIP's.

     Unapproved or Inadequate Section 110 SIP's

     Before enactment of the 1990 Amendments, a State may have
failed to submit a section 110 SIP to EPA, it may have submitted
a section 110 SIP which was not approved by EPA, or it may have
submitted and had approved a section 110 SIP which EPA
subsequently found substantially inadequate.  The last situation
is true of at least three States.  Specifically, prior to the
enactment of the Amendments, EPA issued SIP calls for three
States having substantially inadequate section 110 SIP's.
Section 110(n)(2) requires these States to continue their section
110 planning in accordance with the SIP calls (or, as the case
may be, in response to EPA's 1978 promulgation of the quarterly
1.5 Mg/ro  lead standard) and to attain the NAAQS by specified
dates.

     As explained above, EPA has also initiated the process to
designate areas in several States (including those that received
SIP calls) as nonattainment for the existing lead NAAQS pursuant
to section 107(d)(5).  Any area in these States that is

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designated nonattainment under the new law for the existing lead
NAAQS must submit a Part D SIP that comports with the applicable
requirements in Subpart 1 and Subpart 5.  The SIP submittal
deadlines and attainment dates in sections 191 and 192 of Subpart
5 would then be operative, replacing the dates in section
110(n)(2).  For example, section 192(a) provides that attainment
of the lead primary standard shall be "as expeditiously as
practicable but no later than 5 years from the date of the
nonattainment designation."

     The EPA intends to ensure that a State whose SIP needed
correction under the pre-amended law and that expects to have an
area designated as nonattainment under the new law, continues to
progress with its plan development for that area as provided in
section 110(n)(2).  Once areas are designated nonattainment for
the existing lead NAAQS (later this year), the State must
complete a SIP providing for attainment by the date that is as
expeditious as "practicable" for any such newly-designated
nonattainment area.  In reviewing any future SIP's under sections
191 and 192, EPA will consider what progress could reasonably
have been accomplished both prior to enactment of the new law and
after enactment but before the area was designated nonattainment.

     Approved section 110 SIP's

     In the situation where a State submitted and EPA approved or
promulgated a section 110 lead SIP pre-enactroent, then all
provisions of such SIP shall remain in effect unless and until
EPA approves a revision under the newly-amended law  [see section
     Please contact Laurie Ostrand at FTS 629-3277 if you have
any questions regarding this guidance document.

Attachment

cc:  Denise Devoe
     Bruce Jordan
     Bill Laxton
     John Rasnic
     John Seitz
     Chief, Air Branch, Regions  I-X

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0 **'->
             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                   Office of Air Quality Planning and Standards
                  Research Triangle Park, North Carolina 2771 1
                             MAR II !99i
  MEMORANDUM
  SUBJECT:   New Source Review (KSRJ_Prqcam Transitional Guidance
  FROM:    -John S.  Seitz,
         P (Office of Air Quality Planning anJrvstandards (MD-10)
         V
  TO:        Addressees


       The Clean Air Act Amendments of 1990 (1990 Amendments) make
  numerous changes to the NSR requirements of the prevention of
  significant deterioration (PSD) and nonattainment area programs.
  The  1990 Amendments create new and expanded nonattainment areas,
  extend PSD coverage to current Class I area boundaries, and
  mandate a  PSD exemption for certain hazardous air pollutants.
  The  Environmental Protection Agency (EPA) intends to propose by
  September  of this year a regulatory package that will implement
  these  and  other changes to the NSR provisions.  Final adoption of
  these  revised regulations is projected for August 1992.  In the
  interim period between passage of the 1990 Amendments and
  adoption of the Agency's final regulations, EPA expects that
  numerous issues regarding the 1990 Amendments will arise.  This
  memorandum sets forth ehe Agency's position on the most important
  of these transitional issues involving the NSR program.

       This  guidance document does not supersede existing State
  regulations or approved State implementation plans.  However, in
  some cases, it calls upon States to implement their NSR programs
  in a manner consistent with provisions of the 1990 Amendments
  that are applicable immediately and with the requirements that
  flow directly from these provisions.  Nonetheless, the policies
  set  out in this transition memorandum are intended solely as
  guidance and do not represent final Agency action.  They are not
  ripe for  judicial review for this reason.  Moreover, they are not
  intended,  nor can they be relied upon, to create any rights
  enforceable by any party in litigation with the United States.
  The  EPA officials may decide to follow the guidance provided in
  this memorandum, or to act at variance with the guidance, based
  on an  analysis of specific circumstances.  The Agency *also may
  change this guidance at any time without public notice.

       The Regional Offices should send this guidance document to
  their  States.  Questions from States and applicants concerning
  specific  issues and cases should be directed to the appropriate
  EPA  Regional Office.  If you have any general questions, please
  contact Mr. Michael Sewell of the New Source Review Section at
  FTS  629-0873 or (919) 541-0873.

  Attachment

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Addressees
Director, Air, Pesticides, and Toxics Management Division,
  Regions I, IV, and VI
Director, Air and Waste Management Division, Region II
Director, Air Management Division, Regions III and IX
Director, Air and Radiation Division, Region V
Director, Air and Toxics Division, Regions VII, VIII, and X

cc:  J. Calcagni
     R. Campbell
     W. Laxton
     E. Lillis
     J. Rasnic
     L. Wegman
     J. Weigold
     NSR Contacts

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          Mew Source Review (NSR) Transitional Guidance
Toxics and National Emissions Standards for Hazardous Ai
Pollutants rNESHAPS^ Issues
1.   Section 112 Hazardous Air Pollutants are No Longer
     Considered Regulated Pollutants Under Prevention of
     Significant Deterioration (PSD), but NESHAPS Still Apply

          Under the 1977 Amendments to the Clean Air Act (Act)
     and regulations issued thereunder, the PSD requirements of
     the Act apply to all "major" new sources and "major"
     modifications, i.e., those exceeding certain annual tonnage
     thresholds [see 40 CFR 52.21(b)(1)(i) and (b)(2)(i)].
     Typically, new sources and modifications become subject to
     PSD because they exceed the specified tonnage threshold for
     a criteria pollutant, i.e., a pollutant for which a national
     ambient air quality standard (NAAQS) has been established
     under section 109 of the Act.  Once a new source or
     modification is subject to PSD, the PSD requirements apply
     to every pollutant subject to regulation under the Act that
     is emitted in "significant" quantities (or, in the case of a
     major modification, for which there is a significant net
     emissions increase) [see 40 CFR 52.21(b)'23) and (i)(2)].
     Under the 1977 Amendments, best available control technology
     (BACT) and other PSD requirements apply not only to
     emissions of criteria pollutants but also to emissions of
     pollutants regulated under other provisions of the Act, such
     as section 111 or 112.  This regulatory structure was
     altered by the 1990 Amendments.

          Title III of the 1990 Amendments added a new
     section 112(b)(6) that excludes the hazardous air pollutants
     listed in section 112(b)(l) of the revised Act (as well as
     any pollutants that may be added to the list) from the PSD
     (and other) requirements of Part C.  Thus, because they are
     on the initial Title III hazardous air pollutants list, the
     following pollutants, which had been regulated under PSD
     because they were covered by the section 112 NESHAPS or
     section 111 new source performance standards (NSPS) program,
     are now exempt from Federal PSD applicability:

             arsenic
             asbestos
             benzene (including benzene from gasoline)
             beryllium
             hydrogen sulfide  (H2S)
             mercury
             radionuclides (including radon and polonium)
             vinyl chloride.

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     The Title III exemption applies to final Federal
PSD permits (i.e., those issued in final form and for
which administrative appeals, if any, under
40 CFR 124.19 have been exhausted) issued on or after
the date of enactment of the 1990 Amendments
(November 15, 1990).  For Federal PSD permit
applications now under review by either an EPA Regional
Office or a delegated State, PSD permit requirements do
not apply to the pollutants exempted by Title III.  For
Federal PSD permits containing PSD requirements for the
pollutants exempted by Title III issued on or after
November 15, 1990, the permittee may request a revision
(e.g., removal of a BACT limit for benzene) to their
PSD permit to reflect the Title III exemption from
Federal PSD applicability.

     Note that pursuant to section 116 and the preservation
clause in section 112(d)(7) of the amended Act, States with
an approved PSD program may continue to regulate the
Title III ha2ardous air pollutants now exempted from Federal
PSD by section 112(b)(6) if the State PSD regulations
provide an independent basis to do so.  These State rules
would remain in effect unless a State revised them to
provide similar exemptions.  Additionally, the Title III
pollutants c< ntinue to be subject to any other applicable
State and Federal rules; the exclusion is only for Part C
rules.

     Finally, section 112(q) retains existing NESHAPS
regulations by specifying that any standard under section
112 in effect prior to the date of enactment of the 1990
Amendments shall remain in force and effect after such date
unless modified as provided  in the amended section.
Therefore, tbe requirements  of 40 CFR 61.05 to 61.08,
including preconstruction permitting requirements, for new
and modified sources subject to existing NESHAPS regulations
are still applicable.

     In summary, the pollutants currently regulated
under the Act as of March 1991 that are still subject
to Federal PSD review and permitting requirements are:

        carbon monoxide
        nitrogen oxides
        sulfur dioxide
        particulate matter  and PM-10
        ozone  (volatile organic compounds)
        lead (elemental)
        fluorides
        sulfuric  acid mist
        total reduced sulfur compounds  (including H2S)
      •  CFC's  11,  12,  112,  114,  115

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          •  halons 1211, 1301, 2402
             municipal waste combustor (MWC) acid gases, MWC
             metals and MWC organics.

2.   Hazardous Air Pollutants that are Regulated as One Component
     of a More General Pollutant Under Other Provisions of the
     Clean Air Act are Still Regulated

          Any hazardous air pollutants listed in
     section 112(b)(l) which are regulated as constituents of a
     more general pollutant listed under section 108 of the Act
     are still subject to PSD as part of the more general
     pollutant, despite the exemption in Title III.  For example,
     volatile organic compounds (VOC's) (a term which includes
     benzene, vinyl chloride, methanol, toluene, methyl ethyl
     ketone, and thousands of other compounds) are still
     regulated as VOC's (but not as individual pollutants such as
     benzene, etc.) under the PSD regulations because these
     pollutants are ozone precursors, not because they are air
     toxics.  Also, particulates (including lead compounds and
     asbestos) are still regulated as particulates (both PM-10
     and particulate matter) under the PSD regulations.  Lead
     compounds are exempt from Federal PSD by Title III, but the
     elemental lead portion of lead compounds (as tested for in
     40 CFR Part 60, Appendix A, Method 12) is still considered a
     criteria pollutant subject to the lead NAAQS and still
     regulated under PSD.

3.   Toxic Effect of Unregulated Pollutants Still Considered in
     BACT Analysis

          Based on the remand decision on June 3, 1986 by the EPA
     Administrator in North County Resource Recovery Associates
     (PSD Appeal No. 85-2), the impact on emissions of other
     pollutants, including unregulated pollutants, must be taken
     into account in determining BACT for a regulated pollutant.
     When evaluating control technologies and their associated
     emissions limits, combustion practices, and related permit
     terms and conditions in a BACT proposal, the applicant must
     consider the environmental impacts of all pollutants not
     regulated by PSD.  Once a project is subject to BACT due to
     the emission of nonexempted pollutants, the BACT analysis
     should therefore consider all pollutants, including
     Title III hazardous air pollutants previously subject to
     PSD, in determining which control strategy is best.

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PSD Class I Boundary Issues


1.   PSD Applicability Coverage Changes as Class I Area
     Boundaries Change

          Sections 162(a) and 164(a) of the amended Act specify
     that the boundaries of areas designated as Class I must now
     conform to all boundary changes at such parks and wilderness
     areas made since August 7, 1977 and any changes that may
     occur in the future.  The EPA does not believe that Congress
     intended to create the turmoil which would occur if this
     redesignation required the modification of permits issued
     between August 7, 1977 and November 15, 1990, or the
     resubmission and reevaluation of complete permit
     applications submitted prior to enactment of the 1990
     Amendments.  Thus, for this reason, applications considered
     complete prior to November 15, 1990 should be processed as
     submitted without regard to the new Class I area boundaries.
     Exceptions to this general policy are in the areas of
     increment consumption and air quality related values
     (including visibility), as discussed below.

          For an applicant who submitted a complete PSD
     application prior to November 15, 1990, if all other PSD
     requirements are met, a permit may be issued based on the
     Class I analysis as submitted in the application, unless the
     reviewing authority finds, on a case-by-case basis, that
     additional analysis is needed from the applicant to address
     suspected adverse impacts or increment consumption problems
     due to the expanded boundaries of the Class I areas.  Any
     existing increment violations in the new boundaries of
     Class I areas must be remedied through a SIP revision
     pursuant to 40 CFR 51.166(a)(3).

          The PSD applications not considered complete before
     November 15, 1990 must consider the impact of both existing
     sources and the  new or modified source on the Class I areas
     as defined by the 1990 Amendments.  Thus, the complete
     application must consider the impacts on the entire Class  I
     area based upon  the boundaries in existence on the date of
     submittal of a complete application; as before, if a Class  I
     boundary changes before the permit is issued, the reviewing
     authority may find, on a case-by-case basis, that additional
     analysis is needed  from the applicant to address suspected
     adverse impacts  or  increment consumption problems due to
     expanded Class I area boundaries.

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NSR Nonattainment Issues
1.   NSR Construction Permit Requirements in Nonattainment Areas

          In many States, the existing approved Part D permit
     program by its terms covers all designated nonattainment
     areas in the .State, so a Part D permit program will
     automatically apply to the new and expanded nonattainment
     areas which are established under provisions of Title I of
     the 1990 Amendments.  Thus, until new rules are adopted for
     these new or expanded nonattainment areas, States should
     apply the requirements of their existing approved Part D
     permit program.  However, in other States, a Part D program
     may be limited to specified areas and does not apply to new
     or expanded areas.  In these areas, States must implement a
     transitional permitting program until their existing Part D
     programs are revised to meet the requirements of the 1990
     Amendments and expanded to cover all nonattainment areas in
     the State.  Otherwise, both the goals of Part D and
     Congress' intent in creating new or expanded nonattainment
     areas will be frustrated.

          The EPA regulations already provide for these new or
     expanded designated nonattainment areas because the Emission
     Offset Interpretative Ruling (40 CFR Part 51, Appendix S)
     governs permits to construct between the date of designation
     and the date an approved Part D plan is made applicable to
     the new nonattainment area [see 40 CFR 52.24(k)].  Until a
     State's new Part D plan is approved by EPA, if a State
     wishes to issue a permit for a major stationary source or
     major modification in a new or expanded designated
     nonattainment area, the State should comply with the
     requirements of Appendix S.  Among other things, Appendix S
     requires a major source seeking to locate in a nonattainment
     area to (1) meet the lowest achievable emission rate for
     such source, (2) provide offsets from existing sources in
     the area, and (3) show that the offsets will provide a
     positive net air quality benefit (see 40 CFR Part 51,
     Appendix S, section IV.A).  The EPA believes that in order
     to carry out the intent of Appendix S, offsets should be
     required for sources in all categories and in all instances
     should be calculated on a tons per year basis (see
     40 CFR Part 51, Appendix S, section IV.C).

          Of course, neither Appendix S nor the existing NSR
     rules incorporate the NSR changes mandated by Title I of the
     1990 Amendments such as lower source applicability
     thresholds, increased emissions offset ratios, new
     definitions of major stationary source, and (for ozone
     nonattainment areas) requirements for nitrogen oxides (NOx)

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control and NOx emissions offsets.  However, the 1990
Amendments require States to submit to EPA new NSR permit
program rules for ozone nonattainment areas by November 15,
1992; for PM-10 nonattainment areas by June 30, 1992; and
for most carbon monoxide (CO) nonattainment areas no later
than 3 years from the date of the nonattainment designation.
The EPA interprets this as an expression of congressional
intent not to mandate that States adhere to the more
stringent Title I NSR requirements in nonattainment areas
during the time provided for State implementation plan (SIP)
development.  Thus, for NSR permitting purposes in
nonattainment areas, the new NSR requirements in Title I are
not in effect until the States, as required by the Act,
adopt NSR permit program rules to implement the Title I
provisions.  In addition, EPA encourages any State having
adequate authority for early implementation of the NSR
changes to do so as soon as possible.

     If States fail to submit to EPA the new NSR permit
program rules for nonattainment areas by the deadlines in
the amended Act, EPA intends to impose in these
nonattainment areas a Federal implementation plan (FIP)
embodying such requirements.  Currently, EPA intends to
propose revised NSR regulations at 40 CFR Part 52 that would
implement the new Title I NSR requirements under a FIP in a
State if that State's revised NSR rules to implement Title I
are not submitted in approvable form to EPA and made
effective within the State by the deadlines established by
the 1990 Amendments.

     The area designation in effect on the date of permit
issuance by the reviewing agency determines which
regulations (Part C or Part D) apply to that permit.   In
other words, the PSD permit regulations apply to pollutants
for which the area is designated as attainment or
unclassifiable, and the NSR nonattainment permit regulations
apply to pollutants for which the area is designated
nonattainment  [see 40 CFR 51.166(i)(3) and  (5); and
40 CFR 52.21(i)(3) and  (5)].  Under these regulations, a PSD
permit for  a pollutant cannot be issued in an area that is
designated  nonattaimsent for that pollutant.  For the
situation where a source receives a PSD or other permit
prior to the date the area is designated as nonattainment,
the permit  remains in effect as long as the source commences
construction within 18 months after the date of
nonattainment  designation of the area, does not discontinue
construction for more than 18 months, and completes
construction within a reasonable time [see  40 CFR 52.24(g)
and  (k)].   Although the  PSD regulations provide for
extension of these deadlines, no extension would be
appropriate where the area has been designated as
nonattainment  following  permit issuance.  Accordingly, if

-------
any of these construction provisions are not met, the PSD
permit or other permit will not be extended, and the source
(if subject to the nonattainment provisions) must obtain a
nonattainment permit prior to commencing (or continuing)
construction.                         •

     The 1990 Amendments create some new and expanded
nonattainment areas by operation of law.  Other
nonattainment area changes are expected as the States and
EPA complete the designation process prescribed in amended
section 107^d).  Because of these provisions, the dates
areas switch from attainment to nonattainment for NSR
purposes vary by pollutant.  However, except for the two
instances where the Amendments create changes by operation
of law, the new designations and expanded boundaries will
not be effective for NSR purposes until EPA promulgates the
changes.  The promulgations will be announced in the Federal
Register.

     Congress create new PM-10 nonattainment areas
through designations that became effective upon
enactment of the 1990 Amendments on November 15, 1990
[see section 107(d)(4)(B)].  Specifically, Congress
designated Group I areas and areas where violations of
the PM-10 KAAQS had occurred prior to January 1, 1989 as
nonattainment.  The EPA published a list of these PM-10
areas in a Federal Register notice (see 55 FR 45799,
October 31, 1990; see also 52 FR 29383, August 7, 1987).
The EPA plans to publish a notice in the Federal Register
listing these areas as nonattainnent in the near future, but
they are already considered nonattainment areas as of
November 15, 1990.

     Similarly, the 1990 Amendments expand by operation of
law soiae CO and ozone nonattainment areas.  However, these
changes did not become effective with passage but rather on
December 30, 1990.  The specifics are as follows:

     Section 107
-------
                                8

          State did not provide this notice,  the
          nonattainment boundaries of all serious,  severe,
          and extreme ozone nonattainment areas in  the State
          and all serious CO areas in the state expanded to
          include the entire MSA or CMSA on December 30,
          1990.  If a State did provide timely notice, the
          Administrator has up to 14 months from enactment
          to resolve the State's challenge.  Until  EPA
          promulgates a resolution of the State's challenge,
          the old boundaries remain in effect.

          Except for these two cases where new or expanded
     boundaries have been created by operation of law,
     nonattainment area changes will not be considered effective
     until the changes are promulgated by the EPA.   As to most
     new areas or expansions of previously-designated
     nonattainment areas, this will occur 240 days  after
     enactment [see section 107(d)(4)(A)(i) and (ii)].  Newly-
     created ozone and CO nonattainment areas will  be considered
     part of a designated nonattainment area for NSR purposes at
     the time of promulgation.

2.   Status of Construction Bans

          Pursuant to section 110(n)(3), an existing construction
     ban that was imposed due to the absence of approved Part D
     NSR rules remains in effect until a revised NSR SIP is
     approved.  Existing construction bans imposed  due to
     disapproval of primary sulfur dioxide NAAQS attainment plans
     also remain in effect.  A Federal Register notice will be
     published soon announcing the status of construction bans in
     general and also lifting specific bans where appropriate.
     Should a construction ban be lifted in any area designated
     as nonattainment, and the area lacks an approved Part D NSR
     rule, the State should meet the requirements of
     40 CFR Part 51, Appendix S, in issuing permits to major new
     sources or major modifications prior to the adoption of NSR
     rules meeting the requirements of the 1990 Araend-ments.

3.   Federal Implementation Plans Remain in Effect

          The NSR permitting program in an existing FIP remains
     in effect until a SIP is approved or a revised FIP is
     adopted.

4.   Use of Previously-Approved Growth Allowances is  Prohibited

          Section 172(b)  invalidates growth allowances  in
     existing  SIP's  in areas that received a  SIP call prior to
     enactment of the  1990 Amendments,  or  that  receive  one
     thereafter.  For  NSR permits  issued on or  after  November 15,
     1990,  previously-approved growth allowances cannot be  used

-------
     in these areas.  Construction permits cannot be issued in
     SIP-call areas under existing EPA-approved Part D programs
     to the extent that such permits rely on previously-approved
     growth allowances.  Case-by-case emission offsets must be
     obtained for any such permits, and other existing Part 0
     requirements must be met.

5.   Existing NSR Permitting Rules Continue to Apply in the
     Northeast Ozone Transport Region (NOTR)

          The 1990 Amendments establish a single ozone transport
     region comprised of the States of Connecticut, Delaware,
     Maine, Maryland, Massachusetts, New Hampshire, New Jersey,
     New York, Pennsylvania, Rhode Island, Vermont, and the CMSA
     that includes the District of Columbia and part of the State
     of Virginia.  For this transport region, including all
     attainment areas within its boundaries, new
     section 184(b)(2) specifies that any stationary source that
     emits or has the potential to emit at least 50 tons per year
     of VOC's shall be considered a major stationary source and
     subject to the requirements which would be applicable to
     major stationary sources if the area were classified as a
     moderate ozone nonattainment area.  For NSR purposes, the
     requirements of section I84(b)(2) are not in effect in a
     State until the State submits a new or revised SIP that
     includes the requirements (or EPA imposes a FIP implementing
     those requirements).  A State in the NOTR has until
     November 15, 1992 to submit to EPA the new or revised NSR
     rules addressing the new requirements.

-------
CLEAN AIR ACT
tne consent 01" the Governor of the Stale m
which the source is to be located, grant a
waiver under this paragraph, if the Ad-
ministrator  determines after notice and
opportunity lor public hearing, that—
   I i) the proposed system or systems have
not been adequately demonstrated.
   
-------

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United States
Environmental Protection
Agency
Office of Air Quality
Planning And Standards
Research Triangle Park, NC 27711
DRAFT
October 1990
AIR
          New Source Review
           Workshop Manual
        Prevention of Significant Deterioration
                      and
               Nonattainment Area
                   Permitting
                                    Additional
                                     Impacts

-------
                                                                  DRAFT
                                                                  OCTOBER 1990
federal  PSD permit program, which currently applies as part of the SIP for
States that have not submitted a PSD program meeting the requirements of
40 CFR 51.166.   Roughly two thirds of the States are implementing their own
PSD program which has been approved by EPA under 40 CFR 51.166.  The 40 CFR
52.21 applies in the remaining States, most of which have been delegated the
authority to implement the federal PSD program.

      The basic goals of the PSD regulations are: (1) to ensure that economic
growth will occur in harmony with the preservation of existing clean air
resources; (2)  to protect the public health and welfare from any adverse
effect which might occur even at air pollution levels better than the national
ambient air quality standards (NAAQS); and (3) to preserve, protect, and
enhance the air quality in areas of special natural recreational, scenic, or
historic value, such as national parks and wilderness areas.  The primary
provisions of the PSD regulations require that major new stationary sources
and major modifications be carefully reviewed prior to construction to ensure
compliance with the NAAQS, the applicable PSD air quality increments, and the
requirement to apply BACT to minimize the project's emissions of air
pollutants.

      The remaining regulations apply to the NM program.  The third set of
regulations, 40 CFR 51.165(a) and (b), specifies the elements of an approvable
State permit program for preconstruction review for nonattainment purposes
under Part D of the Act.  A major new source or major modification that would
be located in an  area designated as nonattainment and subject to a NAA permit
must meet stringent conditions designed to ensure that the new source's
emissions will be controlled to the greatest degree possible; that more than
equivalent offsetting emissions reductions ("emission offsets") will be
obtained from existing sources; and that there will be progress toward
achievement of the NAAQS.

      The fourth  and fifth sets, 40 CFR Part 51, Appendix S (Offset Ruling)
and 40 CFR 52.24  (construction moratorium) respectively, apply in certain
circumstances where a nonattainment area SIP has not been fully approved by
EPA as meeting the requirements of Part D of the Act.

-------
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\
                Research Triangle Park, North Carolina 27711

                                 2 7 |9                 PN HO-88-06-27-095
MEMORANDUM

SUBJECT:  "Grandfather! ng" of Requireme/^s ^r  Pending SIP Revisions
FROM:     Gerald A. Emison, Direct
          Office of Air Quality "Planning and Standards  (MD-10)

TO:       Director, Air Management Division         . .
            Regions I, III, IX
          Director, Air and Waste Management Division
            Region II
          Director, Air, Pesticides and Toxics Division
            Region IV, VI
          Director, Air and Radiation Division
            Region V
          Director, Air and Toxics Division
            Region VII, VIII, X
      Recommendations  for improving SIP processing generally at EPA were
 presented  to  the Deputy Administrator and approved fully.  It is the
 intention  of  the Agency's management that the recommendations be imple-
 mented promptly. 'This is being done by an Intra-Agency Work Group
 composed of Headquarters and Regional Office persons.  This memorandum
 provides guidance  on  applying previously applicable standards to pending
 SIP  revisions where the relevant  requirements have changed since the
 state prepared the SIP submittal  (i.e., "grandfathering").

      In a number of cases,  States  have submitted SIP packages that were
 consistent with the EPA "requirements" (i.e., standards, regulations,
 policies,  leaal interpretations,  guidances, and clarifications) in effect
 at the time.   As a result of processing delays and policy  evolution, the
 applicable requirements were revised before the proposed SIP change
 received EPA  approval.  When the  revised  requirements did  not contain  an
 appropriate grandfathering  provision (e.g., a provision  allowing SIP
 packages to be acted  upon based on the requirements, in effect at the time
 of State adoption), SIP reviewers assumed  that the  appropriate  action  was
 to disapprove the  SIP revision  and/or  return  it to  the State  for changes.

      Not only can  this delay rulemaking,  but  it also may be  inequitable
 and  serve as  an irritant  to effective  EPA/State/local  agency  cooperation.
 Moreover, such action usually  results  in  an  ineffective  use  of  resources
 by the State and  EPA.  Consequently, we  are  today  extending  the concept

-------
of grandfathering contained in existing guidance  (e.g., for modeling), as
described in the enclosure.  It is the intent  of  EPA management that
grandfather!ng be applied where.it is warranted and appropriate.  Today's
guidance was developed in conjunction with the Regional Offices and the'
Office of General Counsel.  We believe that it deals with the equity
issue, will not have a noticeable environmental impact overall, will
strengthen the Agency's working relationship with its State and local
partners, and does not conflict with either the Clean Air Act or  the
Administrative Procedures Act.
Attachment

cc:  Air Branch Chiefs, Regions I-X
     Regional Counsel (Air Branch Chiefs), Regions I-X
     Don Clay
     Alan Eckert
     Mike Alushin
     John Seitz
     Robert Cahill
     John Calcagni
     Bob Way!and
     Dick Wilson
     Bill Laxton
     Charles Gray

-------
bcc:  Work Group Members
      Jack Farmer
      Rich Ossias
      Peter Wyckoff
      Bern Steigerwald

-------
                      GUIDANCE  ON  GRANDFATHER ING OF

                  REQUIREMENTS  FOR PENDING  SIP REVISIONS

                              June 1988
Introduction

     EPA is expanding its guidance on how to apply  previously
applicable requirements in two general  situations where the  issue may
arise:   (1) when new or newly revised "requirements"  (i.e.,  standards,
regulations, policies, legal interpretations, guidances,  or  clarifications)
for SIPs are issued by the Agency and (2) when rulemaking action  is  taken  on
a "SIP  revision" (i.e., a State-specific EPA rulemaking under
the Clean Air Act).  This guidance will be in effect  for  complete SIP
revisions submitted to EPA and for requirements issued  and/or  revised  by
EPA after today.  In general, all SIP revisions submitted before  today
will continue to be reviewed based on EPA's current policy,  which  is to
decide each SIP revision based on the requirements  in existence  at  the
time of EPA's rulemaking.

     Grandfathering is not to be considered mandatory or  automatic.
In determining whether grandfathering should apply, and what the appropriate
date should be, the decision maker should keep in mind  the thrust of this
guidance,  i.e., to honor  good faith  effort on the part  of the State/local
agency submitting the  revision,  balancing equity with other-considerations.
This guidance expressly  is  not intended  as a vehicle to allow circumvention
of tighter  requirements  or  to facilitate the avoidance  of difficult
decisions.

Legal Background

     Whenever a  new  requirement  is established by Congress  (via statute)
or  by EPA (via  regulation or  policy),  it  becomes generally  applicable
unless  the authority  establishing  the  requirement  provides  otherwise.
When Congress enacts  a new statute,  it  applies to  all matters then  pending
before  an agency  unless  Congress specifically  provides otherwise in the
 statute.   The Agency  has no authority  to grandfather any  matter from the
 new statutory  requirements without explicit provisions in the statute.
                                                       i

     When EPA  issues  new regulations,  they are also  generally applicable
 unless  the regulations themselves include grandfathering provisions.   If
 grandfathering  provisions are not explicit in the  regulations and  absent
 a contrary interpretation by the Agency, courts  will apply  the  new  rules
 to  matters pending before the Agency.   Thorpe v.   Housing Authority of

-------
Durham, 393 U.S. 268 (1969).   However,  an  agency does have some
flexibility to provide grandfathering  provisions in  new  regulations.
Generally, such provisions  are appropriate where they meet a four-part
test.  First, the new rule  represents  an abrupt departure from well-
established practice.  Second, affected parties have relied on the
old rule.  Third, the new rule imposes a large burden on those affected.
Fourth, there is no strong  statutory  interest in applying the new rule
generally.  Sierra Club v.  EPA, 719 F.2d 436 (D.C. Cir.  1982), cert. den.
468 U.S. 1204 (1984).   In  the past,  EPA has generally  included explicit
grandfathering provisions in new regulations where appropriate.  Under
this guidance, EPA will affirmatively  consider the need for grandfathering
provisions in all new regulations.         ;.

     An agency has very broad authority to decide  how  and when to issue
new guidance, since'as a purely legal  matter guidance  is not absolutely
binding on subsequent proceedings.  Pacific Gas and  Electric Co. v.  FPC,
506 F.2d 33  (D.C. Cir. 1974).  Historically, EPA has provided only  limited
grandfathering from  revised guidance.   This document establishes a  detailed
framework for grandfathering pending SIP revisions  from all  future  EPA
requirements.

The Guidance

     The  following will be considered  in deciding whether  to apply  grand-
fathering to  an  individual SIP revision and in developing  appropriate
grandfathering  provisions  for  each 'EPA SIP  requirement:

A.  General  Guidance:  A SIP  revision  generally will remain subject to the
requirements  in  effect either  (a)  on the  date  that  the State adopts the
SIP  revision  (provided a complete, fully  adopted revision is submitted
promptly,  generally  within 60  days of  the  adoption), or (b) on the date
that the  USEPA  proposes the  SIP  revision  under the  parallel processing
procedure.   However,  in  specific  cases, EPA will apply  different dates as
appropriate  (e.g.,  see memorandum, J.   Tikvart to Regional Modeling
Contacts,  January 2,  1985, concerning  grandfathering modeling requirements).
A discussion  of what constitutes  a complete,  fully  adopted SIP revision  is
found  in  the memorandum, G.  Emison to  Regional Air  Directors, March 18,
1988.

B.  There are certain exceptions  to the general grandfathering guidance:

     1.  Grandfathering should not be  considered if  the State has not acted
in good faith in preparing and submitting a SIP revision.  For example,
an incomplete revision hurriedly  submitted to avoid coverage under  a new or
 revised EPA  requirement  should not be grandfathered.   Similarly, grand-
fathering should not be  considered when a SIP revision is  submitted

-------
substantially in excess of 60 days after State  adoption  as  specified in
paragraph A.

    2.  Grandfathersng of SIP revisions may  not be  appropriate  or  possible
when a court ruling has explicitly changed a current  federal  requirement
or has convineed.EPA that a previous requirement is no  longer supportable.
Under these circumstances,-the Office of General Counsel  (OGC),  in consul-
tation with the Office of Enforcement and Compliance  Monitoring (OECM)
and the Office of Air and Radiation (OAR), will define  the  limits  of
the court's decision and how it may affect EPA's requirements- and  SIP
revisions,-including previously approved SIP revisions,  pending SIP
revisions, and SIP revisions which are to be submitted  in the future.
OGC will make its best effort to issue such  an  opinion  within 60 days
from the date of the court's decision.

     Based  on this analysis, OAR will issue  a decision  on the appropri-
ateness of  grandfather!ng and the continued  use of the  pre-court ruling
requirement  on pending and future SIP revisions.  This  decision will
generally  be issued within 90 days from the date of the court's decision.
OAR will also issue a  decision on the appropriate action to take,  e.g.,
notice  of  SIP deficiency  or  "no action" needed  at'this  time, on previously
approved SIP revisions.

      3.  The Administrator may determine that  grandfather!ng is not
appropriate under  a  certain  new policy.  He could  conclude that the old
policy  was ill-founded,  or simply  not wish  to  grandfather'due to  the importance
of the  new policy  to  EPA's programs.  Where a  new  policy issued by
the Administrator  specifically states that  grandfathering  is not  appro-
priate  or  establishes  a  particular  grandfathering  provision  that  differs
 from this  guidance,  such provisions  would of course  supersede  this guidance.

      4.   Grandfathering  of  a particular SIP revision or  requirement is
 not appropriate if a decision to  grandfather it would  have an  imminent
 and substantial  adverse  environmental  impact or could  permanently foreclose
the continued  use  of the provisions and/or  sanctions of  Part D of the
 Clean Air Act,  e.g., changes in  Section 107 designations or the full
 approval  of Part D plans, both of which may foreclose-the  future  use  of
 sanctions  to assure the  correction of any deficiency arising from the
 change in EPA requirements.
      5.  Action on a SIP revision which comports with the revised requi
 ments but not the original requirements may be based on the revised

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     6.  If a SIP revision complies  with  the  original but not the"
revised requirements, and such lack  of compliance  renders the SIP as a
whole substantially inadequate to assure  the  attainment  and maintenance
of the National Ambient Air Quality  Standards (NAAQS) under the  revised      ':
requirements, an individual analysis of the appropriateness of grand-
fathering under the four-part test established in  the Sierra Club case
discussed above under Legal Background must be conducted.   If the analysis
concludes that grandfather!ng of the particular SIP  revision is  appropriate,
action may be based on the original  requirements.   In such  an event,
however, additional actions may be necessary  depending upon the  nature of
the SIP revision being considered.

         a.  For SIP revisions (e.g., variances and  interim emission
limits) which would have an effective lifetime of  2  years  or less from
the date of EPA final rulemaking, no additional action will generally be
taken, because of the length of time it would take for the State and EPA
to change the action to comport with the  revised requirements.   Any
subsequent requests for the continuation  of grandfathering (i.e., beyond
the effective lifetime of the original SIP revision) should be  rejected,

         b.  For SIP revisions which would otherwise have  an  effective
lifetime of greater than 2 years, other rulemaking actions will.be  necessary
to assure that the SIP ultimately comports with the revised requirements.  '

               (i)  Elements in plans that have bee-; "conditionally"
approved will be approved  subject to the further condition that the
plan  as a whole  be corrected  as  necessary to assure full compliance with
all requirements of the Clean Air Act.  For a discussion of EPA's  original
policy on conditional approval,  see 44 FR 20372 (April  4,  1979)  44 FR
38583  (July 2, 1979) and 44 FR 67182  (November 23, 1979)!

               (ii)  Elements  in  fully  approved plans will  be approved with
the simultaneous issuance  of  a CAA  Section 110(a)(2)(H) notice of deficiency,

      Under either  of these circumstances, the  approval   of the particular SIP
revision should  contain a  sunset  provision that terminates the effectiveness
of the approval  within a  predetermined period, generally 2 years.  In addi-
tion,  the Region should make  an  affirmative  effort to assure that the
timeframe (generally 2 years) for complete,  fully adopted State rulemaking
action involved  with either the  notice of  SIP  deficiency or conditional
approval is  strictly adhered  to.  If  a State  does not adhere to this
schedule, the  Region will  initiate  appropriate steps to ensure  ultimate
compliance,  e.g.,  performance-based grant  actions,  sanctions, and EPA
promulgations.

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      7.  Certain classes of changes are only  indirectly  related to
attainment and maintenance of national  ambient air quality  standards.
Such changes may involve PSD/NSR rules, stack  height  provisions, permit
fees and similar generic requirements which are clearly not intended to
be permanently grandfathered.  Changes of this type are to  be handled  as
described in paragraph 6 above.  -

C.  All new requirements issued by OAR or OGC  will address  their impact
on SIP revisions previously approved or pending, and  SIP  revisions to  be
submitted in the future.  New requirements will contain provisions  incor-
porating the general grandfather!ng guidance (paragraph A above) whenever
appropriate and possible.  Generally, changes  in EPA's  requirements  will
have effective dates which are 60 days from the date  of signature to allow
States to adjust their pending rulemaking actions before  they are  finally
adopted and submitted..- Longer effective dates should be  used when  the
changed requirements affect fundamental, long-term air quality strategy
development tools and the requirements of the  change  are  resource  inten-
sive.

D.  SIP revisions framed to meet major requirements  currently being recon-
sidered by  EPA or currently under litigation should  proceed and will not
be  held back  from rulemaking until the issues are "decided.  SIP revisions
approved  under these circumstances will be addressed, if  necessary, as
described in  paragraph B(6)(b) above for  revised EPA SIP  requirements  and
by  paragraph  B(2) for requirements being  changed because  of court decisions.

E.  Staff personnel making  grandfathering decisions should coordinate with
Offices of  Regional Counsel  or OGC  on  application of this  guidance as appro-
priate, especially  in connection with  the analysis required under paragraph
8(6)  above.

F.  Each  Federal Register notice for action on  a SIP revision will  state
the rationale for which  requirements were applied.

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            UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
              Office  of  Air Quality Planning and Standards
              Research Triangle Park, North Carolina   27711
DATE.
          JIJN12'980

SUBJECT:   Information Required  in  Federal Register Packages
FROM:
  TO:
         Richard  G.  Rhoads,  Director.
         Control  Programs  Development  Division  (MD-15)

         Director,  Air and Hazardous Materials  Division, Regions I-V, and VII

              An  April 29, 1980 memo from Walt  Barber asked  that all SIP
         revisions  dealing with SO,, relaxations be  submitted  through the "special
         action"  procedures.  The purpose of that request was  to allow tne Agency
         to more  carefully scrutinize  the nature of each relaxation and its
         multi-regional impact.  A copy of this memo is attached.

              In  order to allow us to  assess the relative  impact of each S0?
         relaxation more accurately, I ask that the following information  be
         included in each action memo.

              1.   Plant name and location.

              2.   Size of the  facility (including the number of boilers)  expressed
         in megawatts  or  Btu/hour  firing capacity (design).

              3.  Amount, type,  and sulfur content of actual fuel  combusted
         during  the previous year.

              4.  The revised  SCu  emission  limit, the existing SIP limit,
         and  the corresponding averaging  times  for  these limits.

              5.  The "paper"  as well  as  actual increase or decrease in emissions.

              The  calculations involved  in  determining the  increase of emissions
          should  assume status  quo operating conditions of the source.  There is
          no need to consider increased or decreased utilization of the source's
          capacity.

               In addition, because of the ongoing  development of  policy on  the
          issue  of good engineering practice (GEP)  stack  height, all Federal,
          Register packages addressing the stack height issue should be  suomitted
          through the "special action" procedures.   Furthermore,  I ask  that
          your staff  inform Bob Schell (629-5365) of my staff of any Federal
          Register packages involving stack -height increases which are  currently
          under  development and  projected to be forwarded for 14-day review
          within the  next few  weeks.

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     The following information should'be included in each action memo
which involves increased stack height.

     1.  Height of the old stack as well as that of the new.

     2.  If GEP stack height is determined, the methodo.logy used to
determine it, and the stack height considered to be GEP.

     Your cooperation and assistance in dealing with these sensitive
issues  are greatly appreciated.

Attachment

cc:   David Hawkins
      Walt  Barber
      Hike  James
      Ed Reich

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Vac)
           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                Office of Air Quality Planning and Standards
               Research Triangle Park. North Carolina 27711
                        JUL  91992
MEMORANDUM

SUBJECT:  Processing of State Implementation P.ian.'tSIP)
          Submittals
FROM:
TO:
              John Calcagni, Director •'- 'Ar^*
              Air Quality Management Division, OAQP/S'"'(MD-15)
                                                  /
              Director, Air, Pesticides and Toxics
                Management Division,' Regions I and IV
              Director, Air and Waste Management Division,
                Region II
              Director, Air, Radiation, and Toxics Division,
                Region III
              Director, Air and Radiation Division,
                Region V
              Director, Air, Pesticides, and Toxics Division,
                Region VI
              Director, Air and Toxics Division,
                Regions VII, VIII, IX, and X
     This memorandum provides guidance concerning the processing
of SIP subraittals.  In general, there are three situations that
can occur related to each required submittal:  the State may fail
to submit the required plan, the State may make a submittal that
is not complete, or the State may make a complete submittal.
Once a State submits a SIP and the Environmental Protection
Agency (EPA) has determined that the submittal is complete, EPA
must either approve or disapprove the submittal within a
specified time period.  However, if the State fails to make a
required subraittal or makes a subraittal that is determined tc be
incomplete, the sanctions and Federal implementation plan (FIP)
provisions of sections 179 and 110(c), respectively, will be
triggered.  In addition, disapproval of a submittal also triggers
the sanctions and FIP provisions.  These provisions are discussed
in further detail in this memorandum.

     There are, however, three alternatives to full approval or
full disapproval of a complete SIP submittal:  partial approval,
limited approval, and conditional approval.  Each of these is
discussed in more detail below along with some guidance as to
when each might be used.  In addition, Attachment 1 to this

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memorandum contains several examples of how these may be used.
Attachment 2 'to this memorandum is a table that summarizes the
requirements discussed below.

partial Approval/Disapproval

     Section 110(k)(3) of the amended Clean Air Act (Act)
addresses the situation in which an entire submittal, or a
separable portion of a submittal, meets all applicable
requirements of the Act.  Where the entire submittal meets all
the requirements of the Act, EPA will fully approve the entire
submittal.  In the case where a separable portion of the
submittal meets all of the applicable requirements, partial
approval may be used to approve that part of the submittal and
disapprove the remainder.  It is important that the two parts of
the submittal be separable.  By separable, EPA means that the
action it anticipates taking will not result in the approved
rule(s) being more stringent than the State anticipated.  See
Bethlehem Steel Corp. v. Gorsuch. 742 F. 2d 1028 (7th Cir. 1984);
Indiana and Michigan Elec. Co. v. U.S. E.P.A., 733 F. 2d 489 (7th
Cir. 1984).  For example, EPA cannot approve part of a submittal
that specifies control measures and disapprove the part that
specifies the test methods associated with those control
measures.  The EPA has frequently taken a partial approval
approach in the past to process groups of rules that are
submitted together.  The EPA can approve some of the rules and
disapprove the rest as long as the rules that are disapproved do
not affect those that are approved.  The disapproval of any part
of a required SIP submittal starts the clocks discussed above for
sanctions and FIP's.

Limited Approval/Disapproval

     In some cases, a submittal may contain certain provisions
that meet the applicable requirements of the Act along with other
provisions that do not meet the requirements, and the provisions
are not separable.  Although the submittal may not meet all of
the applicable requirements, EPA may want to consider whether the
submittal as a whole has a strengthening effect on the SIP.  If
that is the case, limited approval may be used to approve a rule
that strengthens the existing SIP as representing an improvement
over what is currently in the SIP and as meeting some of the
applicable requirements of the Act.

     The Act does not expressly provide for limited approvals.
Rather, EPA  is using its "gap-filling" authority under section
301(a) of the Act in conjunction with the section 110(k)(3)
approval provision to interpret the Act to provide for this type
of  approval  action.

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     Through a limited approval, EPA would concurrently, or
within a reasonable time thereafter, disapprove the rule, under
the relevant provision(s) of Part D, for not meeting all of the
applicable requirements of the Act.  As with the limited approval
action the limited disapproval is a rulemaking action, and it is
subject to notice and comment.  Under section 110(k), EPA must
take final rulemaking action on SIP submittals within 12 months
of the date EPA determines the submittal is complete-or the
submittal is automatically deemed to be complete if EPA fails to
make a completeness determination.  As a general matter, although
the statute directs EPA to act within that timeframe, EPA's
failure to finalize the disapproval portion of the action within
that 12-month timeframe will not affect the validity of any prior
or subsequent limited approval or limited disapproval.1  The
EPA's failure to take action prior to the expiration of the 12-
month period could, however, subject EPA to a lawsuit to compel
such an action.

     A key distinction between the limited approval  and a partial
approval is that under a  limited approval EPA's approval action
goes to the entire rule.  In other words, although portions of a
rule prevent EPA from finding that the rule meets a  certain
requirement of the Act, EPA believes that the rule,-.as a whole,
strengthens the SIP.  Therefore, EPA approves the entire rule—
even those portions that  prohibit full approval.  Likewise, when
EPA issues the limited disapproval, the disapproval-.applies to
the entire rule as failing to meet a specific requirement of the
Act.  The rule remains a  part of the SIP, however, under the
limited disapproval, because the rule  strengthens the  SIP.  The
disapproval only applies  to whether the submittal meets  a
specific requirement of the Act and does not affect  incorporation
of the rule into the approved,  federally enforceable SIP.

     The primary advantage to using the limited approval approach
 is to make the State submittal  federally enforceable and to
 increase the  SIP's potential  to achieve additional  reductions.
 Therefore,  limited approval  should not be  used  to  approve  any
 rule that'is  unenforceable  for  all  situations—for example,  a
 rule that  lacks  a test  method.  These  rules and any other  rules
 that do  not have an overall  strengthening  effect on the SIP
 should  be  disapproved.   Limited approval can be used,  however,
      1     The March 22, 1991 memorandum from John Calcagni
 discussed the potential impact of Abramowitz v. U.S. E.P.A.. 832,
 F. 2d 1071 (9th Cir. 1988), on EPA's decision to split the
 approval and disapproval portions of a limited approval.  After
 reevaluating that case, we believe it may have a narrower impact
 than initially described and, therefore, generally would not
 impact the timing of limited approval/disapproval actions.

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where the rule is unenforceable for some limited number of
situations but? is enforceable for the majority of situations, if
the rule, as a whole, strengthens the SIP.

     The disapproval coinciding with (or following) the limited
approval also starts the sanctions and FIP clocks discussed
above.  With the limited approval EPA may or may not have a
commitment from the State to correct the deficiency.  The EPA may
choose to use the limited approval approach (instead of
conditional approval) in the case where the State has submitted a
commitment as part of a rule but EPA has reason to believe that
the State will not be able to meet the commitment (as discussed
below).  Where a limited approval/disapproval approach is taken,
the notice of proposed rulemaking (NPR) should clearly identify
which requirements have not been met and what action would be
required on the part of the State to meet those requirements.

Conditional Approval

     Under section 110(k)(4) of the Act EPA may conditionally
approve a plan based on a commitment from the State to adopt
specific enforceable measures within 1 year from the date of
approval.  If the State fails to meet its commitment within the
1-year period, the approval is treated as a disapproval.  We
expect that conditional approvals will be used only in rare
situations that merit special consideration.  We will evaluate
specific types of SIP submittals  [e.g., reasonably available
control technology  (RACT) catch-ups, particles with an
aerodynamic diameter less than or equal to a nominal 10
micrometers  (PM-10) SIP's] to determine whether certain elements
of that type  of submittal, or that  type of submittal as a whole,
merit conditional approval.  For this reason and to ensure
consistency,  Regions should not use conditional approvals without
input from Headquarters as to whether such an approach is
appropriate.   Furthermore, as any  statutory deadline approaches,
we may issue  guidance regarding the appropriate use of
conditional  approval with  respect  to that specific  requirement.

      Once  a  determination  has been  made that a specific type  of
 submittal  can be  considered  for conditional approval, Regions
must make  a  determination  of whether an  individual  State
 submittal  should  be conditionally approved.  The  first
 consideration should be whether the State has made  (or agrees to
 make) a commitment to adopt specific enforceable  measures within
 1 year of  EPA approval.   The  commitment  must be made  in writing

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by the party responsible for adopting the specified measures
before the plan is conditionally approved, and the commitment
must be submitted by the State.2

     In addition/ to the extent that the commitment materially
alters the existing rule (in respects that the public could not
reasonably have anticipated would result from the public review
of the existing rule), or is a commitment to adopt an entire rule
or set of rules, the commitment must be a SIP revision submittal
by the State.  In many cases, the determination of whether the
commitment materially alters the underlying rule may be based on
whether a similar issue was raised during the earlier State
proceedings on the submitted rule.  In general, each commitment
will need to be examined to determine whether it materially
alters the submitted rule.  As with any SIP revision, in order
for EPA to accept the commitment as a SIP revision, the State
must have provided notice and public hearing on the submitted
commitment.  However, EPA has the discretion to parallel process
commitments and in limited circumstances may propose conditional
approval of the commitment and allow the State process to proceed
on a parallel track.

     As a general matter, the greater the extent to which a
submittal is lacking in important plan elements, the less
appropriate the use of conditional approval may be.  It should be
noted, however, that there may be circumstances under which EPA
would accept a SIP revision consisting of a commitment only
(without specifically adopted rules) as a candidate for
conditional approval.  In such cases, the commitment should also
be accompanied by a work plan detailing any specific measures to
be adopted, the steps that will be taken to adopt the measures,
and the schedule for adoption of those measures.  As stated
earlier, a submittal that consists entirely of a commitment will
be considered a SIP revision that is subject to the State process
for submitting SIP revisions, e.g., notice and a public hearing.

     Where the submittal contains specifically adopted rules that
need some revisions or corrections to be fully-approvable, the
commitment may not need to be as comprehensive.  The commitment
should, however, be as explicit as possible concerning the
measures that will be adopted, the steps that will be taken to
adopt the measures, and the schedule for adoption of those
measures.
      2     Although the  commitment  must  identify  the  measures  to
 be adopted and  contain  a  schedule  for adopting such  measures,  it
 is not  necessary  for  the  commitment itself  to be enforceable  in a
 State court.

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     Because the conditional approval relies on a commitment from
the State, EPA would need some level of confidence that the State
would be able to meet such a commitment.  In making a
determination as to whether a State could reasonably be expected
to meet its commitment, EPA would need to consider a number of
factors such as:

          the amount of technical work necessary for-the measures
          to be adopted;
          whether adoption of the measures is expected to be
          controversial;
          the average length of the State adoption process;
          how far along in the process the State is; and
          the State's past track record.

It should be noted that these are only some of the factors that
should be considered.  Each Region, in making a determination
regarding the credibility of the State's commitment, may have to
look at a number of other factors.  The Region should clearly
explain, either in the NPR or in a technical support document,
the rationale for these determinations.

     In addition to the determination of whether the State's
commitment is credible, the Region must make a determination as
to whether it is appropriate to conditionally approve a revision
on the merits of that revision.  Conditional approval might
typically be used in the same types of situations as the limited
approval.  As with the limited approval, one of the main
advantages of the conditional approval approach is to make the
State submittal  (where the submittal contains control
requirements and not just a commitment to adopt enforceable
measures) federally enforceable and to increase its potential to
achieve additional reductions.  Because the conditionally
approved  submittal will become a part of the SIP, the Region
should be certain that the approval of the commitment will not
weaken the existing SIP.  The Region may also want to consider
when the  plan  (or plan element) that has been submitted was due.

     The  NPR for a conditional approval should clearly identify
which requirements are the subject  of  the commitment and,
therefore, have  not been met.  In addition, both the NPR and the
State's commitment should clearly  identify what action is
required  on the  part of the  State.  Unlike the  limited
approval/disapproval,  the conditional  approval  does not
 immediately start the  sanctions and FIP clocks.  These clocks
 start  if  and when the  approval  is  converted to  a disapproval.


     There  are at least,  two  ways  that  the  conditional  approval

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may be converted to a disapproval.3  First,  if the State  fails
to adopt and submit the specified measures by the end of 1 year
(from the final conditional approval), or fails to submit
anything at all, EPA will have to issue a finding of disapproval
but will not have to propose the disapproval.  That is because in
the original proposed and final conditional approval, EPA will
have provided notice and an opportunity for comment on the fact
that EPA would directly make the finding of disapproval (by
letter) if the State failed to submit anything.4  Therefore,  at
the end of 1 year from the conditional approval, the Regional
Administrator (RA) will send a letter to the State finding that
it had failed to meet its commitment and that the SIP submittal
is disapproved.  The 18-month clock for sanctions and the
2-year clock for a FIP start as of the date of the letter.
Subsequently, a notice to that effect will be published in the
Federal Register, and appropriate  language will be inserted in
the Code of Federal Regulations.   Similarly,  if EPA receives a
submittal addressing the commitment but determines that the
submittal is incomplete, the RA will send a letter to the State
making such a finding.  As with the failure to submit, the
sanctions and FIP clocks will begin as of the date of the finding
letter.

      Second, where the State does  make a complete submittal by
the end of the  1-year period, EPA  will have to  evaluate  that
submittal to determine if  it may be approved  and  take final
action on the submittal within  12  months after  the(date  EPA
determines the  submittal  is complete.  If the submittal  does not
adequately address the deficiencies  that were the subject of the
conditional approval, and  is therefore not  approvable, EPA will
have  to go through notice-and-comment rulemaking  to  disapprove
the submittal.   The  18-month clock for sanctions  and the 2-year
clock for a FIP start as  of the date  of  final disapproval.   If
EPA determines  that  the rule is approvable,  EPA will propose
 approval of the rule.   In either instance,  whether EPA  finally
 approves or disapproves the rule,  the conditional approval
 remains  in  effect until EPA takes  its  final action.
      3     It should be noted that this disapproval can be a
 limited approval/disapproval.  In some cases, the Regions may
 want to use such an approach to retain the enforceability of
 control measures.  The NPR should indicate if this approach is
 planned.

      *     To provide for this contingency, in the final
 conditional approval, EPA would need to provide, for example, "If
 the State fails to make a submittal or makes only an incomplete
 submittal during the time period for submittal of the rule, EPA
 will issue a letter to the State which converts the conditional
 approval to a disapproval."

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                                8

     It should be noted that EPA will conditionally approve a
certain rule only once.  Subsequent submittals of the same rule
that attempt to correct the same specifically identified problems
will not be eligible for conditional approval.

Sanctions and FIP Requirements

Actions that Trigger the Sanctions and PIP Requirements

     The actions EPA has the authority to take under the
sanctions and FIP provisions of the Act correspond to the
different steps EPA must follow as it reviews and processes SIP
submittals.  As discussed previously, the Act in section 179s
requires EPA to impose sanctions based on four types of actions
(findings*)  provided in section 179(a):

     (1)  a finding that a State has failed to submit a SIP, a
          SIP element,7 or has submitted a SIP or SIP element
          that does not satisfy the completeness criteria;

     (2)  that EPA disapproval of a SIP submission for a
          nonattainment area based on its failure to meet one or
          more elements required by the Act;

     (3)  a determination that the State has not made any other
          submission, has made an inadequate submission (as
          required by the Act), or that EPA disapproves such a
          submission; or

     (4)  a finding that a requirement of an approved plan is not
          being implemented.
      5     section 110(m)  grants  EPA broad authority to  apply
 either  sanction listed in section 179(b)  "...  at any time (or
 at any  time after)  a finding  ..." under section 179(a)  with
 respect to any portion of the State, with certain exceptions.
 This memorandum is intended to address the application  of
 sanctions under section 179.   The section 179 sanctions apply
 only to the area for which a  finding has  been made.

           Although subsections (l)-(4) refer to findings,
 determinations and disapprovals, for simplicity these four
 actions will be referred to as "findings."

      7     Since EPA does not  intend to issue a list of  such
 elements per se, to ensure that  such findings are consistently
 applied  findings of failure  to  submit SIP elements should be
 decided on a case-by-case basis  in conjunction with Headquarters,
 The basis for the finding should be clear and well-supported.

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     Under section 110(c)(l), EPA is required to promulgate a FIP
based on two types of findings:*

     (1)  a finding that a State has failed to make a required
          submittal or that a submittal does not satisfy the
          minimum completeness criteria established under section
          110(k)(l)(A), or

     (2)  the EPA disapproval of a SIP submittal in whole or in
          part.

The Sanctions and FIP Clocks

     Although EPA may make any of the findings discussed above to
trigger the 179(a) sanctions and 110(c)(l) FIP requirements,
these findings do not require the immediate imposition of
sanctions or promulgation of a FIP.  Instead the Act provides a
"clock" for sanctions and FIP's.  For plan submittals required
under Part D or in response to a SIP call, section 179(a) allows
for up to 18 months for the State to correct the deficiency that
is the subject of a finding or disapproval before EPA is required
to impose sanctions.  Section 110(c)(l) provides for up to
2 years for the State to correct the deficiency and for EPA to
approve a new submittal before EPA is obligated to promulgate a
FIP.

     The Administrator has delegated the authority to make
findings of failure to submit to the RA's.  The findings are made
via  letters from the RA's to State governors or other State
officers to whom authority has  been delegated.  The letter  itself
triggers the sanctions and FIP  clocks.  For disapprovals, the
Federal Register notice in which EPA takes final action triggers
the  sanctions and FIP  clocks.   Findings of nonimplementation have
traditionally been processed as rulemaking actions through
Headquarters.  The sanctions clock will start when EPA makes a
finding of  nonimplementation in the Federal Register  after
soliciting  comment on  the proposal  (the FIP clock is  not
triggered by such a  finding).   Although the findings  of  failure
to  submit and  SIP disapproval start both the sanctions and  FIP
clocks, what is required  to  stop the clocks differs;  therefore,
they are discussed separately.  Note that  in some cases  the
sanctions clock may  be stopped  while EPA remains under an
obligation  to  promulgate  a FIP.
      9
      Since the deficiency is a failure to implement after a State
 has submitted a plan and EPA has approved it,  it is unnecessary
 for this finding to trigger a requirement that EPA develop the
 required rule (i.e., prepare a FIP) and section 110(c)(l) does
 not require it. ^

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                                10

     Sanctions Clock

     Under section 179(a), in order to stop the sanctions clock,
the State must correct the "deficiency" prompting the finding.
The EPA must apply one of the two sanctions available under
section 179(b) within 18 months after the date of the finding and
both sanctions at 24 months, unless the deficiency has been
corrected.  Section 179(a) also requires EPA to apply both
sanctions after 18 months if EPA finds a lack of good faith on
the part of the State.

     Attachment 3 provides seven scenarios illustrating how the
sanctions clock operates, including examples of what constitutes
a deficiency correction (and hence a stopping of the clock).
In brief, for purposes of the sanctions clock, findings of
failure to submit plans or complete plans are corrected when EPA
finds the submittal complete' [although the FIP clock is still
running (see FIP clock discussion)] and disapprovals are
corrected when EPA takes final rulemaking action approving the
plan.  In addition, findings of nonimplementation are corrected
when EPA makes a finding in the Federal Register that the State
is now implementing that provision.

     FIP Clock

     Under the FIP provisions, either a SIP must be  approved  or a
FIP must promulgated within 2 years of one of the two findings
discussed above.  In other words, EPA must approve the  State
submittal in order to stop the FIP clock.  Where the sanctions
and FIP clocks were started by EPA disapproval of a  plan, the
clocks will run concurrently.  In this case, to correct the
deficiency for purposes of the sanctions clock, the  State must
make a submittal which EPA finds approvable.  Such a
determination is not made until EPA issues a final approval of
the plan.  Final approval of a plan is also what is  needed to
stop the FIP clock.  Attachment 3 provides seven scenarios of how
the FIP clock operates.
      '     Where EPA made a  finding of failure to submit and
 subsequently finds that the State has made a complete submittal
 for the plan or plan element that was the subject of the finding,
 the letter that makes the finding of completeness will notify the
 State that the sanctions clock is stopped as of the date of that
 letter.  The Region should  periodically announce any such
 findings that represent corrections of failure to submit in the
 FederalRegisteE.

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                                11

Available Sanctions

     For plan submittals required under Part D or in response to
a SIP call, if the State does not correct the specific deficiency
within the 18-month period allowed under section 179(a), EPA must
apply at least one of the two sanctions available under section
179(b)10 as described:

     (1)  Highway funding sanctions.  The EPA may impose a
          prohibition on the approval by the Secretary of
          Transportation of certain projects, or the awarding of
          certain grants.

     (2)  Offset sanctions.  A ratio of at least 2-to-l will be
          required for emissions reductions within the
          nonattainment area to offset emissions from new or
          modified major facilities  (as required under section
          173).

Regions should determine which of the sanctions will be applied
at the 18- and 24-month milestones on a case-by-case basis.  As
discussed previously, EPA must apply both sanctions at the
18-month mark if it finds there is a lack of good faith effort.
Such a determination should be made on a case-by-case basis  in
consultation with Headquarters.  In addition, once one of the
sanctions has been imposed, EPA must impose the second sanctions
if the deficiency has not been corrected within 6 months
 (regardless of the State's efforts).  Headquarters will issue a
proposal of the sanctions and the Regional Office will  issue the
final rule imposing sanctions.

Conclusion

     General comments on  this memorandum should be directed  to
 Pam  Johnson of the Regional Operations Branch at  (919)  541-5270.
 Comments related specifically to ozone or carbon monoxide  should
 be directed to Carla Oldham at  (919)  541-3347.  Comments related
 to particulate matter,  sulfur dioxide, or lead  should be directed
 to Chris Stoneman  at  (919)  541-0823.

 cc:  Regional Air  Counsels, Regions  I-X
     Chief, Air Programs  Branch, Regions  I-X
     Jane  Armstrong, QMS  (Ann Arbor)
     William  Becker,  STAPPA/ALAPCO
     Denise Devoe, OAQPS  (ANR-443)
      10    In addition, section 179(a) provides for an air
 pollution grant sanction that applies to grants EPA may award
 under section 105.  However, since it is not a sanction provided
 under section 179(b), it is not one of the sanctions EPA must
 impose after the- 18-month period.

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                           12
Tom Helms, AQMD (MD-15)
Bill Laxton, TSD (MD-14)
Ed Lillis, AQMD (MD-15)
Rich Ossias, OGC (LE-132A)
Joe Paisie, AQMD (MD-15)
John Rasnic, SSCD  (EN-341W)
John Seitz, OAQPS  (MD-10)
Paula Van Lare, QMS  (ANR-445)
Lydia Wegman, OAQPS  (MD-10)

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                          Attachment  1
Example 1

     A State submits a SIP revision containing four rules: (1)
control requirements for bulk gasoline plants, (2) control
requirements for gasoline dispensing facilities (Stage I), (3)
leak detection requirements for gasoline tanks trucks, and (4)
test methods that apply to these three rules.  The EPA review of
the rules shows that all of the rules except the Stage I rule
meet the applicable requirements of the Act.  The Stage I rule
fails to require submerged fill loading for all storage tanks.
This is inconsistent with EPA's RACT guidance and the State has
failed to propose an alternative that it has demonstrated is RACT
for the applicable sources.

partial Approval

     Under the partial approval option, EPA can approve the rules
for bulk terminals and tank truck leaks, approve the test
methods, and disapprove the Stage I rule.  These rules are
separable from the Stage I rule.  Disapproval of the Stage I rule
does not affect the stringency of the other three rules.
Therefore, the other three rules may be approved under this
provision.  However, the subraittal as a whole would only be
partially approved.

Limited  Approval of Staae I Rule
          .  the  limited  approval  approach,  EPA  could  approve  the
 Stage  I  rule  as being an improvement over  what is  currently  in
 the  SIP  and,  at the  same time  or within a  reasonable time  after
 the  approval  (but  no later than  12  months  after the  submittal is
 complete),  disapprove the rule because it  does not represent
 RACT.  The  sanctions and FIP clocks would  start upon the final
 disapproval of  the rule.

 Conditional Approval

      Alternatively,  EPA could  conditionally approve  the Stage I
 rule if  the State  committed to revise the  rule, within 1 year of
 the  conditional approval, to require submerged fill  loading. If
 the  State then  failed to make  such a revision, EPA would issue  a
 finding  converting the  conditional approval to a disapproval.

 Example  2

      If  in example 1 the first three rules (containing control
 requirements) are  all approvable but the fourth (containing the
 test methods) is  either deficient or has not been submitted, then
 the submittal would have to be handled differently.   Because a
 test method is  critical in determining the stringency of a
 control  requirement and is needed for the requirements to be
 enforceable,  these rules cannot be considered separable and,
 therefore, partial approval would not be an option.  In addition,
 because the control requirements will not be enforceable without
 a test method,  it would not be appropriate to use either the
 limited or conditional  approval approach.

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Example 3

     A State submits a SIP revision that contains four PM-10
rules, two for controlling emissions of fugitive dust and two for
the control of.residential wood combustion.  The rules represent
reasonable available control measures (RACM) and include (1)
paving or stabilizing unpaved roads, (2) developing a traffic
reduction plan for unpaved roads, (3) a mandatory episode
curtailment program for residential wood combustion, and (4)
encouraging changeover to new source .performance standards and
wood stoves.  The third rule is deficient in that it .does not
provide a communication strategy on which the curtailment program
is dependent.

Partial Approval

     The EPA may approve the three rules which satisfy RACM but
disapprove the episode curtailment program as failing to meet the
RACM requirement.  These rules are separable because disapproval
of the curtailment program will not have any effect on the
stringency or enforceability of the remaining rules.

Limited Approval

     The EPA may approve the episode curtailment plan as
strengthening the SIP by providing enforceable measures in a SIP
which currently has no curtailment program.  At the same time or
within a reasonable time after the approval (but no later than 12
months after the submittal is complete), EPA must disapprove the
rule  as not representing RACM.  Final disapproval of the rule
would start the sanctions and FIP clocks.

Conditional Approval

      The EPA may conditionally approve the rule if the State
submits a comaitment to submit a revised rule within 1 year of
the approval.  If the State then failed to make such a revision,
EPA would issue a finding converting the conditional approval to
a  disapproval.

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         Attachment 3: Sanctions and FIP Clocks Scenarios
                   f


Scenario 1:    The EPA receives a  SIP  and finds it incomplete
               .prior  to the statutory  due date of the SIP.

     Although  a finding that the State submitted an incomplete
SIP is one of  the section  179(a) findings, the sanctions and FIP
clocks will not begin to run until after a submittal is due.
This is because the finding must be based on the failure to
submit a complete required SIP or  SIP  element and the submittal
is not required until it is due under  the statute.  If a SIP
"submitted prior to a  due date is still incomplete by the due
date, then EPA will notify the State by letter that the plan
remains incomplete and that the 18-month sanctions clock and the
2-year FIP clock have started.

Scenario 2:    The EPA receives a  SIP  and finds it incomplete on
               or after the statutory  due date of the SIP.

     If EPA receives  a SIP and finds it incomplete pursuant to
section  110(k) on or  after the statutory due date of the SIP,
then, as in scenario  1, the State  has  failed to make a complete
submittal under section 179(a).  The EPA will notify the State by
letter that the plan  is incomplete and that the 18-month
sanctions clock and the 2-year FIP clock have started.

Scenario 3:    The EPA receives no submittal at the due date.

     If  EPA receives  no submittal  from a State to meet a
statutory due  date, then  it may make a finding of failure to
submit under section  179(a)(l), triggering the 18-month  sanctions
clock and the  2-year  FIP  clock.

 Scenario 4:    After  the  due date, EPA receives a SIP for which
               it  originally made  a finding of failure to submit.

     Upon receiving the plan,  the  sanctions clock will continue
to run during  the  completeness  review  and be stopped if  EPA finds
 the plan complete  and continue  if  EPA  finds the plan incomplete.
 If the  18 months elapse during  the time EPA is  doing its
 completeness  review,  EPA  will  not  impose  sanctions  unless  it
determines  the plan incomplete.   If sanctions  have  been  imposed
 prior to the  State's  submittal,  the sanctions  will  remain  in
 place until EPA  determines the submittal  complete.

      The FIP  clock continues  to run while  EPA makes its
 completeness  determination.

 Scenario 5:   The EPA originally  makes a  finding of  failure to
                submit,  then receives a SIP,  finds it  complete,
               but disapproves it in final  rulemaking.

      Upon a determination that the SIP is complete, the  State
 corrects the deficiency that prompted the  finding of  nonsubraittal
 and the sanctions clock stops.   A new sanctions clock will start

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upon the final SIP disapproval rulemaking.  The new sanctions
clock will not stop until EPA has taken final action to approve
the revised SIP submittal.

     Even after the submittal is determined to be complete, EPA
remains under obligation to promulgate a FIP.  Therefore, the
disapproval of the SIP does not start a new FIP clock.

Scenario 6;    The EPA originally makes a finding of failure to
               submit, then receives a SIP, finds it complete,
               and approves it in final rulemaking.

     Upon a determination that the SIP is complete, the State
corrects the deficiency prompting the finding of nonsubmittal and
the sanctions clock stops.  The EPA remains under obligation to
promulgate a FIP until EPA takes final rulemaking action to
approve the SIP.

Scenario 7:    The EPA finds that a State has failed to implement
               a SIP or SIP provision.

     The EPA will make a  finding of nonimplementation in the
Federal Register after soliciting comment on the proposal.  The
sanctions clock will start upon EPA taking final action and stop
when EPA makes a finding  in the Federal Register after notice-
and-comment rulemaking that the State has corrected the
deficiency that prompted  the finding.  A  finding of
nonimplementation does not start a FIP clock.

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REFERENCES FOR SECTION 9.5

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Thursday- ;
April 16, 1992
Part  111



Environmental

Protection  Agency

40 CFR Part 52
State Implementation Plans; General
Preamble for the Implementation of Title
I of the Clean Air Act Amendments of
1990; Proposed Rule

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           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                Office of Air Quality Planning and Standards
                Research Triangle Park. North Carolina 27711
                        JUL  91992
MEMORANDUM

SUBJECT:
Processing of State Implementati6h PIan.*tSIP)
Submittals                  .       /'/   /
                                   .*  -   f-
FROM:     John Calcagni ,  Director •'- '.--t-^
          Air Quality Management Division, OAQP/S'"'(MD-15)

TO:       Director, Air,  Pesticides and Toxics       '
            Management Division,' Regions  I and  IV
          Director, Air and Waste  Management  Division,
            Region  II
          Director, Air,  Radiation, and Toxics  Division,
            Region  III
          Director, Air and Radiation  Division,
            Region  V
          Director, Air,  Pesticides, and  Toxics Division,
            Region  VI
          Director, Air and Toxics Division,
            Regions VII,  VIII,  IX, and X
     This memorandum provides  guidance concerning the processing
of SIP submittals.   In general,  there are  three situations that
can occur related to each required submittal:   the State may fail
to submit the  required plan, the State may make a submittal that
is not complete, or the State  may make a complete subraittal.
Once a State submits a SIP and the Environmental Protection
Agency (EPA) has determined that the submittal is complete, EPA
must either approve or disapprove the submittal within a
specified time period.  However, if the State  fails to make a
required submittal  or makes a  submittal that is determined tc be
incomplete, the sanctions and  Federal implementation plan (FIP)
provisions of  sections 179 and 110(c), respectively, will be
triggered.  In addition, disapproval of a  submittal also triggers
the sanctions  and FIP provisions.  These provisions are discussed
in further detail in this memorandum.

     There are, however, three alternatives to full approval or
full disapproval of a complete SIP submittal:   partial approval,
limited approval, and conditional approval.  Each of these is
discussed  in more detail below along with  some guidance as to
when each might be  used.  In addition, Attachment 1 to this

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memorandum contains several examples of how these may be used.
Attachment 2 'to this memorandum is a table that summarizes the
requirements discussed below.

Partial Approval/Disapproval

     Section 110(k)(3) of the amended Clean Air Act (Act)
addresses the situation in which an entire submittal, or a
separable portion of a submittal, meets all applicable
requirements of the Act.  Where the entire submittal meets all
the requirements of the Act, EPA will fully approve the entire
submittal.  In the case where a separable portion of the
submittal meets all of the applicable requirements, partial
approval may be used to approve that part of the submittal and
disapprove the remainder.  It is important that the two parts of
the submittal be separable.  By separable, EPA means that the
action it anticipates taking will not result in the approved
rule(s) being more stringent than the State anticipated.  See
Bethlehem Steel Corp. v. Gorsuchf 742 F. 2d 1028 (7th Cir. 1984);
Indiana and Michigan Elec. Co. v. U.S. E.P.A.f 733 F. 2d 489 (7th
Cir. 1984).  For example, EPA cannot approve part of a submittal
that specifies control measures and disapprove the part that
specifies the test methods associated with those control
measures.  The EPA has frequently taken a partial approval
approach in the past to process groups of rules that are
submitted together.  The EPA can approve some of the rules and
disapprove the rest as long as the rules that are disapproved do
not affect those that are approved.  The disapproval of any part
of a required SIP submittal starts the clocks discussed above for
sanctions and FIP's.

Limited Approval/Disapproval

     In some cases, a submittal may contain certain provisions
that meet the applicable requirements of the Act along with other
provisions that do not meet the requirements, and the provisions
are not separable.  Although the submittal may not meet all of
the applicable requirements, EPA may want to consider whether the
submittal as a whole has a strengthening effect on the SIP.  If
that is the case, limited approval may be used to approve a rule
that strengthens the existing SIP as representing an improvement
over what is currently in the SIP and as meeting some of the
applicable requirements of the Act.

     The Act does not expressly provide for limited approvals.
Rather, EPA is using its "gap-filling" authority under section
301(a) of the Act in conjunction with the section 110(k)(3)
approval provision to interpret the Act to provide for this type
of approval action.

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     Through a limited approval, EPA would concurrently, or
within a reasonable time thereafter, disapprove the rule, under
the relevant provision(s) of Part D, for not meeting all of the
applicable requirements of the Act.  As with the limited approval
action the limited disapproval is a rulemaking action, and it is
subject to notice and comment.  Under section 110(k), EPA must
take final rulemaking action on SIP submittals within 12 months
of the date EPA determines the submittal is complete-or the
submittal is automatically deemed to be complete if EPA fails to
make a completeness determination.  As a general matter, although
the statute directs EPA to act within that timeframe, EPA's
failure to finalize the disapproval portion of the action within
that 12-month timeframe will not affect the validity of any prior
or subsequent limited approval or limited disapproval.1  The
EPA's failure to take action prior to the expiration of the 12-
month period could, however, subject EPA to a lawsuit to compel
such an action.

     A key distinction between the limited approval and a partial
approval is that under a limited approval EPA's approval action
goes to the entire rule.  In other words, although portions of a
rule prevent EPA from finding that the rule meets a certain
requirement of the Act, EPA believes that the rule,.: as a whole,
strengthens the SIP.  Therefore, EPA approves the entire rule—
even those portions that prohibit full approval.  Likewise, when
EPA issues the limited disapproval, the disapproval-, applies to
the entire rule as failing to meet a specific requirement of the
Act.  The rule remains a part of the SIP, however, under the
limited disapproval, because the rule strengthens the  SIP.  The
disapproval only applies to whether the submittal meets a
specific requirement of the Act and does not affect  incorporation
of the rule into the approved, federally enforceable SIP.

     The primary advantage to using the limited approval approach
is to make the State submittal federally enforceable and to
increase the SIP's potential to achieve additional reductions.
Therefore, limited approval should not be used to approve any
rule that is unenforceable for all situations—for example, a
rule that lacks a test method.  These rules and any  other rules
that do not have an overall strengthening effect on  the  SIP
should be disapproved.   Limited approval can be used,  however,
      1     The March 22, 1991 memorandum from John Calcagni
 discussed the potential impact of Abramowitz v.  U.S.  E.P.A.,  832,
 F.  2d 1071 (9th Cir. 1988), on EPA's decision to split the
 approval and disapproval portions of a limited approval.   After
 reevaluating that case, we believe it may have a narrower impact
 than initially described and, therefore, generally would  not
 impact the timing of limited approval/disapproval actions.

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where the rule is unenforceable for some limited number of
situations but? is enforceable for the majority of situations, if
the rule, as a whole, strengthens the SIP.

     The disapproval coinciding with (or following) the limited
approval also starts the sanctions and FIP clocks discussed
above.  With the limited approval EPA may or may not have a
commitment from the State to correct the deficiency.  The EPA may
choose to use the limited approval approach (instead of
conditional approval) in the case where the State has submitted a
commitment as part of a rule but EPA has reason to believe that
the State will not be able to meet the commitment (as discussed
below).  Where a limited approval/disapproval approach is taken,
the notice of proposed ruleraaking (NPR) should clearly identify
which requirements have not been met and what action would be
required on the part of the State to meet those requirements.

Conditional Approval

     Under section 110(k)(4) of the Act EPA may conditionally
approve a plan based on a commitment from the State to adopt
specific enforceable measures within 1 year from the date of
approval.  If the State fails to meet its commitment within the
1-year period, the approval is treated as a disapproval.  We
expect that conditional approvals will be used only in rare
situations that merit special consideration.  We will evaluate
specific types of SIP submittals [e.g., reasonably available
control technology (RACT) catch-ups, particles with an
aerodynamic diameter less than or equal to a nominal 10
micrometers (PM-10) SIP's] to determine whether certain elements
of that type of submittal, or that type of submittal as a whole,
merit conditional approval.  For this reason and to ensure
consistency, Regions should not use conditional approvals without
input from Headquarters as to whether such an approach is
appropriate.  Furthermore, as any statutory deadline approaches,
we may issue guidance regarding the appropriate use of
conditional approval with respect to that specific requirement.

     Once a determination has been made that a specific type of
submittal can be considered for conditional approval, Regions
must make a determination of whether an individual State
submittal should be conditionally approved.  The first
consideration should be whether the State has made  (or agrees to
make) a commitment to adopt specific enforceable measures within
1 year of EPA approval.  The commitment must be made in writing

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by the party responsible for adopting the specified measures
before the plan is conditionally approved, and the commitment
must be submitted by the State.2

     In addition, to the extent that the commitment materially
alters the existing rule (in respects that the public could not
reasonably have anticipated would result from the public review
of the existing rule), or is a commitment to adopt an entire rule
or set of rules, the commitment must be a SIP revision submittal
by the State.  In many cases, the determination of whether the
commitment materially alters the underlying rule may be based on
whether a similar issue was raised during the earlier State
proceedings on the submitted rule.  In general, each commitment
will need to be examined to determine whether it materially
alters the submitted rule.  As with any SIP revision, in order
for EPA to accept the commitment as a SIP revision, the State
must have provided notice and public hearing on the submitted
commitment.  However, EPA has the discretion to parallel process
commitments and in limited circumstances may propose conditional
approval of the commitment and allow the State process to proceed
on a parallel track.

     As a general matter, the greater the extent to which a
submittal is lacking in important plan elements, the less
appropriate the use of conditional approval may be.  It should be
noted, however, that there may be circumstances under which EPA
would accept a SIP revision consisting of a commitment only
(without specifically adopted rules) as a candidate for
conditional approval.  In such cases, the commitment should also
be accompanied by a work plan detailing any specific measures to
be adopted, the steps that will be taken to adopt the measures,
and the schedule for adoption of those measures.  As stated
earlier, a submittal that consists entirely of a commitment will
be considered a SIP revision that is subject to the State process
for submitting SIP revisions, e.g., notice and a public hearing.

     Where the submittal contains specifically adopted rules that
need some revisions or corrections to be fully-approvable, the
commitment may not need to be as comprehensive.  The commitment
should, however, be as explicit as possible concerning the
measures that will be adopted, the steps that will be taken to
adopt the measures, and the schedule for adoption of those
measures.
      2     Although the commitment must identify the measures  to
 be adopted and contain a schedule for adopting such measures,  it
 is not necessary for the commitment itself to be enforceable  in a
 State court.

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     Because the conditional approval relies on a commitment from
the State, EPA would need some level of confidence that the State
would be able to meet such a commitment,  in making a
determination as to whether a State could reasonably be expected
to meet its commitment, EPA would need to consider a number of
factors such as:

          the amount of technical work necessary for"the measures
          to be adopted;
          whether adoption of the measures is expected to be
          controversial;
          the average length of the State adoption process;
          how far along in the process the State is; and
          the State's past track record.

It should be noted that these are only some of the factors that
should be considered.  Each Region, in making a determination
regarding the credibility of the State's commitment, may have to
look at a number of other factors.  The Region should clearly
explain, either in the NPR or in a technical support document,
the rationale for these determinations.

     In addition to the determination of whether the State's
commitment is credible, the Region must make a determination as
to whether it is appropriate to conditionally approve a revision
on the merits of that revision.  Conditional approval might
typically be used in the same types of situations as the limited
approval.  As with the limited approval, one of the main
advantages of the conditional approval approach is to make the
State submittal (where the submittal contains control
requirements and not just a commitment to adopt enforceable
measures) federally enforceable and to increase its potential to
achieve additional reductions.  Because the conditionally
approved submittal will become a part of the SIP, the Region
should be certain that the approval of the commitment will not
weaken the existing SIP.  The Region may also want to consider
when the plan (or plan element) that has been submitted was due.

     The NPR for a conditional approval should clearly identify
which requirements are the subject of the commitment and,
therefore, have not been met.  In addition, both the NPR and the
State's commitment should clearly identify what action is
required on the part of the State.  Unlike the limited
approval/disapproval, the conditional approval does not
immediately start the sanctions and FIP clocks.  These clocks
start if and when the approval is converted to a disapproval.


     There are at least two ways that the conditional approval

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may be converted to a disapproval.3  First,  if the State fails
to adopt and submit the specified measures by the end of I year
(from the final conditional approval), or fails to submit
anything at all, EPA will have to issue a finding of disapproval
but will not have to propose the disapproval.  That is because in
the original proposed and final conditional approval, EPA will
have provided notice and an opportunity for comment on the fact
that EPA would directly make the finding of disapproval (by
letter) if the State failed to submit anything.*  Therefore,  at
the end of 1 year from the conditional approval, the Regional
Administrator (RA) will send a letter to the State finding that
it had failed to meet its commitment and that the SIP submittal
is disapproved.  The 18-month clock for sanctions and the
2-year clock for a FIP start as of the date of the letter.
Subsequently, a notice to that effect will be published in the
Federal Register, and appropriate language will be inserted in
the Code of Federal Regulations.  Similarly, if EPA receives a
submittal addressing the commitment but determines that the
submittal is incomplete, the RA will send a letter to the State
making such a finding.  As with the failure to submit, the
sanctions and FIP clocks will begin as of the date of the finding
letter.

     Second, where the State does make a complete submittal by
the end of the 1-year period, EPA will have to evaluate that
submittal to determine if it may be approved and take final
action on the submittal within 12 months after the;date EPA
determines the submittal is complete.  If the submittal does not
adequately address the deficiencies that were the subject of the
conditional approval, and is therefore not approvable, EPA will
have to go through notice-and-comment rulemaking to disapprove
the submittal.  The 18-month clock for sanctions and the 2-year
clock for a FIP start as of the date of final disapproval.  If
EPA determines that the rule is approvable, EPA will propose
approval of the rule.  In either instance, whether EPA finally
approves or disapproves the rule, the conditional approval
remains in effect until EPA takes its final action.
     3    It should be noted that this disapproval can be a
limited approval/disapproval.  In some cases, the Regions may
want to use such an approach to retain the enforceability of
control measures.  The NPR should indicate if this approach is
planned.

     4    To provide for this contingency, in the final
conditional approval, EPA would need  to provide, for example, "If
the State fails to make a submittal or makes only an incomplete
submittal during the time period for  submittal of the rule, EPA
will issue a letter to the State which converts the conditional
approval to a disapproval."

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                                8

     It should be noted that EPA will conditionally approve a
certain rule only once.  Subsequent submittals of the same rule
that attempt to correct the same specifically identified problems
will not be eligible for conditional approval.

Sanctions and FTP Requirements

Actions that Trigger the Sanctions and PIP Requirements

     The actions EPA has the authority to take under the
sanctions and FIP provisions of the Act correspond to the
different steps EPA must follow as it reviews and processes SIP
submittals.  As discussed previously, the Act in section 1795
requires EPA to impose sanctions based on four types of actions
(findings')  provided in section 179(a):

     (1)  a finding that a state has failed to submit a SIP, a
          SIP element,7 or has submitted a SIP or SIP element
          that does not satisfy the completeness criteria;

     (2)  that EPA disapproval of a SIP submission for a
          nonattainment area based on its failure to meet one or
          more elements required by the Act;

     (3)  a determination that the State has not made any other
          submission, has made an inadequate submission (as
          required by the Act), or that EPA disapproves such a
          submission; or

     (4)  a finding that a requirement of an approved plan is not
          being implemented.
     5    Section 110(m) grants EPA broad authority to apply
either sanction listed in section 179(b) "... at any time  (or
at any time after) a finding  ..." under section 179(a) with
respect to any portion of the State, with certain exceptions.
This memorandum is intended to address the application of
sanctions under section 179.  The section 179 sanctions apply
only to the area for which a  finding has been made.

     6    Although subsections (l)-(4) refer to findings,
determinations and disapprovals, for simplicity these four
actions will be referred to as "findings."

     7    Since EPA does not  intend to issue a list of such
elements per se, to ensure that such findings are consistently
applied, findings of failure  to submit SIP elements should be
decided on a case-by-case basis in conjunction with Headquarters
The basis for the finding should be clear and well-supported.

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     Under section 110(c)(l), EPA is required to promulgate a FIP
based on two types of findings:*

     (1)  a finding that a State has failed to make a required
          submittal or that a submittal does not satisfy the
          minimum completeness criteria established under section
          110(k)(l)(A), or

     (2)  the EPA disapproval of a SIP submittal in whole or in
          part.

The Sanctions and FIP Clocks

     Although EPA may make any of the findings discussed above to
trigger the 179(a) sanctions and 110(c)(l) FIP requirements,
these findings do not require the immediate imposition of
sanctions or promulgation of a FIP.  Instead the Act provides a
"clock" for sanctions and FIP's.  For plan submittals required
under Part D or in response to a SIP call, section 179(a) allows
for up to 18 months for the State to correct the deficiency that
is the subject of a finding or disapproval before EPA is required
to impose sanctions.  Section 110(c)(l) provides for up to
2 years for the State to correct the deficiency and for EPA to
approve a new submittal before EPA is obligated to promulgate a
FIP.

     The Administrator has delegated the authority to make
findings of failure to submit to the RA's.  The findings are made
via letters from the RA's to state governors or other State
officers to whom authority has been delegated.  The letter itself
triggers the sanctions and FIP clocks.  For disapprovals, the
Federal Register notice in which EPA takes final action triggers
the sanctions and FIP clocks.  Findings of nonimplementation have
traditionally been processed as rulemaking actions through
Headquarters.  The sanctions clock will start when EPA makes a
finding of nonimplementation in the Federal Register after
soliciting comment on the proposal  (the FIP clock is not
triggered by such a  finding).   Although the findings of failure
to submit and SIP disapproval start both the sanctions and FIP
clocks, what is required to  stop the clocks differs; therefore,
they are discussed separately.  Note that in some cases the
sanctions clock may  be stopped  while EPA remains under an
obligation to promulgate a FIP.
      Since the deficiency is a failure to  implement after a State
 has submitted a plan and EPA has approved  it,  it is unnecessary
 for this finding to trigger a requirement  that EPA develop the
 required rule (i.e., prepare a FIP)  and section 110(c)(l) does
 not require it._

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                                10

     Sanctions Clock

     Under section 179(a), in order to stop the sanctions clock,
the State must correct the "deficiency" prompting the finding.
The EPA must apply one of the two sanctions available under
section 179(b) within 18 months after the date of the finding and
both sanctions at 24 months, unless the deficiency has been
corrected.  Section 179(a) also requires EPA to apply both
sanctions after 18 months if EPA finds a lack of good faith on
the part of the State.

     Attachment 3 provides seven scenarios illustrating how the
sanctions clock operates, including examples of what constitutes
a deficiency correction (and hence a stopping of the clock).
In brief, for purposes of the sanctions clock, findings of
failure to submit plans or complete plans are corrected when EPA
finds the submittal complete' [although the FIP clock is  still
running (see FIP clock discussion)] and disapprovals are
corrected when EPA takes final rulemaking action approving the
plan.  In addition, findings of nonimplementation are corrected
when EPA makes a finding in the Federal Register that the State
is now implementing that provision.

     FIP Clock

     Under the FIP provisions, either a SIP must be approved or a
FIP must promulgated within 2 years of one of the two findings
discussed above.  In other words, EPA must approve the State
submittal in order to stop the FIP clock.  Where the sanctions
and FIP clocks were started by EPA disapproval of a plan, the
clocks will run concurrently.  In this case, to correct the
deficiency for purposes of the sanctions clock, the State must
make a submittal which EPA finds approvable.  Such a
determination is not made until EPA issues a final approval of
the plan.  Final approval of a plan is also what is needed to
stop the FIP clock.  Attachment 3 provides seven scenarios of how
the FIP clock operates..
     9    Where EPA made a finding of failure to submit and
subsequently finds that the State has made a complete submittal
for the plan or plan element that was the subject of the finding,
the letter that makes the finding of completeness will notify the
State that the sanctions clock is stopped as of the date of that
letter.  The Region should periodically announce any such
findings that represent corrections of failure to submit in the
Federal Register.

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                                11

Available Sanctions

     For plan subraittals required under Part D or in response to
a SIP call, if the State does not correct the specific deficiency
within the 18-month period allowed under section 179(a), EPA must
apply at least one of the two sanctions available under section
179(b)10 as described:

     (1)  Highway funding sanctions.  The EPA may impose a
          prohibition on the approval by the Secretary of
          Transportation of certain projects, or the awarding of
          certain grants.

     (2)  Offset sanctions.  A ratio of at least 2-to-l will be
          required for emissions reductions within the
          nonattainment area to offset emissions from new or
          modified major facilities (as required under section
          173).

Regions should determine which of the sanctions will be applied
at the 18- and 24-month milestones on a case-by-case basis.  As
discussed previously, EPA must apply both sanctions at the
18-month mark if it finds there is a lack of good faith effort.
Such a determination should be made on a case-by-case basis in
consultation with Headquarters.   In addition, once one of the
sanctions has been imposed, EPA must impose the second sanctions
if the deficiency has not been corrected within 6 months
(regardless of the State's efforts).  Headquarters will issue a
proposal of the sanctions and the Regional Office will issue the
final rule imposing sanctions.

Conclusion

     General comments on this memorandum should be directed to
Pam Johnson of the Regional Operations Branch at  (919) 541-5270.
Comments related specifically to  ozone or carbon monoxide should
be directed to Carla Oldhara at  (919) 541-3347.  Comments related
to particulate matter, sulfur dioxide, or lead should be directed
to Chris Stoneman at (919) 541-0823.

cc:  Regional Air Counsels, Regions I-X
     Chief, Air Programs Branch,  Regions I-X
     Jane Armstrong, QMS (Ann Arbor)
     William Becker, STAPPA/ALAPCO
     Denise Devoe, OAQPS (ANR-443)
      10    In  addition,  section  179(a)  provides  for  an air
 pollution  grant  sanction that applies  to grants EPA may award
 under section 105.   However, since  it  is not  a  sanction provided
 under section 179(b),  it is  not one of the  sanctions EPA must
 impose after  the 18-month period.

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                           12
Tom Helms, AQMD (MD-15)
Bill Laxton, TSD (MD-14)
Ed Lillis, AQMD (MD-15)
Rich Ossias, OGC (LE-132A)
Joe Paisie, AQMD (MD-15)
John Rasnic, SSCD (EN-341W)
John Seitz, OAQPS (MD-10)
Paula Van Lare, QMS (ANR-445)
Lydia Wegman, OAQPS (MD-10)

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                           Attachment l
Example 1

     A State submits a SIP revision containing four rules: (1)
control requirements for bulk gasoline plants, (2) control
requirements for gasoline dispensing facilities (Stage I), (3)
leak detection requirements for gasoline tanks trucks, and (4)
test methods that apply to these three rules.  The EPA review of
the rules shows that all of the rules except the Stage I rule
meet the applicable requirements of the Act.  The Stage I rule
fails to require submerged fill loading for all storage tanks.
This is inconsistent with EPA's RACT guidance and the State has
failed to propose an alternative that it has demonstrated is RACT
for the applicable sources.

Partial Approval

     Under the partial approval option, EPA can approve the rules
for bulk terminals and tank truck leaks, approve the test
methods, and disapprove the Stage I rule.  These rules are
separable from the Stage I rule.  Disapproval of the Stage I rule
does not affect the stringency of the other three rules.
Therefore, the other three rules may be approved under this
provision.  However, the submittal as a whole would only be
partially approved.

Limited Approval of Stage  I Rule

     Under the limited approval approach, EPA could approve the
Stage I rule as being an improvement over what is currently in
the SIP and, at the same time or within a reasonable time after
the approval (but no later than 12 months after the submittal is
complete), disapprove the  rule because it does not represent
RACT.  The sanctions and FIP clocks would start upon the final
disapproval of the rule.

Conditional Approval

     Alternatively, EPA could conditionally approve the Stage I
rule if the State committed to revise  the rule, within  1 year of
the conditional approval,  to require submerged fill loading.  If
the State then failed to make such a revision, EPA would issue a
finding converting the conditional approval to a disapproval.

Example 2

     If in example 1 the first three rules  (containing  control
requirements) are all approvable but the fourth  (containing the
test methods) is either deficient or has not been submitted, then
the submittal would have to be handled differently.  Because a
test method is critical in determining the  stringency of a
control requirement and is needed for  the requirements  to be
enforceable, these rules cannot be considered separable and,
therefore, partial approval would not  be an option.   In addition,
because the control requirements will  not be enforceable without
a test method,  it would not be  appropriate  to use either  the
limited or conditional approval approach.

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Example 3

     A State submits a SIP revision that contains four PM-10
rules, two for controlling emissions of fugitive dust and two for
the control of.residential wood combustion.  The rules represent
reasonable available control measures (RACM) and include (1)
paving or stabilizing unpaved roads, (2) developing a traffic
reduction plan for unpaved roads, (3) a mandatory episode
curtailment program for residential wood combustion, and (4)
encouraging changeover to new source performance standards and
wood stoves.  The third rule is deficient in that it .does not
provide a communication strategy on which the curtailment program
is dependent.

Partial Approval

     The EPA may approve the three rules which satisfy RACM but
disapprove the episode curtailment program as failing to meet the
RACM requirement.  These rules are separable because disapproval
of the curtailment program will not have any effect on the
stringency or enforceability of the remaining rules.

jLijnited Approval

     The EPA may approve the episode curtailment plan as
strengthening the SIP by providing enforceable measures in a SIP
which currently has no curtailment program.  At the same time or
within a reasonable time after the approval (but no later than 12
months after the submittal is complete), E**A must disapprove the
rule as not representing RACM.  Final disapproval of the rule
would start the sanctions and FIP clocks.

Conditional Approval

     The EPA may conditionally approve the rule if the State
submits a commitment to submit a revised rule within 1 year of
the approval.  If the State then failed to make such a revision,
EPA would issue a finding converting the conditional approval to
a disapproval.

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         Attachment 3: Sanctions and FIP Clocks Scenarios


scenario 1:    The EPA receives a  SIP  and  finds it incomplete
              .prior  to the statutory  due  date of the SIP.

     Although a finding that  the State submitted an incomplete
SIP is one of the section  179(a) findings, the sanctions and FIP
clocks will not begin to run  until after a submittal is due.
This is because the finding must be based  on the failure to
submit a complete required SIP or  SIP  element and the submittal
is not required until it is due under  the  statute.  If a SIP
"submitted prior to a  due date is still incomplete by the due
date, then EPA will notify the State by letter that the plan
remains incomplete and that the 18-month sanctions clock and the
2-year FIP clock have started.

Scenario 2;    The EPA receives a  SIP  and  finds it incomplete on
               or after the statutory  due  date of the SIP.

     If EPA receives  a SIP and finds it incomplete pursuant to
section 110(k) on or  after the statutory due date of the SIP,
then, as in scenario  1, the State  has  failed to make a complete
submittal under section 179(a).  The EPA will notify the State by
letter that the plan  is incomplete and that the 18-month
sanctions clock and the 2-year FIP clock have started.

Scenario 3:    The EPA receives no submittal at the due date.

     If EPA receives  no submittal  from a State to meet a
statutory due date, then it may make a finding of failure to
submit under section  I79(a)(l), triggering the 18-month sanctions
clock and the 2-year  FIP clock.

Scenario 4;    After  the due  date, EPA receives a SIP for which
               it originally  made  a finding of failure to submit.

     Upon receiving the plan, the  sanctions clock will continue
to run during the completeness review  and  be stopped if EPA finds
the plan complete and continue if  EPA  finds the plan incomplete.
If the 18 months elapse during the time EPA is doing its
completeness review,  EPA will not  impose sanctions unless it
determines the plan incomplete.  If sanctions have been  imposed
prior to the State's  submittal, the sanctions will remain in
place until EPA determines the submittal complete.

     The FIP clock continues  to run while  EPA makes its
completeness determination.

Scenario 5:    The EPA originally  makes a  finding of failure to
               submit, then receives a SIP, finds it complete,
               but disapproves it  in final rulemaking.

     Upon a determination  that the SIP is  complete, the  State
corrects the deficiency that  prompted  the  finding of nonsubraittal
and the  sanctions  clock stops.  A  new  sanctions clock will start

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upon the final SIP disapproval rulemaking.  The new sanctions
clock will not stop until EPA has taken final action to approve
the revised SIP submittal.

     Even after the submittal is determined to be complete, EPA
remains under obligation to promulgate a FIP.  Therefore, the
disapproval of the SIP does not start a new FIP clock.

Scenario 6;    The EPA originally makes a finding of failure to
               submit, then receives a SIP, finds it complete,
               and approves it in final rulemaking.

     Upon a determination that the SIP is complete, the State
corrects the deficiency prompting the finding of nonsubmittal and
the sanctions clock stops.  The EPA remains under obligation to
promulgate a FIP until EPA takes final rulemaking action to
approve the SIP.

Scenario 7:    The EPA finds that a State has failed to implement
               a SIP or SIP provision.

     The EPA will make a finding of nonimplementation in the
Federal Register after soliciting comment on the proposal.  The
sanctions clock will start upon EPA taking final action and stop
when EPA makes a finding in the Federal Register after notice-
and-comment rulemaking that the State has corrected the
deficiency that prompted the finding.  A finding of
nonimplementation does not start a FIP clock.

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REFERENCES FOR SECTION 9.6

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                                                rn
              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                       _ WASHINGTON, D.C. 20460
                            MAR.3H988 -^
                                                   OFFICE OF
                                                AIR AND RADIATION
MEMORANDUM ...        :.,. . - -.    .-  •

SUBJECT:. ,Transmittal of OAQPS Interim Control Policy Statement
       .»,-*,.._           	     "  -    s^l     *      _

FROM: '.,~~ John S. Seitz,,-.Director.
          Stationary Source Compl:
        -  Office of Air Quality Planning-, and Standards"
TO:
 Air Management Division Directors ..
 Regions I,  III and IX   -      "  ;

 Air and Waste Management Division Director
 Region II

 Air,  Pesticides and Toxics Management Division
 Directors                  _4
.Regions IV  and VI         \.-'.,..••:.-,  -.      .-.<

 Air and Toxics Division Directors
 Regions VII,  VIII and X                   .- -=  •

 Air and Radiation Division Director
 Region V
     Attached is the final Interim  Control Policy for
developing compliance schedules that  require replacement or
upgrading of existing air pollution control equipment.
Comments solicited from the Air Compliance and Air Programs
Branch Chiefs, OECM, and SSCD by  a  memorandum of January 20,
1988, have been addressed, resulting  in a  few minor language
clarifications and one change to  the  policy.

     The change resulted from a comment on the requirement
to maintain existing controls in  the  interim.  In lieu of
maintaining the operation of the  existing  control equipment
during the interim period, allowance  has been made for
installing interim controls which may be more effective in
reducing emissions.  The usage  of interim  controls may not
result in a delay of the installation of the final control
equipment.

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                            - 2 -

       Also, clarification has been made concerning the
installation of redundant equipment on new control systems.
Design requirements mentioned in this policy apply to those
sources which require continuous operation of the process
equipment.  Temporary shutdown during maintenance periods is
always a possible compliance alternative to adding redundant
control equipment.  The policy now states this specifically.

     One notable recommended change has not been included.
The comment was made that performance bonds should not be
applied to activities.which may be'beyond the control of the
source, such as the delivery of materials.  Installation of
control equipment frequently involves the activities of
several contractors and requires careful scheduling to avoid
delays.  Late delivery of equipment can have a serious adverse
effect on the ability of a source to meet a tight installation
schedule.  A source must take the necessary steps to select
the most reliable, rather than the lowest cost vendor, to
ensure that schedules are met.

     Thank you for your assistance with  the development  of
this policy statement.  If you have questions concerning it,
please contact Pam Saunders of my staff  at FTS 382-2889,
EMail EPA6264.

Attachment

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                    INTERIM CONTROL POLICY
PURPOSE
     The purpose of this policy, is .to "provide uniform criteria
for developing final compliance requirements, schedules, and
interim requirements .for sources in situations 'where failing,
deteriorating or "inadequate air pollution control equipment
must be replaced or upgraded. .- .   -  J. *---:'"-    -    '
      '   '" '.'•''".'...'   ,.•'•.-  •-.."•  - -~'?s*i--'- •-'->••••".'-•'*>
APPLICABILITY"'".'   -.-,    -.--:.-•  -••'-*-: •'-"•- ••"--•    '"    '

     This policy applies to situations:where a  determination  to
rebuild or replace existing control equipment has been  made.
Situations mentioned in this policy may also be subject to
applicable civil penalties as stated in the Civil Penalty
Policy.                              "'-••-"

OBJECTIVES

     The objectives of this policy  are  to require subject
sources to:             .                 :'

     1.  Minimize and continuously monitor emissions during
         the interim period;

     2.  Attain-final and .continuing  compliance as  quickly
         as feasible using all available means;

     3.  Maintain continuous  compliance in the future  by
         appropriate design of the  final control system,
         including the continuous monitoring  of excess
         emissions.

POLICY

INTERIM MEASURES

     Interim measures combined with continued operation and
maintenance of existing controls must be required Wherever
existing controls are inadequate.   During the  interim period
until the new or upgraded control equipment  is operational
and the source is in compliance, emissions  from the source
must not be allowed to increase.  The  existing though
inadequate control equipment  must remain operational to the
maximum extent possible, including  being maintained and

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                            - 2 -

repaired, until such time that construction or tie-in of new
equipment requires its shutdown or removal.  In lieu of
maintaining the existing though inadequate control equipment,
interim controls which offer a higher degree of emission
reduction and are readily and reasonably available may be
installed.  The use of such interim controls shall not unduly
delay the installation of final control equipment.

     When existing control equipment:must be taken off line
to tie-in or complete construction of new or upgraded
equipment, additional interim controls or other interim
measures are required to ensure no increase in excess emissions
occurs during the tie-in period.  Such measures may include
installation of additional temporary control equipment or
operational controls, e.g., curtailment of production rates,
relocation of production to complying process lines or
facilities, purchase of power or product elsewhere as needed,
or temporary shutdown.

     The source should be required to  implement an interim
continuous emissions monitoring program, to enable the agency
to monitor the emissions performance of the source during the
interim period.

COMPLIANCE REQUIREMENTS

     All compliance  schedules must contain  specific milestones
for design, construction, installation and  operation of new
or rebuilt control equipment.  The milestones  should reflect
the shortest feasible schedule  for achieving compliance and
should include, but  not be limited to, the  following:

     1.  Submittal of a control plan,  including necessary
         permit applications,  to  agency;

     2.  Award of major contract(s)  to vendors;

     3.  Delivery of materials  or control  equipment;

     4.  Initiation  of off-site fabrication or on-site
         construction or  installation  of  the  control
         equipment;

     5.  Completion  of  installation  or rebuilding of  control
         equipment;

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                            - 3 -

     6.  Testing and demonstration of final compliance by
         the source.

     Performance bonds or stipulated penalties must be
associated with every milestone specified in the schedule.
To promote an expeditious schedule,  the use of prefabricated
equipment or the use of double or triple shifts for the
construction or installation of equipment should be considered.

CONTINUOUS COMPLIANCE AND MONITORING REQUIREMENTS

     A fundamental principle of this policy is that the source
must make every possible effort to maintain continuous
compliance after the new or rebuilt equipment becomes
operational.  To assure continuous compliance during future
maintenance periods, all new or upgraded equipment must
normally include spare compartments (or units) and parts (or
equipment) that can maintain emissions at a compliance level
while the remainder of the equipment is being replaced,
repaired, or maintained.  In lieu of this, those sources that
do not require continuous availability of the process equipment
may shut down during such periods.

     To assure the ability of the agency to monitor continuous
compliance in the future, the source must periodically report
excess emissions to the appropriate air pollution control.
agency.  This may be accomplished by requiring the  installation,
operation and reporting of data from continuous emissions
monitoring equipment.  These requirements are to be set cut
specifically in the compliance agreement.

-------
REFERENCES FOR SECTION 10.1

-------
United States
Environmental Protection
Agency
Office of Air Quality
Planning And Standards
Research Triangle Park, NC 27711
DRAFT
October 1990
AIR
 &EPA
          New Source Review
           Workshop Manual
       Prevention of Significant Deterioration
                      and
               Nonattainment Area
                   Permitting
                                   Additional
                                    Impacts

-------
         UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
            Office of Air Quality Planning- and Standards
            Research Triangle Park, North"Carolina  27711
APR   8  1980

                                                            .-.\-iIC-50-04-OS-032
New Source Review Requirements  for Lead
Richard G. Rhoads, Director
Control Programs Development Division  (MD-15)

Director, Air and Hazardous Materials  Division,  Regions  I-X

     Recently, several Regions have requested  guidance regarding  new
source review requirements for lead SIPs.

     The  "Supplementary Guidelines for Lead. Implementation Plans"
contains  a brief outline of general SIP requirements.  This  outline
discusses zhose portions of 40 CFR 51  regulations  "Requirements  for
Preparation, Adoption, and Submittal of Implementation Plans"  that were
noz revised to account for the lead standard,  but  which  are  still
applicable to the lead SIPs.  Specifically, the  requirements of  CFR
51.18  Review of New Sources and Modifications  must be satisfied  for lead
SIPs.

     Existing permitting regulations adopted in  accordance with  Section
51.18  may be applicable to lead depending en the specific exemptions
included  in the State's general permitting regulation.   In general,
the NSR  requirement for lead SIPs may be satisfied by simply revising
existing  sermiz regulations to eliminate any exemption of sources
which  have the potential to emit five tons/year  or more  of lead.

     The  source size  limit is based on the definition of a point source
of lead which is  five tons/year actual emissions of lead.  The rationale
for this  limit is based on an analysis contained in the  "Supplementary
Guidelines for Lead Implementation  Plans," pages 75-77.   Briefly, this
rationale indicates that sources which emit five tons/year of lead  .
have the  potential to violate the  ambient standard for  lead.

     If you have  any  questions regarding new source review in lead SIPs,
contact  Susi  Jackson  (629-5365) .of my staff.

cc:  Chief, Air  Branch, Regions  I-X
     Mike Oames,  OGC
     Ed  Reich,  DSSE

-------
REFERENCES FOR SECTION 10.2

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CLEAN AIR ACT
rcasonaoiy available control  measures as
c.xoeditiously  as  practicable  (includine
such reduction in emissions from existing
sources in the area as may be obtained
through the adoption, at a minimum, of
reasonably available  control technology)
and shall provide for attainment of the
national   primary  ambient  air  quality
btanoards.
  (2)  RFP.—Such plan  provisions shall
require reasonable further progress.
  (3)  Inventory.—Such  plan  provisions
:hall include  a comprehensive, accurate.
current inventory of actual emissions from
jill  sources of the relevant pollutant or
pollutants in  such area, includine such
periodic  revisions  as the  Administrator
•nay determine necessary to assure ihat
•.nc requirements of this part are met.
  <'-}   Identification   And  Quantinca-
:ion.—Such clan orovisions snail excressiy
 centify ana auantuv  the emissions, if inv.
01 any such pollutant or ooilutants wmcn
•Aiil be ailowco. in accordance with section
 !"3(a)(l)(B1,  from me construction ana
operation of major new or modified sta-
tionary sources in each  such  area. Tne
plan shall demonstrate 10 the satisfaction
of  the Administrator that  the emissions
quantified for this purpose will be consist-
 ent with the  achievement  of  reasonamc
 further progress and will not interfere with
 attainment of the applicable national am-
 bient  air quality standard by the applica-
 ble attainment date.
    (?) Permits for New and Modified Ma-
 jor Stationary Sources.—Such plan provi-
 sions  snail require permits for the con-
 struction and operation of new or modified
 maior stationary sources anywnere :n :nc
 nonattainment area,  in  accordance '.vim
 action  173.
    (6) Other  Measures.—Such plan provi-
 sions shall  include  enforceable emission
 limitations,  and such other control mea-
 sures, means or techniques (including eco-
 nomic incentives such as fees, marketable
 permits, and auctions of emission  ngntsl.
 as well  as  schedules and timetables for
 comDiiancc. as may oe necessary or aopro-
 pnaie to provide  for attainment of sucn
 standard in  such  area by the appiicaoie
 attainment date specified in this part.
    (7) Comoiiance  With Section  HO(a)-
 (2).—Such plan provisions shall also meet
 the  applicable  provisions   of  section
  (SI Equivalent  Techniques.—Uoon  ao-  snail  orovide for controls whicn  arc  not
plication by any State, the Administrator  less stringent tnan the controls aopticable
may allow the use of equivalent modeling,  .to areas designated nonattainmcnt before
emission inventory, and  planning proce-  ."such relaxation.
dures.  unless the  Administrator deter-  JSec. 172 revised by PL 101-549]
mines that the proposed techniques are:-in  .
the  aggregate,  less  effective . than  the  {     PERMIT REQUIREMENTS
methods specified fay the Administrator.    "   Sec.  173.(a)  In  General—The  permit
  (9) Contingency Measures.—Such plan  "program  required  by  section  I72(b)(6)
shall provide' for the implementation of  shall provide that permits to construct and
specific measures to be undertaken if jhe  operate may be issued if—
                                           (1)  in  accordance with regulations is-
                                        sued by the Administrator for the dctermi-
area fails to make reasonable further pro-
gress, or to attain the national primary
ambient air ouaiitv standard bv the auain-
                                         natton 01 oaseane emissions in a manner
ment date aopiicabie under this part. Such  consistent with the  assumptions underiy-
measures  snail be  included in the plan  ing  the  applicable  implementation  plan
revision as contingency measures  to take  approved under section 110 and this part.
erTec: in any  sue.-,  case  without  further
action oy the State or *.ne Administrator.
  id)  Plan Revisions Required  in'Re-
;oonse to  Fir.oing 01  Plan Inadeduacy.—
Any sian  revision  :'or  a nonattainmenv
area wmch .s  reauired r.o be suomitteo in
response to a rinome oy the Administrator
pursuant to section"', ItXkM5) (relating to  emitting iaciiiucs._ana irom tne proposea
                                         the oermittme agency determines that—
                                           i A) by the time the source is to com-
                                         mence   operation,   sufficient   offsetting
                                         emissions reductions  have been  obtained.
                                         sucn mat total ailowaoie emissions from
                                         existing sources in the region, from new or
                                         modified sources whicn  are  not  maior
 calls for plan revisions!  must correct the
 plan deficiency  lor deficiencies) specified
                                        source will  be sufficiently less than total
                                        emissions from existing sources (as deter-
                                         unoer this paragraph) prior to the applica-
                                         tion for such permit to construct or modify
                                         so as 10 represent (when considered to-
by  tne Administrator and meet all other  mined m accordance with the regulations
applicable  man resuiremcnts  of  section
110 ano this oart. The Administrator may
reisonaoiv adjust :ne dates  otnerwise ap-
plicable under  sucr. requirements to such  S«her  wilh  lhc  ?lan provisions required
revision texceot :'or attainment oates that  un°er *c'Mn 172^ reasonable turthcr pro-
have not yet ssaoseo). to the extent neces-  gr«s las denned in section 171); or
sary to achieve a consistent  application oV'V^PL 95-190. November 16. 1977]
sucn  reauirernents. in order to facilitate
suommai bv me States of  adeduate  and
                                           (B1  in the ca.se  01  a new or moained
                                         maior stationary source which is located in
 approvaoie oians consistent with the appii-  a  zone  (within  the nonattainmcnt arcai
 caoie reduirerr.er.ts of tnis Act. 'the Ad-  identified by the Administrator, in consui-
 mimsiraior snail, as aopropnatc ana from  tation with  the Secretary of Housing ano
                                         Urban Development, as a zone  to whics
                                         economic development should be targeted.
                                         tnat emissions of such  pollutant resulting
                                         from tne  proposed  new or moained major
                                         stationary source will not cause or contnb-
 provided before me date of the enactment  ute  to emissions levels which exceed the
 time to time. :ssue written guidelines, m-
 '.ercretations.  ir.a  information   to  the
 States wnicn shaii be available to the oub-
 lic.  :akmg :nio  consideration any  sucn
 guidelines, interpretations, or information
 of '.he Clean  Air Act Amendments ?of
 1990.
   lei Future Modification of Standard.—
 If the Administrator relaxes  a national
 primary  ambient  air  quality standard
 after the  date  of  the  enactment  of  the
 Clean Air Act Amendments of 1990.  the
                                         allowance permitted for such pollutant for
                                         such area  from new or  modified  maior
                                         stationary sources under section 172(c;;
                                            (2}  the proposed source is  required :o
                                         comciy with the lowest achievable emis-
                                         sion rate:
                                            (3)  the owner or  operator  of the  pro-
 Administrator  snail,  within  12  months  posed new or modified source has demon-
 after the relaxation,  promulgate  require-  strated that all  major stationary sources
 ments appiicaoie '.o all areas  which have  owned or operated by  such person (or by
 not attained that standard as  of the date  any entity  controlling, controlled by, or
 of  such  relaxation.  Such  reduircments  under common control with such person i

-------
                                                                                                        -EDERAL LAWS
,i) such State arc suoject to emission iimi-
u.uvis ana are in comoiiance.  or on a
 leai'le for comohancc. with all appiica-
 <>•: emission limitations ana standards un-
aer tins Act: ana
  • -•} the  Administrator  has  not deter-
r.iin-1 tnat the applicable  implementation
;.!"'! is not being aaeauateiy imptementea
Tor  the  nonauatnment area  in which the
proposed  source is to be constructed or
modified in accordance with the  require-
ments 01 this part: ana
[PL 95-190.  Novemoer 16. 1977]
  i :'i an analysis of alternative sues, sizes.
production processes, ana environmental
•:ontroi   tecnntaues  for  sucn  proposea
source demonstrates tnat  benerits of the
proposed source significantly outweigh the
•invironmentai ano social costs imposed as
a result of us  location, construction, or
modification.
;Scc. 173(a>(5) added by  ?L 101-5-19]
   •a i Anv emission rtauctions reauireo as
- precondition  of tne issuance  of a permit
under oaragrapn  11)  snail be  federally
enforceaoie before  sucn  permit  may be
issued.
   ib) Pronibiuon  on Use of Old Growtn
 Allowances.—Any  growth allowance  m-
ciuaed  in an  appiicaoie  implementation
pian to meet  ;ne rssuirements of section
 i'lfbHJI (as ;n effect !i..:. ediateiy before
tr.e date of the enactment  of the Clean Air
Act  Amendments of '.990) snail  not be
valid for  use :n any area  that  received or
receives a notice unoer section 110(a)(2V
t HHii'i  us in effect •.mmeoiateiy before
tne date of the  enactment of the Cean Air
Act  Amendments  of ;990}  or under sec-
tion  'ilOfkHU tnat its applicable impie-
—entation nian containing sucn allowance
•s suosianuaily madeauate.
   !c) Offsets.—< i) The owner or operator
of  a new or  modified maior stationary
source  rnav  compiv with any offset rc-
auirernent in  effect under  this  part  for
increased emissions of any air pollutant
only by obtaining emission reductions of
such air pollutant from the same source or
other sources :n tne same nonattainmcnt
area. ;.-,ccot  tnat the State may allow the
owner or operator of a source  to ootain
such emission reductions in another nonat-
tamment area if (Al the other area has an
edual or  higher nonattainmem classifica-
tion than the area in wnich the source is
located and (B) emissions from such  other
area contnoute to 2 violation of  the  na-
tional ambient air quality standard in the
nonattainmem area in which the source is
located. Such emission reductions shall be.
by the time a new or modified  source
commences  operation,  in  effect and  en-
forceable and shall assure  that the total
tonnage of increased emissions of the air
pollutant from the  new or modified source
shall  be  offset by an eauai or  greater
reduction, as applicable in the actual emis-
sions of such air pollutant from the same
or other sources in the area.
  (1) Emission  reductions otherwise  rc-
ouircd bv this Ac; snail not be crcaitablc
as emissions reductions  for purposes  of
any  such offset requirement.  Incidental
emission  reductions wmcn  are not otner-
•"•ise rtcuirca bv this Act  snail  be creait-
icie as emission reductions for  such our-
poses if sucn emission reductions meet the
requirements of paragraon  11).
   •a) Control Tecnnoiogy information.—
The  State snail oroviae tnat control tecn-
noiogy information from  permits  issued
under tms section wiii be promptly submit-
ted to tne Administrator for purposes  of
making   sucn   information   available
througn  the  RACT-'BACT/LAER clear-
inghouse to other States and to the general
puonc.
   ••el  Rocket  Engines or  Motors.—The
permuting autnoruy of a State snail allow
a source  to offset by uternaiive or innova-
tive  means emission increases from rocket
e.-.Eine and  motor  rinng, and cleaning re-
iatea to  suca firing,  at  an existing  or
modified  maior source tnat tests  rocket
engines  or  motors unoer  tne  following
conditions:
   • 1) Any modification proposed is soieiy
."or tne purpose of  expanding the testing of
rocxet engines or motors  at an  existing
iource tnat is  permuted to test sucn en-
gines on  the date of enactment  of  this
suDsecv.on.
   ' 1} The source demonstrates  to the sat-
'sfaction of the oermitung authority of the
State tnat it has used ail reasonaoie means
to obtain and utilize offsets, as determined
on an annual basis, for the emissions  in-
creases beyond allowaole  leveis, that  ail
avaiiaoie offsets are seme used, and that
sufficient offsets are not available to the
source.
   (3}  The source  has obtained a  written
finding from the Department of Defense.
 Department of Transoortauon.  National
Aeronautics and Space Administration or
other appropriate Federal agency, tnat the
testing of rocket motors or engines at the
facility is required tor a program essential
to the national security.
   (4)  The  source  will compiy with an
alternative  measure imposed by the per-
muting authority, designed to  offset any
emission increases beyond permuted levels
not directly offset by the source. In iieu of
imposing any alternative offset  measures.
the permitting authority may impose an
emissions fee to be paid to sucn autnonty
of a Slate  which  shall  be  an amount no
greater than 1.5 times the average  cost of
stationary source control measures adopt-
ed in that  area  during tne previous 3
years. The  permuting autnonty snail uti-
lize the  fees in a manner that  maximizes
the emissions reductions in  in-t area.
[Sec. 1~3 revised by PL 101-:'-9)

      PLANNING PROCEDURES
   Sec.   174.(a)  In   General.—For ir.v
ozone, carbon monoxide, or PM-..0 nonai-
tamment area, the  State containing sucn
area and elected officials of affected iocai
governments shall,  before  tne date re-
quired for  submittai of the inventory ac-
scnbed  under sections  182(a)(l) and
 187(a)(l),  jointly  review ano  update  as
necessary tne  planning  procedures aoopt-
ed pursuant to this  subsection as in effect
immeaiateiy before tne date of the  enact-
ment of the Clean  Air Ac: Amendments
of 1990. or develop new planning  proce-
dures pursuant to  this suosection. as ap-
propriate.  In  preparing  sucr. rrccecurss
the State and local elected officials snail
determine  which elements of  a  revised
implementation pian  will  be  devcioceo.
aooptea.   and  implemented   .througn
 means   including  snforccrr.tr.il  3v  trie
State and wmcn by local governments or
 regional agencies,  or  any comomauon 01
local governments,  regional agencies, or
the  State.  The implementation oian  re-
quired by this part snail be sreparec av in
 organization certified  by the State, in con-
 sultation with elected officials of local gov-
ernments and in accordance wun  trie de-
 termination under the second sentence 01
 this  subsection.  Such organization snail
 include  elected ornciais of local  govern-
 ments in the affected area, and  representa-
 tives of the State air  quality planning
 agency, the State transportation canning
 agency, the metropolitan planning organi-
 zation designated to conduct the continu-
 ing, cooperative and comprenensive trans-

-------
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-------
          UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                Office of Air Quality Planning and Standards
                Research Triangle Park, North Carolina 27711
                          MAR I  I 199!
MEMORANDUM

SUBJECT:  New Source Review (NSRj_Program Transitional Guidance

           rohn- S. Seitz, Directo£-!u34£^^ftA^_4J>^^
           )ffice of Air Quality Planning ana\Standards (MD-10)
FROM:   A—John- S. Seitz, Directo!
       yCTfe
       V
TO:       Addressees


     The Clean Air Act Amendments of 1990  (1990 Amendments) make
numerous changes to the NSR requirements of the prevention of
significant deterioration (PSD) and nonattainment area programs.
The 1990 Amendments create new and expanded nonattainment areas,
extend PSD coverage to current Class I area boundaries, and
mandate a PSD exemption for certain hazardous air pollutants.
The Environmental Protection Agency (EPA)  intends to propose by
September of this year a regulatory -package that will implement
these and other changes to the NSR provisions.  Final adoption of
these revised regulations is projected for August 1992.. In the
interim period between passage of the 1990 Amendments and
adoption of the Agency's final regulations, EPA expects that
numerous issues regarding the 1990 Amendments will  arise.  This
memorandum sets forth the Agency's position on the  most important
of these transitional issues involving the NSR program.

     This guidance document does not supersede existing State
regulations or approved State implementation plans. However,  in
some cases, it calls upon States to implement their NSR programs
in a manner consistent with provisions of  the 1990  Amendments
that are applicable immediately and with the requirements that
flow directly from these provisions.  Nonetheless,  the policies
set out in this transition memorandum are  intended  solely as
guidance and do not represent final Agency action.  They are not
ripe for judicial review for this reason.  Moreover, they are  not
intended, nor can they be relied upon, to  create  any rights
enforceable by any party in litigation with the United  States.
The EPA officials may decide to follow the guidance provided  in
this memorandum, or to^act at variance with the guidance, based
on an  analysis of specific circumstances.  The Agency also may
change this guidance at any time without public notice.

     The Regional Offices should send this guidance document  to
their  States.  Questions from States and applicants concerning
specific issues and cases should be directed to the appropriate
EPA Regional Office.   If you have any general questions,  please
contact Mr. Michael Sewell of the New Source Review Section  at
FTS 629-0873 or  (919)  541-0873,

Attachment

-------
Addressees
Director/ Air, Pesticides, and Toxics Management Division,
  Regions I, IV, and VI
Director, Air and Waste Management Division, Region II
Director, Air Management Division, Regions III and IX
Director, Air and Radiation Division, Region V
Director, Air and Toxics Division, Regions VII, VIII, and X

cc:  J. Calcagni
     R. Campbell
     W. Laxton
     E. Lillis
     J. Rasnic
     L. Wegman
     J. Weigold
     NSR Contacts

-------
          New Source Review (NSR) Transitional Guidance
Toxics and National Emissions Standards for Hazardous Ai
Pollutants fNESHAPS^ Issues
1.   Section 112 Hazardous Air Pollutants are No Longer
     Considered Regulated Pollutants Under Prevention of
     Significant Deterioration (PSD), but NESHAPS Still Apply

          Under the 1977 Amendments to the Clean Air Act (Act)
     and regulations issued thereunder/ the PSD .requirements of
     the Act apply to all "major" new sources and "major"
     modifications, i.e., those exceeding certain annual tonnage
     thresholds [see 40 CFR 52.21(b)(1)(i) and (b)(2)(i)].
     Typically, new sources and modifications become subject to
     PSD because they exceed the specified tonnage threshold for
     a criteria pollutant, i.e., a pollutant for which a national
     ambient air quality standard (NAAQS) has been established
     under section 109 of the Act.  Once a new source or
     modification is subject to PSD, the PSD requirements apply
     to every pollutant subject to regulation under the Act that
     is emitted in "significant" quantities (or, in the case of a
     major modification, for which there is a significant net
     emissions increase) [see 40 CFR 52.21(b)(23) and (i)(2)].
     Under the 1977 Amendments, best available control technology
     (BACT) and other PSD requirements apply not only to
     emissions of criteria pollutants but also to emissions of
     pollutants regulated under other provisions of the Act, such
     as section 111 or 112.  This regulatory structure was
     altered by the 1990 Amendments.

          Title III of the 1990 Amendments added a new
     section 112(b)(6) that excludes the hazardous air pollutants
     listed in section 112(b)(l) of the revised Act  (as well as
     any pollutants that may be added to the list) from the PSD
     (and other) requirements of Part C.  Thus, because they are
     on the initial Title III hazardous air pollutants list, the
     following pollutants, which had been regulated under PSD
     because they were covered by the section 112 NESHAPS or
     section 111 new source performance standards  (NSPS) program,
     are now exempt from Federal PSD applicability:

             arsenic
             asbestos
             benzene  (including benzene from gasoline)
             beryllium
             hydrogen sulfide  (H2S)
             mercury
             radionuclides  (including radon and polonium)
             vinyl chloride.

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     The Title III exemption applies to final Federal
PSD permits (i.e., those issued in final form and for
which administrative appeals, if any, under
40 CFR 124.19 have been exhausted) issued on or after
the date of enactment of the 1990 Amendments
(November 15, 1990).  For Federal PSD permit
applications now under review by either an EPA Regional
Office or a delegated State, PSD permit requirements do
not apply to the pollutants exempted by Title III.  For
Federal PSD permits containing PSD requirements for the
pollutants exempted by Title III issued on or after
November 15, 1990, the permittee may request a revision
(e.g., removal of a BACT limit for benzene) to their
PSD permit to reflect the Title III exemption from
Federal PSD applicability.

     Note that pursuant to section 116 and the preservation
clause in section 112(d)(7) of the amended Act, States with
an approved PSD program may continue to regulate the
Title III hazardous air pollutants now exempted from Federal
PSD by section 112(b)(6) if the State PSD regulations
provide an independent basis to do so.  These State rules
would remain in effect unless a State revised them to
provide similar exemptions.  Additionally, the Title III
pollutants continue to be subject to any other applicable
State and Federal rules; the exclusion is only for Part C
rules.

     Finally, section 112(q) retains existing NESHAPS
regulations by specifying that any standard under section
112 in effect prior to the date of enactment of the 1990
Amendments shall remain in force and effect after such date
unless modified as provided in the amended section.
Therefore, the requirements of 40 CFR 61.05 to 61.08,
including preconstruction permitting requirements, for new
and modified sources subject to existing NESHAPS regulations
are still applicable.

     In summary, the pollutants currently regulated
under the Act as of March 1991 that are still subject
to Federal PSD review and permitting requirements are:
                                                 a
        carbon monoxide
        nitrogen oxides
        sulfur dioxide
        particulate matter and PM-10
        ozone (volatile organic compounds)
        lead (elemental)
        fluorides
        sulfuric acid mist
        total reduced sulfur compounds  (including H2S)
        CFC's 11, 12, 112", 114, 115

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          •  halons 1211, 1301,  2402
             municipal waste combustor (MWC)  acid gases, MWC
             metals and KWC organics.

2.   Hazardous Air Pollutants that are Regulated as One Component
     of a More General Pollutant Under Other  Provisions of the
     Clean Air Act are Still Regulated

          Any hazardous air pollutants listed in
     section 112(b)(l) which are regulated as constituents of a
     more general pollutant listed under section 108 of the Act
     are still subject to PSD as part of the  more general
     pollutant, despite the exemption in Title III.  For example,
     volatile organic compounds  (VOC's) (a term which includes
     benzene, vinyl chloride, methanol, toluene, methyl ethyl
     ketone, and thousands of other compounds) are still
     regulated as VOC's (but not as individual pollutants such as
     benzene, etc.) under the PSD regulations because these
     pollutants are ozone precursors,  not because they are air
     toxics.  Also, particulates (including lead compounds and
     asbestos) are still regulated as particulates (both PM-10
     and particulate matter) under the PSD regulations.  Lead
     compounds are exempt from Federal PSD by Title III, but the
     elemental lead portion of lead compounds (as tested for in
     40 CFR Part 60, Appendix A, Method 12) is still considered a
     criteria pollutant subject to the lead NAAQS and still
     regulated under PSD.

3.   Toxic Effect of Unregulated Pollutants Still Considered in
     BACT Analysis

          Based on the remand decision on June 3, 1986 by the EPA
     Administrator in North County Resource Recovery Associates
     (PSD Appeal No. 85-2), the impact on emissions of other
     pollutants, including unregulated pollutants, must be taken
     into account in determining BACT for a regulated pollutant.
     When evaluating control technologies and their associated
     emissions limits, combustion practices,  and related permit
     terms  and conditions in a BACT proposal, the  applicant must
     consider the environmental impacts of all pollutants not
     regulated by PSD.   Once a project is subject  to BACT due to
     the emission of nonexempted pollutants, the BACT analysis
     should therefore consider all pollutants,  including
     Title  III hazardous air pollutants previously subject to
     PSD,  in determining which control strategy  is best.

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PSD Class I Boundary Issues


1.   PSD Applicability Coverage Changes as Class I Area
     Boundaries Change

          Sections 162(a) and 164(a) of the amended Act specify
     that the boundaries of areas designated as Class I must now
     conform to all boundary changes at such parks and wilderness
     areas made since August 7, 1977 'and any changes that may
     occur in the future.  The EPA does not believe that Congress
     intended to create the turmoil which would occur if this
     redesignation required the modification of permits issued
     between August 7, 1977 and November 15, 1990, or the
     resubmission and reevaluation of complete permit
     applications submitted prior to enactment of the 1990
     Amendments.  Thus, for this reason, applications considered
     complete prior to November 15, 1990 should be processed as
     submitted without regard to the new Class I area boundaries.
     Exceptions to this general policy are in the areas of
     increment consumption and air quality related values
     (including visibility), as discussed below.

          For an applicant who submitted a complete PSD
     application prior to November 15, 1990, if all other PSD
     requirements are met, a permit may be issued based on the
     Class I analysis as submitted in the application, unless the
     reviewing authority finds, on a case-by-case basis, that
     additional analysis is needed from the applicant to address
     suspected adverse impacts or increment consumption problems
     due to the expanded boundaries of the Class I areas.  Any
     existing increment violations in the new boundaries of
     Class I areas must be remedied through a SIP revision
     pursuant to 40 CFR 51.166(a)(3).

          The PSD applications not considered complete before
     November 15, 1990 must consider the impact of both existing
     sources and the new or modified source on the Class I areas
     as defined by the 1990 Amendments.  Thus, the complete
     application must consider the impacts on the entire Class I
     area based upon the boundaries in existence on the date of
     submittal of a complete application; as before, if a Class I
     boundary changes before the permit is issued, the reviewing
     authority may find, on a case-by-case basis, that additional
     analysis is needed from the applicant to address suspected
     adverse impacts or increment consumption problems due to
     expanded Class I area boundaries.

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NSR Nonattainment Issues
     NSR Construction Permit Requirements in Nonattainment Areas

          In many States, the existing approved Part D permit
     program by its terms covers all designated nonattainment
     areas in the State, so a Part D permit program will
     automatically apply to the new and expanded nonattainment
     areas which are established under provisions of Title I of
     the 1990 Amendments.  Thus, until new rules are adopted for
     these new or expanded nonattainment areas, States should
     apply the requirements of their existing approved Part D
     permit program.  However, in other States, a Part D program
     may be limited to specified areas and does not apply to new
     or expanded areas.  In these areas, States must implement a
     transitional permitting program until their existing Part D
     programs are revised to meet the requirements of the 1990
     Amendments and expanded to cover all nonattainment areas in
     the State.  Otherwise, both the goals of Part D and
     Congress' intent in creating new or expanded nonattainment
     areas will be frustrated.

          The EPA regulations already provide for these new or
     expanded designated nonattainment areas because the Emission
     Offset Interpretative Ruling (40 CFR Part 51, Appendix S)
     governs permits to construct between the date of designation
     and the date an approved Part D plan is made applicable to
     the new nonattainment area [see 40 CFR 52.24(k)].  Until a
     State's new Part .D plan is approved by EPA, if a State
     wishes to issue a permit for a major stationary source or
     major modification in a new or expanded designated
     nonattainment area, the State should comply with the
     requirements of Appendix S.  Among other things, Appendix S
     requires a major source seeking to locate in a nonattainment
     area to  (1) meet the lowest achievable emission rate for
     such source, (2) provide offsets from existing sources in
     the area, and  (3) show that the offsets will provide a
     positive net air quality benefit (see 40 CFR Part 51,
     Appendix S, section IV.A).  The EPA believes that in order
     to carry out the intent of Appendix S, offsets should be
     required for sources in all categories and in all instances
     should be calculated on a tons per year basis (see
     40 CFR Part 51, Appendix S, section IV.C).

          Of  course, neither Appendix S nor the existing NSR
     rules incorporate the NSR changes mandated by Title I of the
     1990 Amendments such as lower source applicability
     thresholds, increased emissions offset ratios, new
     definitions of major stationary source, and  (for ozone
     nonattainment  areas) requirements  for nitrogen oxides  (NOx)

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control and NOx emissions offsets.  However, the 1990
Amendments require States to submit to EPA new NSR permit
program rules for ozone nonattainment areas by November 15,
1992; for PM-10 nonattainment areas by June 30, 1992; and
for most carbon monoxide (CO) nonattainment areas no later
than 3 years from the date of the nonattainment designation.
The EPA interprets this as an expression of congressional
intent not to mandate that States adhere to the more
stringent Title I NSR requirements in nonattainment areas
during the time provided for State 'implementation plan (SIP)
development.  Thus, for NSR permitting purposes in
nonattainment areas, the new NSR requirements in Title I are
not in effect until the States, as required by the Act,
adopt NSR permit program rules to implement the Title I
provisions.  In addition, EPA encourages any State having
adequate authority for early implementation of the NSR
changes to do so as soon as possible.

     If States fail to submit to EPA the new NSR permit
program rules for nonattainment areas by the deadlines in
the amended Act, EPA intends to impose in these
nonattainment areas a Federal implementation plan (FIP)
embodying such requirements.  Currently, EPA intends to
propose revised NSR regulations at 40 CFR Part 52 that would
implement.the new Title I NSR requirements.under a FIP in a
State if that State's revised NSR rules to implement Title I
are not submitted in approvable form to EPA and made
effective within the State by the deadlines established by
the 1990 Amendments.

     The area designation in effect on the date of permit
issuance by the reviewing agency determines which
regulations (Part C or Part D) apply to that permit.  In
other words, the PSD permit regulations apply to pollutants
for which the area is designated as attainment or
unclassifiable, and the NSR nonattainment permit regulations
apply to pollutants for which the area is designated
nonattainment [see 40 CFR 51.166(i)(3) and  (5); and
40 CFR 52.21(i)(3) and (5)].  Under these regulations, a PSD
permit for a pollutant cannot be issued in an area that is
designated nonattainroent for that pollutant.  For the
situation where a source receives a PSD or other permit
prior to the date the area is designated as nonattainment,
the permit remains in effect as long as the source commences
construction within 18 months after the date of
nonattainment designation of the area, does not discontinue
construction for more than 18 months, and completes
construction within a reasonable time [see  40 CFR 52.24(g)
and  (k)].  Although the PSD regulations provide for
extension of these deadlines, no extension would be
appropriate where the area has been designated as
nonattainment following permit issuance:  Accordingly, if

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any of these construction provisions are not met, the PSD
permit or other permit will not be extended, and the source
(if subject to the nonattainment provisions) must obtain a
nonattainment permit prior to commencing (or continuing)
construction.

     The 1990 Amendments create some new and expanded
nonattainment areas by operation of law.  Other
nonattainment area changes are expected as the States and
EPA complete the designation process prescribed in amended
section 107(d).  Because of these provisions, the dates
areas switch from attainment to nonattainment for NSR
purposes vary by pollutant.  However, except for the two
instances where the Amendments create changes by operation
of law, the new designations and expanded boundaries will
not be effective for NSR purposes until EPA promulgates the
changes.  The promulgations will be announced in the Federal
Register.

     Congress create new PM-10 nonattainment areas
through designations that became effective upon
enactment of the 1990 Amendments on November 15, 1990
[see section 107(d)(4)(B)].  Specifically, Congress
designated Group I areas and areas where violations of
the PM-10 NAAQS had occurred prior to January 1, 1989 as
nonattainment.  The EPA published a list of these PM-10
areas in a Federal Register notice (see 55 FR 45799,
October 31, 1990; see also 52 FR 29383, August 7, 1987).
The EPA plans to publish a notice in the Federal Register
listing these areas as nonattainment in the near future, but
they are already considered nonattainment areas as of
November 15, 1990.

     Similarly, the 1990 Amendments expand by operation of
law some CO and ozone nonattainment areas.  However, these
changes did not become effective with passage but rather on
December 30, 1990.  The specifics are as follows:

     Section 107(d)(4)(A)(iv) of the amended Act
     provides that, with the exception explained below,
     ozone and CO nonattainment areas located within
     metropolitan statistical areas  (MSA) and
     consolidated metropolitan statistical areas (CMSA)
     which are classified as serious, severe, or
     extreme for ozone or as serious for CO are
     automatically expanded to include the entire MSA
     or CMSA.  This expansion became effective by
     operation of law 45 days after enactment unless
     the Governor submitted a notice by this deadline
     of the  State's intent to seek a modification of
     the expanded boundaries pursuant to the procedures
     set forth in section  107(d)(4)(A)(v).  So if a

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                           8

     State did not provide this notice, the
     nonattainment boundaries of all serious, severe,
     and extreme ozone nonattainment areas in the state
     and all serious CO areas in the State expanded to
     include the entire MSA or CHSA on December 30,
     1990.  If a State did provide timely notice, the
     Administrator has up to 14 months from enactment
     to resolve the State's challenge.  Until EPA
     promulgates a resolution of the State's challenge,
     the old boundaries remain in effect.

     Except for these two cases where new or expanded
boundaries have been created by operation of law,
nonattainment area changes will not be considered effective
until the changes are promulgated by the EPA.  As to most
new areas or expansions of previously-designated
nonattainment areas, this will occur 240 days after
enactment [see section 107(d)(4)(A)(i) and (ii)].  Newly-
created ozone and CO nonattainment areas will be considered
part of a designated nonattainment area for NSR purposes at
the time of promulgation.

Status of Construction Bans

     Pursuant to section 110(n)(3), an existing construction
ban that was imposed due to tho absence of approved Part D
NSR rules remains in effect until a revised NSR SIP is
approved.  Existing construction bans imposed due to
disapproval of primary sulfur dioxide NAAQS attainment plans
also remain in effect.  A Federal Register notice will be
published soon announcing the status of construction bans in
general and also lifting specific bans where appropriate.
Should a construction ban be lifted in any area designated
as nonattainment, and the area lacks an approved Part D NSR
rule, the State should meet the requirements of
40 CFR Part 51, Appendix S, in issuing permits to major new
sources or major modifications prior to the adoption of NSR
rules meeting the requirements of the 1990 Amendments.

Federal Implementation Plans Remain in Effect

     The NSR permitting program in an existing FIP remains
in effect until a SIP is approved or a revised FIP is
adopted.

Use of Previously-Approved Growth Allowances is Prohibited
               $
     Section 17.2(b) invalidates growth allowances in
existing SIP's in areas that received a SIP call prior to
enactment of the 1990 Amendments, or that receive one
thereafter.  For NSR permits issued on or after November 15,
1990, previously-approved growth allowances cannot be used

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     in these areas.  Construction permits cannot be issued in
     SIP-call areas under existing EPA-approved Part D programs
     to the extent that such permits rely on previously-approved
     growth allowances.  Case-by-case emission offsets must be
     obtained for any such permits, and other existing Part D
     requirements must be met.

5.   Existing NSR Permitting Rules Continue to Apply in the
     Northeast Ozone Transport Region (NOTR)

          The 1990 Amendments establish a single ozone transport
     region comprised of the States of Connecticut, Delaware,
     Maine, Maryland, Massachusetts, Mew Hampshire, Mew Jersey,
     New York, Pennsylvania, Rhode Island, Vermont, and the CMSA
     that includes the District of Columbia and part of the State
     of Virginia.  For this transport region, including all
     attainment areas within its boundaries, new
     section 184(b)(2) specifies that any stationary source that
     emits or has the potential to emit at least 50 tons per year
     of VOC's shall be considered a major stationary source and
     subject to the requirements which would be applicable to
     major stationary sources if the area were classified as a
     moderate ozone nonattainment area.  For NSR purposes, the
     requirements of section 184(b)(2) are not in effect in a
     State until the State submits a new or revised SIP that
     includes the requirements (or EPA imposes a FIP implementing
     those requirements).  A State in the NOTR has until
     November 15, 1992 to submit to EPA the new or revised NSR
     rules addressing the new requirements.

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18074
                  Federal Jlegister7  Vol.  57, No.'82'/; Tuesday;^April 28, 1992 /  Proposed
problems or creating excessive energy.,,. >..-,',,,
demands. (An otherwise available PM^O v.-.- c
control technology may not be' reasonable if ,~
k    other environmental impacts cannot > -i'
     mably be mitigated.) For analytic ^.... -
_ imposes, a State may consider a PMr-lp J'••.".'^
control measure technologically infeasible if. 7
considering the availability (and cost) of
mitigative advene impacts of that control on'
other pollution media, the control would not-"
in the State'* reasoned judgment provide a ...,-
net environmental benefit In many instances,^
however. PM-10 control technologies have
known energy penalties and advene effects -
on other media, but such effects and the cost •
of their mitigation are'also known and have " >
been borne by owners of existing sources in •
numerous cases. Such wefi-estabtisbed "' •'••
adverse effects and their costs are normal "" •'
and assumed to be reasonable and should
not. in most cases, justify  nonuse of the PM-  -•
10 control technology. The costs of preventing
adverse water, solid waste and energy -
impacts will also influence the economic
feasibility of the PM-10 control technology.
   Alternative approaches to reducing.--. ••: • "•
emissions of particalate matter including PM-
10 are discussed in Control Techniques for  -
Particulate Emissions from Stationary :,'•   -
Sources—Volume I (EPA-450/3-dl-OOSa) and
Volume II (EPA-450/3-81-0050). September
1982. The design, operation and maintenance
of general particulate matter control systems
such as mechanical collectors, electrostatic .
precipitators. fabric filters, and wet  scrubbers
are discussed In Volume L The collection ~
efficiency of each system  is discussed as a
     tion of particle size; Information is also
   sen led regarding energy and . •••  .- -
   ivironmental considerations and procedures
far-estimating costs of particulate matter
control equipment The emission  "
characteristics and control technotegiea •  -
applicable to specific source categories are :
discussed In Volume E. Secondary •..-.-.".....
environmental impacts are also discussed.  • •
   Additional sources%finformation on  ;.,...-•
control technology are .background  s-,.^.--
information documents for new source
performance standards and Identification.
Assessment and Control  of Fugitive
Particulate Emissions, EPA-600/8-36-023,
August 1986. ~  '  -. ~ j     -.
   In some instances, control technologies
more modem or more advanced than those -
described in the documents referenced may  .
exist. In such cases, the State's RACT  -
analysis for a source should consider such
 available technology.          -      ...

Economic Feasibility
   Economic feasibility considers  the cost of -:{,
reducing emissions and the difference in .  ...--
costs between the particular source and other
similar sources that have implemented ^-y.V'-j
emission reduction. As discussed above. EPA
presumes that it is reasonable for similar,.^! -t'f
 determined by evidence that other sources in •
 a source category have in fact applied the
 control technology in question. •  _••.
   The capital costs, annualtzed costs, and
 cost effectiveness of an emission reduction  •
 technology should b*Tconsidered in.. V  .  -
 determining Jts'economlc feasibility. The  •
 OAOPS Control Cost Manual Fourth Edition.
 EPA-4SO/3-90-006. January 1990. describes
 procedures for determining these costs. The
 above;costs should be.determkied for all __.,...
 technologically feasible emission reduction ".""'
 options. ;T^ V^^l,—"•; : V % "aXw;-
   States may give substantial weight to^cost -.
 effectivenessmevalnatingtheeconomic'.*  '7
 feasibility of an emission reduction -V r-^ ~,  :
 technology. The cost effectiveness of a  -
 technology is its aimuatized cost (S/year)
 divided by the amount of PM-10 emission
 reduction (i.e.. tons/year) which yields a cost'.
 per amount of emission reduction (S/tonL
 Cost effectiveness provides a value for each
 emission reduction option that is comparable"
 with other options and other facilities.
  . If a company contends that it cannot afford
 the technology that appeared be RACT for
 that source or group of sources, the claim
 should be supported with such information as
 the impact on:.. ^  . „  ,	
 1. Fixed and variable production costs ($/
   unit). , 7 ,.-  ,   J-  : be   ,          •--
 2. Product supply'and demand elasticity. ^
 3. Product prices (cost absorption vs. cost
   pass-through). :    -
 4. Expected costs incurred by competitors.-  - *
 5. Company profits, and     •  .    •  • ~-   -
 6. Employment      •  !>  ;    -   '
   If a company contends that available
 control technology is not affordable and
 would lead to closing the facility, the  costs of
 closure should be considered. Closure may
 incur costs for demolition, relocation.
 severance pay, etc.

 Appendix D ;.?...,   •       , .:
 United States Environmental Protection
   Agency. Office of Air Quality Planning and
.  Standards. Research Triangle Park. North •.
^  Carolina27711.     .,'-..        _-. -'
"March 11.1991.--•".•>    .   '

 Memorandum        '.
 Subject New Source Review tNSR) Program
     Transitional Guidance.    . 1'    :.  • *  .
 From: John S. Seitz, Director. Office of Air
     Quality Planning and Standards (MD-  •
     10). -: -   -----.
 To: Addressees. .•  .  •.  ••
 .  The Clean Air Act Amendments of 1990
. (1990 Amendments)  make numerous changes
 . to the NSR requirements of the prevention of
•.significant deterioration (PSD) and ••»  -^- _.
- nonattainment area programs. The 1990
r Amendments create new and expanded  I . :•.
, nonattainment areas, extend PSD coverage to
, current Class I area, boundaries, and mandate
   PSD exemption lor certain, hazardous air •-•':
 sources to .bear similar costs ofemission -,;/]-q; pollutants. The Environment. Protection
 reductions. Economic feasibility rests very
 little on the ability'of a particular source to -..,;
 "afford" to reduce emissions to the level of -?,.
 similar sources. Less efficient sources would .
 be rewarded by having to bear lower. -n,.:. -;;
 [mission reduction costs if affordabitity were
'given high consideration. Rather, economic
 feasibility for RACT purposes is largely, .^., .-*
 Agency (EPA) intends to propose by
 September of this year a regulatory package
 that will implement these and other changes
 to the NSR provisions. Final adoption of'
 these revised regulations is projected for " ••
 August 1992. In the interim period between
 passage of the 1990 Amendments and . •
 adoption of the Agency's final regulations.
                                                                                     EPA expects that numerous Issues regarding
                                                                                     the 1990 Amendments will arise.-'Triis  ' •
                                                                                     memorandum sets forUfthe Agency's position
                                                                                     on the most important of these transitional ^
                                                                                     issues Involving the NSR"program.''   :  ',"'
                                                                                       This guidance document does not'
                                                                                     supersede existing State regulations or  \ "'
                                                                                     approved State hnplementation plans.
                                                                                     However, in some cases. It calls upon States
                                                                                     to implement their NSR programs in a manner
                                                                                     consistent with provisions of the 1990   . '  ;
                                                                                     Amendments'(hat are applicable Immediately 'r
                                                                                     and with the requirements that flow directly ''
                                                                                     from these provisions. Nonetheless, the   ...
                                                                                     policies set out in this transition '•'-..' ~
                                                                                    ' memorandum" are intended solely as guidance
                                                                                     and do not represent.final Agency action.
                                                                                     They are not ripe for judicial review for this"
                                                                                     reason. Moreover, they are not intended, r.or
                                                                                     can they be relied upon, to create any rights  .
                                                                                     enforceable by any party m litigation with
                                                                                     the United States. The EPA officials may
                                                                                     decide to follow the guidance provided in this
                                                                                     memorandum, or to act at variance -with the
                                                                                     guidance, based on an analysis of specific
                                                                                    '.circumstances. The Agency also may change
                                                                                     this guidance at any time without public
                                                                                     notice.   " •"-     -   --.'   ^' " "    ' ^
                                                                                        The Regional Offices should send this  '
                                                                                     guidance document to their States. Questions .
                                                                                     from States end applicants concerning •'-' '  '
                                                                                     specific issue* and cases should be directed
                                                                                     to the appropriate EPA Regional Office. If ., ^ .
                                                                                     you have any general questions, please' '  '/
                                                                                     contact Mr. Michael Sewell of the New
                                                                                     Source Review Section at FTS 629-0873 or
                                                                                     (919) 541-0873.
                                                                                     Attachment

                                                                                     Addressees
                                                                                     Director, Air. Pesticides, and Toxics   -
                                                                                        Management Division. Regions LIV, and
                                                                                        VI
                                                                                     Director, Air and Waste Management
                                                                                        Division. Region II       .   ",    -".;.-.
                                                                                     Director, Air Management Division, Regions
                                                                                        III and IX         :   .. . „  ... . ,  .-,.', .
                                                                                     Director. Air and Radiation Division. Region . ^
                                                                                     •   v               .'...     ..,..,.;',-;,,.,
                                                                                     Director. Air and Toxics Division. Regions'
                                                                                        VII. VIIL and X '/-.-."     .         r  . -
                                                                                     "^          --•...:..-'.-.-    .,'...<   -
                                                                                        J. Calcagni             .  "„..,•;  -.••.-,...:••.
                                                                                        R-Campbell    .       -":-".•      -..   •
                                                                                        W.Laxton    ,   .  "       ,   .    x
                                                                                        E-Lillis
                                                                                        ). Rasnic
                                                                                        L. Wegman    ...         -  ,   ,   -  '..
                                                                                        J. Weigold      "                 .   .
                                                                                        NSR Contacts   _   -,.,jc/.:,,,------  !-'"-.-•-
                                                                                        Corrections to Original Document: Two :•;<..'
                                                                                    •. errors in the.document as issued on March 11; ';• >
                                                                                     ,,1991 have been corrected in.this copy..On V:asa.:
                                                                                    \ page 2 on the last line. "CFC1127. is changed c'-:
                                                                                    .. to correctly read "CFC113"; On page 8 Iri2 c'.
                                                                                    "item 4, the cite "Section 172(br: is changed to -..•• •
                                                                                    ;. correctly read "Section 173(b)".\ ]  '  '.„  .   •
                                                                                     New Source Review (NSR) Transitional
                                                                                    ' Guidance'":'"i'i:"'-^X>;-v^i"-it!rve'A .
                                                                                          -.-t.±. -..-•• '-.-i.r-^-K ,T.;',s.-ii-5'.'v..--uc.-_n
                                                                                    . Toxics and NationoJ Emissions Standards for , •
                                                                                     Hazardous Air Pollutants (NESHAPS) Issues ••
                                                                                        1. Section 112 Hazardous Air Pollutants are -
                                                                                     No Longer Considered Regula'ed Pollutants


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18076	Federal Register / Vol. 57. No. 82 / Tuesday. April  28,  1992  / Proposed Rules
so a Part D permit program will automatically
apply to the new and expanded
nonattainmenl areas which are established
under provisions of Title I of the 1990
Amendments. Thus, until new rulei are
adopted for these new or expended
nonattainment areas. States should apply the
requirements of their existing approved Part
D permit program. However, in other States.
a Par! D program may be limited to specified
areas and does not apply to new or expanded
areas. In these cases. States must implement
a transitional permitting program until their
existing Part D programs are revised to meet
the requirements of the 1S90 Amendments
and expanded to cover all conattainment
areas in the State. Otherwise, both the goals
of pan 0 and Congress* intent in creating
new or expanded-nonattainment areas will
be rruslraied.
   The EPA regulations already provide for
 these new or expanded designated
 r.onattainment areas because the Emission
 Offset Interpretations Ruling (40 CFR part 51.
 appendix S) governs permits to construct
 between the date of designation and the date
 an approved Part D plan is made applicable
 to the new nonattainmenl area (see 40 CFR
 5^4(k)). Until a State's new Part D plan is
 approved by EPA. if a State wishes to issue a
 penru'l for a major stationary source or major
 modification in a new or expanded
 designated nonatlainment area,  the State
 should comply with the requirements of
 appendix S. Among other things, appendix S
 requires s major source seeking to locate in a
 nonattainment area to (1) meet the lowest
 achievable emission rate for such source, (2]
 provide offsets from existing sources in the
 area, and (3) show that the offsets will
• provide a positive net air quality benefit (see
  40 CFR part 51. appendix S, section TV-A^.
 The EPA bebeves that in order to carry out
  the intent of appendix S. offsets should be
  required for sources in all categories and in
  all instances should be calculated on a tons
  per year basis (see 40 CFR part 51. appendix
  S. section IV.C).
    Of course, neither appendix S nor the
  existing NSR rules incorporate the N'SR
  changes mandated by Title I of the 1990
  Amendments such as lower source -
  applicability thresholds, increased emissions
  offset ratios, new definitions of major
  stationary source, and (for ozone
  nonattainment areas)  requirements for
  nitrogen oxides (NOx) control and NOx
  emissions offsets. However, the 1990
  Amendments require States to submit to EPA
  new NSR permit program rules  for ozone
  nonattainmenl areas by November 15,1992;
  for PM-10 nonattainment areas by June 30,
  1992; and for most carbon monoxide (CO)
  nonattainment areas no later than 3 years
  from the date of the nonattainment
  designation. The EPA interprets this as an
  expression of congressional intent not to
  'mandate that States adhere to the more
  stringent Title I NSR requirements in
  nonattainment areas during the time provided
  for State implementation plan (SIP)
  development. Thus, for NSR permitting
  purposes in nonattainment areas, the new
  NSR requirements in Title I are not in effect
  until the States, as required by the Act. adopt
  NSR permit program rules Jo implement the
Title I provisions. In addition, EPA
encourages any State having adequate
authority for early implementation of the NSR
changes to do so as soon as possible.
  If States fail to submit to EPA the new NSR
permit program rules for nonattainment areas
by the deadlines in the amended Act. EPA
intends to impose in these nonattainment
areas a Federal implementation plan (FIP)
embodying such requirements. Currently,
EPA intends to propose revised NSR
regulations at 40 CFR part 52 that would
implement the new Title I NSR requirements
under .a FIP in a State if that State's revised
NSR rules to implement Title I are not
submitted in approvable form to EPA and
made effective within the State by the
deadlines established by the 1990
Amendments.
  The area designation in effect on the date
of permit issuance by the reviewing agency
determines which regulations part C or Par!
D) apply to that permit. In other words, the
PSD permit regulations apply to pollutants fcr
which the area is designated as attainment or
unclassifiable, and the NSR nonattainment
permit regulations apply to pollutants for
which the area is designated nonattainment
(see 40 CFR 51.168(i) (3) and (5); and 40 CFR
5^21 (i) (3) and (5}). Under these regulations, z
PSD permit for a pollutant cannot be issued
in an area that is designated nonattainment
for that pollutant For the situation where a
source receives a PSD or other permit prior to
the date the area is designated as
nonattainment, the permit remains in effect
 as long as the source commences
 construction within 18 months after the date
of nonattainment designation of the area.
 does not discontinue construction for more
 than 18 months, and completes construction
 within a reasonable time (see 40 CFR 52^4 (g)
 and (k)J. Although the PSD regulations
 provide  for extension of these deadlines. DO
 extension would be appropriate where the
 area has been designated  as noaatlainmer.t
 following permit issuance. Accordingly, if any
 of these construction provisions are not met.
 the PSD permit or other permit will no! be
 extended, and the source (If subject to the
 nonattainment provisions) must obtain a
 r.onattainment permit prior to commencing
 (or continuing) construction.
   The 1990 Amendments create some new
 and expanded nonattainment areas by
 operation of law. Other nonattainment area
 changes are expected as the States and EPA
 complete the designation process prescribed
 in amended section 107(d). Because of these
 provisions, the dates areas switch from
 attainment to nonattainment for NSR
 purposes vary by pollutant. However, except
 for the two instances where the Amendments
 create changes by operation of law, the new
 designations and expanded boundaries wilt
 not be effective for NSR purposes until EPA
 promulgates the changes. The promulgations
 will be  announced in the Federal Register.
    Congress created new PM-10
 nonattainment areas through designations
 that br^ame effective upon enactment of the
 1990 Amendments on  November 15,1990  (see
 section 107(d)(4)(Bj). Specifically, Congress
 designated Group I areas and areas where
 violations of the PM-10 NAAQS had
 occurred prior to January 1.1989 as
nonattainmenl. The EPA published a list of
these PM-10 areas in a Federal Register
notice (see 55 FR 45799, October 31.1990: see
also 52 FR 29383. August 7.1987). The EPA
plans to publish a notice in the Federal
Register listing these areas as nonattainmenl
in the near future, but they are already
considered nonattainment areas as of
November 15.1990.
  Similarly, the 1990 Amendments expand by
operation of law some CO and ozone
nonattainment areas. However, these
changes did  not become effective with
passage but rather on December 30,1990. The
specifics are as follows:
    Section 107(d)(4)(A)(iv) of the amended
  Act provides that, with the exception
  explained below ozone and CO
  nonattainment areas located within
  metropolitan statistical areas (MSA) and
  consolidated metropolitan statistical areas
  (CMSA) which are classified as serious,
  severe, or extreme for ozone or as serious
  for CO are automatically expanded to
  include the entire MSA or CMSA. This
  expansion became effective by operation of
  law 45 days after enactment unless the
  Governor submitted a notice by this
  deadline of the State's intent to seek a
  modification of the expanded boundaries
  pursuant to the  procedures set forth in
  section 107(d)(4)(A)(v). So if a State did not
  provide this notice, the nonattainment
  boundaries of at! serious, severe, and
  extreme ozone nonattainment areas in the
  State and all serious CO areas in the State
   expanded to include the entire MSA cr
   CMSA on December 30,1990. If a State did
   provide timely notice, the Administrator
   has up to 14 months from enactment to
   resolve the Slate's challenge. Until EPA
   promulgates a resolution of the State's
   challenge, the old boundaries remain in
   effect.
   Except for these two cases where new or
 expanded boundaries have been created by
 operation of law. nonattainment area
 changes will not be considered effective until
 the changes are promulgated by the EPA. As
 to most new areas or expansions of
 previously-designated nonattainment areas,
 this will occur 240 days after enactment (see
 section l07(d](4)(A) (f) and (ii)). Newly-
 created ozone and CO ncnatlainment areas
 will be considered part of a designated
 nonattainment area for NSR purposes at the
 time of promulgation.
 2.  Status of Construction Bans
    Pursuant to section H0(n)(3), an existing
 construction ban that was imposed due to the
 absence of approved Part D NSR rules
 remains in  effect until a revised NSR SIP is
 approved. Existing construction bans
  imposed due to disapproval of primary  sulfur
 dioxide NAAQS attainment plans also
  remain in effect A Federal Register notice
  will be published soon announcing the status
  of construction bans in general and also
  lifting specific bans where appropriate.
  Should a construction ban be lifted in any
  area designated  as nonattainment, and the
  area lacks an approved Part D NSR rule, the
  State should meet the requirements of 40 CFR
  part 51. appendix S. in issuing permits to

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                 Federal Register / Vol. 57. No. 82  / Tuesday. April 28. 1992 /  Proposed Rules          18077
(major new source* or major modifications
prior to the adoption of NSR rules meeting
the requirements of the 1990 Amendments.

3. Federal Implementation Plans Remain in
Effect  •

  •The NSR permitting program in an existing
FIP remains in effect until a SIP is approved
or a revised FIP is adopted.%'
          -_..-..•-..••.           '
4. Use of Previously-Approved Growth
Allowances Is Prohibited

  Section 173(b) invalidates growth
allowances in existing SIFs in areas that
received a SIP call prior to enactment of the
1990 Amendments, or that receive one
thereafter. For NSR permits issued on or after
November 15,1990, previously-approved
growth allowances cannot be used in these
areas. Construction permits cannot be issued
in StP-call areas under existing EPA-
approved Part D programs to the extent that
such permits rely on previously-approved
growth allowances. Case-by-case emission -
offsets must be obtained for any  such
permits, and other existing Part D
requirements must be met.
5. Existing NSR Permitting Rules  Continue To
Apply in the Northeast Ozone Transport
Region (NOTR)
  The  1990 Amendments establish a single
ozone transport region comprised of the
States of Connecticut. Delaware. Maine.
Maryland. Massachusetts. New Hampshire.
New Jersey. New York. Pennsylvania. Rhode
Island. Vermont, and the CMSA that includes
the District of Columbia and part of the State
of Virginia. For this transport region.
including all attainment areas within its
boundaries, new section 184(b)(2) specifies
that any stationary source that emits or has
the potential  to emit at least 50 tons  per year
of VOCs  shall be considered a major
stationary source and subject to  the
requirements which would be applicable to
major stationary sources if the area were
classified as a moderate ozone
. nonattainment area. For NSR purposes, the
requiremenU.of section 184(b}{2) are not  in
effect in a State until the State submits a new
or revised SIP that includes the requirements
 (or EPA Imposes a FIP implementing those
 requirements). A State in the NOTR has until
 November 15.1992 to submit to EPA the new
 or revised NSR rules addressing  the new
 requirements.

 Appendix E

 /. Introduction
   The EPA is issuing this CTG document
 under  section 182(b) of the Clean Air Act. as
 amended. Under section 182{b). States must
 develop RACT rules for sources  "covered by
 a CTG document issued by the Administrator
 between November 15,1990 and the date of
 attainment." The State must submit  these
 RACT rules "within the period set forth by
 the Administrator in issuing the relevant CTG
document" One type of "CTG document" is a
CTG: a CTG is a technical document that sets
forth a presumptive level of RACT controls. -  -
for a source category. The Act provides that
EPA must issue eleven CTG's by November  •
15.1993. In addition, the Act specifically
requires the Agency to prepare CTG's for
aerospace coatings and ship building and
repair within the same Umeframe. ~   •; ' •  ,*"
  This document Is.not a technical CTG. but
rather a second type of CTG document—a
document that lists the eleven CTG's EPA
anticipates publishing in accordance with
section 183(a) and establishes time tables for
submittal of RACT rules for sources that are
not ultimately covered by a CTG issued by
November 15.1993. The EPA believes that it
is necessary to issue this document at this
time so that States will be able to determine
which sources and source categories fit
within the RACT rule submittal requirement
for sources that EPA expects to be covered
by a post-enactment CTG.

ir. List of Eleven CTG's
   The EPA plans  to issue the following CTC's
 in accordance with section 183(a).
   1. Synthetic organic chemical '
 manufacturing industry (SOCMI) distillation:
   2. SOCMI reactors;
   3. Wood furniture:
   4. Plastic parts coating (business machines):
   5. Plastic parts  coating (other):
   6. Offset lithography:
   7. Industrial wastewaten
   6. Autobody refinishing:
   9. SOCMI batch processing;
   10. Volatile organic liquid storage tanks:
 and
   11. Clean up solvents.

///. Authority
   Under section 182(b)(2). States must adopt
RACT rules for three general groups of
sources: (A) Those covered by a post-
enactment CTG document: (b) those covered
by a pre-enactment CTG; (c) "all other major
stationary sources of VOC's," Section
182(b)(2) also establishes the timing for State
submittal and source implementation of
RACT rules for these three groups. For
sources covered by a post-enactment CTG
document the State must submit RACT rules
within the period  established in the relevant
CTG document For the other two groups, the
Act provides specific dates for submittal,
November 15,1992. and implementation, no
later than May 31.1995.   •
   Alone, subparagraphs (A), (B) and (C) seem
to set forth three distinct groups of sources.
However, the submittal dates under the
second portion of the provision potentially
could blur the line between these three
groups if EPA does not issue before
November 15,1992; a CTG document
covering all sources for which it plans to
 issue a CTG under section 183(a). At that
time. States would need to submit RACT
rules for all other  major stationary sources—
 those for which neither a pre-enactment CTG
 nor a post-enactment CTG document had
 been issued.
  The EPA's obligation to issue the eleven
 CTG*s does not ripen until November 15.
 1993. and EPA does not anticipate issuing all
 of these CTG's before November 15,1992.
 Therefore, to the extent EPA does not issue a
 CTG document before November 15,1992.
 States would be required to submit non-CTG
 RACT rules for sources that could in the
 future be covered by a CTG. In addition, at
 the time the CTG document was issued, the
 State could then be required to submit a new
 rule, consistent with the CTG document
 thereby duplicating its earlier effort.
   In order to relieve the States from being
 required to duplicate rules and to relieve
 sources from potentially being subject to two
 different requirements within a short period.
 EPA is  issuing this CTG document to retain
 the sharp distinction between the three
 different groups in subparagraphs (A). (B).
 and (C). If a State believes that one of the
 eleven  CTG's listed in Section II will cover a
 particular major source, the State should
 follow  the timing provisions of Section IV,
 below for submittal of a rule applicable to
 that source. The State should identify those
 sources in its November 15.1992 RACT
 submittal.

 IV. Time Table
   The  EPA is establishing the following
 general time table for States to submit RACT
 rules for sources that it identifies in a
 November 15.1992 submittal as being a
 source covered by a post-enactment CTG
 document
    (1) on November 15.1992. the State must
 submit a list of major stationary sources that
 it anticipates  will be subject to one of the
 CTG's listed in Section EL which EPA plans to
 issue by November 15,1993.
    (2) For those major sources oo the list
 submitted by  the State in the 1992 submittal
 that are not covered by a CTG that EPA has
 issued by November 15,1993, the State must
 submit a RACT rule by November 15,1994
 that requires implementation of RACT by
 May 15.1995.
    (3) For sources covered by a CTG issued
. under  section 183(a) and for which the State
 has not by the date of such issuance,
 adopted an approvable RACT rule, the State
 must submit a RACT rule in accordance  with
 the time schedule set forth in the relevant
 CTG.
    (4) For sources subject to a RACT rule that
 the State adopted and EPA approved under
 section 182(bj(2) prior to EPA's issuance of an
 applicable CTG, EPA will work with the
 State to determine whether the existing rule
 should be revised once a CTG has been
 issued that would apply  to that source.

 [FR Doc 92-9866 Filed 4-27-92: 8:45 am]

 BILLING CODE 656O-SO-W

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          UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                Office of Air Quality Planning and Standards
               Research Triangle Park, North Carolina 27711
                           SEP -3
MEMORANDUM

SUBJECT:  New Source Review  (NSR) Program Supplemental
          Transitional Guidance on Applicability^ of New Part D
          NSR Permit Requirements

FROM:     John S. Seitz, Directo
          Office of Air Quality

TO:       Addressees
                                     ing and Standards  (MD-10)
     The Clean Air Act Amendments of  1990  (1990  CAAA) made
numerous changes to the NSR requirements in the  Clean Air Act
(Act).  To address some immediate concerns generated by the
1990 CAAA, the Environmental Protection Agency  (EPA) issued an
initial NSR transitional memorandum on March  11,  1991,  entitled
"New Source Review Program Transitional Guidance."  This
memorandum supplements that effort by clarifying EPA guidance
regarding the permitting of new or modified sources in  situations,
where a State does not submit a State_ implementation~pTaTr~(SIP)
revision implementing the augmented Part D NSR provisions of the
1990 CAAA by" the applicable statutory deadline/   The statutory
deadlines~for"submission of revised NSR SIP's are listed in the
attachment.  Moreover, as more fully  set forth in the March 11,
1991 transitional memorandum, this supplemental  memorandum sets
forth nonbinding guidance that does not create any rights or
otherwise predetermine the outcome of any  procedures.   Also, many
of EPA's interpretations of the new Part D NSR requirements are
in the "General Preamble for the  Implementation  of Title I of the
Clean Air Act Amendments of 1990"  (General Preamble)  (see
57 FR 13498, 13552-556, April 16,  1992).   These  interpretations
are not affected~by this memorandum.

     Title I of the 1990 CAAA requires that States with
nonattainment areas or areas in the Northeast Ozone  Transport
Region  (NOTR) submit  to EPA, by specified  deadlines,  augmented
new source permit rules which meet the amended  requirements of
Part D of Title I of  the Act.  For example, for NSR  permit

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programs in most ozone nonattainment areas and the NOTR,
section 182 of the Act specifies increased offset ratios, lower
source applicability thresholds, and presumptive treatment of
nitrogen oxides (NOX)  as  ozone (O3) precursors.  For ozone, the
1990 CAAA require that States submit SIP's meeting the amended
Part D NSR requirements by November 15, 1992.

     Where States do not submit the Part D NSR SIP by the
applicable statutory deadline (and for purposes of determining
the approvability of revised NSR SIP's), ^sources that have
submitted complete permit applications  (as determined by the -
reviewing authority) by the submittal deadline may receive final.
permits under existing State NSR rules_._>"In this situation, such
sources will be considered by EPA to be in compliance with the
Act without meeting the amended Part D NSR provisions of the 1990
CAAA, provided they meet the following conditions:

     1.  The State and source move expeditiously towards final
permit issuance.

     2.  Construction begins no later than 18 months from the
date of permit issuance unless an earlier time is required under
the applicable SIP.

     3.  Construction is not discontinued for a period of
18 months or more.

     4.  Construction is completed within a reasonable time.
States may not grant permit extensions beyond these time periods
unless the permittee is required in a federally-enforceable-.
manner to meet the new Part D NSR provisions.

     Sources approved for construction in distinct phases require
additional clarification.  Individual phases of a construction
project are considered either as "mutually dependent" or
"mutually independent" from the other phases.  Mutually-dependent
phases are those where construction of one phase necessitates the
construction of the other in order to complete a given project or
provide a different type  (not level) of service.  An example of a
project with possible mutually-dependent phases is a kraft pulp
mill, where all phases of construction are needed to complete the
project and produce paper.  On the other hand, an example of a
project with possible independent phases is a three-boiler,
electric power plant, where each boiler could be a mutually-
independent phase providing different levels of electrical power.

-------
For phased construction projects with complete permit
applications submitted by the Part D NSR statutory deadline for
SIP submittal, EPA will grandfather individual phases from
meeting the new Part D NSR requirements, provided:

     1.  For mutually-dependent phases, if one of the facilities
has met the construction conditions of this guidance (e.g.,
begins construction within 18 months of permit issuance), then
all dependent phases specifically permitted at the same time will
hold such status.

     2.  For mutually-independent phases, each phase that meets
the construction conditions of this guidance (e.g., begins
construction of that phase within 18 months of initial permit
issuance) will hold such status.

    Also, under today's guidance, where States miss the statutory
deadline for Part D NSR SIP submittal, for sources that have not
submitted complete permit applications by the SIP submittal
deadline,vEPA-will" also~cohsider the source to be in compliance
|With~the Act where the source obtains from the State a permit
that is consistent with the substantive new NSR Part D provisJLpns
lin_tie_199Q_CAAAi___JThe substantive new provisions are the new
applicability thresholds, the new offset ratios, the offset
requirements of section 173, and the NOX requirements of section
182 (f) for most O3 nonattainment areas and the  NOTRT

     The State, of course, must be sure that all permits contain
the minimum requirements for a Part D NSR permit as required by
the current SIP or, where applicable, the Emission Offset
Interpretative Ruling  [40 CFR Part 51, Appendix S  (Offset
Ruling) ].'

     Please note that  the Act allows States to implement the new
Part D NSR provisions  prior to the statutory deadlines  and  in a
manner more stringent  than EPA guidance or rules.  Thus, today's
guidance does not  apply in any State to the extent that the
State's own rules  or transitional guidance is more stringent.
      1 The Act, as amended, requires offsets for all source
 categories,  and emissions reductions are on a  tons-per-year
 basis.   To the extent Appendix S is incompatible with these
 statutory provisions, it must be considered superseded by the
 1990 CAAA.

-------
     The Regiohal Offices should send this memorandum to their
States.  Questions concerning specific issues and cases should be
directed to the appropriate EPA Regional Office.  If you have any
general questions, please contact Mr. Michael Sewell of the New
Source Review Section at (919) 541-0873.
                              ^^^M^^^HM^WMM^m^

Attachment

Addressees
Director, Air, Pesticides and Toxics Division,
  Regions I, IV, and VI
Director, Air and Waste Management Division, Region II
Director, Air, Radiation and Toxics Division, Region III
Director, Air and Radiation Division, Region V
Director, Air and Toxics Division, Regions VII, VIII, IX, and "~

-------
                            ATTACHMENT

     As required by the Clean Air Act Amendments of 1990, the
statutory deadlines for States to submit new Part D new source
review (NSR) rules to the Environmental Protection Agency are:
     •    May 15, 1992 for  sulfur dioxide  (SO2)  nonattainment
          areas without approved SO2 SIP's prior to enactment
          [see section 191(b) ];
     •    November 15, 1993  for all other  SO2 nonattainment areas
          designated prior  to enactment  [see section 172(b)];
     •    May 15, 1992 for  nitrogen dioxide  (N02)  nonattainment
          areas  [see section 191(b)];
     •    July 6, 1993 for  lead nonattainment areas designated  on
          January 6, 1992 [see section 191(a)];
   j ""•"    June 30, 1992 for particulate matter  (PM-10)
          nonattainment areas [see section 189(a)(2)(A)];
     •    November 15, 1992 for ozone nonattainment areas  and
          transport regions [see section  182(a)(2)(C)];
     •    November 15, 1992 for carbon monoxide  (CO)
          nonattainment areas with a design  value  above 12.7
          parts  per million (ppm)  [see section  187(a)(7)];  and
     •    November 15, 1993 for CO nonattainment areas with a
          design value of 12.7 ppm or less [see section 172(b)].

     For  future  nonattainment designations,  Part D NSR rules are
due within  18 months  from redesignation  for  all  SO2, NO2/  PM-10,
and lead  nonattainment areas [see  sections 189(a)(2)(B) and
191(a)],  and within 2 years of redesignation for  ozone [see
section 181(b)(l)] and many CO nonattainment areas (within
3 years for CO nonattainment areas  with  design values less than
12.7 ppm)  [see section  I86(b)(l)].

-------
REFERENCES FOR SECTION 10.3

-------
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United States
Environmental Protection
Agency
Office of Air Quality
Planning And Standards
Research Triangle Park, NC 27711
DRAFT
October 1990
AIR
          New Source Review
           Workshop Manual
       Prevention of Significant Deterioration
                      and
               Nonattainment Area
                   Permitting
                                    Additional
                                     Impacts

-------
 ;i_£AN AIR ACT
 uon. the description and analysis of such
 effects shall be reviewed and examined by
 the redesignaung authorities.
   (E) Prior to the issuance of notice under
 subparagraph (A)  respecting  the reaesig-
 nation of any area under this subsection, if
 such area includes any Federal lands, the
 State shall provide written notice to the
 appropriate Federal land manager and af-
 ford adequate opportunity (but not in ex-
 cess of 60 days) to confer with the State
 respecting the intended notice of rcdesig-
 nation and to submit written  comments
 and recommendations with respect to such
 intended notice of redesignation. In rede-
 signaung any area unaer this section with
• resnect  to which  any  Federal  land man-
 ager has submitted written comments and
 recommendations, the State shall publish
 a  list of any inconsistency between such
 recommendations  and an explanation of
 sucr. inconsistency (together with the rea-
 bons  for  maKing   such   reoesignation
 against  tne recommendation of tne  Feder-
 al land manager).
    (C1 The  Administrator shall promul-
 gate regulations not later than six months
 after date of  enactment of  this pan, to
 assure, insofar as practicable, that prior to
 any puoiic hearing on reoesignation of any
 area, mere shall  be  available for public
 inspection any  specific plans for any new
 or modified major emitting facility which
 may be permitted to  be constructed and
 operated  only  if the  area in question  is
 designated or redesignated as class III.
    (2) The Administrator may disapprove
 the recesienation of  any area only if he
 finas.  after  notice  and  opportunity for
 public  hearing,  that  such reoesignation
 does not meet tne procedural rcouirements
 of this  section  or is inconsistent with the
  requirements of section  162(a)  or  of suo-
 secuon (a) of tnis section.  If any  sucn
 disapproval occurs,  the  classification of
  the area snail be that which was in effect
  prior  to  me  reoesignation  which   was
 disaooroved.
     [PL 95-190. November 16, 1977]
     (c)  Lands  within  the  exterior  bound-
  aries of  reservations  of  federally recog-
  nized  Indian  tribes may be redesignated
 only oy the appropriate  Indian governing
  body. Such Indian governing body shall be
  subject in all respects to the provisions of
  subsection (e).
     (d) The  Federal Land Manager  shall
  review all national monuments, primitive
  areas,  ana national  preserves, and  shall
rccommena any approonate areas tor re-
designation as class I where  air quality
related values are important attributes of
the area. The Federal Land Manager shall
report such recommendations, with sup-
porting analysis,  to the Congress and the
affected  States within  one year after en-
actment of this section. The Federal Land
Manager snail consult with the appropri-
ate  States   before  making  such
recommendations.
   (e) If any State affected by  the redesig-
nation of an area oy an Indian  tribe or any
Indian tribe affected by the redesignation
of an area by a State  disagrees with sucn
redesignation  of any area, or if a permit is
proposed to be issued  for any  new maior
emitting faciiitv proooseo for construction
in any State  whicn the Governor of an
affected Slate or  governing  booy of an
affected Indian tr.ce determines will cause
or contribute to a cumulative cnange in air
quality  in  excess o;' '.r.at aiiowco in  :ms
part witnin tne  anecttc State or '.r.bai
reservation, the  Governor  or  ruling oody
may request  the Administrator to enter
into negotiations w\tn  tne parties involved
to resolve  such  dispute.  If requested by
any State or Indian  tribe involved,  the
 Administrator snail maw a recommenda-
 tion to resolve tne disnute  ano protect tne
 air quality related vames of  the lands
 involved.  If the  sanies  involved do  not
 reach agreement. :ne  Administrator shall
 resolve  the disnute and his determination.
 or  the   results  of agreements  reached
 through otner means,  shall become pan of
 the applicable pian ano snail  be  enforce-
 able as part of sue.-, cian. in resolving  such
 disputes relating :o area reccsignauon. the
 Administrator snaii consider the extent to
 which the ianos :nvoivcc are of sufficient
 size to allow  erTective air quality manage-
 ment or have air suautv reiatec vaiuts of
 such an area.
         PRECONSTRUCTION
            REQUIREMENTS

    Sec.  165.(a) No major emitting facility
  on which construction is commenced after
  the date of the enactment of tnis part may
  be constructed in any area to wnich this
  part applies unless—
    (1)  a permit has been issued  for such
  proposed facility in accordance  with this
  part setting forth emission limitations for
  such facility whicn conform to the require-
  ments of this  oart:
  (2) the proposed permit has been suo-
jcct  to  a review  in accordance  with this
section,  the  required  analysis  has  been
conducted in accordance with regulations
promulgated by the Administrator, and a
public hearing has been held with opponu-
nity for interested persons including repre-
sentatives of the Administrator  to appear
and submit written or oral presentations
on the air quality impact of such source,
alternatives thereto, control technology re-
quirements,   and   other   appropriate
considerations:
   (3) the owner or operator of such facil-
ity demonstrates, as required pursuant to
section  110(j),  that emissions from con-
struction or operation  of such facility will
not cause, or contribute to. air pollution in
sxcess  of any  (.\)  maximum  allowable
increase  or  maximum allowaoie  concen-
tration for any pollutant  in any  area to
which this part applies more than one time
per year. (B1 national amoient air quality
stanoaro in any air quality control region.
or   (C)  any other  anpiicabic  emission
standard or standard  of performance  un-
der this Act:
   (PL  95-190.  November 16. 1977]
   (4) the proposed facility is subject to the
 best available control  technology  for each
 pollutant subject to regulation  under  this
 Act emitted from, or which results from.
 such facility:
   (5) the provisions of subsection (d) with
 respect to protection of class I  areas have
 been complied with for such facility:
   (6) there has been an analysis of any air
 quality impacts projected for tne area  as a
 result  of growth associated  with  such
 facility;

    (7) the person who owns or ooerates. or
 proposes to own or operate, a znaior emu-
 ling facility for wnich a permit is required
 unaer  this  pan  agrees  to  conduct such
 monitoring as may be necessary  to deter-
 mine the effect wnich emissions from any
 such facility may have, or is naving, on air
 quality in any area which may  oe affected
 by emissions from sucn source: and

    (8)  in the case of a source  which pro-
 poses  to construct  in  a class  III  area.
 emissions from which would cause or con-
 tribute to exceeding the maximum allowa-
 ble increments applicable in a class II area
 and where no standard under section  111
 of this Act has been promulgated subse-
 quent to enactment of the Clean Air Act
 Amendments of 1977 for such source rate-

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                                                                                                        FEDERAL LAWS
gory, tnc Administrator has approved the
(determination of best available technology
us set forth in the permit.
   (b)  The  demonstration pertaining  to
maximum  allowable  increases  required
unaer  section ta)(3)  shall not apply  10
maximum allowable increases for class 11
ureas in the case of an expansion or modi-
fication of a major emitting facility which
is in existence on the date of enactment of
the Clean Air Act Amendment of 1977,
wnose  allowable  emissions of  air pollu-
tants, after compiiance with subsection (a)
(4). will be less than  fifty tons per year
and for which  the owner or  operator  of
Mien facility demonstrates that emissions
of- parucuiate matter and sulfur  oxides
wiii not cause or contribute to ambient air
quaiity levels in  excess  of  the national
seconoary  ambient  air  quaiity  standard
for either of such pollutants.
   (PL 95-190. Novemoer 16. 1977]
   ic)  Any  comoicted permit application
unocr  section 100 for a  major emitting
facility in  any  area  to  which this  part
applies shall be grantefl or denied not later
tnan one year  after the  date of filing of
sucn completed application.
   (d)(l) Each State shall transmit to the
Administrator a copy of each permit appli-
cation relating to a major emitting facility
received by such State ana provided notice
to the Administrator of every  action relat-
ed to the consideration of such permit.
   (2)(A) The Administrator shall provide
notice of the permit application  to  the
Federal Land Manager  and  the Federal
official charged  with direct responsibility
for management  of any  ianos  within  a
class   I area wnich may  be  affected  by
emissions from the proposeo facility.
   (B)  The  Feaerai Land Manager and the
Federal  official  charged  with  direct  re-
sponsibility for management of such lands
shall have  an affirmative responsibility to
protect the  air quality related values  (in-
cluding visibility)  of such lands within a
class  I area and to consider,  in consulta-
tion with  the  Administrator, whether a
proposed major emitting  facility will have
an adverse imoact on such values.
   (C)(i) In any case where  the Federal
official charged  with  direct responsibility
for management  of any  lands  within  a
class I area or the Federal Land Manager
of such lands, or the Administrator, or the
Governor of an  adjacent  State containing
such a class 1 area riles a notice alleging
that emissions from  a  proposed major
emitting facility may  cause or contribute
to a change in the air  quality in such area
and identifying the potential adverse im-
pact of such change, a permit shall not be
issued unless the owner or operator of such
facility  demonstrates that emissions  of
paniculate matter and sulfur dioxide will
not cause or contribute  to concentrations
which   exceed  maximum  allowable  in-
creases  for a class  1 area.
  (ii) In any case where the Federal Land
Manager demonstrates to the satisfaction
of the State that the  emissions  from such
facility  will have an adverse imnaci on the
air quality-related values i including visi-
bility) of such lands,  notwithstanding the
fact that the change  in  air quaiity result-
ing from emissions from such facility will
not cause or contribute to concentrations
which exceed the maximum allowable in-
creases  for a class 1  arta. a  permit shall
not be issued.
   (iii'i   In any case \vnere tne  owner or
operator of  such facility demonstrates to
the satisfaction of the Federal Land Man-
agers, and the Feaerai  Land Manager so
certifies, that the emissions from such fa-
cility will have no  adverse impact on the
air quality  related values of sucn lands
(including visibility),  notwithstanding the
fact that the change  in air quaiity result-
ing from emissions from such facility will
cause   or  contribute  to  concentrations
which exceea the  maximum allowable in-
creases  for  class 1 areas,  the  State may
issue a  permit.
   [PL 95-190. November  16. 1977]
   (iv) In the case of a permit issued pursu-
ant to clause liii). such facility snail com-
ply wun sucn emission  limitations unaer
sucn Dermit as may oe necessary to assure
that emissions of sulfur oxides ano parti-
culates  from such  facility, will  not cause
or  contribute to  concentrations of such
pollutant  which  exceed  the  following
maximum allowaoie increases over  the
basenne concentration for such pollutants.
   [PL  95-190. NAvemoer 16. 1977]
                   Maximum aiiowtolc increase
                            '•• tmcTOsran"
                           "*.r cubic meter I
 Paniculate main...
   Annual geometric mean
   Tweniv-iour-Lcur ..ujimum
 iullur diosiuc.
   Annual arithmetic means ..
   Twcmy-four-nour maiimum
   Thrce-nour maximum	
:o
91
  (D)(i) In any case where the owner or
operator of a proposed major emitting fa-
cility who has been denied a certification
under suboaragraph (C)(iii) demonstrates
to the  satisfaction of the Governor, after
notice and public hearing, and the Gover-
nor hnds. that the facility cannot be con-
structed by reason of  any maximum al-
lowable  increase  for  sulfur dioxide for
periods of 24 hours or less applicable to
any class 1 area and. in the case of Federal
mandatory ciass 1 areas, that a variance
under this clause will not adversely affect
the air quality related values of the area
(inciuding visibility), the Governor, after
consideration of the federal  land manae-
er's  recommenoation (if any) and  subject
10 his concurrence, may grant  a variance
from sucn maximum allowable increase. If
such variance :s granted, a permit may be
issued to  sucn source pursuant to the re-
quirements of this suooaragraph.
   lii)  In any case in which the Governor
recommenos a variance under this suopar-
agraph in wnicn tne Feaerai land manager
does not concur, the recommenaations of
the  Governor and the  Federal  land man-
ager shall be transmuted to the President.
The President may approve the Governor's
recommendation if he finds that such vari-
ance is in the national interest. No  Presi-
dential finding shall be reviewabie  in any
court.  Tne variance shall take effect if the
 President approves the Governor's recom-
menaations.  The  President shall approve
or disanprove sucn recommendation with-
in 90 days after his receipt of  the recom-
mendations of the Governor and the Fed-
eral land manager.
   liii)  In the case of a permit  issued our-
suant  to  this suooaragrarh. such  facility
snail comoiy with such emission  limita-
tions unaer sucn Derma as may be neces-
sary to assure  tnat  emissions of sulfur
oxides  from  sucn  facility  will not  (during
any aay on which  the otherwise applicable
maximum allowable increases are exceea-
ed)  cause or contribute to concentrations
which txceca the following maximum al-
lowable increases for such areas over the
baseline concentration  for such pollutant
 and to assure that such emissions  will not
cause   or  contribute   to  concentrations
which  exceed  the  otherwise   applicable
maximum allowable increases  for periods
of exposure  of  24 hours  or less on more
than 18 days during any annual period:
   [PL 95-190. November 16.  1977]

-------
;LEAN AIR ACT
    MAXIMUM ALLOWABLE INCREASE
       (In microgranm per CUBIC meter)
Period of ciDasurc

;A-hr maximum
j-hr maximum
Low terrain  High terrain
  ireat      areas
    36
   130
              62
(iv> For purposes of clause liiij, ihe term
'high  terrain area' means with respect to
any facility, any area having an elevation
of 900 feet or more above the base of the
stack of such facility, and the term  'low
terrain area' means any area other than a
high terrain area.
   [PL 95-190. November 16. 1977]
   ^e)(U  Tne review  provided for in  sub-
section lai shall be preceded by an analy-
sis in accordance with regulations of the
Administrator,  promulgated  under  this
subsection,  which may be  conducted by
tne State tor any general puroose unit of
local  government) or by the maior emu-
ung facility  applying for sucn permit, of
tne amoient air quality at the proposed
site and in areas which may be affected by
emissions from such facility for each pol-
lutant suoiect to regulation under this Act
which will be emitted from such facility.
   (2) Effective one year  after  date  of
enactment of this  pan. the  analysis re-
quired by this subsection shall include con-
tinuous air quality monitoring data gath-
ered  for purposes of determining  whether
emissions  from such facility will  exceed
the maximum allowable increases or the
 maximum allowable concentration permit-
 led  unaer this  part. Such  data shall be
gatherea over a period of  one  calendar
year  preceding the date  of application for
2. permi: under this pan unless tne State.
 in accorcance with regulations promulgat-
 ed by :nc Administrator, determines that
 a compute ana adequate analysis for sucn
 purposes may be accomplished in a shorter
 period. Tne results  of such analysis shall
 be available at the time  of the public
 ncanng on tne application for such permit.
   (3) Tne Administrator shall  within six
 months after the date of enactment of this
 part  promulgate regulations resoecting the
 analysis  required  under this subsection
 which regulations—
   (A) shall  not require the use of any
 automatic  or  uniform   buffer  zone  or
 zones.
   (B) shall require an analysis of the am-
 bient air quality, climate and meteorology.
terrain, soils and vegetation, and visibility
at the site of the proposed major emitting
facility and in the area potentially affected
by  the  emissions from  such  facility  for
each  pollutant regulated under this Act
which will be emitted from, or which re-
sults from the construction or operation of.
such  facility,  the size and nature  of  the
proposed facility, the degree of continuous
emission  reduction  which   could  be
achieved  by such facility, and such other
factors as may -be relevant in  determining
the effect of  emissions  from a proposed
facility on any air quality control region.
   (O shall require the results of such
analysis shall be available  at the time of
the public hearing on the application for
such  permit, and
   (D) shall specify with reasonable par-
ticularity each air quality mooei or  models
to be used  under secerned sets of condi-
tions for purposes of this oart.
Any  model or  mooels  designated under
sucn  regulations may be adjusted  ucon a
determination, after notice and oooortuni-
ty for public  hcanng, by the Administra-
tor that such adjustment is  necessary to
take  into account unique terrain or mete-
orological characteristics of an area poten-
tially affected by emissions from a source
applying  for a permit required under  this
part.

        OTHER POLLUTANTS
   Sec. 166.(a)  In the case of the pollu-
 tants  hydrocarbons,   carbon   mono-
 xide, photochemical oxidants.  and nitro-
 gen  oxides, the Administrator shall con-
duct a  study  and not later than two years
 after the date  of enactment  of this part.
 promulgate regulations  to prevent  me sig-
 nificant deterioration of air auaiitv whicn
 would  result from  tne  emissions  of sucn
 pollutants.  In  the  case  of pollutants  for
 which  national  ambient air  quality stan-
 dards are promulgated after tne  daie of
 the enactment  of this part,  he snail  pro-
 mulgate  such regulations not more man 1
 years after the date of promulgation of
 such standards.
   (b)  Regulations  referred  to in  suosec-
 lion  (a)  shall  become  effective one year
 after the date of promulgation. Within 21
 months after such date of  promulgation
 such plan  revision  shall be  submitted  to
 the  Administrator  who snail  approve or
 disapprove  the plan  within  25  montns
 after such date or promulgation  in  the
same manner as required under  section
110.
  (c) Such regulations shall provide spe-
cific numerical  measures  against  which
permit applications may be  evaluated, a
framework for stimulating improved con-
trol  technology, protection of air  quality
values, and fulfill the  goals and purposes
set forth in section 101 and section 160.
  (d) The regulations of the  Adminis-
trator under  subsection (a) shall  provide
specific measures at least as effective as
the increments established in section 163
to fulfill such goals and purposes, and may
contain air  quality  increments, emission
density requirements, or other measures.
  (e) With respect to any air pollutant for
which a  national  ambient  air  quality
standard  is  established other tnan sulfur
oxides or paniculate matter, an area clas-
sification  plan shall not be required unoer
this section  if  the  implementation pian
adopted  by the State  and  submitted  for
:ne  Administrator's approval or promul-
gated by  the Administrator unocr section
 !10(c)  contains other provisions which
when considered as a whole, the Adminis-
trator finds will carry out the purposes in
section 160  at  least as effectively as an
area classification plan for such pollutant.
Such other provisions referred :o in  the
 preceding sentence  need not reauire  tne
establishment of maximum  allowable in-
creases with respect to sucn pollutant for
any area to which this section applies.
   (0 PM-10 Increments.—Tne Adminis-
 trator is  authorized to substitute, for the
 maximum allowable  increases in  pani-
 culate matter specified in section 163(b)
 and section  165(d)(2)(C)(iv).  maximum
 allowable increases in paniculate matter
 witn an  aerodynamic diameter  smaller
 than or  equal  to  10  micrometers. Such
 substituted maximum  allowaoie increases
 shall be  of equal stringency in effect as
 those specified in the  provisions for whicn
 they are substituted.  Until  the Adminis-
 trator promulgates  regulations unoer the
 authority of  this subsection, tnt cunent
 maximum  allowable  increases  in  con-
 centrations of paniculate matte:  shall re-
 main in cffcc:.
 [Sec.  166(0 added by PL 101-5491.

            ENFORCEMENT
   Sec. 167.  Tne Administrator shall,  and
 a State may take such measures, including
 issuance of an order,  or seeking injunctive
 relief,  as necessary  to prevent  tne  con-

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                                                                                                        FEDERAL LAWS
struction or modification of a major emit-
ting facility which does not conform 10 the
requirements of this part, or which is pro-
posed to be constructed in any area desig-
nated pursuant to section 107(d) as attain-
ment or unciassinable  and  which is  not
subject to  an  implementation plan which
meets the requirements of this pan.
[Sec. 16" amended by PL 101-549]

 PERIOD  BEFORE PLAN APPROVAL
  Sec.  168.  (a)  Until such time as  an
applicable  imciemcntation pian is in effect
for any area,  which oian meets  the  re-
auirements of this  part to prevent signifi-
cant deterioration of air quality  with  re-
soect  to  any air pollutant,  applicable
regulations unoer this act prior to enact-
ment of this part shall remain in  effect to
prevent significant deterioration of  air
quality  in any sucn  area  for any  such
pollutant excent  as otnerwise provided in
suoscction ibi.
   (bi  If any  regulation in effect prior to
enactment of this  part to prevent signifi-
cant deterioration of air quality would be
inconsistent with the requirements of sec-
tion  162(a).  section   163(b)  or  section
 164(a). tnen  sucn regulations  shall   be
deemed amcnaca so as to  conform with
such requirements. In the case of a facility
on which construction was commended (in
accordance with  the definition  of 'com-
menced' in section 169(2)) after June 1,
 1975. and onor  to tne enactment of  the
Clean  Air Act Amendments of 1977,  the
review  and  permitting of  such facility
shall be in accordance with the regulations
for the prevention  of significant deteriora-
tion in effect nnor to tne enactment of the
Clean Air Act Amendments of 1977.
    [PL 95-190. Novemoer 16.  1977]

             DEFINITIONS
   Sec. 169. For purposes of this part—
   (1)  The term 'major emitting facility'
means any  of  the  following stationary
sources of air pollutants which  emit, or
have the  potential to  emit, one hundred
tons per year or  more of any air  pollutant
 from  the  following  types  of stationary
sources:  fossil-fuel  fired  steam  electric
 plants of more than two hundred and fifty
 million British thermal units per hour heat
 input,  coal cleaning  plants (thermal dry-
 ers), kraft pulp mills. Portland  Cement
 plants,  primary  zinc smelters,  iron  and
 steel mill  plants,  primary aluminum  ore
 reduction  plants, primary copper smelters.
municioal incinerators capable of charg-
ing more than fifty tons of refuse per day.
hydrofluoric,   sulfuhc.  and  nitric  acid
plants, petroleum refineries,  lime  plants.
phosphate  rock processing  plants,  coke
oven batteries, sulfur recovery plants, car-
bon black plants (furnace process), prima-
ry  lead smelters, fuel conversion  plants.
sintenng plants, secondary metal produc-
tion facilities, chemical process plants, fos-
sii-fuei boilers of more than two hundred
and fifty million British thermal units per
hour  heat input, petroleum  storage and
transfer facilities with a capacity exceed-
ing three hundred thousand barrels, tacon-
ite ore processing facilities, glass fiber pro-
cessing   plants,   charcoal   production
facilities. Such term also includes any oth-
er  source wun tne potential to emu two
hundred and fifty tons per year or more of
any air ooilutant. This term shall not  in-
clude new or modified facilities which are
nonurorit  heaitn or education institutions
which have been exemoted by the State.
   (2)(A)  The term  'commenced' as ap-
plied to construction  of a major emitting
facility means tnat the owner or operator
has obtained all necessary preconstruction
approvals or permits  required by Federal.
State, or  local air pollution emissions and
air quality laws or regulations and either
has ti) begun, or caused  to begin, a con-
tinuous program of physical  on-site con-
struction  of the facility or (ii) entered into
binding agreements or contraciuai obliga-
tions, which cannot be canceled or modi-
fied without substantial loss to the owner
or operator,  to undertake  a  program  of
construction of the facility to be complet-
ed within a reasonaoie time.
   (B) Tne  term  'necessary  preconstruc-
:ion  approvals or  permits'  means  those
 permits or approvals, reouired by tne per-
 mitting autnonty as a preconaition to  un-
dertaking any activity under clauses \i) or
 (ii)  of   suooaragrapn   (A)   of   this
 paragrach.
   (C) The term 'construction' when used
 in connection  with any source or facility,
 includes  the modification (as denned  in
 section 11 l(a)) of any source or facility.
    (PL 95-190. Novemoer 16. 1977]
    (3) The  term 'best  available control
 technology'  means an emission limitation
 based on  the  maximum degree of reduc-
 tion of each  pollutant subject to regulation
 under  this  Act emitted from or  which
 results from any maior emitting facility,
which the permuting autnonty. on a case-
by-case basis, taking into account energy,
environmental, and economic impacts and
other costs, determines  is achievable  for
such facility through application of pro-
duction, processes and available methods.
systems, and tecnniques. including fuel
cleaning, clean fuels, or treatment or inno-
vative  fuel combustion techniques for con-
trol  of each such pollutant. In no  event
shall application of 'best available control
technology' result in emissions of any pol-
lutants which  will exceed  the  emissions
allowed by any applicable standard estab-
lished  pursuant to section  111 or 112 of
this  Act. Emissions from any source  utiliz-
ing  clean  fuels, or any  other means, to
comply  with this  paragraph snail not  be
allowed to increase aoove leveis that  would
have been required under this paragraph
as it  existed prior to  enactment of the
Clean Air Act Amendments of 1990.
(Sec.  169(3) amended by PL 101-5491
   (4)  The term  'baseline  concentration"
means,  with  rcsDeci to  a  pollutant,  the
ancient concentration  levels which exist
at the time  of the first application for a
permit  in an  area subject to  this part.
based on air quality data available  in tne
Environmental  Protection  Agency  or  a
State  air pollution control  agency and on
such monitoring data as  the permit appli-
cant is required to submit. Such ambient
concentration  leveis  shall  take into  ac-
count all projected emissions in. or  which
may affect, such  area  from any  major
emitting  facility  on  which  construction
commenced prior to January 6.  1975, but
 which has not begun operation by the date
 of the baseline air quality concentration
 determination.  Emissions of sulfur  oxides
 and paniculate matter  from any  major
 emitting  facility on  which  construction
 commenced after January 6, 1975. shall
 not be  included in the baseline  and shall
 be counted against the maximum allowa-
 ble  increases  in  pollutant  concentrations
 established under this part.
   [Editor's note:  Section  127(a)  of  PL
 95-95 added Part C to Title 1 of the Clean
 Air Act. Tne section further provides:
   (b)  Within one year  from the date of
 enactment of tms Act  [PL 95-95],  the
 Administrator shall report  to the Congress
 on the consequences of that portion of the
 definition of "major emitting facility" un-
 der the amendment made by suosection
 (a) which applies  to  facilities with  the

-------
vvEPA
            United States
            Environmental Protection
            Agency
            Office of Air Quality
            Planning and Standards
            Research Triangle Park NC 27711
EPA-450/4-87-007
May 1987
            Air
Ambient Monitoring
Guidelines for
Prevention of
Significant
Deterioration (PSD)
              RADIAN LIBRARY
              RESEARCH TRIANGLE PARK. NC

-------
                             NOV 24 TSSS
MEMORANDUM
SUBJECT:  Need for A Short-term Best Available  Control Technology  (BACT)
          Analysis for the Proposed William A.  Zlmmer Power Plant

FROM:     Gerald A. Emlson. Director Original Signd By
          Office of Air Quality Planning and  Standards (MD-10)

TO:       David Kee, 01 rectc
          A1r Management Division,  Region V (5AR-26)

     This is In response to your November 17, 1986, memorandum,  1n which
you requested comment on Region V's belief that prevention of significant
deterioration (PSD) permits must contain short-term emission limits to
ensure protection of the applicable national  ambient  air quality standards
(NAAQS) and PSD increments.  I concur with your position and emphasize to
you that this position reflects our current national  policy. Consequently,
I recommend that you continue to identify this  apparent  deficiency to the
Ohio Environmental Protection Agency and seek correction of the  draft
permit for the William A. Zimmer Power Plant.

     The PSD regulations clearly require that the application  of BACT
conform with any applicable standard of performance  under 40 CFR Part 60
at a minimum.  However, this should not be taken to  supersede  any additional
limitations as needed to enable the source to demonstrate compliance with
the NAAQS and PSD increments.  In the case of sulfur  dioxide (S02),  source
compliance with the 30-day rolling average emission  limit under  subpart Da
does not adequately demonstrate compliance with the  short-term NAAQS and
PSD increments.  Consequently, enforceable limits pertaining to  the
performance of the flue gas desulfurization system on a  short-term basis
must also be established.  Note, however, that the short-term limits can
result from either BACT analyses or the need to protect  air quality.
Therefore, the short-tens limit could be more stringent  than the BACT
limit.

-------
     I recognize that the sulfur variability  issue tends to  complicate
tne setting of short-term SOj emission limits,  but such limits  must  be
defined nevertheless.  Continuous emission monitoring data from comparable
sources can be used in order to estimate worst-case short-term  302
emissions that could occur at the plant.  The modeling techniques used to
determine compliance with the short-term NAAQS  and increments should
employ the enforceable short-term S0£ emission  limits which  the permitting
agency establishes.

-------
              United States
              Environmental Protection
              Agency
              Office of Air Quality
              Planning aro Standards
              Research Tnangi. Park NC 27711
EPA-45Q 4-80-C21
November i960
              Air
v>EPA
Workbook for Estimating
Visibility Impairment
                               ENVIRONMENTAL PROTECTION
                                    AGENCY

                                  FEB 13 1981
                                UBRARY SERY1C5 OFFICE

-------
REFERENCES FOR SECTION 10.4

-------
    ,,
     *-         UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
      s              Office of Air Quality Planning and Standards
                     Research Triangle Park. North Carolina 2771 1
«<
                               JUL5   1988
  MEMORANDUM

  Subject:  A1p Quality Analysis  for Prevention of
           Significant Deterioration (PSD]
  From:      Gerald A. Emlson, Dlrectf  _
            Office of Air Quality Punning a'nd Standards  (MD-10)

  To:        Thomas J. Mas!any, Director
            A1r Management Division   (3AMOO)


       Your memorandum  of May 9, 1988, pointed out that two different procedures
  are currently being used by the Regional Offices In certain PSD permit analyses.
  The Inconsistency  Involves the question of how to Interpret dispersion modeling
  results to determine  whether a source will cause -or contribute to a new or
  existing violation of a national ambient air quality standard (NAAQS) or PSO
  Increment.  This memorandum serves  to resolve the Inconsistency by reaffirming
  previous Office of A1r Quality Planning and Standards guidance provided 1n a
  December 1980 policy  memorandum (attached).

       As you know,  the regulations for PSD stipulate that apprctal to construct
  cannot be granted  to  a proposed new major source or major »odff1cat1on 1f 1t
  would cause or  contribute  to a NAAQS or Increment violation.  Historically, the
  Environmental Protection Agency's (EPA's) position has  been that a PSO source
  will not be considered to  cause or  contribute to a predicted NAAQS or Increment
  violation 1f the  source's  estimated air quality Impact  Is Insignificant (I.e.,
  at or below defined de ilnials levels).  In recent years, two approaches have
  been used to determine 1f a source  would 'significantly' (40 CFR 51.165(b)
  defines significant)  cause or contribute to a violation.  The first 1s where a
  proposed source would automatically be considered to cause or contribute to any
  modeled violation  that would occur  within Its Impact area.  In this approach,
  the source's Impact 1s modeled  and  a closed circle 1s drawn around the source,
  with a radius equal  to the farthest distance  from the source at which a
  significant Impact 1s projected.   If.  upon  consideration of both proposed  and
  existing emissions contributions, modeling  predicts a violation of either  a
  NAAQS or an Increment anywhere  within  this  impact area, the source (as proposed)
  would not be granted  a permit.  The permit  would be denied, even if  the source's
  1mpar+ was not significant at  the  predicted  site of the violation during the
  violation period.   You have  indicated  that  this is the  approach you  currently
  use.

-------
                                   -2-


     The second approach similarly projects air quality concentrations
throughout the proposed source's Impact area, but does not automatically
assume that the proposed source would cause.or contribute to a predicted NAAQS
or Increment violation.  Instead, the analysis 1s carried one step further 1n
the event that a modeled violation 1s predicted.  The additional  step deter-
mines whether the emissions from the proposed source will have a  significant
ambient Impact at the point of the modeled NAAQS or Increment violation when
the violation 1s predicted to occur.? If 1t can be demonstrated that the
proposed source's Impact 1s not "significant" In a spatial  and temporal sense,
then the source may receive a PSD permit.  This approach Is currently being
used by Region V and several other Regional Offices, and Is the approach that
you recommend as the standard approach for completing the PSO air quality
analysis.

     In discussing this matter with members of my staff from the  Source
Receptor Analysis Branch (SRAB) and the Noncr1ter1a Pollutant Programs Branch
(NPPB), 1t appears that different guidance has been provided, resulting 1n the
two separate approaches just suamarlzed.  We have examined the history and
precedents which have been set concerning this Issue.  I also understand that
this Issue was discussed extensively at the May 17-20, 1988 Regional Office/
State Modelers Workshop, and that a consensus favored the approach being used
by Region V and several other Regions.  Based on this Input, as well as your
own recommendation, I believe the most appropriate course of action to follow
1s the  second approach which considers the significant Impact of the source 1n
a way that 1s spatially and temporally consistent with the predicted violations,

     By following the second approach, three possible outcomes could occur:

     (a)  First, dispersion modeling may show that no violation of a NAAQS or
PSO Increment will occur In the  Impact area of  the proposed source.  In this
case, a permit may be Issued and no  further action 1s required.

     (b)  Second, a modeled violation of a NAAQS or PSO Increment may be
predicted within the Impact area, but, upon  further analysis, It Is determined
that the proposed source will not have a significant Impact (I.e., will not be
above de n1n1n1s levels) at the  point and  time  of the modeled violation.
When  this occurs, the proposed  source may  be Issued a permit  (even when a new
violation would  result  from Its  Insignificant Impact), but the State must
also  take the  appropriate  steps  to  substantiate the NAAQS or  Increment viola-
tion  and begin  to correct  1t through the State  Implementation plan (SIP).
The EPA Regional Offices'  role  In  this  process  should be to establish with
the State agency a  timetable  for further analysis and/or corrective action
leading to  a SIP revision, where necessary.  Additionally, the Regional
Office  should  seriously consider a notice of SIP deficiency,  especially  1f
 the State does not  provide a  schedule  1n a timely manner.

      (c) Finally,  the analysis may predict that a  NAAQS or  Increment
 violation will  occur 1n the Impact area and  that the  proposed source  will
 have a significant Impact on the violation.   Accordingly,  the proposed source
 1s considered to cause, or contribute to,  the  violation and  cannot be Issued
 a permit without further control or offsets.  For a new or existing NAAQS

-------
                                     -3-


violation, offsets sufficient to compensate for the source's significant
Impact musroe obtained pursuant to an approved State offset program consis-
tent with SIP requirements under 40 CFR 51.165(5).   Where the source Is
contributing to an existing violation, the required offsets may not correct
the violation.  Such existing violations must be addressed in the same manner
as described in (b) above.  However, for any Increment violation (new or
existing) for which the proposed source has a significant Impact, the permit
should not be approved unless the .increment violation Is corrected prior
to operation of the proposed source (see 43 FR p.26401, June 19, 1978; and
45 FR p.52678, August 7, 1980).

     Your memorandum also states that other air quality analysis Issues exist
within the NSR program which need consistent national  guidance.   You recom-
mend a more coordinated effort between SRAB and NPPB to review outstanding NSR
issues.  We agree; however, rather than establishing a formal  work group as you
propose, we are optimistic that the formal participation of representatives
of the NSR program in the Modeling Clearinghouse will  help resolve coordinatien
problems.  Earlier in the yes-.,  the Modeling Clearinghouse was officially
expanded to include represenration from the NPPB to coordinate PSD/NSR issues
which have a modeling component.

     I trust that this is responsive to the concerns which you have raised.
By copy of this memorandum, we are also responding to a Region Y request
for clarification on the same issue (memorandum from Steve Rothblatt to
Joe T1kvart/Ed 11111s, dated February 18, 1988).

     Should you have any further question- concerning this response, please
feel free to contact Gary McCutchen, Chief, New Source Review Section, at
FTS 629-5592.

Attachment

cc:  Air Division Directors, Regions I-X
     Air Branch Chiefs, Regions I-X
     D. Clay
     J. Calcagni
     J. Tikvart
     E. LWIs
     G. McCutchen
     D. deRoeck

-------
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§ 51.166 ^ 40 CFR Ch. 1 (7-1-91 Edition)
(xxvl) Fossil fuel-fired steam electric modification as though construction
plants of more than 250 million Brit- Imd not yet commenced on the source
Ish thermal units per hour hcnt Input; or modlflcntlon;
(xxvll) Any other stationary source (b)(l) Each plan shall Include a pre-
category which, as of August 7. 1980, Is construction review permit program or
being regulated under section 111 or lls equivalent to satisfy the requlre-
112 of the Act. ments of section 110(a)(2)(D)(l) of the
(5) Each plan shall include enforcea- Act for anv new maj[or stationary
ble procedures to provide that: source or major modification as de-
(1) Aoorovil to construct shall not flned in Paragraphs (aXl) (Iv) and (v)
^^ss&S
P icable provision of the plan and any , ted as attainment or unclasslflable
other'requ rements under local. State for any national ambient air quality
or Federal law. standard pursuant to section 107 of
(11) At such time that a particular the Act, when It would cause or con-
source or modification becomes a tribute to a violation of any national
major stationary source or major ambient air quality standard.
modification solely by virtue of a re- (2) A major source or major modifl-
laxatlon In any enforcement limitation cation will be considered to cause or
which was established after August 7. contribute to a violation of a national
1980, on the capacity of the source or ambient air quality standard when
modification otherwise to emit a pol- such source or modification would, at
lutant, such as a restriction on hours a minimum, exceed the following sig-
of operation, then the requirements of niflcance levels at any locality that
regulations approved pursuant to this does not or would not meet the appli-
section shall apply to the source or cable national standard:
Averaging time (hours)
-
o
<0
3
c
<

2 mg/m*
*
7
a
8

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(3) Such a program may Include a modification with respect to a partlcu-
provlslon which allows a proposed lar pollutant if the owner or operator
major source or major modification demonstrates that, as to that pollut-
subject to paragraph (b) of this sec- ant, the source or modification Is lo-
tion to reduce the Impact of Its emls- cated In an area designated as nonat-
slons upon air quality by obtaining talnment pursuant to section 107 of
sufficient emission reductions to, at a the Act.
minimum, compensate for its adverse (S1 ^ 40869. Nov. 7. 1988. as amended at 52
ambient impact where the major PR 24713. July 1. 1987: 52 FR 29386. Aug 7.
source or major modification would 1987; 54 FR 27285. 27299 June 28, 19891
otherwise cause or contribute to a vio-
lation of any national ambient air 8 51.166 Prevention of significant deterlo-
quallty standard. The plan shall re- ration of air quality.
quire that. In the absence of such (aXl) Plan requirements. In accord-
emission reductions, the State or local ance with the policy of section
agency shall deny the proposed con- loi(b)(l) of the act and the purposes
struction. of section 180 of the Act, each appllca-
(4) The requirements of paragraph ble State Implementation plan shall
(b) of this section shall not apply to a contain emission limitations and such
major stationary source or major other measures as may be necessary to
802

-------
REFERENCES FOR SECTION 10.6

-------
43814
FadaaJ  Retjbtat / VoL 51. No. 233 /  Thursday.  December 4. 1966 /  Notices.
ENVIRONMENTAL PROTECTION
AGENCY
Eflrieaiofta Trading PoMcy State-me
General Principle* for Creation,
Banking and Uaa of Emiaalen
Reduction Credits

AOCNCY: Environmental Protection
Agency.
ACTIOM: Final policy statement and
accompanying technical issues
document.
              Policy Statement
replaces the original bubble policy (44
FR 71779. December 11. 1979) and makes
final revisions in an Interim Emission
Trading Policy which was published
April 7. 1982 (47 FR 15076) and on which
further comments were requested
August 31. 1983 (48 FR 39580).
  The  policy describes emissions
trading and sets out general principles
EPA will usa to evaluate emission*
trades nndar the Clean Air Act and
applicable federal regulations.
Emissions trading includes bubbles;
netting, and offsets, as well as banking.
(atetaaa} ot emission redaction credaa-
(ERCs) for fututeuM. These alternative*
do not aher overall air quality
requirements; they give state* and
industry more flexibility to meet those-
requirements. EPA endorses emissions
trading and encourages its seuntl use by
nates  and industry to Masaet tW •
goals of the Clean Air Act mow quickly
and inexpensively.
   However. EPA afaa reojriau tftal -
without strict accounting practices and
other safeguards-, emissions tradeunay
cause  pot eatioieitvirBiua«nt*i h*rn.~
Accordingly, this fferxj pro-rid*
                      explicit f»ia"anre on baeeiinea aaaV   .
                      reiatadteatefeceaviroaiiaatal  .
                      equivalence and environmental
                      progress. It includes numeroua
                      tightening* and clarifications meaat to
                      assure the future environmental integrity
                      of bubbles and other trading
                      transactions.
                        Among other general steps, tha pottey
                      states that tha lower of actual or
                      allowable emissions must usually be
                      used as the baseline for emissions
                      trades. Divergences from this baaeUna
                      will be allowed only where the state or
                      applicant shows that any potential
                      increase in actual emissions will not
                      jeopardize National Ambient Air
                      Quality Standards (NAAQS). PSD-
                      increments or visibility protection
                        General showings to this effect may
                      be made only by establishing that
                      allowable  values were clearly
                      incorporated in or assumed by an
                      approved demonstration of i
                      or maintenance. Specific she
                      this effect may be made only in i
                      circumstances* described* in the?  . -
                      accompanying Technical Issues
                      Document.
                        Oth*r general matters addressed s
                                  claiifled by this policy
                      fnrfmir rrmiirmaari far lir i|iinlaTp
                                        vabU state
                      babble ralea, additional eorereeneant
                      safeguards-. and additional safeguards
                      reiaied to bubbles involving pollutant*-
                      listed, regulated* arpropoaed to bar _
                      •atdnraerfisn-a'ar Section llZof the»Aee-
                        Thia policy alao-satr Jo»* aa*^ UgAta
                                  fiw babbie* in pnmacy.
                      lack, appro-cad damonatrations that;
                              asobi«nt standarda
•IJajinhli trrPnTTillnnrshlL emusiom
laaaltnas io tbaaa anaa OM of put
thaadowns, curtailments or other
racbctiona which occurred before
•pa-ication for credit ia essentially
eliaMnated. and a further reduction of at
kaat 20 percent beyond the baseline is
required. Broadly speaking, sources may
seeara bubble credit ia these areas only
if claimed reductions meet these
basaiifle and further reduction
requirements: were reasonably.
objectively elicited by the opportunity to
bade: and are accompanied by state
assnrances that the trade is consistent
wrth the state's efforts to attain the
ambieot air quality standard. EPA will
approve bubbles  which meet these
raqairements because they are
consistent with the attainment needs of
these areas and will yield a net air
quafity benefit Such bubbles can
produce economic savings and
environmental improvement at the same
  Tie policy announced today does not
cmstrtute final action of the Agency
wtajiin the meaning of section 307(b) of
&• Clean Air Act and therefore is not
Judicially re viewable. Rather, it
eetablishes general guidance an
effroveUe voluntary trades. EPA wilt
implement this guidance in later
rule-making actions that will be judically
reviewable. Applicants for emissions
tnefeereBain free, following publication
of tadflrr1* notice, to advance the
appropriateness- of different trading
            in the context of
           actions on their individual
trades.
   VCTTW OATH This Policy Statement
   tffecrtv« December 4.1986.

-------
                  Federal Register  /  Vol. 51. No.  233 / Thuriday.  Deeerabar 4. 1966 /  Noticaa
                                                                                                                43815
ran ruRTMt* mr OMMAVON CONTACT:
Inquiries regarding the general
implementation of this policy may be
directed to: Barry Gilbert. Office of Air
Quality Planning and Standards (MD-
15). Research Triangle Park. NC 27711.
(919) 541-5516.
  Inquiries regarding specific
applications to use this policy may be
directed to the appropriate EPA
Regional Office (see Appendix  A of (he
Technical  Issues Document)
  Inquiries regarding the development
and basis of this policy may be directed
to: Barry Elman. Regulatory Reform
Staff (PM-223). U.S. Environmental
Protection Agency. 401 M Street SW..
Washington. DC 20460. (202) 362-2727
                              Under
 Executive Order 12291. EPA must fudge
 whether this action is "major" and
 therefore subject to the requirement of a
 Regulatory Impact Analyiis. This action
 is not major because it establishes
 policies, as opposed to regulations, and
 can substantially  reduce the costs of
 complying with the Clean Air Act

   This Policy Statement was submitted
 to the Office of Management and Budget
 for review. Any comments from OMB to
 EPA are available for public inspection
 in Docket C— 81-2. Pursuant to U.S.C
 005(b). I hereby certify that this action
 will not-have a significant economic
 impact on a substantial number of small
 entities. As a policy designed to allow
 firms flexibility to meet previously
 established regulatory requirements, it
 will impose no burdens on either small
 or large entities.
   The contents of today's preamble ara
 indicated in the following outline. The
 outline is followed by the preamble
 itself, and then by the Policy Statement
 dnd accompanying Technical Issues
 Document.
 Table of Contents:  Preamble
 I. Introduction
 11. Major Issues
   A. Baselines
      1. Determining Baselines— -Central
      Guidance
      2. Comments on B*»elin«« in
      Nonattammem Area* with Approved
      Demonstrations of Attainment
      3. EPA's Resolutions on Bassinet in
      Nonaitainment Area* with Approved
      Demonstrations of Attainment
    B. Baseline and Other Requirement! for
      Bubbles in Primary Nonattainment Area*
      Which Require But Lack Approved
      Demonstrations of Attainment
      1. EPA j Resolutions Regarding Bateitn*
      and Other Requirements
        a. Specific "Progress ' Requirement*
        b. Additional "Progress" Requirement:
      Slate Assurances
      2. Basic Rationale
    1 Additional Consideration* Retarding
    the Benefits of Bubbles
 til Additional Policy Quotes and
    Qanfi cation*
  A. Generic Bubble Rules
    1 Substantive Progress Requirements
    i Procedural Requirements
  B. Bubbles Involving Hazardous or Toxic
    Air Pollutants
  C Banking Emission Reduction Credits
    (ERCsl
  0 OBERS Protections and Double-Coanttng
  E Improved Modeling and Of Minima
     Requirements
     1. Of Minima Levels
     1 Modeling Requirements
  F Enforcement laaues

 PREAMBLE-EMISSIONS TRADING
 POLICY STATEMENT
 I. IntroductkM
  Today's policy makes find the  .
 Agency's prior guidance on general
 principles tor creating, storing (banking]
 and using emission reduction credits in
 trading actions under the Clean Air Act
' This preamble responds to written
 commen  -EPA received on major Issue*
 raised b> us proposed emissions trading.
 policy statement (47 FR15078. April?.
 1982) and subsequent request for furthat
 comment (48 FY 38580. August 31.1983).
 It also explains the Agency's principal
 decisions on these issue*.
   Today's notice is the primazj *oore*s.
 of EPA guidance on existingrtource,
 bubbles, stste generic bubble rule*, and
 emission reduction banking. It replace*..
 the original bubble policy (44 FR 71778,
 December 11.1979) as well as the
 proposed emissions trading policy
 statement which was effective April  7,
 1982 as interim guidance. The notice
 addresses how emission reduction
 credits (ERCj>—the currency of
 trading—may be used for bubbles, as
 well as for netting or offsets. Netting
 and offsets sre part of emissions trading.
 but are governed by EPA and state-
 regulations for new source review.1
    Nothing in today's notice alters EPA
  new source review requirements or
 exempts owners or operators of
  stationary sources from compliance with
  applicable preconstruction permit
  regulations in accord with 40 CFR 51.18.
  51J4. 31.307. 52^21. 5Z24. 5X27 and 52J8.
  Interested parties should, however, b*
  aware that bubble trades art not subject
  to preconstruction review or regulations
    1 SM. €.*_ 40 CFR S1.1S. 31.14. S1O07. U-H. &U4.
  JZ.Z7 «nd SUE.
    On Novtmocr 7.1968. EPA rntmcnovd CFR Pwi
  Jl ind r«Munb*r*d nuay of that Puri Mcnou (51
  FR 4O&HL B*C*UM mott rtid*n will b« mod
  ftnuliir with prior dmgnanoiu. today t nooa
  contain* atinoni (M**d on th< ortJatuaoa of Put
  il is H *u*it4 b«fort ibii  mtracrunna- lnt>rnt*d
  p*ra«* mi; UM Appendix  F of rodiy't Technical
  [HUH Docununi 10 conv«rt today'* Pin 31 dlKraoi
  to ifx comjpotxlini n«w on**.
whan these trade* do not involve
construction, reconstruction, or
modification or t source within the
meaning of those tsmns in the
regulations listed above.
  The policy announced today does not!
constitute final action of the Agency
within the meaning of section 307(b) of
the Clean Air Act and therefore is not
Judicially raviawabla. Rather, it
establishes general guidance for
reviewing and approving voluntarily
submitted trade*. EPA will implement
this guidance in later rulemaking actions
that will b« Judicially reviewable.
Applicants for emissions trades remain
free, following publication of today's
notice, to advance the appropriateness
of different trading requirements in the
context of rulemaking actions on their
individual trades.
  Under today's notice, EPA continues
to authorize UM of bubbles, .banks, and
generic bubble rules in all areas of the
country, and provides for the fair and
prompt processing of bubble
applications which have been pending
before EPA under the 1982 policy.
However, basad on experience under
tha 1983 poHey. and in order to ensure
the aovironmantaJ integrity of furure-
amtssion*. trade*, today's notice
significantly; ttgfctans requirements
applicable to certain trading actions.
particularly axiating-sourct bubbles m
primary nonattammant anas which
require but lack damonstntions of
attainment. It also clarifies approval
criteria in ways which- should make
review and approval of
environmentally-sound tndes more
rapid and predictable. Among other
safeguards or safeguarding
clarifications, it requires that
   • Bubbles may no longer result in any
 increase in applicable net ba*«lin«
 emissions in any area, whether
 attainment or nonattainment. except
 under stringent condition* which aiiure
 that ambient equivalence will
 neverthalswe b« achieved:1
    • Baselines for sources parQr.patir^
 in a bubbJt in any area must take into
 account all three factors relevant to
 total emissions (i.«, emission rrtt.
 capacity utilixation. and hours of
 operation) in order to provide an
 accurate accounting of emissions before
 and after the trade;
   1 ThU chani» ooetoniiw • ttfjuflcintiy -nan
  svnaot deflation of wh« ««y o« cormctm: <
  bubo* undv UM EDIMMO* Trwllni Policy Scrc-.r.c
  umoiwt tt*u wtuch BUI b«  SM< 10 ouiury !cr in
  tuapooo from uni rMtncaoo cix t>« feur.o 
-------
                  Fedar»l Register / Vol. Si. No.  233 / Thamlay. Decipher 4. 1«6 / Notice*
precisely the tbrM facton which muat
be addressed in calculating baseline
emissions; (b) reaffirming that lor
bubble* in aonattainmam ana* with
demonstrations of attainment that have
been approved and not subsequently
found by EPA to be substantially
inadequate to attain ambient standards.
the baseline must be consistent with
assumptions used to develop the area's
demonstration or must otherwise be
shown by appropriate ambient
dispersion modeling to protect air
quality standards: aad (c) specifying a
number of special "progress"
requirements for bubbles hi primary-
nonattainment areas needing but lacking
approved demonstrations of attainment.
including stringent new baseline
requirements, a ban on the UM of
reductions produced before application
to bank or trade, and a mandatory extra
reduction of at least 20% beyond
applicable baseline emissions. Together
with tightened criteria for modeled
demonstrations of ambient equivalence.
a well as other new requirements for
bubbles, banks, and generic rules, tbese
resolutions wUl as* are contiaaed
environmental progress through trades.
1. Determining Baselines—General
Guidance
   A source's baseline emissions are
calculated by multipJriag three factors:
the source's emission rate (usually
expressed as emissions per quantity of
production or throughput); its ho*rs of
operations or hourly usage over tone
representative time period: aod its
capacity utilization (e.g.. the units of
production per hour of use).' All three
factors must be addressed, since a
source's emissions for a given penod
may vary widely despite a constant
emission rate, depending, for example.
on whether it is operated at low
capacity for a small number of hours or
utilized near full capacity for a Large
number of hours. The product ol this
baseline calculation is generally
expressed in pounds of emissions per
 day or tons of emissions per year (TPY).
 or both.
   Today's policy clarifies EPA's original
 intent regarding appropriate methods for
determining these three baseline factors.
 In general, in nonattainment areas wUh
 approved demonstrations, a source's
 baseline emissions for bubble purposes
 must be calculated using the lower of it
 actual emission rate or allowable
 emission limit, phis the lower of irs
 actual or allowable capacity utilization
 and hours of operation. That ia. baselioa
emission* hi tbae* areas aw*t geaerttiy
be calculated using lewer of actual or
allowable vtJva* far all tart* eaaaaaw
facton.*
  Actual value* for these factor* art
baaed on some representative historical
time period (generally the avenge of the
two yean preceding the source'*
application to bank or trade).
  Howfftr. what* th* state or applicant
•how* that the SIP. a aonrce-apecifie
preconstrucdoa permit, or an equivahmt
document dearly aaauaes or •ptdfia
allowable value* which an higher than
corresponding actual value* for on* or
men baseline factor*, and that
document post-dates the baaeUae
inventory year for a SIPs attainment
demonstration, the** value* aay
replace actual value* for calculating tfea
bubble baavtiaw. Where only oew vahsa
(typically th* emission not) is specified
the other two baseline facton muat
generally be baaed oa actual lerala,*
  Such showing* muat be baaed OB
either data from the SIP or data *at«l aa
SIP prepantkiBL1' Applicants nay
alternatively perform appropriate
modaUog to desBooatrata1 that MM of
allowable wakes which an higher tfeaa
actual value* wiM aot daJay or
jeopardize attainment aad matatananr*
of ambraot standard*, pncactiao of PSD
increments, or visibility. Upon either
type of showing, thcaw attowaek vahte*
may beasad"
  • N«ttim tad «&•( l
EPAt rtfit»aamt BI «• OT J3.1*. im M JOT,
J121. 3U4. U-Z7 MB1 lUS. AOBOrttaltr. IB*
ducuMioa of »»••*.-« BpaiBM on>r to fai^r%ljMi
  • SM SocttoB LA.1 and Apfaodix B of to«Ay't
T«±aiul IMUM Docount (or fartttr dvouli aa
 who coos tracttd the dmaiutno**-
  « UM of todi Mghir «Oow.bU nluM which
 rtqum wch bubbtn IB nnrnnimmgnl tn»t wttk
 *porov«d dvanuttvOow to b« piuu«mij u Sff
 •ocUUnj KTMIL Jbn tddiboo, ttx SBTi nnnmbll
 funtvrr profmt (RFP1 otkuUuaai would «n«*
 hm tobcrrviMd.
             ffm «jm t»P»»«u *m of »ooh
   1 For rfnulrd dt*cui»lon of b*MUnt raniiKxu
 and biMlm* ficiorv M« Ttchnicai Uiu«
 Doenm^nl. App«nd1x E
 trau. «mbimt r»*Jvutu»u
 in nxxjjlljn nuy pi»Qfy OM
 vtlut*. Hu«nur. for bubbln precnitd M cm try
 UM SIP rrrutoiu in tmmcntni «»•>, tit* lUfioa
 rauinj ducrtnon to rv^iun -^-»onnn«nl
  AO bubblM ia (tuumnt U«M nij^t oa
 •Uow«bi« V«JUM ool uMd or raJUcaad IB M)
 •pproMri ri4nrmnrnio« BUU b< i niniaj Jar
 u»br«n( inp*cl b«Md oa • com^tmat at
               i is required becaiM
                  JVOB* through
approval SiP sneauns i* the Oca
Act'* priadpat nedwnfeai for timely
attainaaaL and twcauve many approvec
dtnoiwttMioM  cither do not contain
•tiled aeaumptions regarding ail three
baselio* factor*, or were based on
eombtaatfon* of actual and allowable
value* for these facton. It recognizes
that bubble bawhnes must accontehy
reflect the SIP assumptions for all three
baseline facton in order to maintain SIP
integrity.
  Under this approach, determination of
bubble baseline* consistent with
approved demonstrations is a
sequential tiered process. That process
waa implicit in both EPA's 1982 policy
and it* 19*3 nquaat for further
comment as well aa actual practice m
bubble actions under those notices. EPA
is making it expiicit in response to
concerns that "paper trades" might
uadermn* attainment demonstrations
becauae approved SIPs do not always
state all assumptions on which their
damoiiKraQjuau)  rery. By requiring  tha i
unstated or ambiguous values for all
baaeiuM factors ae rmolved in favor of
lowtr actual nJtttt, today's notice
provides additional asswanc* that
bohbla* in oooattainment areas with
approvwd de»onsaraB'ons will not
threaten aabieiK standards. PSD
incneaenta. or rieabtlity protection.

2. Coouaaata oa Basalioes in
Noaattauaaaat Areas WiLb Approved
Demonstration of Attaumnt

  Comments on basetines in these areas
indicated wide disagreement over whe.-e
EPA require states u set this baseline
level The 1982 policy noted it at "In
nonanamment areas with approved
demonstrations of attainment, the
basettna must be consistent with
assumptions used to develop the area i
SIP." That policy generally required ihat
when approved SIP demonstnnocj
relied on actual emission levels at
particular sources, thote actual levels
would have to be reflected ia bubble
baselines. Where SIP demonstrations
wen baaed on allowable tnusaioa*.  the
1982 policy authorized bweune*
reflecting such allowable leveU. despite
the fact that some sourest' actual
emissions an currently or historically
lower than their "allowables." "
        H«- ta« ~v«n< OM* "I m oio«f to 4uun
 tiui aoy ffm"-i IBOTCM* « tent*!
 tpoikBbk C«B An Ad rv^utrnMou. &• IOMV

-------
/ Vof. St. -Mjsc Bfr
                                                                     December * »W / Nottasr
  • Boiktjets >» primary newrMaiftmefU
•ma nee*nf bw» ladntf approved
demoBtralioae of altaawnont meet use
the !owest^^rtual-S»*««ow»ble-or-
RACT-ailowable eminiooa baseline. M
described below, for each sovrce
involved in the end*:
  • Bubble* in primary nonauaimnent
arena needing but lacking approved
demonstration* most contribute to
pragma toward attainment by
providing a 20% net reduction in
emissions remaining after application of
the baseline above to all aourcea
involved in tha trade or. if the bubble '»
being processed under a state generic
rule, the greater of a 20% net reduction
or the parceot reduction which, would be
required from all controllable stationary
source* in that area (e.j, talcing into
account expected mobile source
reductions and disregarding area-source
contributions) in order to achieve
attainment
  • Bubbles in attainment areas and
nonattairunent areas with approved
demonstrations must use the lower of
acfaa) or allowable values for each of
the three basetine components, unless
allewvbtc rahies higher than
corresponding actual values are dearly
used or reflected in the demonstration or
otherwise shown nor to jeopardize
ambient standards. PSD increments or
visiWHty:
   • In eii areas, emission reductions
must be trade state-enforceabre in order
to qualify as ERCs and be deposited in
an u^A spyifovebie beuic
   • In aft area* bubbles* mosf meet
 more stringent tests for ambient
 equivalence, mctadfng- additional
 ambient significant levels, more
 protective air quality modeling
 requirements, and mote conscrrarive-
 definitions of daadnfau'i trade*:    •  '
   • In ail areas, the total of any
 incidental emissions of hazardous or
 potentially hazardous air po4hitanti
 associated with a criteria, potiatant in a
 bubble trade mutt renuria eqnal or be
 decreased, whether sudt hazardous
 pollutants have been regulated.
 proposed for regulation listed, or tfi*
 subject o/ a notice-of-4a*eat-k»-ujt under
 Clean Air Act Hi
    • States must provide assurances to
 EPA that bubbles submitted 1br EPA
 approval in primary nonattainment
 areas needing but lacking approved
 demonstrations are consistent with the
 state's SIP-planning and attainment
 objectives. For generic rules, the state
 must make certain assurances in
 conjunction with its lubonttai of th»
 generic rule to EPA. and certain
 additional assurances with the state's
 proposed and final approval of each
 individual bubble under that rule:
      • Bobbles insaca primary
    nonattainneat areas, nuy not use credlk
    from reductions made before application
    to bank or trade web credit:
      • Where sources iasucnareee seek to
    bank credits in the felon, "application
    to bank." forpurpove* of evaluating
    credit* for use in bubbles, means the
    time of filing an application to make the
    proposed credits state-enforceable
    through or concurrent with use of a
    formal or informal banking mechanism:
      • Bubbles must not impede
    compliance or enforcement (e.g.. the
    policy states that compliance extensions
    may BO longer be granted' under generic
    rules in any  nonattainmaat area, and
    that bubble applications do not per M
    suspend underlying SIP limits or defer
    source obligations te achieve those
    limits*
      • Generic rule* ia eff area* win* be
    subject to tncreeeed EPA oversight
    inch jing EPA perntipatkm hi the
    state s public notice and comment
    proves* prior to state approve! of*
    indrvfchaJ bobbin, subsequent review*
    of indrviduei generic approvals, and
    renews of uYe general tntpfementeoeB'
    of the rules theanerves. in order-to
    assore Qvef approved rafee are oenxg^r
    properly implemented! and,
      * EPA or  state notices of poooaeedL-
    and final bubble approvals, in aJf ana*.
    mast dearly indicate any changer fe
    actual ax well as aibwa&e emissianrat
    all soorces involved ia, tha bobble. se.
    the ambient effects of these trade* may!
    be known.
    These and.other changes taammced
    today will gearrally be applied to all SIP
    revision bubbles and state generic
    bubble rules, that heva not been
    approved by EPA as of this data.'
       OB. June 25,ISM ±e Supreme Const
    unanimousiy ruled that EPA may allow
    states to use a siogk. piaarwicU
    definrboa of "»tano«ary source" lor new
    source review (NSR) purposes in
    nonattainment areas as well aa
     attainment  areas, provided use of that
     definition would not interfere wite.
     attainment  and maintenance of national
     ambtent air quality standards
     (NAAQS)-* Under the "plaatwid*"
     definition, increases and decMaaea
     occurring anywhere on  plant proBevty-
     from emission units within the same
     two-digit SIC code are generally
                  dl»cutto» o*
     in S*cooa 1C. of i«Uy'> Micy SlMVMm imt
     Sccuon IA-LW4) erf tcxurf't Ttdtmort IOTM*
     OOCUOMBC.
       • Ckfr»n US. A, Ine T. Natara/M*tumt.iu
     Delfnn Comal. 104 S CX 277B. U ED) 2000T.
     overrwtlnf Mxorn/ Resetrctr Dtf**m Ccurroi. Inc.
     v. Con***, aw r.H 718. 12 ELR 20»U fD C Or
     1B83I.
for netting.' and may be ued to =
each other without tagrtonj
precoaitrucoea peeetii nQun
majoc new sourcm er modifications, so-
long aa, actual puMtwida emission*
would not significanfly incnaea.
  States and sources considering the use
of netting should; however, be aware,
thai applicable New Source
Performance Standards (NSPSJ.
preconstructien review requirements
under 40 CFR 51.18 (aHh) and (1).
NESHAPS. and SIP limits continue to
apply to such modifications. EPA is
currently developing guidance for stales
that wish to adopt a plant-wide
definition of "source" for nonattainraeor
area* into their new source review
regulations.*
  Pending or future litigation or
rutanaking; particularly final resolutioc
of the settlement agreement arising fror,
the industry challenge to ERA'i i960
promulgation of revised NSR rules
(ChemfcalMunufacturtry Association v
£«t Nb. T9-11J2. D.C. dr.. February
1962); may alter aspects of this policy.
especially regarding certain transactions
under EPA new source review
reftdarfsoHk See eft FR 2S742 (August 22.
1983) (atppeeed revnioea). Ho we set.
unseea eaeinnti E£A fiaally revises the_
relevsnfnsfjsfsnnea, die curreot      '
                 ia in effect
  The beseUne for a given source is tha t
 level of emissions below which any
 additional reductions may be counted
 (credited] for use in trades. Questions
 renting to appropriate bubble baselines
 for particnhsr emitting sources or types
 of sources in nonattamment areas
 generated the principal fssues resofved
 by today's nonce. EPA's resolutions
 strengthen SIP integrity and states'
 ability to make progress toward
 attainment by (a) identifying more
  ' SIC Cod* mtini code* deacnbtd in :he
 SumUnJ tmtotml Ciinficinon Minutl 19"1
 io«nd»d 1977 {U.S. Gov«mmrm Pnnrnii OfT.ce
  • Mtoj iittm curmtty ••clay th« t
 "rtml ilrf«in»i ' iV 'mtiiinnf inirrr ' 111 ------ *•  -
 borti th« pUM «ad ««e4 «micon| pi»c«oi •qu.om— •
 within it an "luuocuicy Maccc*.' Undtr :r,n
 dvfinitKM. whw tnr mdinduai pieci of tquiprr.e-M
 it lars* nousii to Krmi of poltniikl cmiuions :o :•
 dcOMtf **» *m«wrTtttton»i7 source." only
 incrtn«»«irfJiuu««ti In »fTutl trmnorrs frcm
                            "
                         providn ;m it:
                         n»mn% \s u»
 opportamty (or o»(nnf »
 rll— — i U-'T '*" -4"' '^-J" —
 individual M" •* «•*'"•< •$vxpin«n<
 jutiontry «ourc«." lh« 'dual o>/iniuon
 ••m»oppornuuiy to 'twt" it iht 'piani
 d«finmoo.

-------
43813
Federal Ragatet /• Vol 81.  No. 233  / Thursday. December 4. 1566 / Notices
  Th« jreat maierity-ol eotmnentert
ropported thte Sff fouwkttisn for trading
baselines. Botfng thtl-9Pt art the
cornerstone of the Ac!? approach to air
quality management These commeaters
also asserted that regardless of sources'
actual emissions, measuring reductions
from allowable levels assumed in a
valid SIP demonstration was entirely
appropriate for use in trading, since the
area would still attain ambient
standards in a timely manner. See. e.g«
48 FR 38582 (August 31.1983).
  However, other conunenters asserted
this approach was either -too loose" or
"too tight" The  first group stated that
credit should only be granted for
reductions below current actual
emissions, provided actual emissions
met applicable SIP limits.11 They
advanced various reasons for this
position, including assertions that
reliance on past reductions, while
consistent with approved plans for
attainment, might not comport with
"broader" dean air goals. Some  felt that
SIPt were insufficentry precise to serve
as a basis for trading.
  A second group of comments went in
the opposite direction, asserting that
baselines should always be ni**ititnm
allowable source emissions, regardless
of assumptions used in SIP
development These commuters noted
that emission rate* (e.g* emissions per
volume of throughput or unit of
production) specified in SIP emission
limits are generally the only enforceable
limits applicable to existing sources.
Since existing sources can legally emit
up to annual levels equivalent to
maximum output and round-the-clock
operations so long aa they meet  these
SIP emission-rate limitations, these
 comment era reasoned, companies
 should receive credit for agreeing to
 binding limits on output or hours of  .
 operations which forgo such production
 flexibility.
   Today's notice respond* in two
 principal ways to these concerns. First
 it clarifies (he components of baselines,
 how these are to be determined, and
 who bears the burden of demonstrating
 that a proposed basemwb consistent
 with a particular SIP. Several comments
 indicated that confusion related to the
 determination of baselines may have
 generated unnecessary concern over use
 of allowables baselines under approved
 SIPs, Second, it reiterates and further
 supports EPA's position that where SIP
                      demonstrations an approved aa
                      adequate, the dean Afr Act simply
                      requires trading to be consistent with
                      assumptions used to develop the area's
                      SIP.

                      1 EPA'a Resolution! on Baselines In
                      Nonattainmant Areas With Approved
                      Demonstrations of Attainment
                        Where a state has demonstrated it
                      will attain an ambient standard, and
                      EPA has approved the demonstration
                      and not subsequently found it
                      substantially inadequate to assure
                      attainment bubbles relying on baseline
                      levels used or reflected in that
                      demonstration amount to routine SIP
                      revisions. The state then has discretion
                      to maintain its demonstration through
                      any alternative combination of emission
                      reductions, so long as these are
                      adequate for attainment and
                      maintenance of the ambient standarda.
                      Since EPA cannot require states to do-
                      more than demonstrate timely
                      attainment and maintain ambient
                      standards, EPA will approve such trades
                      as long as they are enforceable and do
                      not undermine the demonstration; See.
                      e.s> Train v. NRDC. 471UA 80. TWO
                      (1975): Union Electric Co. v. EPA,  427
                      U3.24fr(1976). This means that credits
                      must not be doubled-counted. that they
                      must be calculated from a baseline
                      consistent with the approved
                      demonstration, and that tests of air
                      quality equivalence to  the original SEP
                      emission  limits must be met
                         In short under the dean Air-Act an
                      approved attainment demonstration
                      creates a legal and logical boundary.
                      The state has met its statutory
                      responsibility and can substitute
                      reductions not relied en in the SIP for
                       those sssumed by the SIP. to long as air
                      quality impacts an equivalent This
                      holds true for all  types of emission
                       reductions—whether derived from
                       process changes, extra pollution control
                       equipment improved operating or
                       maintenance procedures, or other
                       actions—is  long as the substitute
                       reductions have not been relied on in
                       the approved SIP.14
                         EPA accordingly reaffirms the general
                       principle that states may grant sources
                       credit for reductions below levels
                       assumed by approved demonstrations.
                       This generally means that where  actual
                       values for emission rate, capacity
utilization and hours of operatcn fora
the basis for aa approved
demonstration, sources proposing a
bubble most nse the lower of actual or
allowable values for those factors in
calculating baseline emissions, and that
where an approved demonstration was
based on allowable values which are
higher than corresponding actual values
for any of these baseline factors, those
allowable values may be used for such
factors in calculating the baseline.

B. Bateline and Other Requirements for
Bubbles in Primary Nonattainment
Area* Which Require But Lack
Approved Demonstrations of
Attainment

  EPA's 1882 policy proposed two
baseline mechanisms for bubbles in
primary nonattainment areas needing
but lacking approved demonstrations of
attainment These areas needed
additional emission reductions to attain
national ambient health standards, but
had not yet fully determined what
amount of reductions would be
necessary for attainment or which
sources would be required to produce
them. Nevertheless, that policy said
states could allow existing sources in
these areas to trade on an interim basis.
either (I) by using baselines reflecting
Reasonably Available Control
Technology (RACT) provisions which
EPA had already approved, or (2) where
EPA had not yet approved general state
RACT provisions, by using "negotiated
RACT" baselines agreed to between (he
source, the state and EPA.1* Both the
1982 policy and subsequent notices
advanced detailed programmatic and
environmental rationales for this
approach, including the fact that RACT
was the Act's most stringent general
requirement for existing sources in
nonattainment areas: that appropriately
determined RACT baselines were
consistent with current attainment
needs: and that trades using such
baselines could produce faster interim
progress by providing incentives for
sources voluntarily to define RACT,
disclose better emissions or ambient
data, or take other steps to do more than
 the minimum required. See. e.g.. 47 FR
 15078.15060-61: 48 FR 39582-43. 39565.
   Many commentets on the 1982 policy
 approved this "negotiated RACT'
   " The 1082 policy aeeumed but did nol ipetffy,
 the component* of "actuaT emleaUma, nicfe a
 capacity uufi or nuraber-of hour* of operation of i
 parteulir KMR*. It iba aeeuned. bat did not
 ixpraeiy require, that actual emluion leveii matt
 bt reduced ro compliance leveii -before fialher
 reductions-wer* eligible for credit.
                         14 ft il»o hold* true whrr* the A*ency auy
                       »u»pect but hit not formally indicated, thai a
                       previously approved SIP dtmountion u ao longer
                       adequate to aaaura tlmtty atulnaeot For raaaooa
                       of policy continuity, regulatory predictability «rufr'
                       fair notice, until EPA makt* i formal fading of SIP
                       inadequacy, the approved demonstration control.
                       See O.«n AJt ACT tectlon n
-------
                  Federal  Rtgiatar / VoL St.  No. 233 / Thursday.  Decembgr 4. 1986 / NoticM
approach, finding it innovative and
acceptable. However, two froupa of
commenters again asserted that it was
either "too restrictive" or "insufficiently
constrained." The first group maintained
that for reasons of administrative
efficiency, bubbles should be based
either on existing SIP reduction
requirements or on actual emissions.
without the need to negotiate new
source-specific RACT baselines. Since
trading sources in these areas would
eventually be subject to RACT
requirements in any case, they
reasoned, no new interim baseline
should be required. In partial support of
this position some alluded to the one
instance in which Congress has
explicitly addressed such baseline
issues—its 1977 declaration that in
nonattainment areas without adequate
demonstrations, existing SIP limits
would for the next several years be the
baseline for offset transactions, which
were then the  only types of emissions
trades."
   The second  group asserted that no
bubbles should be allowed in such
areas, since regulators could not know
which reductions were surplus until
demonstrations were completed and
approved
   In August 1983. "in light of formal
 comments on  the (1982] Policy, the
 NRDC'v. Gonueh decision [since
 reversed]. . . and the need to further
 articulate the  Policy's approach in this
 area."  EPA requested further comment
 on certain issues relating to credit from
 plant shutdowns or production
 curtailments for use in existing-source
 bubbles, particularly bubbles in primary
 nonattainment areas requiring but
 lacking demonstration*,  48 FR 39580.
 While most comment* on the 1962 policy
 supported continued use of such credits
 without further  restrictions, some
 commenten had special concern* about
 shutdowns in these  areas. These
 commenten stated that  shutdowns can
 hasten attainment and suggested that
 granting credit for shutdowns that "might
 have happened anyway' might not be
 consistent with the Act's requirement
 for attainment "as expeditieuatJy as
 practicable."
  la the August 1989 notice EPA
addressed these concerns la detail
noting that
              qoaUty Mrauair taeh trad*, aad provide
     . Unlike surplus radii
tfri
additional pollution control or Uss-poUotini
process changes, shutdowns produce a total
reduction of emissions, 100* of which might
benefit air quality tf credit were aot allowed.
Granting Ml ar partial credit far their use in
existing source bubbles might reduce that
btMflt ... at least when the some would
have shot down anyway Tola reasootag
fraflactiaf a desire to avetd granting credit
for reductions that may aot be "surplus"
because tfcey would have occurred to any
ffWOIJ ttBoiVuiM «90QM COflUBafBtaWtt
sugsjeattaia that credit be allowed only if
credit wtre a sole or priadaal reason for the
shutdown ...
  Unfortunately the iaeiw is not this Maple.
So loot aa it ha* aot been double-counted
and a proper RACT bawlim to applied the
shutdown does coatributt to air quality
progress, since much IMS dun too* credit
will be graated. Moreover, tht opportunity for
credit may improve air quality by
tacovagini firry shutdown of high-poUutins
facilities that misht othtrwiM b« kipt
running, either becatiM replacement is too
expensive or to preserve credit for farther
    " See, e.f, dean Afr Act AineminMnti of 1877.
  ttction 128. codified *< « U.S.C 7302 aotr 3
  L*yti!atn» Hitiory of it* Clean Air Act
  Anttndmtnu of 1977. pp. SJ7. 711 44 FR 2ir4-rj
  (January IS. 1979). Thit Contrranonal mandate wu
  largely lupencded by eventual tutt adopnoo of
  superveninf SIP limiU. Under current EPA
  retuJaDofu luch SIP allowable emiaaion ntrt ouy
  orflinenry tx u*ed 10 compuit lb» b«*ejin* for
  offi*!! only where in approved SIP demonirrellon
  u*«d inventoried allowable emiMiona 10 itt
  damerarra lion of ruionabte farther progrtia. See
  G««n Air Act nUKAJ. «Z U.S.C 7SOJO)|A).
  In addition, these commenttn'
 of a test baaed on tubrtcttve motive appear*
 administratively unworkable EPA and states
 would flad it •xcevdiaaly difficult to evahtMa
 or rtb«t Mura rridamca that a ahutdown
 WM motivated by credit tad that th«
 shutdown fadlity would odurwiM have
 oparalod [. **.J tor twenty or forty jrears.
 Taut  thi* «ppro*xh wooid Ukstj r**uh m
 tither dt facto approval o/ all Mcfrcradto
 (undarmininj the nuoa for taa tMt), ot a
 burdaa of proof to gtiU>eaut that aooa would
 be apprwtd (penatian; soorett WBOM
 shutdown* were aiidted by tndint). Mora
 itrmijhtfbrward appreachas outht cither b«a
 thutdowa buoblM until a d*monicr»tton of
 atuuLBMQt. or tdaurwifdft ib»U ucartain
 aanm by •pplyinf a margin of nfety— e.j, a
 raquimnatat that fuch tmbblet produce
 tubitaBtlal air quality iaprovtmtnt —
 raffidnt to comptnMti for any uocvrtaiatiM
 and protect the integnty of current or future
 SIPv 46 FR at 38SO-M (footnotM omitud.)

 EPA -then suggested seven specific
 alternatives to the 1982 policy for
 bubbles in these- areas, including: a
 prohibition on bubble credit from
 shutdowns: a requirement of substantial
 air quality benefit from babble*  .
 proposing to use shutdown credit or a
 requirement of substantial air quality
 benefit from all bubbles, with no  special
 restrictions on shutdown credit In
 partial support of this last proposed  •
 alternative. EPA indicated the
 administrative benefits of avoiding
 special definition or treatment  of
 "shutdowns" and "curtailment*." and
 stated that
    . . . Requiring lubttantiai profreit from
 etch bubble .  . . could accelenu nomectuni
 toward attainment, directly improve air
•acertaiadas asaociatad with torn*
individual shutdowns, while leavtog to
state the task of final SIP development. It
would also maintain the Incentive within the
(IMS) Policy for Industry to shut down hitji-
poliuttof, •eonomic*Ily-martin»J MUTM*
---- tie more taeh txutini-aourct bubble
flootributM directly to accelerated air quality
aragress. the stronger the justlficatioa for uie
of sarphts reductions for such bubbles in the
absence of a demonstration. Moreover.
requiring all bubbles to product a lubtiannal
air qualify improvement beyond RACT
baselines and RACT equivaleact. could
provida a margin of safety rufficient to make
•pedal treatment of shutdowns onncceifiry
... 41 FK at MSCS-M (footnotes omitted).

Thus, while the issue explicitly raised
by the August 1983 notice was use of
bubble credit from shutdowns  in
primary nonatUinment areas which lack
approved demonstrations, the
underlying issue waa use of any type of
bubble credit in these areas. Since
emission reductions have the same
effect on air quality whether produced
by lesa-poUuting process changes, more
efficient operation of installed control
equipment, additional pollution controls.
or shutdowns or production
curtailment*, the fundamental question
was whether all soch reductions or no
of then should be prohibited or lubjec;'
to special requirement* when u*»d for
babbies in dvtae areas. That question
reflected a further choice. Should EPA
defer bubbles in these areas until a
compete demonstration was finally
approved? Or should EPA authorize
continued use of bobble*. In order to
secur* interim •mi**ioa reduction*?
   Comment* responding to the August
1969 notice were essentially the tame as
earlier ones. A large majority  of
industries and state pollution  control
 agencies commenting at that time
 supported continued opportunity for
 bubbles (including thoae using credit
 from shutdowns) in nonattainment areas
 with or without approved
 demonstrations. Virtually all industries
 and states commenting with r*»p«a to
 areas that havt approved
 demonstrations supported continued use
 of the 1982 policy, without chanoe. " Of
 Testate agencies commenting with
 respecf to areas thai do not have
 approved demonstrations, ten urged that
 shutdown credits be retained for these
                  11 E.J. AJTeffe«nr Covtty (M) H»Jtfa Dtp«nm«nL
                Burma of Air Polhnon CeetTot Air PoOunon
                Control Ddmet o/ Ia/Ttr»o«i Couaty (Uuwvillt|. KY
                Ct Dar«>a (OH] AipoiMl Air Potiuiton Central
                Afency. SM alto. <•*- crnMianti of Chevron L'SA

-------
/ Vol. M. N*
                                                                    D*e«Bb« 4. 1990 / Nottwr
                                         At the
                                           ambMnrvrn
comments, •JwwppwteH or
acknowledged the appropriateness1 of *
laquheneut for • nat- aarajMirty
benefit—in the range of 3« extra
reduction* in emission* remaining
beyond a baseline reflecting RACT
emistion limit*—from each bubble, so
long a* thai requirement was objective
and easily administered."To the extent
they addressed this issue, these
comments generally opposed effort! to
test bubbles by examining the subjective
motives underlying reductions."Two
state of local agencies asked that
bubbles be prohibited in these areas
until complete demonstrations were
approved by EPA.
  Several commenting environmental
grotpa awaited that EPA should not
permit any bubble* in nonattaiament
areas lacking adequate demonstration.
On* argued that EPA cannot determine.
that emission reduction*, are "surplus."
«ad therefore creditable, in these area*.
because to do  so would violate the
statutory requirement to attain
standards "as expeditiously as
practicable." Moreover, thia group
churned using RACTu a basefine
would not torn this problem because
RACT limits are rnniiiiiunr measures^ oof
a substitute for a SlPpnrrirjmg timerf
atfavnneot. Tmw group1 also asaerteO;
that crediting shutdown* wuulu confKct
wiflr state*-' dety te meet air qtnritty
standard* "as expedftiooaty a»
practicable," becauav. by "revomcting"
em»«on« durt bav* alrvatdy caeaed.  H
would am»yl»«k lea* tBiiseioa>
reductlo* than is pneflcabie «ots» a
given period of time. Another growp
asserted- that aUawiag shotdowa cndta
in these- are*** wonid strain •Sac** to
progr*** toward aitainoMot. On*
enviranmaataJ group- weal a step furtber
and urged tha*. opportunity for bubble*
be restricted solely to tttaiosveiU i
which have already met national aii
quality
   '•it- M«««*i»l
 Oepi. of Health. Air PoUufloa Control Dwinoa. CL
 commerHi of UlinOM OK.
   Mjmy moot n^vr
 imponiBt* al coennrmaaj I
 in these nonattammwM <«••» S*» e-f. Chrrrao
 USA: ChunvUo Petroleum.
   "E«_ Bay Ana (CAI Aj» (JuiIUy VCuu«tm«W
 DitfTKi- Sm »4re Sonhcm Caliionif* Gc§ Co.
   "E.g- UmirtuntTi Oevarncnt si
 Envinxunemut Qnday Ei(M«enK(; Soutk Ca*«t
 (CA) Ait QuaJuy M«ni^tmafU Riiir.rr.
   " In oni ot wniten lubnuxicMi to th»
 Adminimtor mad* in tarty 1900 whih flnaJ
 decitioni on today > policy were lull pending.
 rtprTMn(aure»of acveii itatej. and tha St*la ami
 Terrttontf fat Pollulion Prsfrou Ajlnuni»n(orr
 ind tha A»«ocnlum otLoal Air foilulien CanlroJ
 OfRc»rj (STAPPAV ALAPCOl f irmlsrty urywt rh«r
 buob<»» aa tonnr b» aurfiormck or p
    individual bubbles a»SJPrevisJefi»
    under UM ttttpottay " naaeaV etsMeci
    issues. Sevceai of tfaitae prapoaad
    bubblaa war* also lacatsd in praary
    nonattatnment area* whfcfe nqmred bat
    lacked approved demonstrations. Too
    issue raised related to bubbles of two
    types: (1} Those which relied on
    reductions from shutdown* that
    occurred long besore-aay application to
    bank or trade: and (2) thoac which ren'ed
    on extra reductions' produced of rovtine
    installation of required control
    equipment long before application to
    bank or trade. Beth types of bubbfe*
    raised the larger question of whether SIP
    integrity and environnumal ptogaaa.
    might better be aawred in primary
    nonattainment are** which requita bad
    lace approveo ecBoaAaracioo* 01
    attainment by allowing no bofc^f* credit
    or allowing bubble credit oafy far-
    reductions' beyond •vfaai emisvion
    level* already, achieved oj aftAe turn
    source* apoiimdtA boat at toad*.
      The final policy strike* wha&EPA
    believe* to bt> a, reaaaaaWav
    fatfrniirarmtalb aausrih
    act mas*
aadftha)
   na mt CorJfat
    ne w requnrncanr ta
    balance. These. ^
    mtinnafni iinpr.iniUnj.tfi
    below.

    1. EFA'r Rnohrthmr Regarding; BaaeSotr
    and

    require but d» not a* me timv of a
    oubore apptrcafion. UBTVV fi^ft-
    demons tract mix tturt ambient heafifa
    standard* wiC be sftaimiA babfab* wiZL
    generally be approved if t&ey daaat BB!>
    on reduction* whicb occuoeti baferar
    application for credit; if lawjr naot other
     equivalence, and t
     future pfcnjuag afiort*; and if may
     produce at least a 20% net redMctaoei us
     emission*, remaining a&ei appBapnoati
     baselines have beea appiiei T**aa>
     objective  tuts both respood to preview*
     comments oo certain indlvid*Ba» bobbi*.
     application*, and go **bs>aaiiafly
     beyond ailaroativ** rtUc*s»cd kk
     August 1983 node*. At the same-1
     they asauie greatar predictability tuA


     defflonirranoR
     poeitum W9»
     environmental grou^A. S&ocf thii, B^e^rjao and
     related underlyiaf iuue* had1 be«n un«d and-
     articvnted at Ivnjfft c^evrfler' conrmmfa. 0 tf
     addmtcd a* p*n of tb* Atenqr's final ••gocm
     below
      " CT. e.g.. tTmoir Orbio* Corp. fTexa* Glyf. 47
     FR :«» (Mrr 19. J98Zt S.f. Coodrfch (Avoo Ule).
        _   .    . withouf nnposmy •
heavy » banfen- on vohmtary bobtrfe
tragticnoBr that the ermromnentaJ
bvntftr of such trade? ire forgone. T
reflect the general pnncphi mat beca
such {HBuerfy-stiuctuieu' Bubbles
provide continnrag incentives for
sources to deliberately overshoot
reguhttorr marks (rather than plan
merely to meet them}, bubble trade* i:
these areas can produce interim
progress beyond current SIP
requirements, and should be approve:
  a. Specific "Prognss"Re^uiremer,:
Applications for exrsting-soarce bubb
in primary nonattatnment areas whc.
require1 but lacx approved
demonstrattant of attainment will be
deemed to produce a net  air quality
benefit and wift be processed for
approval if they;
  (i) Use "lewvst-of-actnal-STP-
alkwafa le-ar-JtACT-elhjwa ble"
emwrion* bwettne*. Such baselines
must be ealeniatvd using
  • Either the actual emission rate, th
SEP or other federally enforceable
emiuioir toft, or a RACT em»*ion
limit, wMciwver t* lo**e*c for each
source bivotod in the trade. TK»
basaina CactorshoU be deteinuihtd  of the
Technical iMues Documentk uung the
baadsnes descobed above iod. for the
pott-bubbi»case.rous«wn levels thai
reded overall aaissicas  ecnrvalence:
and
  tfit) Produce a tubttantial nei
redociosi at actua) emissions—i e.. A
redaetaa oi a4 l«e»t 20%  u-, Ihe
emissioBs remaining after apfxvcaiion •
the stringent new baselines described
above. (A reduction of greater than :c~
may b* tequtred for bubb'ret approvec
under gesMiicrule* rrnomeoi  these
nonattainment areas. See discussi-rn .r
Section-fHAl-Cdl of thia  Preamble.
below.)
   With itiftct to soorce* which seek •
baitk ennsrorrredrrcrions after
publicatmn of today's ootica.
"application to b*nk." for purpose of
ev*fa*4tag erwiit for u« in babbles
mean* Ihe time of fiimg of an

-------
                  Federal Register / Vol.  51. No. 233 / Thursday. December 4. 1986 /  Notices
                                                                                                            42S2
application to make such reductions
state-enforceable through or concuirent
with use of a formal or informal banking
mechanism. However, in order to avoid
needless disruption and inequitable
retroactivity. this definition does not
apply to reductions which sources have
previously applied to bank. See Section
LA.l.b.(l J of the Technical Issues
Document.
  b. Additional "Progress"
Requirement State Assurances. In
concluding that properly-structured
bubbles as defined above can produce
valuable interim progress in primary
nonattainment areas which require but
tack approved demonstrations. EPA also
considered whether other showings
might be necessary to assure that
individual bubbles do produce such
progress. The Agency has concluded
that few such showings, whether
bubble-related or otherwise, are
practicable or workable. It did. however.
conclude thai certain representations
 meant to assure each bubble's
consistency with SIP planning goals, by
 requiring states to take a meaningful
 look at such consistency in each bubble
 approval would help assure that
 progress  is achieved.
   Under circumstances detailed in the
 final Policy and Technical Issues
 Document today's notice therefore
 requires the appropriate state authority
 to provide the  following written
 assurances to accompany each bubble
 which is approved (either directly by
 EPA as a case-by-case SIP revision, or
 by states under an EPA-approved
 generic rule) in these areas:
   1. The resulting emission limits are
 consistent with EPA requirements for
 ambient air quality progress,  as
 specified in today's notice.
   2. The bubble emission limits will be
 included in any new SIP and  associated
 control strategy demonstration.
   3. The bubble will not constrain the
 state or  local agency's ability to obtain
 any traditional emission reductions
 needed to expeditiously attain and
 maintain ambient air quality standards.
    4. The state or local agency is making
  reasonable efforts to develop a complete
  approval SIP and intend* to adhere to
  the schedule for such development
  (including dates for completion of
  emissions inventory and subsequent
  increments of progress) stated in the
  letter  accompanying the bubble
  approval or in previous such letters.
    5. The baseline used to calculate the
  bubble emission limits is consistent with
  the baseline requirements in the
  Emissions Trading Policy Statement and
  Technical Issues Document.
     Such assurances need not be verified
  by. e.g.. detailed quantifications.
comparison with year-by-year progress
projections, or showing! that ifi
reductions needed for area-wide
progress or attainment have been
identified and targeted for regulation.
They are. however, expected to be
based upon meaningful review by the
state and to be consistent with the
documentation supporting the bubble.
EPA will not second-guess such state
representations, provided they an a
suostannal test applied by the state to
each bubble and the state has explained
how the proposed bubble is consistent
with the ana's projected attainment
strategy. Nor will EPA examine, or
expect states to examine in nuking such
representations, any specific soyru's
subjective motivation in nuking claimed
reductions. The combined effect of the**
requirements will be (a) to deny bubble
credit for reductions which occurred
before application for credit in
recognition of the fact that reductions
produced before any application to bank
or trade are unlikely to have been
elicited in any way whatsoever by the
opportunity to trade (b) to help assure
that only actual reductions in current
emissions an relied upon to satisfy
pending control requirements in these
areas; (c) to men systematically
encourage efforts by sources to product
and permanently maintain these
additional reductions, by granting them
predictable bubble credit when
specified baseline and other tests have
been applied: and (d) to assure that
 these bubbles will not interfere with
 these anas' attainment efforts. Any
other approach would enmesh EPA and
 state agencies in lengthy, resource-
 intensive, and uncertain efforts to
 determine subjective company motives
 for making particular claimed
 reductions—efforts which appear
 unlikely to provide greater
 environmental protection than the
 criteria articulated here. Cf. e.g.. 48 PR at
 39584 and n. 15.39545-86.
 2.  Basic Rationale
    EPA believes that Congress would
 clearly have intended the Agency to
 approve bubbles that despite the lack of
 a complete attainment demonstration
 for the affected areas, nevenhelees-
 produce progress toward attainment in
 those areas. Section 172(b) of the Clean
 Air Act does require states to formulate
 complete control strategies to attain the
 standards in these areas as
 expeditiously as practicable and in the
 case of primary standards, by certain
 fixed dates. It also requires these areas
 to demonstrate reasonable further
 progress toward attainment in the
 intenm. However. SIPs and attainment
 demonstrations are composed of dozens.
if not hundreds, of regulations and
commitments adopted at the state r
local level following proceedings r.
often are time-consuming and overit
sequence. If EPA wen to wait until
every such provision were adopted and
submitted by the state before acting on
any of them, substantial environmental
benefits thht would otherwise accrue
from having each available requirement
promptly incorporated in a binding
manner into the SIP and made federally
enforceable would be forgone. Such an
"all or nothing" approach would
produce less expeditious progress
toward attainment than a combination
of (a) EPA approvals of state provisions
submitted sequentially and (b)
appropriate use of sanctions authorized
by the statute to effect the adoption and
submittal of remaining necessary
provisions.  Given the strong emphases
in the statute aa enacted, it is doubtful
that Congress would have intended the
former, less progressive approach."
  For these reasons. EPA has decided tc
approve in  these anas bubbles which
individually produce progress, both
beyond preexisting plan requirements
and in the air itself, and which do not
Interfere with these areas' efforts to
construct complete strategies that
provide for attainment as expediuousjv.
as practicable.
  Today's notice accordingJy disalk^
use in bubbles of reductions made pno.
to any application to beak or trade, but
allows appropriate use of reductions
made after such application. Where a
source voluntarily proposes to make
creditable reductions as part of and
following a banking or trading
application, the stringent lowest-of-
acrual-SIP-alJowa ble-oT-RACT-
aUowable baselines must be applied  if a
bubble is involved, and that bubble
 must meet  appropriate ambient tests.
 using emission levels thst produce
 overall equivalence to the emissions
 baseline. The "net 20%" discount in
 remaining  emissions then applies to ail
 sources in  the bubble, and provides an
 additional  safety margin to assure
 ambient progress from bubbles in these
 mas.*4 Finally, the state assurances
   > rtducnon* tretn ill contralUolt
 iuOoa*ry mvUCM of VOC imiinotu which nm«in
 •fl«r impl»m«nunon of imnjem contron nr»i '^lfc'
 pUe*. SM. 11- "01 Ait«uun*ni Sunn of 13 A j
 Und«r Dlfhrtnl Drp*n of S(»non«rv Sourc

-------
FedatsJ
                                     /  Vol M. No. 233 / Thuradavy
will indfcatewnefterappicval of the
bubble is JfteJy to lemmre rattier Chaff
enhance* any impoiUerf opportunities ro
construct comp
  EPA believes that bvbble* meeting the
special progress requirements described
above will produce both progress
beyond preexisting plan requirements
and progress in the air. Pint, with
respect to preexisting plan
requirement, each bubble would
achieve » net tightening of at least 20
percent Trades that result in a
permanent 20 percent reduction beyond
acraal emuskm levels (whxd» are
already beiow what the plan allows).
would prodMceevest greater ptogxesa
beyond preexisting reqairements.
Moreover, state, assurances  tawt mutt
accompany each. buboU wiil help ensure
thai approval doe* not represent a step
backward IB the procaaa oi dcveioaiag- a>
plea providiBf lot timely attainment.
  Each such bubble would also produce-
nat progress in th*o/r. since each.
tncremant of required control forgone, as
a read! of the trade would be raore than
compensated by a greater reduction
which, was aot required, and whist may
reasonably be presumed to  have bean.
elicited by. the trading opportunity.
Neither EPA nor anyone else cao prove
that aD reductions which occur aflet
filing of an application for credit were
elicited in wfeote or in part by the
trading \j\j\Kntuiiitj. Decisions in the
real world, whether corporate or
otherwise, always ahse from muftpre
motives whicft ere not castfv
disentangieu. any stisud or ivmLh may
have "tipped" the balance toward or
precipitated a particoiar action.
However, the Agency h« concfuded
 that this presumption ts reasmiairfe.
 First, it is plausible tfnrt sorfj reductions
 were elicited at leesf in part by tfart
opportunity, especially where, as )tere.
 sources must affirmatrvery decrdeto
 surrender something  of v*h»e and
 constrain purely private decrsienmakfof-
 (e.g.. enforceably uiuuuil to change
 production pinrrnaajln  mrtor to create
 a cognizable  reducttaXSacend. thie
 presumption is the aaasaiai Ifi il
 alternative to the adfeaaaistM«Tv«iy
 difficult and uncertain  approach of
 attempting to determine in* intent and
 motive* oi source owners making these
 reductions.
   EPA has also concluded  that bubbles
 meeting th«M n*w requiremenu wiH not
 interfere wiA the statutory «i*oda«*  that
                       state* attain standards is expedftfbovrf
                       as practicable. Etch snch bobbfe wooW
                       produce progress m tfte air that for the
                       reasons fast described, would ftterf not
                       have been achieved absent the tradfng-
                       opportunity.1*
                       3. Additional Com/derotWM Regarding
 ComroT (Feb. 19Mit LcUWw Uckard jV UnH. Th«
 CanawvMim Fgaoduioa. IB Kca. LM M
 March 12.1MB 1'TX* intl calcuUno
 jiaffi aiiMUvrntu to lit* limited cAatrol
 poiaibtlt'U** avciUbfc. 4nd app«*r> 10 tuppan their
 conckinon ibout the contnbution RACT plu» 3)
 pertrni can maxi to anammeni }
                         Individual bubbles approved under
                       today's special progress requirements
                       for primary nooattainment areas which
                       lack demonstrations wifl produce
                       progress in the SI? and hi the air.
                       Moreover, the mere existence of the
                       opportunity to trade has Independent
                       progressive effects.
                         As some commeuters suggested, lack
                       of such demonstrations usually results
                       from one of two general causer Either
                       the state does not know where or BOW to
                       obtain sufficient further emission   .
                       reduct;pns, or it has identified sources of
                       such i Auctions but is uaabfe to
                       implement new regulatory requirements
                       because or their cost Moreover.
                       regulated firms may often be reluctant to
                       disclose infonnation-ttat may be used fo
                       require further retrofits against t>w»m-
                       Even where such information is    '   ."  .
                       obtained. 'A may not be sufficiently
                       precise to allow EPA aadth%italeJo
                       resolve ^>"<»*«*t5'[g_ •inKf^ni ubl
                                       _
                       While a vigorous regulatory *»•{"•••«•'•   ".
                       remains' critical inthasc aceaa, tfial
                       response ia>Iikely ta be Eamnezed by tha
                       very fpfn^TTT^^ion bazxieis> thaA
  BubMn nnjidtftvc lubmntial
reduufoBa* even wflftout special
"progress* raqairafflenfs. since sourcts
not otherwise subject to or not yet
meeting BACTrequirements with future
effective dates la such noaahainmsnt
areas must first cedocs emissvou to
RACT-aOowable levels be/art they can
begin to accrue credit.*' Where, modeled
showings of ambient equivalence are
required bubblas may also help identify
and correct remaining aanatuinmerH
problems. In addition, bubbles may help
produce (a) taster compliance with
RACT limits already defined in
partially-approved SIP*, (b) faster RACT
definition* foe saufces not subpct to
currently a*proved portions of SIPi. (c)
incentives foe plant aunagen to
disclose uncoettoUed ot tuunventoned
sources, and (d) inccnavea for such
managera I* caotni emisaioas earlier
than required. Perhapa most important.
becawaa of their potential to elkit better
information OB source*, t missions.
coartrai pariormascx aad ambient
effects, barbies may enhance stales'
ahdsr* to sacare fatore reducnoas. if and
when suastteshacbona are requited. For.
example. EPA experience has
doemmamftsa! eases m which bubble or
limilar UasHig applications have
fanproius)issWiu^and"sn?>**] waya to go>-
                       beyond current regulatory rvyTim»firts
                       The opportunity to tratia may alaa
                       eficoonge sources to CODM focwafd ia
                       order to establish the quaotifiaoia aad
                       enforceable emission limits  on which
                       credit must  be based.
                        hiopcni u be a ihutdown or
                        cunulm«nt Btciutt mulnplc moHvtt timitariy.
                        clo*« • ftcibtf oc mmct it»produeflv«^^«
                                  ( occur a/l«r IK* io«rc* *wner
                        for crr op«ruin| p«rmM
                        or b> jccrp«n| >nn*njt protfucfion Imnfi — in uiitii
                        lo r.rtaif crnju. Sincr it wmid b* WinnimrMMvif
                             . if ooi :moo«*oJ«. to pra«« at ««f raw i»«t
                                   tutu «»» lit dnxotj fert« of »
                        luoiective mom* behind me snuioown. iuch >
                        pr»s\imo'ion is «moiv lusufied
  "St*.
1 3S9S2 in
               1SD3T. tSMft « FR 395*3 and •!

                      t»l«an >&*••* mar*
                      terch. dncndng 'a
 higher than RACT batata* leveo uu» :rc;iuremer.i
 drrtctly tcceiennt* airquariry progreu. since no
 credit can be secunrf far 6».< r j
 »ppncat»n ofSWiianiu (ran »na S'rr C ^
 approval « ra «•! fOromitiei :A 19T1 It n .. -
 prowd«dc»jre»i egMuen* (Ul» -xx oiie*» u*
 avaaiibi* to EPA '*^"'|t' U» A^tccy i Natic- ^
 EmiMiona Data System (Sa FR ^V»3 l-.ee'."  .'«J
 anrfhaTfdltrto»rtrt«exrjn«n«cf sOLrtfJ  !• f •'
                     IMrxl haa >en »r-o< -v
 m»tfltory. Qtbv a^kcuiou tuvi toenuiiea ..-.c
 reduced pnviovniy, iuuuip*ciM threat! 'c PSD
 incrcoNnir Sefped'conTeT soorinna f aiicrf i •• -"— »
 belwua BivatiMrf a«d-aclu*t effliso'"- w
 betweoai SU> taMataa* tiBMr ue »itairrxr»> renorn wr soir't' -o
 (•^••aMUt Uvr amtmoM. rouinrt -n o«f ie»
 inTtMory aMicHaaruaai d»a. For tucp-f.
 Ma»a«huM
 tnrrr r>ro yrar» of hijkvn emttsiop.t »ir.ct "fie Jt»u
 y««ro(UieSIP M order mttnontnt s*it»
 efmraraoa+undir '.*••<*• i VOCbu&ae :u-t
 Thia rtouirMMM hM pradKio bau tneoa-a -or
 pr«iouii> nnquantinM emujic" if j*J "' =>'~e
 tource*.

-------
                  Feeierer ReglsvBf / Vol. 51. No. 233 / Thursday. December 4. 19m f He-gee*-
Throof> alt (!MM m*ch*»i*ina. babble*
cm achieve substantial ennssinn
reduction* end air quanty planning
benefits, even wH*jsai» special
"progre**" reqtuniBeflfe
  Nowithstanding these independent
progressive effects. EPA believes that it
may approve bubbles in these
nonattainment areas only if they meet
the specific progress requirements
described above and do not interfere
with the affected areas' efforts to
develop and implement complete
attainment strategies. Such babbles can
help adjust existing inadequate
regulations on a source-specific basis.
help make progress toward a hrfl
approved demonstration, and help
improve air quality, without "frewting"
inadequate SP requirements that are
current** in piece.
   Accordingly. EPA he* decided to
approve "progress" bubbles which are
consistent with the attainment needs of
 these areas, which produce a net air
 quality benefit and which may therefore
 secure faster interim progress toward
 attainment and more rapid development
 of complete attainment plans.

 IIL AddMDoel Pbetey Gauge* aod
 CUriflcaoflea
   Today's noSct nukes numerous*
 additional changes is, response to
 comment* oo and foftowing the 19SZ
 policy. The most important of these
 changes or clarifications are discussed
 below.

 A. Generic Bobbin Ruim
   Today's notice recognize* the special
 position of EPA-approved state generic
 bubble rales. Such rote? may providr
 clearer approval criteria and may result
 in more rapid bubbie approvals wttfi
 reduced expend!tore of EPA and state
 resources, by eliminating the need for
 case-by-case Federal rutemaking oo
 each  bubble as an individual SIP
 revision.
   Today's policy affirms tftat states nnty
 continue to use generic rain to approve
 bubbles within the scope of rocb rain in
 dll areas of the country: fasuhiiflug.
  primary nonattainmetrt areas needing
  but lacking approved demonstrations of
 Attainment,  (t also establishes specific
  procedures to ensure opportunity for
  public comment on individual generic
  actions and for regular EPA oversight of
  state administration of all such- raley.
  Finally, it spells out additional
  "progress" requirement! that aew
 genenc rules must satisfy to be
  approvabie for primary nonattainment
  areas needing but lacking
  demonstrations of attainment.
    State genenc bubble rules approved
  Sv EPA as SIP revisions have
independent force of law aad further
Congress? intoM thaf "*» prevention
and control of air pollution at ft* source
(retnainal the primary responsibiUty of
States and local governments." Oeaa
Air Act. 110l(aM3). EPA be* approved
or proposed to approve 10 such rales tor
9 different stale* end at lees* 12 other*
are being developed. Pew approved
rule* currently apply to primary
nonattainment Areas which require but
lack approved demonstration*.
However, today's notice requires thai all
generic rule* aeet certain additional
procedural requireaneala io order to
assure effective EPA ovcntgbt of their
administrattoe. and to identify any
deficienciea in individual approval* or
state implementation procadarea befcwv
substantial nusabara of stale-approved
bubble* may be pat at risk. To ta»
extent these requirements require
modification of existing generic rule*.
they may apply to rulae afbctmt any
area, not just primary nonattainment
areas which need but lack
demoBjatratton*.
  Today's policy is eeaat to aaean
the** rule*' smooth rrm teased opentiaai
both now and throufb any fnteaw  .  i
transi boa penadsk. without uadvamyae;
the conaiderabift urre»tB*nt*ta«e»-
ilnad) naaita la sju>eii
tfaa-eaea* ttsae. taa p*Ucy iai
 will
 procedural oO)*ctiv*sv
   BasicaltV. Aooawea oppeerW by seoa
 iiniihf smifisj fTfl iijyref*rfj>a***.i
 ruin before th» effHJiv* detuof thm
 poticr will not be atleoad or
 due to todays dumye*.
 approved geoertc rues
 indepeed«nt vabdity aid stay oary b«
 raingaHupoetcompigti
 procedure* for altennf; sucfe SiP
 prov>«u3»* (s«e. e^.. Clean Ail Ad
 swtnns llCKa)(2)(H). 110 Grant credit only for those
reduction* accarriag after an spplicatiofi
to b*a*-*r trade credit (whichever is
esener/ *•* oeev nail*.
  (e) hn» pi nits reeAcaMe procedures
whieb aeaev* tka» ail trades
pieB*p**i«rfbyPA  aa*weting the rule
will aiso sa ti*r> apyflcsbk smbient
e«uhn**«c* teat* (see Technical Issue
DocusaenU Secnast EBO.J: and
  {dj Produce aavovaraU emission
reduction at least equal to a  net 20%
reduction in emissions remaining after
application of tbe above baaaiines. or ai
least equal (m percentage lenna) to the
overall «*is*aaa reduction (in
percentage term) needed to artain in
the area (i.e.. at least equal to the
source-by-so«R» emissron reductions
that would be required for a full
demonstration of attainment, taking iruo
 account "uncontrolIabU" stationary
 (e^« an«4 source* and »xpecud
 emissiesr-reducooB* from morxie
 sources), whichever is largtr." This last
 future SIP cooecuona. EPA expacta
 states to assure so far as feasible! that
 generic bubbles they approve are
 consistent with applicable term* of
 today's policy as- well at their geiMric
 rules. New or pending gentnc ni/«*
 must all meat tb« terms of today's
 notice.
   All existing generic rules which
 require modification to conform to thii
 policy must as requeued by EPA. b«
 promptly  revised. EPA will review -such
 rules to determine their. conustency with
 (•I tot
(bl tat <*•
               nu«»irni yt«r ib«i'ort jooi

             MMOTM7  IOUKM  tffl.uioni
   Ca>uuUi>li  *iti«a«ry   taaa

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43824
Federal Register / Vol.  51.  No. 233  / Thursday. December 4. 1966 / Notices
determination must be lubmitted with
the rule, and mutt use the same type and
quality of analysis requited for an EPA-
appravable SIP. In no event may the
overall emission reduction required of
generic bubbles in such areas be less
than 20% of the emissions remaining
after application of the baselines
specified above: and
   (e) provide assurances, in conjunction
with the state's submittal of the generic
rule to EPA. that the state (i) is making
reasonable efforts to develop a complete
approvable SIP that will achieve the
percent emission reduction from
controllable sources described in the
previous paragraph and (ii) intends to
adhere to the schedule for development
of such a SIP (including dates for
completion of emissions inventory and
subsequent increments of progress), as
stated in the letter accompanying the
submittal or in previous letters. EPA
believes that the numerical
determination and progress requirement
discussed  in the previous paragraph i*
the functional equivalent of the
additional assurances described earlier
in this notice (see Section HB.Lb above)
for bubble* needing case-by-case EPA
approval since bubbles meeting this-.
requirement will produce attainment-
level reductions. For that reason, EPA
does not believe that it must require the
state to make those additional
 assurances when it submits the generic
   Therefore th» reductioaa needed fro*
 controllable ruaen*ry aoureea ere
 •,430-SJOO-3Jeo tara/yr-
   And tht percent emueion reduction required from
 controllable itauonary source* to attaui ia
  Thus the net overall reducnoa required front «*d>
 generic bubble would be 94* (L*_ tile reduction!
 produced by applicable bettUcw* |t4_ application
 of a RACT emission rate) pha whatever percent
 reduction in emiraon* remaining after Ihia RACT
 limit ia sufficient to yield the 94% totall
  Slate* (hat wiah to avotd ciM-oe-cae* SIP
 reviaioni for aource* for wfcicfc RACT lui not yet
 been defined in an approved StP provtaon may
 incorporate "preiumptive RACT" value* (e.f- 8P*
 reduction for VOC) :n men generic ruin. Source*
 would than have the opium of ace**4ini these
 RACT value* for generic bubble purpoee*. or
 negotiaune, different RACT value* through the caae-
 by-caae SIP reviaon proce**. However, wnere a
 aource mvoived in e trade i* one for which SPA haa
 itaued • CTC. but the itale hat not yet adopted the
 CTC-
-------
                                   f Vot  51. No; 239 / Thondty. December 4. l«g»>/ !*»***
                                                                     436
all bubble* umrfvteg tmismions of
pollutants described tbove most OM
emissions baselines, and must take
place within a tingle plant or contiguous
plum.**
  Commentcrs who ac&esacd this issue
divided into two general group*. One
group asserted that hazardous/ toxic
rastricttoos should extend beyond
pollutants currently regulated, proposed
to be regulated. «• listed under Secooa
112. These comments generally
maintained that restrictions should also
apply to all pollutants the Agency is
"actively considering'' for listing. A
second group esserted that neither
volatile organic compound (VOC) nor
parttculata eottseions should be traded
unless there is deer evidence thai
specific substance* present ia such VOC
or particular eausskna are "relatively
innocuous."
  EPA ha* determined that  for reaaoM
of policy and administrative practicality
these suggestions, while laudable ia
latent should not be- adopted. Bubbles
ere
evidence nnderiytaf sectie»m
dttennnetfon* er» te be tteferrem.
  Interested parties sfeooid be awtm
howerer. thel under todays petitr *e
AdmmislntDrreseiTe* dtocntfas te
consider on a case-by-case besw
whether bv*bi* proposals involve
pollutants which, while no* regulated
listed or otherwise noticed under section
11Z are regulated as toxic under other
federal heaMhrbaaed statute* aad to
require tether analysis before
approving such proposals.
  One fonunenter expressed concern
over the 1982 policy's use of the tarm
"reasonably dose" to indicate the
distance which may be covered by
bubbles involving pollutants Bated or
proposed to be regulated under sectton
112. EPA agrees this term is ambiguous.
and wits the exception of bubbles which
affirnelrveiy ofecmsv *w± pafcwrts-
below the lower-of eetaal-or-flBSHAPs-
allowable beselfai*. he* eabetfMeri  tW
more protective a*jd certsJB i
 which should genenfi? be treated no
 differently ^fun other compliance.
 strategies, provided basic SIP
 requinnents of eonststency with ambteni
 needs, PSD mcrements. aod interim
 progress are met EPA'i statutory
 authority to further restrict trades on the
 basis of hazardous substances which
 may be present in s particular criteria
 pollutant stream («.g_ VOCaJ aad which
 may be subject to a Bating, noflce-of-
 intent-(o-Ust or proposed NESHAP. hut
 are not as yet regulated under f 112. Is
 limited. Generalized attempt* to
 exercise such authority base it" on the
 presence of substances on which die
 Agency has takaa BO fonofti actMCV
 whatever would b« »tiil morm \mnexm
 Moreovw. the inherent ambiyufrr- of
 such terms as "actively considering" or
 "relatively inaocaous" mataU** a*K*A
 such tests. State* remain fir** to adopt
 further restrictions uimtsHuf wtth hoee)
 laws and needs. However, with respect
 to national requinoaabi EPA ha*
 concluded that clear a*eeaioB potnte
 based on actions purseanrto t*r
 deliberstiva procas* aadtscord
  •miMxwti. fij. wt«rr t xrvat
  tmauoni b* teof •> cucb t ndt
  wovU tat mutt in ta taanm ta crttur trroti or
 , cUowtbU tniMton* erf a polhiuat *ubt*et to «h«
 *                           n urj i
 effects, tod****
 they rely tmlj ea>
 effliesMos ea
 whicheves iarlowec, ia
   ••Th« on enapthm la**nt MiHm m
  urpta* rvdoctloai at lh* oaanora
  sufat*et to rvfvUeon. pim>u»u nfoliaoo. ItiBn* or
 noticed. listed, ox
 reguiated uadv
   Seveealof these pcssfuinrrsi  notarJj
 the proposed COBHAPs BaseUneuuaaT
 soqrca-spedge prep aeed-NBSHAPs
 emissions cap. thr inclusion oC
 poOataats snbfecf to No0ce»-oi-Bifeaf>
 to-Ust end tfte ffsaereJ limttatvsrle-
 contiguovs pftsts: east hjwer-of-actnxJ*-
 or-l 112-aJtowvfatn bax&n*-
 represent rabetantial najifeiilnas over
 the 1962 policy.

 £ fankinf Eminion Rfift
 (EAC*I
   EPA
 banks mry *Uaw *aurcee » Mere ERC*
 for their own furar* UM « «*• as/ nihers
 Today's aotice reit*ra>t*a the4 sta4ea ace
 by no Tiiasits required to adopt beakkej
 procedursa. but aotea tharba«k»si*f
 help tf sue an c
  importaot planoing asxien
 air" for SIP pienauf purpose*, avoidim
 potential ineoneiateno** which aight
                       i be lost
                      *ee>* cor.hmon
 over whether, to a>Mine» to m*e bag
 other KRC requnements. KoNtctious
 must be ssedv fadersBj enfarceabst to
 be lbng*Jr> credRsrf fcr bentony The
 anrwer is* net lli>i>sm. in- ordar t»
 qfuetfyeremfseieutetintaoneredLta
 SBV DS* ovpovitev iv of A-eypnjv§uiB
 bant*, enrirsren redeetion* nnaJ b«
 made? ennrBRtilc" by on slots.
 ReAettuas mast be mdvenforceabi?
 by the state by their tfcrr of deposit in
 order, e.&. to baner exsurs the integrity
 of the stttt's air qualify planning
 process 6y prerentiht save** from
 banking reductions of emiitiona which
 their pemuts do DA! prachide  thatn from
  also- prevent undbe reliance by parties
  or potential parties oa.eau»aion
  reductkma, wbich h*v« oot nrrual'.y
  occurred.11  How*v*r. bcca
                or to ippucaaoo u b*ni or
                                   for
                 nM«l| FoUaoin; puonciuo*
                 "dali W application :o b>rj '
                             ippuunvn to
  to creets inexpensive «xas reoactiona
  at earfier. optimal timea («4, warn
  replacing outworn control eqafprnsBt or
  deciding how ta meet new requirements!
  and diidoM tuch mformstton to rtxtt
  sgmcivs. They nnry help  crrets a eentrei
  pool of identifiable.
                               l_v: ; .".:
  of todkyt Ta liinnf bran Oocammtt
    h ottav a**u> aAftoHft tajui'ni rtducnoru
  csaz»t quJD^itBCCterb* ij»9aaii«^m £?A.
  apgmnbai bajUu tad (S*y tr» n*di «o/orccaan
  ofhtr fornui or infoenaJ bftakuif re*chanjifri wnic^t
  do not -*•" raduensn* tUM^ntarea»«4< TV •»»
                              « it brurr
                           «r» m»
-------
43828
Federal Regbter / Vok 51. No. 233 / Thursday.  December  4. 1988 / Notices
tenons merely creatt extra reduction*
in actual or allowable emissions, which
cannot by themselves produce any
advene effects on air quality, they need
not be made federally enforceable until
used.*3 Where states wish to make
banked emission reductions federally
enforceable at the time they are banked.
several mechanisms may be available
fordoing so without case-by-case SIP
revisions. States with EPA-approved
PSD. NSR. visibility and preconstruction
review programs can isaue permits to
credit reductions from emission units
currently subject to these
preconstruction permits.'4 States with
EPA-approved generic rules may also be
able to use those rules' procedures to
make reduction* at existing sources
federally enforceable. Since only
reduction* in applicable emission limits
are involved at the banking stage,
modeling should not be required.
Moreover, these reductions should
automatically meet the requirement that
changes in emission limits under generic
rules not jeopardize ambient standards
or PSD increments.
   Since some trades have special
requirements, banks do not guarantee
the validity of particular banked ERCs
for all potential uses or for all time For
example, because only actual reductions
occurring at the same major stationary
source are eligible for netting, banked
reductions created at other stationary
sources cannot be used for netting
transactions. However, banked credits
resulting from reductions at other
stationary sources may be used as
offsets or in bubbles, so long as this
notice's other requirements for
appropriate use of credits are observed
and applicable offset requirements are
satisfied.
   Because of differing regulatory
requirements, the amount of credit
actually derived from particular
emission reductions may also differ
 from one regulatory program to another.
 For example,  in primary nonattainment
 areas needing but Lacking approved
 demonstrations, the mount of credit
   Since state* may have to nrriM thev refutation*
 or permit procedure* in order to implement thu new
 itale-enforceabilily requirement full
 implementation will not be expected until one year
 after publication of today'* nonce. However, all
 credit* not made enforceable when banked durtn*}
 thii interim period, together with afl credit*
 deposited poor to todiy'i notice, thouid be mad*
 itaia-enforc*«ble within eighteen month* from the
 date of ihi* policy.
   " Cf. V> FR 1S078. IJOeTl at coL i
   14 Some |un*dictioo* may aiea UM general itate
 preconitrucHon review progruDe- that neve received
 EPA approval 10 credit reduction «4 uiau&s
 lourcci if rach reduction* are covered under the
 program, xnce requirement* under the*e program*
 • re federally enforceable.
                       available from a given reduction for
                       bubble purposes may fae leu than that
                       available from the same reduction for
                       netting or offset purposes, since special
                       progress requirements apply to bubble*
                       in these areas.
                         Because the use of credit* will change
                       (rather than merely reduce) emission
                       levels if approved such proposal*
                       should be carefully evaluated to assure
                       they meet all of today's criteria for
                       appropriate use. For similar reasons
                       proposals to u*e banked credits will
                       usually require additional approval
                       procedures (e.g.. additional modeling for
                       certain TSP or SO, trades), whether
                       such proposals are evaluated as case-
                       by-case SIP revisions, under EPA-
                       approved generic rules, or under EPA-
                       approved new source review programs.
                         One commenter asked how banked
                       ERCs would be treated if a
                       nonattainment area is being
                       redesignated to attainment
                       Redesignation will have no effect on the
                       banked ERCs. so long as state planning
                       considered those ERCs to be in the  air
                       (I.e.. in the inventory) at the site of their
                       creation. Because local recessions or
                       shifts in industrial patterns can
                       temporarily affect air quality without
                       regard to the adequacy of state
                       emission-control effort*, EPA guidance
                       requires that redesignation not be based
                       solely on monitored air quality. In
                       addition to considering factors such as
                       the state of the particular economy and
                       its effect on emissions, EPA may
                       consider the number, type, and state
                       inventory treatment of banked credits.
                       Such procedures will help assure that
                       reliably  banked reductions are not
                       reduced or otherwise adversely affected
                       by shifts in an area's designated
                       attainment status.
                         Some  commenters  asserted it is overly
                       cautious to require that all banked
                       emissions be considered as "In the air."
                       One commenter asked that state
                       planning be required to include as "In
                       the air"  only a portion of banked
                       emissions analogous to a "reserve
                       requirement" This comment drew
                       parallels with financial banking to
                       assume  that, given withdrawals and
                       deposits, a certain "float" quantity of
                       ERCs would always remain in the bank
                       and out of the air. EPA recognizes that
                       reductions placed in  banks may tend to
                       keep the air cleaner through a relatively
                       constant level of deposits. However.
                       EPA cannot allow states to cootrider less
                        than their full amount of banked
                       deposits as "in the air." To do so could
jeopardize air quality planning and
attainment*'

D. OBERS Projections and Doable-
Counting

  In its August 1983 notice EPA asked
for further comment on whether some
SIPs' translation of general economic
growth projections provided by OBERS
(Department of Commerce) directly into
projected emissions growth. left "no
straightforward way to disaggregate the
projections into shutdowns and new
plant openings." Whether such SIP
demonstrations were fully or only partly
approved, the notice continued, such use
of OBERS might make it impossible to
distinguish which shutdowns were
already relied on in the demonstration.
Therefore, it might be "difficult or
impossible for states whose SIPs rest on
OBERS projections to grant credit from
shutdowns for use in existing source
bubble trades, consistent with the Clean
Air Act" 48 FR 39581.
  Most industry and several state
commenters asserted that where OBERS
data were used to project needed SIP
reductions. UM of shutdown credits in
bubbles was not a problem, since
OBERS figures substantially
overestimate the total amount of
emission reduction needed to attain. For
example, one industry  commenter noted
that "emissions growth will not be
directly proportional to economic
growth because of the  installation of
new environmentally efficient
technologies. Therefore, SIPs which
used "OBERS" projections already have
  '* In order not M defeat bankinf, i purpoie of
 encoungint the earilant poitibr* diKioiure and
 production of polenoal extra ermuion reduction].
 OM of benked credit* for bobble purpoae* m
 pnmarjr oonoaaaunftil ana* w/iicA loex approved
 dimomaaooat wUl cononue to be allowed.
 provided (he*e credit* meet all baieiine tnd other
 apptfcable requirement* of today'! notice for :nese
 are**. Thla eenenlrjr include* the loweji-of-ictusi-
 SIP-«aowabU-or-RACT-aUow«ble eminioni
 baaeUne. applied a* of the date of written
 application to the itale to bank luch recuctioni
 thronga a formal bank or Informer baru:n$
 Dechanitaa for UM in future trade*. It mo incuce]
 that 20* aet redvcttoD requirement ana iu Document ai
 n.14).
  The tpeoal reetncnona dl»cu**ec ttxn* ao not
 ipply under todey I no«ce 'e UM of beruea cr*c :
 for bubble purpoeei in omer area*.

-------
                  Federal Register  / Vol. 51. No. 233 / Thursday. December 4. 1986 / Notices
•n inherent growth potential built into
them, and allowing ERCs for shutdowns
in these areas will not jeopardize a
state's ability to demonstrate
attainment" A local agency agreed that
"demonstrations.  . . based on such
emission projections would over-
estimate attainment because some
growth will occur from (wholly) new
sources, new sources replacing existing
sources, or modified existing sources.
(all of] which would be subject to.  . .
New Source Review rules, rather than
the less stringent (SIP) requirements
assumed in the emission projections."
  Several state commenters also
stressed that while use of OBERS
projections is not widespread, the
underlying question is whether the
area's SIP process incorporates
conditions sufficient to prevent double-
counting of shutdown credits. One local
agency recommended that shutdown
credits be prohibited where the source
involved is within an industrial category
projected to go through an economic
downturn, asserting that in such cases
 the SIP implicitly relies on the expected
 shutdowns. An environmental group
 went a step further, and urged that all
shutdown credits  for bubbles in areas
 using OBERS projections be completely
 prohibited.
   EPA has concluded that the
 requirements of the 1962 policy are
 sufficient to prevent double-counting of
 shutdown credits, and should be
 retained without further special
 restrictions. Tint use of OBERS or any
 other projection is relevant only where
 an area has an approved attainment
 demonstration. Today's notice generally
 disallows bubble credit for pre-
 application reductions (including
 reductions from shutdowns or
 curtailments) in primary nonattainment
 areas which require but lack  sucb
 demonstrations. Thui today's notice
 largely moots any issue of double-
 counting for past shutdowns, in the
 areas for which this issue has been
  raised with the greatest concern.
 Second, use of OBERS projections in
  areas with approved demonstrations
  does not appear nearly so common as
  was assumed in EPA's 1983 request for
  further commenK Even where such
  projections were used in approved
  demonstrations,  they generally
  overestimate the amount of emissions
  forecast to exist  in the year of protected
  attainment. They therefore tend to
  assume substantially less overall
  reductions from  source turnover than
  will actually occur.'4
  Finally, even if such projections did
not overestimate emissions, under
today's notice the state must show that
use in bubblea of any reductions created
by shutdowns is consistent with its
attainment demonstration aad that
those reductions were not already
assumed in its SIP. For example, the
statt must show that it did not implicitly
or explicitly rely on a "turnover rate"
from the difference in emissions
between existing sources and better-
controlled new sources for part of the
reductions required in its SIP from that
industrial category. Alternatively, it
must show that if a  -turnover rate" was
assumed, the shutdown credits used in
an individual trade result from
reductions in excess of that turnover
rate. Where a state  regulated the
sources in a standard industrial
classification (SIC)  without explicitly
relying on turnovers, then bubble credit
for a if stdown within that SCI category
would not in general be double-
counted.'7
  These requirements should fully
protect states and sources against
advene environmental or SIP effects.
£ Improved Modeling and de Minimis
Requirements
  Bubble applicants must show that
their proposed trades are at least
equivalent in  ambient effect to the SIP
(or other) emission  limits  the bubble
would replace. For  some criteria
pollutants («.g-  VOC or NOJ this test
may generally be met by showing equal
    " Tnia ii H bccauaa OBERS-4»Md SIP
  preitctionf ataum* that unita of production (and
  hf net rmmionil m particular SIC Cod** w\U k*«p
 paci with proi«ctad and* In «"—"n* tad/or
 anptoyoMM in thot* SIC cod**. without rvftrd to
 chanting diambuoofia barwta new and auaaot
 aourcaa. SM. •.»_ 1000 OBERS: 8EA fef/ona/
 Proftction*. Voluatr I; MttlmdototT- Caaatpa and
 Statt.Ooia. p. (xi). U.S. Dacaront a/ Coaaaarc*
 (J«ly IBtlJ.
   " Sacfa cradlla BUM of coon* m*n all other
 nquircmcnta of today'a none*, indudjat application
 of approenata baMlinM tad othtr cntan* daflaiaf
 aurpiua reductions, baion thay may ba uaad in •
 bubbtatnda.
   SUM* wtuca axprtaaly raUad an OBO13
 pru)«eOoaa may alto abow that no doubia-countinf
 occomd by d*oon»tnaa| that th«y did not
 implicitly ririy on toy turnover crtdjtt. Thii tbovnnt
 should not ba difficult to maia btcau** OBQIS
 aaaua* that tnuMioaa wtll rraly tncrwaa •( a»ca
 plant «nd production liaa. propornooaia to growth
 in atnunp and •aploynmi poiantial (or thai SIC
 cod*. Cl a. M above Thu iifnmrmm nattaar
 antxapatw nor nlln OB tht (act thai toy arnitdown
 will occur.
   Tha on* axcapuoo to «ha*« tenant prtnapUa
 could occur whtrt a SIP rtiiad on OBERS
 praiectiona for 40 SIC cattfonr prwfcctad to undarfo
 a quentifitd hitura tcononnc downrunL wnhoul
 takins txpiiat tlfirmadva 
-------
43flaS	F*4iMl Reysler / Vol.  SI. No.  233 / Thursday. December 4. MM /  Notices
accompanied by coapensaJiag
decreases, should not »e sukjeet to RUM
stringent requirements. As At 1982
notice put it "Such trades will h«ve at
most a de minimia impact on local air
quality because only minor quantities of
emissions are involved ... the Federal
resources required to evaluate these
trades could best be used to evaluate
actions that have a potential impact on
air quality." 47 FR at 15065.**
  One commenter asserted that this 100
TPY limitation was unnecessary, since
the trades to which it applied were
already required to produce no net
increase in emissions. However, four
state and environmental commenters
urged that de minimis levels for such
trades be the same as those triggering
federally-mandated review of emissions
increases in PSD areas. These comments
primarily noted that EPA had already
defined more relevant "cutoff' levels in
its regulations for PSD. for NSR
preconstruction permits in
nonattainment areas, and in visibility
permit regulation*, and that anusaioo
shifts of 100 TPY from one source t«
another might still be too large to go
unexamined for certain types of
emissions and situates*.
   In order to ensure prosecution of
ambient air quality, today's notice
adopts more protective de minimis
level*—derived from those for PSD; NSR
permits in nonattainment areas; and the
visibility permit regulations—of WO TPY
for CO,« TPY for SO,. 25 TPY  for
particular* matter, and 0.6 TPY  for lead.
Because of this action, state ambient
evaluation of de minitzua trades wHl no
longer be required foe generic bubble
rules to be approvable by EPA.40 Trades
involving sources of substantial size
may still be  implemented as de  minimia
 under today's provisions, as long as the
 quality of ERCs traded by these sources
 is below  the levels specified above.

 2. Modeling  Requirements*'

   Numerous commenli were received
 on the 1982 policy's ttoee-tevel  approach
   '• The 19B2 document did. he»a*er. note that
 such "|g*nenc| trabet an itlfi iirfnan to ir»t»«nl
 leiti |ai tht slot* IcvtL »ooH . . . thouid
 accorctnfly be evaluated by the nut under the
 mod«lln| «crern .  . or an equrvalent approach.*
 47 FR 1SOSS at nJ.
   •• Thia shoitki no* b« ctaMnwd to wpty Ika* *•"
 tourcet a*d morfifioaoat need act mee< «i
 apphcafala requirements, including thoee ipeafied
 under 40 C7R 51.18 or parallel EPA-appte-red rtrn
 rule*.
   «' The fottow«>*. dnwat
to demonstrating aa
The vast majority taught siiised
clarification, stating, for cxaopk. thsrt
the 1962 poto* did'"aw adequately     *
delineate the level of modeonf
necessary ia each instance." Today's
notice tightens and clarifies the
conditions under which ambient
equivalence may be demonstrated with
less than full-scale modeling.
  o. Level 1 Criteria. Under the 1982
document no modeling was generally
required of SOi. TSP. or similar trades
where applicable net baseline emissions
did not increase, sources were located
in the same immediate vicinity
(generally within 250 meters of each
other), and the taller stack was the one
which increased its emissions. These
conditions were believed sufficient to
assure that local ambient concentrations
of the relevant criteria pollutants would
not increase as a result of the trade.
  HP.* has added two criteria to those
specified in 1982. in order to provide
additional assurance that trades
approved under Level I will have BO
adverse ambient effect First there nrost
be no complex (e.g^ mormtamoa)
terrain  within 50 kilometers of the
trading sources or within the trade's
area of significant impact whichever ia
less. (For simplified methods of
determining "area of significant impact"
see today's Technical Issues Document
Appendix E}. Second, stacks with
increasing baseline emissions must be
sufficiently tall to avoid downwash.
   Some industry commenters objected
to the 250-meter limitation, advocating
use of either trade ratios for sources
beyond that distance, or an dOO-metar
limit extrapolated from unrelated EPA
regulations.41  EPA has retained the 290-
meter limit as substantially more
consistent with the modeling screen's
original intent of simplifying modeliag
requirements for trades  which could not
jeopardize ambient equivalence.**
  4« See t|_ 47 FR IftM. 5988 (ISbrearj S. MX).
  «• Trade ratio* may already be ueeri oadw
           •ow Invitm* Matet to deajep odMr
 equivalent approach** wh»ch «d«9u«*t7 iddm>
 auibMBi oonctraa. Se«. t_f- 47 FR at 1SOTT and aJ.
 15CTB. Howwer. to be apptu»"ni by EPA each ranee
 would eeftenUy hive to be 
 wide advuci mcxletirn o/ *Q nartn. w «nil «e
 tfce«e likely to trade.
   Several comncnii alao objected to  tne
 raqvuremenl Uut Lr*e4 1 trade* no< lueiee»a
 emiHione from the nvrce wnh the low eOeeBie
venoue eondtliona
       pivne Ket«*K
                    tocki eooW to rwry m
 intenn uiir»»«i»«iitt marie m th« 19
 tcrtm (•*• T«ctimc»l teaun OoRunwrn. Appendix
 Cl and BPA'« raieimn «o maior umnimnll on
 moaeitnj it»u««.
 consul crKly vv trr^»*>r OP t^w^f , WIM wv^
 ruaeded tMa Ihninmm mrj*M eiiuieieji vee «f tafl
 mcii to cur* kreel e«cndeneei
   Todty't notice mama thra Lml ! raqutituieut
 unchaiifad. That two >PUJL<» may be nrtuaBy
 IndiMinfuithable in cffecnw track bvtgM ttioutd
 not delay approval of Uv«l 1 inde*. line* the
                                          o. ieterf a Cntuirn. Trades of 9O».
                                        ISP. GDkFk and HO, {far visibility
                                        purpose*} may aao be approved through
                                        United Levd B ndetaej «f the ambient
                                        effects toHy of wan*, involved in the
                                        trade, when applicable net baseline
                                        emissions de Mt mcreaae end
                                        designated ambient significance levels
                                        are not exceeded.
                                          Today's notice confirms, clarifies, and
                                        in certain eases extends various 1983
                                        improvements made to increase
                                        certainty and better assure that such
                                        Level n trades result in ambient
                                        equivalence. In particular, "significant
                                        ambient impact" may no longer be
                                        measured solely by changes at the
                                        "receptor of "•^"i*"" predicted
                                        impact" before and after the trade.
                                        Instead such changes must be measured
                                        at every affected receptor for every
                                        averaging period relevant to the
                                        particular pollutant throughout the year.
                                        Under this approach no Level II trades
                                        will be approved without further
                                        scrutiny, involving fall or limited Level
                                        HI modeling, if they result in a
                                        significant net ambient effect at any
                                        modeling point for any such avenging
                                        period during a modeled year.
                                          Today's notice also specifies Level II
                                        significance levels for all averaging
                                        periods consists** wit* all current
                                        national ambient air quality standards.
                                        not juat the 24 hour averaging periods.
                                        for SOi aae* PM o» the 8-hour averaging
                                        period for CO.44 Refined models such as
                                        MPTER and ISC must generally b« used
                                        to tisasurn changes resulting from the
                                        trade at each receptor, using the most
                                        recent foil ye*r of meteorological
                                        data.44
                                          These modeling requirements assure
                                        that bubbles which pass applicable
                                        Level Q tests and meet all other
                                        requirements of today's policy will
                                        result to air quafity equal to or better
                                          limitation'! purpt
                inventing potentially
            ttei m pound-level ambient
coocentntMU da* to thrill of mumom from
-higher" to "tower" ttodc*—et realm imn in UMI Uvei  1
requirement ipfaan aquued.
  44 For rartbet olaeutaion of th«e ngnificance
lenit end the muaaeed ateunRce of
eoaeraoMHMai aat*wji«Doa they prondc in
conjuixaleo wxfc lod«7
-------
                  Pfrdgrai  Rtgfrtar /  Voi St.  No, g» / Thursday. Dteemfag 4.1988 / ffatices
                                                                      •C829
then that pranced by preMnce
tmiMioo limits, tnd m*j b» approved.
Because refined mods** havt now been
approved by EPA andthefr parameters
may be specified with greater certainty
and ceofldence. these requirements also
provide a firmer basis for approving
state generic rules incorporating Level
D.««
  c Lint III Criteria. Trade* which are
not dt aunimu and do not satisfy Level
f or Level Q above must generally be
evaluated by full-scale ambient
dispersion modeling. Two air pollution
control agencies recommended fixed
trading ratios In lieu of each modeling.
asserting *ht« would redu>e cost *™*
uncertainty while continuing to meet the
goals of the dean. Air Act EPA
recognizes the legitimacy of thee*
concerns but has concluded that trade*
 which do not satisfy Level I or D raise
 the Idnde of air quality issues which
 appropriately require full-teal*
 modeling, unless such trading ratios
 have been Justified by similar area- wide
 modeling conducted hi advance of the
 trade.
   Today's notice does, however, modify.
 Level m to provide states and soarae*-
 more flexibility « this regard. Where.*.
 trade meets- aft. oiJaax criteria of Level B.
 but Level n modeling has shown
 tigniflrjnt p^ tan Hal increase* at
 particular fff tp^T ""
 under Level ffl may under appropriate
                         to a cecapaMT
 ares soutUer than the trade's entire- are*
 of impact so kong as it utdetiei
 emisnons from til sources whick
 contribute to ambient concentrations in
 that limited geographic ire*. Because of
 the unique nature of tech aituaJaotk. late
 appropriate limited geographic ire*
 must be detsmaad in accord with- EPA-
 guidelines on modeling and cue-br-
 case evaluation. This "liieiii  I Levei IE.
 approach may conserve itfaiftrant.
  resources, while allow***} stales and
sources to focus OB specific geographic
areas of concern.4*
F. Enforcsawit tea**
  Sevcrel commenters noted that while
sources should, as provided \m the 1982
policy, be allowed to use bubbles to
come into cfttnp^*"^ bubble
applications might also be used to delay
compliance or enforcement without .
compensating environmental benefits.
Some of these commenters alluded to
language in the 1982 notice which, while
not authorizing or intended to authorize
such results, could have been
interpreted to allow them. Such
unacceptable delay might for example,
arise where • source fadng u imminent
compliance deadline suddenly advances
a bubble application and asserts thai
more time is needed to develop and
evaluate that application before
compliance with original SIP limits
should be required
  Both bubble* and generic rules can be
Important means of allowing
environmentally-sound compliance.
Generic rule* may be- more expeditious
then case-by-case SIP revision bubbles.
They may  also pieaeiie the very
opportunity to babbie when the time
needed to  process a cave-by-cas* SB?
revision might extend beyond the
source's origan! SIP compliance date*
At the MB*  time, babble sppBceUun*
    «• Inlerwttd ptraet
  ihil bcciuM of nplioki
  tppiiutloB of tny
  sp«ci5c WBtoMn
  rtiwnc ruin my be mart
  •mpltmtnt thui ruin nicorportcru oaly.de aiaawii
  .nd Ltvtl I tpproichn for SO* TSf. CO or Pte
  Dunnj ind *f«r IMUMK> •< The 1MZ bMn» ptitf
  EPA tuff dnft*4 t«d interMlly orcutaud. tl the
  rrquttt o/ mi« and local ur Htccy dsnctorv
  mod«I fMitne ruin which provided men diuil la
                         r iddrvm thw»
shoeid not become e ihfeW against
enforcement ection* for sources which
have failed to take necessary twpe to
meet required control obfigatfoe* on
timft. Bubble* are simply aJtenativ*-
meanrof comprying at less eoet They
should b* treated neither more nor ices
stringently than other, more tndBfcmal
method* of complianca. PuLbki offer
innovative ways to meet emtetotr
reduction obligations. They should oat
become devices to avoid such
obligations.
  Today's notice substantially clarifies
and tightens the 1982 policy to better
implement these principles. Among
other steps, compliance extension* wtff
no longer be granted under gtnenc nda*
in any nonattainme&t area, and may be.
  «' Today'i node* lUo raqmni bubWt
      prummry aounanMM
                                       granted genaricsJly ia. atialnmanl artai
                                       only when EPA baa appreved the tar.e-
                                       extensiaa* poftioa of the rule a*
                                       consistent with relevaoi Gean Air rtct
 ut ^u»fltT bcacfit." vhidi ihaU oouui u
 odXOk raducooa in tmmion« rcmuiat ttut
 tppteaooa at ttat \U
  i/tti pubhciuoo ei todiy'i aouc*. D"A •ocoun^n
  p«rnn w'thmt to drr*iop pncrte rein to u« »«*t
  FMO mod»l» «nd wtJti clotely w<* ptl«vim
  Rtjtotral JUff. KJ *«< poltotrtl prefifnw m*j b*
  prompily idtnnfird and r»»otv«d.
 difftrtnt thuor in tddihaa u tht *
 tpprotchet ditcviMtd tbovt. U i* m*(y i	
 to tajMre that when tppropnatt Uvtli o/ mnrt«»n
 indiutt that pmcnbed bttelint vtltat in aet
 (ufllciem to product ksbicot tqiuvtkac*.
 tddiQoiul reduction* which u*un luci
 *qvB««l«nca. prior re tht Z7X 0*1 eUacouei 11
 btwfint rmiuran*. will bt r»:on n
 moM Uktly «o b« ««»iond w«Mr* t SIP-nviiion
 b^Wi h« DMB foreBttr pnooHO for «ppnrn t<
 UK tuu kwiud EPA u*& kavt coociudrfi 'Jtai it
                         A orforctrnuu rwouru* 10 uvil*
 •nvireointmil tnd.

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43830
Federal Register / Vol. 81.  No. 233 / Thursday. December 4,  198C /  Noticea
  B. Unn| Emission Reduction Credits
    1. Emiuion* Trade* Most involve the
    Sane Criteria Pollutant
    1 All Uies of ERCa Most Satisfy
    Applicable Ambient Tests
    3. Bubbles Muat Not InoeaM Hazardoua
    Pollutant!
    4. ERC* From Existing Sources Cannot
    Be Used to Meet Technology-Based
    Requirements Applicable to New
    Sources
    5. States May Approve Bubbles in
    Primary Nonattainmant Anas Which
    Require But Lack Approved
    Demonstrations of Attainment
    6. Sources Need Not Be Subject to
    Binding Compliance Schedules Based on
    Current SIP Requirements
    7. States May Extend Certain
    Compliance Schedules
    4. States May Approve Bubbles Involving
    Open Oust Sources of Paniculate
    Emissions
    9. Trades Involving Lead
    10. Trades Involving ERC* Prom Mobile
    Source Measures
    11. Interstate Trades
    U. Bubbles Must Not Impede
    Enforcement
   C Banking Emission Reduction Credits
 I1L State Generic Trading Rules
 IV. Bubbles Which Require Caae-by-Case SIP
    Revisions
 V. Conclusion

 EMISSIONS TRADING POLICY
 STATEMENT

 L Introduction Basic Elements of
 Emisaiooa Trading

   This statement details EPA policy on
 emissions trading. It seta out conditions
 EPA considers necessary for emissions
 trades to satisfy the Clean Air Act It
 also clarifies and otherwise make* final
 the Interim Policy proposed on April 7.
 1982 (47 FR15076). It is accompanied by
 a Technical Issues Document which
 elaborates and provides greater detail
 on pnnciples  set forth below. Finally, it
 addresses new issues, and incorporates
 certain additional safeguards as a result
 of past trading experience, to better
 assure the environmental integrity of
 future trades.

 A. What is Emissions Trading?

   Emissions trading consists of bubbles.
 netting, emission offsets, and emission
 reduction banking. These steps involve
 creation of surplus emission reductions
 at certain stacks, vents or similar
 sources of emissions and use of these
 emission reductions to meet or redefine
 pollution control requirements
 applicable to other emission sources.
 Such emissions trades can provide more
 flexibility to meet environmental
 requirements, and may therefore be
 used to reduce control costs and
 encourage faster compliance. Moreover.
 by developing "generic" trading rules
                      (see Section 13 below] states1 may be
                      able to expedite bubble approvals by
                      eliminating the need for case-by-case
                      SIP revisions* and by providing more
                      predictable approval criteria,

                      B. The Bubblt
                        EPA's bubble lete cutting planta (or
                      group* of planta) increase emission* at
                      one or more emission sourcei in
                      exchange for compensating extra
                      decreases in emissions at other emission
                      sources. Approved bubbles give plant
                      managers the-ability to implement less
                      costly ways of meeting air quality
                      requirements. To be approvable, each
                      bubble must produce results which are
                      equivalent to or better than the baseline
                      emission levels in terms of ambient
                      impact and enforceability. Thus,
                      bubbles should jeopardize neither
                      ambient standards nor applicable PSD
                      increments and visibility requirements.
                      Under EPA's bubble, emission
                      reductions from existing sources can not
                      be used to meet technology-based
                      requirements applicable to new or
                      modified stationary sources.
                         This Policy Statement replaces EPA's
                      original bubble policy (December 11.
                      1979:44 FR 71779) and" Interim Pmi««t«n«
                      Trading Policy (47 JR15078). It tightens
                      general bubble principle* as well a*
                      requirements for bubbles in primary
                      mraattainment areas which require but
                      lack demonstrations-of attainment,  and
                      requires bubbles in these area* to -
                      produce progress towards attainment
                      beyond equivalence to stringent
                      emission limits. By specifying EPA's-
                      requirements for bubbles in all areas,
                       this Policy Statement should-make the
                       development review and approval  of
                       environmentally-sound bubbles more -
                       rapid and predictable.
                       C Netting
                         Netting may exempt "modifications"
                       of existing major sources front certain
                       preconstruction permit requirements
                       under New Source Review (NSR). so
                       long as there is no net emissions
                       increase within the major source or any
                       such increase falls below significance
                       levels.* By "netting out" the
                         1 "Slate* " Indudee any entity pt
                       authority to admuuatar relevant paj-u ai a Suu
                       Implementation Pten (SIP] soda *e QMS Afr Act
                         * "Ceee-byoee SIP rwiiiao" memna cae» by-
                       e*M approval by EPA u • SIP twMoa. TUa t* the/
                       tnditMOAl mcduniun by which bobbiee tad other
                       SIP chanfe* have been approved by EPA.
                         ' See. e.*. « on «.ie.
                       Si21(bH23|- SM «Uo today i Technical IMAM*
                       Document n. 47 and accompanying ttxt
                         On November 7. IMS. EPA rtatnictured CFR Pin
                       91 and renumbered many of that Ptrt'i Mctloa»(Jl
                       FR 40M4I  Becauae incut  raaden wiD be more
                       familiar with pnor designation*. today'i notice
                       contain! ciianoni baaed  oo the orgudxacoa of Part
modification is not considered "major"
and is therefore not subject to
associated preconstruction permit
requirements for major modifications
under 40 CFR 51.18,3124.5i21.5Z24.
S&27, or S&28. The modification must
nevertheless meet applicable new
source performance standards (NSPS).
national emissions standards for
hazardous air pollutants (NESHAPs),
preconstruction applicability review
requirements under 40 CFR S1.18(aHh)
and (1), and SIP requirements.
  Netting's scope U determined by the
definition of "source" for review of
major modifications. In general PSD
areas use a single, plantwide definition.
allowing actual emission reductions
anywhere in a contiguous plant to
compensate for potential emission
increases at individual emitting units
within the plant Nonattainment areas
can choose either this single, plantwide
definition or a dual definition, so long as
the definition selected does not interfere
with attainment and maintenance of
NAAQS and is consistent with progress
towards attainment Under the
plantwide definition, significant net
actual increases at the  plant as a whole
will trigger new source review. Under
the dual definition, significant increases
at either the plant as a  whole or
individual emitting units will trigger new
source review.
  In addition to these federal definitions
for major new sources  and
modifications, state preconstruction
permits for major or minor new sources
and modifications may be required
under 40 CFR 5V18(a),  and some states
preclude netting.

D. Emiuion Offsets

   In nonattainment areas, major new
stationary sources and major
modifications an subject to a
presconatruction permit requirement
that they secure-sufficient surplus
emission reductions to more than
"offset" their emissions. This
requirement ia designed to allow
industrial growth in nonattainment
areas without interfering with
attainment and maintenance of ambient
air quality standards. It is currently
implemented through SIP regulations
adopted by states to meet the
requirements of 40 CFR 51.18(j).
   In attainment areas, some new
sources and modifications might not
otherwise be able to be constructed
becauM their emissions would result in
 SI aa it existed before thie reitrectunnj. Inttmied
 partea may uae Appendix F of loday'i Tecar.ictl
 itauee Document to conTart today i Pan 51 ciinor.i
 to the co fret ponding new one*.

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                  FedaraJ Regfater / Vol. 51. No.  233 / Thursday. December 4. 19W  /  Notfcw
                                                                      4381
an eaoeadaaM* at *e apaticaitie PSD1
tncroteau a* aafatea« «r q*sUty
standard, would sigmieeatry contribute
to • viotetxa of IB MMtftt air quality
standard in a dewgnetad primary
nooattauunent ire*, or would
significantly contribute to visibility
impainMOt m a Federal Clas* 1 area.
These sources may use emissions offsets
to allow desired growth while protecting
that increment, standard, or visibility.

£ Emission Reduction Banking
  Firms nay store qualified emission
reduction credits (ERCs) in EPA-
approvable bank* for later use in
bubble, offset or netting transaction*.
Depending on the bank's rules, banked
ERCs may also be sold or transferred to
other firm* which seek to meet certain
regulatory requirements by use of
emissions trades.
   EPA's revised Offset Ruling (40 GFR
Part SI. Appendix S] allow* states to
establish banking rules as part of their
SIP*. This Policy Statement and
accompanying Technical Issues
Document detail the necessary
components of a complete state banking
rule approvable under the dean Air
Act WWe many areas also allow
basking of emission redaction* for
verms ewpoeae through various formal
or informal banking mechanisms, beaks-
 which do not meet today's criteria (e.g_
 by not BMJdne/benkzd enmunon
 reduction enforceable by tile state by
 the mate dM redactions are actually
 banked, er by not aeavring tiuM devovrte
 are taken expttdtry into accoaat for SIP
 pien&ffiej pairpoeesf cauuotqvefiTy
 emission reductions as ERC*. and may
 offer substantially lest protection in the
 event of future SIP corrections or
 chances in aeobieat aOsnmeflt sta£ea.
adopt rural which incorporate aB or eny
combination of the above trading
approach**.*
  Thit Policy Statement la accompanied
by a Technical Issue* Document for use
by state* and industry in further
understanding emissions trading. The
Document offers elaboration and
important detail on requirements and
available options under the dean Air
Act
  This notice reflects the current dean
Air Act and existing EPA regulations. A
policy statement cannot legally alter
such requirements. However, this notice
establishes EPA policy in areas not
governed by applicable regulations and
sets out general principle* which may
help states and industry apply those
regulation* in Individual cases. Federal
or state rnlemaldng in response to. e.g~
future litigation or changes in ambient
standards, attainment status, or SIP
validity, may affect states or firms that
plan to engage or have engaged in
emissions trading, activities.
  Nothing in today's notice alter* EPA
new source review requirements or
exempt* owners or operators of .
stationary sourcee froan compliance wrth
applicable precomtruettoa permit
regulation* to accord with 49 CPU Sl.m
31.24. 51 JOT. SL21. 52J4. S2J7. sod.
52J& bferested partfee thevki
however, be aware mat bubble trades
are not subject to preconstruefJea
review or regulation* where the*e trades
do not involve omstiutlhm.
               nr mrw^ I Bi-j ttnm gf f
 source.
   EPA mtecMJ* to eppry chsnges irtxtn
 by today's policy prospecBury (e.g» not
 to action* whicb have aireedy been-
 apprawd a* case by-eese SIP revisions
 or oader generic rotes), ff. bo*
 F. Generic Trading Rules
    Generic rules adopted as part of toe
 SIP can authorise states to approve
 certain types of individual transactions
 without the need for case-by-case SIP
 revisions or associated federal review
 prior to approval The firtt state generic
 bubble rule wss approved by EPA ApriJ
 6.1981 (46 FR 20S51J. Far tie current
 scope of p*nnimW« robe. »ee Section
 fU below.

 C. Eft** of Thit foftcy Statement
    Fmiesinoa trading is largely voluntary:
 no source is required to trade, and no
 itate is required by EPA to approve a
 particular trade or to adopt a generic
 rule. Trading merely offers slates and
 stationary source* alternative wsyi to
 meet regulatory requirements.  For
  example. Hates are free to adopt generic
  rule* or continue to implement trade* as
  individual SEP revisions. They may
 ambient violation* are discovered In an
 tree where EPA has approved a trade.
 or if other violation* of Qeen Air Act
 requirements are discovered la that
 area, sovrcea amoved In the trade.
 should be aware that they are
 potentially subject to requirements, for
 additional emission reductions. Just as
 are all other sources in the area.
   This policy requires that substantial
 additional redactions (at laixt 20*) IB
 tndlnt in not voluntary. For tuopk.
 at • iu«r M«r mra or i
eiulssiuns remsaaRg beyond applican
baseline* be produced by fature bu
m primary nonarralnmeBf areis wh
require but lack approved
demonstration! of attainment.
applications for bubbles in such areas
which are still pending at EPA without
formal action under the 1882 policy, or
which were previously subtitted to £F.-
Regions under the 1962 policy but not
accepted for evaluation, will be
reexamined and processed for approval
if they meet the requirements of the 1982
policy and contribute to progress
towards attainment "Progress towards
attainment" means some extra reduction
beyond equivalence to a lowest-of-
actual-SIP-ailowabie-or-RACT-
allowable emissions baseline, with thii
baseline applied aa of the time
applicants originally sought credit
Pending bubble* in attainment srets
and nooattainmeat areas with approved
demonstrations of attainment will be
processed for approve! if they meet the
requirements of the. 1983 policy and
show that ambient standards. PSO
inowMBta aod visibility will not be
jeopardiMd.
  For further discussion on pendte?  .
bubbles see Sectxm LA.l.b.(4) of the
Technical Iseoev Document. *•

0. RaquiieaMots for Crwtag. Using,  or
Baatta«EBHeais» Karfactioo CrediU •

A. Creating Emiuioa Reduction Credi.

  Emiseina redaction credits (ERCif are
the common currency of all trading
activity. ERCa any be c**ted by
redaction* from either stationary, area.
or mobile sources. To enure that
emiseion trades do not contravene
relevant riqin'ireund nf the Claan Atr
Act, only redMctioaa wiuch are surplin.
enfaftxabi*. permanent, and
quantifiable can qualify ss ERCa and be
 banked or used in aa esuuior.i trade.
 tnunoa* (4* CFK n.iaHk Ptrt n. -SipMihi Si
 Hu»«Hi. »b«r« »!*»»«
 'irextfc rnufn' el aw*
 i* airr»r*f imjund try EPA. *• ftMt
 tht efTwti trtm HMI prowtfi mttrga ntfur dm
 rtqurt (bm from KM tow*, to toof u it orfajt
 Iht mirfin •cecrdtafljr, S*« Qi«n Ai/ Ac) Mettoa
               M«M*ar«ourctf Much
 •ubBittod bubbiw thai wvt rtrura*^ without
 rr«M»ttoo br EPA to rxcbmt Uvtm under Lh«j«
 cnum. pfBuidtd th«r ctn doanuai In SormiL
 Oatiy MtantuJ of to ippliuuaa 10 EP«, .n jc:;:=
 mtk oortavi EPA pnx»4Mnt tad fbl ih*' r.«
 •pplksdo*«•• ntmmvd wlbout ivilutnen. rimer
 Una niuetfi tor fsdwi m IDMI tht uraw of :hc
 IStt poOey Bobbb ippticitiou okieh w«n
 tui^lid for tvafcaooa ba( r*)wt(d for (tOun to
 BMI tb* 1SB2 potter **" ^ >r>*'*d «i new
 ippliatfoai «dv radiy'i notlo.
   •BveaaM tfeli PoKcr Suummi and
 •cooaparn* T«eh»«l U»u« Doeum»ni n ",«CT
 fCMrmJ Cl*4n Air Act pnnoplt*. «(«!»• mdivrdui!
 tourc**. or conunnKtn oo ip^ciflc rultr.iki:;
 •efion« tn frM 10 »>MW thil • |»n«nl prnc.pif
 don M< fppty to ptrnndu arcvRutancti or :ou.c
 b« M««0«4 or»» ipproKba eU«r th... •
 rt» oetto«i q»d» corrnt i*". »n
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43832            FsjckraJ  Rtpitsw /-VoL Sl.-No. 233. /  Thunday. Decanber 4. 1966 / Notices
  1. Surplus. At mkuoHim-aaly emission
reductions-nol required by current
regulations in the SIP. not Already relied
on for SIP planning purposes, and not
used by the source to meet any other
regulatory requirement can be
considered surplus. To determine the
quantity of emission reductions that are
surplus, the state must first establish an
appropriate emissions baseline from
which surplus reductions can be
calculated. Baseline emissions for any
source are the product of three factors-
emission rate, capacity utilization, and
hours of operation.1
  In attainment anas, the lower of
actual or allowable values must
generally be used for each of these
baseline factor*. However, allowable
values for one or more of these factors.
when higher than actual values, may be
used in calculating the baseline
emissions, provided those values are
shown to be used or reflected in an
approved demonstration.* The burden of
meeting  this test by written evidence
rests with the state or applicant which
seeks to use an allowable value.
  When allowable values  for one or
more baseline factors are not used or
reflected in an approved demonstration.
such values may still be used in
calculating baseline emission*.
However, in such cases applicants must
perform appropriate modeling to
demonstrate that allowable values
which are higher ihan actual values will
not delay or jeopardize attainment and
maintenance  of ambient standards.*1
  ' For further diecuaaion of tbeee hclor* «« they
 reUle to biMliM caiculaoou. *•• Appendix B of
 the Technical Issue* Document.
  'Thu intemenl doe* not apply to netting, where
 "conlemporaneoua" tctual enutiione are always die
 baseline. See. e.g_ «0 CFR 31.XKbX.3).
  Bubble* in area* with demoostranaa* beted eoiy
 on qualitative tudgment* (e.a- the "example region"
 approach or no technical support) ordinarily may
 not rely, without appropriate modelme, on
 allowable v^lue* m calculating, baeeLne emission*.
 However, bubble* in arens with demons tranona
 baaed on rollback or dupenion modeling may oae
 allowable values that are reflected in the
 demonstration. In certain aroaaauacn an
 allowable baseline value specified in a
 prcconstruciinn permit may ba dMated equivalent
 ••a one used of •'Heeled in ao approved
 demonstration 5ft Techmca4 tea** Document, n. 7.
  For further definition of "acnsal" aod "allowable"
 we today s Technical Issues Document. Section
 l.A-Ls. and Appendix 8.
  • This demonstration would require a Level U
 modeling analysis. ia accord with the modeling
 screen discussed below, using ectuel emissions for
 the pre-bubbie case, unless, for bubbles pncetted
 ai catf-by-foi* SIP revision*, the Region
 determines that additional technical support is
 needed to protect applicable standard* or
 increments. For discussion of Level U modeling, see
 Technical Issues Document, section LB.l.b.(3). For
 further discuaaion of additional technical support
 which Regions may require in these circumstance*.
 lee Technical Issues Document. Section LV1-*. Par
 a discussion of parallel modeling requirements for
  In attainment ana* when tbe PSD
baseline has beta triggered, credit may
be granted consistent with the PSD
baseline concentration at specified in 40
CFR 51.24M13) and Si21(b)(13). Teat
will generally require use of actual
value* for each of the baseline factors.
However, states may use allowable
values if they show through appropriate
modeling *° that attainment and
maintenance of neither the ambient
standards nor applicable PSD
increments will be Jeopardized, and
quantity the amount of increment
consumed
  In nonattainment anas with approved
demonstration* of attainment, the
baseline must be consistent with
assumptions used to develop the area's
demonstration. This generally means
that actual values must be used for each
baseline factor where actual values
wen used for such demonstrations, and
that higher allowable values for these
factors may be used where allowable
values were used for such
demonstrations.11 The burden of
showing that an allowable value was
used or reflected in the approved
demonstration rest* with the state or
applicant which seeks to use an
allowable value. In the absence of
written evidence to that  effect full Level
HI modeling would be required to make
use of an allowable value- in baseline
calculations.11
  In primary nonattaiiunent anas
which need but Jack approved •
demonstration* of attainment, stater
must show that bubbles  meet special
"progress" requirements designed to •
produce a net air quality benefit This-
must be demonstrated by (1> osing the
lowest-of-actual-SIP-ellowab!e-or-
RACT-allowable emissions baseline for
each source involved In  the trade, »• (2)
meeting the ambient equivalence testa
outlined in sections ILB.2 of this Policy
and LB.l.b. of the Technical Ixues
Document: and then (3) producing a
substantial net reduction in actual
emissions (I.e., a reduction of at least
 use of such higher sUowable value} in anaiajnanl
 area* under lenenc ru/e*, tee Technical Item*
 Document. nJl.
   " See rU above.
   1 ' For netting, ~ contemporaneous" scowl     - -
 eimaeion* are alwiyi the baaeha*. See. «.*>. eO/CFR
   1 • Fot further OB 13.1.1*4*
   1 ' For purpose* of today'* nonet, the 1owe*»-o*-
 sctu*J-StP-«Uowible-or-RACT-«lJow»oJe"
 emission* beaettne mean* the prodvct of (1) the
 lowest of the actual entuawa rat*, the S3" or other
 federally enforceable t*ai**ioa tumt a* a  RACT
 emission limit, and U) the lower of scruaJ or
 allowable capacity uollaaoon and Sours of
 operation. For runner discussion of thi* besello*.
 see Appendix B of today's Technical Issue*
 Document
20* in ihe-ecntssMMM remaining sft«r
application of the baseline specified
aboveVThe state must also provide
assurance* that the bubble is constsienr
with ambient progress* and future air
quality planning goals.14
  2. Enforceable. To assure-that dean
Air Act requirement* an met each
transaction which revises any emission
limit upward must be approved by the
state and be federally enforceable.
Meant of making emission limits
federally enforceable include SIP
revisions (see section IV below). EPA-
approved generic bubble rules (see
Section III below), and new source
preconstrucrron permits issued by states
under EPA-approved SIP regulations
pursuant to provisions of 40 CFR 51.18.
51.24, or 51J07. as well as construction
permits issued by EPA or delegated
states under S?71 '* Bubbles should be
incorporated in an enforceable
compliance instrument which requires
recordkeeping based on the averaging
period over which the bubble is
operating, so it may easily be
determined over any single averaging
period that bubble limits are being met.
  3. Permanent Only permanent
reductions in emissions can qualify for
credit Permanence may generally be
assured by requiring federally
enforceable changes in source permits
or applicable state regulations to reflect
a reduced level of allowable emission*.
  4. Quantifiable. Emission reductions
must be quantifiable both in terma of
estimating the amount of the reduction
and chmracteriting that reduction for
future use. Quantification may be based
on emission factors, stack tests.
monitored values, operating rates and
averaging times,  process or production
inputs, modeling, or other reaionable
measurement practices. The same
method of calculating emission* should
generally be used <« quantify emission
levels both before and after the
reduction.
B. Using Emission Reduction Credits

   ERCs may be used by sources in
bubble, offset or netting transactions.
The general principles below will assure
  "Thei
I may be found m the
 Techmeal UWM Deoiaantat LA.MM3). EPA w.ll
 nol laroad *»*• nek *UM aaaunnca*. provided
 they MKfV) A sobauaMl tn»applied by the state
 to each bubble, and (2) the siata ha* aplameq how
 the proposed bubble I* consistent with the sres s
 protected arulomeot strategy. This authority has
 not bees delegated with EPA. See dean Air Act
 section 301(*)tlL.42 U.S.C. TWIUHU
   11 EPA U abo cooetdaewf »enerte step* which
 would make state operating permit* federslry
 eaforaaabk. Prior to uee. bcntati credit* need not
 be nude federally enforceable. See Section II C
 below.

-------
                  Ftdtral R«tut«f / VoL 51. No. 233  / Thurtday, December 4.  1980 / Notices
                                                                                                                 4383."
Out all use* of ERC* tre consistent with
ambient attainment and maintenance
coniidarationa under the dean Air Act
They are further articulated in the
accompanying Technical Issues
Document
  1. Emissions trades must involve the
same criteria pollutant. An emission
reduction may only be traded against an
increase in the same criteria pollutant
For example, only reductions of SOt can
be  substituted for increases of SOt.
  2. All toes of ERC* must satisfy
applicable ambient tests. The dean Air
Act requires that all areas throughout
the country attain and maintain national
ambient air quality standards and meet
applicable ambient requirements
relating to PSD increments and Class I
protection, including visibility. The
ambient effect of a trade depends on  the
dispersion characteristics of the
pollutant involved. With the exception
of  visibility for NO* dispersion
considerations will generally not affect
trades involving VOC or NO» whose
impacts occur across broad geographic
areas. For these pollutants "pound for
pound" trades may be treated as equal
in  ambient effect where all sources
involved in the trade are located in the
 same control strategy demonstration
 area, or where the state otherwise
 shows such sources to be sufficiently
 close that a "pound for pound" trade
 can be justified. However, dispersion
 characteristics are important for bubble
 and offset trades of SOi, particulates.
 CO. or lead, whose ambient impact may
 vary with where the emission increases
 and decreases occur. To assure ambient
 equivalence, such trades of these
 pollutants must satisfy ambient tests
 under the modeling screen discussed in
 the Technical Issues Document or under
 a  similar, equally effective approach.'•
   " For (imiFir reaaoaa. bubble* of the*e pollututi
  mujt involve eourcet which irv m the a*me or
  adjacent control atratefy deoorutnuoa vtu
  •nthia the urn* fenenJ tir b*«a.
   S*t Mcaon tt.A.1. above tad Technical Itmun
  Document Section LA. La refardiBf addition*!
  technical luppon rtquovd for eanua nde* in
  attainment area*.
   While bubbiet in primary oon»rtainment ar»*a
  which need but lack approved dmooctnoon* o/
  attainment CBUJI pnxJuc* a atl av qcaiily benefit.
  ihii do« ooi entail additional ambient tmts. Such
  bubble* must firtt meet the |eoerml Uau under (be
  modeuni tcreefl ahowtnf embteat equivalenc* for
  bubble*, prior to producmf the reqiured addition*!
  reduction*. They ouet then produce additional
  reductlona of at le*»t m beyond the applieabie
  bai'tt/w emiaaiotu u*ed to demonitrate amount
  equivalence. Since theee additional reducuona wri]
  neceitanly reduce arabtentonoratreaoni below
  equivaleace a* KMM recep• But d teoiaa* LC utd LO. **ove.
   Today'! uottce doee no« adctren whether or unoer
  wket drcafMttflCM faollOee wbieci 10 NSPS.
  BACT or LACT may »urp*»« applicable permit
  llralta refleetins*uch reouinrmenu IB order to crea
  credln for exuonf-«ource tr»de».

-------
                  P«*kmi Raster / Vot M. No. Ztt / Thnraday. Dsjcajafeer 4. 198§ /
«cbtd*r
     I Hw4iAeM KMTCM located m iineiileaim nl <
 See ucuon LU below tad MCUOH 1LE.4. erf OM
 Technical LMU«I Docuowu.
state view* (haw
prapejeed-SJP miata SB
  & Sftnc* Her
                            atf *•
inrorrinf open dustsaarces of
paiticukjte ejnissions, baaed OB
moddiag desoasmbeas. Open duet
trades may be approved through
individual SIP rerteioos based oo
acceptable modeling and/or moartorinf
demonstrations, provided source* agree
to po«t>approval monrtorinf to
determine if prtdktad air quality retolts
have beta rtaliMd and nuke an
enforceable romralrment to achieve
necessary additionaJ reductions if
predicted results do not materialize.
  A Trade involving lead. Unlike other
criteria pollutants. EPA does not
designate nonattainment areas for lead.
However, the Regional Admimstrater
will review lead trade*, as all other
trades, to assure that they do aot
interfere with attainment and
maiate-unca of KAAQS.
  10. '. .-adet mvohring ERCa from
mobue source measure*. ERCs from
mobda source measures may be used to
raaet SIP raquireoMiUs applicable to
existing stationary sovcts, so laog M
such reductions are swpfas. pemaoevt
qvaatifiabla. and enforceable.
Reductions from certain type* of mbU*>
source meavures (e.s>. mechaincsJ
conwnion ef existing vehide Aeets t»
cleaner fuels saca as nwtheaol) may
satisfy these criteria sore  readtry diaa
those from«th«r transport-fvlated
measure*. Hewer**, dae to poeaibk
difficulties in determining whether
specific mobtie-souiee redvcttoos fttDy
meet these criteria, ati soch frade* BHtst
be implemented a* case  by-case SB1
revisions.
   11. Intentate trades. Trade*  mvohhng
sources located m neighboring state*
•ay be approved, provided they meet
all other requiremeats of today's node*.
However, in order to (vend coroplerx SB1
accounting issue*, where stete tradtag
requirements differ EPA wiU revjwre dtat
such trades meet  the rab*untiv*
requirements of the more smngent state.
In general EPA will deem ERG* cre*rt0d
in one state to coatribote to pruyess in
the state where used to the extent of
that use. provided that applicable
aabieat tests (section IT.B2 abov*) an
met Intentate  trades must be
implemented through case-by-caae SB*
 revisions.
   12. Bubbles must not impede
enforcement. In general, bubbles are a
 form of SIP revision which should be
 treated neither more aor les* iiiiiigssKli
 than other Sff  levisium. Bubbles shuiuu
 not become a shield against
 enforcement actions for SOQKM which
 har* fatied to take aecacaary «tepe h»
                                                                      on
                                                              i sbwad tote
                                       tbit tfesfy futarttt nfafsjct to air3.*rK'CiSiit
                                       of axistinf (pr*-
-------
               FealataJ Repater / VoL si. No. 233 / ThufxUy. December 4. !«*» / Notice*
                                                                    43*3
the fact that aa ERG baa been beaked
doe* aot relieve it from the need le> meet
all cnteri* of the specific regulatory
program under whtehrt is to be used."
Because some trade* have, special
limitations (e.g_ only reductions.
occurring at the same major stationary
source can be used for netting), banks
do not guarantee the validity or specific
amount of particular banked ERCs for
all potential uses or for all time. To
provide maximun protection for the
environment and sources and to avoid
potential legal problems, state banking
rules may specify the types of sources
eligible to bank ERCs and any
additional conditions placed on
certifying, holding or using banked
ERCs.
   State banking rales may establish
ownership rights. However, any such
rights must be consistent with dean Air
 Act requirements, including the
 requirement that SIPs provide for
 expeaditfeus attainment and
 maintenance of ambient air quality
 standards aad protect PSD increments
 and vMbtlity. To be appnvabk by EPA.
 such banking rules must also treat
 banked reductions aa current actual
 enriseions la the air" at the source of
 their creation, in order to protect the
 integrity of rotor* air quality planning.
 Failure to track the ambient effects of
 such banked reductions (e-a> by not
 including ff*^*i in a new or updated
 inventory used for SOP planning
 purposes, or by relying on thoea
 reductions to secure attainment
 redesign* ttons) would ordinarily
 preclude their mae as ERCs, doe to
 ilniilila i iniiiilinj Nevertheless, states
 have coBstderabie latitude in meeting
 these f emHrmnent*. aad mxy guarantee
 banked ERCs egamst fufl or partial
 reduction in quantity, so long as that
 guarantee does not undermine
 attainment redesign*ttans or Interfere
 with progre** end attainment soouid
 ambient standards change or additional
 emisaion reductions be required. The
 Technical Issue* Document section
 LC9, outline* way* soch •guarantees
 tuy be aosd* effective cenaisteut with
 these requirements.
    In many state*. ***"^*"j aouM be an
 extension of oagoing-preconetsuotiea  •
 permit ectMUea. The statewita - •
  designee could accept and evaluate
  requests to certify aa ERC mslntsin a
  publidy-evariabie ERC registry or
  similar instrument describing  the
                                     quantity and typae of baaaad	
                                     and track transfers aad wtthek«w«b) a*
                                     ERCs,                            . .  .
                                       Because banked radactfow do oot
                                     increase emissions at soy aoarea. they
                                     need not be made federally enforceable
                                     until used. For administrative or other
                                     reasons states may. however, ehosss to
                                     make them federally enforceable upoa
                                     deposit How toe state makea a
                                     reduction federally enforceable for
                                     banking will depend on the type of
                                     source at which the reduction ocean. In
                                     some states, reductions associated with
                                     other modifications at a source can be
                                     included in federally-enforceable
                                     preconstniction permits issued under
                                     rules approved pursuant to 40 CFR SUflL
                                     SIM at SU07. States with H»A-
                                     approved generic rules can use their
                                     rules' procedures to make radmctionsr
                                     occurring at existing sources federally
                                     enforceable. See Section m below. Since
                                     these transactions involve onir
                                     reduction, air quality modeling ia
                                     generally not required to assure that
                                     new emission limits do not interfere
                                     with attainment and *••'«>•»• "*•• of
                                     ambient  standards, proteetiea of
                                     applicable PSD increments, or
                                     impairment of visibility m mandatory
                                     federal class I areas. Such redactions
                                     will autosBeticaily meet the generic •
                                     rule's test of whether a partiodar limit to
                                     withia EPA's p-tea^'uned array of
                                     acceptable emisstosi limits.**
                                        States without EPA-approved generic
                                     rules can adopt rake haased to heirlriaej
                                     transactions, or oan «ae  the staadant
                                     SIP revisioA proceea to meev reaectieasa
                                     federally enforceable at extotiag
                                     sources. Ceaerai state pmiaetnB linn
                                     permit or review programs that fawe
                                     received EPA approval may also be
                                     uaed for this purpose. tiBce pexmtts
                                      issued through tuch programs are
                                      federally enforceable. Sea 40 CFR 81.1*
                                      51.24;  51J07.**
                                      OtC U UMT
                                      •xint
                                      p«rOo>Uf ty»« of
                                                   ad tar w la t
                                     m.
Ku*ee
                                       UM of tmisatae reduction credit*
                                     and* «t«« regulation approved b
                                     EPA u feoaric far identified dasse
                                     trades will not require individual SIP
                                     revisions for those tades. The Technirs
                                     Issues Document exnlaioi acceptable
                                     genahc procedures which states may
                                     adopt to reduce the need for laoividwaJ
                                     SIP revisions.
                                       Emissions trades can be approved
                                     without case-by•• »  • in^Hn|*«» dm*»»f«i «r c»mittB«mii n -irxac
                                       put »•«!»> «f Jo4«
                                       wntUB tffUcttoo •« mbatawd «e i
                                                      f «tr
uvdltt. (or •pprmrij M ilf
           •M of a farmil feat m
              ortor t» to «•• 
-------
43838
FadtraJ Register / Vol.  51.  No. 233  / Thurtday. Dtctmbtr 4. 1986 / Notices
applicable ntt basaiina emissions) must
bt sen or lets. Subject to this
requirement states may adopt generic
rules which exempt from, individual SIP
revisions: (1) Df aiinimii trades where
total increases in emissions from art
increasing sources (which must be
balanced by equal or greater emissions
decreases from other sources) are less
than 25 tons per year (TPY) of
participates. 40 TPY of SOi. 100 TPY of
CO. or 0.6 TPY of lead, after applicable
control requirements: (2) large classes of
trades involving VOC or NO.
emissions:*' (3) trades between certain
types of SOt sources, between certain
types of CO sources, between certain
types of stationary lead sources, or
between certain types of paniculate
sources, for which it can reasonably be
assumed that "pound for pound" trades
will produce ambient effects equivalent
to those which approved air quality
models would predict: and (4) other SOt.
CO. Pb or particulate trades which do
not increase baseline emissions and for
which carefully defined modeling
predicts no significant increase in
ambient concentrations.
   States and sources should, however,
be aware that because of replicabiliry
problems inherent in modeling, generic
rules which rely on preapproved
procedures for modeled demonstrations
of ambient equivalence may be difficult
to draft or implement and many trades
may not  be approvable under such rales.
For these reasons generic rules covering
only the  first three classes of trades
above will often prove easiest to secure.
EPA encourages states to work closely
with EPA Regional Offices to formulate
and adopt  approvable rules or develop
alternative approaches that equally
assure attainment and maintenance of
ambient standards and protection of
PSD increments and visibility. See
Section II of the Technical Issues
Document, which details criteria under
which such generic rules may be
approved.
   To the extent general state procedures
for rulemaking or permit changes do not
assure reasonable puWaa notice of
proposed and final limn*or effective
opportunity for comraeal on proposed
trades, states must incorporate such
provisions in their generic rule*.
   In primary nonattainment areas
 which need but lack approved
demonstrations, new generic rules must
require, and existing generic rules must
as requested by EPA. be revised to
                      require bubbles to use lowtst-otactnal-'
                      SIP-allowabla-or-RACT-allowsjbit
                      emissions baselines, and product a net
                      air quality benefit (as described below).
                      New or revised generic roles la thaw
                      nonattainment areas must be
                      accompanied by certain assurances of
                      consistency with air quality planning
                      goals aa weH aa a commitment to make
                      certain additional assurances when the
                      state approves individual bubbles under
                      the rule. Bubbles approved under
                      existing generic bubble rales before the
                      effective data of this policy will not bt
                      affected by these requirements. Because
                      EPA-approved state regulations have
                      independent legal force, future bubbles
                      submitted under existing generic rules
                      may also be approved by states in
                      accord with those rules, until such rules
                      are modified to meet the criteria
                      below."
                        Existing generic rules in these areas
                      must be modified to assure that bubbles
                      produce an overall emission reduction at
                      least equal (in percentage terms) to the
                      overall emission reduction from
                      controllable sources (in percentage
                      terms) needed to attain in the area.
                      Criteria for modifying generic rules an-
                      set forth in Section ILD. of the Technical
                      Issues Document including s
                      requirement for a reduction equal to the
                      greater of either the percmtagv
                      reduction required for attainment or »
                      20% reduction in emissions nsoateia^   •
                      after application of appropriate
                      baselines. New and pending
                      applications for generic bubble rule*
                      which meet these criteria will b»
                      processed for approval
                         EPA will publish Federal Register
                      notices identifying any generic rules
                      applicable to these areas which require
                      formal modification in order to meet the
                      progress requirements above or other
                      requirements of EPA's current Emissions
                      Trading Policy. These notices will
                      identify specific defiaences and means
                      for correcting them, and will specify •>
                      schedule for submittal and review or
                      modified rules. Failure to resolve-
                      deficiencies identified in these notices
                       within the prescribed time period may
                       result in EPA rescinding it> previous .
                       approval or issuing a notice of SIP
                       deficiency."
IV. B«bMat Whkk Raqukv CM^ ? v.
   " When visibility impainnani dua lo «l«»at»d
 NO. emiiiiona n • concern, gvntnc tndea
 involving NO, must ordinarily b« aubiect lo ambient
 requirement* similar 10 thoae applicable to generic
 '.raaet involving TSP SO,. CO « Pb
                         " la the interim. EPA expects atatee lo eneara. M
                       far u (aajible, Out future taubbJee approved nder
                       exiulnf genera ruiea an eonaiatem witfc tU» policy
                       it wtU aa tlx tarou of their EPA-apprwrad raiea
                       S(*tn ahouid b* awan thai without At* or •alter
                       precaution*, continued approval of bubMea inder
                       nutting generic ruin contauuof ««<«•« n»|
                       deficienaee may crtata or accentuate plea
                       defioenciea that may bare to be unnuati et a later
                       data or compenaated for by other ana*. See
                       section I1.E.4. of th* Technical laaoa* Docoaaat
                         " Such notlca* may aln bt taauad for enattnf
                       generic miea in attainment areea and aonanajomeal
  States and sources must use ±« •„-:*.->-
by-case SIP revision process to
implement bubbles which are nor
covered by a generic rule. Because -.he
case-by-case SIP revision process can
take account of many more individual
variations, numerous trades which couid
not bt accomplished through generc
rules or similar means may still be
approvabla aa case-by-case SIP
revisions.
  EPA will take action on generic rules
and individual trades submitted as SIP
revisions as quickly as circumstances
permit after a state has adopted a SIP
revision and submitted the action to
EPA. EPA encourages "parallel
processing" of such SIP revisions, with
EPA and the state conducting
concurrent review so that both agencies
can propose and take final action at
roughly the same time. EPA will also
publish noncontroversial SIP revisions
a« immediate final actions, converting
than to proposals only if requests to
submit adverse comments are received
within 30 days (see 40 FR 44477.
September 4.1981). m all bubble actions
EPA will dearly identify (or require
states to identify, as appropriate) both
pre- and post-trade actual and allowable
emissions Cor each source involved in
th* trade, so that th* ambient effects of
each bubble .cay be known.

V. Coodusfaa
  This Policy Statement sets out basic
principles for approving individual
trades and generic trading rules. It
tightens many requirement* in order to
better ensure SIP inUgnty and
environmental progress, while offering
ample opportunities for use of
approvable. enviroomentally-eound
trades. EPA encourages states and
sources to use these principle* as a
framework and refer to the
accompanying Technical Iwues
Document for further discussion and
examples. EPA also encourage* states to
develop other approaches which satisfy
the** principles while meeting their
specific needs.
                                                                            Kid*
                                                                                   acndcoa. J thtM
 anaa withappf
 §«natle roiaa an found to requm procedural
 rrrtaion In order to auke. them comment vnin ;*«
 eurrut BmuatoM Tndlnt Policy. S*« T«ouuc*l
 Una* DoauMM. t«ctioa ILB.4.
  EPA racofnttaa tba addtfloaal ttmJBf burden
 which may ba Unpoaad on trabbla apphcanii m
 anu wban o*w gvoane ruin caaoot b« or have
 not OMB da««iop«d lo EMM tba iptofic air quaury
 benefit rvqnlmnatna daaulixU abvn. and will
 atlaopt M far M fvMibl*. to eowMonlt thai burden
 In unptaMntimf thJa policy. See. t.«- n.( and 
-------
                  Fed«raJ  Rsfgbter / Vok 81. No. 233  /  Thufidiy. Doegatxr 4. 19M  /
                                                                      43837
  As. a potter tMOMOt this swtfe* doe*
not establish conehwN*^ bow EPA wril
resolve iaeuea to indrridwl oases  EPA
will ee»p< public CMBMnt oo specific
SIP ch«n«« submitted-indtr It rad wiU
review individually etch ftntrte rait
•nd IhoM •minion* trades lubraitted ••
SIP revision! to determine their
acceptability under the Clean Air Act
Interested parties will beve fell
opportunity to scrutinize application of
these principles in specific cases,  and to
seek subsequent judicial review of such
cases after EPA has taken final action
on particular trades or generic rule*.
   (tat** November te. MM.
UefctTbeaaas,
Admiiuttretor.
 TaMe of Contents
 L Bemeat* of EmUeioae Tradifif
   A. Creattnt fmi*tmfi Redaction CrtdlU
     1. All Redaction* Must Be Surplus
      a, DM of Actual or Allowable
     Eminiom u the BateUac Attainment
     Ams «ad Noaattatanmt ATBM with
     (iacfadfe* R«ral Ocme NonMtatawieM
     Ai«u)
      b. Special Prapeae RieaUiauiauta far
     Bubble* in Priaoary NonenaoMnaflt ATM*
     W1iicaNe«dB«t Lack Approved
     DoMnstrattotw of Attainment
        (1) Objective Tt*U For All
     Application*
        (2) Whan TbMt Special Progm*
     Requirement* Will Apply
        (3) State AMsrtnen
        (4) TreatMit of Paxttas B«bbie
     Application*
       c. No Dowble-Co«nti»« o/Radacttone
        (1) Credlttat Pr«-exJ*tin« Emieatoa
     Reduction*
        (2) Creditint Reduction* From
     Shutdown*
        (3) UM of Beaked CndiU from
     Shutdown* or Other Action* for Bubble
     Purpo***
       d. Multiple Uie of ERCa
       «. Reduction* froa Umnvealoried
     Source*
       2. Alternative Pmteeioa Limit* Mn*1 B*
     Enforceable
       3. All Reductioo* 14m B* P*nn«o«rt
     4. All Reducnoo* Mwt Bt QuMtafUbi*
       «. Calculinnf tb« Reduction
       b. Oeicnbini th* Reduction
    B. Using Emitiion Reduction CredJU
     1. Sttbiuaave Pnnaptet for Uttng ERG*
       ». Entunon* Tnd«* Mu*t Involve th*
     S«m« Pollutant
       b. All UM« oi ERC< Mu*4 S«H*fy
     Ambient Test*
         (1)D« Miniai*
         (2) Level 1
         (3) Level H
         (4) Level IQ
        c Bubble* Should Not lno«*M
      Applicable Net Bueline Eminloni
      4^^ik^iA«i^k«^i^ •• -1
      ^PW>»»WIWK MOT 1  	
  EDUMMB* of Haxarteu or Twte Mr
  PoUwtaM
    a. lUiaiint Boam Cfariil*CaBsie< Be.
  Uaed to Meat Applicable Tecaaoiofy-
  Baied Raqutramou Car New Soureaa
    L Trades bvolviof Open Oust
  EniMkxu
    •.ImarstateTradet
    L TVades near PSO CU» I Ana*
    L IBMt on Trades of S^Mqvaatly.
  Discovered dean Air Act ProWeau:
  RevtaMattoo CaosidcratioBs
 t Procedural Steps for Utiot ERCa
    a. Effect of Ixiadaf dr^wn
  ApBeedte Bt DctisWM ef" AetaaU*
     b.Ex
     c. Pending Enforcement Actwoa
 C Banktag Cmisatoa Reduction Credits
   1. Bankmg Rules Most Oe^faete aa
   Adaslaistartag Afeecy
   i Otty ERG* May be Banked
   1 Possible Umitatioaa oa Uaa of BRCs
   for New Some Panaittiag
   4. Soaroes Should Appiy to Bao* Surphat
   RadMCtiom Aa Soon As Tfcay Decide to
   Make Them
   5. ProeadnrM for Bankioi Sorphw
   Emiaaioa Reductions Should B* Defined
   a BankiRg Rules May Ertattiafa
   Ownafsaip Rights
   7. Banktac Rules Most EstabaWi n EMC
   Registry or ns Boalvaiaat
   a. PoeaiUa Adtwt»entt to ERCa Baaed
   on Enibreameat Coandermttoa*
   9. Poaaibia AdjoMaeau lo EBC* Baaed
   oa Ambient AuatoeMad Caoaidervoaa*
     a. ERC* Geoantad Prtoe (• the Oeeig*
   or BaaaUaa Year CouU Be Bnminated
   Adtvataant
     c. UM or OtpoaH of ERO CoM Be
   Ttaporahly Su*p«nd«d
     d. Aerota-«bt»aoeH Diecowtttaa
IL Tndea Co»«ed by Su*e CTeawric Buka>
  A. Cetwnl Principle* for Brabaadaf
   C«MrtcRuiM
  & Scope of Ccnertc RulM
   l.VCXorNO^Tradw
   X Pwtteaiate. Sd. CO or Pb Tredee
   3. Limit* oa Ttadea Bxetipt from SIP
   RevUioo* Under Ceotric Ruie*
   4, Other C«o«nc Mednnitmi for
    Exempting PartlcuJ*te. SO*. CO or Pb
   Tr*d«t Proa C*e»-br-C**e SIP Revtsio**
    C Enf aranf Entt»eioo Umlt* Under
    Genenc Rule*
  0. Oeoertc Babble Rule* in Primary
    Nonaftainmcnt Am* Which Lack
    Approved Demon*tratjon* of AttaimBCDt
  E. EPA Oveni^ht of Generic Rule*
    1. EPA Comment on Trade* Propoead
    Under Generic Rule*
    2. Review* of Individual Bubbia*
    Approved Under Gcnenc Rakr
    3. EPA Audiu of th* IffipleacaMttaa of
    Generic Rule*
    4. Deficient Generic Trade*
    9. Deficient Generic Rule*
  P. Public Comment
  C. EPA Notification
  H. Rulenakini on Generic Ruiee
 in. Trade* Not Covered by St»U Geaene
    Rake*
  Appendix A: Reftonel EPA Emiteione
    Tr«ding Coorduiiton
   For *«rpMe* «f CoMaawea Tradirtf
  Appe»*» C Apenrsbst Modetine,
  Appendix D: Approvabla Averting Tii
    far VOC Trades
  Appendix Et Radii of SlfnHteani Intpact 'or
    Approvtnf "Complex Terrain" PM. SO,
    and CO Tradaa Under Level I Model mg
    Approacfaes
  Appaodhi P: CFR Part SI Convcnion Table

EMISSIONS TRADING: TECHNICAL
ISSUES DOCUMENT

  This Document offers more detail on
technical issues for firms and pollution
control agencies seeking to implement
indfvtdvti emissions trades or generic
trading rdes that meet the principles m
EPA's final Emissions Trading Policy
Statement It describes both the legal
requirement! for emissions trades under
the dean Air Act and a range of legal
options which states ' and sources may
consider. Stetes and firmi may pursue
•odter approacha* cooiuterx with tho*e
discussed tree.  •
   Section I of this Dociuaent explains
general principle* governing til
saiasioas trading. Section U explains
ptmaipiea gevesniog state generic rules.
Section ID diacuaaes apeoal
considantioaa for emission* trades
wfties) anast be impJeaanted ai caie-
caae SIP revisions.
   Becaoae dMse lectioni reflect ftn
Qeaa Air Art principles, itate*.
individual aottrcea or public commenters
remain free to show thai a general
 principle doea not apply to particular
 circumstances of can be satisfied us:rg
 another approach. States, sources and
 commenten have thif option under
 current law. and nothing in the Policy
 Statement or this Document restricts
 their opportunity to make such
 showings.
   Nothing in today's nonce alters EPA
 new source review requirements or
 exempts  owners or operator] of
 itationary sources from compliance w.-Ji
 applicable preconstruction permit  ^
 regulations in accordance with 40 Cr p.
 51.18. 51.24, 51J07. 5i21. 52-24. S2.2r.
 and *a 7* interested parties should.
 however, be aware that bubble trace:
  are not subject to preconstruction
  review or regulations where these trades
  do not involve construction.
  reconsiraction or modification of a
  source within the meaning of those
  terms In the regulation* listed abo\ e
    1 "Sum* tnchidn my entity probity deiewied
  •nthortty lo «Anm»mr rrtrvim pint cf a Sift
  lnpUa«nuiion P1«n (SIP) una«r tht C.etn Au

-------
43838
Federal Register / VoL 51.  No. 233 / Thunday, December 4. 198» / Notice*
L Bemeato Of Emawocu Trading.

  The basic dement* of any emissions
trade are the citation of in emission
reduction credit (ERG), its use in • trade
•nd its possible storage tn • bank prior
louse.
A. Creating Emission Reduction Cnditt
  States may grant credit only for those
emission reductions that are surplus.
enforceable, permanent and
quantifiable. Otherwise use of ERCs
might degrade air quality, threaten the
viability of the area's SIP. and make
more stringent control requirements
necessary.

1. All Reductions Must Be Surplus
  At minimum, only emission reductions
not required by current regulations in
the SIP. not already relied on for SIP
planning purposes, and not used by the
source to meet any other regulatory
requirement can be considered surplus
and substituted for required reductions
as part of an emissions trade.
  The first step in qualifying a reduction
as "surplus" is to establish  a level of
baseline emissions. This baseline
represents the level of required
emissions beyond which reductions
must occur for a source to be eligible for
credit Three baseline factors—emission
rate, capacity utilization, and hours of
operation—must be used to compute
and compare pre-tnde and post-trade
emission levels.*
  The baseline for each source must b«
established both on an annual basis and
for all other averaging period*
consistent with the relevant NAAQS
and PSD increments^ This approach is,
necessary to protect the ambient
standards and PSD increments on a
short term as well as an annual basis.
The baseline will generally be
determined by the attainment status of
the area.3 by the way the state
developed its SIP. and by whether the.
area is subject.to PSD requirements.
   a. Use of Actual or Allowable
Emissions as the Baseline: Attainment
Areas and Nonattainment Areas With
Approved Demonstrations of
Attainment (including rural ozone
 nonattainment areas/. In attainment
areas, baseline emissions  must
generally be calculated using the lower
                       of actual or allowable value** fat ell
                       three baseline factors. However,
                       allowable values corresponding to one
                       or more of these- factors, when higher
                       than corresponding actual values, may
                       be used in calculating baseline
                       emission*, provided those values in
                       shown to be used or reflected in. an
                       approved demonstration.* The burden of
                       meeting this test rests with the state or
                       applicant When the  State or applicant
                       cannot show by written evidence • that
                       the demonstration assumed an
                       allowable value for a given baseline
                       factor, appropriate modeling would be
                       required in order to use an allowable
                       value for that factor in calculating
                       baseline emissions for the source.* This
                       will require a Levej^D modeling analysis
                       as specified in the modeling screen
                       described below, using actual emissions
                       for the pro-trade case, unless the
                       appropriate EPA Regional Office ("the
                       Region") determines that  additional
                       technical support is necessary to protect
                       the NAAQS, PSD increments or
                       visibility. Additional  technical support
                       may be necessary because crediting the
                       difference between actual and
                       allowable  values for even one of these
                       factors may produce a post-trade
                       increase in actual emissions sufficient to
                       jeopardize applicable standards;
                       increments or visibility.
                          Additional technical support is not
                       necessarily limited to determining the
                       impact of the increases from the trade.
                       The Region may require such additional
   * For furthtr discussion of these factor* ti they
 relMlt (o (h« calculation of bsselme emissions, aee
 Appendix 8.
   ' Unclauified tnti an treated1 aa attainment
 art** for permitting and emissions trading purpoae*.
   Unlika other criteria pollutaets. EPA doe* not
 designate nonattainrnent areaa for lead. However.
 the Regional Administrator will review lead trade*.
 as all other tradei. to assure that they do not
 interfere with attainment and maintenance of the
 NAAQS.
                         * For the deflation of -act»«r and -altewebse"
                        vahM*. and further dlscuaeioQ on caioiattoo of
                        baaelin* imieaiiiiii, aee Appendix B.
                         • Thi* statement doe* not apply to uetUua. where
                        -caatemponiMoa*" actual sailsaintii an alwmy*
                        the baseline. See. a-f, 40 CFR ffLZatbXI).
                         Bubble* ia areaa with deiuumuacooa baaed .
                        solely oo qualitative judgement* («.», the "axaapU
                        region" approach or no technical support) ordinarily
                        nay no< rely, without appropriate tnodaUna, OB
                        allowable value*- Ui caiculaong bawllae emiaasBn*.
                        However, bubble* in ami with denonetrarJaev,
                        baaed on rollback* or dtipemon modeling may uae
                        allowable value* that are reflected in the
                        demoaatradoa.
                         • For example, the demonatnrjoa calculation*
                        themaetve*. accompanying matenala. or affidavit*
                        from thoae who commuted che demonstration.
                         11n certain circumstance* an allowable- baaeiln*
                        value specified In a preeonstrucfioa peaasi will be
                        deemed equivalent to one uaed ot reflected In an
                        approved demoaatratioa. For example, a eoorc* m
                        an altainmtal area where a PSD K—Hr-t ha* beea
                        triggered may u*e allowable value* coaauHnt with
                        it* pnconirruction permiL if thai imirra'a mimimi
                        are aot refracted in the PSD anbieot baseline
                        concentration. (However, if modeling uatag
                        allowibltemiutoni predict* a PSO increment
                        violation, thin additional analyse* mutt be doo* re
                        atiure that the PSD increment i* protected.) A
                        source ia a nonattoinmtnt are* may uae allowable
                        value* contialem with lU preconstrucTJoii permit te
                        calculate it* baaeliae. provided that permit poet-
                        date* the nonanainmem destgnanon. SIP ca4L
                        design yaar. of baaline mveatory year, whichever ia
                        •pplicabie.
technical support, up to aad inciuaiss
full Level ffl raodelinf, M is sects*in ;o
assure that applicable- NAAQS. PSD
increments and visibility requinments
will be protected It may require the
determination rf background
concentration to which the imoacti of
possible emissions increases- that w-:uld
otherwise fall below Level H
significance values must be added.
Background concentrations should be
determined in a manner consistent with
EPA's Guidelines on Air Quality
Models.
  la attainment areas where the PSD
baseline has been triggered, the trading
baseline for a source must generally be
computed using actual values for sll
three baseline factors (La- only
reductions below • source's actual
emissions can be considered surplus).
Because 40 CFR 51.24 and 5121 specify
that increses in actual emissions
occurring after the PSO baseline date
consume PSD increment, any trades
based on allowable emissions which
would potentially increase actual
emissions must perform at least  a Level
Q modeling analysis using actual
emissions for the ore-trade case, and?
provide additional technical support if
deemed necessary by the Region, to
demonstrate that they protect the
relevant increment ceiling.  NAAQS, and
visibility.
  In nonattainment areas with approved
demonstrations, baseline emissions for a
source may be calculated using either
allowable values or  actual  values for the
three baseline factors, depending on the
assumptions used in developing the
area's demonstration.*
  Some states relied on allowable
values for certain sources in developing
their SOi and TSP attainment plant. In
these nonattainment areas, sources may
use allowable values In calculating
baseline emissions,  to the extent the
state used or assumed those allowable
values as the basis for its
demonstration. The  burden of showing
that an allowable value wai used or
reflected in an approved demonstration
rests with the- state or applicant which
seeks to use an allowable value.9
   Other nonattainment areas either
used inventories based on actual
emissions, or relied on measured (and
therefore "actual"] ambient air  quality
values, as the primary basis for
determining SLP-emission limits needed
   ' This sralemeot doe* not apply to netting, where
 "coatenporaneoua" actual emissions in always Ui*
 baseline. See. *-g_ 40 CFR 51.1*11(1 l(vi| See sue-
 Appendix B fer detailed discussion oi 'actual and
 "allowable." eailaunn*
   •Seen. 6 and. 7 above.

-------
                 Federal Register /  Vok
                                                                                                            43839
to demonstrate attainment m wmt
areas, SIP demonstrations wen based
Batty OB qualitative judgments (e.g,
"example region" epproechee). Baseline
emissiens for Mann in til thtM other
areas must generally bt calculated using
the lowtr of actual or allowable values
for Mch baseline factor. Howtver.
•UtM may approve, on a casavby-case
basis. UM of allowable values in
calculating baseline emissions, where
they explicitly demonstrate that such
use comports with reasonable further
progress and will neither create a new
ambient violation nor delay the planned
removal of an existing violation. Such
demonstrations require full Level in
modeling sad must be submitted to EPA
as case-by-case SIP revisions.
   EPA deems designated Rural Otent
Nonattainatmt Ana* to possess
acceptable demonstrations-of
 attainment provided they have an
 approved new source review rule and
 require RACT controls for all major .
 VOC sources for which EPA has issued
 Control Technique Guidance (CTG)
 documents. (See. e.g, 43 FR 21873 (May
 IB. 1978)). Because these anas'
 nonattainment is generally caused by
 •missions from sources in a nearby
 urban area, control of emissions from
 that area is expected to bring the run!
 area into attainment Put differently.
 EPA does not require rural areas to cure
 problems due to transport from
 pollution-generating trees which rural
 areas cannot control However. EPA
 believes that further clarifications are
 required for bubbles in these areas.
   Sources Involved in such bubbles
 must use RACT •minion limits in
 calculating baseline emissions, if subject
 to Group I or n CTGt under the EPA
 approved SIP for these areas. Sources
 subject to  other SIP emission limits must
 use those limits in calculating baseline
 •millions. Other baseline factors must
 also be consilient with the applicable  .
 SIP requirements, and will generally be
  actual historical values. Where a source
  is not regulated by the EPArepproved
  SIP its baseline will be actaal emissions
  in the year EPA approved the Part D
  plan for the affected rural area. In those-
  approvals. EPA presumed that controls
  for sources in the upwind urban areas.
  ss well as RACT on GTC sources In the
  rural area, would bring about attainment
  in the rural area, and that non-CTG
  lources in the area, unless regulated by
  the SIP, could continue to emit at actual.
  non-RACT levels without interfering
  with attainment in those areas. See also
  43 FR 21673 (May 19,1978).
    b. Special Progrest Requirements for
  Bubbles In Primary Nonattain/neni
  Anas Which Nted Bat Lack Approved
Dunoattntioat o/Xttoament ETA will
approve bobbles which ere- consistent
with the attainment needs el these
areas, which produce a net air quality
benefit and which therefore secure
interim progress toward* attainment1'
  (1) O6/tctrv* rests For All
Application*. Bubble applications in
primary nonattainment areas which
lequiie but lack approved
demonstrations of attainment will be
deemed to produce e net air quality
benefit and will be processed for
approval if they:
  (a) Use lowest-of-actaal-SIP-allowable
or RACT-ellowable emissions baselines.
!Bj^i baselines are calculated "•***•
either:
  (I) The actual emission rate, die SIP or
other federally enforceable- emission
limit or the applicable RACT emisdon
limit u  whichever is lower, to compute
the baseline for each source involved in
the trade. This baseline factor shall be
deter xned as of the date of the  source's
application to bank or trade, whichever
is earlier.
   (U) The lower of actual or allowable
capacity utilization and hours of
operation to compute the baseline Tor
each source involved In the trade.
Actual values shall generally be baaed
on the two years of operation preceding.
the application, to bank OSL trade* unless
another two year period is shown to be
more representative of actual
operations. Sources which shut down
prior to the application to bank or trade
have zero emissions, and therefore no
credit is available.
   For sources which banked or sought
 to bank  credit in these nonattainment
 areas  prior to publication of today's
 notice, the "date of application to bank"
 is the  date of written application to the
 states to bank credit through a formal
 hanV Qf informal
 use in future trades. For sources which
 seek to bank credit la these areas
 following publication of today's notice,
 the date of application to bank will be.  .
 the date of written application to the.
 state to mak* a reduction ttots-
 tnforc»ablf through or concurrent with
 use of a formal bank or informal
 banking mechanism.
   (b) Using baseline emissions defined
 above, meet applicable de     '
   '• WWU not all of lodcy'i new rmuwMat* far
  b«bblM « dim* tint *n Mnoty ~b*Mtfai~
  m*«*n. til buic raquwmau (or AMI tabbl««
  ui m\ oat h«n for »unpliary. Nnt rvquiruMBt*
  tlio ippty (o sttnrlc bubbk ralM 0 (twM urn*.
  SM 3«eao» U-D b^ow.
   i > Wh«r* u caiMten lisit far i torn fevotvvd
  la Ik* tr»d« lu* not prmtowly b*«> »pptor«d by
  EPA «• RACT. * b«Mlin* rtflicttnj t Mfotlitcd
  RACT «mit*ion rat* mutt b« t|ii«d upoe by *•
  •oure*. «'•'« uui EPA (or tht tourt* m qnnoon.
Level L Level Q or Level ID modeling
taste for ambient equivalence., as
appropriate.
  (c) Produce a substantial net reduc.
in actual emissions (Ls_ a reduction of
at least 20X in  the emissions remaining
after application of the baselines
specified above).
  (d) Are accompanied by the
assurances of consistency with ambient
progress end air quality planning goals
specified in section LA.l.b^3) below.
  (2) IVAere The** Special Progress
Rtquinment* Will Apply. The following
primary nonattainment areas need but
lack spproved demonstrations, and
bubbles within them are therefore
subject to the spedel progress
requirements in section LA.i.b.(l]
above:
  (a) Areas that are designated primary
non-attainment areas under section 107
for the pollutant involved in the trade
end which failed to submit a 1979 Pan 0
attainment demonstration or which
submitted one  that has not yet received
full EPA approval This includes primary
total suspended particulste (TSPJ
nonattainment areas which submitted a
SIP that did not include an actual
demonstration of attainment but still
received EPA approval (L*~ a "RACT
plus studies'* SIP).
  (b) Extension nonattainment area*
which failed to submit a 1962 SIP
demonstration, or which submitted o
that has not yet received EPA approval.
Also included  an those ozone
nonattainment areas that are unable to
demonstrate attainment by 1987. unless
a demonstration of attainment for the
area is subsequently approved by EPA.
   (c}Areaa that have received either. (1)
 A section 110(s)(2)(H) notice of
deficiency based on failure to attain or
 maintain the National Ambient Air
 Quality Standards (NAAQS). in the form
 of a SIP call or a new section 107 or
 171(2) nonattainment designation: or (2)
 a notice of failure to implement an
 approved SIP.
    (d) Areas which received notice from
 EPA that they have failed to me«t
 conditions in their EPA-approved SIPs.
 including commitments to adopt
 particular regulations by specified dates.
 The one exception would occur where
 the only portion of the SIP (including the
 attainment demonstration) lacking  full
 approval is the inspection/maintenance
 provision for  mobile sources, hi these
 circumstance*, stationary-source
 bubbles will be treated as if the area
 had a fnHy approved SIP.
    (•) Any ares that does not have an
  EPA-approved or EPA-premulgated
  for lead.

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43848
Fed+ral  Reggter I  VoL.Sfc. Na. 333 / Thandar. December VIflb*V N«*M»
  (11 Stats AMUCCIUX*. EPA will ant
approve a bubble in primacy
nonittiinmenl areas needing but lacking
approved demonatraaonj unless the
state provides assurances that the
proposed trade will be consistent with
its efforts to attain the ambient
standard The state must make tha
following representations to the EPA
Regional Office in or with the letter
formally submitting the bubble as a
revision to the SIP:
  (a) The resulting emission limits are
consistent with EPA requirements for
ambient air quality progress, as
specified in Section LAJ.IM1) above.
  (b) The bubble emission limits will be
included in any osnv SIP and associated
control strategy deoMnstnatioa.
  (c) The bubble will not conatrain the
state or local  agency's ability to obtain
any additional emission reductions
needed to expedUiousiy attain and
maintain aanbieai air quality standards.
  (d) The stale or local agency is making
reasonable efforts to develop a cooplete
approvable SIP and intends to adhere to
   t schedule for such development
 emissions inventory and subseqoent
 increnenta of nrognsaa)-stated in or with
 the h'*** formally-wh^iitin $ the bubble
 or previoua such letteca.
   (e) The baseline uaedto ariratlBfn the
 bubble emiasion limits i» consistent with
 the baseline requirements in section
 I.A-Lb.(l) above.
   These state assurances murt be made
 in writing by the appropriate state or  ,
 local authority (e.q.. State Air Director.
 Air Poifattan Control Board, or
 Legislative Committee). EPA will not
 second-guess-such state representations.
 provided: (If They are a substantial test
 applied by the state to each bubble, and
 (2) the state ha* explained how the-
 proposed babbie is coastoent with tb»
 area's projected attainment srrategyr
 Nor wiH EPA examine, or expect slate*
 to examine in making such
 representation*, any specific source's
 subjective motivation in making claimed
 reductions.
   (4) TT-T'TT' rf PrmUgg, fliV-frfr
 Applications. "PendisvtebWee^ BMAQ»
 those which are oirrtBtlprpecdiog at
 EPA Region* or Headqawter*. a* wed
 as any bubble applies boa* wtach vttn-
 formally submitted to EPA B«gioa»
 under the 1082 policy but returned
 without acuaa. because final bubUe-
 criteria had not y*i been t**ued In
 primary Donaitaloment area* needing
 but lacking demonstrations, the**
 bubbles iWold contnbuta to pcogresa  .
 towards attainment "Progress. tow«rbr
 attainment"  mean* s«me oUza reduction
 beyood equivalence, with th*
 actual-SIP-allowaWe-of-RACT"
                                                 •PI*
                      of that
                      credit. IB other areas
                      show that i
                                                                           -

                                                               ard*
                                       increacaUk aad visbility re
                                       wOI not be jeopardized Peoding bubble*
                                       which meet these tests and all other
                                       applicable requirement* of tha 1882
                                       policy will be procaaaed tor approval.
                                         Pending bubbles nay undergo limited
                                       modification by the states or sources
                                       which submitted mem io order to meet
                                       the new requirements outlined above
                                       (e.g~ it may be necessary to recalculate
                                       jtyf applicable* hssfline fmiittrms of
                      certain bubbles in «"«"
                      needing but lacking demonatratiotta and
                      to reconfigure those bubbles in response
                      to the reduced credit which may be
                      allowed under the new more stringent
                      requirements). However. p*»«tt«f •
                      bubbles- which prior to final EPA
                      approval are changed to the extent that
                      they no longer reasonably rsetrnfite ma-
                      origin i proposal qualifying for pending
                      bubbio ftataa (e-g, those which an
                      substantially expended: at scope or '
                      chanted ta> invotve primarily diflsmaft
                      source* of enhtatao redncttoo credi^.
                      will be considered new babbie* subject
                      to ell of the.t«qainmeeA of today's •.
                      no^ce.             .       .   . ~   .
                        Bubble- appficattone whka, wecr • •
                      nbtafttedtn EPA\Jl»gtaa bf sta%s». Val
                      inadeqoats mdee tba iflBZ poficy, arc.
                      not "peadiagV.These nabblee. if.

                      meet ail reqsir
                      applicable to new bubble arrncad
  [c4 No Daubi+CouaOng i
/Z&AftTtAMUL At ^^^'iBiiDi &D be*
cotukieied suiplaa as *******
redaction cannot already nave been
ctaimew as pan o*  a Qemomtrauo& or
upoecBQ €Bsxss«oA inventory oy asyatste
air quality plan or have bennaed by
         t to meet any other regulatniy
reqoireosent Doubte-ctmnttng of
reductions' gr anting credit for tna> same
eniMfea redaction. e.sj~ once te the
state ae> part of hs noneftaaanent SB*
demonstration or PSD baseline, and r
second tine to a *ource for as* in- air
emission* trade. me«t be addressed mt
the Cbliowifig situatiest*.
  (1). Crediting Pn-Bxfttmg Sauuiofj •
Reductions. In nonottcrfmaent ones--
credit generally caruwi be greBtsdibr
emission redactions made befora.
aoBtoriBf data is o* waa oakUceadfaf
use in current SlPpjannrng. Becroee
monitored ambient revel* oJnoJp reflect
these emission "ifrnnt*  such
decr«*»«*m*y have beam  smases>ini
caiqilatiaf ttw farther ndtsctia«0  '  '
C00OBC1 «• elCiettn eMDOfClK flTBDQ8SQV«r ,
StatM mot rfearfy afaow tnat tha '.
existeacaof tnesa rwh«nj«a*ha*be«au  •
                                                                       aceae«ebia> bawtHav date-
                                      recent amsaisnis uweMorjr eaed Iw
                                      pbmntof Psvt OSff revisions under tn«
                                      Qeaii Air Act AfMndBeata of 1977. > •
                                      When smlssissie Inventories or other
                                      data, are apdatad for trackugRFP aad
                                      comettoa of Part O StPa. the new
                                      inveatarwa satut treat beaked emissions
                                      reductfoas.aa eorrent acroal emission*
                                      "la the air" at the source where created
                                      so that corrected SIPs do not
                                      madverteady rery oa theee vrior
                                      reducttona aodcanae tea to be lost for
                                      use. If iavestorie» do not treat these-
                                      banked-esMeaeeae e»Ta the air." or if
                                      they an otfaenvtesrreUad upon for SIP
                                      piamuasj pvycees. sack redactions can
                                      no tosujsi be-oradaae} far trading."
                                        fopilMiiy noMttatimniit areas
                                                                •
                                                            U 9fU
                                                             tiit. emission
                                                             to application
                                                                 earite)
                                                                             reduuMuns) achJt^eduiiu
                                      wutiiol DO credRadforQavin bnbbfci.
                                      See sactiMU'tAtA/I) above. Regardless
                                     ' eiirbethartnayiBeef otber bu«Une
                                      teetst ssjCMWBdfiDKV were not
                                      reeeooaWy eocfco by the opportunity to
                                      tndrfti r practical, objectfvt sense
                                      datermiaed by ttramf; aad canaot be

                                      raqdrensMtr a^aent rdemonstration.' <
                                        Tn nttHiiai*»mArirfrf£ f*ttif^ifn^ U
                                                            comjbBnced*canstraction after January
                                                            1.1977ttsr> ttf afittia qualify for credit
                                                            wfietber sucB reductlona occurred
                                                            before orator lk« PSD Daaallu
                                                            triggering, data. See 4DCFR
                                                            SljybjfUHW I*S FK 72719-20; August
                                                            7,1980]. O&mt emissIOQ reductioas (e^,
                                                            af minor source^) cannot qualify for
                                                            credR whare ttw P3D hasfllne date is ot
                                                            htt* been triggtndand such reductions
                                                            occurred prior to the trigger date, unless
                                                            these reductions are act assumed in the
                                                            PSD baseline*. Since baakad emission
                                                                  niy tbaetHt down orptnuarefi?

-------
                  Federal Register /  Vol. si.  No. 233  / Thursday. Dectmber 4. 1966 /  Notices
reduction credits must be considered to
«• -to the air" for sll pluming purposes,
if the baseline date is triggered before
banked credits are actually used, such
banked credits will be considered as
part of the baseline and will not
consume increment when used in an
emissions trade.
  In attainment anas when the PSD
baseline has not been triggered as of the
date EPA or the permitting authority
takes relevant final action on the trading
transaction, reductions below current
SIP or permit Units generally may be
used without special restrictions in
bubble or banking transactions,
provided they are otherwise creditable
and there is assurance that NAAOS will
not be violated due to any potential
increase in actual emission*."
  (2) Crediting Reduction From
Shutdowns. Shutdowns are generally
treated for purposes of emissions
trading like any other type of emissions
reduction.1* For example, the same
limitations on pre-existing reductions
(section LA-l.c-(l), above) apply to
shutdowns where they apply to  any
other type of emissions reduction.
However, under current federal New
Source Review requirements for major
sources, shutdowns that occur prior to
application for a new source permit can
be used as offsets only for equipment
replacing on-sits productive  capacity
which wes shut down.11
   Shutdowns are of general  concern
 with respect to double-counting where a
 •tate may have relied directly or
 indirectly on shutdowns in a SIP
 demonstration of attainment (Where a
 primary nonatUuunent area needs but
 lacks an approved demonstration of
 attainment the progress requirements of
 (ubMction LA-l.b. above apply to
 bubbles involving shutdown! as- weH at
 to bubble* involving other types of
 emission reduction!. The» requirements
 generally bar use of reductions  from
 •hutdowni which occurred before
  application to bank or trade.)
   In general a state may credit
  reductions from shutdown*  if the SIP
  has not already attorned credit for these
  reduction! in its attainment strategy. So
  long as reductions froa shutdowns have
  not already been counted in developing
  an area's attainment strategy, they are a
  potential source of surplus reductions.
  Some SIPs assumed a set quantity of
reductions from the overall difference in
emissions due to new plant openings
and existing plant shutdowns. Thest
SIPs incorporated into their attainment
strategy a net "turnover" reduction in
emissions because new sources are
generally cleaner than those that shut
down. Double-counting would occur if •
specific source received credit for
redactions from such a shutdown, since
that reduction was already assumed in
the SIFs demonstration of attainment
  These states have at least two options
for granting sources credit for
shutdowns without this kind of double-
counting. First they may reexamina any
"turnover" reductions relied on in their
SIP and decide not to take credit for
these reductions. This approach would
require EPA approval of a revised
demonstration of attainment or a SIP
revision showing consistency with the
existing demonstration. Such an action
can be processed by EPA concurrently
with a bubble or generic rale.
Alternatively, these stales may allow
credit only after the total quantity of
shutdown redactions relied on in the STF
has occurred.
   In all cases where net. turnover
reductions have been quantified and  .
relied on as part ofattafnmenf
demoostrafJoruw states which seek to
grant shutdown credit for use in trading
most be prepared to show dearly and
unequivocally on the basis of SIP
documenta or tracking that the credit
has not been double-counted or
otherwise relied on for SEP planning
purposes.
   (3) Use of Banked Credits From
Shutdowns or Other Actions for Bubble
Purposes." In primacy aonattaiomeat
areas which need but lack approved
 demonstrations. ERCs intended for
 bubble purposes may generally be
 banked and used with the same toweat-
    " Hcw»v»r. reduction* «t tovre** othtr thaa
  moor ttinonary MUTCH on which catutrucuon
  coMMHtod twfora (amury 1.itn mty <*X
  10 balaoca tncnaat* «< »uch pn-\tn outer MUTCM.
    '• For UM of banked ihatdowi cradiu.taf
  b*6bi«* t» primary nonmuinnMnt arva* M*dbi(
  b»l lacfclnf approved d*trwnitrau«na. ••*
  LA-1.431 Moo.
    "Snn. H
 allowable baseline used for other
 bubble transactions.'* This baseline
 should be applied at of the time banked
 credit is or was initially sought with the
 20% reduction applied to both sources in
 the trade if these credits an later used
 for bubbles. The lowest-of-actual-SIP*
 allowable-or-RACT-ellowable baseline
 plus the 20% discount will also apply to
 the tource using that credit in • bubble,
 as of the time of such subsequent bubble
 application.
  Banked credits produced by
shutdowns and curtailment* may h
used for bubbles in these areas on
same terms as use of other banked
credits, provided their use is subject tc
stringent qualitative review to assure
technical, legal, and programmatic
consistency with SIP planning goals
(e.g- avoidance of double-counting snc
"shifting demand"). This review will nc
examine any source's motivation in
abutting down a facility or curtailing
production. However, the source must
show that a written application was
submitted to make the shutdown/
curtailment state-enforceable through  o
concurrent with use of a formal bank or
informal banking mechanism, pnor to
the time the shutdown/curtailment
occurred. Submittal of such an
application to make proposed reduction
from a shutdown or curtailment state-
enforceable will constitute the relevant
definition of "application to bank" for
timing purposes related to the
evaluation of bubble credits in these
nonattainment areas (see section
LA.l.b(l) above}.10 The shutdown/
curtailment must be made federally
enforcement when it is used in a bubble
  Us* for bubble purposes of noabanket.
credits.resulting, froa current shutdown:
or curtailsseata will be allowed in the
areea if-the loweet-of-acfual-SlP-
aUoweble-or-RACT-ellowabie baseij
plus the 20% additional reduction are
applied to determine the amount of
credit
  No special baseline or additional
reduction requirements will apply to
these credits in odier areas.
  d. Multiple Use afERCa. Once surplos
reductions are credited, states must
prohibit their multiple use. The same
pound of reduction must not be
simultaneously banked by two different
entities or used to satisfy two different
regulatory requirements at the same
time. Topre-veni these  results, states
 must adopt aa ERG registry or
 equivalent means of accounting for the
 creation, banking, transfer, or use of
 ERCs. See Section l.C-fl betaw. States
 must also ensure that past reductions
 used in bubble, netting or ofhet
 transactions are not later credited in
 newry-estsblished banks.
   " ERCj uaad for ofiiiny and offfH
  ttncrudtaf thoaa d*nv«d from ba*k«)
  wxtfi r*4*vani NSft and PSD raquvM
   '• For fwilxr dUcuurvn rviarad to UM MM of
   <• Per Murea* whtck baiUad or wufftt :o b«r,«
 endtU lrca« ihoidovna or curtailment* in ih«»«
 noaaiUinrMOi anu pnor w puiitcaiion of :oac 11
 ootXM. wntiaa ( ovoiu m i fururt r?ic«

-------
  e.fi«AH
area's SXf
g -- M«M
tOT eul
-apsslcatioas) suy eafasflsarettte sir
quality pianmag caoetofftssss. Where
such sources ara already » abject to SIP
tmisaion limits. those emission limit*
must be used a* the bam for
determining emission reduction credit.
unless a more stringent baseline would
normally ba required (see sections
LA.la. ami LA.1.D. above)."
   (n attaiaaual artot state* may (real
bubble credit to sources regardless of
wbethar they have barn indudad in an.
inventory, based on use of actual values
for each ol the three baseline {acton, so
long as those souccas an not subject to
lower allowable values for thoea factors.
Allowable values, when higher than
actual values, may alternatively be used
in calculating the baseline, provided
sources show that any resulting
potential increase in actual emissions
does not jeopardize applicable ambient
standards, PSD increments, or visibility. .
(See 40 CFR 51.24 and 5221 for specific
requirements concerning PSD
increment* and visibility.)
   In nonattainment great with approved
 sources* not on tfre wrwntory can ueeQB'
 bubbie"cretilt win tun> eft how the*
 approved demonstration of attainment
 was designed. Some starts fuvt
 monitored ambient vahwe to determine
 required reductions for the SB*: Mien
 required a proportionate reduction in
 emissions from certain i
 categories (i-a, a- "rotitosik") istorder to
 attain. States may grant credit for-
 reductions from aranvemoned se*ucn
 in these area* ia at Iee*t two ways.
   (1) They could require the avenge at
 percentage reductions imposed, on all
 inventoried sources, and grant credit •
 only for reductions in excess of that
 amount. In this case, baseline emissions
 should be based on the percentage
 reduction in actual emissions for the
 year in which the baseline data for the
 rollback was gathered. Where such
 sources are already subject to lower SIP
 emisssion limits, those raits must be
 used to determine credtt.
   (2) They could require the source to
 use a RACT emission rate and the lower
   " Where t giver M,une wn noi jubied To
 RtdiKlP'nry RACT r«fu4inon du« to (he Ftcf thtt It
 was noi included in the mvmrery (« 4. where no
 RACT rrfnfatran for • «xm cmnjor;  wt« tJupu
          >4«t». uo«»*r* •( rtw jumn. rnocd t
      iKje (h«( no wxm tiritwd m thM iuum
       . or wft«w MI unm«nwvn«d. iwn-CTG
 JOHTT* o/ |TMIeT >*«ii IOO TFV vmi
 m >n (uo*» txtcnoon »r»r). a t
 nrro• »wrc«. !*• ««*» «n^ EPA for «•«
        01 I
                                                                                                         esfcujf s-
appr*-   catcuUtvtiwt
        only fbrndwtfem befese HMtbe«etts»
        Thte RACT buettM wwrid hew to
        result ia a iseuctianit Ueit ae great a*
        the percentage redoctloii aaavned hi th*
        rollback Asdiecussed-abowa, whar*
        sources an-atready subject to low«r SV
        emission Unrits. thoee tints srast be
        used as the basis for detemcBiag credit
          Other areas devilopsd SIR
        demonstrations based on dispershm
        modeis rather than ares wiek
        proportionate redurtosM To the exteat
        these Sffs d«moas(rated- ambient
        attainment through eedecti
        fnxn specific Inventoried •
        incorporated emieeioat fn
        unjsnrentoriod semper in
                                       baft*
                                                        dw-sppropnetv
                                       open dtut regulation. TherrfoiT. fbreny
                                       opaa dust trade a naguUated RACT
                                       betwesB the- sourer state and USEPA-
                                       for the open dual tourer in question;
                                       2. Aitenutiv* Bmrsston Ltsnits Must Be
                                       Enforotabli
                                        Each babble, aetting, oflset or banking
                                       transactioB saeat be approved by the
                                       state ead mtst be federally enforceable
                                       st the tiae an ERC tensed. Reviewing
                                       autfaoiitiaraiay be able to use existing
or area source totals, *ad propcis*
•ttsimneat by modeling tkeiflsoSs ei"
those reduction* ndwctioaa front .-
sowtcaaaot on tha- inreoanry cao bs>
credited using, the tower of actual o*
allowable mints lot each oltbo
basaliaai
                                              permits ieaaied by stales: punaant to 40
                                              CFR SL1* aut, SJJB7 or 5021) or EPA-
                                              appr in ail jasssf is-raesa ta i
                                                       i federally eafarceabie. The
                                              former pueiJeaHt; exists because
                                              approved aw sooeve-i etia M prriy urn
                                              ace. fedecsvUy eafaecMfale. ikmer^.
                                              many |
                                              havrh
        progress jaqninwats of SsctlamUL^k
        above, tpalji t».bubbies -rhirhsaeii to
        as* credit
        Thessvisiud
                                                                 Ittaoty
                                                                                           aorbc cenabAaof usstfar
                                       reoutassssssMi or that kiTerre source*
        baseline; Whan aELACTemijsiojLlisail,
        has not already been adoptadfor an*- .
        be agreed upoaWtwtso tha souna, th&..
        stats and EPA before the bsseline CSA
        be determined
          States which grant credit from
        uninventorted sources not subject to .
        permits, offset reqnnvments. or.
        enforceable production, constraints
        should address ma possibiary tfaav
        reductions from one such source maty.be
        followed by equal ot greater locreasea
        from similar nearby sources due to
        shifting demand. These states must
        dearly demonstrate that ERCi from the
        uninwntoried source ara surplus and
        permanent Interested parties should be
        awsre that some uninventoritd s«urcas
        may not resdiry meet these tests. For
        example, reductions resulting from
        shutdown of a dry deaaar wUI generally
        not be creditable,  unless ths statt
        subjects tuch sources to offset
        requirements or other measures
        addressing this problem. However.
        reductions due to  improved control at '
        such a dry cleaner would gecer*Uy be-
        creditabte. since shifting demand ie aot
        implicated.
          BoseJwaa for Open Dual Trade*
        Fugitive dust reguiab'oas gamnUly
        consist of genenc  work practices
                                       permit*.
                                         Wltfcrespartto the bttsxponibility.
                                       astyasdoiueabss 4eaesBeaece initnuneai
                                       iininisiiia eieissMa Iss^s intsrin tiw
                                       scope, of saBPA-acsjroved aeaanc nde
                                       is Jeeaer fedeiaMf enfctfcaafafa aa part
                                       of tha SIP.
                                         Emissra ssBte estabiisaed by *
                                       mast beincorporaescLiD * cosnpiisnca
                                       inamuneat iiaWaia-togally biadmgaad
                                       pneetteabhr asdomrbie by EPA.
                                         Trades tsvoMng indtvidoal SB9
                                       revision automatically twisty this
                                       requiseonat For trades onder «en«rtc
                                       rules s compliance mstru&MOi cuki take
                                       the form of an agrausient between the
                                       source and state, a pracoastrucoaa
                                       permit (if one m applicabiaj. s consent
                                       decree, a state operating permit, or any
                                       otfaor coscutiiaoc* instrument pdinally
                                       enfbtcsmbi* by ma state. To assore state
                                       enfuimaLin'ry, thrgensmc rule should
                                       stats thai soiocea sdbisa to these
                                       instruments are letrmed fo men the
                                       emission limits contained therein.  Such
                                       instruments would then automatically
                                       become federally enforceabls vu an
                                       EPA-eppreved geaenB rak. provided
                                       they are issued  as, or part of. the
                                       compliance Instrumant specifically
                                       required by tha  ganenc nil*.
                                         Compliance instruments must ensure
                                       that  enforcement personnel do not have

-------
                 F«kral  R«g»a1»r / Voi SI. No. 3M I Thurriay. December 4. 1968 /  Notfeet
to tat* a1«uftajito«aiy ewy eniaeioa
xmrot involved in • ln^t.ThM
generally requires toaret ipajcjfic
emission limiu. However, states may
UM prt-spttified combinations of
source-specific emiuioo limits which
art enforceable. States may alto use an
overall limit that applies to a group of
emission sources which can be
evaluated simultaneously, where there
is a reliable and enforceable method of
determining compliance (e.g.. through
production records, input factors, or
other indirect means, or through use of a
continuous emissions monitor.] See, e-g.,
45 FR 80124. December ft. im
  The compliance instrument should
also specify applicable restrictions on
hours of operation, production rates or
input rates: enforceable test methods for
determining compliance: and necessary
recordkeeping or reporting
requirement*. To be enforceable, these
limits must state the minimum time
period over which they will be averaged
(e.g.. Ibs/hour. Ibs/MBru averaged over
24 noun, production rale/day).1* Uniew
such enforceable restrictions are or have
been placed on capacity utilization and
hours of operation, or on overall
emissions, maximm value* for capacity
utilisation and hours of operation n»Mt
generally be used in r*irni*n*i post-
trade emission lost* and  in asbieat
modeling of the post-trade >
or
 3. Ail Redactions Must Be Permanent
   All emission increases in a trade mutt
 be cviBpeitn ted by emimoD reductions
 that are permanent (i.e., savored for tfa*
 life of UM eomtponding increase.
 whether unlimited or Itaritled in
 duration).** This requirement may
 generally be met by enforcaafefe perarft
 limitations confirming the amount and
 duration of the decrease. If reduction*
 with a liraried life  are used thrlife of
 the trade ontst be limited accwdingrr, to
 thst the trade will automatically
 terminate with expiration of those
 reductions. The  data of Urmiojdoc may
 be specified in the notice of approval
 Alternatively. «ource(i)YBay agree to
 provide farmaJ written actiBeatian to
 EPA and the state before such
 reductions may b« diacoaOsMd ead the
 trade terminated.
   Permanence may present special Int
 resolvable "shifting demand" problems
 for reductions from soul] source* aot
 subject to permits, offset requirements.
sourct catflgoriaaj Mat addreta tfe
posabUity that rarfartiasja. from toe
sourct may ntaJt te equal or gratar
increaae* from aJailsY nearby aouroee,*4
  In ordtr to em in a babbit trad*
emiaakM iwucUosi credits denved from
reductions in operations beyond tboee
consistent wtlfa the baseline (e.g.. a
reduction from 3 to 2 workshifts). a
source -moat have tta preconstruction
permit or other federally enforceable
compliance matruasent alttred to reflect
the curtailment IB production records
reflecting such curtailment (see section
LAJZ above).** Puture increases In
production beyond the paratit amount
may trigger new source review or
require approval of a new emieataM
trading application which include*
compensating emission reduction*. Aa
wita other typea of aonoomattance. aay
source which exceeds panoitted
production limits would be aubjtot to
potential aonmrapiianca paaalttee.
  Before an emission reduction can be
 credited H must be quantified. This
 generally means the state must establish
 a reliable  basie-for calculating die
 amount and rate of the leUuUiuB end-
 describing Kftdumetaritties.
  a Ca/aiArtiflg th* Reduetioo. To
 qvaattfy the amount at t
 reductions eiiajapia «a B2tCa.<
 mats* be uaJuaialud be«• Undir EPA't NSR njukoou. pttar
 earullaum* in wbf*ct le OM tt
 ofr*K pvpoM* *f prior ibBldowM. SM a U kbevi.
   " la ftoarai. itf>m m*y not tppn«t VOC IndM
                                                    U i«
                                                                 ia
                                        b. All lAa of ERC* Mutt Satisfy
                                      Ambient Tests: Baeause the CJeu Air
                                      Art requires mar aO areas throughout
                                      the country attain aad msatain unbient
                                      staadard*. protect applicable PSD
                                      increments, and protect visibility in
                                      mandatory Pederal Qass I (PSD) area*.
                                      bubbles must generally be equivalent in
                                      ambient effects to the b**elin« ttniision
                                      levels which they replacs." In
                                      nonattanmeat anas, use of ERCi
                                      cannot create a new violation of an
                                      ambient standard or delay the planned
                                      remove! of en existing violation. In
                                      attainment areas, use of ERCs carrmot
                                      violate an increment or ambient
                                      standard. Use of ERC* in either typ« or
                                      area cannot a«rv«r»«Jy afltct vuibibry in
                                      any mandatory Federal Qass I area.
                                        The ambient effect of a trade
                                      generally depeads on (he dispersion
                                      cbaraaterietics of the pollutant involved.
                                         VOC or rVO, Trades. Trades involving
                                      VOC or NO, need consider only
                                      emissions. Siace the amount onpac: of
                                      these poHweutt is arvawide rather than
                                      loca4fate
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43344
Federal RrtUtar  / VoL  51. No. 233  / Thursday. December  4.  1966  /  Nonce*
•fleet by one pound of decreased
tmtMtoiu within the same breed
geographic ma. and the precis*
location of those increases and
deceases ordinarily does not matter.
For VOC and NO. such "pound-far.
pound" trades may therefore be treated
as equal in ambient effect where all
sources involved in the trade are located
in the same control strategy
demonstration area or the state
otherwise shows such source to be
sufficiently dose that a "pound-far-
pound" trade can be justified.3*
  Particular Matter. 50k. CO OF Lead
Trades. Ambient considerations are
critical for trades involving emissions of
sulfur dioxide, participates, carbon
monoxide, or lead, whose air quality
impacts may vary with where the
emission increases and decreases occur.
For example, one hundred pounds of
ERCs for such a pollutant created  at one
source  may balance the ambient impact
of a 100-pound increase at a source
nearby, but may only balance the  effect
of an 80-pound increase at a source
further away. In addition to distance
between sources, plume parameters.
pollutant characteristics, meteorology.
and topography will also affect the
ambient impact of such trades.2'
   This Document authorizes the use of
 four alternative methods of determining
ambient equivalence, with the degree of
required modeling linked to the likely
 ambient impact of the proposed trade.
The following sections describe use of
 these alternatives to evaluate for
approval  many bubble or offset trades
 without full scale ambient dispersion*
 modeling.30  Use of these alternatives
 under genenc rules is discussed in
 section II below.
   (1) DeMinimis. In general no
 modeling is needed to determine the
 ambient equivalence of trades in which
 applicable net baseline emissions do not
 increase ll and in which the sum  of the
   " The diiiussion in this paragraph doe* not
 apply 10 NC. 'rades involving vuibilily impact* of
 elevated plume*.
   '• Tht ambient equivalence *Ba*»dennon*
 elaborattd m this and foUoaruti; paragraph* aiao
 ippiy 10 NO, trades involving vuibility impact! of
 elt\a
« area of significant impact of be time : l or 50 kilometers, whichever is lest: " (e) Stacks with increaiinf baselb.a emissions are eofRdeatry tall to avoid possible dowawash situation!, as determined by the formula described at SO FR 27392 (July a. 1965) (to be codiHed at 40 CFR Part 51); and (f) The trade does not involve open dust sources. For such Level I trades it can reasonably be assumed that "pound-for- pound" trades will produce ambient effects equivalent to those which EPA.- approved air quality models would predict Therefore modeling *o determine ambient equivalence is not required. Trades between fugitive process sources and stack sources (i.e.. process- for-process or process-for-itack) can acceptably be evaluated and approved under Level I as long as the maximum distance between any emitting sources in the trade is less than 250 meters and all other Level I criteria are me L (3) Level II. Bubble trades which are neither de minimi* nor Level I may neverthelets be evaluated for approval based on modeling to determine ambient equivalence limited solely to the impacts of the specific emission sources involved in the trade, if there is no increase in applicable net baseline emissions." if the potential change m emissions before and after the trade will not cause a significant increase in pollutant concentrations at any receptoi for any averaging time specified in an applicable ambient air quality "Compkx terrara ia broadly defined by EPA ss terrain gnatav In httgat than the physical stacx height of a soorca. For bubble purposes, this definition it appbcabl* only to sourcts WILI mcnaaini bateliM emisaions. " For guidance on determining '
-------
                   F«d«r«J R»g1s*M /  Vei. *1. No. 333 / Thumiey. December 4. 19* I Notice,
                                                                                                                  43A4F
 not predict any increase to uatteirt
 concentrations in • mandatory Ped*ril
 QMS I are*." Thi change In
.concentration from the before-trade MM
 to the after-trade cat* mutt in general
 be modeled using refined models such
 aa MPTER and ISC for each appropriate
 averaging time for the relevant national
 ambient air quality standard* for each
 receptor, uaing the moat recent full year
 of meteorological data.44
    (4) LtvtlllL Pull dispersion modeling
 considering- all source* affecting the
 trade's area of impact is required to
 determine ambient equivalence if
 applicable net baseline emissions will
 increase u a reault of the trade.4' or if
 the trade cannot meet criteria for
 approval under dt minima. Level I or
 Level IL
    However, a geographically limited
 Level III analysis may be used in seme
 caeca where a Level 11 analysis predict*
   " la iterate** 'npaAoM* tapect far Lrrd B
 bubUt Mdaa. aUMe aa* ••» (to folie»r raMcl inav « (TV Nrt
  31. Apowda S K defiM* M 1 »*/•* «•«»•*
  average far pamcuiate*. SO. or NOt 1 m/m* 24-
  hemr aren«e for pamcoJaie* and SOi: 29 M/»* *•
  hoar ewrefe far SO,: and 0.8 mf/nr* s-hwr iMiiae
  and 2 at/a' ""• hnuf •*«rae> for CO.
 •   •• Howoer. a bubble onf»naru> My « M  •
  approvad under Lav«l II where other «vtda*ca
  raUitd lo background— >.». formally nMttvj
  ambtani air quality momrannaj data or |miiuai^«i
  tttaMlari^ backtraund TiJua*— davrty tadtaila*
  thai th* bubble would cr»*w a or» vtoUflon of M
  ambitm nandard or PSD kioraaMit or vo«M dtUy
  iba pUnnad nmoval of aa w*araj rtoUtMa.
    «• Othar irchniaun IMT bt
  IOUTCM tnovr ihry equallT w«W prolact NAAQO.
  apencaWi PSD mertmatt*. aari «t«ibUlr]r. For
  fuapla. tn limned areuaaataneaujruai iaHr«
  aertaturn modcla may b« aoe*pt*4iU m ft«* of
  MfTEKmdISC In loen eatm. ma of a frt y«w of
  mUTorotopeal data ma* not ba niiaimj  3oe*
  Kmninf modala may be icceocre«nin( model ihowi that ill (he emiMtone fron
  the ttacfcUl with tocreeaoif emueiotit •g»ia' DM
  produce exc**dajrc*a of ih«-Lr«i I] «^p».**.-f«
  valuea danbed in n. 31 above. or|b| the Mact
  parinjetera a< the nackfil with remavnf, enwetoo*
  do not change and the KTMB»H ouxM Mwwt HIM
  the mcreeae ui aanMion* ei the litoeeum »UrMt|
  would not prodooe nxMdancxe of th**e
  sifDifleiaca valaoe.
    " S« ditcjinon in I B.l.c. b«low
oat-or eatre enrnadmni of pe Level n
tlfrmiMCt vataH. WhUvdrii oaJyito
wiU be Itattad M term* of ffOgrcpMc
•cope, tr ejijt odMnrle* AMI the
modeling raqoiraoMnu fcr« faU Level
m anaiyaU. tododing contideTarJon of
all sovrcee affecttag toe limited
geographteal ana. to «surjr aituadona
thia approach may pennit the receptor
area te be amallar than the trade's entire
area of impact Becaaeeef the unique
narare of each situation, the appropriate
United geographic area muat be
determined ia accord with EPA
gutdeJiaea oa modeling, and through
case-by-case evaluation.
   Bubble tredee are approvabre under
either type of Level ffl amiyeii if they
do aot ceuee a new violation of NAAQS
or PSO increments, significantly
contribute  to or delay the planned
removal of an existing violation, or
adversely affect visibility in mandatory
Federal Cleaa 1 arete,4'
   Thia three-tiered """Wl^ approach ia
both reasonable and conservative. It
will assure that the ambient impact of
trade* is at least eqoivaieat in effect to
original SIP «»n'""»^ ^mj»«, while
conserving government resources and
shortening approval times for many
individual trades.
   c. Bubbha Should Not lacno*
Applicobb Nf I BoMliat Saauoat,
Ordinarily, bubbles may not result m aa
increase in applicable net h««*rrn*
emissioas. Such a bubble would require
a case-by-case SIP revision, and may
only be approved based upon a
combined  Level 01 and Level n
modeling anaJyei* (Le, aa analysis
sufficient to ihow that all applicable
requirements of a full Level ID analysis
(as described sbove) are met. «nd mat
 the bubble would not result m any
exceedance of significance vataes
specified for a Level n aaalytis at any
 receptor for any avenging time
 specified in an applicable ambient  aif
 quality standard.4'
   •• Wh«n a LmxJ m oodalhuj aAaJyva auboultod
 to wpewt a Toroattry tradtef *wKu»jB (ncgtttae
 ao exe»*de»o> of aa aoMan rtq&rmun. VA "tU
 rtvww tucfa eppUeatxm* on a common aanae eaaa-
 byoae ban*, teekini to aocourase J1idoa»H at
 euefe maiediiii'ei and awM ondvt d«Uy of
 oeenone oa tba moo. wMlt aJei|i»aia«| ar«aM«
 prenrtoB of ewbtte heaJth. tb( toltemy of fee 99
 proem* (InUiidtm the tttte't pteiutaBui U
 datemuitrni ho* to reriwdr irurjimapeatl. tad the
 ufurnpi ajtd effectii^ nmvoy of ojry condirJoB of
 oonarutneienL In Id nrrww. the Ascncy wtO tak»
 into aeoowil rx* factor* aa the degree of
 exceedanoa. the contnbvttoa of tfce credlnf vawcaja
 and the trade IMeU to (he cuseWiiMa. aod *e
 defrH to wfildi a«eh aomroee wouja1 ha part of aay
 tolulion remedylnf the evraedinffl
   «• Where a uroyoeed bvbble tajLueetnS. n*
 baaattDa enuaaione eantxx oie*l UU* te*t of a»»bte»X
 equivalence, n may not be tporvred ee
 under the Ejniinom Treojn^ Pottcy.
  WlMM iueh S bebble U propoeed in a
iKrionawsTWiTf draft the state must
dsjnoMfiritt Met the tred* it contiste
with tfte>pwgne» denonslrMion under"
to apftwed dejMontfntton of
atteififltent revise rtt EPA-epproved
piugme demanetrttioa as part of the
proposed SIP revision, or otherwise
show (eg, by modeling and any
necessary compensating emission
reductions) that the proposed trade
comports with the EPA-epproved
emissions and ambient progress
demonstration.
  d Bubbles ShoaldNot Increase
Emtaioni of Hazardous or Toxic Air
Pollutant*. Under the dean Air Act all
sources must meet applicable section
112 (NESHAPi) requirements for control
of hazardous air pollutants. Sources may
neither use a bubble to meet these
requirements, nor increase emissions
beyond the Irreis they prescribe. When
a sovce wishes to generate or use
emission reduction credit for « criteria
pollutant and where a NESHAPa
poUotant is pert of the criteria pollutant
stream, the emissions baseline for
emissions of the hazardous potiutant
from that scarce would  be the fower-of-
emissions of that poilutsnt. spplied as of
the tee of application for credit. Whert
EPA has pnpagfd to regulate a i ource
category for endst-tons of a pollutant
under section lit but has not yet   ,
promulgated a NESHAP for that source
category, the proposal will serve as the
interim guideline for evaluating the
potential effects of any proposed
emissions tred* Involving sources to
which the proposed  standard would
apply. The etafeitons baseiine for such a
pollutant emitted by a *onrce subject to
the prupusad  NESHAP would be lower*
of-a
-------
43846
Federal Resbtsrr / Vol 51. No.  233  /  Thursday. December 4, 1980 / Notices
pollutant. states auyg«ner»Uy allew
trad** consisting of equi>*a4ea» incmses
and decreases of actual uiiuiona of
that pollutant within a stag** plant or
contiguous plants. Once (be relevant
NESHAP is promulgated, every source.
regardless of any previously approved
trade involving emissions of that
pollutant, must meet the requirements of
that promulgation.
  Where EPA has decided that one or
more source categories which emit a
listed pollutant do not require regulation
solely because of limited national
exposure, emissions, of that pollutant
will continue to be treated the same as
emissions of any other pollutant listed
under section 112.
  Where EPA has issued a formal
Notice-of-Intent-Not-to-List a  pollutant
under section 11Z that pollutant will
ordinarily be treated as non-hazardous.
However, where the decision  not to list
or not to regulate was based on limited
national exposure, but the individual
risk was sufficiently high that EPA
committed in the announcement of Its
decision to support (through some
formal mechanism such as a
Memorandum of Understanding (MOU))
state-level efforts to develop regulations.
the pollutant will be treated as listed for
trading purposes in order to. assure thai
such state efforts are not compromised.
The model for the intended scope of this
classification is EP/.'s aoylooitrila
decision. (SO FR 24319; fun* 10.1985).
   If a substance is neither listed oor
regulated as hazardous under section
112. nor meets any of the other
conditions specified above, but has been
formally listed or regulated as toxic
under any comparable heaJth-based
federal statute, the Administrator may
consider this fact in evaluating trades
which may increase emissions  of that
substance. This authority has not been .
delegated within EPA by the
Administrator.  See Clean Air Act
 section 301(a)(l). 42 U.S.C 7601(a)(l).««
   •• Trades involving	screauns partially or
 wholly composed of any pgttatunu subject lo
 special considerations uimM TStt section mull meet
 iwo teparale and disnm.1 aflrVnobe approved.
 First, itch trade* must be acase«««ble under the
 criteria and principles which eppry (o all trade*, u
 discussed throughout this policy (i.e.. such trades
 musi mm baseline and other rcquiremenia for the
 tl«vartf criteria pollutant). Second, such trade*
 must be  approvaole with respect to DM kaurdoue
 pollutant fraction of the criteria, polluunt emiaaiot)
 itream. This means that there mud be no net
 increase in emissions of the oolruiam* addreaaeel in
 this section, as a result of such trades. Where  a
 NESHAP has been promulgated or proposed, the
 baseline (or determining whether such an increase
 has occurred i»ths tawtr-of-aciual-of-NESHAPs-
 jllowa We emissions for the hazardous component
 o( the trade, lot the sovrca weuch emits that
 component. The pro/nutated or proposed NESHAP
 limit not only <• used lo denne the a4lowaote
                         Exception. Trades which invoice the
                       pollutants addressed in this section but
                       do not meet the special restrictions
                       discussed above, may also be approved •
                       where surplus reductions in those
                       pollutants compensate for increases in
                       non-hazardous emissions of the same
                       criteria pollutant For example, a source
                       emitting benzene may trade with a
                       source emitting a non-hazardous VOC
                       without meeting these special
                       restrictions, if the benzene emissions are
                       reduced as a result of the trade (i.e..
                       "traded down"). As long as such a trade
                       would not result in an increase in either
                       actual or allowable emissions of a
                       pollutant subject to the preceding
                       paragraphs at any source, it would not
                       differ in nature or requirements from a
                       trade involving only non-hazardous
                       VOC emissions.
                         e. Existing-Source Credits Cannot Be
                       Used to Meet Applicable Technology-
                       Base1. Requirements for New Sources. •
                       Under Clean Air Act section 111 and
                       EPA implementing regulations, new
                       affected facilities must satisfy
                       technology-based New Source
                       Performance Standards (NSPS).
                       regardless of the attainment status of
                       the area in which they are located:
                       Under sections 165 and 173 and EPA
                       implementing regulations, nsw or
                       modified major sources most also satisfy
                       technology-based control  requirement*
                       associated with precooatruction permits.
                       These requirements prohibit use of
                       credits from existing sources to meet or
                       avoid applicable NSPS. and bar use of  '
                       such credits to meet applicable new
                       source review requirements for beat
                       available control technology (BACT) In
                       PSD areas, or lowest achievable
                       emission rate control technology (LAER)
                       in nonattainment areas.4*
                          However, modification* of existing
                        major sources in PSD and
                        nonattainment areas with an EPA-
                        approved "plantwide" definition of
                        source can use "contemporaneous"
                        reductions in actual emission* from
                        within the same source to "net out of"
                        New Source Review.44 Under such
                        cmuatons for that source, bul serve* a*, an abaolula)
                        ceiling on the, source as well Where a NESHAB ha*
                        no< yet been promulgated or proposed, the hesejjae
                        for determining whether wcfa an increase has
                        occurred is generally actual emaatona for the
                        hazardous poiluunt component of the trade, Bwt d.
                        today's Policy Statement at n. &
                          •• Today's nonce doe* not addresav whether or
                        under what circumstance* faciloies mbiect lo
                        NSPS. BACT or LAER may surpass applicable
                        permit limits reflecting such requirements laoreja* •
                        to create ordjts for cxisting-soure trade*.
                          •• "Contemporaneous' means a reasonable
                        period for accumulating increases and decreases in
                        emissions, as specifies by the HIM. See 40 CHI
                        51 lB(|]lll|vi| and 51 :tlbl[3|ibl (nl.
"netting." sourcewtde increases m
potential emissions that do not excwd
designated levels of significance («e 40
CFR 51.UHX.Mx,, sUtXbXBJ. and
5i21(b)|23|) will not be considered
"major modifications" of the source
under 40 CFR 51.18.51.24.51.22. 51.307.
5L2& or SZ27. Thus, white these source
changes must still meet applicable
NSPS. NESHAPs. preconstruction
applicability review requirements under
40 CFR 51.18 (aHh) and (1). and SIP
requirements, they are not subject to
new source review requirements for
major modification because they are not
considered "major." *'
  /. Trades Involving Open Dust
Emissions. Trades involving open dust
sources of particulate emissions may  be
approved, through case-by-case SIP
revisions based on modeled
demonstrations of ambient equivalence.
Sources proposing such trade* must
commit as.part of the trade's approval.
to (i) undertake a post-approval
monitoring program to evaluate the
impact of their control efforts, and (ii)
make further enforceable reductions if
post-trade monitoring indicates initial
open dust controls do not product the
predicted air quality results.
  g. Interstate  Trades. EPA will approve
trades which involve sources located in
neighboring states where such trade*
meet the criteria below and all other
approval criteria applicable under
today's notice. Where state trading
requirements differ. EPA will require
that trades with increasing and
decreasing sources indifferent states
meet the substantive requirements of the
more stringent state. In general, in order
to avoid complex accounting problems.
EPA will deem ERCs created in another
state to contribute to progress in the
state where  used, to  the extent  of that
use. Such trades must be accomplished
through case-by-case SIP revisions.
  •' Netting alto applies under (he narrower 'dual
 defiiuttoa" of "source ' m certain circ-jmjtancej For
 exuipi*. firms may use reductiona wunin the punt
 to compensate for increase* at several emitting
 unrta which, wtaia not individually jiir.ificam
 might otherwise: add up lo a significant mcrea»
 planrwide.
  Under atrrenl EPA regulations, if a nonaiumment
 area la subject to a moratorium on new
 preeonatruction permits for ma tor sources or
 modifications and trie area does not Save in
 approved New Source Review program, then (fie
 are* automatically net a piantwide definition See
 40CFRS124.
  EPA's gvnerei expansion of opportunities for
 elile* to use the plantwide source definition Tor
 cental norauainmtrrt are*s H9 FR JCTM. Octooer
 14. IBMt w*a  affirmed by the U S. Supreme Court on
 |un» 23.18**  Olevwfi U.S-A- Inc. v. .Vo
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                  Federal  Retpatet /  Vol. 51. No. 233 / Thursday.  December 4. 1886 / Noticei
  h. Trades Near PSD CJaa* I Ana*.
EPA or • aUtt operating under a gtneric
rule muat notify the Federal Land
Manager if an emiukma trade will take
place within 100 kilometers of a PSD
data I area. Notification must occur
early enough in the renew process to
allow at least 30 days for the submittal
of comments before the trade will be
approved by the reviewing authority.
  Where a bubble within SO kilometers
of a PSD Class I area is submitted to
EPA as a case-by-case SIP revision, the
Region may call for additional technical
support beyond the applicable
requirements of the modeling screen
described  in section IJJ-b.  above, if
deemed necessary to protect air quality
in the Class 1 area.
  i. Effect on Trade* of Subsequently-
Discovered Clean Air Act Problems:
Revisitation Considerations. If ambient
violations are discovered in an area
where EPA has approved a trade, or if
other violations of Clean Air Act
requirements are discovered in that
area, sources in the trade should be
aware that they are potentially subject
to requirements for additional emission
reductions, just as are all other sources
in the area.4'
  «• While Moren involved« • trad*. Ilk* *U other
 sowce*, nay b* »»b>»ci to laipiiiaanani tor
 trad** approved by EPA or by slate* under EBA-
 appre»ed fcntnc ntie*. aor emiaajon redaction  •
 .credits uaed M pen of i bobbk. off*** or oxtinf
 •COOL should be tanuaaiad.
   Svcfe ttnuuOoo could ocev. for exaaspU. wfcare
 two source* IB a liven source category wen subtact
 to pre-bwbtiW BUM aaueaioa llnuti of 100 TPY e*cfe
 and poet-bubble lint* of » TPY tad ISO TPY
 respectively. AMOM the iuit inpoeee t MW
 catefory-wid* rif jlinnn which would normalry
 limit tboe* Mnren to 40 TPY Mcfe. In thia caao. UM
 flnt source aoould be required to otevt the BOW 4*
 TPY limit (La_ it should b« required to produoi
 additional reductions of 10 TPY). wtol* tbe Mcoed
 source should b* sufapcl to « MW limit of 9& TPY
 (Le_ i Icvtl reflecting the continued exis trace o/ ate
 30 TPY cnnuioa reduction credit}. Tennioatieai of
 th« emiaaion reduction credit would ocev either by
 requirm*; the Tint source 10 produce additional
 enusatoa reduction* of 60 TPY (La- man then it*
 current level of nnu UOM|. or the second tourci to
 meet tbt 40 TPY limit Bather of these nr*«lu would
 undermine 'ft* purpOM it ted*?** oobca by
 elumaatuif the prWlirnb^tr n»^nd tot
 irtiertnon or UM of OtC«. 7««y cooid *!M pctMliu
 trtdirn tourcci for i*Juoj tniraaovnully
 bcncficul ITMIIUTM *ooa«r tb«n rvQuirtd. naa it
 would often b« mort difDcult to «chir»« tb* IMW
 rcducuoni than hid etrlitr voJuotiry «*pt not b««o
   Tor tike** raisont. ETA urfM il*im not to Ilk*
  •uch cr*dll-t*mia*an| actions unln* ihar* ta no
  olhtr pncucal wsy to sausry tb* rrquurmioti of
  ih« O*s« Air Act.
   Today's procedure* for depool and UM of b*nk*d
  credlia already addnaa addmoiul statt tmiMton
  reduction n««d* in ttM context of banking fs*«
  SKtran LC-S. below). Stain should, howwer.
  aceouoi lor aJJ pmnoua tr*d«« and previously
  (ruled (mission reduction cmftu In estimating
  emiMion reductions mullinf from n««r control
2. Procedural Steps for Using ERC*
  Babble trades may be unplemented
through individual SIP revisions or state
generic-rules. This section describe*
principles applicable to either
procedure. General principles for
generic rules art addressed in Section 0
below. Special considerations for trades
which require individual SIP revisions
are addressed in Section HI
  a. Effect ofExittiag Compliance
Schedule*. EPA's 1979 bubble policy
required that sources be subject to
binding compliance schedules based on
original SIP emisnoa limits before being
eligible to apply for bubbles. Because of
the time required to process bubble
applications a* case-by-case SIP
revisions, this requirement tended either
(a) to discourage sources faced with
tight milestones for the installation of
conventional control equipment from
pursuing bubble applications, where-
they had agreed in good faith to SIP
compliance schedules before
discovering bubble opportunitis*. or (b)
to discourage sources from agreeing to
any compliance schedule until they had
fully examined bubble opportunities.
  Today's policy allows an application
to be filed though the applicant is not
subject to compliance schedules based
on original SO* emisaiea BmitK so long
as that applicant agree* t»«nisaio*v  •   -
Omits establishedarpert'of e coatplete •
bubble application. Sources which an
already subject to binding compliance.
schedules should, however, be aware
that submittal or proposed approval of a
bubble application doe* not taspead
their obligation to comply with such
schedules. Such schedules and existing
SIP requirements remain explicable and
enforceable until the bubbl« t* finally
approved  and the schedule has been-
modified accordingly.
   Sources seckiag trades ibouid note
 that they remain subject to enforcement
 of existing (pre-tnda) SIP limits until the
 bubble is approved. EPA wtll u*e the
 same principles and procedures for
 deciding whether to initiate
 enforcements actions in these
 circunstances as the Agency appiiee to
 any other sourc* which is subject to e.
 proposed SIP revision.
   Under established EPA policy,
 regulated sources must be subject to an
 applicable enforceable emission limit at
 sll times. Accordingly, sources which
 have spproved bubbles with emission
 limits effective st future oate and which
 are not in compliance with Uvsir pre-
 trade limits, may be subject to
 enforcement action, which could Include
 penalties based on a failure to meet the
 pre-tnde limits. Sources in such
 situations may wish to minimize th-,
 chance that capital expenditure! w\S	
 required to meet pre-tnde limits, either
 by (a) agreeing to post-trade compliance
 dates which are substantially similar to
 their pretnde compliance dates, or (b)
 accelerating their compliance with pest-
 trade limits.
   In accord with the general principle
 that bubbles should be treated neither
 more nor less stringently than other SIP
 actions, implementation of today's
 policy  will be neutral with respect to
 EPA enforcement of pre-trade emission
 limits.  This means that EPA will not
 specifically target for enforcement
 action  non-compliant sources seeking to
 use a bubble either to come into
 compliance or to restructure traditional
 compliance. However, it also means thai
 EPA will not withhold or defer
 enforcement simply because a source n
 seeking alternative emission limits
 through a bubble. In exercising its
 enforcement discretion. EPA will apply
 the same considerations to
 noncompliant sources which seek  to
 comply through bubbles as 10.those
 which do not**
   b. EMteasiant of Compliance
 Peeytfmsi Suits may modify or extej
• compliance schedules or deadlines f.-!
 individual sources on a case-by-case
 basis in conjunction with bubble
 approvals. Such modifications or
 extensions must be consistent with the
 requirements of 40 CFR 51.15.
 Compliance schedules for sources in
 ttomttainment areas cannot  be
 extended beyond the statutory date for
 attainment and applicable compliance
 milestones must be specified and met
 for each year of the revised or extended
 compliance schedule. Because  an
 extension will usually require a revision
 of the state's progress demonstration.
 such approvals must ordinaniy be
 submitted as SIP revisions.
  stnttfiea. in order to avoid pnblmt* due to dovbU-
  counnng.
   •• PirOea con tempi* uruj bubbles involving 'it
  tnd* of amusta*] reduction credits from one l.-n :o
  another should be aware that when tn* creous
  being provided by the flnrt firm are the rwuii of
  amiaaiawi limits with a future compliance at:t. tr.«
  oblifaOeo to m*ei pre-mde limns renumi with in*
  second flrai (whichmay face enforcement acnon
  indudlAg cajn penattie*. for faUure 10 comoi> win
  thoM prertrade limittl until th* time scecnec for
  UM fh-w flra to achkeve the reduettoni n«f»».-y for
  cooiplianc* under die bubbl* The firii f:rm > ijnurr
  to achieve required bubble reductioni on scr.Mu.«
  may tfeereaflar reeull In enfercament if.ion
  (tnciudlni ash penaltietl a|smsi that firm
  Howtnr. thia paragraph should b* resc .n
  comuocttofl with dM eeneral pnnciple aricun
  above that EPA impkameruaiicn of locx, 1 pone
  will b* neutral with re«pect to «nforc«rr^ 11 of
  pr»tnd» loom.

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43040
                                    VaL Sl^.Nev ni /.Thuraday. Decesabcr 4, Ifltt / Node**
  in nongftaiBBsm pesos.
w»sh to gun Mucces •«•>*«•»sv
implement bubbles byfiaatiag
compliance extensions: avis* receive
EPA approval of the extension, through
case-by-case SIP revision*. EPA will
evaluate the time extension portions of
these SIP revision packages in
accordance with the Agency's normal
procedures for review of time
extensions, including consistency with
the Act's requirements of
expeditiousness, reasonable further
progress, and attainment and
maintenance of ambient air quality
standards. Sources should be aware that
disapproval of the. time extension
portion may result in disapproval of the
entire package (t.e, both pott-trade
Hmits and the time extension) or only
part of it, depending OR whether the
state views tbew component* of th»
piupueed SIP tetisioa « sepstabte,
   In attainment am*, stain may
conttme to grant compliance extensions
without case-by-case SP reritrons. as
part of oucrots apiprovals muer a generic"
rate. Soch-genetic kuiupttauie date
 extensions-may be granted is tbesr ••
 areas owiy if EPA be* approved tfe»  •
 extension prevWeai of As geaafiorais ~
 aa adequate to comply wRh. tfeX3sasr
 Air Act
                         •<*,
 bubble ocnofbe approved for e«
 individuai earierioB ag«os wiikb is
 presently the svtyeet at* a federal ~
 enforcement a«f an-«r quUtaadtHg
 where neeesvery the eestupriat
 approves tbe proposal aod as?
 comouaoee sdwdvfc KaMjr
 "Federal eaJorcfleMMfactia* or-"   "• ~
 ouutaoding order" icdudas notitaa ef <~
 violation. cr»ti artkna Stad vadbc OS**
 Air Act section 113{H udaitiai 4
 Filed under Bectian lU(c). aaticee*
 imposing noococrpliaaaa p«nalUa»
issued under sect
orders issued under section 113(a}t or
citizen suit* filed i
whtck EPA 1
is subject to an i
judicial order.                  -  .
  This requirement amieee pieHlade
bubble approvals under-generic rate*.
provided the rde specifies an
apptop.
  Sovrees- should. aew«»ef. be
  such apprpvsii_ cannot "be ffioat^f'
  effective, uoiil appcoxadby-tbef.
                                     they rtmaia a«bj»u t« anziBati
                                     limits until soca approval
                                     C Booking Eswas/wi AtdKtion Qactfts
                                       Emission reduction that an surplua.
                                     permanent quantifiaWe and enforceable
                                     can qualify as emission reduction
                                     credits (ERCs) tad be deposited in EPA-
                                     approvaWe bank*. States may establish
                                     such basks by adopting appropriate
                                     rules to govern whether and hew
                                     sources may own aatd hold surplus-
                                     emission reduction credits for future use
                                     in bubble offset or netting
                                     transactions.*1 Such banking mica may
                                     encourage soarces to take measures to
                                     reduce emisaiaaa in advance of specific
suouBt fas taasiaca ansVwtthdraMak.
ThMB«oiM.«sty ssa.ersfty ba pecfsrned
                                      need for ERCa. resulting in lower
                                      transaction costs for those seeking   .  •
                                      offsets; bubbles, or partner* for thsca
                                      transactions. States shooid aowwver. ba>
                                      aware that because an area's airqvatty
                                      situation or (ha status of its SIP BMy
                                      change- in the future, faMara to ac
                                      Tor banked credits ineamiua
                                      inventories aaadt for yicMang \
                                      may sesaat aa-toas of
                                      treatsd as "lav «*••«• (•«. ac4 kacMod
credfts Bust ssstt sal tiss ookMia «f the
pankataf Sff regulafljry prograai *avi«r
whkh tbay are to b» »ssd,**
  The ioiWwuig sstttflas adsssis botfa
miiHfnnm nqnireMnts he state hanking
rules whidi are approvabls by EPA. and
issues states should mnsirtcf States
may adopt other approaches which
produce squivalsnt results.

t. Bonking Rules Must Designate an
Administering Agency
  Banting rules must identify the entity"
rasponaibis for specific tuncftoas. While
the stats will ordinarily be responsible
for verifying, and processiag ERG
requests, all or part of this responsibility
may be delegated to other organization*.
Such nrganJTStionts) anal possess the
resources and legal authority to
implement delegated activities,
                                                                              Banked emission reduction crediu
                                                                                       ^
                                                                            sthU'By thv time they an b*nkedl'«
                                                                            However, if a source committ to '
                                                                            prodcca a-specific reduction m
                                                                            fpecHcr&n«&'AB future, s state may
                                                                            alia* a coiu&BoBial deposit to be made.
                                                                            PriveeJsree iarsocacaauiUtoaaJ depoctis
                                                                                       vet VMT/ oo* not
                                       Pjsjstaf EBCa-tsi
                                      to those ERCs): notify
                                      purcnasetsof (he existence-of Steatend   unhih^>i»(ai
                                        •pfro««i«iSII>
                                         Emtniaand
                                        inforaul b*ni
                                        aol *ir»*dy bon uwiowd or ott
                                              mini rliiiii IIHJ illfhc fnia mi •|nlxnj>
                                              «• •oftm. fft cmpta. la  "
                                                                                DM b* «t*KOd -MUt oor y^r 4/Ur pi»*ci
                                        rvdoetton fa* O{£M( «r

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                  Federal Renter /  Vol. si. No. 233 / Thursday. December 4. 1986  / Notices
compromise the state's Ability to Mcuri
through further regulation any future
reductions which may b« needed." In
«U cases the reduction must be made
federally enforceable by the time the
emissions trade which relies up«n it is
finally approved.

3. Pouible Limitation* on Use of ERCs
for /Vew Source Permitting
  Use of banked ERCs for new source
permitting must be consistent with
applicable regulations approved by EPA
under 40 CFR Parts 51 and 32. For
example, under 40 CFR S1.18(j)(3)(HKc)
shutdowns that occur prior to
applications for a new source permit
may ordinarily be used only as offsets
for replacement facilities, and then only
if the permit application was filed within
one year after the shutdown occurred or
if the reduction occurred after August 7.
1977."

4. Sources Should Apply to Bank
Surplus Reductions As Soon At They
Decide To Makt Them
  For administrative simplicity and
 accurate quantification, sources should
 apply to bank reductions as soon as
 possible after they decide to make them.
 The administering agency should
 formally note the source's intent to.
 make a surplus reduction, as expressed
 in the application. The state must then
 verify whether and to what extent the
 reduction actually occurred and must
 make the reduction enforceable by the
 time it is accepted for deposit
 5. Procedures for Ranking Surplus
 Emission Reductions Should Be Defined
   To speed approval of trades and
 provide greater certainty for potential
 ESC creators and users, state banking
 rules should clearly specify which
 proposed emiuion reductions can
 qualify to be credited and banked,  the
 information required of sources to
 substantiate their claim for credit, and
 any required application forms. At
 minimum, such rules must require firms
 to maintain records (e-s> production
 records and recordjnrf prevtoua
  ** Sum hav« «mr*l *v*Sa*9hr oKfcm* 10
prwtdi iwdi laaonnc*. fa»y iu«,far nwBpi*. ba*
conditional dcpOTHi from mrot caitfonn winch
•r* a«6i*a 10 pmdinf ftfoUttam. Allareathwry.
lh«y may alknv unrntncttd cooditioawJ ifepoatu
but wnt* furor* rtfulationi in i«rm» of HACT-
•qutvalml rvdaaioni («.f_ in SM reduction IB
carmi •era*! ««Mxmi| ratttcr than m (arm* of
tpcoAc control nraiatM* or crniuwn hr*«U. TVt
larwr aoproaca can ivotd powtbla ctaiau by MOM
•ouron that no runner control u raquuvd. vhfta
itrmctbaunt: tht data • ability 10 *0cour*f* rWtJMr
volvMuy rvrfncoou a* w«U u mandau n»«d»d
onm. S*« taetlon LCS.6 b«kiw. Sum Bay adopt
iibicniiii  a>nc*ra*4.
                                     A

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43MI
addit
tared ta>
PSD increments, oc i
Available options include -
  «. EHCs GemrotcJPrtor ti> tfie Design
or Baseline Peer Cou&be Sfminattd.
The us* of ERCs iterated pri« to the
oesigri or baseline year u unlikely to be
consistent with the state's
uemon»traiiaa. unies* the state included
«'ich FRCs as "in the air" for planning
purposes at thai tune.
   ';. £SC§ GsuAf 6« Guaranteed Against
 \d:nstaaat. The state would determiiM
the necessary quantity ol reductions
fro,-n individual sources aod source
categories and require these reductiooa
from actively emitting sources. Baokad
credits previously, created .by source*
would be fully preserved. Emitting
sources could then satisfy new
requii emeriti for ieductions either by
reducing-emtesioRs direcdy or by usfng
or purchasing equivalent ERG*.
   In impleracotiag thi* option, it waald
be particularly importaaifor stales to
adjust doMUUwatd the estimated total.
reductiona due !• these new regulatory
requirements, in order to reflect
p^ffairfiftfia nrmvigitjfki a/'hievffi ae> a  -
result of K"»Mng ^r^on^ AlUraalivaly.
states csnld abuse new aaatiot.
requirements ia (ana of eqaivnlant-
reduction result» (eg. "RACT-
equivalent" cedaetiaaa ia aoaaXtaiaaeat
areas) M weQ aa specified cooftoi
techn»au*e.or emisaioa leveb. Under
this approach, necessary additional.
control requirement* would be eacpf»tal](
stated in terms, of addMooaJ redociioa
responsibilities, to be met wJtbaat:
regard to prior trades.**
   c. Use or Deposit of ERCs Could be
Temporarily Suspended Stages may
suspend either ERG use or future EEC
deposits until the state has cocuniUad in.
its SIP to secure redactions sufficient te>
reestablish progress or cure an
increment violation. Use ol either type
of moratorium  would be consistent wiQv.
air quality objectives while allowing
sources  to retain anda«e«tually UM
 their entire quantity af-banked ERCs.
However, these opticsjfejMMybe
undesirable because ofctteeertainty
regarding the rr.oratcm'nnrs start
duration, or potential interference with
user planning. This may be especially
(rue where a moratorium on use (rather
 than deposit} is imposed after ERCs
have beea banked.
   d. Acrof*-trte-8#afdDuaniatu>&
 Under ttn* opaoa Uw SM<« ceeid
 discount all ERCs in tfw bank by the
 same factor. For example, if a 10* ..
 additional reduction k /*qu*r«4 froo a
particular category of aawr
SiFs new deaonattatMn. the
would ducanfil all cureatiy i
ERCs from laaee type* of j
10%. Although i
by a firm will be reduced, the overall
supply of ERCs will decrease, while
demand wiH increase, indeed other
sources may seek to purchase banked
ERCs from creating sources, in order to
meet the 10% redactions required of
them. Thus, the price per unit of
remaining ERCs is likely in many caeca
to increase.
  Thai option ia relatively
straightforward far VOC or NO.. For
SO, or particntete matter move detailed.
source-cpecific modeling wonie>
generally be reqmired to aUeo*e Ike
discount neceseary te demonstrate
attainment
  Statea may adopt any ol taea*>
method* at accomntodaanf; peanlMa •
additional reductions. They nuy alao-
adopt any equivalent method which. ..
achieves the same objectives,"
IL Trade* Covered by State
Rule*
  This section *Kpl*AM W*
develep &A+ppn*+* *a
under wfcfeii
             requi
             assures that emissions tra«
             teqimiag caae i
             un
             the Omsi Aar
             und«r
             Mtfiamtiy mpBcafcle in
             guarantee that emiesm
             under the rule wifl not mfin'fcfB wtfUi
             timely ambvefH artnmncnt aod--
               "The prandin( dlfcuuion |»orr»fly i
              ih« b*nk n kunn^ >r «t ilUiimnnl «rt« or
              •oaarattanunt «ru wttt ••
              p«cui pro^nu »»|-*i-
              However, in order to accommodate poetihai
   •• S^r fooinol* U above.
              a mann>r ctraewtcat wUi benkj.cuue.
              voluntarily *4u»«*ucbdM
              prior le the IMUAU by EPA omw hart eluatfr itoorf hr
              ipmfy gTMwr (bee, hi kncttaf r
              oT>*ei «v nwunf  Wtae )4n
              «dtuti tb» toul amount o{ crceU a&uUbl*' ia a
              bank, it can subiuntuQy enAenc* SIP pUnawv^
              trfcrli imd provnle • n« »ir qiaeiffr tmiefH bj
                    i Lht aownm a/ eaueuan thn oka.
                      ft -riurnea 'run tb* cms  !• "*• MK
                                                                                •hnsncete
                                                                                sea
                                                                              tofni
                                                     rule incorporating a veryampsa fenurta
                                                     that meets teals of replieability^aee 4»
                                                     FR 20SS1 (April 8.1981^ b relation to
                                                     generic bubble rules, this, means that
                                                     specific meddinf procedures or
                                                     surrogates are prescribed and that
                                                     states have appropriately defined thev
                                                     choice of model*, model inputs, end
                                                     modeling techniques in applying these
                                                     procedures to specific trades. Thus these
                                                     trade* should not create new ambient
                                                     violations of standards or increments.
                                                     delay the planned removal o< exnting
                                                     vtolatfone, or degrade visibility in Class
                                                     I areas, of approving1 such generic ruin.
                                                     EPA approves in advance ait array of
                                                     acceptable SIP emission limits, and no
                                                     further SIP revision is required for
                                                     trade*-which aaent tba terms of the
                                                     state's approved rule.
                                                       EPA will coounent on. trades proposed
                                                     under generic rules, conduct reviews of
                                                     trades-approved under those rnies."and
                                                     audit (he iagleaentation of these ruin
                                                     as-part aflts routine audits of otfair
                                                     air pranrajBtv See Section E b«low«»
                                            i/nLznay uaar a range of mechanucu
                                        to exetant bnefle tadesfrom indjvidu^J
                                        SIP te visions- W53a seraral genera i
                                        mecEanismaareaxpLaicedbelow, states
                                        may submit other generic rules that
                                        satisfy »Jnas P ann principle*. See
                                        seoOon I.I> Below for sped fie
                                        requimxeoia lor genanc rules ia
                                        phsury tvnasltntaaieat area* whkch
                                        n e*d tmti lack ay pcow«d dejaafts ua 11 o ra.

                                        l.VQC ot WC\ Trades

                                          VOC or NOi teadaa appfcveti by
                                        slates under a gtnenc rule that «»»uiei
                                        noiMt im;i*aiis in «f pitcabte bis*Line
                                        emissions mayoacw without ca»«-by-
                                        caee SIP revistaa*.
                                          The ambnat uapacls of VOC and NO,
                                        emission* are aMswide rather than
                                        source-specific. All such emissions
                                        within a broad.area are coca.uerea
                                        cocopafabla. regardless of plume herani.
                                        topotjrephy-or relstteti factors. Thus. th«
                                        amWenrftnpeetuf trade* mvorvin?
                                        emissions, of VOC or NO, from differ eat
                                        source* witbao snch an area wui by
                                        defautioR e« eqarrakiK to that of the
                                        sum of appncrWe- bese^ine emission
                                        limits.fbt the sourcas involved in the
                                        trade.
                                          PofVOC frnrf NO, such pound -for-
                                        pouod trades may therefore be rreated
                                        under genenc rules as eqml in ambient
                                        effect where all lources lovolvec in tne

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                                     / VoL 51 No> OS  / Thmatay.
                                     DJ
trad* are-
      regulaaoBSvSes U « iZPO (At^vat
approved by EPA aa.jajft.oi *»e
f>iU fftf A»t
nc
outaida the demon itnH<« area an
sufficiently close tint tpouod-for-pound
trad* can be justified."*
   In general generic VOC trading rules
must require that Mirface coating
•mission* be calculated on a solids-
applied basis. The rule should also
specify the maximum time period over
which emissions nicy be avenged in an
acceptable compliance demonstration.
For VOC that avenging time should not
exceed 24 hows unless the rule contain
language approved by EPA thai
expressly attorn a longer a»ei aging
period. See. ApyassdU D below.

 i Particttlaie,SO« CO or Pb Trade*

   dassee of pejttculate. 9O» CO aad-
 lead (Pb) trades may also be exempt
 from SIP renatoo* if ttosy an appsovest
 under a state sensiir nils which
 that valid SRC
 interfere with attainment and
 maintenance, of air q«aKry standards or
 jeopardize PSD increments or
 visibility."
   De MiaraiM Trad**. Trade* of
 psrtcuiaus, SO. CO«rts»d{Pb*  'ctto«
  du» ic einuinj plumes Set ft. Sitbov*.
    U.ilikf other critical poltattm. EPA do<* ao«
  •laif » must rrvT*w Irwl rrW»t. at ill «(Mr intii*.
  10 tman ttat Owy da na imerfen vidi in»«iiiifm
  -nd iwtMMuea a< <*• NAAO&
    Onvnc SKI* *«u of trad** «ii«<«»i
                                 • b«
        10 jQiur«« xttri en iacMtCiA (M *«n(
       »c coairai Mui«
        t (tnmi ur b*«n.
                	f ssjuManf tepad of
partialt*. SO*. CO or PbanfeeioBS:
depends oa ska-sped** facton such as
topography end plane height which ars-
ordinarily evahntid by tnbiem
dispersion modehag. However, if
applicable baseline emieswmsdo not
incrssaa. aourees are located in the
saau imoadiatc viefanry. and afl other
Uvel 1 raqutossneat* disenssed in
secdoa L&14M2) above are met it can
reasonably be assumed me* "poond^be-
pound" trades w4il produce atsbieo*
effects equivaiest to those- wsaoh
currrotly approved akcnasjtty'aiodsb)
would predict. Asa ossuh. aades
meeting the criteria in section tJBl b>(l}
above may be treated ia the same
manner as generic VOC and NO, trades.
and exempted froaa modeian»aed case-
by-csae SIP revtssoos.
  EPA will norssalry approve gssMsic
rules that >' sfine "same immedcese
vicinity" as up to 230 meters betwssir
individual enussiaa sooscse tavoived ta
a trade.
  Lerel II Trade*. Other partcsAate. -
SO*. CO and Pb ftadas suysvao SM —   .
exempted from i
revisioma if th
criteria in sec
csa me£aeiy b* siodaiedikMkr.
prescribed m*Bo*r. Tke state's
trading rule, most specify the'paztintas
refined modei that wilLba eopkgcad iav *,
                              pl

                                        models iat ipe
                                        limit variaaility *n rnmlsiini r
                                        To
                                     iha i
        role must also require alleasla fulysse:
        of meteorological data, idacfi^i the sites
        for thai data, and specify procedures. fat.
        selecting input data (a^. wind spaed
        •lability daw. source uniatioo ate)-
        which are sufficientiy d«fla*d ta satisfy
        replicabtlity concerns." In somenmUed
        circumstances, a sufficientty
        constrvatire screening model could be
        specified as part of the generic rule. See
        section l.B.l.b{3) above.
          Level III Trades. Because of the wide
        variability in data input and ate
        inherent in fall-scale dispersion
        modeling. Level III trade* must b*
    " Th» de minima Ur«j u 4aTFY f»
                                                                                 But*
                                                                                          ss> Bsavvtansel Sff revisions.
                                                                                              ttB.4 .nrf n bete*.
                                               A* TOMSK ttneisr Caaane Rube
                                                                                be> addressed ta a teptkallt  usnnsr.the
                                                                                following may act ta feneratbe
                                                                                exempted under generic nrtes from Lhc
                                                                                recnurement for case -by-csse SIP
                                                                                reviateae:
                                                                                 ' a. PaTticohte. SOi CO or Pb trades
                                                                                requiring full-scale dispersion modeling
                                                                                under Level m (see section I.Rl.b.(4]
                                                                                above);
                                                                                  b. Puticnlate. SO*. CO or Pb trades
                                                                                when complex terrain "is withui ihe
                                                                                area of the source's significant ur.pai:! or
                                                                                SO kou whichever is less, unless (he
                                                                                tredadoes not result in a modification of
                                                                                effective stack heights and the trace
                                                                                otherwise qualifies aa de. minions or
                                                                                Leva) L Tha area of tignifirjnt impact
                                                                                can be determined as noted In footnote
                                                                                21 above and in Appendix E; *T
                                                                                  c Open dust trades; and
                                                                                  d.£ev«lH trsdas involving process
                                                                                fugitive perttauUle.  SO*. CO  or Pb
                                                                                fTHiit/Trnr oot dischazged throu^i
                                                                                stacks.**    .
                                                                                  In additina ta the- above. inoBoW to
                                                                                protect the integrity ai vanaus SiP
                                                                                procasass. as? faJtowiaf types of tndes
                                                                                may /wfci* gasMeal. be, exempted unoef
                                                                                       i raies inta ihsvreqwmaeot for
case-by-cass SIP revisionr (1) Trades
involving ERCs from mobde source
measures, (Z}.trades invoMng emiinon
sources winch are. the subject of an
enforcement action manifested by
issuance of a notice of violation, an
admuuatnsm order or section 120
action, ox the filiag-of a judicial
cojcpiacnt. Ktess UM rule specifics an
                                                                                  KrrtiD iittfmtM tmr^tl tkao *« phvttol it«ci
                                                                                  h*Ht»o<« luaiji.Fartr^fatm p«upmn. in.i
                                                                                  diCattiooii *&rif»bt* att> l
                                                                                  •'Ctotrmfly. nidt finm
                                                                                 •Acire.
                                                                                                       ptt
          **Thu pvajruph «bouid am b* caoiruid ta
        unplv :h*i n«v Murcei tiui modiPciltoni n**d not
         nouc* eoofiroi* itm cutbantir at
        tiaim (o UM tuch EFA-ippraved n£a*d nodck m.
        MTTTB. CRSTEJl or ISC to '-"^••" i>t ~duiy.
        KmportL jpalul -Q«iyiu" o( pox-tfcd* tatxfnt
        imptcu rt^umd jndjr Uv*l U. d burduuoiiw iLap undtr ih«
                                           pnvioui i
                                                                                     .                  .      .
                                                                                 «!>•«• My !•< ta pin •ml under gwflrnr -j.rt
                                                                                 Ho««««b *U1*> miy «i«k iod»TT'oe uonn
                                                                                 for EPA «pprovti •ddiQacai in«-ip*ohc :-itru
                                                                                 lor dmnntauii «rhm trada utvolMn) uimpitx
                                                                                 lemnndo nd-yrgMW i*ob*ini of peitntui riwrp*
                                                                                 inpcction. and IIMVJOM nnjr b« approved _ncrr
                                                                                 IT"" ni'tr tt -it -rir- Lml I or Lcv«i U
                                                                                 indct IIMI* i Oil urnia aodiLThest aoc:i:onaJ
                                                                                 cnmrl» would indud* luch ftcloo «» IUU.T. b'>«i
                                                                                 and •mitwoivrtM. dia4anc* b«iw«*)** »»y o« «»efucri.i« fur
                                                                                 I pcnicuUr (cognpinc ana. Slain «n «ncci..-38^
                                                                                 to wrxi wnh EPA todaienmna whtiher »rf«  a.-.
                                                                                 ho» much addition*! cnlana can n« d«M.(,crci  ni
                                                                                 app/oxd auc*> *diiiiianaf cntena for « i"-en
                                                                                 ingmrfaic ara« » par* o/ a jam nc rjie. >u.. >
                                                                                 m»«t apply iht jenrral -TJineiionj mi«d ..r^,--
                                                                                 «ri*n procntim — «i»t ia (AX ar»« unor- -M -..
                                                                                               C.

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43852
Fad«*l R«gLrtsjf  /  VoL 51. No. 233 / Thunday. December 4. 1988 / Notices
appropriate mechanism for notifying
EPA of the source's bubble application
prior to formal slate proposal and for
securing and recording written EPA
concurrence that the bubble meets all
pertinent requirements of the generic
rule. (3) interstate trades. (4) VOC trades
with averaging times longer than 24
hours, unless a state generic rule
expressly providing for longer averaging
times has been approved by EPA. (5)
trades involving work practice and
equipment standards, unless a state
generic rule containing a provision
expressly providing for state evaluation
of such trades in a replicable manner
has been approved by EPA. and (6)
trades involving negotiated RACT
baselines. However, a state generic
trading rule could specify "presumptive
RACT limits which acceptably define
generic trading baselines where RACT
has not otherwise been defined in the
SIP. While RACT baselines different
from this presumptive timit could still be
used for specific trades, they would
need to be approved as case-by-case SIP
revisions. Where there is no RACT hi
the SIP. but EPA has issued a CTG for
sources of the type involved in the trade,
the CTG should be used as the
presumptive RACT-component of the
generic trading baseline.
   To the extent accessary. EPA will
issue notices requiring that existing
generic rules be revised to reflect the*e
restrictions. See section ILE.4. below.

4. Other Generic Mechanisms for
Exempting Paniculate. SO>. CO or Pfa
Trades From Case-by-Case SIP
Revisions
   EPA will approve  other generic
techniques which an demonstrated to
equally protect ambient standards. PSD
increments. Class I areas, and visibility.
For example, a state could approve a
modeled formula for two or more
specific emission sources which would
 satisfy ambient concerns while allowing
 firms to define specific permit limits at
 each covered emission source.  Like
 other generic provisions such a formula
 would have to be approved a* part of
 the SIP. EPA encourages states to work
 with EPA Regional OOcsa where  they
 seek to develop other generic
 mechanisms which meei the tests of
 replicability and ambient equivalence
 described above.

 C Enforcing Emission Limits Under
 Generic Rules

    Alternative emission limits approved
 under generic rules  are considered by
 EPA to b* federally enforceable so long
 as the generic rule specifies the
 compliance instrument (permit limits,
 etc.) under which the conditions of the
trade will be implemented and ail
substantive and procedural
requirements of the approved rule an
met Generic rules must specify that
such alternative limits become
applicable requirements of the SIP under
i 110 for purposes of sections 113.120.
and 304 of the Gean Air Act and art-
enforceable in the same manner as other
SIP requirements. To assure that EPA
and citizens know what emission limits
apply, generic rules must also specify
that and la what manner. EPA will be
informed of emission limits applicable
before and after the trade. (For
additional issue* related to
enforceability, see section I.AJ above.
For requirements related to opportunity
for public comment see section ILF.
below).

D. Generic Bubble Rules in Primary
Nonattainment Areas Which Lack
Approved Demonstrations of
Attains ix

  Generic rules will continue to operate
in primary nonattainment areas which
require but lack approved
demonstrations Of attainment, aadet the
following conditions:
  1. Bubbles approved updenrxtsfltig  "
generic bubble- rmhw prior to tfasr •  •.
effective data of today's pefiey wot not
be affected by today's tequlieuieuta.  '
  2. fribbles submitted to states under
existing generic rules may continue to
be approved by states in accord with
those rules, until such rules are finally
changed,  pursuant to specific formal
EPA request to meet the criteria listed
below. Such rules must however, as
requested by EPA. be modified to meet
the criteria below.**
  1. Applications for new generic bubble
rules applicable to  these areas, and
applications for generic rules now
pending before EPA. will be approved
provided they me«t the criteria betaw
arid all other applicable requirements of
today's policy.
   Criteria for-Approvable Generic
Bubble Rules. New and revised generic
bubble ruks applicable to primary
 nonattainment areas which require but
 lack approved demonstrations of
 sttainment must for bubbles in those
 areas:
                         " b iht interim. EPA expecta MM to rawra. M
                        fir aa feaaible. that tmbfekt appreved under
                        exntlnf generic ruin are comutaM with thia policy
                        aa well at with the term* of their E?A-appiu»ed
                        rule*. SlatM should be aware dui wiibowl thle or
                        sunilu precaution*, continued approval of bvbbtee
                        under ni'itlng feoenc niJea corrtamlna; Identified
                        deflcMnciet m*y create or acc*ntu*n £.4. below
                                                                 a. Uselewest-of-actual-SIP-allowabie-
                                                               or-RACT-allowable emissions baseunea
                                                               for all sourest involved in the trade:I0
                                                                 b. Using baseline emissions defined
                                                               above, meet applicable de minima
                                                               Level I or Level IT modeling tests for
                                                               ambient equivalence, as appropriate:
                                                                 & Produce an overall emission
                                                               reduction from each bubble equal (in
                                                               percentage terms) to the larger of a 20%
                                                               reduction in emissions remaining after
                                                               applicable baselines, or to the overall
                                                               emission reduction from controllable
                                                               stationary sources (in percentage terms]
                                                               needed to attain in the area (i.e~ at least
                                                               equal to the source-by-source emission
                                                               reductions that would be required for a
                                                               full demonstration of attainment taking
                                                               into account "uncontrollable" area or
                                                               other stationary sources and expected
                                                               emission reductions from mobil
                                                               sources).'1 This determination must be
                                                                 '• For detailed diecajawn of thex baselines. «e»
                                                               McttM LAUt. «bore tod Appendix B.
                                                                 Tl For.euopie. iaa>ima air quality analysis
                                                               indicate* the MM awl decreete ita base-year
                                                               eaiaesnn by e»* t» attain the relevant NAAQS.
                                                               Farther aae«»e
                                                                                                 TPY
                                                               la) Far e» baea
                                                               Altar ft*
                                                                  T«ai-
                                                                 Therefore the reductiona needed from
                                                               eoomOabia ttatloaarjr toorcn are 9.44O-
                                                                 And the percent enuamon reduction rrcurea from
                                                                eatrolUWe •leUaaary wurcct to attain n
                                                                                   «»-••*
  Th^ tk» ne* evenlt reductlo* required from e».h
tenenc bvbWe would be M« (i.a_ ilw reduciionj
produced byaDeticaWe baaeline* le j, appncmon
rf a RACT fmatttm rate) phi* xhatew perctni
radtwOoai-ui iiipmafia rejninms «fter irni RACT
Hmit It avfliaem'lo yieW the »«« lotal).
  Slatea tKal wrak to avoid StP rrviaioo* for jo»rct«
(or which RACT baa not yet been defined mm
approved SIP provwoo nay incorporate
~pre«umpurc«

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                 Federal Register / Vol 51. No. 233 /  Thursday.  December 4. ISM / Nottcw
                                                                                                           43*
submitted with the rule, and must use
the MOM type tod qoabry of analysis ••
that required for an EPA-epprovable
SIP: and
  d. Provide assurances, in conjunction
with the State's submittal of the generic
rule to EPA. that the state (i) is making
reasonable efforts to develop a complete
approvable SIP that  will achieve the
percent emission reduction from
controllable sources described in the
previous paragraph and (ii) intends to
adhere to the schedule for development
of such a SIP (including dates for
completion of emission* inventory and
subsequent increments of progress), as
stated in the letter accompanying the
submittal or in previous Utters. In
addition, to ensure that generic
approvals continue to complement and
do not interfere with attainment
planning. EPA will require the state to
include  the specific ataonrsces listed at
section I.A.l.b.(3) above in or with its
notices of proposed  and-final approval
of each bubbie issued under the genetic
rule in such a nonattainment are*.71

E. EPA OvwxjerWc/Generic A/for
   In order to ensure proper
implementation-of EPA-approved
generic trading rule*. EPA intends to (si
examine and comment on. together with
any other pabffc cerumen lei. ttie
information provided for~indlvidQar
trades proposed under a generic rale (b)-
condwct rnr+ew»ofiadrridn«4 trade*
approved under such a rale, and (c)
periodically audit the implemeotalroa of
the generic rule itsefl.

1. EPA CoMwnei* en Trad** PiopoeaA
Under Generic Rules
   When proceMtag emission* trades
under generic rules, jtatea are required
 to provide EPA and the public with
 adequate notice and opportunity to-
comment See sections ILF. andlLG.
 below. EPA will use state procedures far
 notice and comment to oversee the
 implementation of gaoenc.rules witboot
 delaying state processing of trading
 application*.
   The infonnatioe wbkh • state must
 provide to EPA by the first day of the
 comment period (see sectionJLC.
 below) Ls generally  sufficient for EPA te
determma that a trading eppttcetkm ir •
being procaesed ptoyaily. Where tine  •
information is not anfflcient EPA may
request the application ItteH and the
state moat provide it promptly.
  Where EPA electa to provide any
comments on the proposed approve!. It
will do to in writing, by the doae of the
comment period specified in the state's
notice. EPA may also testify at any
public heanej held pursuant to the
approval of a trading application under
a generic rule. Trading applicants and
state officials ere strongry advised to
addreaa EPA's comments, end where
necessary to incorporate an appropriate
response to thoae com menu in the final
approval document7*
2. Reviews of Individual Bubble*
Approved Under Generic Rule*
  Reviews of Indlvidoal generic bubble
approvals, apart from the rvgwlaxry
scheduled reviews associated witt
activities under EPA.'s National Air
Audit System (see section IT.R3. below),
may be condncted at any time by EPA m
order to promptly address identified or
suapected probtems and to evoid '
patterns of improper approval OF other
adverse efiect» which BKfght
before tte next bianmial amBtier~
conductetL
 3.EPAAadKaoftbe
       wBtea'tzofl 01 Gcocrfa
   'TTb**t four r»9«iT»«ena IQUM b* <«si*rf«d M«
 connn|m< praxwon m all future i*Mftc ntl«. witk
 Iht conttflfmcr ll»M»i»0 to (pffly to bwbttM \m
   Under the National Alt Audit Syateav
 EPA conducts a program audit oljacb. ,.,
 state agency responsible fat
 tmplemendQsjtaeSgene'dsliejaBii-
 federal progneas.'4 Theae audits are .
 aursaUy carried out oe> a pieausuai
 ba«is. As. part of the NaUooal Air Audit
 System. EPA wiQ conduct aa- io-deptk
 file audit at a ntpreieatitiva sauaio eC
 generic trading approvals issued by. th*.
 relevant state.

 4. Deficient Generic Trades
   As dcscoaved' ebrjv*. genetic niaev cast.
 expedite the approval proeeaa. lar
 certain classes of eousstoas tcadea.
 because they aHow such trades-to be,
 approved by states without unc
 a subsequent federal rttfenaidflg*
 process. I lowevet.'
 mfniTTTntnl «r n^mut int i rn n«i if fla hibhai u •
 found to b* in
valid by EPA. • trace approved uncar
grneric nde estate
  (1) Be one of a data of trades w:
within die scope of the geairc rn.
  (2) Be eppraved'a/ter the fer>?'<:
has been approved by EPA. w.t
  (3) Meet ail the provisiom c; -he
generic rule aa approved by E"1 v
  If a state-approved emissicr.i
does not meet all these rwx~T
 req*ere revMo* la order to ouks them
 constatasKwttat today's final policy. In
•arMtiee. a> gaaseric rule approved by
 EPA neMtarthainal policy may
 sobseqmeatty be famed- to  be defiar
 some seeped. Because EPA-approv
 generic rates eeweiotdependent
 law. they ceat only be ameaoed
 completio* «f a foraval Sff eevmon
 prooeae.
   m OKier ta> ensare that generic roie*
 areconeiXeat with  me Agency's  osm-.
 Pmi..t—. Tradas/PtrUcy. EPA will
 publish notieea-m the Federal Register
 whicat ideotify any genahc rule*
 reqnirmf formaJ awriiflca&on." The»e
 notice* witt ideatify specific dennenc:.
 and means for correcting  them, and wi:
 set fbra a scheduie for submission anc
 review of reused rates. These nonce*
 will alert affaOed states to the danger
 that 'wtilnu*'1* proceaatag at trades
                                          r>m*.*t**n..^ m. .  . a — t

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43354
Federal Regtetar / Vol. 81. No.  233 / Thursday. December 4. 1988  /  Notice*
under these rules nay create or
accentuate plan deficiencies which may
have to be corrected at a later date or
compensated by other means. Where
states fail to remedy deficiencies
identified in the notice within the  '
prescribed  period, EPA may either
rescind its previous approval of the rule.
or issue a notice of SIP deficiency under
section 110(a)(2)(H) of the Act.

F. Public Comment
   For emissions trades processed under
generic rules, existing state statutes or
regulations will generally provide for
adequate public notice and opportunity
to comment, including opportunity for
judicial review sufficient to make
comment effective. Under such statutes
or regulations, after the state hae
reviewed a bubble application
submitted pursuant to an approved
generic rule, a newspaper or similar
notice is typically published providing a
comment period (usually thirty (30)
days) on the proposed decision to
approve or disapprove the application.
This notice generally informs the public
that the proposed approval document
(license, order, permit, consent
agreement, etc.). (he-application itself
(with the exception of any portion-
entitled to  confidentiality under state or
federal law", and (he technical arfalysi*
performed by the state in making Its
proposed determination, are available
for review at specified times and
locations. The notice also offers the
opportunity for a public hearing.
   Under today's policy, the state must
also notify the relevant Federal Land
Manager if an emissions trade will take
place within 100 kilometers of a PSD
Class 1 area. Notification must occur
early enough m the review process to
 allow at least 30 days for the jubmittal
of comments before the trade will b*>
 approved by the state.
   Where adequate procedures for public
 notice and comment  are not already
 provided in existing state statutes or
 regulations, such procedures must be
 provided as part of an EPA-«pproved
 generic rules. In all propa*ed and final
 generic bubble actionsoaOKes-iBust
 clearly and publicly idvtfl0jrbetrrthe
 ore- and post-trade actmiTand allowable
 emissions of each source involved in the
 trade, so that the ambient effects of each
 bubble may be known.
   To ensure adequate public awareness
 consistent with { 304 of the Clean Air
 Act. state  generic rules or other existing
 state laws or regulations most also make
 publicly available any changes to
   :' The specific pollutants emitted by the source.
 »ne Amount of thost pollutants and their amoient
 air imp»ct may not be deemed confidential
                      emission limits which result from trades
                      approved under a genetic rule,.

                      C. EPA Notification
                        In addition to the above requirements
                      for public notice and comment, the
                      generic rule or other state provisions
                      must require that states, by the first day
                      of the public comment period, provide
                      the appropriate EPA Regional Office
                      (see addresses in Appendix A) with a
                      copy of the poetic notice, the proposed
                      approval document and the technical
                      analyses performed in evaluating the
                      trading application, together with any
                      summary of those analyses which is
                      available for public review.
                        State provisions must also require that
                      immediately upon issuance of a final
                      generic trading.approval the state will
                      forward two copies of that document to
                      the relevant EPA Regional Office, and
                      will also submit to EPA any additional
                      documentation which is included in
                      comments or the post-comment record
                      and supportavthat final state approval.  .
                        Any notices issued by EPA to correct
                      notice and comment procedures which
                      do not meet these requirements under
                      current or future generic rules will not
                      trigger special progress requirements or.
                      otherwise affect the operation of those.
                      rules. Because of the importance of
                      adequate public and EPA notice,
                      affected states soould, however: correct
                      deficient notice- procedures to t&e extant .
                      practicable, in the interim period before
                      formal rule revisions are submitted and
                      approved.
                      H. Rulemaking on Generic Ruin
                        EPA will process acceptable generic
                      trading rules for approval as revisions to
                      SIPs as expeditiowsly as  possible. In the
                      interim, states are encouraged to use
                      parallel-processing SIP revision
                      procedures (see 46 FR 44477; Sept. 4.
                      1981] wherever practical. Trades may
                      not be genencally approved by a state
                      until EPA has published  a notice of final
                      approval of the generic trading rule in
                      the Federal Register.
                      III. Trades Not Covered by SUte Generic
                      Rules
                        In the absence of a generic rule, states
                      and sources must use case-by-cue SIP
                      revisions  to effect bubble or external
                      offset trades. Individual  trades may also
                      fall outside the scope of an approved*
                      generic rule and still  be implemented as
                      case-by-case SIP revisions. The
                      principles described in the Policy
                      Statement and this Document wittbe
                      used to evaluate these emission trade*.
                        Because of the ability of the case-by-
                      case  SIP revision process to take
                      account of greater individual variations,
                      many trades which codd not  be
accomplished under a generic rule may
nevertaelew he approved as case-by-
case SIP revisions. Thraugb this SIP
revision process, states and sources may
also demonstrate that a general
principle discussed in Section 1 above
does not apply to their particular
circumstances, or that sudr a principle
may be satisfied in other ways.
  EPA will make reasonable efforts to
take prompt act/on on SIP trading
proposals after a state has ruled on an
individual application and submitted it
to the Agency. EPA encourages "parallel
processing" of such proposals, with EPA
and state officials conducting concurrent
review so that both agencies can give
public notice of proposed action at
roughly the same time. EPA can then
take final action after the state
completes its proceeding*, provided the
state does not substantially alter the
proposal after public notice. EPA will
also publish noncontroversial SIP
revisions aa direct final actions,
converting thenrto proposals onry if
requests to- submit adverse comments
are received within 30 days (see
generally 46 FR 44477. September 4.
1981). In all bubble actions EPA will
clearly identify (or require states ta.
identify, as appropriate)  both pre- and
post-trad* actual and allowable
emissions for each source involved m
the trade, so that the ambient effects of
each babble may be known.
Appendix A—Regional EPA Ents«ioo«
Trading Coordinator*
Region I. David Conroy (APS-2310).
  State Air Programs Branch. U.S.
  Environmental Protection Agency.
  Region L John F. Kennedy Federal
  Building. Boston. Massachusettt
  O2203.-(617) 5W-3252 FTS 835-3232
Region It Betty Martinovich. Air Branch.
  U.S. Environmental Protection
  Agency. Region 11.28 Federal Plaza.
  New York. New York  10007, (212) 264-
  2317: FTS 284-2517
Region UL Cynthia Slahl. Air Programs
  Branch, US. Environmental Protection
  Agency, Region III. 841 Chestnut
  Building, Philadelphia. Pennsylvania
  19101. (213) 597-W37:.  FTS 597-9337
Region IV: Melvin Russell. Air Programs
  Branch. U.S. Environmental Protection
  Agency. Region IV. 343 Courtland
  Street N.E» Atlanta, Georgia 30308
  (404) 257-2*64: FTS 257-2864
Region V: Joe Paisie. Air Compliance
  Branch. U.S. Environmental Protection
  Agency, Region V. 230 South
  Dearborn Street, Chicago. Illinois
  80604. (312) 888-5777:  FTS 886-5"'
Region VL Bill Riddle. Air Program
  Branch. U.S. Environmental
  Protections Agency, Region VI. ?:n\

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                  Federal  Register / Voi 51. No.  233 / Thursday. December 4. 1980 / No'ices
  international Building. 1201 Elm
  Street Dallas. Texas 75270, (214) 787-
  987ft FTS 729-9870
Region VIL Charles Whitaore. Air
  Support Branch. U.S. Environmental
  Protection Agency. Region VII324
  East llth Street. Kansas City.
  Missouri 64106. (913) 236-2896: FTS
  757-2396
Region VIII: Dale Wells. Air Programs
  Branch. US. Environmental Protection
  Agency. Region VUL1660 Lincoln
  Street Denver. Colorado 8CJ96. (303)
  299-1773: FTS 564-1773
Region IX Nancy Harney. Air
  Management Division. U.S.
  Environmental Protection Agency,
  Region DC 215 Fremont Street San
  Francisco. California 94105, (415) 974-
  7658: FTS 454-7658
Region X: David Bray. Air Programs
  Branch. ITS. Environmental Protection
  Agency. Region X 1200 6th Avenue.
  Seattle. Washington 96101. (206) 442-
  4253: FTS 399-4233
Appendix B—Definition* of "Actual."
"Allowable" and "Baseline- Eoisaioes
for Purpose* of Zmissioos Trading
  As used in this document with respect
to bubbles, a source's "actual"
emissions equal its average historical
emissions, in tons per year, for the two-
year period preceding the source's
application to bank or trade emission
reduction credit Another time period
may be deemed more representative of
 typical operations, but the applicant or
 state must show that  actual emissions of
 such other period are consistent with air
 quahty planning for the area. The
 definition of "actual emissions" for new
 source review purposes is somewhat
 different' See 45 FR 52745 (August 7.
 1980): 40 CFR 51.18(j)(l)(»!), 51.24{b)(21),
 S2.21(b)(21) and 5i24(f}(13).
   A sotirces'i "allowable" emissions in
 tons per year are calculated using the
 maximum rated capacity of the wurca
 (unless the source  is  subject to federally
 enforceable operating restrictions) and
 the most stringent  ofc (a) A standard
 applicable under 40 CFR Parts 00 or 01:
 (b) any applicable SIP emissions
 limitation. inrlnrHna. ISMIH wuh a future
 compliance date; or{c) an emissions
 rate set in a federally en/omeabie permit
 condition. See 40 CFR 51.18 (j)(l)(xi).
 51.24{b)(18). 51.21(bKl6) and 52^4{f)(ll).
 The same definition of "allowable
 emissions" appears at each of these
 citations. See also 45 FR 52745 (August
 7.1980).
    For bubble*, a source's "baseline"
 emissions are equal  to the product of its
    1 For iruunc*. Ib* cjIcuUfxxi of ictu«l rmmiotM
  for nailing pnrpo*** \t u of Iht d*l» of lh« rv«nl
  ih«( bnngj iboul th« reduction.
(1) emission mu ("ER"). specifled io
terms of mass emission per mnit of
production or throughput (e.g. pounds
SOt per million BTU or pounds of VOC
per weight of solids applied): (2) avenge
hourly capacity utilization (MCir)(*-g~
millions of BTU per hoar or weight of
solids applied per hour): and (3) number
of hours of operation ("H") during the
relevant time period. Le« baseline
emissions • ER x CU x H. Net baseline
emissions for a bubble are the sum of
the baseline emissions of ail sources
involved In die trade.
  In attainment anas and
nonattainment areas with approved
demonstrations of attainment, a source's
baseline emissions for bubble purposes
must generally be determined using the
lower of "actual" or "allowable" values
for each of the three baseline factors.
Actual values for these factors are
determined based on the source's
average historical values for the factors
for the two-year period preceding the
source's application to bank or trade
emission reduction credits. As discussed
above, another time period may be
deemed more representative of typical
operations, but the emissions foe that
other period oust be shown to be
consistent with air quality pk""i"g far
the area. A source's allowable values for
the three baseline factors an
determined based on its lowest federally
enforceable Baft for thos* factors (La-
th* lowest limit specified m an
applicable SIP, PSD or other NSR permit
issued under an EPA-epproved program.
compliance order, or consent decree).
including those with a future compliance
date.
   The actual values for any of the three
baseline factors, when higher than
corresponding allowable values,  may
not b« used by a source in calculating
 baseline emissions (Le.. reductions
down to compliance levels cannot
 qualify for emission reduction credit).
The allowable values for one or more of
 these factors, when higher than the
 corresponding actual values, may be
 used in calculating bubble  baseline
 emissions for a source only in the
 following circumstances:
   • Where, in a nonattainment or
 attainment area with an approved
 demonstration, the applicant shows that
 the demonstration assumes allowable
 value(s) for the factors)  in question.
 Such a showing must be  based on
 written evidence.
   •  Where, in an attainment area, the
 approved demonstration does not
 assume allowable value(s) for the
 baseline factors) In question, but the
 applicant performs satisfactory ambianl
 tests to show that the use of such
 allowable value(i) will not jeopardize
attainment and maintenance of VA -'•
PSD increments or visibility. Fc-
partculare matter or S0>. this w,
require at least a Level fl modei.ni
analysis using-actual emissions for
pre-trade case.* Where such an sr.a:
is submitted to Justify allowable vah.
for a case-by-case SIFrevision bubb.
die Region may require t- n'tjonal
technical support 'deer.»c. necessar
to protect applicable sundards or
increments. See Section I.B.I.b above
  • Where, in a non-attainment area
with an approved demonstration of
attainment the demonstration does nc
assume allowable value(s) for (he
baseline factorfs) in question, but the
applicant demonstrates through a Lev
10 modeling analysis that the use of
such allowable value(s) will not
jeopardize attainment and maintenar.c
of NAAQS or PSD increments.
   • Where, in an attainment area or a
nonattainment area  with an approvec
demonstration, a source has a new
source preconstruction permit issued
after the  PSD baseline date or the base
year of the attainment demonstration.
such cases, the applicant may use the
valuers) of ER. CU and H upon which
the new source permit was approved
   While  the Emissions Trading Policy
does permit sources to use allowa o>e
values for ER, CU and H indeterrn:.-.;"
baseline  emissions for bubbles
certain carefully prescribed
the approach taken  recognizes
demonstrations are  frequently based 
-------
43856
/ VoL SI. No,  333 7 Thursday. December «. 1988 / Notice*
allowable valuee-lortkeee fecters.
Actual valuta for CU and ft mac* be
determined using the eoteroat avcrafe
historical values for the two year period
preceding the source's application to
bank or trade, unless another two year
period is shown to be more
representative of typical operation*.
  For sources which banked or sought
to bank credit in these nonattainment
areas prior to publication of today's
notice, the "date of application to bank"
is the date of written application to the
state to bank credit through a formal
bank or informal banking mechanism for
use in future trades. For sources  which
seek to bank credit in these areas
following publication of today's notice,
the date of application to bank will be
the date of written application to the
state to make a reduction ttate-
enforceab/e through or concurrent with
use of a formal  bank or-informal
banking mechanism.

Appendix C—Approvable Modeling
Approaches
U.S. Eavirnsunental Preiectiaa Ageecy

Office of Air. Noise and Radiation
February 17.1980.

Memorandum
Subject Emissions Trading Policy—
     Technical Clarifications
From: Sheldon Meyers, Director. Office
     of Air Quality Planning and
     Standards (ANR-U3)
To: Director. Air and Waste
     Management Division. Regioaa Q-
     IV, Vl-Vm. X; Director. Air
     Management Division. Regions L V,
     IX
  The proposed emission trading policy
wa« published on April 7.1862. m the
Federal Register. During the initial
implementation of the proposal
numerous emissions trading issues haw
ansen including several relating to tfee
 technical requirements of dispersion
modeling and control strategy
evaluations. To address these modeling
 issues,  a special workshop was held to
 solicit recomendations froei Regional
meteorologists/modelers as well as the
various Headquarters technical  staff.
The Standing Committee on Emissions
Trading has also considered these issues
and the recommendations of the
workshop group.
  This memo is intended to outline the
results  of these meetings and to provide
 interim guidance. It is effective
immediately and will  be incorporated
 into the final Agency policy whan
promulgated. The following revisions or
 clarifications on modeling for TSP, CO,
 and SOj, are intended to supplement the
    criteria included in the April 7.
    emisMona track** policy nareavent

    Level! Analyst*

      • To ensure air quality equivalence
    under Lewi I analysis (modeitnt is not
    required), trades cannot be approves!
    when complex terraia (terrain greater
    than any stack with increasing
    emissions) ia wHhin the art* of
    significant impact of the source or 50
    kilometers, whichever ia leas.
      • Stacks with increasing emissions
    must be at least good engineering.
    practice (CEP) to prevent dowawaab.
      • Fugitive process and stack sources
    can be traded under Level I (La, process
    for process, process for stack, sad stack
    for. stack) as long aa the maximea
    distance between any emitting points ia
    less than 250 meters. (This is true for
    trade* under generic rules as weH aa for
    trades itnnlsmeated by SO* revisions.
    The affective stack height requirement
    in the April policy remains.)
      • Since trades involving open dot
    sources are very difficult 10 sediuas io a
    replicable Banner, they canaot cMrremly
    be approved ondar generic Level 1    •
    bubble regsfa£an*.(£aUar«Mn 0** April -
    7,1962 proposed policy.)

    Lev*/ II Afoofetfng Aaofy^a
      • In order to* satisfy the basic
    requirement of ^** Ttnitirias trading
    policy 4hat trsdea "BUS* demoasicata
    ambient equivalence," lha lasrienHn  • •
    ^Kjngf ui mir quality iiapect (delta) mat.
    be detenmned whan pecfonainf a Level
    n anayisis. Experience has shown that
    this requirement is not aecseiarih/ net
    where the April 7 policy says to analyse
    only the "impact at the receptor ei
    maximum predicted impact after tke
    trade," Therefore, to assure that no
    degradation of air quality greater thaa
    the slgniflcsnre levels  would ocour el
    any site, the method of finding tee
    maximum deltas must  b« datermiosd on
    both a spatially and temporally
    consistent basis. This menas that you
    look at each receptor point and
    determine the change in concentration
    from the before trade cast to the after
    trade case sequentially for each time
    period within a full year of
    meteorological data (time period means
    the appropriate ambient standard
    averaging time s.g, 3-hour. 24-eoor,
    etc.). This appears the most reasonable
    method of determining ambient
    equivalence st this time.
       Other techniques msy be approved
    where they  can be demonstrated to be
    equally protective of the standards aad
    PSD increments. Also, a Level HI
    analysis may be used to supplement
    those cases where Level Q anslyeis
    shows s few receptors rtfistenng deltas
 greater thea tW significance vefen.
 Tfcia Hmtted Level B anaysts wadd
 involve only the geographical area
 containing the hMt deltas snd would
 include afi contributing sources to that
 area.
   • Use of refined model* (e.g., MPTd.
 ISC) with at feait one year of
 meteorological data is acceptable for a
 Level 0 analysis.
   • To ensure repllcability. only trades
 involving process fugitive emission
 sources vented through slacks can be
 approved in generic Level 0 rules unless
 the State rule  specifically Identifies
 actual facilities between which process
 fugitive trades would be permitted. In
 such-cases, the State rule must ipecfy
 the-emission points and all assoasted
 and pertinent  parameters needed to
 ensure replicability of modehng results.
   • Since trades involving open dust
-sources are very difficult to address in a
 replicable manner, they cannot currently
 be approved under generic Level II
 bubble regulations. (Reiteration of Apnl
 7. IteS proposed pottey.)
   * 'ireeee nrvornng-^o&plex terrafri
 risnunl he sppmiarl isnrinr I fril 11
 geeeric rules;  however, approval of such
 trades throwga iadrvidoai SIP reviews
 era passible eneer Level & ZPA's
 experieaoe teprooeeaing buboiea for
 such eooroae bee aaown that tbry are
 mfriieslnel] rtifflraH tn irlrtnn in a
 repttcable manner They require s
 nnnairiirink maber. of jerigramu sod
 negotiations among Agency personnel
 coooarniag the nodals, data basev and
 proper source caexecseTteviLuKk
   • All natioaal ambiaat air quillty
 standarda (NAAQS) avmgutg penocU.
 not jutttbe 2e-hoeT. mast be consxiend
 when perionaing the air quality
 equivalence analysis. This is oecstaajv
 to saaen trades approved under Level 0
 will not have any adverse health and
 welfare impacts. Therefore, all Level U
 line frees must test the dehs for tach
 receptor site against the following
 significance leveia: TSP—10 m/m1 (24-
 hour), 3 WJ/m' (annual); SOr—13 u^/rr,'
 (24-hour). 4A »ig/mj(3-hov). 3 n«/mJ
 (ansraal): CO—878 «/«' (8-hour] 210C
 Implementation of

   ImplemenUtion of these changes by
 the Regional Offices in their
 negotiations with States sod individual
 sources should begea immediately. If
 there are any on-going" bubble acuities
 where the Regions or States uui source*
 have readied fine sgreemeou which GO
 not comport with these changes, please
 alert Tom Halms (FTS 62S-5&LB) of mv
 staff. CoosJderatkw wiU be given to
 situations where the **irc* or State h«s

-------
                 Federal Register / Vol.  51. No. 233 / Thursday. December 4. 1966 / Notices
already invested significant resources in
a good-faith analysis based on prior
methods of demonstrating ambient
equivalence, tf you have specific
questions regarding implementation of
these policy changes, please call Tom
Helms.
cc Chief. Air Branch. Regions I-X.
    Meteorologist Regions I-X. Mike
    Levin. Joe Tikvart. Dairy! Tyler

Appendix D—'Approvable Averaging
Time* for VOC Trade*
VS. Environmental Protection Agency
Office of Air Quality Planning and
Standards. Research Triangle Park.
 North Carolina 27711
 |«nuary 20.1964.

 Memorandum
 Subject Averaging Tunes  for
     Compliance With VOC Emission
     Limit*—SIP Revision Policy
 From: John R. O'Connor. Acting
     Director. Office of Air Quality
     Planning and Standards (MD-10)
 To: Director. Air and Waste
     Management Division. Regions U-
     IV, VI-VI1L X. Director. Air
     Management Division. Regions L V.
     DC.
   The purpose of this memorandum is to
 clarify the Agency'i policy regarding
 emission time averaging for existing
 sources of volatile organic compounds
 (VOCs). Numerous State
 implementation Plan (SIP) revisions.
 both broad regulations and source-
 •pecific changes, have been submitted
 which provide for compliance
 determinations by "time averaging"
 emissions of VOC for periods exceeding
  24 hours. These requests and the
  following policy on this subject were
  discussed extensively at a recent
  meeting attended by those Regional
  Offices which have the most pending
  actions (Regions L ILL IV. V): the Office
  of Air Quality Planning and Standards;
  and the Office of General Counsel. This
  policy represents the consensus of the
  meeting attendees.
    The obiective of EPA's national VOC
  emissions control program is the timely
  attainment  and maintenance of the
  national ambient air quality standard
  (NAAQS) for ozone. SIP revisions and
  other regulatory actions relating to VOC
  control must maintain the integrity of
  this basic objective. There should be
  assurances that VOC emission control is
  reasonably consistent with protecting
  this short-term ozone standard. Further.
  since SIFi and associated  VOC control
  programs comtempiate the actual
  application of reasonably available
control technology (RACT). regulatory
actions that incorporate longer term
averages to circumvent the installation
of overall RACT level controls cannot
be allowed.
  Current Agency guidance specifies the
use of a daily weighted average for VOC
regulations as the preferred alternative
where continuous compliance is not
feasible. An example might be where a
facility operates in a batch manner with
multiple lines and various products.
Reference is made to the December 8.
1980. Federal Regista* (copy attached)
where can coating operators art
allowed to "bubble" several production
lines and average emissions over a 24-
hour time period.
  The preferred daily weighted average
alternative may not be feasible in all
cases- When the source operations an
such that daily VOC emissions cannot
be determined or where me application-
of RACT for each emission point (line.
machine, etc.) is not economically or
technically feasible on a daily basis,
longer averaging times can be permitted
under certain conditions. In determining
feasibility, consideration might be given,
for example, to the extent to which
modifications can be made to testing.
inventory,  or recordkeeptng practices in
order to quantify daily emissions. Also.
variability or lack of predictability in a
source's daily operation might be
considered as well as availability of
control technology or the physical
 impediment or restriction to control
 equipment installation. In order to allow
 longer than daily averaging in SIP
 regulations, the following conditions or
 principles  must be honored:
   1. Real reductions in actual emissions
 must be achieved, consistent with the
 RACT control levels specified in SIP'S or
 the control technique guidelines (CTC's).
 These limits are typically txpressed in
 terms of VOC per unit of production (a
 qualitative term such as Ibs VOC/gal
 coating). Where it is not feisible to
 specify emission limits in such terms.
 emission limits per unit of time can be
 approved provided that
    a. The emission limits reflect typical
 (rather than potential or allowable)
 production rate and operating hours.
 These emission limits must truly reflect
 emissions reductions consistent with
 RACT and are not simply an artificial
 constraint on potential emissions. This
 must be supported in the SIP revision by
 histoncal production and operation
 data.
    b. Nonproduction or equipment
  downtime credits are not allowed in the
  emission  limit calculation unless a
  Federally enforceable document
  specifically restricts operation during
these times. Such credit must be t? ;-
on real historical emissions.
  2. Averaging periods must be a 3
as practicable and in no case lonj
than 30 days.
  3. A demonstration must be mad
the use of long-term averaging (grea:?-
than 24-hour avenging) will not
jeopardize either ambient standards
attainment or the reasonable further
progress (RFPj pun for the area. This
must be accomplished by showing that
the maximum daily increase in
emissions associated with long-term
averaging is consistent with the
approved ozone SIP fdr the  area.
  4. Sources in areas lacking approved
SIP'S, or in areas with approved SiP's
but showing measured violations.
cannot be considered for longer term
averages until the SIP has been revised
demonstrating  ambient standards
attainment and maintenance of RFP
(reflecting the maximum  daily enr.ssicr
from the  source with long-term
averaging).
  Meaningful short-term  (i.e.. daily)
emission caps  are desirable especially
for sources subject to large fluctuations
in emissions. The use of  a daily cap
(equal to or less than current average
emissions on a daily basis) that limits
short-term emissions to RACT
equivalent levels would  meet the above
objective of ensuring VOC  control ;?
is consistent with attaining the V
for ozone.
  States have  the primary respons.bii.1.
 to show  adherence to the above
 principles and. to do so.  must induce
 the following information (in detail] T.
 all SIP revision requests  that se«k VOC
 averaging times greater than 24 hours.
   1. The VOC  limits specified in an
 enforceable form with appropriate
 compliance dates.
   2. A description of the affected
 processes and associated historical
 production and operating rates.
   3. A description of the control
 techniques to  be applied to the affected
 processes such as low solvent and
 waterbome coating technology anc/or
 add-on controls.
   4. The nature of the emission control
 program whether a bubble, a regulation
 change, a compliance schedule, or some
 other form of  alternative control
 program.
   5. The method of recordkeeping and
 reporting to be employed to demonstrate
 compliance with the new emission limit
 requirement and to support the showing
 that the emission limit u consisient with
 RFP and the demonstration of
 attainment.
   Each EPA Regional Office snail ha'

-------
43651
Federal  Regbtet / VoL  Si. No. 233  /  Thursday. December 4. 19» / Notices
the primary reepouibiliry tot         *
determining the approveMtty at
application requests. Howw. in order
to assure Regional consisaeacf;
coordination with the Office of Air
Quality Planning and Standards staff is
encouraged during !he initial
development of any single "lime
average" SIP revision or regulation.
Also, all SIP revisions involving long-
term averaging must be proposed in the
Federal Register with an explanation of
how the principles lifted above have
been satisfied.
  Should there be any questions on this
policy, please call Tom Helms (FTS 828-
5526) or Brock Nicholson (FTS 629-
5516).

Attachment
cc:
  Barbara B*n!«of7
  Ron Campbell
  Jack Fanner
  Mike Levin
  Ed Reich
  B.J. Steigerwald
  Darryl Tyler
  Peter Wyckoff
  Chief. Air Branch. Regions I-X
  Regional Adminiatrator. Region* I-X.
                      Appendix g-RaaSi of SlfriAcaat Impact
                      for Apiwvias *Gtmftn TaraM' PM,
                      SO, and CO Twhe Uader Level I
                      Modeoaf Approach**
                        Appendix E indicates on its vertical
                      axis the post-trade emission rate for the
                      stack with increasing emissions (E). and
                      on its horizontal axis the radius of
                      significant impact (R) within which level
                      I trades may be approved despite the
                      presence of complex terrain outside that
                      radius.
                        The curves in Appendix E have been
                      generated using a normally conservative
                      screening model VALLEY, to estimate R
                      for each E. using the 24-hour and 3-hour
                      air quality impact significance level for
                      SOi and the 24-hour significance level
                      for paniculate matter (PM] which have
                      been established for level Q modeling. It
                      was assumed that the short-term
                      standards would be controlling.
                        The 7-stabHity class was assumed.
                      and wind ;?eed  was presumed to b« oae
                      meter per . scond for estimating the
                      radius of significant impact for the
                      three-hour period, and 24 mater* p«r
                      second  for the 24-hour case*, la.
                      developing the three-hour curve, it waa
                      assumed that F-stability and a wind
                      speed of one meter per •ecood would
                      persist for M nuirh as fourteen
                      consecutive ham. la d«velapiag lb« it-
hour curves, it was assumed that F-
itabiliry wttfc a wind speed of 2-5 rr-eterr
per second wooU occor for six hours of
any 24-hour period*
  Thtsi Appendix provides different
estimates for SOi and PM becaase the
significance levels  for these pollutants
are different For CO. the R value for E
value may be determined by multiplying
the E for SOi by twenty (20). Tint w a
conservative approach towards
determining radii of significant impact
for CO. Where the  effective height of the
stack with increasing emissions is not
changed (e.g* where the only change is
in the sulfur content of fuel burned), the
change in the hourly emission rate (E)
may be used in lieu of E."
  1 The conrn in Appendix E «r«r» d*nv«i uimg
OM aamunpttoni d«nM abov* to Owl ihry could
b«uMd lo4*tn«M ratfii of *«nOoMi urniwct (or
•ourca in «ny put at It* aooattj. H«w«v«r. It i>
pouibU (b*t tar too* «nu, local autcorolofical
condilioni will kt •ted 4km «i»»ri>«n»t. \ttt
con»«rvinv« iBM*ar»ta^e*i ••onuxion* an b«
        w tom\»\ni iii*M rtdu.
can show ttut tb* «M or sych ailtroiuv*
immiplloni ii t\nnm»ttt» fm • frtn ITT*, rttey
d«v«to» «!!•••• n im*m 
-------
                                / VoL M.


^
Maximum Emission Rat* (gm/i



;-U?URE 1:
&?.
•i*F*-'
*>J
y-a
iOO
30
90
70
60
50
40
30
20
10
9
8
7
6
5
4
3
2
1
nn of Significant Impact for PM & SO2 for Different Averaging Tim
S02(24hr)
*
^* PM (24 hr)
/*
/*/
/rf S02(3hr)
I ^^ >
rf / ^
^/ ^
^rf ^
// /
// ^
-/V ^
: //
b ** X
: /,^ /
: // /
r ,y /
/^ ^
^ // /
-^/
// /
^ c* ••«
^ i i i i i i M i i t i i i 1 1
- 2 3' 4 5 6 7 8910 20 30 40 50607080901
                                                                                                43s:
MJJMO COM 
-------
43860            Federal  Reystar /  VoL 51.  No. 233 / Thursday. December 4. 1986 /  Notices
Appendix F— CFR Part 51 Conversion
TabU
  On November 7. 1388 (51 FR 40654)
EPA restructured CFR Part 61 and
renumbered many of that part's
sections. Because most readers will be
more familiar with prior designations.
today's notice contains citations based
on Pan 51 as it existed before this
restructuring. A detailed finding list of
the old versus new citations can be
found in Table 2 of the Preamble of the
November 7 notice. Today's readers
may also use the following table to
convert today's Part 51 citations to the
corresponding new ones.
       CFR Part SI Coavraioa Tibte
 Old W CFR SI Citation      .V»w -40 CFR 31
                          Cuaiion
il.18               ' Subfwn I
ii.iain               Ji.itwii
5t.lS(i)(lHvi|          Jl.I«*iKH(vi|
                    SU86UX1H.I
51.1«j|(3](M)(c)         51
Sl.l«(k)              M.lftNbl
51^2                51.181
51.24                si.iaa
                    Sl.iee
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REFERENCES FOR SECTION 10.7

-------
43824	Federal  RefUtet / Vol. 51. No. 233  /  Thursday. December 4. 1986 / Notices
determination miut be submitted with
the rule, tnd must me the seme type end
quality of analysis required for an EPA-
approvable SIP. In no event may the
overall emission reduction required of
generic bubbles in such anas be less
than 20% of the emissions remaining
after application of the baselines
specified above: and
   (e) provide assurances, in conjunction
with the state's submittal of the generic
rule to EPA. that the state (i) is making
reasonable efforts to develop a complete
approvable SIP that will achieve the
percent emission reduction from
controllable sources described in the
previous paragraph and (ii) intends to
adhere to the schedule for development
of such a SIP (including dates for
completion of emissions inventory and
subsequent increments of progress), as
stated in the letter accompanying the
submittal or in previous letters. EPA
believes that the numerical
determination and progress requirement
discussed in the previous paragraph i»
the functional equivalent of the
additional assurances described earlier
in this notice (see Section HBlb above)
for bubble* needing case-by-case EPA
approval since bubbles meeting this-.
requirement will produce attainment*
level reductions. For that reason. EPA
does not believe that it must require the
state to make those additional
assurances when it submits the generic
   Therefore A* redwcnonj needed from
 controllable stationary touren «n
 «.«SO-UaO-JJ60 tona/yr.
   And the percent tnumon reduction required from
 controlUblf stationary source* to attain is
                     ioo-ee%
   Thu* the net overall reduction required (ram e»ds
 tenenc bubble would b* M« (L«, the reduction*
 produced by applicable tMatilan (14- appi(c*noo
 of a RACT emission nt*| phi* whatever percent
 reduction m emiauona remaining after thia RACT
 limit ii sufficient 10 yield the »»* totall
   State* that wi«h to avoid uaa-be-cue StT
 reviiiona for source* for winds RACT kia not yet
 been defined m an approved SIP pronton may
 incorporate "presumptive RACT" veJues (t.t_ SO*
 reduction for VQC] ;n men generic rule*. Source*
 would than have the option erf accepting these
 RACT value* for generic bubble purpose*, or
 netotiaitne, different RACT value* through the ca*e-
 by-caw SIP reviton proceta. However, wnere a
 source mvorved in » tnde is one for which EPA ha*
 luoed a CTC. but the slate h» not yet adopted the
 CTC-epecified emmion me •• RACT jnd no RACT
 ha* yet been ipecifled by ihe state for ih«t source.
 the presumptive or negotiated RACT valuef for the
 trade must b« 11 tessi as restrictive is the CTG-
 specifted emimon rue (or mat source
rale. However, to assure that generic
approval* continue to complement and
do not interfere with attainment
planning. EPA will require the state to
include all of those assurances to or
with its notices of proposed and Baal
approval of each bubble issued under
the rule in such a nonattainment area.
Generic rules meeting these
requirements will assure that each state-
approved bubble produces reductions at
least equal to those which would be
required under an approved
demonstration of attainment Their
availability can also encourage states
and sources to take significant further
steps towards such demonstrations.
Since reductions sufficient for timely
attainment are all EPA can require for
approval of State Implementation Plane
under section 110 and PartO of the
Clean Air Act Train v. NRDC supra.
further Agency scrutiny of individual
bubble reductions is not required.
2. Procedural Requirements
  Today's notice includes tightened
requirements designed to assure, with
minimal burdens on states, that EPA't-
responaibiiity to monitor the
implementation of all generic rule*
incorporated in SIPs (see sectta?/
110(aH2ttA)(H)) is more efficiently an*
effectively carried out EPA will fulfill  "
this responsibility by (a) examining and
commenting on, together with any other
public commenter under applicable state
law. the information-provided for
individual trades subject to-proposed
action under generic rules, (b)
conducting reviews of individual trades
approved under such rules: and (c)
periodically auditing implementation of
 the rule itself as part of its National Air
Audit System investigations of state air
 pollution control programs, including
 indeptb file audits of actions under such
 generic rules. These activities will cover
 state actions of disapproval as well as
 approval and will examine  whether
 rules are being interpreted or applied
 within the scope of their approval by
 EPA.
   To be considered valid by EPA. a
 trade approved under a generic rule
 must (1) be one of a da*t of trades
 authorized by the rule. (2) be approved
 by the state after the rule has been
 approved by EPA. and (3J meet all the
 provisions of the EPA-approved rule.
 State approvals which do not meet these
 requirements are not considered part of
 the SIP and do not replace pnor valid
SIP limits, which remain enforceable
and may make such trades the subjec:
remedial action after due notice by EF
to the state and sourcav
  In addition to requiting that generic
rules or other state provisions assure
meaningful notice to EPA by the first
day of the public comment period on
proposed generic actions, and
immediately upon final generic action
today's policy also requires that state
generic rules or other state provisions
provide the general public adequate
notice and opportunity to comment.
including opportunity for judicial revie
sufficient to make comment effective.
Existing state generic rules, statutes or
regulations will generally satisfy this
requirement However, some
jurisdictions, for example, deny judicu
review to commenters who do not
possess a direct financial stake in
individual permits. Such jurisdictions
will have to modify their generic rule.
other provisions.' to meet this
requirement

B. Bubbles Involving Hazardous or
Toxic Air Pollutant*
   EPA reaffirms and extends  its 1982
determination that bubbler in toy a«
must not increase emission* of
hazardous or toxic air pollutants.
Bubbles  cannot be used to meet or a-,.
National Emission Standards for
Hazardous Air Pollutants (NESHAPs)
that have been finally promulgated
under Section 112 of the Act.  When:
NESHAPs have been proposed but ,-j.
promulgated for emitting sources whtc
 are the subject of a bubble application
 the proposed NESHAP will generally
 serve at the baseline for determining
 creditable bubble reductions, and the
 trade must produce reductions at leas
 as great as those which the proposed
 NESHAP would produce, if
 promulgated. Moreover, no source
 emitting a pollutant subject to such a
 proposed NESHAP may exceed
 emissions allowed under the proposec
 NESHAP as a result of the trade. VVhe
 a bubble involves a pollutant which  is
 fisted under Section HZ but  no
 NESHAP has yet been proposed for  :.-
 relevant source category, or a polluta:
 for which EPA has issued a Notice-cf-
 Intent-to-List, there must be no net
 increase in actual emissions of the
 noticed or listed pollutant.3' In genert
   ** In some limited arcumsiancts «ddinon«i
 poilunnts mey be treated ss nsiec pollutants
 Tecnnicai IMUVI Document Section I 3 1 d.

-------
                                   / Voi 51. No-. 23? / Thatxfcy. Dtcgaber 4. 1»8«-/
all bubblm iwvdvmg emJasioiu of
poUuttnt3 described above mo>l HM
tower-of-actuelHBr-NESHAft-aJlowaWe
emissions baselines, and must uk«
place within a single plant or contiguous
plants.*0
  Commenten who sdaYesaed this issue
divided into two general groups. One
froup asserted that hazardous/toxic
restriction* should extend beyond
pollutants currently regulated, propoeed
to be regulated, «r listed under Secooa
112. The** comaentt gvaenlly
maintained that restriction* should also
apply to all pollutants the Agency is
"actively considering" for listing. A
secoad group asserted that neither
volatile orgaak compound (VOC) nor
partteuiate emtsnom should be traded
unless there is deer evidence that
specific subetaocet present ia such VOC
or particnlata eousstona art "relatively
innocuous."
   EPA baa determined that tat reaaoM
of policy and adminietrmtive practicality
these suggestions, wail* laudable in
taueni should net b* adopud. Bubble*
are altamatiye means of
evidence
detemm
 which should genealfr be treated no
 differently *hMi other compliance
 strategies, provided basic SIP
 requinnents of consistency wtta ambient
 needs. PSD increments, sod fa***™
 progress are met EPA'i statutory
 authority to farther restrict trades on ft*
 basis of hazardous substances which
 may be present in a particular criteria
 pollutant stream (e.g_ VOOJ and which
 may be subject to a Bating, notice-of-
 intent-to-Ust or proposed NE5HAP. hut
 an not as yet regulated under f 112, ts
 limited. Generalized attempts- to
 exerdsv SBCD eut&orrfy ocsed"on me1
 presence of substances on which me
 Agency has takaa ao fbnoti acti«A
 whatever wctrid b* still more >sensoB»
 Moreover, the inherent ambiguity of
 such terms as "actively considerinf" or
         tfan* era- ta bt pr ilemd.
polluU
Us ted.
  Interested parti t» *hooM b* a
however. UwH oodcr todays peUeylfce
Admmistratm lesai y ta dtecrettoo to
consider on a case-by-csse basi»
whether bwfcWeproposale in vohre
  allutaals which, while net regulated
      or otherwise noticed under »
112. are regulatad as toxic under other
federal health-based statute*, a*4 la
require further analysis before
approving such proposals

over the ttttt policy's use of the term
"reasonably dost" to uvficata the
distance which may be covered by
bubbles involving pofluunts Bated or
proposed to be regulated under sectton
112. EPA agrees tWs term Is ambiguous.
and wits on exception of bubbles' which
                        h peBt
below the !ower-o£eet«ei-av-MBKAPt-
ellowable baaeifae. ha* febsBtetsd tW
more protective ead i
that suck trade* occvx wHhiiiasiag*e
 effect*,     ys
 they rely oady aa>
          a* «f the
 whidbeva* iarlovec, ia
 noticed.liated.os profaaea ta b*
 regjdatad under aactfeotltt.
   Sevacslaf these preyitinrrsi  nnterJj
 the proposed MBSHAPi Gasel&^aneT
 sniirra iperfBr m npie>eow«ta?n bas«ttn«s
 represent substantial ftgfateidngs vm
 the 1962 policy.
"relatively inaoaous" "r^v^rf asauut    C BanJciaf Eattm'on ftW"**^ QaoFtt
such tests. States rexMio free t» adopt
further restrictions conststtnf wttb local
Isws and needs. However, with respect
to national requiremaais EPA has
concluded that clear eaaaiaei pointa
based on actions purseanfto tfcr
deliberative process aadtacord
   "Tb* oat netptfea larot*** «wt*tai m
  lorplot rtdocaoMt a th» taMnon at poOnt«n»
  iubt*e( to rtfnUflan. piuymiu rvfaltaoo. Itxttnc, or
   EPA-asasovabk
 banks meyaUow source* testae* BBCe>
 for their own futwe- use or nisegrntheta
 Today's notice reiterates thai ste4as axe
 by no masiM required to adopt v"Lj~t
 procedures, but aotaa

 important p^ffnins aad
            r taemtn a no«-*L»iin*xa
  •miMton*. (Et- W*«TT i
  tflumon* Mow ttt* bnvtbx ivm^ftv* tbrri. in
  txdunff far eolTMvomdine'raatncn-rtMwftm ta
  i noa-fertn-dou VOC) A* torn ti »uci « cndt
  •rovirf net rwoft ia to tncmw to ttttar Krari or
 . (UOWlbU CffllUMIM Of I DOihllUI MlblWt to tfM
  ip*a*l rwtnrtctw iflnimid »tx*i n trry «ourc«.
  it
                                                       eaa eew
                                                                                          i ortxpanstau
                                                                             source siting: orcxistiny-sonrrK
                                                                             campflasce. >roperiy.itractnred ba
                                                                             nuf rtdkice inc«nflvet for sources to
                                                                             delay, conceal or hoard' acnal cr
                                                                             potential reductions until an ir^edtati
                                                                             use arise*. Banks may also pro* • ce
                                                                             other, interim environmental ^v-.ffii*
                                                                             sinca banked EXCs remain on: sf uh« a
                                                                             (although they must be treated ir.t Sff
                                                                             p[«f^jp« purposes as "In *^* ai? "• until
                                                                             used. Ia addition, beaks can help s;ate
                                                                             agencies manage their permit worxloac
                                                                             mom efficiently, because, portico t of
                                                                             new source or existinfl*aourcs
                                                                             compliance, transsctioos may as pre-
                                                                             permitted or, reviuwed in adva>se.
                                                                            . Banks may also balp sous*
                                                                             syefcMastinlly asaure thai all unused
                                                                             surplus lamicttaas are treaud as "in tbt
                                                                             air" for SIP ptanaiaf parposee. avoiding
                                                                             potential inrnneistsnoea which ought
                                                                                                   i be lost
                                                                                                > soevs eonftmoM
                                                                             over whether, fat ad* flew t» nee ting
                                                                             other KRC requirements, reductions
                                                                             must be sari* ferfersffy enforce»fa*e to
                                                                             be flwmfycredRed far benkrag: Tb«
                                                                             answer irae; IFowsiei. in order \»
                                                                                              rreAtttioo credits
                                          ? ov CBepoeitvv tvjsfA-e^pru vs DM
                                        baaia; emasrep redeca'aos must be
                                        mad* euAfl usable- by tfte rtete.
                                        Redtettoa* mat be a»d« enforceable*
                                        by the stale by their tmrr of deposit i&
                                        order. rg>. to befter enurt the integnty
                                        of. me saU's air qualify planning
                                        voces* By pravmnttaf *onrc»* from
                                        leaking reductions of emiitionx which
                                        their permMs do aai preclude them from
                                        slso pnrrvnt uncftt* reliance by psrtiei
                                        or potential parties oa.eauuioa
                                        rednctJDB*. wkicb hav* oot nf."jally
                                        occurred.1* However. bccaoM
                                                                               Tce
                                                    OO
                                                                                                        UJ t>*ni or
                                                                                                                fcr
                                                                                                  tA.lJtll) of today i
                                                                                                  ). Foilewiri puoituuo*
                                                                               almj»j'ttx>6c*. *»"oamo/«ppUc»non to bini '
 beaefils.ir Banks ma.y
 to crests inexpensive «xta redoctiona
 at earfier. optimal times (t^ wmm
 repUcing outwore control sqidlpmeot or
 deciding how to meet new rsquiremeatsf
 and disclose nich information to stue
 agvncrev. Tney uia/ hsip cjcata a
 pool of identifiable, rradlty-mnlairic
                                        tb*fuw to mk> t rariaefloo xm-iatomrtitt
                                        arD^^ or osoearr^Bt ••**«•» oi i tarmii b4r_k or
                                        WW««lbBriEfiwa«dHaMB>«ti*c!!nn !_•>: ;:i:
                                        o/ nxar i T«4me«t lunn Ooenawnfl.
                                          B oA«r wnk tfamn*! tmutiet nducnem
                                        cmnej ^oABJT «« WC« of b« Aoo«i(*^m £7A-
                                        HHiiimbh biati ouSa*r «r»««d« *n/orcca9(*
                                         by Or iU«K «
                                         oibtr formal or in/oan>l bcaJnnf rtfcr.tiuitr.i wmcA
                                         do aot Bit* rcdueltDB* fU»-«nfora«p*i 9v Tr.
                                                                      m ftinur
                                            ' S»« M- V fH 130S3-M (ApnJ T. 1BSO).
                                                  »•/ w»8 b»*»»^
                                                              ruvrtn^ft^    ^AJ^W
                                                              TV^21AI9ry pTWTI^^^^^B
                                                              """"•    _   ^a^

-------
                   Fadml  togbtar / Vet n. No. 233 / Tnumiey.  December 4. 1988 / Notice*
                                                                        438-4 f
 standard;" ana1 tf inch a* ewtrysfe efeea
 not predict any i»crea» in ambient
 concentrations in • mandatory Federal
 Class I tree." The change In
.concentration from the before-trade u«e
 to the after-trade caM must in general
 be modeled using refined models such
 as MPTER and ISC for each appropriate
 averaging time for the relevant national
 ambient air quality standards for each
 receptor, using the most recent full year
 of meteorological data.40
   (4) Lentf/f. Full dispersion modeling
 considering all sources affecting the
 trade's area of impact is required to
 determine ambient equivalence if
 applicable net baseline emissions will
 increase as a result of the trade.41 or if
 the trade cannot meet criteria for
 approval under de minimi*. Level I or
 Level IL
   However, a geographically limited
 Level ni analysis may be used in some
 case* where a Ltwel U anelyxis prediots
     la dtttmtaii*-»tnAc»M-iapKl fee Ln*< B
              nojoje»ti/y tr»**»<
 pounntl •Bbnsl iaptet need aM bt further
   10 u/n* far toy M-toer penod for pwtteoUl*
   e(t«r
   I »«/•« far Mjr WMMJ p«nod far
   U »«/•* for «ar M^ov pnad for S0«;
   «• M«/»» for u> t-haw pan** far XX.
   1 *!/•' for «a «oau»J p*rtod tor SX
   sn ,*/•• for toy S-ho* penod far CO
   OOP */•« far MT 1-tww ptAod far CO
   Se*«ni3raef.At**t*r. nan. Par •/)!•<
                BI with EPA'i i
 Rrr>n. rcfuUllom la 40 (7X Sl.ll or Put 31.
 Appendix 1 or pwrelW RPA-opprowd Hit*
  51. Ap»e«dn S i
  ererife for pamcuialn. SOi or NOt 1 wf/a' J*-
  hovr even** for p*mcnl«iei end SOi; 21 n/m* J-
  how tvtr%ft for SOi: end Ot mf/Mr1 then i«eun
  end 2 a«li»' one-hour •*•»§• for CO.
   " Hownwr. • bubble onrtnanlr mej tat be  •
  epproved under Level II where other nuleae
  releted to badttround— 1.». formally **rMet«d
  tmoMdl air «u»iiiy momMrlnf d*t« or prmoniy
  tfUblMMd bickcround vcluw— eUvity MdtaiM
  Itxit the bubble would craMi i anr vMUAon of M
  unbtrat fiandird or PSO tiB«B«it. or «ra«M d*Uy
  U>t pUnotd rrmovil of *a «MMta( vMittMk.
   •• Other irchniQun nuf b* «pyiu»»d »l»n
  •ourcn intrw they equ»l»jr wrt protect NAAQ&
  •potioblt PSO incrttMMfc cad «MbUlrjr. For
  tuapir ui limned ameaMnet»«t*u>r*Mv«
  toMtuni modeli mi? bt eeufXeM* m ta« of
                  «» not be nimiei) Jack
  •ertenim modrl. nuy be «ec«x«We tHterr (i| Th«
  Kreenin« owdel thowi th«i «U the eniHMmi fro*
  the itNMil wti lacrtiMm emiMtont mutU BM
  produce cxendincn of Ihe-LweJ U r^uAc»ac«
  «ilae« dmnhni in n. M ibex, or (b| (he M>ck
  do not cbenfe onrf the term** mod«j >6«wi tkM
  the incrre.ee in emmone; el the iHo
  would not prvdao mmdenen o< th«M
  nfBi&ciace »«!»•«.
    " Srt dinru»«ion in i B.l.c b«law
ottr or B«T« emttduoe* «f At LeTTtl n
si^saare rafeM. WWJ«y rirU analyst*
will be Kantavi M term* of geographic
acopt. It «a*< othaTurtat) meet ihe
modeUni raqolremenli fan Ml Lerel
m snaJyals. Indodinf coosJderation of
all soarcta affecttnf the BmHed
geographical ana, In many situations
this approach may permit the receptor
area t« be smaller than the trade's entire
area of impact Because cf the unique
narara of each Situation, the appropriate
limited geographic area must be
determined in accord with EPA
guidelines on modeling, and through
case-by-caae evaluation.
  Bubble trades are approvabl* under
either type of Level  UI aaaiyets if they
do not cause a new  violation of NAAQS
or PSD increments,  significantly
contribute  to or delay the planned
removal of an existing violation, or
adversely affect visibility in mandatory
Federal Class f areas.4*
  This three-tiered ""«^H"g approach is
both reasonable aad conservative. It
will assure that the  ambient impact of
trades is at least eqoivaknl in affect to
original SIP emiitsifMi limit*, while
conserving government resources and
shortening approval times for many
indivuiwu  trade*.
  c A/AMs* Should N# /KTMM
Ordinarily, bubbles may not result to aa
increase in applicable net basehna
emissions. Such a bubble would require
a case-by-case SIP revision, and may
only be approved baaed upon a
combined Level 01 and Level D •
modeling anaJytis (La, aa analysis
sufficient to show that all applicable
requirements of a full Level m analysis
(as described above) are met. and that
the bubble would not result to any
exceedance of significance values
specified for a Level U analysis at any
receptor for any svereging ttme
specified in an applicable ambient air
quality standard.41
  •• WTwre * UveJ m nodeltnf uuirsu Mibminod
 to fopenrt a rohanrj tndtaf ew»i-»lHju todfcita
 taeiLierteaa of ••mbteat r»miU«m«e». iFA Mil
 revtew rucfa «pplicioot«» oa * eonunoB »ene« CM»-
 by-csM b«*i<. ee*fcu)( to «ncauf»s» dttdoenr* of
 eudt exexrdaneea ud n«»d andae «M»* of
 ooeltiom «• the trade, wMk «ihjn»ia)| •Motttf
 protertoB of pafaiie WeJti. the tettsrtty of tftt SEP
       (lucduotni DM ttttc't pwntfittvvv to
                              Ul end the
 oanirumoMnt in Itt rmnr. KM Aftnef vlff «k»
 into *eoo«nt eaah ftclon «i tb* d<|»e o(
 excM6*noe. UM anlnb«tta» of tbt trodlnf eo»ree«
 «nd the tnde l»t*4f la tbe OCMVAIMC. end *•
 defTM to wtilet e«eh *eejo«e wotttd be pmn of Off
 tolution rMsedrtni the exaoduMfc
  «• Where « piuyueed bwbble l»uieKn| nH
 beeeAo* e«ttu>o>w cennoi me*t Uu» MM of eoblex
 equiv»le»». n »«T net be nipruned e» « iMWM
 uDder the CBIIIIIOTM Tredtnf P«M«. He»«iei.
                                  in «
                            must
demoMtratv Ikat the trad* is conslste
with (he^pvmjPsM denwnelratfon under
u approved dwwontfrarton of
artalnflreflt rrrfM Hi 8PA-epproved
piuyeea demonetraMon a* part of (he
proposed Sff revision, or otherwise
show (a*, by modeling and any
necessary compensating emission
reductions) that the proposed trade
comports with the EPA-epproved
emissions and ambient progress
demonstration.
  d Bobbles Should Not Increase
Emission* of Hazardous or Toxic Air
Po/hitanu. Under the Clean Air Act all
sources must meet applicable section
112 (NESHAPs) requirements for control
of hazardous air pollutants. Sources may
neither use a bubble to meet these
requirements, nor increase emission!
beyond the levels they prescribe. Where
a sovea wishes to generate or use
emission reduction credit for a criteria
pollutant and where a NESHAPs
pollutant la part of the criteria  pollutant
stream, the eniaakms baseline for
emissions of the hazardous potiutant
bom that source wouhd  be the  tewer-of-
actoal-or-NESHAJVeilowsble
eariseroos of that pollutant, eppiied as of
the tfaw of application for credit. Whert
EPA baa prapujei/ to regulate s source
category for emitsfons of a pollutant
under section 112. but has not yet  ,
promulgated a NESHAP for that source
category, the proposal will serve as  the
interim guideline for evaluating the
potential effectt of any proposed
esaeioes trad* involving sources to
which the proposed standard would
apply. Tbe emissions baseline for such a
pollutant emitted by a stmrce subject to
the prupuied NESHAP would be lower-
of-ect»aJ-or-propos«d-NZSHAP»-
allowable emissions for that pollutant.
   In general, such trading proposals will
be approved so Jong s«  they (1) result in
emission limits for each source emitting
the relevant pollutant which are
equivalent to or less than those that the
approved NESHAP requires or the
proposed NESHAP would require if
promulgated. (2) rely only on reductions
betew actual or allowable levels
(whichever is less) of that pollutant, and
(3) take place within a aingla plant or
contiguous plants.
   When a pollutant has been listed
under section 112 or EPA has published
 a Notiee-of Inteot-ro-LUL but  no
 NESHAP has been promuJgsted or
 proposed for a source which emits that
      i o*T irt e«**« eue* rm»»d Ilimti for
 •powr*«l ond«r
 to SIP ri rlnoxe.

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REFERENCES FOR SECTION 11.2

-------
                                                       ?N 113-37-C3-22-
          UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                          SEP 2 3 1987
MEMORANDUM
SUBJECT:  Review of State Implementation  Plans  and  Revisions
          for Enforceability and Legal Sufficiency

FROM:     J. Craig Potter
          Assistant Administrator
            for Air and Radiation
          Thomas L. Adams  Jr.
          Assistant Administrator  for  Enforcement
            and Compliance Monitoring
          Francis  S.  Blak<
          General  Counsel
          Office of  General  Counsel

TO:       Addressees

    One critical function  that  your  offices  perform is to
assure that  regulations  developed for stationary sources
by the States under  the  Clean  Air Act are enforceable and
legally sufficient.   Our regulations require that the state
implementation  plans ("SIPs")  must "be adopted as rules and
regulations  enforceable  (emphasis added)  by  the State agency"
(40 C.F.R.  S51.281 (1987))." We are  concerned that review of
SIPs  for  enforceability  has  not been receiving adequate atten-
tion.  The  Agency  sometimes  experiences difficulties in its
efforts to  enforce the current  rules because they are not
sufficiently clear.   The Regional Offices are at the forefront
of the federal  SIP approval  process.  The purpose of this
memorandum  is to  remind  you  of the importance of doing the
review necessary  to assure that.all  SIP plans and revisions
are enforceable and in conformance with the  Act.  Please do not
forward for approval SIPs  which fail to satisfy the enforce-
ability criteria  in this memorandum.

Backoround
      Recent information indicates that the attention being  paid
 to SIP approvals is declining, particularly for enforceability.
 The Office of General Counsel reviews regulations as to  their
 adequacy under applicable law and Agency'policy, but. not  for
 enforceability.   This void is not being filled by other  offices
 Cfter., the problems with enforcir.c the reculations are .n.ct
 immediately obvious sr.c only Become  r* ^ '•* Q ^5»*^<'f"*M^— * »*£l'"^''~.2""'''"*1r*   A *" *• -^ rt /**S xt •» cut V*\ A ?»  1QP£
 „ O v_ *- o c o wii u.it: wdLv.*u**- — * . :r — w * c: i— o •; •  n <- L * * c OCwODcT  J.-7OD

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                                -2-

Annapolis meeting of Air Program Directors and Regional Counsel
Air Branch Chiefs, a number of problems in recent enforcement
cases due to difficulty in interpreting and enforcing regula-
tions were discussed.  With the recent weric being done to
address the nonattainment problem, it is even more critical
that regulations be clear and enforceable.

     It is appropriate that the Regional air compliance staff
and the Regional Counsel's Office have primary responsibility
for this enforceability review because they have the most direct
experience in compliance and rule interpretation.  They also
have resources allocated through their workload models specifi-
cally for SIP review.

Timing of Review

     The Regions should try to review developing State SIP
provisions prior to final approval by the State, when the
provisions are at their most malleable stage.  In line with
this, each Region should provide its States with a copy of the
implementing guidance  associated with this memorandum and a
briefing which outlines the enforceability requirements for new
SIP submittals.  If we provide the  States with more explicit
guidance and make earlier contacts  to resolve problems, we can
avoid  instances where  EPA is pressured  to settle for a flawed
regulation only 'because it  is better  than its predecessor.

Enforceabilitv Criteria

     Your  review  should ensure  that  the  rules  in question are
clearly  worded and  explicit in  their  applicability  to the
 regulated  sources.   Vague,  poorly  defined rules  must  become a
 thing  of the  past.   SIP- regulations  that deviate  from this
 policy are  to  be  disapproved  pursuant  to Section  110(a)  of  the
 Clean  Air  Act, with appropriate  references  in the  C.P.R.  Speci-
 fically,  we  are  concerned  that  the following issues  be  directly
 addressed.  'The  rule should be  clear as to  who must  comply  and
 by what  date.   The  effect,  if  any,  of changed con 'itions  (e.g.,
 redesignation to attainment)  should be set  forth.   The  period
 over which compliance is  determined and the relevant  test
 method to be used should be explicitly noted.   Provisions  which
 exempt facilities under certain sizes or emission levels must
 identify explicitly how such size or level is determined.
 Also,  provisions which allow for "alternate equivalent  techniques
 or "bubbles" or  any other sort of variation of the normal mod-e
 of compliance must  be completely and explicitly defined and must
 make clear whether  or not"EPA case-by-case approval is  required
 to make such a method of compliance federally effective.

-------
                                -3-
Conclusion

     SIP revisions should be written clearly/ with explicit
language to implement their intent.  The plain lancuaoe of all
rules, "as well as the related Federal Register notices, should
be complete, clear and consistent with the intended purpose of
the rules.  Specific review for enforceability will be a further
step in improving the overall SIP process and structure.

     We have attached detailed guidance to assist you in
implementing this memorandum.

Attachment

Addressees:

     Regional Administrators
     Regions I-X

     Regional Counsels
     Regions I-X

     Air Management Division Directors
     Regions I, III and  IX

     Air and Waste Management Division Director
     Region II

     Air,  Pesticides, and Toxics Management  Division
     Directors
     Regions IV and VI

     Air and Radiation Division Director
     Region V

     Air and Toxics Division Directors
     Regions VII, VIII. and  X

cc:  Deputy Regional  Administrators
     Regions I-X

     Regional Counsel
     Air  Contacts
     Regions I-X

     Air  Compliance  Branch  Chiefs
     Regions II,  III,  IV, V, VI,  IX

     Air  Program  Branch  Chiefs
     Regions I-X

      Darryl  Tyler,  Director
      Control Programs  Development  Division

      Gerald  Imison,  Director
      Office  of  Air  Quality  Planning  and  Standards

-------
                               -4-
cc:  John S. Seitz, Director
     Stationary Source Compliance Division
     Office of Air Quality Planning and Standards

     Alan w. Eckert
     Associate General Counsel
     Air Division

     Michael S. Alushin
     Associate Enforcement Counsel
     Air Enforcement Division

-------
          UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                                    2 3 1987

MEMORANDUM

SUBJECT:  Review of State Implementation Plans and Revisions
          for Enforceability and Legal Sufficiency
FROM:     Michael S. Alushin
          Associate Enforcement Counsel
           for Air Enforcement
          Alan W. Eckert    ^^
          Associate GenerkT"co'unsel
          Air and Radiation Division

          John S. Seitz, Director
          Stationary Source Compliai
          Office of Air.Quality Pla&rfing and Standards

TO:       Addressees

     This is to provide implementing guidance on the memorandum
issued by J. Craig Potter,  Thomas Adams and Francis Blake
on this date relating  to review of  SIP plans and revisions
for enforceability and  legal sufficiency.  We urge you  to
provide copies of these memoranda to your State Agency  Directors.

Applicability

     This guidance applies  to  all SIP proposals which have
not completed the state or  local agency legal and procedural
requirements for SIPs.  For proposals that have not yet
been submitted to the  Regional office for action, the state
and local agencies have forty-five  (45) days from the date
of this guidance to  submit  such proposals for review  in order
for the proposal to  be considered under previous procedures.
SI? packages currently in  Headquarters will  undergo  the usual
review but  will  be  returned to the  Regions if they  contain
deficiencies which  raise  significant questions  as  to  whether
the regulation would be enforceable.

Enforceability Criteria

     The  notion  of  enforceability  encompasses several concepts.
At  the most basic  level,  a regulation must  be within the statutory
authority of  the promulgating"agency.   For  example,  some states
have  statutory  restrictions or prohibitions  on  the  promulgation
 cf  regulations  more  restrictive  than  the  federal  counterpart.

-------
                                -2-

Although we should generally defer to a State's interpretation of
the scope of its authority, when there is real doubt we
should, at a minimum, consult the responsible State Attorney to
be certain the issue has been considered and resolved.  When
appropriate, an opinion letter should be obtained from the
State Attorney General.

      Please ensure that the following additional issues are
directly addressed.

     • Applicability

    It should be clear as to whom the regulation applies.  The
SIP should include a description of the types of affected
facilities.  The rule should also state in which areas the rule
applies  (entire state, specific counties, nonattainment, etc.)
and advise the reader that State administrative changes require
a  formal SIP revision.  Also, some regulations might require a
certain  percentage reduction from sources.  The regulation
should be clear as to how the baseline from which such a reduction
is to be accomplished is set.  In some cases it may be necessary
for enforcement purposes and independent of Clean Air Act
requirements for the SIP to include an inventory of allowable
and actual emissions from sources in the affected categories in
order  to set the above baseline.

      0 Time

       The  regulation should specify the reouired date of
compliance.  -Is  it upon promulgation, or approval by EPA, or a
future date  certain?   Future effective dates beyond  the
approved or  proposed attainment  date should not be  allowed
unless  the  related emissions reductions are not needed for
attainment.  Also, the  regulation should specify the  important
dates  required of  any  compliance schedule  which  is  required  to
be submitted by the  source  to  the state.

      0 Effect  of Changed  C-mditions

      If changed circumstances  effect  an  emission  limit or  other
 requirement  the effect of changed conditions  should be clearly
 specified.   However,  you  should  not  approve state  regulations
 which tie the  applicability of VOC  control requirements  to  the
 nonattainment  status of  the area a_nd  allow for automatic nullifi-
 cation of the  regulations if  the area is  redesignated to an
 attainment status.   Such  regulations  should continue to  apply
 if an area is  redesignated from nonattainment  to attainment
 status  unless a new maintenance demonstration supporting a  chance
 in the  rule's applicability is submitted  and approved by E?A.

-------
                                -3-

     • Standard of Conduct

     The regulation must be sufficiently specific so that a
source is fairly on notice as to the standard it roust meet.
For example, "alternative equivalent technique" provisions
should not be approved without clarification concerning the
time period over which equivalency is measured as well as
whether the equivalency applies on a per source or per line
basis or is facility wide.

     • Incorporation by Reference

      Some federal regulations are inappropriate for adoption
by reference.  For example, a state intending to enforce PSD
regulations adopted by reference must adopt 40 C.F.R. 552.21,
not 40 C.F.R. §51.166, as only the former is written in a form
imposing obligations on permit applicants.  Even then, changes
may have to be made to take into account the difference between
the State's situation and EPA's.

     • Transfer Efficiency

    Some states have attempted to provide particular VOC
sources with relaxations of  :ompliance limits in return for
improvements in the efficiency with which the sources use the
pollutant producing material.  Any rules allowing transfer
efficiency to be used in determining compliance must be explicit
as to when and under what circumstances a source may use improved
transfer efficiency as a substitute for meeting the SIP limit.
Such provisions must state whether EPA approval is required on
a  case-by-case basis.  Also, such provisions may not simply
reference the NSPS auto coating tables for the transfer
efficiency.  The improvement should be demonstrated through
testing and an appropriate test method should be set forth.
Implied improvements noted by the NSPS auto coating TE
table are not to be accepted at face value.

      0  Compliance  Periods

     SI?  rules should describe explicitly  the compliance  time
frame associated with each emission  limit  (e.g. instantaneous,
stack test,  3 hour average or daily).  The Regions should  not
assume  that  a  lack of specificity  implies  instantaneous  compliance
The  time  frame or  method  employed must be  sufficient  to  protect
the  standard  involved.

      0  Equivalency Provisions and  Discretionary Emission  Limits

     Certain  provisions  allow sources  to  comply via  "bubbles"
 or "alternate  equivalent  technicues"  or  through mechanisms
 "as  approved  by  the  Director."   These  provisions  must  make it

-------
                                -4-

clear as to whether EPA approval of state granted alternative
compliance techniques is reauired on a case-by-case basis in
order for the changed mode of compliance to replace the existing
federally enforceable requirement.  If EPA case-by-case approval
will not be required, then specific, objective and replicable
criteria must be set forth for determining whether the new
arrangement is truly equivalent in terms of emission rates and
ambient impact.  Such procedures oust be consistent with the
control levels specified in the overall SIP control strategy
and must meet other EPA policy requirements, including the
"Emissions Trading Policy", 51 Fed.  Reg. 43814  (1986), in
relevant instances.

     • Recordkeeping

     The SIP must state explicitly those records which sources
are required to keep to assess compliance for the time frame
specified in the rule.  Records must be commensurate with regula-
tory requirements, and must be available for examination on
request.  The SIP must give reporting schedules  and reporting
formats.  For example, these  rules must require  daily  records
if  the SIP requires daily  compliance.  Additionally, the record-
keeping must be required such that failure to do so would be a
separate violation "in itself.

     * Test Methods

     Each compliance provision must  list how compliance is
 to  be  determined and the appropriate  test method to be used.
The allowable  averaging times should  be explicit.  Both the
 test method and averaging  times  employed must be sufficient
 to  protect  the ambient standard  involved.

      0  Exemptions

      If  sources under *a certain  size are exempted  from control
 requirements,  the  regulation  must identify  how  the size  of  a
 particular  source  is  to be determined.

      0  Malfunction and Variance Provisions

      Any malfunction or  variance exemptions  must be clear  in
 their substantive  application and in how they are triggered.
 The rule must specify what exceedances may be excused, how the
 standard is to be  applied, and who makes the determination.

 Conclusion

      We appreciate your attention to this  matter and hope
 that  the specific review  for enforceability will be a further
 step  in improving the overall SI? process and structure.
 To assist you, we have attached an enforceability checklist.
 This  checklist should be  included as part of your technical
       rt cackaces in all future SI? cackaces.

-------
                                -5-

     Please contact the appropriate staff attorney in the Office
of General Counsel or the Office of Enforcement and Compliance
Monitoring should you have any questions concerning issues of
enforceability in particular instances.  Please contact Tom
HeIras, OAQPS, PTS-629-5526, for other questions concerning
implementation of this guidance.

Attachment

Addressees:

     Regional Administrators
     Regions I-X

     Regional Counsels
     Regions I-X

     Air Management Division Directors
     Regions I, III and IX

     Air and Waste Management Division Director
     Region  II

     Air,  Pesticides, and Toxics Management Division
     Directors
     Regions IV and VI

     Air and Radiation  Division Director
     Region  V

     Air and Toxics Division Directors
     Regions VII,  VIII  and  X

 cc:  Deputy  Regional  Administrators
     Regions I-X

     Regional  Counsel
      Air  Contacts
      Regions I-X

      Air  Compliance  Branch  Chiefs
      Regions II,  III, IV,  V, VI,  IX

      Air  Program  Branch Chiefs
      Regions I-X

      Darryl  Tyler, Director
      Control Programs Development  Division

      Gerald  Emison,  Director
      Office  of Air Quality Planning
       and Standards

-------
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                  UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
         \               Office of Air Quality Planning and Standards
\<^j£^ /              Research Triangle Park. North Carolina 27711


                                    NOV  2 8  1990

   MEMORANDUM

   SUBJECT:  S02 SIP Deficiency Checklist

   EROM:     Robert D. Bauman, Chief  \$*
             S02/Particulate Matte^ Programs Branch, AQMD (MD-15)

             Rich Biondi, Chief  U^M.
             Technical Support Branch, SSCD (EN-341)

   TO:       Air Branch Chiefs
             Regions I-X


        As you know, the Sulfur Dioxide Programs Section (SDPS)  is engaged  in  an
   effort to identify S02 State implementation plans (SIP's) that have
   deficiencies in enforceability.  We hope to have these deficiencies identified
   and corrected, or at least have schedules for their correction before the
   Operating Permits Program in the Clean Air Act Amendments of  1990 is
   effective.  Because the Operating Permits Program will initially codify
   underlying SIP requirements, it is important that the underlying SIP is
   enforceable so that permits themselves will be enforceable.   This should
   prevent a larger future effort to correct all of the source-specific permits
   that have codified deficient requirements.

        The first phase of this effort included highlighting the review of  the
   States' SIP's and submission of schedules for correction of the deficient
   SIP's  in the 1991 STARS and grant guidance.  The review of the SO? SIP's will
   be the first step in developing a "Yellow Book" patterned after tne ozone
   "Blue Book."  The schedule for completion of the draft of the "Yellow Book" is
   December 31, 1990 with the final version ready in mid-January 1991 so that  it
   will be available for use in the fiscal year 1992 grant negotiations.  The
   STARS measures require the Regions to  submit schedules for correcting
   deficient SIP's  in the second and third quarters.  This is expected to be
   followed by a nationwide SIP call in the summer of 1991 for States that  have
   not committed to corrections by this time.

        As part of the review effort, the Sulfur Dioxide/Particulate Matter
   Programs Branch of the Air Quality Management Division (AQMD), and the
   Technical Support Branch of the Stationary Source Compliance  Division (SSCD),
   agreed to work together to produce a more explicit checklist  that the Regions
   could use in their reviews to determine SIP enforceability.   Subsequently,  a
   conference call was held on November 1, 1990 to discuss draft criteria for  SOo

-------
SIP enforceability.  In addition to AQMD and SSCD staff, the participants  In
the call  Included SO? SIP and compliance contacts from nearly every Regional
Office, as well as representatives from the Offices of Enforcement and
Compliance Monitoring and the General Counsel.  The attachment is a revised
version of the draft checklist, originally developed by David Schultz of
Region V  and revised by Louis Paley, SSCD, to reflect the comments of the
participants in the call.  We will be transmitting draft contractor reports
identifying State S0£ regulations that may warrant review.  This is not a
complete  list; however, we hope that it is helpful in directing your efforts.

     The  checklist only includes issues that are explicitly stated in current
policy.   However, there are several additional issues that have been
identified as being needed to ensure enforceability but that may require
further refinement or interpretation of existing policy (i.e., the extent to
which demonstrations of continuous compliance require the installation of
Continuous Emission Monitoring Systems, and what to do about director's
discretion clauses) before it is decided whether or not to disapprove a SIP or
issue a SIP call on the basis solely of such issues.   These items are numbers
5 and 11  on the attached checklist.  These issues will be considered in a
separate  effort.  If you feel that State/source rules are deficient in this
regard, we ask that you identify them and include them in your completed
product in December, so that if the policy is revised, a second review will
not be necessary.

     To prevent duplication of effort,  we are also asking the Regions to
identify  unresolved section 123 deficiencies along with the enforceability
deficiencies.  These include SIP's for compliance with the 1985 stack height
requirements, sources affected by the remand, and use of Intermittent Control
Systems.  These are inadequacies in the SIP and should be flagged for
correction.

     Because the time is short, we are asking that the Regional Offices use
the checklist to begin reviewing the SIP's now, as we have discussed
previously.  Our staff will  be In touch with the SO?  SIP and Compliance Staff
in the Regions to assist in reviews and to provide further guidance as needed.
If you have any questions or comments,  please feel free to contact Louis Paley
of SSCD at FTS 398-8723 or Laura McKelvey of SOPS at  FTS 629-5497.

Attachment

cc:  Ron Campbell, OAQPS
     John Calcagni,  AQMD
     Ken Harmon, OE
     SO? SIP and Compliance  Contacts,  Regions I-X
     Patricia Embrey,  OGC
     Eric Ginsburg,  AQMD
     Linda Lay,  SSCD

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                                  ATTACHMENT

               S02 SIP ENFORCEABILITY REFERENCES AND CHECKLIST


REFERENCES (see citation listing on page 5)
     Ref #1, Pg.  2 of attachment,  "Applicability	It  should be clear as to
     whom the regulation applies."

1.   Does rule clearly specify sources  subject to rule?

REFERENCES
     Ref #1, Pgs  3 & 4,  "Standard of Conduct	'alternative equivalent
     technique' provisions should not be approved without clarification
     concerning the time period"	"Compliance Periods	SIP rules should
     describe explicitly the compliance timeframe associated with each
     emission limit"...."Test Methods	The allowable  averaging times should
     be explicit.  Both the test method and averaging times  employed must be
     sufficient to protect the ambient  standard involved."
                                                                         *
2.   Does rule clearly specify applicable averaging time associated with
     emission limitations?

REFERENCES
     Same as for #2 above.

3.   Is averaging time in rule consistent with protection of the NAAQS (e.g.,
     3-hr or 24-hr average, dependent on controlling standard)?

REFERENCES
     Same as for #2 above.

4.   Does rule have compliance test methodologies consistent with the
     averaging time and units of the applicable emission limitations (e.g., if
     rule specifies Ib/hr limitation based on 1-hr average,  the compliance
     method must be capable of calculating and reporting Ib/hr values)?

REFERENCES
     Section 110(a)(2)(F)(ii) of CAA of 1977, SIP contains "requirements for
     installation of equipment by owners or operators of stationary sources to
     monitor emissions from such sources, (iii) for periodic reports on the
     nature and amounts of such emissions"	(6)(j) "as a condition for
     issuance of any permit required under this title,  the owner or operator
     of each new or modified	must show to the satisfaction of the
     permitting authority that the technological system of continuous emission
     reduction which is to be/^ed	"  40 CFR 51.20,  "Each plan must provide
     for monitoring the status of compliance with any rules  and regulations
     that set forth any portion of the  control strategy"	51.214(a), "The
     plan must contain legally enforceable to - (1) Require stationary sources
     subject to emission standards as part of an applicable plan to install,
     calibrate, maintain, the operate equipment for continuously monitoring
     and recording emissions	"  Ref  #2, Pg 2, "Policy, CEMS (continuous
     emission monitoring system) should be used to assure continuous

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     compliance of sources in both attainment and nonattainment .areas.
     Resources- should be allocated to monitor continuous compliance of sources
     in areas where the greatest environmental benefit is likely to occur.
     Therefore, priority should be given to ....SIP (including major and minor
     NSR sources)	"  Ref #3, Pg 1, "Our continued goal with SO?, as well as
     other air pollutants, is to strive toward 100% compliance with all
     emission limitations"and standards."

5.   Does rule have a means of determining compliance/excess emissions on a
     continuing basis (e.g.,  if Ref. Method 6 is the specified reference test
     method, then the CEMS or FSA (fuel sampling and analysis) data must also
     be determined on a continuing basis)?

REFERENCES
     Same as in #5 above.

6.   Is the averaging time of the rule's continuous compliance monitoring and
     reporting methodology consistent with protection of the NAAQS?

REFERENCES
     Ref #1, Pg 4,  Recordkeeping, "The SIP must state explicitly those records
     which sources are required to keep to assess compliance for the timeframe
     specified in the rule	The SIP must give reporting schedules and
     reporting formats."

7.   Does rule specify requirements to report compliance data to regulatory
     agencies, including format and frequency of data reporting (e.g.,
     quarterly reports of 3-hour average excess emissions)?

REFERENCES
     Similar reference to item #6 above, "Records must be commensurate with
     regulatory requirements,  and raust be available for examination on
     request."

8.   Does rule contain clear  requirements for compliance data recordkeeping
     and retention (e.g., all  emissions data,  recorded in units of the
     standard, must be retained on site and be made available to regulatory
     agency inspectors;  data  must be retained for at least 3 years)?

REFERENCES
     Ref #4, D, 2,  Conditions  for Using the Alternative Approach, Enforcement
     Considerations,  states that revisions must contain:   "an easily
     enforceable technique for multiple emission points	In general, the new
     limits must be at least  as enforceable as the existing requirements.
     This applies with special  force to alternative control strategies that
     involve multiple sources."  Furthermore,  in its section entitled "Summary
     of Comments -  Resource Burden" it says:   "if a State does believe that
     reviewing or enforcing a  particular alternative approach would require
     excessive resources (compared to conventional SIP's), the State is free
     under Section  116 of the  CAA to reject the approach on that basis."

9.   If the rule contains an Alternative Approach (or alternative emission
     limit such as  a matrix of possible limits for a series of affected

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               REFERENCES  FOR S02 SIP  ENFORCEABILITY CHECKLIST


1.   Policy Memorandum - "Review of State Implementation Plans and Revisions
     for Enforceability and Legal  Sufficiency," J.  C.  Potter,  T.  L. Adams,
     Jr., and F.  S. Blake,  September 23, 1987.

2.   Policy Memorandum - "Transmittal of Reissued OAQPS CEMS Policy," G. A.
     Emison, March 31, 1988.

3.   Policy Memorandum - "Supplementary Guidance -  S0?  Continuous Compliance
     Strategy (July 5, 1988),"  J.  S. Seitz,  October 21, 1988.

4.   40 CFR Part 51, Promulgated Policy Statement - "Air Pollution Control:
     Recommendation for Alternative Emission Reduction  Options Within State
     Implementation Plans," December 11, 1979.

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REFERENCES FOR SECTION 11.3

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            UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                        WASHINGTON. O.C. 20460
,-*fc
                             JUN 2 1  882
                                                        OFFICE OF
                                                     . NOJ5C AHO RADIATION
  MEMORANDUM
  SUBJECT:  Definition of "Continuous Compliance1
              and Enforcement of O&M Violation*
            Kathleen M. Bennett    [,
            Assistant Administr a torpor" Air, Noise and Radiation

  TOi       Directors, Air ind Waste  '-Tiagement Divisions
              Regions I-IV, VI-VIII end X

            Directors, Air Management Divisions
              Regions V and IX


      The purpose of this memo is to provide you with  some  general
  programmatic guidance as to the meaning of the tern  "continuous
  compliance" and the role of operation and maintenance  (O&M)
  requirements in assuring that continuous compliance  is maintained.
  Of course, source specific guidance on O&M measures  which can
  assure continuous compliance is an essential part of this program
  and this memorandum is-not intended to substitute for  such
  guidance.  As you know, DSS2 has undertaken a number of
  initiatives related to the continuous compliance effort and  we
  hope to discuss the progress of those efforts with you at the
  upcoming workshop at South^^c ~inee   DSSE will be forwarding  to
  you an updated summiiry cf th*. .z ".ctivicies prior to  the workshop.
  However, given the cosine ing attrition being yiven  to
  "continuous compliance," I think it would be helpful to have a
  common understanding of what that concept entails.

      In the strict legal  sense, sources are required  to meet,
  without interruption, all applicable  emission  limitations and
  other control requirements, unless  such limitations  specifically
  provide otherwise.  However, of primary concern  to  the Agency are
  those violations that could have been prevented,  through the
  installation of proper control  eqv iprr.ent  and the  operation and
  maintenance of that equipment in  accordance  with proper
  procedures.  We believe  the  concept of  continuous  compliance is
  essentially the avoidance of preventable  excess  emissions over
  time as a  result of the  proper  design,  operation and maintenance
  of an air  pollution  source.  .This  includes  avoidance of
  preventable instances  of excess  emissions,  rr.ir.irnizat. ion  of

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                               -2-

emissions during such instances/ and the expeditious termination
of any instances which do occur.

    In determining the appropriate enforcement responsp to a
violation, one factor the Regions should consider is whether the
source had in place an active program designed to maintain
continuous compliance.'  Such a program would normally involve one
or more of the following elementst continuous or periodic
•elf-monitoring*of emissions; monitoring of operating parameters
such as scrubber pressure drop* incinerator combustion temperature
or Tiow rates; -lintenancc of a spare parts inventory; maintenance
of spare control '"-svice modules; and procedures designed to
correct the types of violation* that are most likely to occur.
Evaluating a violator's O&M program is a necessary step in
determining the type and degree of relief that an enforcement
action could be expected to achieve.

    Documentation of avoidable departures from proper procedures
as just discussed may be used not on: j is supporting evidence in
cases involving emission limit violations, but as primary evidence
in cases involve..,  ijlations of O&M requirements specified in
permits and regulations*  As the Agency continues to place more
emphasis on OfcM requirements in the context of national standards,
and to encourage States to develop OtM requirements/ the
enforcement program nust be adapted to address violations of these
requirements.  A violation of specified O&M requirements, even in
the absence of documented emission limit violations, can be an
appropriate trigger for EPA enforcement response.

    In conclusion, evaluation of  a source's continuing compliance
program would be useful both in determining the appropriate Agency
response to an emission'limit violation, and  in assessing the
source's compliance with specified O&M requirements -

    If my staff can be of assistance  in  evaluating  specific cases,
please feel free to call Joh'n "pjisnic  e~  382-2826.

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      :}        .UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
    /
\ V\|/^. •'                     WASHINGTON. O.C. 20«60

 **>«, ... ,<•
                                SEP 28
                                                            OFFICE OF
                                                       AIR. NOISE AND AA01ATIQN
    hEhO.-iAMUJM
    SU8.;~iC'r:  Policy on Excess Emissions During  Startup,  Shutdown,
              Maintenance, and Malfunctions           ,     '-n	
                                               ' \    /      /
                                     A-' ill-     I \   ""'' 1" 7v/
    FROM      Kathleen M. Bennett    •7\fcC''^**/''
              Assistant Administrator  for Air, Noise and  Radiation

    TO*     '  Regional Administrators,  Regions I-X

         This memorandum  is  in response to  a request for  a
    clarification of EPA's policy  relating  to excess emissions
    during startup, shutdown, maintenance,  and malfunctions.

         Excess emission  provisions  for startup, shutdown,
    maintenance, and malfunctions  were often included as  part  of
    the original SIPs approved in  1971 and  1972.  Because the
    Agency was inundated .with proposed SIPs  and  had limited
    experience in processing  them,  not enough attention was  given
    to the adequacy, enforceability,  and  consistency of these
    provisions.  Consequently, many  SIPs  were approved with  broad
    and loosely-defined provisions to  control excess emissions.

         In 1978, EPA adopted an  excess emissions policy after.
    many, less effective  attempts  to rectify problems that existed
    with these provisions.   This  policy disallowed automatic
    exemptions by defining  all periods of excess emissions as
    violations of the applicable  standard.   States can, of course,
    consider  any demonstration by the  source that the excess
    emissions were  due  to an unavoidable  occurrence in determining
    whether any enforcement  action is  required.

         The  rationale  for establishing these emissions as
    violations, as  opposed to granting automatic exemptions,  is
    that SIPs are ambient-based  standards and any emissions above
    the allowable may  cause  or  contribute to violations of  the
    national  ambient air  quality standards.  Without clear
    definition  and  limitations,  these automatic exemption
    provisions  could effectively shield excess  emissions  arising
    from poor operation and maintenance or design,  thus precluding
    attainment.  Additionally,  by establishing an enforcement
    discretion  approach and by  requiring the source  to demonstrate
    the existence of  an unavoidable malfunction on  the source,  good
    maintenance  procedures are  indirectly encouraged.

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              is a document staling F.PA'T pr. es^r-c policy  on
excess -.smissions.  This document basically re iterates  the
earlier policy, with some refinement of the foltcy  regar-.liuy
exces? "missions during period?? of scheduled  maintenance.

     A question has also been  raised as to what extent
operating permits can be used  to address excess emissions in
cases where the SIP is silent  on this  issue or where  the  SIP  is
deficient.  Where the SIP is silent on excess emissions,  the
operating permit may contain excess emission  provisions which
should be consistent with the  attached policy.  Where  the SIP
is deficient, the SIP should be made to conform to  the present
policy.  Approval of the operating permit as  part of  the  SIP
would accomplish that result.

      If you have any questions concerning this policy, please
contact Ed Reich at  (382-2807).

Attachment

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                          At t.whir.eni

    sK'LICY C.v  EXCESS L'Mij SIGNS  Cl;F li-"3  bTAI:T U ' •  £t:L"rrv:'..r, ,
                NA IIJTN AKCr , AK r,  >-./. r .K'JN'C'V T O?-' r- -
     Several of  the  existirc  St. ••-.;«  irpl Kt-.-er '.': 1 1. on  plans (ilFs1
preside for an autcratic  cr-isstor  Ljnit,- t, i or. exemption uurir.c
periods of excess emission  due to  stort-ur,  shutdown,
maintenance, or  ralfunction. * Generally,  EFA agrees that the
imposition of a  penalty for sudden  and  unavoidable
malfunctions caused  by circumstances  entirely beyond the
control of the owner and/or operator  is not appropriate.
However, any activity which can  be  foreseen and avoided, or
planned is not within the definition  of a  sudden and
unavoidable breakdown.  Since the  SIPs  must provide for
attainment and maintenance  of the  national anbient air quality
standards, SIP provisions on  malfunctions  must be  narrowly
drawn.  SIPs may, of course,  cnit  any provision on
malfunctions .  [For  more  specific  guidance on malfunction
provisions for RACT  SIPs, see the  April 1978 workshop manual
for preparing nonattainnent plans . ]

I.   AUTOMATIC EXEMPTION  APPROACH

     If a SIP contains a  malfunction  provision,  it cannot be
the type that provides for  automatic  exemption where a
malfunction  is alleged by a source.  Automatic exemptions
might  aggravate  air  quality so  as  not to provide for
attainment of the  ambient air quality standards.  Additional
grounds for disapproving  a  SIP  that includes the automatic
exemption approach  are discussed in more detail at 42 FR 58171
(November 8~,  1977)  and 42 FR 21372 (April 27, 1977).  As a
result, EPA  cannot  approve  any  SIP revision  that provides
automatic exemptions for  malfunctions.

II.  ENFORCEMENT DISCRETION APPROACH—SI? EMISSION LIMITATION
     ADEQUATE TO ATTAIN  AMBIENT STANDARDS

     EPA can  approve SIP revisions which incorporate  the
"enforcement discreticn  approach".  Such an  approach  can
require the  source to demonstrate  to the appropriate  State
agency that  the  excess  emissions,   though constituting  a
violation, were  due to an  unavoidable  malfunction.  Any
malfunction  provision must provide for the  commencement cf  a
proceeding  to notify the source of its violation  and  to
determine whether enforcement action should  be  undertaken  fcr
any period  of excess emissions.  In determining whether an
enforcement  action is appropriate, satisfaction cf  the
following  criteria should  be considered:
 * The term "excess emission" means  an  air  emission rate whic:
   exceeds any applicable emission  lir.itat.ion,  and
   "malfunction" means a sudden  and  unavoidable breakdown of
   process or control equipment.

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      i.  To the maximum extent practicable  Ihe  .*ir  pollution
control equipment/ process equipment, or processes  were
maintained and operated .in a manner ron? ist--»r- 1  vilh good
      're for minimizing emissions:
      /.   Repairs were made  in su expedition  fashion  when Li)-r
operator knew or should  have known  that applicable  emission
limitations were being exceeded.  Off-shift  labor and overtime
ni'ist  have  been  utilized,  to the extent practicable,  to ensure
      such  repairs were made as expeditiously as  practicable;
     3.  The  amount  and  duration  of  the  excess  emissions
(including  any bypass) were  minimized  to the  maximum extent
practicable during periods of  such emissions;-

     4.  All  possible  steps  were  taken to minimize the impact
of  the  excess emissions  on ambient air quality; and

     5.  The  excess  emissions  are not  part of a recurring
pattern indicative of  inadequate  design, operation, or
maintenance.

III. EXCESS EMISSIONS  DURING START-UP, SHUTDOWN, AND
     MAINTENANCE

     Any activity or event  which  can be foreseen and avoided,
or  planned, falls outside of the  definition of sudden and
unavoidable breakdown  of equipment.   Fpr example, a sudden
breakdown which could  have  been avoided by better operation
and maintenance practices is not  a malfunction.  In such
cases,  the control agency must enforce for violations of the
emission limitation.  Other such common events are start-up
 and shutdown of equipment,  and scheduled maintenance.

      Start-up and shutdown of process equipment  are part of
 the normal operation of a source and  should  be accounted for
 in the design and implementation of the  operating  procedure
 for the process and control equipment.   Accordingly,  it  is
 reasonable to expect.-that careful planning will  eliminate
 violations of emission  limitations  during  such periods,

      If excess  emissions occur during routine  start-up and
 shutdown of  such equipment, they will be considered as having
 resulted from a malfunction only if the source can demonstrate
 that such  emissions were actually caused by  a  sudden and
 unforeseeable breakdown in  the equipment.

      Similarly, scheduled maintenance is a predictable  event
 which  can  be scheduled  at  the discretion of  the operator,
 which  can  therefore be  made to coincide with maintenance on

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      t ton equipment, or other souccr shutdowns.
Consequently, excess emissions during periods  ot:  scheduled
maintenance should be treated as a violation unless  a  souccrj
can demonstrate that such emissions could not  have  been
avoided through better scheduling for maintenance or thcoirjh
       operation and maintenance practices-

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T

4
         •                                      pn 113-83-02-15-017
         UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

                     WASHINGTON. O.C. 20460
                           F£3  I 5 1983
                                                      OFF ICC OP
                                                 AIM. NOISC AND RADIATION
MEMORANDUM
SUBJECT:  Policy on Excess Emissions During Startup,  Shutdown,
          Maintenance, and Malfunctions

FROM:     Kathleen M. Bennett, Assistant Administrator
            for Air, Noise and Radiation

TO:       Regional Administrators, Regions I-X


     I have been asked to clarify my memorandum of
September 28, 1982, concerning policy on excess emissions during
startup and shutdown.

     Specifically,  I stated  that  "startup and shutdown of
process equipment are part of the normal operation  of a source
and  should  be accounted  for  in the design and implementation of
the  operating procedure  for  the process and control equipment.
Accordingly,  it  is  reasonable to  expect that careful planning
will eliminate violations of emission limitations during such
periods."   I  further  stated  that  "(i]f excess emissions occur
during  routine startup and shutdown of such equipment, they
will be  considered  as having resulted from a malfunction only
 if  the  source can demonstrate that such emissions were actually
caused  by  a sudden  and unforeseeable breakdown  in  the equipment."

     A  question  has  been posed as to whether there  can be
 situations  in which it  is unreasonable to expect  that careful
 planning  can  eliminate violations of emission  limitations
 during  startup  and  shutdown.  I believe  that  there can be such
 situations.  One such situation,  which was already mentioned
 in the  policy,  is a malfunction occurring during  these periods.
 A malfunction during startup or shutdown  is  to  be  handled as
 any other malfunction in accordance  with  the  policy as
 presently written.

      Another situation  is one in  which  careful and prudent planning
 and design will  not totally  eliminate  infrequent short periods
 of excesses curing  startup and  shutdown.  An  example  of  this
 situation would  be  a source  that  starts  up  or shuts down once or
 twice a year and during  that period  there  are a few  hours when
 the temperature  of  the  effluent gas  is  too  low to prevent harmful^


                                   113

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formation of chemicals which would cause severe damage to
control equipment -if the effluent were allowed to pass through
the control equipment.

     Therefore, during this latter situation, if effluent gases
are bypassed which cause an emission limitation to be exceeded/
this excess need not be treated as a violation if the source
can show that the excesses could not have been prevented through
careful and prudent planning and design and that bypassing was
unavoidable to prevent loss of life, personal injury, or severe
property damage.

     I have clarified the policy concerning this issue.   A copy
is attached.

Attachment
                               113
                               17-2

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                           Attachment

      PCLICT ON EXCESS EMISSIONS DURING  STARTUP,  SHUTDOWN,
                 MAINTENANCE,  AND MALFUNCTIONS
Introduction

     Several of the existing State implementation plans (SIPs)
provide for an automatic emission limitation exemption during
periods of excess emission due to startup/  shutdown/ maintenance,
or malfunction.*  Generally, EPA agrees  that the imposition of
a penalty for sudden and unavoidable malfunctions caused by
circumstances entirely beyond the control of the owner and/or
operator is not appropriate.  However/  any  activity which can
be foreseen and avoided, or planned is  not  within the definition
of a sudden and unavoidable breakdown.   Since the SIPs must
provide for attainment and maintenance  of the national ambient
air quality standards, SIP provisions on malfunctions must be
narrowly drawn,  SIPs may, of course, omit  any provisions on
malfunctions.   [For more specific guidance  on malfunction
provisions for RACT SIPsf see the April 1978 workshop manual
for preparing nonattainment plans].

I.   EXCESS EMISSION FROM MALFUNCTIONS

     A.  AUTOMATIC EXEMPTION APPROACH

     If a SIP contains a malfunction provision, it cannot be
 the type that provides  for  automatic exemption where a malfunctio
 is alleged by a source.  Automatic exemptions might aggravate
air quality  so  as  not to provide for attainment of the ambient
 air quality standards.  Additional grounds  for disapproving a
SIP that includes  the automatic exemption approach are discussed
 in more detail  at  42 FR 58171 (November 8,  1977) and 42 FR
 21372  (April  27, 1977).  As a result, EPA cannot approve any
 SI? revisions that provides automatic exemptions for malfunctions
 *  The term "excess  emission" means an air emission rate which
   exceeds  any  applicable emission limitation, and "malfunction"
   means a  sudden  and  unavoidable breakdown of process or
   control  equipment.
                                113
                                i ^ •*
                                i / -^

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     B.   ENFORCEMENT DISCRETION APPROACH—SIP EMISSION
         LIMITATION ADEQUATE TO ATTAIN AMBIENT STANDARDS

     EPA can approve SIP revisions which incorporate the
"enforcement discretion approach".  Such an approach can require
the source to demonstrate to the appropriate State agency that
the excess emissions, though constituting a violation, were due
to an unavoidable malfunction.  Any malfunction provision must
provide for the commencement of a proceeding to notify the
source of its violation and to determine whether enforcement
action should be undertaken for any period of excess emissions.
In determining whether an enforcement action is appropriate,
satisfaction of the following criteria should be considered.

     1.  To the maximum extent practicable the air pollution
control equipment, process equipment, or processes were maintained
and operated in a manner consistent with good practice for
minimizing emissions;

     2.  Repairs were made in an expeditious fashion when the
operator knew or should have known that applicable emission
limitations were being exceeded.  Off-shift labor and overtime
must have been utilized, to the extent practicable, to ensure
that such repairs were made as expeditiously as practicable;

     3.  The amount and duration of the excess emissions
(including any bypass) were minimized to the maximum extent
practicable during periods of such emissions;

     4.  All possible steps were  taken to minimize the impact
of the excess emissions on ambient air quality; and

     5.  The excess emissions are not part of a recurring
pattern indicative of inadequate  design, operation, or maintenance

II.  EXCESS EMISSIONS DURING  STARTUP, SHUTDOWN, AND
     MAINTENANCE

     Any activity or event which  can be foreseen and avoided,
or planned, falls outside of  the  definition of sudden  and
unavoidable breakdown of equipment.  For example,  a sudden
breakdown which could have been avoided by better  operation and
maintenance practice  is not a malfunction.  In such cases,  the
control agency must enforce for violations of the  emission
limitation.  Other  such common events are  startup  and  shutdown
of equipment/ and scheduled maintenance.
                               113
                               17-4

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     Startup and shutdown of process equipment are part of the
normal operation of a source and should be accounted for in the
planning, design and implementation of operating procedures for
the process and control equipment.  Accordingly, it is reasonable
to expect that careful and prudent planning and design will
eliminate violations of emission limitations during such periods.
However/ for a few sources there may exist infrequent short
periods of excess emissions during startup and shutdown which
cannot be avoided.  Excess emissions during these infrequent
short periods need not be treated as violations providing that
the source adequately shows that the excess could not have been
prevented through careful planning and design and that bypassing
of control equipment was unavoidable to prevent loss of life,
personal injury, or severe property damage.

     If excess emissions occur during routine startup and
shutdown due to a malfunct r-n, then those instances will be
treated as other malfunctions which are subject to the malfunction
provisions of this policy.  (Reference Part I above).

     Similarly, scheduled maintenance is a predictable event
which can be scheduled at the discretion of the operator, and
which can, therefore, be made to coincide with maintenance on
production equipment, or other source shutdowns.  Consequently,
excess emissions during periods of scheduled maintenance should
be treated as a violation unless a source can demonstrate that
such emissions could have been avoided through better scheduling
for maintenance or through better operation and maintenance
practices.
                               113
                               17-5

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REFERENCES FOR SECTION 11.4

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15S8,
               UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                          WASHINGTON, D.C. 20460
                              MAR 2 9 1991
                                                         OFF ICE OF
                                                       AIR AND RADIATION
 MEMORANDUM

 SUBJECT:  Revised Compliance Monitoring__Strategy

 FROM:
           John Rasnic, Acting Director
           Stationary Source Compliance
           Office of Air Quality Planning and Standards

  TO:      Air Management Division Directors  .
           Regions I, III and IX

           Air and Waste Management Division Director
           Region II

           Air, Pesticides, and Toxics Management Division
             Directors
           Regions IV and VI

           Air and Radiation Division Director
           Region V

           Air and Toxics Division Directors
           Regions VII, VIII and X
      Attached is  the revised Compliance Monitoring Strategy
         Thank you for the comments submitted on the draft.
 Comments received were separated into those which concerned
 issues  of policy,  and those which concerned the implementation of
.tha  policy.   The  issues concerning the policy were addressed by
 changing the CMS  as appropriate.   The issues concerning
 implementation will be addressed at an upcoming meeting scheduled
 f.T  May 1991 with the Regional CMS Representatives.  In general,
 tne  comments assisted the Strategy in becoming an even stronger
 document and confirmed the EPA commitment to a greater
 Fsderal-State partnership.

      The Strategy is effective immediately and should be
 Implemented  during the FY 1992 grant negotiations.

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Revised Compliance Monitoring strategy





              March 1991

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                        Table of Contents
I.   introduction 	  1
II   Purpose of the strategy	  2
III. strategy Requirements 	  2
     A. Sources to be Included 	  2
     B. Minimum Level of Inspection 	  3
IV.  Inspection Plan Requirements 	  4
     A. List of Sources to be Inspected	  4
     B. How the List of Sources were Determined 	  4
          1. Ranking Method 	  4
          2. Multiple Inspections 	  7
          3. Justification of Substitutions 	  7
          4. Reference Level 	  8
     C. Estimated Resource Allocation for Group I and II
          Sources for the Year Proposed 	  8
V.   Reporting Requirements 	  9
     A. CMS Inspection Tracking System 	  9
     B. Evaluation of the Inspection Plan Results 	  9
VI.  Responsibilities 	 10
                       Technical Appendices
Appendix 1     Summary of Inspection Plan Contents 	 1-1
Appendix 2     Definition of "greatest environmental
                 impact"  	 2-1
Appendix 3     CMS Representatives  	 3-1
Appendix 4     Further Details on the Inspection
                 Targeting Model 	 4-1
Appendix 5     Inspection Frequency Guidance 	 5-1
Appendix 6     Inspection Tracking  . . . .	 6-1

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I.   Introduction

     Based  on  both  State  and  EPA  concerns,   the  Compliance
Monitoring Strategy (CMS) was revised in FY 1991 for implementation
in  FY  1992.    The  revised CMS  provides  a more  flexible  and
systematic approach for determining State1 inspection commitments.
However, the revised CMS continues to emphasize  flexibility with
accountability.  This strategy requires  that the Regional Office
and State work together  to develop  a comprehensive Inspection Plan
that identifies the objectives  and resource  requirements of the
inspection program, number of sources to be inspected by category
(total program), and state  inspection commitments.   In addition,
this Strategy encourages an evaluation of the past  fiscal year's
inspection  program in  order to  provide useful information  in
setting next year's objectives for developing an Inspection Plan.

     The  implementation of  CMS  since  it was issued  in  1988 has
demonstrated  that  greater  flexibility for  setting  inspection
commitments has produced greater  communication  and coordination
between  the Regions and States.   This  lays the foundation for
better inspection planning and more effective monitoring programs.
This and other lessons  learned from the implementation of CMS have
been used to revise and  subsequently strengthen the Strategy.  This
coordination and open negotiation  is  encouraged  and strengthened
under the revised CMS.

     The  goal of   CMS  is   to  develop  the  most  environmentally
effective inspection program for each State.  To accomplish this
goal, more  open and frequent planning and discussion between the
State and EPA is  required,  which will  build -a  stronger State-
Federal  partnership.   In  addition,  the  revised  CMS  provides
additional  guidance on  evaluating Inspection Plans and requires
the  Regional  offices to conduct an evaluation of the Inspection
Plan.

     Recognizing that this Strategy is a significant  departure from
the  Inspection  Frequency Guidance (IFG), it  is  expected to take
several  years for  widespread implementation.    For that reason,
Headquarters  and  the   Regional  CMS  Representatives  (listed  in
Appendix  3) will closely monitor the  implementation of the CMS to
assess  progress and to make necessary clarifications  and when
needed, policy changes.

     It  is  important to note that  CMS  is an integral component of
the Compliance Program Planning Process (Operating) Guidance,  which
was  issued  as a draft  on March 4, 1991.   The  Planning  Guidance
provides  the  overall procedures  and goals of the current EPA and
State compliance  program planning process.  The  CMS provides the
specific  procedures  and   objectives  for  the  development  of
Inspection  Plans.   Further, in keeping with the  Planning  Guidance
        means State or Local agency throughout,

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objectives,  the  CMS  requires  more  State,  responsibility  and
flexibility,   better  definition   of   priorities,   and   better
accountability  by  increased  monitoring  and  evaluation  of  the
program.

ZZ.  Purpose of the Strategy

     The purpose of CMS is to lay the foundation for the States and
Regional Offices  to develop  Inspection  Plans which  satisfy  the
objectives of both Federal and State air compliance programs.

     To that end,  this_strategy will discuss_the-components of the
InspectignPlan an'cTfigw_tp use them_tp_deyelop a final plan which
will satisfy both State and EPA concerns.

     First, however, it may be useful,  as a reference for both the
EPA Region and State, to  list the goals  of  CMS.   They are as
follows:

          To  identify  state compliance  monitoring objectives
          vis-a-vis available resources through the development of
          an Inspection Plan.

          To identify significant State concerns where they differ
          from national priorities.

          To  ensure effective  oversight of  the  air  compliance
          monitoring program.

          To assure  emission  standards are  met through effective
          use of compliance monitoring activities.

III. Strategy Requirements

     A. Sources to be  Included

     Any stationary source subject  to EPA  or State  air  quality
requirements  is  covered  by this  Strategy.  Therefore,  a State's
entire  inventory  of sources  subject to  this  Strategy  should be
considered  when  a  State  develops   its  compliance  monitoring
objectives  and when the  State and Regional  Office  discuss  the
Inspection Plan.

     The  Strategy  divides  the  sources  into  two  groups  for
negotiation purposes.
   *•••
     Group I:       All Class  A SIPs;  all Class  A & B NSPS; and,
                    non-transitory  NESHAP stationary sources.

     Group II:      Exclusive   of   Group  I  sources,  all  other
                    stationary  sources subject to EPA or State air
                    quality requirements.

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     The asbestos D  &  R inspection program should be  dealt with
separately, as described under the Asbestos Strategy.

     The national priorities must be addressed when developing the
Inspection Plan.   Group  I encompasses, but  is not exclusively
composed of,  the national priority categories for FY 1991.  Thus,
CMS will require that Group I sources be addressed when developing
the Inspection  Plan.   In  cases where substitutions of  Group II
sources for Group I sources are justified,  the  rationale for the
exceptions must be agreed  upon by  Region and  State  (see IV., B.,
3).

     The national priorities, as stated in EPA's Operating Guidance
for FY 1991,  are  listed below.  However, it should  be  noted that
national priorities may change from year to year.

          Sources  emitting  VOC,   PM10,  SO2,  CO,   or   NOx  in
          nonattainment areas for the respective pollutant.

          Lead  (Pb)   SIP  and  operating  non-transitory  NESHAP
          sources.

     B. Minimum Level of Inspection

     For an on-site visit to a stationary source to be counted as
an inspection, it must meet the minimum requirements of a Level 2
inspection, as defined in "The Clean Air Act Compliance/Enforcement
Guidance  Manual"  (Revised 1987),  that includes  the  following
minimum activities where appropriate:

     1.   review  of  existing  records  and  log  books  on source
          operations, hours of operation, VOC-containing compounds
          usage,  emissions test  reports,   CEM  performance  test
          reports,  and  other  records necessary   to  evaluate
          compliance  with applicable  regulations   and  permits,
          particularly  for the  intervening period  following the
          last inspection;

     2.   record  such process items  as  feed rates,  temperatures,
          raw  material  compositions,   process  rates,  and  such
          control equipment performance parameters  as  water flow
          rates,  and   pressure,   static   pressure   drops,  and
          electrostatic power levels; and

     3.   visible emission observations.

     The  inspection must  include  an  assessment  of the compliance
status of all units within  a source subject to SIP, NSPS, or NESHAP
regulations.   Certain sources, because  of  the size of the source
or for other reasons, as agreed between the Region and State  (see
IV.,  B.,  2.), »may  require  multiple  inspections  to  completely
determine  compliance at all  units  and under all  air programs.

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inspectors.    These data  include  plant  emissions,  compliance
information, and air quality  factors.  The model assigns values to
the data,  and quantitatively  analyzes  the values  to produce  a
ranking of sources.  The model also allows an inspector to estimate
the amount of time he or she will need to spend at each source, and
keeps a running total of the time.   The sources  to  be entered in
the ITM may be from both Group I  and Group II  source categories.
A State may alternatively choose to enter only its Group I sources
in the ITM, and propose substitutions  to the ITM rankings of Group
I  sources  during the  negotiations.    Appendix  4 contains  more
information on the ITM.   Training in the use of the model will be
provided at EPA's Regional Offices upon request.

            b. Other quantitative analytical tool

     A State may rank its sources  using  a quantitative model other
than  the  ITM, provided  there  is  concurrence  from  the  Regional
Office.  The alternative quantitative ranking model should target
the most, environmentally  significant sources.   Thus, the model
should include similar ranking criteria that is  used by  the ITM,
such as compliance  history and air quality.  As  an  example, one
State  is  hoping to use  its own   "prioritization  matrix",  a
quantitative model which they designed.   This matrix uses factors
such as toxicity, past compliance history,  and population in the
impact area to rank sources.

     As with the ITM, the sources that  a State should enter into
the  model  are  Group   I  and   Group  II.    Or,  the  State  may
alternatively propose Group II substitutions after the results of
the model have been considered, and during negotiations.

            c. Qualitative rankings

     A State may choose to rank its  sources without benefit of a
quantitative model.  The  State can present a  list  of sources or
categories of sources that it  proposes  to  inspect,  including the
frequency  of  inspection,  and  justify its  sources qualitatively.
The State  should be prepared  to  discuss  why it  is  proposing to
inspect certain sources  and not others,  using criteria such as air
quality, compliance history,  and emissions.

     So that the ranking approach both reflects the true nature of
a State's  own air quality problems,  and provides the flexibility
needed to  tackle the problem,  the CMS encourages that the method
be derived using a  multi-step  process.   The following example is
given as an illustration of a possible application of  this method.

     Step 1. Consider the size and complexity of the
             inventory of Group I and Group II sources.

     To facilitate  this step,  States are  asked  to  submit their
inventory of Group I and II sources to the  Regional Office well in

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advance of the negotiations.  An inventory of the State's sources
will provide valuable information to both the Regional Office and
State Agency.  The information should concurrently: 1) reveal the
nature  of  a State's  own  air  pollution problems;  2)  provide
information  which  will  assist  the  State  in  justifying  any
exceptions  to  Group  I  sources  being  inspected;  3)  provide
information which will assist  the  Regional  Office in determining
the adequacy of the State substituted sources; and 4) provide the
essential  foundation  for  the end  of  the  year evaluation  of
negotiated commitments.

     All inventories of Group I sources must be given in a complete
format  (i.e.- identified by name, county, etcetera).  Inventories
of Group II sources can be given in either:  1) a complete format,
as referenced above; or 2)  numbers  of sources  and their categories
(i.e.-  sawmill; plating; pulp  and paper, etcetera).

     Step 2. Arrange the inventory by first addressing the
             Group I sources.

     Much is known about the Group I sources.   Therefore, it should
be evident to both  Regions and States  which Group I sources need
to be inspected in a given year.

     Proposed substitutions for Group I sources must  be identified .
by name and flagged in AFS (see IV.,  B.,  3.).   In  some States, the
resources available for inspection in a given year may exceed the
resources necessary for inspecting all Group  I sources that year.
In  this case,  substitutions may occur as  above,  and additional
sources from Group II  (also chosen using some criteria of "greatest
environmental impact") are then added to the plan,  but these would
not be  referred to as  "substituted sources".

     The list of sources  (i.e.- Group I, substitutions, and/or non-
substituted  Group   II)   should  now  represent  a   hierarchical
arrangement  of   sources   in   the  priority   order   of  "greatest
environmental impact".

     This  list of  sources would then represent  all the sources
which,  under ideal circumstances,  should be  inspected that year.
Given the ideal,  the Region and  State must then determine what  is
subsequently possible, under the budget limitations for that year.

     Step  3,  Apply the reference  level  (see IV., B., 4.) to the
             list of sources as calculated in step 2, and determine
             the  number  of sources from the list which could be
             inspected given the limitations  of resources.

     For  example, should the  Region and  State choose to use the
definition  of  "greatest  environmental  impact"  as  the areas  of
greatest  risk  and risk reduction potential,  as determined for use
 in the Strategic Plans  (see  discussion, Appendix  2) ,  then the

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Region and State  would extract all sources contributing  to  this
area, calculate  the amount  which could be  inspected given  the
resources available or reference level, and start the negotiations
from there.

            d. Inspection Frequency Guidance  ranking

     The State and Regional Office may use the  IFG  as an interim
method to  determine inspection commitments.    The  IFG does  not
incorporate the ranking criteria (i.e.- environmental significance,
compliance history)  necessary for satisfying the  objectives of this
Strategy. Therefore,  the IFG  is  not encouraged  as  a  long-term
ranking method. The IFG is described in Appendix 5.

          2.  Multiple Inspections

     CMS  recognizes that a  number of  inspections  of  various
components of  an  especially  large or complex facility are  often
required to determine  compliance  of the facility.   In  addition,
some sources have such poor compliance histories  that a  stronger
enforcement presence is required to maintain compliance.  For these
reasons,  multiple  inspections  at  a single source in AFS can be
counted and credited, provided that:

            a. each  reported  inspection of  a  facility  or  pre-
               determined  facility  component meets  the  minimum
               requirements of a Level  2  inspection;

            b. each  inspection  has  been  concurred on by  the  EPA
               Regional Office beforehand;  and

            c. the inspections are conducted  on  separate visits.

          3.  Justification of Substitution of Group II Sources for
             Group I Sources Where it is not Inherent in the Method
             Used to Rank Sources.

     The Group I sources must be  addressed.  However,  should a
source which  is  not  of  the   Group  I  category  be  chosen  for
inspection, this source must  be agreed upon by both the Region-and
State Offices.

     As noted earlier, this strategy encourages  the inspection of
sources of environmental  significance regardless of Group I or II
CMS classification.   Thus, this approach will account for the total
compliance monitoring effort  including, where mutually agreed upon
by Region and  State, the  substitution of inspections  of  Group II
sources for Group I.  It will be necessary to present the rationale
for this  substitution  and to  flag,  and  enter  if  not previously
entered,  only the substituted sources in AFS.

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                                8

     Justifications for substitutions should be based on trade-offs
of  sources  having the  "greatest  environmental  impact".    For
example, a class B source with  10  tons per year excess emissions
may be substituted for a class Al source with no excess emissions.
(For further discussion,  see Appendix 2.)

     The evaluation at the end of the year  should assist the Region
and  State in  determining  the  appropriateness  of the  previous
substitution, and possible substitutions for future years.

          4. Reference Level.

     The strategy requires that a minimum inspection resource base,
or  reference level be established.    The reference level  is  to
ensure that  in any given year a State  does not make large shifts
of resources out of compliance monitoring into other parts of the
air program.  Although other activities are important,  it is also
crucial to maintain a strong enforcement presence in the field by
carrying out inspections.

     It should be noted  that the Region  must  use this reference
level as  a guideline,  rather than  an absolute number to evaluate
a   State's   proposed  level  of  activities.     An  additional
consideration  is  that  resources  available  for  inspection will
change from year to year.

     The  reference level  is derived  by  simply  determining the
approximate  inspection resources available to  the  State for the
given year.

     The  State is  expected to share the resource  information with
the  Region well  in advance  of  the negotiations.   The available
State resources  are simply  the  amount  of  resources the State has
to work with that year. This information  may  be given  in the form
of  number of inspections  if hours  of  inspections are not  known,
FTEs, hours, or monies appropriated and allocated for the program.
In  addition, the  information should be broken down into resources
allocated towards  the implementation  of federal  programs,  and
state-specific programs.

     In  sum,  the reference level  is not  meant to be an  absolute
restriction, but  rather a starting point  for final negotiation of
the  Inspection Plan.

     C.   Estimated Resource Allocation for Group I and Group II
           Sources  for the Year  Proposed.

     Resource   allocation  can   be  expressed   in   numbers  of
inspections,  hours, full time  equivalencies  (FTE),  or  estimated
dollars needed for a full compliance inspection of that source, or
for multiple full  compliance inspections of that source.   However,
the measurement  used  must be explicitly stated.

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V.   Reporting Requirements.

     A. CMS Inspection Tracking System

     The tracking system for CMS stationary sources in Group I is
the AIRS/AFS system.  As Group II sources are substituted for Group
I  sources,  they are to  be entered  and subsequently  tracked in
AIRS/AFS as well.  The Regional  Offices and  States need to track
both the number of sources committed to be inspected, and the total
number  of  inspections conducted.   Appendix  6  gives  a  detailed
description of the inspection tracking methodology.

     B. Evaluation of the inspection Plan Results.

     An analysis of each State's  Inspection  Plan results will be
conducted at  the end  of  each year  by the, Regional  Office.   A
subsequent national analysis of each Region's year-end results will
be conducted  by Headquarters.   The evaluations  will  provide the
program with the feedback mechanism needed to ensure that the most
effective Inspection Plans  will  be developed the following year
based on the strengths  and lessons learned from the previous year.
The results of the analysis will help EPA and the  State to identify
and avoid constraints and subsequently implement improvements in
the following year's Inspection Plan.

     The purpose of the analysis  is to measure whether States have
met their commitments,  and in cases where they did not, determine
"why"; and  evaluate  to the  extent possible,  the implications of
enforcement presence on compliance and air quality.

     The criteria to be used in the evaluation may vary among the
Regions.  However, the  criteria  should be inclusive  of,  but not
limited to: 1) entire state source inventory of Federal and State
regulated sources vis-a-vis number of inspections conducted;
2) change  in ambient air quality from previous  years vis-a-vis
change  in  source inventory and  compliance  rates; 3)  numbers of
inspections by  source type  vis-a-vis  commitments and priorities;
and 4) resulting enforcement actions.

     For  this  evaluation,  there will  be  an   exchange of  the
following data  at  a minimum: total  inventory of Group  I  and II
sources. All  inventories  of Group I  sources must be  given in a
complete  format (i.e.-  identified by  name, county,  etcetera).
Inventories  of Group II  sources  can  be  given  in either:  1)  a
complete format, as referenced above;  or 2) numbers of sources and
their  categories  (i.e.-   sawmill;   plating;   pulp  and  paper,
etcetera), and number of CMS inspections at each source.

     An evaluation provides  feedback to both Regions and States for
future discussions and thereby enhances chances that the inspection
program will be geared towards the most environmentally significant
sources.

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                                 10

 VI.  Responsibilities

 EPA  Headquarters

      The Stationary Source Compliance Division (SSCD) of the Office
 of Air Quality Planning and Standards is responsible for updating
 the-CMS,  Mua^propriate^	Regional Of fices~ViXI"receive' a~n updated
 document in March, to take effect in  the  next fiscal  year.   SSCD
 does not anticipate that major changes will be made from one year
 to the next.

      SSCD is responsible for evaluating the implementation of the
 CMS  vis-a-vis the results of each Regional yearly evaluation (see
 Evaluation, above).  SSCD will  communicate the national results to
 each Region via the CMS Regional Representatives.

      In addition, SSCD has the responsibility to conduct training
 and  provide other assistance to Regional and State staff to assist
 them in implementing the CMS.  This would include activities such
 as conducting Regional seminars for Regional and State staff when
 requested; providing additional training in the ITM for interested
 Regions and States; and conducting quarterly conference calls with
 CMS  Representatives.

 EPA  Regional Offices

      The  Regional Offices are  responsible  for  working  with the
 States to  assist  them  on the decision of  Mfrifh  *"yp*nf targeting
 method  best sui£s__-tbeJdE!—needs-;—negotiate  the  reference—level,
 definition  of   greatest  en.vi£onment:a3-  impadv—-substitutions,
 Inspection Plan, and multiple insp^uLluna; dppr'Ova the final, plan;
 and, evaluate tire-inspection" commitment as described above.

      The Regional Offices should also make sure that their States
 understand the requirements of the  CMS and therefore must  raise it
 in discussions and in meetings  throughout  the year.   To ensure that
 the requirements of the Strategy are understood and  agreed upon by
 both Region and State,  the commitment to  implement CMS should be
 included  in either  the Clean Air Act  Section 105 Grant Agreements
 or the State EPA  Agreements  (SEA).

      Lastly, the Regional Offices are responsible for ensuring that
 the  information described in Appendix 6,  Inspection Tracking are
 entered and flagged in AFS.

 State Agencies

      State ag^n^i^S-"h^""*^ u^rk "i^b  EPA  Regional ^Sfeaff  to decide
 on  a targeting method,  develop a proposed list of inspections as
 a part—0T-"the~ir  inspection pTafis-;—be— prepAredrjtg,  justify the
 inclusion and  omission  of  sources,  and subsequently negotiate the
\ contents  of tjheir  Inspection Plans  (/i.e.-  the  reference  level,

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                                11

definition of  greatest environmental impact,  substitutions,  and
multiple inspections) with the Regional Office.

     In addition/  States are responsible for meeting the negotiated
commitments,  providing the necessary  information to  the Regional
Office  to both  negotiate the reference  level  and enable  the
Regional Office to conduct the evaluation at the end of the year,
reporting inspections in a timely manner  to  the Regional Office,
or directly into AFS  (for direct user States), and keeping Regional
Office  staff  informed of problems  as well  as  successes  in  the
implementation of CMS.

For Assistance

     The Regional  CMS Representatives are listed in Appendix 3.
The EPA Headquarters  contacts for this strategy  are Ron Shafer (FTS
398-8698) and Donna Nickerson  (FTS 398-8694).

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                           Appendix l

               Summary of Inspection Plan Contents


The Inspection Plan at a minimum should include:

     1. State Objectives of the Inspection Plan.

     2. Group I sources chosen  for inspection, identified by name,
        and AFS plant identification number.

     3. Group II sources chosen for inspection, identified by name,
        and AFS plant identification number, and confirmed during
        or by the end of the open season.

     4. Description of the method used to rank sources.

     5. Brief description of the criteria used to justify
        substitution of Group II sources for Group I
        sources.

     6. List of sources scheduled for multiple inspections, and
        numbers of inspections at each source.

     7. Estimated resource allocation for Group I and Group II
        sources.

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                            Appendix 2

           Definition of "greatest environmental impact".

     The Strategy will  define  "greatest environmental impact" as
those sources for which a  return to compliance will generate the
greatest amount of environmental and social benefits over time. The
Regional Office and State are to  negotiate the specific definition
and  process   by  which   to  measure  or   determine  "greatest
environmental  impact".   The final  criteria  to gauge  "greatest
environmental  impact",   however,  must be  agreed  upon  through
negotiation by both Regional and State Offices. For assistance in
this process, we suggest,  but emphasize you  are not  limited to,
use of any or a combination of the following:

            1. Region and State-specific areas of greatest risk and
               risk reduction potential, as determined for use in
               the  Strategic Plans. Specifically,  this  includes
               the  results of  the comparative  risk analysis for
               priority  setting  which  were  to  be completed by
               November 30, 1990. Results for your Region and State
               can be obtained by contacting Debora  Martin, Branch
               Chief, Regional  State Planning  Branch,  Strategic
               Planning and Management Division, Office of Policy
               Planning  and Evaluation,  U.S.  EPA.  Her  number is
                (202) 382-2699.

            2. Ranking  on  the  Inspection  Targeting Model, (ITM).
               The ITM considers  emissions and air quality factors.
               In addition, the ITM will have an integrated toxic
               ranking  system  based  on  risk  in  the  future.
               Consequently,  the ITM will  give a  more  rigorous
               analysis   than   any  other   quantitative  system
               nationally  available at this time.

            3. The national priorities, as defined  in Group I.

     SSCD supports  and  encourages  the  Region  to be innovative in
using all  resources available for  this definition. However, the
criteria chosen  must  be used consistently between the Region and
State for that year. It is  not necessary for the Region to confer
with SSCD on this decision; however,  SSCD  is interested in knowing
the outcome for  analytical  purposes.

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                           Appendix 3

                       CMS Representatives

     Enhanced communications will become increasingly important as
we continue to implement the CMS. Therefore, a network of Regional
Office representatives has been formed to serve as the focal point
for discussing and resolving issues related to the implementation
of the CMS.  Below is a list of  the Regional CMS Representatives and
their phone numbers.
Region

I


II


III


IV


V


VI


VII


VIII


IX
Representative

Arnold Leriche


Jehuda Menczel


Jim Hagedorn


Tom Lyttle


Lisa Holscher


Ray Magyar


Donna Dees


Ron Rutherford


John Kennedy


Sharon Wilson
 Phone No.

 FTS 835-3264
 617 565-3264

. FTS 264-6680
 212 264-6680

 FTS 597-8554
 215 597-8554

 FTS 257-2904
 404 347-2904

 FTS 886-6818
 312 886-6818

 FTS 255-7229
 214 655-7229

 FTS 276-7625
 913 551-7625

 FTS 330-1757
 303 293-1757

 FTS 556-5384
 415 556-5387

 FTS 399-0205
 206 553-0205

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                            Appendix  4

            Further Details on the Inspection Targeting Model

    The inspection targeting model was  jointly  funded by Regions
V, VIII, and SSCD.  It was piloted in Michigan and Colorado in
1986 - 1987, and is currently being used by many States and local
agencies.    Each  year the model is updated and  improved based on
suggestions made by agency users.

    The model  is a computerized program which  ranks  sources for
inspection priority based on information supplied by State agency
inspectors.   It  currently runs  on  a  standard IBM-  compatible
personal computer.   Approximately 3 to  4  megabytes  of  storage
capacity and 640 K RAM are required to run the program for a 2,500
source  database.   Program  data are  stored  in dBase  compatible
files.  The program  is menu driven and  does  not require that the
user have previous computer experience.

What Information is Needed to Use the Model?

    Targeting data for each source normally include:

       Source identification and classification information
    -  Size data (for the targeted pollutant)
    -  Last inspection date
    -  Recent compliance history (to the extent available)
    -  The inspector's assessment of  potential upset conditions at
        the source
       The inspector's rating of O&M practices at the source
    -  NAAQS attainment status
       Relative impact of the source on air quality
       Whether population in the area of impact is a significant
        factor
       The desired inspection frequency for the source
       The estimated inspection time needed for the source
    -  Other unique targeting considerations that the inspector
        feels should be considered, as well as the inspector's own
        rating of the source's inspection priority

What is Needed to Implement the Program?

    The following steps are necessary to start up and maintain the
program.

    -  Compile a list of sources that will be eligible for
        inspection targeting.

    The list  should  include major sources,  all NSPS  and NESHAPs
sources, and all other  sources  that  the State feels should be on
the  list  - a  minimum size  cutoff  might be used  as  an initial
screening  aid.   Inspectors should review this  list to make sure
that  important  sources have not  been  omitted.   This  review may

-------
occur when the inspectors are completing individual  data forms.
Our experience has shown that this pre-screening of the inventory
may take as little as 10 working  days  of total  agency staff time
during the initial year, depending on  the  size  accessibility and
completeness of  the agency's database.   Even  less  time may  be
required if electronic data transfer options are used.

    -  Prepare targeting data forms for each source included
        on the targeted source list.

    Basic source  identification  information  can be  compiled  by
administrative staff using information normally available  in agency
reports, emissions inventories/  and the like.  A  data  form for each
source may be partially filled  out by  administrative staff, then
forwarded to  inspectors  responsible for the  individual  sources.
Automated transfer  of data from  AIRS  (and possibly other  State
databases)  will  expedite  this task.   However,  some  targeting
information must  still be  provided by inspectors who  are most
familiar with the sources.

    To   minimize   misinterpretation   and   inconsistency   among
inspectors and to ensure maximum efficiency, a half-day meeting or
work session should be scheduled to review the  data  form and answer
questions.  All inspectors  should participate.   The forms should
then be filled out by the inspectors, and  checked by a designated
reviewer or manager.

    If  all  inspectors participate,  the initial  meeting  and data
form completion process should take no more  than  3 working days for
each  inspector.   This process  can  be expedited by  an automated
transfer  of data  from  the AIRS AFS  database into preprinted
targeting dataforms.

       Enter targeting data into the computer.

    Targeting  data may  be  entered  directly by  inspectors,  if
desired.   Many agencies rely  on  a central coordinator  for this
task.   However, computer entry  may  also be performed by clerical
staff.  In this case initial entry should  be  made  by one person,
then checked by another person to ensure accuracy.

    -  Generate ranking.

    A  ranking  may  be generated  by  simple menu driven computer
commands.   The length of time  required to  generate the report is
dependent xan  the  number of sources  and the computer capability.
A typical AT processor operating  at 12 mh will normally  process  a
500 source database in less than 5 minutes.  The printing of a 500
source ranking report may be generated  in 3  to  20 minutes  depending
on  the  speed  and  type of printer  and   computer.    These time
requirements  are significantly  reduced by using a 80386   based
computer system.

-------
    -  Create inspection plan.

    A planning feature allows  for  the  user  to adjust the ranking
to take into account factors not considered by the computer model
and to match the number of sources that can be inspected with the
inspection resources that are available.  The resulting inspection
plan may also be printed  and submitted  to EPA to support a State's
inspection commitments for the next year.

    -  Maintain the database.

    Once established, the database may be fairly easily maintained.
As new  inventory,  compliance,  or air  quality data  are obtained,
these may  be entered directly into the computerized database by
inspectors or field support staff.  It  is also possible to edit the
hard copy form for data entry by clerical staff.

    Maintaining the program may be  accomplished in a single annual
update, or it may be accomplished as new data are obtained (e.g.,
immediately following an  inspection).   Editing and reentry require
much less time than was required for initial completion and entry.

New features

    New program features are currently under development and will
be made available to program users in  1991.  these include:

    -  A Local Area Network  (LAN) feature.

    -  A feature designed to target facilities with toxic or
        hazardous air pollutants. This is currently being pilot
        tested in Michigan, and additional testing will soon begin
        in Vermont.

       An inspection and tracking feature that incorporates all
        types of inspections, as well  as other inspector
        activities. This is currently  being tested in Wisconsin.

    -  An automatic AIRS upload and download feature.  This is
        scheduled for pilot testing in Michigan.

    -  A simplified data entry format. This is currently being
        tested in Virginia.

    -  Options to modify the ranking algorithm and to create new
        ranking criteria. This is currently in the design stage.

-------
Summary
— 	—— —

    The model itself is easy to use  for  anyone.   It was designed
for use  by inspectors  and managers  with very  limited computer
skills.  There are written  instructions and a help file accessible
while data are being input.

    When the  ranking  and  estimated inspection times  are coupled
with the known  agency resource base, the sources that  should be
inspected during  the  next  year can easily be  identified,  and an
annual inspection plan can be developed.   This plan can serve the
State agency as  an effective management tool for its own inspectors
as well as serve to meet the EPA's Compliance Monitoring Strategy
requirements.

    The targeting model is available  to  all  EPA  Regions for your
testing  and  familiarization.   It  is  on  a  floppy  disk  with
accompanying documentation and will  be distributed  to interested
Regions and States.   Headquarters will  continue  to support this
activity with on-call  technical assistance.  Please contact Perrin
Quarles Associates if you have any questions relating to this model
or need technical  assistance with its application. Telephone: (804)
979-3700.      Address:   501   Faulconer   Drive,   Suite   2-D,
Charlottesville, Virginia,  22901.

-------
be  noted  that  these requirements  for  a  minimally-acceptable
inspection do  not  require  the direct  measurement of  operating
conditions by the inspector.

Class Al 8ZP Sources

    All operating Class Al  SIP  sources  regulated under  the Clean
Air Act shall be  inspected annually.  Annually is  construed to mean
at  least  one onsite  visit  is made  to  each such  source between
October and September, corresponding to the federal fiscal year.

    There are four  permissible  exceptions to the Class  Al annual
inspection requirement.  The first is for sources whose operations
are seasonal  in nature (e.g., alfalfa dehydrators) and which do not
operate more  than 90 days per year. This  operating time restriction
does not need to be included in a permit for a source to qualify.
However, the nature of its business should  clearly preclude the
source from operating more than 90 days per year.  To qualify for
this exception, a seasonal source should be well-controlled, should
not have a history of noncompliance, and should not be located in
a  nonattainment  area  for  a  pollutant that  is  the  determining
pollutant for the Class Al  classification.   All seasonal sources
must in any event be inspected at least once every five years.

    The second category is  for  Class Al SIP gas-fired combustion
facilities (gas turbines, boilers, and internal combustion sources)
which are regulated  only for sulfur dioxide emissions and which can
operate in compliance  with the sulfur dioxide emissions limitations
without controls.

    The third category is Class Al NSPS and PSD gas turbines that
are  regulated  only for NOx emissions.    An annual  compliance
determination for these sources  can be accomplished through record
checks without an annual onsite inspection of equipment.

    The last  category  is oil-fired or coal-fired industrial boilers
which are Class Al SIP sources only because of their sulfur dioxide
emissions  and  which  can  operate  in compliance with the sulfur
dioxide emission limitations without either controls or use of low
sulfur fuel.

    To be excepted,  sources in these latter three  categories should
not have a history  of noncompliance.  All  excepted sources shall
be inspected at least once every five years.

    Exceptions to  the  annual  inspection  requirement  should be
communicated by  the Regional Office to EPA's  Stationary Source
Compliance Division (SSCD)  at the  start  of the inspection year and
the  data  base  properly adjusted by  the  Regional  Offices  for
subsequent analysis  and reporting.  Regional Offices are encouraged
to  discuss with  SSCD any novel issues which may  arise in their
discussions with their States.

-------
 Class A2 SIP Sources

     Except as noted  below,  operating Class A2 sources  regulated
 under the Clean Air Act shall be  inspected  biennially.   However,
 a State may  propose a  modified  inspection  scheme  to its  EPA
 Regional Office which presents at  least the same level of resource
 commitment but which the State believes is more responsive to the
 needs of  its  air quality  program.   This  can  consist of  any
 combination of additional Class Al  SIP inspections,  Class  A2 SIP
 inspections, and inspections of other sources regulated  under the
 Clean Air Act.  This could  include Class B SIP sources in those
 areas where they  are particularly significant.    EPA  Regional
 Offices  and their States are free to establish whatever approach
 is  best suited  to  their   situation as  long as  the  following
 conditions are met:

     -  SSCD must receive information copies of such agreements at
 the start of fiscal year.

         The  State  must demonstrate that the modified  approach is
 based on  at  least  the same  resource expenditures  as   would be
 required to inspect all Class A2 SIP sources on a  biennial basis.

         All  operating Class A2  SIP sources must be  inspected at
 least once every five years.

 NSPS sources

     Any operating NSPS-subject  source which is Class Al in size
 shall be inspected at  least once  every federal fiscal year.  All
 other NSPS sources shall be treated as Class A2 sources.

 NESHAPs Sources

     All operating  nontransitory NESHAP-subject sources shall be
 inspected at least once every federal fiscal year.

 Alternatives to conduction Periodic Onsite Inspections

     An  alternative to  an onsite visit for purposes of  satisfying
 inspection  frequency guidance by  the  State for  any  SIP or NSPS
 source is the use of continuous emission monitoring Excess Emission
 [Reporting (EER) on a  quarterly basis in lieu of  periodic  inspection
 requirements.   An  EER is  a  suitable alternative to  an  onsite
 inspection  if  EER data from the source is at least equivalent to
 the information that could be  obtained from a minimally-acceptable
 inspection  as previously defined.   EER data must be submitted for
I. all  pollutants emitted  by  the  source for  which  the  source is
 regulated.  The intended use of the  EER alternative must be  agreed
 upon  between the  State and the EPA Regional  Office and EPA  must
 receive the name and  CDS numbers of all  sources  covered by the
 alternative.

-------
    Another alternative to  an  onsite  inspection  is available for
sources whose compliance is  based solely on the characteristics of
the fuel oil burned (typically percentage of sulfur in the fuel).
This  alternative is  an inspection  of the  fuel  oil  supplier's
records and a sampling of the supplier's product.  To realize the
saving of  inspector time,  a source's fuel oil suppliers  must be
known and fixed over time.  If a source purchases  fuel oil from the
spot market/ has many suppliers, or has suppliers which  are not
easily  monitored by  the  State,  this  alternative may  not  be
appropriate.

-------
REFERENCES FOR SECTION 11.5

-------
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                                                                                                      FEDERAL LAWS
  ipiementation plan meeting the reouirc-
ments of subpan 1 (except as otherwise
prescribed by section 192).

        ATTAINMENT DATES

  Sec.  192.(a)  Plans  Under  Section
191(a).—Implementation plans  required
under section 191 (a) shall provide for at-
tainment of the relevant primary standard
as expeditiously as practicable but no later
than 5 years from the date of the nonat-
tammcnt designation.
   (b) Plans Under Section  191(b).—Im-
plementation plans required under section
IS Kb) shall crovide for attainment of the
relevant  primary  national  ambient  air
quality standard within 5 years after the
date of the enactment  of the Clean Air
Act Amendments of 1990.
   lei Inadequate Plans.—Implementation
plans for nonattamment areas for suifur
oxides or nitrogen dioxide with plans that
were  approved by the Administrator be-
fore the date  of the enactment of  the
Clean Air  Act  Amendments of 1990 but.
subsequent to such approval, were found
by the Administrator to be substantially
inadequate, shall provide for attainment of
the relevant primary standard within 5
•••ears from the  date of such finding.

      Subpan 6—Savings Provisions
    [Subpan 6 added by PL 101-549]

     GENERAL SAVINGS CLAUSE

   Sec.  193.  Each regulation,  standard.
rule,  notice,  order and  guidance promul-
gated   or   issued  by  the  Adminis-
trator under this Act. as in effect before
the date of the enactment of the Clean Air
Act Amendments of 1990 shall remain in
effect according to its terms, except to the
extent otnerwise provided under  this Act.
inconsistent with any provision of this Act.
or revised  by the Administrator. No con-
trol requirement  in  effect,  or required to
be adopted by an order, settlement agree-
ment, or plan in  effect before the date of
the  enactment of  the  Clean  Air Act
Amendments of 1990 in any area which is
a nonattamment area for any air pollutant
may be modified after such enactment in
any manner unless the modification in-
sures equivalent or greater emission rcauc-
tions of such air pollutant.
Title II—Emission Standards for Moving
                Sources      • ,

            SHORT TITLE
   Sec. 201. This pan may be cited as the
'National Emission Standards Act.'

Part A—Motor Vehicle Emission and Fuel
               Standards

         ESTABLISHMENT OF
             STANDARDS
   Sec.  202.(a) Except as otherwise pro-
vided in subsection (b)—
   (1) The  Administration shall by regula-
tion  prescribe  (and from  time  to time
revise)  in  accordance with the provisions
• of this section, standards  applicable to the
emission of  any air pollution from any
class or classes of new motor vehicles or
new motor vehicle  engines, which in  his
judgment cause or contribute to. air pollu-
 tion which may reasonably be anticinatcd
to endanger puoiic heaitn or welfare. Such
standards shall be applicable to such vehi-
cles and engines for their  useful  life  (as
 determined under subsection  (d), relating
 to useful life of  vehicles for purposes of
 certification), whether such vehicles and
 engines are designed as complete systems
 or incorporate devices to pre\ent or con-
 trol such pollution.
   [PL 95-95. August 7. !977; PL 95-190.
 November 16. 1977]
   (2) Any  regulation prescribed under
 paragraph (1) of this subsection (and any
 revision thereof) shall  take effect after
 such period  as the Administrator finds
 necessary  to  permit the development and
 application of the  requisite technology,
 giving  appropriate  consideration  to  the
 cost of comciiance within such period.

 EMISSION  STANDARDS FOR HEAVY
 DUTY VEHICLES OR  ENGINES AND
 CERTAIN  OTHER  VEHICLES  OR
               ENGINES
 [Sec. 202(a)(3)(A)—(D) revised. (E)  de-
 leted and  former (F) redesignated  as (E)
 by PL  101-549]
   (3)(A)  In General.—(i)  Unless  the
 standard is changed as provided in subpar-
 agraph  (B),  regulations  under paragraph
 (I) of this subsection applicable to emis-
 sions of hydrocarbons, carbon monoxide.
 oxides of nitrogen, and paniculate  matter
 from classes or categories of heavy-duty
 vehicles or engines manufactured  during
or after model year  1983 shall  contain
standards which reflect the greatest de-
gree  of  emission  reduction  achievable
through the  application  of  technology
which the Administrator determines will
be available for the model year to which
such  standards applyv giving appropriate
consideration  to cost, energy,  and safety
factors associated with the application of
such technology.
  (it)  In establishing classes or categories
of vehicles or engines for purposes of regu-
lations under this paragraph, the Adminis-
trator may base such classes or categories
on gross vehicle weight, horsepower, type
of fuel used, or other appropriate  factors.
  (B) Revised Standards for Heavy Duty
Trucks.—(i) On the  basis of information
available to the Administrator concerning
the effects of air pollutants emitted  from
heavy-auty vehicles or engines and  from
other sources of mobile source  related pol-
lutants on the public  health and  welfare.
and taking costs into account, the Admin-
istrator may promulgate regulations under
paragraph (1) of this subsection  revising
any standard  promulgated under, or be-
fore  the  dale of,  the enactment of the
Clean Air Act Amendments of 1990 (or
previously  revised  under  this  subpara-
graph) and applicable to  classes  or  cate-
gories of heavy-duty vehicles or ci "ines.
   (ii) Effective for the model  year  1998
and thereafter, the regulations  under para-
graph (1) of this subsection applicable to
emissions  of  oxides  of  nitrogen (NOX)
from gasoline and diesel-fucled heavy duty
trucks shall contain standards which pro-
vide  that such emissions may not exceed
4.0  grams per  brake  horsepower  hour
(gbh).
   (C)  Lead  Time and  Stability.—Any
standard promulgated or revised  under
this paragraph and applicable to classes or
categories of  heavy-duty  vehicles or en-
gines  shall apply for  a period of no less
than 3 model years  beginning no earlier
than the model year commencing 4 years
after  such  revised   standard  is  pro-
mulgated.
   (D) Rebuilding  Practices.—The  Ad-
ministrator shall study the practice of re-
building  heavy-duty  engines and the im-
pact  rebuilding has on engine emissions.
On the basis of that study and other infor-
mation available to the Administrator, the
Administrator  may   prescribe  require-
ments to control rebuilding practices, in-

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REFERENCES FOR SECTION 12.1

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Z'-EAN AIR ACT
:o sucn source and that the construction or
modification ana operation of such source
will  be  in comoiiancc with all  other re-
kuuirements of this Act.
  •'PL 95-95. August 7. 1977: PL 95-190.
Novemoer 16. 1977]
iSec. 1 lO.(kHp)  added by  PL 101-549]
  !k) Environmental  Protection Agency
 \ction On Plan Submissions. — (1) Com-
pleteness Of Plan  Submissions. —  (A)
Completeness  Criteria.  —  Within  9
montns after the  date of the enactment  of
the Ciean Air Amendments of  1990. the
 \dmimsirator snail promulgate  minimum
criteria that any plan  submission  must
meet cefore the Administrator is required
:o ac: on such submission unoer this sub-
.•>ccuon. The criteria shall be iimueo to tne
:niormaucn necessary to enable the Ad-
rr.misirator to determine wnether the plan
luomission complies wun the orovisions of
i.-.is Act.
    Bi Completeness  Finding.  — Within
 MI aa\i 01 me Administrator s receipt of a
nian or man revision, but no later man 6
montns alter tne date, if any. oy which a
State is reauirea to submit the pian  or
revision, the  Administrator snail  deter-
 mine wnetner the minimum criteria estab-
 iuned pursuant to subparagraph (A) have
 occn met. Any plan or man revision that a
State luomits  10 the Administrator, and
 mat  nas not ocen determined by the Ad-
 ministrator  (by  the  date 6 montns after
 receipt of tne submission) to have faiied to
 meet  me  minimum  criteria  established
 oursuant  to  suoparagrapn  (A), shall  on
 mat caie be deemed fay operation of  law to
 met; sucn  minimum  criteria.
   (C1 Effect of Finding  of  Incomplete-
 ness. — Where  tne  Administrator  deter-
 mines tnat  a  oian  suomission (or part
 mereoi i aoes not meet me  minimum crite-
 ria istaoiisncd pursuant to suooaragrapn
 i A I. ".nc  Siate  snail be  treated as not
 havme  maoc the suomission lor.  in the
 Administrator s discretion, part thereof).
   ;2) Deadline for Action. —  Within  12
 montns 01  a  determination oy the Admin-
 istrator i or  a  determination deemed  by
 operation  01  lawi  under  paragrapn (1)
 tnai  2 State has submitted a olan or pian
 revision tor.  in me  Administrator's discre-
 tion, part  tncreof)  that meets the mini-
 mum criteria established pursuant to para-
 grapn  ill.  if  applicable  (or, if  those
 criteria  are  not  aopiicabic.   within  12
 montns 01  suomission of the oian or revi-
sion), the Administrator shall act on the
submission in accordance with paragraph
(3).
  (3) Full and Partial Approval and Dis-
approval. — In the case of any submittal
on which the Administrator is required to
act under paragraph (2), the Administra-
tor shall approve  such  submittal  as a
whole  if it meets  all  of the applicable
requirements of this Act. If a portion of
the plan revision meets all the applicable
requirements of this Act. the Administra-
tor may approve the pian revision in pan
and disapprove  the pian  revision in part.
The plan revision snail not be treated as
meeting the requirements of this Act until
the Administrator acproves me entire pian
revision as complying *itn the applicable
requirements of this AC:.
   (4)  Conditional Approval. —  The Ad-
ministrator may aoprove  z. pian  revision
based  on a commitment  of the State to
aooot  specific enforceaoie measures oy a
date  certain,  out no:  later than  i  year
after  the  date  of  approval  of  the pian
revision.  Any  sucn conditional  approval
shall be  treated as i disapproval  if the
State    fails   to  comply   with   such
commitment.
   (5)  Calls For Plan Revisions. — When-
ever the Administrator finos tnat tne ap-
 plicable implementation pian for any area
 is  suostantialty  inadequate to- attain or
 maintain the relevant national ambient air
quality  standard, to mitigate adequately
 the  interstate   pollutant  transport   de-
 scribed in section i"6A or section 184. or
 to otherwise comply *un any requirement
of this  Act,  the Administrator snail  rc-
duire  the State to revise the man as neces-
 sary  to  correct sucn madeauacics.  The
 Administrator snail notify tne State of the
 inadequacies, and  may  establish  reason-
 able  deadlines  mot to exceed 18  monins
 after  me date  of  sucn  notice I for  the
 submission of sucn man revisions.  Such
 findings  and  nonce snail oe puoiic. Any
 finding under tms  paragrapn snail, to  the
 extent tne Administrator oecms appropri-
 ate, subject tne State to the requirements
 of this Act to wmcn tne State was subject
 wnen  it devcioDeo  anc suomittca the plan
 for which such findine was made,  except
 that  the  Administrator may adjust any
 dates  applicable under such reauiremcnts
 as appropriate  (except tnat the Adminis-
 trator mav not aoiust anv attainment date
prescribed under pan D. unless sucn date
has elapsed).
  (6) Corrections. —  Whenever the  Ad-
ministrator determines that the Adminis-
trator's action approving, disapproving, or
promulgating any pian or plan revision (or
part thereof), area designation, redesigna-
tion. classification, or  reciassincation  was
in error, the Administrator may in the
same manner as the approval, disapproval
or promulgation revise such action as ap-
propriate  without requiring any further
submission from the State. Such determi-
nation and the basis thereof shall be pro-
vided to the State and public.
   (1)  Plan Revisions.  — Each revision to
an implementation pian submit tea  by a
State  under  this Act snail be adopted by
such State  after reasonable notice  and
public  hearing.  The  Administrator shall
not  approve a  revision  of a pian if the
revision would interfere  with any applica-
ble  requirement concerning  attainment
and reasonable  furtner progress las de-
fined in section 171). or  any otner applica-
ble requirement of this Ac:.
   (m) Sanctions. —  The Administrator
may apply any  of the sanctions listed in
section  I79(b) at any time tor at any time
after) the Administrator makes a uncling,
disapproval, or determination under para-
 graphs  (1)  througn  (,4),  respectively, of
section  179(a)  in relation  to any pian or
 pian item (as that term is denned by the
 Administrator)  required  under  this  Act.
 with respect to any  portion of  the State
 the Administrator determines reasonable
 and appropnate. for the purpose of ensur-
 ing that the  requirements of this  Act relat-
 ing to such pian or plan item are met. The
 Administrator snail, by  rule, establish cri-
 teria for exercising his authority under the
 previous sentence with respect to any defi-
 ciency  referred to  in  section   179(a) to
 ensure  that,  during the 24-monui period
 following the rinding, disapproval, or de-
 termination referred to in section 179(a).
 such  sanctions arc  not  applied  on  a
 statewide basis  where one or more politi-
 cal subdivisions covered by the applicable
 implementation pian are principally  re-
 sponsible for sucn deficiency.
    (n) Savings  Clauses.  —  (1)  Existing
  Plan Provisions. — Any  provision of any
  applicable implementation plan that was
  approved or promulgated  by the Adminis-
  trator pursuant to this section as in effect
  before  the  date of the enactment of the

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                                                                                                       rEDERAL LAWS
Clean Air Act Amendments of 1990 shall
remain in effect as pan of such applicable
implementation plan, except to the extent
that a revision to  such  provision is  ap-
oroved or promulgated by the Administra-
tor pursuant to this Act.
   (2) Attainment Dates. — For any area
not designated non-attainment,  any plan
or plan revision submitted or required to
be submitted by a Slate—
   (A) in response to the promulgation or
revision of a national onmary ambient air
quality standard  in effect on the date of
the  enactment  of the  O.ean  Air  Act
Amendments of 1990. or
   IB1 in response to a rinding of substan-
tial  inadequacy under  suosecuon  ia)(2)
  source *nicn  is
 inherently .c'AConuung or nonooiiuting. or
   (B) a tec.-.r.oiogicai system for  continu-
 ous  reduction a;" tne pollution  gencratea
 by a  source :e:~orc sucn pollution is  emit-
 ted  into :r.e  arnoieru air.  including  rre-
 comoustior, cleaning or treatment  01  iue:s.
 [PL 95-?5. August 7. 1977]
    (3) A conversion to coal (Al oy reason
 of  an ore::  unocr  section 2(2)  ol  tnc
 Energy Sucoiy  ano  Environmental Co-
 ordination Act of '.974 or any amendment
 thereto,  or  any  subseouent   enactment
 which supersedes such Act. or  I B) wnich
 qualifies under section i 13(d)(5)(A)(ii'i of
 this Act. snail  not  Cc  oeemed  to  be a

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CLEAN AIR ACT
modification Tor purposes of  paragrapns
12) and (4) of this subsection.
(PL 95-95. August 7. 1977]
  (b)(D(A)  The  Administrator  shall.
within* 90 days after the date of enactment
of the Clean  Air  Amendments of 1970.
publish (and from time to time thereafter
shall revise) a list of categories of station-
ary sources. He shall include a category of
sources in such list if in his judgment he
determines it causes, or contributes signifi-
cantly to air pollution  which may reason-
ably  be anticipated to  endanger public
health or welfare.
   (B) Within  one  year after the inclusion
of a category of stationary sources in a list
unaer suooaragraph (A), the Administra-
tor shall oubiish proposed regulations, es-
;aoiishing  Federal  standards of  perform-
ance for new sources within such category.
The  Administrator shall afford interested
persons an opportunity  for written  com-
ment on sucn proposed regulations. After
considering sucn  comments, he snail pro-
mulgate, within one year after sucn publi-
cation, sucn standards  with such modifica-
tions   as   he deems   appropriate.   The
Administrator shaii. at least every 8 years.
review  and.  if  appropriate,  revise  such
standards  following  the  orocedurc  re-
quired by this subsection for promuigauon
of such standards. Notwunstanding the
requirements of the previous sentence, the
Administrator need not review any such
standard if the Administrator determines
that sucn review is  not appropriate in light
of readily available information on  the
efficacy of such  standard.  Standards  of
performance on revisions tnereof shall be-
come effective upon promulgation. When
implementation  and enforcement of any
reauiremcnt of this Act indicate tnat emis-
sion  limitations ano percent reductions oe-
yono  those rsquirca by tne standards pro-
muleated under this section arc  achieved
in nracuct. the Administrator snail, when
revising standards oromuigated under this
section, consider  the emission limitations
and   percent  reductions  achieved   in
practice.
[Sec.   lll(b)(l)(B1  amended  by  PL
101-549]
   [PL 95-95, August  7. 1977]
   (2) The Administrator may distinguish
among  classes,  types, ano  sizes  within
categories of new sources for the purposes
of establishing sucn standards.
  (3) The Administrator snail, from time
to time, issue  information  on pollution
control  techniques for categories  of  new
sources  and air  pollutants subject to tne
provisions of this section.
  (4) The provisions of this section snail
apply to any new sources owned or opcrat-
eo by the United States.
  (5) Except as otherwise authorized un-
der subsection (h). nothing in this section
shall be construed to require, or to autno-
nze the Administrator to require any new
or modified source to  install and  ooerate
any particular  tecnnoiogical  system  of
continuous emission  reduction to comply
witn any  new  source   standard   of
performance.
  [PL 95-95. August T. !977]
  (6) The revised standards of perform-
ance required by enactment of suosectior.
ta)(l)(A)(i) and (ii) shall be promulgates
not later tnan one year after enactment of
this oaragraph. Any new or modified fossi:
fuel rired  stationary  source wnich com-
mences construction prior  to tne date of
puolicanon of the proposed revised stan-
dards shall not be required to comoiy wur.
sucn revised standards.
   [PL 95-95. August  7. 1977]
  (ci(.l) Each state may develop and suc-
mit to  the Administrator a procedure for
implementing and enforcing standards of
performance for new sources  located :n
iuvh State. If the Administrator finds tr.e
State procedure is aoecuate. he snail ct:t-
gate to such State any authority as T.HS
under '.his Act  to imDiement anc enforce
sucn standards.
   [PL  95-95, August 7. !9"7]
   (2} Notning in this suosecnon snail sro-
hibu tne  Administrator  from enforcing
sny aopiicable  standard  of ctrformancs
unaer this section.
   (d)(l)  The   Administrator  shall  srt-
scribe regulations wnich shall estaoiish E
procedure similar to mat orovioec by s:c-
uon  110 under wnicn  each  Slate  snail
suomit  to the Administrator a o:an wnicr.
(A) estaolishes  standards of performance
for any existing source for any air pollu-
tant (i) for which air quality criteria nave
not oe;n issued  or whicn is not inciuoca on
a list published under section 108(ai or
emittcd from a source category  which ;s
regulated under section 112(b) but lii: to
which  a  standard of performance unotr
this section would  apciy if sue.- existing
source  were a  new  source, ana  (B)  nro-
vides for the implementation and enforce-
ment  of such standards of performance.
Regulations of the Administrator unaer
this paragraph shall permit the  State in
applying a standard of performance to any
particular source under a plan submitted
under this paragraph to take into consider-
ation, among other factors,  the remaining
useful life of the existing source  to which
sucn standard applies.
  (PL 95-95. August 7. 1977: amended
by  PL  95-623.  November 9. 1978: PL
101-549]
  (2) The  Administrator shall have the
same authority—
  (A) to prescribe a plan  for a  State in
cases where the State fails to submit a
satisfactory plan as he would have under
section  110(c) in the case  of failure to
suomit  an implementation plan, ano
  (B) to enforce the provisions  of such
pian  in cases where  the  State  fails to
enforce them  as he would have unoer sec-
tions  113 and 114 with  resnect to an im-
plementation  pian.  In  promulgating  a
standard of performance under a  pian pre-
scribed under this paragraph, the Admin-
istrator  shall  take   into  consideration.
among   other  factors, remaining useful
lives  of the sources  in  the  category of
sources to which sucn standard apoiies.
   (e) After the  effective date of standards
of  performance  promulgated under this
section it shall be unlawful for any owner
or operator of any new source to ooerate
sucn source in violation of any standard of
performance applicable to such source.
   (Od)  For those  categories  of major
stationary sources  that the Administrator
listed unoer suosection Cb)(l)(A) before
the date of tne enactment of the Clean Air
Act Amendments of  1990  ana for wnicn
regulations nad not been proposed oy the
Administrator by sucn date, me  Adminis-
trator shall—
   i A)   prooose  regulations  estaoiishing
standards of  performance  for at least 25
percent of such categories of sources with-
in 2 years after the date of the enactment
of  the  Clean Air  Act  Amendments  of
 1990:
   (B)  propose  regulations  estaoiishing
standards of  performance  for at least  50
 percent of such  categories of sources with-
 in ~ years after the date of the enactment
of the  Clean Air  Act  Amendments of
 1990; and

-------
                                                                                                       FEDERAL LAWS
  (C) propose regulations for the remain-
ing categories of sources within 6 years
after  the date of the  enactment of  the
Clean Air Act Amendments of 1990.
  (2) In determining priorities for promul-
gating standards for  categories of major
stationary sources for the purpose of para-
graph (I), the Administrator shall consid-
er—
   (A) the quality  of air pollutant emis-
sions which each such category will emit,
or will be designed to emit:
   (B) the extent to which such pollutant
may reasonably be anticipated to endan-
ger public health or welfare: and
   (C) the mobility and competitive nature
of each such category  of sources and the
consequent  need for  nationally applicable
 new source  standards of performance.
 (3)  Before  promulgating any  regulations
 under this suosection or listing any cate-
 gory of major  stationary sources as  re-
 auired under this subsection the Adminis-
 trator   shall consult   with   appropriate
 representatives  of the Governors  and of
 State air pollution control agencies.
   [PL 9*5-95. August 7, 1977]
   (g)(l) Upon  application by the Gover-
 nor of a State showing that the Adminis-
 trator  has failed to specify  in regulations
 under  subsection (0(1) any  category of
 major  stationary sources required to be
 specified under such regulations, the Ad-
 ministrator shall revise such regulations to
 specify any such category.
    (21 Upon application of the  Governor of
 a  State, showing that  any  category of
 stationary sources which is not mciuded in
 the list under  subsection (b)(l)(A)  con-
 tributes significantly to air pollution which
 may reasonaoiy be  anticipated to endan-
 aer  public health  or welfare  ^otwith-
 stanaing thai sucn category is not a cate-
 gory  of major stationary  sources),  the
 Administrator  snail  revise such  regula-
 tions to specify sucn  category of stationary
 sources.
    (3)  Upon application of the Governor of
 a State showing  that the  Administrator
 has failed   to apply properly the criteria
 required to be considered under subsection
 (0(2). the  Administrator snail revise the
 list  under  suosection  (b)(l)(A)  to  apply
 properly such criteria.
    (4) Upon application of the Governor of
 a State showing that—
    (A) a new. innovative, or imDroved tech-
  nology or  process which achieves greater
continuous emission  reduction  has  been  the proper operation ano  maintenance of
adequately demonstrated for any category  any such element of design or equipment.
of stationary sources, and                   (2) For the purpose of this subsection.
   (B) as  a result of  such  technology or  the phrase  'not feasible  to  prescribe or
process, the new source standard of per-  enforce a standard of performance' means
formance  in effect under this section for  any situation in which the Administrator
such category no longer reflects  the great-  determines that (A) a pollutant or poilu-
est degree of emission  limitation achiev-  tants cannot be emitted through a convey-
able through application of the  best tech-  ance designed and constructed to emu or
nological  system of continuous emission  capture such  pollutant, or  that  any re-
reduction  which (taking into consideration  quirement for. or use of. such conveyance
the cost of achieving such emission reduc-  would  be inconsistent  with  any Federal.
tion. and  any  non-air-ouaiity health and  State,  or local law. or  (B) the application
environmental impact ano energy require-  of measurement methodology to a particu-
mcnts) has been adeduateiy demonstrated,  lar class of sources is not practicable due
the Administrator shall revise such stand-  to technological or economic limitations.
ard  of performance   :"c:  sucr. category     (3)  If after notice and opportunity for
accordingly.                            public hearing,  any person establishes to
   [Former Sec. l!ligj(5'i znd  (6) re-  the satisfaction  of the  Administrator that
moved and (7)  and  18; redtsignated as  an alternative  means  of  emission limita-
new (5) and (6)  by PL 101-549]          tion will achieve a reduction in emissions
   (5) Unless later deadlines tor action of of any air pollutant at  least equivalent to
 the  Administrator   are  otr.erwise   pre- the reduction in emissions of suca air pol-
 scribed under tnis section. :n; Admsnistra- iutant achieved under  tne reouirements of
 tor shall, not later mar. tnrte montns foi- paragraph  (1),  the Administrator  shall
 lowing   the  date  of  reesim  of  any permit the use  of such alternative by the
 application by a Governor of 3. State, ei- source for purposes of comoiiance  with
 ther—
                                         this section with resoeci to such oollutant.
   (A) find that sucn application does not    (4) Any standard  promulgated  unoer
 contain  the requisite snowing and  deny  paragraph  (1)  shall  be promulgated in
 such application, or                      terms of standard of ocrformance  when-
   (B) grant such application and take the  ever it becomes feasible to promulgate and
 action required under tr.is suosection.      enforce such standard in such terms.
   [Sec.   lll(g)(5)   amended   by  PL    (i) Any regulation  promulgated by the
 101-549]                               Administrator under  tnis  section appiica-
   (6) Before taking inv action  required  °i=  to gram  elevators shall  not apply to
 by subsection (0 or "by tms suosection. the  country elevators (as defined by the Ad-
 Administrator shall oroviae notice and OD-  mmistrator) which have a storage capacity
 portunity for public hearing.
    [PL 95-95, Augus; '. 19~77]
    (h)(l) For purposes of tnis section, if in
                                        of less than two million five hundred thou-
                                        sand bushels.
                                          (5)  Any design, equipment, work przc-
  the judgment of the Administrator,  it is  uc=- °r operational standard, or any com-
                                         bination thereoi.  described in this subsec-
                                         tion shall  be  treated as  a  standard  of
                                         performance for purposes of the provisions
                                         of this  Act (other  than  the  provisions of
                                            illl(h)(5)  added b>  PL  95-623; No-
not leosioic  to  prescr.oe  or  eniorce  a
standard of performance, a: may instead
promulgate  a design, eqmoment,  woric
practic:. or operational standard, or com-
bination  thereof,  whicr. renerj;  the  best  suosection (a; and this suosectioni
technological system of continuous  emis-
sion reduction which (takine into consider-  vember 9, 1978]
ation  the cost of achieving such  emission    (j)U)(A)  Any person oroposing to own
reduction, and any non-air quality health  or operate a new source may request  the
and environmental imoac: ana energy re-  Administrator  for one or more  waivers
quircmentsl the Administrator determines  from the requirements of tnis section  for
has been adequately demonstrated. In the  such source or any  portion  thereof with
event the Administrator oromuigatcs a de-  respect to any air pollutant  to encourage
sign or eduipment standard under this sub-  the use of an innovative technological sys-
section.  he shall  include as Dan  of  sucn  tern or systems  of  continuous  emission
standard such requirements as will assure  reduction. The Administrator  may, with

-------
CLEAN AIR ACT
me consent of ihe Governor of the State in
which the source is to be located, grant a
waiver under this paragraph, if the Ad-
ministrator  determines after notice and
opportunity for public hearing, that—
   (i) the proposed system or systems have
not been aaequateiy demonstrated.
   (ii) the proposed system or systems will.
ooerate effectively and there is a substan-
tial likelihood that such system or systems
will  achieve greater continuous emission
reduction  tnan   that  required  to  be
achieved unoer the standards of perform-
ance wnicn would otherwise   appiy, or
acnieve at least an eouivaient reduction at
lower cost in terms of energy, economic, or
nonair Quality environmental impact,
   tiii'l the owner or operator of the pro-
coscd source nas aemonstratea  to the sat-
isfaction  ot" the Administrator that  the
oroposea  system  will not cause or contrib-
ute  to  an  unrcasonaoie  nsic  to  puoiic
heaiin.  weii'arc. or safety in us  operation.
function,  or malfunction, ana
   dv) the granting  of sucn waiver  is con-
sistent wun  tne requirements of suboara-
grapn (Q.
 In making any determination under clause
 (ii). the Administrator shall take into ac-
count any previous  failure of such system
or systems to operate effectively  or to meet
any requirement  of the new source per-
formance   standards.  In  determining
w'nctner an unrcasonaoie HSK exists under
c:ausc (iii'i.  the  Administrator  shall con-
sider, among other factors, whether and to
what extent the use of the  proposed tecn-
noiogical system will cause, increase, rc-
QUCC. or eliminate emissions of any unrc-
guiateo ooiiutants:  available methods for
reducing  or eliminating  any risk to puohc
 health,  welfare,  or  safety whicn may  oe
associated wuh  the use of sucn system:
and the avauaDuity of otner tecnnoiogicai
systems wnicn  may be used to conform to
standards under this section without caus-
ing  or contributing to sucn unreasonable
 nsK The  Administrator  may conduct sucn
tests and may require the owner or opera-
tor of the croposed source to conduct such
tests and crovide sucn  information  as is
necessary to carry out clause uiil  of this
subparagrapn. Such requirements shall in-
clude a requirement for prompt reporting
of the emission of any unregulated pollu-
tant from a system if such pollutant was
noi emitted, or was emitted in significant-
ly lesser  amounts  a without use of sucn
svsiem.
  [Amended by PL 95-623, November 9.
1978]
  (B) A waiver under this paragraph shall
be granted on sucn terms and conditions
as the Administrator determines to be nec-
essary to assure—
  (i)  emissions from the source will not
prevent attainment and  maintenance of
any  national  ambient air quality  stan-
dards, and
  (ii) proper  functioning  of  the  techno-
logical system or systems authorized.
  Any such  term or condition shall be
treated as a standard of performance for
tne purposes of subsection (e) of this sec-
tion ano  section ii2.
  (C1 Tne numoer of waivers granted un-
der tnis  paragraon wun resoect to a pro-
posed technological system of continuous
emission reduction snail not  exceed  sucr,
r.umoer as tne Administrator hnds neces-
sary to ascertain wnetner or not sucn svs-
tem will  achieve :ns conditions SDcciried m
clauses ui'i and iiii'i of suboaraerapn (A).
  (D) A  waiver  under  tnis  paragraon
shall  extend to tne sooner of—
  (i) the date determined by tne Adminis-
trator, after  consultation with  the owner
or operator of :n: source, taking into con-
sideration tne design, installation, and
capital cost of ;r.e '.ecr.noiogicai system or
systems being used, or
  (ii'l the date on wmcr. '.he Administrator
determines  mat  suca system  has  failed
to—
  (I) achieve at  least an equivalent con-
tinuous  emission  reduction  to that re-
quired to be acr.ievco under tne standards
of cerformanc: wnich would otnerwise ap-
piy, or
   (II) comDiy wun tne condition specified
-,n caragrann  i l)(Ai(iii'i.
ino tr.at sucr. failure cannot  oe corrected.
   (E'i  In  carrying  out  suoparagracn
(D)(i), the Administrator snail  not ocrmit
any waiver for a  source or portion tncrcof
to sxtir.d beyond tne date—
   (il seven years after tne date on wnich
any waiver is granted  to such source or
portion thereof, or
   (ii'i four years after the date on wnich
sucr. source or portion thereof commences
operation, wmcnever is earlier.
   (F) No waiver  under this  subsection
shall acply to any portion of a source other
than tnc portion on which the innovative
technological system or systems of con-
tinuous emission  reouction is used.
  (2)(A) If a waiver under paragraph (1)
is terminated  under clause  (ii) of para-
graph  U)(D), the  Administrator  shall
grant an extension of the requirements of
this section for such source for such mini-
mum period as may be necessary to com-
ply with the applicable standard  of per-
formance under this section. Such period
shall  not extend beyond the  date three
years  from  the  time  such  waiver  is
terminated.
  (B)  An extension  granted  under  this
paragraph shall set forth emission limits
and a compliance schedule  containing in-
crements of progress  which require com-
pliance with the applicable standards of
performance as expeditiousiy as practica-
ble ana include such measures as are nec-
essary and  practicable in the interim  to
minimize emissions. Such scneaule shall
be treated as  a standard of performance
for purposes of subsection iei  of this sec-
tion ana section 113.
   :PL 95-95, August 7. 1977: Amended
by'PL 95-623. November 9. 1978]

NATIONAL  EMISSION STANDARDS
                  FOR
   HAZARDOUS AIR POLLUTAiNTS
   Sec.  112.
   (a) Definitions. — For purposes of this
section, except subsection (r)—
   (1)  Major source.  — The term 'major
source'  means any stationary source  or
 .i:oup of stationary sources located within
a contiguous area and under common con-
trol that emits or has the potential to emit
considering controls,  in  the  aggregate,  10
tons per year or more of any hazardous air
 poiiutant or 25 tons  per year or  more of
any combination of  hazardous air pollu-
 tants. The Administrator may establish a
 lesser quantity, or in  the case of  radionu-
 ciidcs different criteria, for  a maior source
 tnan that specified in  the  previous sen-
 tence, on tne oasis of the noiency of the air
 poiiutant. persistence, potential for bioac-
 cumuiation. otner characteristics of the air
 poiiutant, or other relevant factors.
   (2) Area source.   — The  term 'area
 source'  means  any  stationary source of
 hazardous air pollutants that is not a ma-
 ior source. For purposes of this section, the
 term 'area source' shall not include motor
 vehicles or nonroad vehicles suoject to reg-
 ulation under title II.
   (3) Stationary source. — The term 'sta-
 tionary source' shall  have the  same mean-
 ing as such term has  under section 111 (a).

-------
                                                                                                       -EDERAL LAWS
  ..i)  New  source.  —  The  term  "new
-ource' means a stationary source the con-
•, i ruction or reconstruction of  which is
commenced  after the Administrator rirst
proooses regulations under  this section  es-
-.aoiishing an emission standard applicable
to sucn source.
  • 5) Modification. — The term 'modifi-
cation'  means  any physical change in. or
change in the method of operation  of. a
maior source which increases the actual
emissions of any hazardous air  pollutant
emitted by sucn source by more  than a dc
 T.inimis amount or  which  results in  the
omission of any hazardous air  pollutant
 not oreviousiy emitted by more  than a de
 mimmis amount.
  ID)  Hazardous air  pollutant. —  The
 term 'hazaraous air  pollutant' means any
 ui: ooiiutant listed pursuant to suosection
 i'CI.
    "i   -\overse  environmental effect. —
 The  icrm  "adverse  environmental  effect'
 means  any significant ana  widespread ad-
 verse en"ect. winch may reasonably be an-
 ucioated. to wildlife, aquatic life, or other
 natural  resources,  including  adverse  im-
 racts  on populations of  endangered  or
 inreatened soecies or significant aegrada-
 uon of environmental quality over  oroad
 .ireas.
   18)  Electric  uuiity  steam  generating
 unit. — The  term  "electric utility steam
 generating unit' means any fossil fuel fired
 ccmoustion  unit   of   more   than   25
 megawatts  that serves  a  generator that
 produces eiectncuy for  sale.  A unit that
 coeenerates steam and electricity and sup-
 oiies mere  than one-third of its potential
 i:;c;nc output canacity and more than 23
 •neaawatts eicctncal output to  any utility
 sower disinouuon system  for sale shall be
 considered an electric utility steam gener-
 ating unit.
   >9)  Owner  or operator. —  The  term
 'owner or operator' means any person  who
 owns,  leases,  operates, controls, or  super-
 vises a stationary source.
   110)  Existing source. — The term "ex-
 isting source' means any stationary source
 otncr man a new source.
   (II) Carcinogenic effect. —  Unless re-
 vised,  the term  "carcinogenic effect1 shall
 have the meaning provided by the Admin-
 istrator under Guidelines lor Carcinogenic
  Risk Assessment as of the date of enact-
 ment.  Any revisions in  the existing Guide-
lines shall be suoiect to notice ana orjpor-  List. — The Congress estaolishes for pur-
tunity for comment.                      poses of this section a list of hazardous air
  (bi List of  Pollutants.  — (I) Initial  pollutants as follows:
              CAS
           numoer

             75070
             60355
             75058
             98862
             53963
            '.07028
             "9061
             T9107
            107131
            i07051
             92671
             62533
             90040
             98077
            :00447
             9"'524
            '. 17817
            542881
             -«io
            106990
            •56617
            105602
            :33062
             53252
             '5150
             56235
            -63581
            '. 20809
            '.33904
             57749
           "S2505
             '9118

            108907
            510156
             57663
            '.07302
            ", 26998
           1319773
             95487
            '.08394
            106445
             98828
             94757
           3547044
            334883
            132649
             96128
Chemical name

Acetaldehyde
Acetamioe
Acetomtriie
Acetophenone
2-Acetyiaminonuorene
Acroicm
Acryiamide
Acrylic acia
Acryionitnie
Ally! chloride
— Ammooionerni
Aniline
o-Anisidme
AiOSSlOS
3tr.zene unciuc:nz oer.zine from gasoline i
3:r.zidine
Senzotncniorioe
Benzyi cnlorid:
Biohenyi
3isi2-ctnyihex\i)Dnthaiate (DEHP)
Bisichiorometnyiiether
3:cmoform
1 .5-3utadiene
Ciicium cyanarr.ice
C^rbaryi
Ciroon disuifid:
Carbon tetracnicr.ee
Cirbonyi suind:
C;;echoi
Cr.ioramoen
Chioroane
Chlorine
Cr.ioroacetic ac:c
2-Chioroacetoor.;r.on:
Cr.iorobenzsne
Chiorobenznat:
Chloroform
Chiorometnyi 7r.::n\i etner
Chioroprcne
Crisois/Cresyiic 2c:d (isomers and mixture)
o-Cresoi
m-Cresoi
p-Cresoi
Cumene
2.4-D. salts ano esters
DDE
Diazometnanc
Dibenzoiurans
'; .I-Dibromo-3^:r.ioroDroDane

-------
REFERENCES FOR SECTION 12.2

-------
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2§
§ 60.123 Test methods nnd procedures.
(a) In conducting the performance
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operator shall use as reference meth-
ods and procedures the test methods
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methods and procedures as specified
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(b) The owner or operator shall de-
termine compliance with the particu-
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follows:
(1) Method 5 shall be used to deter-
mine the particulate matter concen-
tration during representative periods
of furnace operation, including charg-
ing and tapping. The sampling time
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(k) Total smelter charge means the
weight (dry basis) of all copper sulflde
ore concentrates processed at a pri-
mary copper smelter, plus the weight
of all other solid materials Introduced
Into the roasters and smelting fur-
naces at a primary copper smelter,
except calcine, over a one-month
period.
(1) High level of volatile impurities
means a total smelter charge contain-
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-------
APPENDIX B: CHECKLIST FOR PREPARING AND REVIEWING
                LEAD SIP REVISIONS

-------
           5.     REVISIONS  CONTROLLING  LEAD
       Region	   State 	   SIPTRAX Number	 SI? Title  	
             (N/A  means not applicable    ? menas do not  know.)
                   Background
  Circle Answer
1.  Is  the basis for this revision modeled/measured air
   quality violations?
Yes   No  N/A   ?
2.  Has  the original attainment date been  identified?
   What is it?
Yes   No   N/A   ?
    Air Quality Data
  Circle Answer
1. Does  the plan contain quality-assured raw and
   quarterly average data since the original
   attainment date?
Yes   No   N/A  ?
2. Is there at least one monitor near the  predicted
   maximum ambient air concentration?
Yes   No   N/A   ?
3. Is the  monitoring network described and planned
   changes to it identified?
Yes   No   N/A   ?
           .Emission Inventory
 Circle Answer
1. Does the  SIP contain emission calculations  or
   justification for base year inventory?
Yes   No   H/A   ?
                                  C-5-1

-------
2. Are changes from the base year inventory justified
   (i.e., changes in operation and/or reductions  for
   controls)?                                               Yes    No   N/A   ?
3. Are point source emission limits clearly defined?         Yes   No   N/A  ?
A. Does the inventory cover all major fugitive
   sources?                                                 Yes   No   N/A   ?
5. Are the fugitive emission factors documented?            Yes   No   N/A
 Air Quality Modeling                                        Circle Answer         |
	I
1. Has an atmospheric dispersion model been used and
   identified?                                              Yes   No   N/A
2. Which version of the model was used?
3. Has a receptor model been used and identified?           Yes   No   N/A
A. Is the receptor grid adequate to detect maximum
   ambient concentration?                                   Yes   No   N/A
                                    C-5-2

-------
5. Are the models guideline or approved grandfather?        Yes   No   N/A   ?
6. Were 5 years of offsite meteorological data used?        Yes   No   N/A   ?


7. If onsite meteorological data were used,  have they
        quality assured?                                   Yes   No   N/A   ?
8. Were stack heights justified [GEP,  L 65 meters,
   merged plumes]?                                          Yes    No    N/A    ?
9.  Were any and all nonguideline deviations identified      Yes   No   N/A   ?
   and justified?
10. Does the modeling show attainment?                      Yes   No   N/A   ?
11. Are areas excluded from ambient air justified?          Yes   No   N/A   ?
                                    C-5-3

-------