United States                                                   EPA-905-R97-002a
Environmental Protection Agency                                     May 1997

 WASTE MANAGEMENT
   Risk Assessment for the Waste Technologies Industries (WTI)
    Hazardous Waste Incineration Facility (East Liverpool, Ohio)
VOLUME I:  Executive Summary
                   U.S. Environmental Protection Agency - Region 5
                       Waste, Pesticides and Toxics Division
                             77 West Jackson Blvd.
                               Chicago, IL 60604
                            Prepared with the assistance of:

                      AT. Kearney, Inc. (Prime Contractor; Chicago, IL);
                            with Subcontract support from:
                            ENVIRON Corp. (Arlington, VA),
                       Midwest Research Institute (Kansas City, MO)
                         and EARTH TECH, Inc. (Concord, MA)
                          under EPA Contract No. 68-W4-0006

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                                  VOLUME I
                          EXECUTIVE SUMMARY

                                 CONTENTS

                                                                            Page

    I.   INTRODUCTION AND SUMMARY OF RESULTS                          1-1

        A.  Overview                                                          1-1
        B.  Introduction and Overview of Results                                   12
            1.  Human Health Risk Assessment                                    1-2
               a)  Introduction                                                 1-2
               b)  Overview of Results                                          1-4
            2.  Screening Ecological Risk Assessment (SERA)                       1-5
               a)  Introduction                                                 1-5
               b)  Overview of Results                                          1-7
            3.  Accident Analysis                                                1-9
               a)  Introduction                                                 1-9
               b)  Overview of Results                                         1-12
        C.  Structure of the Report                                              1-13

   II.   FACILITY BACKGROUND                                             II-1

        A.  Facility Setting                                                     II-1
        B.  Facility Description                                                 II-2

  III.   FACILITY EMISSIONS                                                III-l

        A.  Overview                                       "                 III-l
        B.  Incinerator Stack Emissions                                          III-l
        C.  Fugitive Emissions                                                 1II-4
        D.  Uncertainties                                                      III-5
            1.   Uncertainties in Stack Emissions Characterization                    III-6
            2.   Uncertainties in Fugitive Emissions Characterization                 III-6

  IV.    ATMOSPHERIC DISPERSION AND DEPOSITION MODELING
        OF EMISSIONS                                                       IV-1

        A.  Overview                                                         IV-1
        B.   Modeling Input Data                                               IV-2
            1.   Source Data                                                   IV-2
           2.   ISC-COMPDEP Modeling                                       IV-2
           3.   Non-Steady-State Modeling Using CALPUFF and fNPUFF           IV-4
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                                   CONTENTS
                                      (continued)
                                                                                 Page
            4.  Wind Tunnel Simulations                                          IV-5
            5.  Fugitive Emission Sources                                          IV-5
        C.  Results                                                               IV-6
        D.  Uncertainties                                                         IV-6
            1.  Uncertainties Associated with Limitations of the
                Technical Formulations                                            IV-6
            2.  Uncertainties Associated with Data Limitations                        IV-7

   V.   HUMAN HEALTH RISK ASSESSMENT                                   V-l

        A.  Overview                                                            V-l
        B.  Selection of Chemicals for Evaluation in the Risk Assessment               V-2
            1.  Incinerator Stack Emissions                     .                    V-2
            2.  Fugitive Emissions                                                V-3
        C.  Toxicity Assessment                                                   V-4
        D.  Exposure Assessment                                                  V-5
            1.  Identification of Population Subgroups and Exposure Pathways          V-5
            2.  Fate and Transport Modeling                                       V-7
            3.  Calculation of Dose                                                V-7
        E.  Risk Characterization                                                 V-10
            1.  Incinerator Stack Emissions                                        V-10
            2.  Fugitive Emissions                                               V-ll
        F.  Uncertainties Associated with the HHRA                                V-l2

  VI.   SCREENING ECOLOGICAL RISK ASSESSMENT       .                   VI-1

        A.  Overview                                                            VI-1
        B.  Selection  of ECOCs                                                   VI-2
            1.  Incinerator Stack Emissions                                        VI-2
            2.  Fugitive Emissions                                               VI-3
        C.  Characterization of Exposure                                          VI-4
        D.  Selection  of Indicator Species                                          Vl-6
        E.  Characterization of Effects                                             VI-7
        F.  Risk Characterization                                                 VI-7
        G.  Uncertainties                                                         VI-9
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                                   CONTENTS
                                      (continued)

                                                                                  Page

  VII.    ACCIDENT ANALYSIS                                                  VII-1

         A.  Overview                                                            VII-1
         B.  History of Accidents Reported at U.S. Commercial
             Incineration Facilities                                                 VII-2
         C.  Scenarios Considered in the Accident Analysis                           VI1-3
         D.  Chemicals of Potential Concern                                        VII-3
         E.  Estimation of Emission Rates and Heat Effects                           VII-5
             1.  Chemical Emission Rates                                          VII-5
             2.  Heat Effects                                                      VII-6
         F.   Dispersion Modeling for Accident Scenarios                             VII-6
         G.  Evaluation of Severity of Consequence and Probability of Occurrence      VII-7
         H.  Uncertainties                                                        VII-11

 VIII.    ADDITIONAL ANALYSIS IN RESPONSE TO PEER REVIEW
         RECOMMENDATIONS                                                 VIII-1

         A.  Overview                                                           VIII-1
         B.   Combustion  Engineering                                              VIII-3
             1.  Chemical Emissions from Accidental Fire                          VIII-3
             2.  Particle  Size Distribution Data                                     VIII-3
             3.  Emissions During Abnormal Operations                            VIII-3
             4.  Facility-Specific Sulfur Dioxide Removal Efficiencies                VIII-4
         C.   Air Dispersion and Deposition Modeling                               VIII-4
             1.  Additional Calm/Stagnation Event Modeling      -                 VIII-4
             2.  Re-evaluate Accident Scenarios Emissions During Calm Conditions    VIII-5
         D.   Exposure Assessment                                                 VIII-5
             1.  Likelihood That Surrogate Selection Process
                Biased the Calculated Risk                                        VIII-5
             2.  Clarify How Chemical Concentration and Exposure
                Factors Were Combined                                           VIII-6
             3.  Exposure to Household Dust                                      VIII-6
            4.  Expand Table on Key Fate and Transfer Assumptions                VIII-6
         E.  Toxicology                                                          VIII-7
             1.  Route-to-Route  Extrapolation of RfDs                              VIII-7
            2.  Additivity versus Synergy or Antagonism                           VIII-7
            3.  Include List of Noncancer Endpoints                               VIII-7
            4.   Exposure to Metals via Breast Milk Pathway                        VIII-8
            5.   Uncertainty Associated with Uncharacterized Emissions              VIII-8
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                                  CONTENTS
                                     (continued)
        F.  Ecological Risk Assessment
            1.   Goals and Purpose
            2.   Permit Limit Scenario
            3.   Improve Text Clarity
            4.   Indicate Key Uncertainties that Influence Conclusions
        G.  Accident Analysis
            1.   Pressurized Release
            2.   Accident Severity and Consequence Information
            3.   Use of ERPG-2 Values
            4.   Fire Emissions Similar to Stack Emissions
            5.   CALPUFF Analysis of Calm/Stagnant Conditions
            6.   More Appropriate Model for Chemical Evaporation
            7.   Screening-Level Evaluation for Chemical Concentrations at the
                East Elementary School
  IX.   REFERENCES
                                    TABLES
Table III-l:      Data on Polychlorinated Dioxin/Furan Stack Emissions at WTI
                Facility Used in the WTI Risk Assessment
Table III-2:      Estimated Average and High-end Stack Emission Rates for Dioxin
                and Furan Congeners
Table III-3:      Estimated Average and High-end Emission Rates for Products of
                Incomplete Combustion (PICs) and Residues of Organic Compounds
Table III-4:      Estimated Average Metal Emission Rates
Table III-5:      Estimated Average Acid Gas and Paniculate Matter Emission Rates
Table III-6:      Estimated Average Concentrations of Metals and Inorganic
                Compounds in Fugitive Fly Ash Emissions
Table IV-1:      Stack Parameters for the WTI Incinerator Stack
Table IV-2:      Source Characteristics for Fugitive Emission Sources
Table IV-3:      Summary of ISC-COMPDEP Modeling Results for the WTI Main
                Incinerator Stack
Table IV-4:      Summary of WTI Modeling Results with ISC-COMPDEP
                Fugitive Emission Sources
Table V-l:       Surrogate Chemicals Selected for the Indirect Risk Assessment of
                Stack Emissions
Table V-2:       Surrogate Chemicals Selected for the Assessment of Fugitive
                Organic Vapor Emissions
Table V-3:       Exposure Populations and Pathways Considered in the Risk
                Assessment
   Page

 VIII-8
 VIII-8
 VIII-9
 VIII-9
 VIII-9
VIII-10
VIII-10
VIII-10
VIII-10
VIII-11
VIII-11
VIII-11

Vin-12

   IX-1
   III-8

   III-9

  III-10
  HI-15
  III-16

  III-17
   IV-8
   IV-9

  IV-10

  IV-11

  V-13

  V-14

  V-15
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                                    CONTENTS
                                       (continued)

                                                                                   Page

 Table V-4:       Estimated Area Average Cancer Risks and Hazard Indices Due to
                 Exposure from Direct and Indirect Pathways in Subarea El             V-16
 Table VI-1:      Metals Evaluated in the SERA - Stack Emissions                     VI-10
 Table VI-2:      Organics Evaluated in the SERA - Stack Emissions                   VI-11
 Table VI-3:      Estimated Emission Rates for Metals and Total Cyanide in
                 Fugitive Fly Ash                                                  VI-12
 Table VI-4:      Estimated Emission Rates - Fugitive Organic Vapor Emissions         VI-13
 Table VII-1:     Scenarios Selected for Quantitative Evaluation                       VII-13
 Table VII-2.     Severity of Consequence and Probability of Occurrence
                 Results for On-Site Scenarios                                      VII-14
 Table VII-3:     Severity of Consequence and Probability of Occurrence Results
                 for Off-Site Scenarios                                             VII-15
                                     FIGURES

 Figure II-1:     Location of the WTI Facility                                         II-5
 Figure II-2:     WTI Site Plan                                                      II-6
 Figure III-1:    Location of Stack, Fugitive Organic Vapor, and
                Ash Emission Sources                                             III-18
 Figure VI- i:    Diagrammatic Conceptual Site Model for the WTI SERA-Stack
                Emissions                                                         VI-14
 Figure VI-2:    Diagrammatic Conceptual Site Model for the WTI SERA-Fugitive
                Emissions                                                         VI-15
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            I.  INTRODUCTION AND SUMMARY OF RESULTS
 A. Overview
    In 1983, Waste Technologies Industries (WTI) received a permit from U.S. EPA Region 5
 to construct and operate a hazardous waste incineration facility in East Liverpool, Ohio   As
 detailed in the permit application, the facility currently consists of a rotary kiln incinerator
 with air pollution control equipment; waste transfer, handling and storage areas: an on-site
 laboratory for waste testing; and associated administrative buildings.  The facility began
 limited commercial operations in April 1993, after completion of an  initial incinerator trial
 burn.
    In 1992, U.S. EPA Region  5 performed a preliminary assessment of the potential human
 health risks posed by inhalation  exposure (i.e., direct exposure) to emissions from the
 incinerator stack at the  WTI facility (U.S. EPA 1992a).  In 1993 and 1994, U.S. EPA's Office
 of Research  and Development (ORD) performed two screening-level analyses of the potential
 human health risks posed by exposures to specific chemicals (polychlorinated dioxins and
 furans) that may deposit from the air onto soil and vegetation, and accumulate in the food
 chain (i.e., indirect exposures) (U.S. EPA 1993a; U.S. EPA 1994a).  The results  of the risk
 assessments  performed  by Region 5 and ORD indicate that the potential risks  through indirect
 exposures are higher than those  through direct inhalation.  Limited site-specific data were
 available in these preliminary assessments, which therefore  relied on generic, non-site-specific
 assumptions regarding both facility emissions and the potential for human exposure.
    In May  1993, U.S. EPA initiated a comprehensive site-specific risk assessment for the
 WTI facility. A Project Plan for the WTI Risk Assessment was developed by U.S. EPA
 (1993d), and then subjected to external peer review by independent experts in the  fields of
 combustion technology, atmospheric dispersion modeling, exposure assessment, toxicology
 and risk assessment (U.S. EPA  1993e).
    Consistent with  the Project Plan and Peer Review Panel comments on that plan, there are
 three major components of the WTI Risk Assessment:

        •    Human Health Risk Assessment  (HHRA). a detailed, site-specific, multipathway
            evaluation that expands upon the screening-level analyses previously  performed

\T o 111 m o T                                  T - 1

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            for the WTI facility.  The goal of the HHRA is to develop an understanding of
            the human health risks associated with  exposures to routine emissions from the
            WTI facility using refined risk assessment techniques, and provide a.basis for  .
            risk management decisions.

        •   Screening Ecological Risk Assessment  (SERA), a screening-level analysis to
            determine the potential significance of  risks to ecological receptors (e.g.. plants.
            fish, and wildlife) from exposure to routine emissions from the WTI  facility.
            The SERA for the WTI facility has been performed using conservative
            assumptions and approaches to determine if a refined analysis is  warranted.

        •   Accident Analysis, an evaluation of the consequences and probability of several
            general classes of accidents that  could potentially occur during operations of the
            WTI facility. The Accident Analysis also evaluates the reduction in off-site
            impacts that would be expected if mitigation measures succeed in shortening the
            duration of accidental release events.

    To the extent possible, the WTI Risk Assessment relies on site-specific data to reflect
more accurately emissions from the WTI  facility, and local conditions in the vicinity of the
facility.  For this purpose, on-site meteorological data were collected,  substantial emissions
monitoring was conducted, and studies of the physical characteristics  and populations in the
vicinity of East Liverpool were undertaken.
    An overview of the approaches and results of the HHRA, SERA and Accident Analysis is
presented  below. More complete descriptions are provided in subsequent chapters of this
Executive Summary.

B.  Introduction and Overview of Results

    1.   Human Health Risk  Assessment

        a)  Introduction
            The regulatory framework for performing human health risk assessments has
        been established through a series of guidance documents issued  by U.S. EPA and
        other  regulatory agencies since the early  1980s.  Key examples  of guidance developed
        by regulatory agencies to define the objectives  and approaches for human health risk
        assessment are  listed below:

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             •    National Research Council (NRC).  1983.  Risk Assessment in the Federal
                 Government: Managing the Process.

             •    U.S. EPA.  1986a. Guidelines for Carcinogen Risk Assessment.

                 U.S. EPA.  1986b. Guidelines for the Health Risk Assessment of Chemical
                 Mixtures.

             •    U.S. EPA.  1989.  Risk Assessment Guidance for Superfund.  Volume I
                 Human Health Evaluation Manual (Part A).

             •    U.S. EPA.  1994b. Estimating Exposure to Dioxin-like Compounds
                 (Review Draft)

             •    U.S. EPA.  1995a.  Guidance for Risk Characterization.

             Through these documents, guidelines  for performing both qualitative and
        quantitative human health risk assessments have been defined.  U.S. EPA has also
        released  specific guidance for applying the general human health risk assessment
        methodologies to incineration facilities,  including the following:

             •   U.S. EPA.  1990a.  Methodology for assessing health risks associated with
                    indirect exposure to combustor emissions, Interim Final.

             •   U.S. EPA.  1993b.  Addendum  to "Methodology for assessing health risks
                    associated with indirect exposure to combustor emissions" (Review
                    Draft).

            •   U.S. EPA.  1994c.  Implementation guidance for conducting  indirect
                    exposure analysis at RCRA  combustion units (Draft).

            U.S. EPA (1994c) guidance for hazardous waste combustion facilities regulated
        under the Resource Conservation and Recovery Act (RCRA) specifies a two-step
        approach for assessing human health risks.  The first step is a screening-level risk
        assessment performed to determine if a more detailed, site-specific evaluation of risk
        is warranted.  For the WTI facility, a preliminary assessment of human health risks

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        through inhalation exposure was performed by U.S. EPA in 1992. Preliminary Risk
        Assessment of Inhalation Exposures to Stack Emissions from the WTI Incinerator
        (U.S. EPA 1992a).  This was followed by two screening-level assessments of
        multipathway exposures, one performed by ORD in 1993, Screening Level Anahsis o1
        Impacts from WTI Facility (U.S. EPA 1993a). and another performed by ORD in
        1994, Update of WTI Screening Level Analysis (U.S. EPA 1994a). The following
        four scenarios were developed in the screening-level assessments:  (1) a subsistence
        farmer, (2) a "high-end" farmer1; (3) a resident;  and (4) a school age child who is
        expected to spend  time playing in the yard at a local school.  Pathways of exposure
        were beef consumption for the farmer scenarios only;  vegetable ingestion for the
        resident and farmer scenarios; and soil ingestion, dermal contact and inhalation for all
        scenarios.
            In response to citizen concerns, the U.S. EPA initiated a detailed, site-specific.
        multipathway risk  assessment for the WTI facility, as  soon as site-specific information
        became available.  The primary goal of the HHRA is to estimate risks associated with
        typical and high-end exposure to routine atmospheric emissions from the WTI facility.
        including risks posed by  indirect exposures associated with contaminant uptake via the
        food chain. Consistent with U.S. EPA guidelines on exposure assessment, estimates
        of "central tendency" exposures are developed to reflect exposures that may be
        experienced by typical members of the exposed population.   In addition, individuals at
        the upper end of the exposure distribution are identified, and a sensitivity analysis of
        this "high-end" exposure group is conducted to assess  the range of exposures in this
        group.

        b)  Overview of Results
            The primary conclusions of the HHRA are summarized below:

            •   For incinerator stack emissions,  polychlorinated dioxins and furans
                (PCDD/PCDF) are identified as  the primary constituents of concern. The
                consumption of meat and eggs from locally raised livestock, and the
                consumption of milk and dairy products from locally raised cows are
                identified  as principal pathways of exposures  to PCDD/PCDF.  For these
                pathways, the estimated average total cancer risk is  1 in 1 million (1 x 10h)
                or less. Estimated average noncancer hazard index  (HI) values are below
        The subsistence farmer is assumed to derive his entire beef diet from cattle raised in the vicinity of the WTI
        facility  The "high-end" farmer is assumed to derive a portion of his beef diet from other sources

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                 1.0, indicating that noncancer health effects associated with stack emissions
                 would not be anticipated.

             •   For fugitive emissions, average cancer risks are estimated to be less than 2 in
                 1 million (2 x 10~6) for all fugitive emission sources.  The estimated
                 noncancer HI values associated with exposure to fugitive  emissions are
                 substantially below 1.0,  indicating that noncancer health effects would not be
                 anticipated.

             •   Based on an evaluation of site-specific, incremental risk across the entire
                 population in the vicinity of the WTI facility, it is not anticipated that am
                 individual in this population would develop cancer as a result of exposure to
                 routine WTI emissions.

             •   Predicted off-site air concentrations of U.S. EPA-regulated "criteria
                 pollutants," such as sulfur dioxide, nitrogen oxides, hydrogen chloride,
                 paniculate matter, and lead are determined to be less than National Ambient
                 Air Quality Standards.

    2.   Screening Ecological  Risk Assessment (SERA)

         a)   Introduction
             A SERA has been performed to assess the potential  for routine emissions from
         the WTI facility to cause adverse  effects to ecological receptors. For  this purpose.
         the major ecological receptors  in the vicinitv of the WTI facility were identified,
         likely exposure pathways were defined for stack and fugitive emissions, exposures to
         selected ecological chemicals of concern (ECOCs) were  estimated for representative
         indicator species,  and toxicological benchmarks (based on ecologically relevant
         endpoints) were developed to evaluate the potential ecological effects of facility
         emissions.
             In many ways, ecological risk assessment is much more complex  than human
         health risk assessment.  This stems largely from the need to evaluate multiple species
         with widely differing exposures and toxicological  sensitivities, and multiple effects at
         levels of organization beyond the  individual (i.e.,  the population and community)
         Furthermore, chronic toxicological benchmarks are less  well established for
         ecological risk assessments than for human health risk assessments. As  a result,

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        compared to human health risk assessments, ecological risk assessments (especialh at
        the screening level) generally rely on more qualitative methodologies, with a resulting
        increase in uncertainty.
            Regulatory guidance relating to specific methodologies for conducting ecological
        risk assessments is limited, compared to the guidance available for human health risk
        assessments.  Key guidance documents used in the SERA,  which define the objectives
        and approaches of ecological risk assessment, include the following:

            •   U.S. EPA. 1992d.  Framework for Ecological Risk Assessment.

            •   U.S. EPA. 1994e.  Ecological Risk Assessment Guidance for RCRA
                Corrective Action, Region 5.  (Interim Draft)

            Screening-level assessments represent the first phase in the ecological risk
        assessment process. The need for, and focus of, additional phases of assessment are
        determined by the results of the screening-level  assessment. A SERA is the first
        phase in the process described in Region 5 guidance (U.S.  EPA 1994e).  According
        to the U.S. EPA's  1992 Framework for Ecological Risk Assessment (U.S. EPA
        1992d), a screening ecological risk assessment "may be performed using readily
        available  data and conservative assumptions; depending upon the results, more data
        then may be collected to support a more rigorous assessment."  Because screening-
        level analyses are generally performed using conservative assumptions  and
        approaches, the predicted  risks are much more likely to be  overestimated than
        underestimated.
            The SERA for the WTI facility is intended to complement the detailed HHRA.
        Thus, consistent approaches and assumptions are used where  appropriate in the SERA
        and HHRA.  For example, the atmospheric dispersion modeling performed for the
        facility is common to both analyses.  However,  in contrast  with the HHRA. which
        focuses on central tendency exposures, the SERA relies on conservative (high-end)
        estimates of emission rates and exposure parameters to produce reasonable upper-
        bound estimates of risk.  Examples of conservative approaches used in the SERA
        include the following:

            •    To maximize hypothetical exposures, the ecological receptors  considered in
                the SERA are assumed to be present at the location of maximum impact of
                facility emissions, with lifetime home ranges confined to the maximum

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                 impact point   For example, for fugitive organic vapor emissions, exposures
                 are estimated at locations where airborne concentrations are estimated to be
                 the highest.

             •   Exposures are compared with toxicity data representing, where available, the
                 lowest chronic no-effect level data for ecologically relevant endpomts (e.g..
                 growth and reproduction).

             •   The SERA includes a "permit limit" scenario for stack emissions of metals
                 This upper-bound scenario is based on continuous emissions of stack metals
                 at the maximum hourly emission limits, as defined in the facility's existing
                 RCRA permit. A separate evaluation based on "expected" metal emission
                 rates is also performed.

             The SERA conducted as part of the WTI Risk Assessment provides an initial
         evaluation of potential risks to ecological receptors that may be directly exposed to.
         or indirectly affected by, routine  stack emissions and fugitive emissions.  It screens
         out those combinations of ECOCs, exposure pathways, and receptors where risks are
         negligible, and it provides a focus for any additional evaluation that may  be warranted
         in a subsequent phase of assessment.

         b)   Overview of Results
             The conclusions of the SERA are summarized below

             •    The area surrounding the WTI facility contains a wide variety  of terrestrial.
                 wetland, and aquatic habitats and numerous plant,  fish, and wildlife species.

             •    There are no recorded sightings of species listed as rare, threatened, or
                 endangered by Federal and State agencies within one kilometer of the
                 facility.  The nearest known sightings of such species (two state-listed fish
                 species) occur approximately four kilometers southwest of the facility in the
                 Ohio River.  Because of limited exposures, neither fish species (or any other
                 listed species) is likely to be adversely impacted by routine facility
                 emissions.
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             •    The maximum estimated exposure points for both stack and fugitive
                 emissions are within one kilometer of the facility.

             •    Under the expected emission scenario for metals from the incinerator stack.
                 low to negligible ecological risks are indicated.

             •    For routine emissions of organic compounds from the incinerator stack, low
                 to negligible ecological risks are indicated.

             •    For fugitive inorganic emissions from the ash handling facility, low to
                 negligible ecological risks  are indicated.

             •    For fugitive organic vapor emissions, low to negligible ecological risks are
                 indicated except for formaldehyde.  For formaldehyde, risks of relatively low
                 magnitude are indicated for wildlife in a small area immediately adjacent to
                 the tank farm, where inhalation exposures would be limited because of
                 habitat considerations and thus significant adverse effects to wildlife
                 populations and community structure are very unlikely.

             •    Under the "permit limit" scenario for metals in incinerator stack emissions,
                 risks of relatively high magnitude are indicated for six metals.  Risks are
                 highest for thallium, selenium, barium, and nickel.  However,  as discussed
                 in Volume VI, Chapter I, this scenario is not necessarily representative of the
                 expected metal emissions (and resulting risks) from the facility stack.

             Given the conservative assumptions  used in the SERA, the likelihood of
        significant risks to ecological receptors as a result of expected levels of routine
        incinerator stack and fugitive emissions is predicted to be very low and  further
        assessment does not  appear warranted.  The conservative assumptions used in the
        SERA and the uncertainty analysis provide a relatively high degree of confidence in
        this  low  prediction of risk.  If the WTI facility were to operate continuously at the
        maximum hourly permit limits for metals, however, risks of relatively high magnitude
        are predicted in the SERA.  Although it  is theoretically and legally possible for the
        WTI incinerator to continuously emit met; Is at the permit limits,  this is considered
        unlikely  based on the results of stack testing.  For example, the "expected" emission
        rate  for thallium based on stack testing is over 10,000-fold lower than the permit limit

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         (see Chapter VI). Quantifying the likelihood and possible extent of potential effects
         under the permit limit scenario would require a more refined analysis. However.
         because the scenario is not considered to be realistic and does not reflect emissions
         expected during routine operations, it represents an absolute upper-bound condition
         Therefore, if stack metal emissions do not reach the levels associated with this
         scenario, it is highly probable that routine operations of the WTI facility would not
         pose a significant risk to ecological receptors.

     3.   Accident Analysis

         a)   Introduction
             An Accident Analysis has been performed to evaluate the likelihood  and potential
         off-site consequences of accidents that may occur during operations of the WTI
         facility.  Because  it is  not possible to  identify and assess all accidents that could
         hypothetically occur at the facility, a  subset of accidents reflecting a  range of severity
         of consequence and probability of occurrence is evaluated.  This subset has been
         selected to address outcomes (e.g., spills, fires) that could be caused by different
         initiating events.   The  results of this type of analysis typically provide information
         that can be used to reduce the likelihood, extent and impact of possible accidents,  as
         suggested by the following key guidance documents:

            •        U.S.  EPA, Federal Emergency Management Agency (FEMA).  and I' S
                     Department of Transportation (U.S. DOT).  1987.  Technical Guidance
                    for Hazards Analysis: Emergency Planning for Extremely Hazardous
                     Substances.

                     FEMA, U.S. EPA, and  U.S. DOT.  1993.  Handbook of Chemical
                     Hazard Analysis Procedures.

                     U.S.  EPA.  1996.  Accidental Release Prevention Requirements:  Risk
                    Management Programs under Clean Air Act Section 112(r)(7); Final
                    Rule.

            These documents outline a general approach for performing accident  analyses  at a
        broad range of industrial facilities.  The scope of accident analysis varies  widely.
        however, and the application of standard accident analysis methodologies to

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         hazardous waste treatment facilities is relatively complex due to the variable
         composition of the wastes handled.  For example, while most industrial plants
         typically handle a limited number of chemical reagents and products, a hazardous
         waste treatment facility often receives chemical mixtures that can vary significantly
         from day to day in terms of both composition and potential hazard.
             In contrast with the HHRA and SERA, where measurements have been made to
         establish the composition and magnitude of emissions under normal facility
         conditions, there is insufficient operational history at WTI (or comparable facilities)
         to accurately predict the nature of releases which may occur as a result of specific
         accidents.  Despite such uncertainties, the Accident  Analysis provides useful
         information regarding the possible effect of facility accidents, should they occur.
             A primary goaJ of the Accident Analysis is to identify accident scenarios that
         "have a reasonable likelihood of occurrence in the foreseeable future and/or which
         may have significant consequences in the absence of an organized, rapid, and
         effective response effort" (FEMA 1993).  To accomplish this goal, key  aspects of the
         Accident Analysis include the following:

             •   Three general classes of on-site accidents (spill,  fire, and mixing of
                incompatible  wastes) and two general classes of off-site  accidents (spill and
                fire) are evaluated.  For each type of accident, two release quantities
                ("typical" and "conservative") are evaluated.

             •   Two waste compositions ("typical" and "conservative")  are evaluated for
                each accident event, to address uncertainties introduced  by the variable
                composition of the waste received by the facility.

                Three sets of meteorological conditions ("typical," "conservative," and
                "calm/inversion") are evaluated for each accident scenario, to determine the
                effect of different conditions on predicted chemical concentrations.

             •   Severity of consequence is evaluated quantitatively through a comparison of
                predicted chemical concentrations in air with acute toxicity criteria.

                Probability of occurrence is evaluated semi-quantitatively through a
                consideration of the likelihood that different types of accidents  (e.g., spills)
                will occur during facility operations.

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             Given the objectives of the Accident Analysis, probability of occurrence has been
         evaluated using the following guidelines presented by FEMA (1993):

         Common    Expected to occur one or more times each year on average

         Likely      Expected to occur at least once every  10 years on average.

         Reasonably Predicted to occur between once every 10 years and once every
         Likely      100 years on average.

         Unlikely    Predicted to occur between once every 100 years and once every 1.000
                     years-on average.

         Very        Predicted to occur less than once in 1,000 years.
         Unlikely

             FEMA (1993) also presents a four-tier system for classifying the consequences of
         accident scenarios. The  definitions provided by FEMA (1993) for categorizing
         consequences are not directly applicable to the WTI Accident Analysis  However, the
         general system described in FEMA (1993) serves as the basis for the following
         severity of consequence categories developed specifically for the WTI Accident
         Analysis using U.S.  EPA Level of Concern (LOG) values as acute toxicity criteria

         Minor          No exceedance of an LOG value in inhabited off-site areas; and
                         negligible potential for off-site fatalities or serious injuries  due to
                         heat effects from a fire.

         Moderate        Exceedance of LOG values in inhabited off-site areas over  distances
                         of 200 meters or less; injuries due to heat effects limited to a
                         distance of 200 meters into inhabited areas.

         Major          Exceedance of LOG values in inhabited off-site areas over  distances
                         between 200 meters  and  2,000 meters; injuries  due to heat  effects
                         limited  to a distance of 2,000 meters into inhabited areas.
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        Catastrophic    Exceedance of LOG values in inhabited off-site areas over distances
                         greater than 2,000 meters: injuries due to heat effects extend to
                         distances greater than 2,000 meters into inhabited areas.

             A similar system based on NIOSH Immediately Dangerous to Life or Health
        (IDLH) values has also been developed:

        Minor          No exceedance of an Immediately IDLH value in inhabited off-site
                         areas; and negligible potential for off-site fatalities or serious
                         injuries due to heat effects from a fire.

        Moderate       .Exceedance of IDLH values in inhabited off-site areas over
                         distances of 100 meters or less;  injuries due to heat effects limited to
                         a distance of 100 meters into inhabited areas.

        Major          Exceedance of IDLH values in inhabited off-site areas over
                         distances between 100 meters and 1,000 meters; injuries due to heat
                         effects limited to a distance of 1,000 meters into inhabited areas.

        Catastrophic    Exceedance of IDLH values in inhabited off-site areas over
                         distances greater than 1,000 meters;  injuries due to heat effects
                         extend to distances greater than  1,000 meters into inhabited  areas.

             The overall significance of potential accidents at the WTI facility is characterized
        by combining severity of consequence and probability of occurrence ratings.

        b)   Overview of Results
             The results of the Accident Analysis are summarized below:

             •    For on-site accidents, only events with minor off-site consequences are
                 considered likely to occur at the WTI facility, and only events with minor or
                 potentially moderate off-site consequences are determined to be reasonably
                 likely to occur.
                                                                   S'
             •    All on-site accident scenarios with potentially major off-site consequences are
                 determined to be unlikely to occur, and all on-site accidents with potentially
Volume I

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                 catastrophic off-site consequences are determined to be very unlikeh to
                 occur.

             •   For off-site accidents, events with minor consequences are determined  to he.
                 at most, reasonably likely to occur.

             •   All off-site accident scenarios with potentially moderate or major
                 consequences are found to be unlikely or very unlikely to occur, and off-site
                 accidents classified as having potentially catastrophic consequences are
                 determined to be very unlikely to occur.

             These results are consistent with the information presented in U.S. EPA's Report
         on Emergency Incidents at Hazardous Waste Incinerators and Commercial Treatment,
         Storage and Disposal Facilities (U.S. EPA 1995b). Using the data from U.S. EPA
         (1995b) and the definitions presented in FEMA (1993), events having moderate.
         major or catastrophic off-site consequences are classified as unlikely or very  unlikely
         to occur over  a facility lifetime. Only events having minor off-site consequences are
         classified as likely or reasonably likely to occur. This generally agrees with  the
         consequence/probability rankings developed for the WTI facility in the Accident
         Analysis.

 C. Structure of the Report
    This report presents the approaches and  results of the WTI Risk Assessment, and  consists
 of eight volumes, as  follows.

    •   Volume I:        Executive Summary
    •   Volume II:       Introduction
    •   Volume III:      Characterization of the Nature and Magnitude of Emissions
    •   Volume IV:      Atmospheric Dispersion and Deposition Modeling
    •   Volume V:       Human Health Risk Assessment:  Evaluation of Potential Risks from
                         Multipathway Exposure to Emissions
    •   Volume VI:      Screening Ecological Risk Assessment
    •   Volume VII:     Accident Analysis:  Selection and Assessment of Potential Release
                         Scenarios
    •   Volume VIII:     Additional  Analysis in Response to Peer Review  Recommendations
Volume T                                 1-13

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    The remainder of this Executive Summary presents additional details on the approaches
employed and results obtained in the WTI Risk Assessment. It is organized into chapters
corresponding to the individual volumes of the WTI Risk Assessment report.
Volume T                                 T 14

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                          II.  FACILITY BACKGROUND
 A.  Facility Setting
     The WTI hazardous waste incineration facility is situated on 21.5 acres of land along the
 Ohio River in East Liverpool, Columbiana County, Ohio. It is located directly across the
 Ohio River from West Virginia and less than a 1 Vi miles west of the Pennsylvania-Ohio
 border.  The specific location of the WTI facility is shown in Figure II-1.
     The WTI property is zoned for general industrial activity.  It is bordered on the north by
 Conrail railroad tracks, on the west by the Port Authority building,  and on the south and east
 by the Ohio River.  The area immediately  north of the railroad tracks and  west of the Port
 Authority building is zoned for medium-high density residential uses. This area is comprised
 primarily of single-family homes, and includes an elementary school and a business college.
 The Ohio River along the stretch adjacent to the WTI facility is approximately 1.200 to  1.500
 feet wide, with residential areas along the West Virginia side of the  river.
     The population of East Liverpool  is approximately 14,000, according  to the  1990 census.
 In addition to East Liverpool, the closest towns to the WTI facility are Chester,  West Virginia
 (approximately one mile southeast of the site); Wellsville, Ohio (approximately six miles west
 of the site); and Midland, Pennsylvania (approximately five miles east of the site).  The
 nearest major city is Pittsburgh, which lies approximately 30 miles to the southeast of East
 Liverpool.
     The general area surrounding East Liverpool is largely rural, including beef, dairy,  and
 mixed agricultural farms. However, a number of small industrial facilities, including an
 asphalt roofing plant and a china manufacturer, are also located within two miles of the WTI
 facility.  Industrial operations located within  10 miles of the WTI facility include specialty
 steel operations, petroleum storage facilities, nuclear and  coal fired power  plants, and a large
 refinery.
    There are 4 state parks,  1 state forest,  and 3  major wildlife management areas located
 within approximately 20-kilometers (12.5 miles) of the WTI facility.  This  area also includes
 numerous forests and wooded lots.  In addition to the Ohio River, there are approximately 90
 non-intermittent rivers and streams, and approximately 50 wetland areas greater than 10  acres
 within 20-kilometers of the WTI facility. Due to the diversity of habitats in the general

Volume!                                  II-1

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vicinity, there are diverse plant and animal communities composed of numerous plant.
mammal, bird, reptile, amphibian, fish, and other species.  Some of the species within the
WTI assessment area are classified as rare or endangered by the Federal government or the
States of Ohio, Pennsylvania, or West Virginia.
    The WTI facility is located within the Ohio River Valley, which  creates complex
meteorological conditions. For example, there is strong channeling of wind at lower
elevations within the valley that is not present at higher elevations. Furthermore, some areas
in the vicinity of the facility are at elevations higher than the incinerator stack.  These aspect
of the facility setting are addressed in the atmospheric dispersion modeling conducted tor this
assessment.

B.  Facility Description  .
    The WTI hazardous waste incineration system is designed to thermally oxidize hazardous
waste regulated under Subtitle C of RCRA.  The facility is expected to treat between 52,000
tons and 77,000 tons of liquid, solid, and semi-solid RCRA hazardous waste annually in a
single, rotary kiln incinerator. These hazardous wastes are required to be treated in
accordance with applicable regulations and the facility's operating permits, as issued by U.S.
EPA Region 5, the Ohio Environmental Protection Agency (OEPA) Divisions of Water, Air
Pollution Control, Solid and Hazardous Waste, and the Hazardous Waste Facility Approval
Board (HWFAB).  The HWFAB, which was later renamed the Hazardous Waste Facility
Board (HWFB), is a state regulatory body which works in conjunction with the OEPA.   WTI
has not been authorized  to accept  polychlorinated biphenyls (PCBs) in concentrations
exceeding 50 parts per million, dioxins, asbestos, radioactive wastes, or war gases
    Support operations for the rotary kiln  incinerator include a guard house, administrative
and maintenance buildings, a truck holding and  sampling area, a drum processing facility, an
organic  waste tank farm, and the incinerator feed building.  There are also three different
waste water systems on-site:  System A, which collects uncontaminated surface water; System
B, which collects storm  water from inactive  process areas; and System C, which collects water
from active process areas.  WTI has a permit for a second rotary kiln incinerator and an
inorganic waste treatment plant, neither of which have been constructed. A site map is shown
in Figure II-2.
    Wastes shipped to the WTI facility are pre-approved by the facility and registered on a
computerized waste tracking system. On arrival at the facility, wastes are sampled in
accordance with the facility waste analysis plan  and directed to the appropriate process
treatment area, as follows:
Volnmo T                                 TT

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        Bulk solid wastes are sampled upon arrival at the facility. After approval, these
        wastes are emptied into pits in a building immediately adjacent to the incinerator   A
        clam shell bucket then transfers the waste from the waste pits into a teed hopper for
        the incinerator.

    •   Bulk liquid wastes are delivered to the facility in tanker trucks and sampled on
        arrival. After approval, the tankers are moved to a diked, concrete area, where
        wastes are pumped into an indoor tank farm.

    •   Drummed wastes are sent directly to the drum processing building,  where at least one
        out of every 10 drums of each waste stream is normally sampled. After approval,  the
        contents are generally pumped to pump-out tanks located to  the south of the drum
        processing building.  Non-pumpable liquids, such as sludges, are usually extruded
        from drums, mixed with pumpable waste, and then stored in tanks on the south side
        of the drum processing building.  Drums can  also be fed directly to the incinerator
        without being emptied.

    All major waste handling, storage and treatment areas are concrete-lined and contain
collection sumps for the capture of spilled material.  In addition, all major handling areas are
serviced by ventilation hoods that  send collected vapors to the incinerator or to a carbon
adsorption bed system.   There is also an extensive fire suppression system consisting of water
sprays and foams throughout the various waste handling and storage  areas.
    The WTI incinerator consists  of a rotary kiln, waste feed mechanisms, a secondary
combustion chamber, a heat recovery boiler, air pollution control devices, a flue stack, solid
residue removal equipment, and computerized process control and instrumentation systems.
The rotary kiln is a refractory-lined cylindrical shell 15 feet in diameter and  43 feet in length
Hazardous wastes enter the rotary kiln and are oxidized at temperatures of approximately
1,800°F to 2,200°F. Gases produced during oxidation consist primarily of carbon dioxide
(CO2), nitrogen oxides (NOJ, and water, along with smaller quantities of organic compounds
(including products of incomplete  combustion), metals, and acid gases (such as hydrogen
chloride and sulfur oxides). Non-combustible wastes generally melt  at the high temperatures
in the kiln and form a residual viscous material known as slag. The  gases from the kiln pass
to the secondary combustion chamber to provide for greater destruction of residual organic
compounds present in the gas stream.
    The secondary combustion chamber is 61 feet high, 21 feet long, and 22 feet wide,  and is
intended to enhance the destruction of organic compounds.  Combustion gases exit the

Volume I                                  II-3

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secondary combustion chamber at a temperature between approximately 1.350°F and 1.500°F.
and pass through a heat recovery boiler to generate steam for use at the WTI facility.
    After cooling in the heat recovery boiler, the combustion gases pass to the air pollution
control system. The air pollution control system consists of a spray dryer, an enhanced carbon
injection system (ECIS), an electrostatic precipitator. a flue gas quench, and a  tour-stage uet
scrubber system.  The purpose of the air pollution control system is to reduce the
concentrations of organics, metals, acid gases, and paniculate matter in the combustion gas
stream.  The resulting flue gas is discharged into the atmosphere from  a 150-foot  stack
Volume I                                 II-4

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                           III. FACILITY EMISSIONS
A.  Overview
    Routine operations will result in emissions from several locations at the WTI facility.
including stack gases from the incinerator, organic vapors emitted during waste processing and
storage, and paniculate matter released during handling of ash produced by incineration.  The
locations of potential stack; fugitive organic vapor and ash emission sources are shown on
Figure III-l.  In addition to these emissions during routine operations, there is also the
potential for releases during both on-site and off-site accidents.  An initial step of the WTI
Risk Assessment is the identification of process-specific emission sources, characterization of
the composition of emissions  from these sources, and development of emission rates for the
substances of primary concern from each significant source.
    Site-specific data and information are used in this study to the extent possible to
characterize both routine emissions during normal operation and releases during accidents.
For example, measurements from a  series of trial burns and performance tests are used to
characterize incinerator stack  emissions, and waste profile information based on projections
for the first year of WTI  operations  is used in calculating routine fugitive emissions and
accidental releases.  The  specific approaches used in characterizing routine emissions for this
assessment are summarized below.  Emissions associated with potential accidents are discussed
in Chapter VII of this Executive  Summary.

B.  Incinerator Stack Emissions
    In the risk assessment, substances of potential concern in  the incinerator stack  gases are
classified as follows:

    •   Polvchlorinated dibenzo-p-dioxins and furans (PCDDs/PCDFs). which are believed to
        be a product of combustion of some types of hazardous wastes;

    •   Other organic chemicals, including products of incomplete combustion (PICs) other
        than PCDDs/PCDFs, and residues of organic chemicals present in the feed that are
        not completely combusted in the incinerator;

Volume I                                 III-l

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    •   Metals, which may be present in the waste but can not be destroyed b\  combustion.

    •   Acid gases, such as nitrogen oxides (NOX). sulfur oxides (SOX). and hydrogen
        chloride (HC1), which are formed during the combustion process, and

    •   Paniculate Matter, which may be entrained in the stack gas during waste combustion.
        or formed as flue gases cool in the post-combustion zone of the incinerator.

    Comprehensive stack testing,  including the collection of several sets of data on
PCDD/PCDF emission rates, was performed at the WTI  facility to provide site-specific
estimates of organic emissions.  Two major stack emission measurement programs have been
completed at the WTI facility:

    •   Trial burns conducted in March 1993 and February 1994;  and

    •   Incinerator performance tests conducted in August 1993, February 1994. April 1994.
        August 1994 and December 1994.

    The trial burns at the WTI facility relied on engineered waste feeds synthesized to
represent reasonable worst-case combustion or emission conditions. These trial burns were
required to:

    •   Demonstrate that the incineration system would meet permit requirements for organic
        destruction and removal efficiency (DRE);

    •   Demonstrate that HC1, chlorine, and paniculate matter emissions would meet permit
        requirements under worst-case operating conditions;

    •   Establish system removal efficiencies (SREs) for specific metals; and

    •   Determine the range of allowable operating conditions for the incineration system

    The performance tests differ from the trial burns  in that they were conducted during
normal operating conditions, burning wastes considered typical for the WTI facility.  Thus.
performance tests are believed to be more representative of day-to-day operations, while trial
burns are meant to evaluate reasonable worst-case conditions.

Volume T                                 TTT-2

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     The WTI Risk Assessment relies on measurements from 26 PCDD/PCDF test runs
 conducted between August 1993 and August 1994 (shown in Table III-l). and seven
 comprehensive PIC test runs conducted in August 1994. PCDD/PCDF data collected at the
 WTI facility prior to the installation of the enhanced carbon injection system (ECIS) in Jul\
 1993 are not used in developing incinerator stack emission rates for the Risk Assessment
 Furthermore, the PCDD/PCDF and PIC test runs conducted during the December 1994
 performance tests were not available in time for developing emission rates for the WTI Risk
 Assessment.
     To supplement the site-specific measurements from the stack testing program, emissions
 of chemicals not analyzed during the stack testing are estimated by developing a waste teed
 chemical composition profile (from projections based on actual wastes received at the WTI
 facility during the first nine-months of operation), and applying an incinerator  DRE (based on
 waste feed and incinerator stack testing at the  WTI facility).  Estimated emission rates for
 PCDDs/PCDFs based on stack tests at WTI are shown on Table III-2; estimated emission rates
 developed  for PICs are shown on Table III-3.
     Emission rates are developed for 15 metals expected to be present in at least some waste
 streams received by the WTI facility.  Although most of the metals would be captured in the
 incinerator slag and ash,  a fraction  of each metal is expected to escape the emission control
 systems and be released to the  atmosphere  via the stack.  The 15 metals for which emission
 rates have been estimated are aluminum, antimony, arsenic, barium, beryllium, cadmium,
 chromium, copper, lead,  mercury,  nickel, selenium,  silver, thallium, and zinc. Emission rates
 for these metals, shown on Table III-4, are estimated based on SRE data compiled from the
 March 1993 trial burns, along  with projected waste feed data for the WTI facility.  Data on
 SREs at the WTI facility  are available for seven metals (antimony, arsenic, beryllium.
 cadmium, chromium, lead, and mercury) tested in the March 1993 trial burn.   SRE values  tor
 the remaining eight metals evaluated in the risk assessment  are extrapolated from the trial burn
 data for the seven metals, considering the results of thermodynamic modeling performed
 specifically for the Risk Assessment.
    Emission rates for HC1,  NO,, SO,, and paniculate matter, shown on Table III-5, are
based on stack measurements at the WTI facility. For HC1, data from a total of 13 runs
collected during the March 1993 and February 1994 trial burns are used to estimate emission
rates for the WTI  Risk Assessment.  Emission rates for NOX and SOX are based on one
randomly selected month of continuous monitoring data, collected from February 23,  1995 to
March 21,  1995.  Paniculate matter emission rates are  based on 13 runs collected during  the
March 1993 and February 1994 trial burns, and 22 runs from the performance tests.

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 C.  Fugitive Emissions
     Atmospheric emissions may occur from a variety of sources other than the incinerator
 stack during normal operations. These releases, which are collectively termed "fugitive"
 emissions, may be generated during waste unloading, processing, and storage, and the
 handling of incinerator ash.  Through a review of information in the WTI facility permit
 application and permit,  an evaluation of the types of wastes handled by each of the facilitx
 operations, and a facility site visit,  the following fugitive emission sources were selected for
 evaluation in the risk assessment:

     •   The Carbon Adsorption Bed (CAB) System, which receives organic vapors vented
        from tanks in the organic waste tank farm operations in the container processing
        building;

     •   Seals. Valves, and Flanges, associated with storage and process tanks inside the
        organic waste tank farm building;

     •   The C system waste water  holding tank, which collects potentially contaminated storm
        water from active process areas within the facility;

     •   The on-site  truck wash station, which is used to clean tank trucks; and

     •   Routine fugitive ash releases, from the bag filter used to control emissions during
        loading of fly ash  from the ESP into trucks.

     Fugitive emissions from the first four sources listed above are in the vapor form, while
emissions from the fifth source, ash handling, are in the form of paniculate matter.  Vapor
emissions are expected primarily from pumpable wastes, which typically have the highest
concentration of volatile chemicals.   To identify constituents of primary concern in the vapor
emissions, a composite pumpable waste stream  consisting of over 300 chemicals has been
developed based on estimated annual feed  rates calculated using the WTI waste profile
information.  The list of over 300 chemicals is truncated to include  only those chemicals
received by the facility in the largest volumes, i.e., the approximately 100 chemicals that,
taken together, constitute 90% of the total pumpable waste.  Vapor-phase fugitive emissions
are calculated  using U.S. EPA models along with the physical/chemical properties of the waste
constituents, data and information from  the WTI permit and permit  application, and
information on facility design and operation.  Based on these  approaches, the total fugitive

Vnlumo I                                  TTT 1

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 organic vapor emission rates calculated for each source evaluated in the Risk Assessment are
 as follows:

         Valves and Manges (Tank Farm Building):  2,126 Ibs./year;

         Carbon Adsorption Bed System:  224 Ibs./year:

         Waste Water Tank: 202 Ibs./year; and

     •    Truck Wash Building:  10 Ibs./year.

     Fugitive emission rates.for individual organic compounds in the waste feed are estimated
 for a subset of organic constituents referred to as "surrogates" (see Chapters V and VI).
 Emission rates for "surrogate" constituents in the fugitive vapor releases are developed based
 on relative concentrations in the pumpable waste and physical/chemical properties.
     Fugitive paniculate matter emissions from the ESP bag filter consist primarily of fly ash
 produced during combustion of the hazardous waste.  This fly ash contains potentially
 hazardous metals, and generally has a very fine consistency.  In the WTI Risk Assessment,
 concentrations of metals and other hazardous chemicals are estimated based on testing of fly
 ash samples collected from the ESP at the WTI facility. The  samples were analyzed for 80
 organic compounds, cyanide, and 9 metals.  None of 80 organic compounds were detected in
 any of the 12 fly ash samples tested, and thus organic chemicals are not identified as
 substances of potential concern in fugitive ash emissions.  Cyanide was detected in the fly ash
 samples along with  the following metals: arsenic, barium, cadmium, lead, nickel,  selenium.
 and silver.
    Total paniculate matter emissions from  the bag filter are  calculated based on a total fly
 ash generation rate of 5,300 tons per year, an empirically developed uncontrolled ash
 emissions factor modified to account for the average moisture content of the  fly  ash, and the
 expected control efficiency of the fabric filter.  Emission rates for specific constituents in the
 fugitive ash releases are based on concentrations detected in the fly ash samples, and are
 shown in Table III-6.

 D.  Uncertainties
    The estimation  of emissions  from the incinerator stack and from fugitive sources  is an
 important initial step in the Risk  Assessment. Uncertainties associated with this step of the
assessment may affect the results of both the human health and ecological risk assessments

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The primary sources of uncertainty in estimating stack and fugitive emissions are described in
the following sections.

    1.  Uncertainties in Stack Emissions Characterization
        The primary sources of uncertainty associated with the estimation of stack emissions
    are summarized as follows:

        •   Variability of feed rates - The estimation of emission rates for metals and certain
            organic chemical residues (for which stack  testing was not conducted) is highly
            dependent on the feed rate   Limited data, which might not be fully representative
            of long-term operations,  are used to estimate feed rates.

        •   Use of predictive models - Thermodynamic modeling  is  conducted to provide
            information on the behavior of metals in the incineration system.  Several
            simplifying assumptions are used in simulating metal behavior in the various
            zones within the incinerator and  air pollution control system.  These assumptions
            introduce unquantifiable uncertainties, but are believed to be appropriate given
            the information available.

        •   Compounds not detected in stack sampling  - Compounds that were analyzed for,
            but were not detected, in the stack emissions are assumed to be  present at one-
            half the detection limit of the compound. Several of these chemicals significantly
            influence the estimated risks.

        •   Uncharacterized stack emissions - Although stack sampling was conducted,
            samples may contain compounds that are not conventional analytes and, as a
            result, may not be characterized  in the analysis.  Levels  of known constituents in
            the emissions are prorated to account for this uncharacterized fraction.
            introducing uncertainty into the risk assessment.

    2.  Uncertainties in Fugitive Emissions  Characterization
        The major sources of uncertainty associated  with estimation of fugitive emissions
    from routine storage and handling activities are summarized as follows:
Voliimp T                                 TTT «;

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              Characterization of wastes handled at the facility - Fugitive vapor emissions are
              highly dependent on the waste characteristics.  Limited data, which might not he
              fully representative of long-term operations, are used to estimate emission rates

              Modeling of tank farm emissions - The primary source of fugitive emissions is
              predicted to occur from leaks in the flanges, seals, and valves in the waste
              storage tank farm.  Emissions from the tank farm are estimated  based on
              empirical emission factors that might not be fully representative of conditions at
              the facility depending on operating practices at WTI.

              Waste water tank emissions - Emissions from the waste water holding tank are
              estimated using a predictive model.  Conservative assumptions are applied in
              characterizing the constituents that may be present in the waste water.
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TABLE IH-1
Data on Polychlorinated Dioxin/Furan Stack Emissions at WTI Facility
Used in the WTI Risk Assessment-

August 1993



l-ebruar\ 1994




February 1994


April 1994



August 1994





Type of Testing
Performance Test



Performance Test




Trial Burn


Performance Test



Performance Test





Tests
Performed
Run 1
Run 2
Run 3
Run 4
Run 5
Run 1
Run 2
Run 3
Run 4
Run 5
Run 1
Run 2
Run 3
Run 4
Run 1
Run 2
Run 3
Run 4
Run 5
Run 1
Run 2
Run 3
Run 4
Run 5
Run 6
Run 7
Chlorine
Feed Rate
(Ih/hrt
2386
2573
2351
2387
1823
2530
2103
1790
1970
1500
2958
3304
3231
3109
2459
2234
2004
2109
1389
1049
411
414
390
1904
1017
399
Total
Concentration
6
7
39
6
6
8.8
3.2
4.8
5.0
4.9
6.2
4.9
3.7
3.6
4.5
4.8
3.4
2.5
3.5
1.7
0.7
1.2
1.0
1.4
1.5
1.9
TEQ
Concentration
(ng/dscm)c
0.10
0.12
0.27
0.11
0.11
0045
0.019
0.028
0.029
0.035
0.084
0.072
0.057
0.056
0.037
0.036
0035
0.032
0.033
0.017
0.010
0.016
0.017
0.018
0.021
0.021
TEQ
Emission Rate
Ig/s)
1 7E-09
2 1E-09
3 8E-09
2 1E-09
2.2E-09
1 2E-09
5 5E-10
7.8E-10
8.3E-10
9.6E-10
1.2E-09
1 OE-09
8.3E-10
8 5E-10
4 9E-10
4.6E-10
4.3E-10
4.5E-10
3.4E-10
2 6E-10
1.5E-10
2.3E-10
24E-10
2.4E-10
2 8E-10
3 OE-10
Notes
All emissions testing was performed with a kiln temperature in the range 2,150-2.200°F
1 Measurements were taken of all dioxin and furan congeners containing four to eight chlorine substituents with
chlorines in the 2-, 3-, 7-, and 8-positions. the reported value represents the sum of these congeners
The tetra- through octa-chlonnated dioxin and furan congeners are expressed on the basis of toxicity equivalents
(TEQs); the reported value is derived by multiplying the measured emissions of each congener by its toxic
equivalency factor (TEF) and then summing the results.
Volume T
ITT-8

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TABLE III-2
Estimated Average and High-end Stack Emission Rates
for Dioxin and Furan Congeners
Congener
Emission Rate (g/s)
Average
High-end
Dioxin Congeners
2,3,7,8-TetraCDD
1,2,3,7,8-PemaCDD
1,2. 3,4,7, 8-HexaCDD
1,2,3,6,7.8-HexaCDD
1,2,3,7, 8,9-HexaCDD
1,2,3,4,6,7,8-HeptaCDD
OctaCDD
l.OSx 10"
6.78x 10'"
8.95 x 10-"
1.66x 10-'°
1.09x 10-'°
1.24x 10''
6.15 x 10-"
:.i6x iO"
9 46 x 10
1.25x 10 IP
2.18x 10'°
1.55x 10-'°
1.69x 10-'
9.80 x 10"
Furan Congeners
2,3,7,8-TetraCDF
1,2,3,7,8-PentaCDF
2,3,4,7,8-PentaCDF
1,2,3,4,7,8-HexaCDF
1,2,3,6,7, 8-HexaCDF
2, 3,4,6,7, 8-HexaCDF
1,2,3,7,8,9-HexaCDF
1,2, 3,4,6,7, 8-HeptaCDF
1,2, 3,4,7, 8.9-HeptaCDF
OctaCDF
877 x 10-"
3 45 x 10 10
4.67 x 10''°
1.43x 10-'
1.33x 10-'
l.SOx 10"
2.93 x 10-'°
9 30 x 10'9
1.22x 10"
1.89x 10'8
1 15 x 10 l'
4 35 x 10'"
6.04x 10"'
1 85 x 10'9
1 71 x 10"
1.96x 10"
3.85x lO'10
1.30x 10*
l.SOx 10-'
3.62 x ID'8
Notes:
CDD - chlorodibenzo-p-dioxin
CDF - chlorodibenzofuran
Volume T
TTT-Q

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TABLE III-3
Estimated Average and High-end Emission Rates for Products of Incomplete
Combustion (PICs) and Residues of Organic Compounds
Substance
Acenaphthene
Acenaphthylene
Acetaldehyde
Acetone
Aceiophenone
Acrylonitrile
Anthracene
Benzene
Benzoic acid
Benzotrichlonde
Benzo(a)anthracene
Benzo(a)pyrene
Benzo(b)fluoranthene
Benzo(g,h,i)perylene
Benzo(k)fluoranthene
Bis(2-chloroeihoxy (methane
Bis(2-chloroethyl)ether
Bis(2-chloroisopropyl)ether
Bis(2-ethylhexyl)phthalate
Bromodichloromethane
Bromoform
Bromomethane
Bromodiphenylether, p-
Butanone, 2-
Buty Ibenzy Iphihalate
Carbon disulfide
Carbon tetrachlonde
Chlordane
Chloro-3-methylphenol, 4-
Chloroanilme, p-
Chlorobenzene
Chlorobenzilate
Emission Rate (g/s)
Average
6.69 x 106
6.69 x 10"
3 01 x 10-4
2.90 x l
-------
TABLE III-3 (continued)
Estimated Average and High-end Emission Rates for Products of Incomplete
Combustion (PICs) and Residues of Organic Compounds
Substance
Chloroethane
Chloroform
Chloromethane
Chloronaphthalene, beta-
Chlorophenol, 2-
Chlorodiphenyl ether, 4-
Chrysene
Cresol, m-
Cresol, o-
Cresol, p-
Crotonaldehyde
Cumene
2,4-D
4,4'-DDE
Dibenz(a,h)anthracene
Dibenzo(a,h)fluoranthene
Dibromochloromethane
Dichlorobenzene, 1,2-
Dichlorobenzene, 1,3-
Dichlorobenzene, 1,4-
Dichlorobenzidine, 3,3'-
Dichlorobiphenyl
Dichlorodifluoromethane
Dichloroethane, 1,1-
Dichloroethane, 1.2-
Dichloroethene, 1,1-
Dichloroeihene, trans- 1,2-
Dichlorophenol, 2,4-
Dichloropropane, i,2-
Dichloropropene, cis-1,3-
DichJoropropene, trans- 1,3-
Diethylphthalate
Emission Rate (g/s)
Average
4 90 x 10 J
2.66 x 10-4
2.45 x 10^
6.69 x ID'6
5.50 x 10'6
6.69 x lO"6
5.50 x 10-6
5.50 x 10"
5.50 x 10 6
5.50x 10-"
1.39x 10J
5.50 x 10 6
3.88 x 10 5
5.50 x 10'
5.50 x 10'6
5.50x 10-'
2 63 x 105
5.50x 10'6
5.50 x 10"
5.50 x 10 -"
3.33 x 105
4.68 x 10-"
2.45 x 10"1
1.25x 10 5
1.25x 10 5
1.25 x 10s
1.25 x 10s
5.50x 106
1.25x 10 5
1.25x 10'5
1.25x 10s
1.69x 10 5
High-end
980x 10-
4.07 x 10"1
4.90 x 10-"
6.69 x 106
l.lOx 10 5
6.69 x 106
l.lOx 10'
l.lOx 10'
l.lOx 10'
1 10 x 10'
1.39x 10 J
l.lOx 105
3.88 x 10 -<
l.lOx 10"
l.lOx 10'
l.lOx 10 5
2.63 x 10 s
l.lOx 10'
l.lOx 105
l.lOx 10'
3.33 x 105
8.22 x 10'8
4.90x 10"
2.50x 10 5
2.50x 10'
2.50x 10'
2 50 x 10'
1 lOx 10'
2.50x 10'
2 50 x 10'
'i.SOx 10'
3.60 x 10 '

Source
b
b
b
a
b
a
b
b
h
b
a
b
a
b
b
b
a
b
b
b
a
b
b
b
b
b
b
h
b
b
b
b
Volume I
HI-1

-------
TABLE III-3 (continued)
Estimated Average and High-end Emission Rates for Products of Incomplete
Combustion (PICs) and Residues of Organic Compounds
Substance
Dimethoxybenzidine, 3,3'-
Dimethylphenol, 2,4-
Dimethylphthalate
Di-n-butylphthalate
Di-n-octyl phthalate
Dimtrotoluene, 2,6-
Dimtro-2-methylphenol, 4,6- -
Dinitrophenol, 2,4-
Dinurotoluene, 2,4-
Dioxane, 1,4-
Ethyl methacrylate
Ethylbenzene
Ethylene dibromide
Ethylene oxide
Ethylene thiourea
Fluoranthene
Fluorene
Formaldehyde
Furfural
Heptachlor
Heptachlorobiphenyl
Hexachlorobenzene
Hexachlorobiphenyl
Hexachlorobutadiene
Hexachlorocyclohexane, gamma- (Lindane)
Hexachlorocyclopentadiene
Hexachloroeihane
Hexachlorophene
Hexanone, 2-
Indeno(1.2,3-Ld)pyrene
Isophorone
Maleic hydrazide
Emission Rate (g/s)
Average
1.15 x 10-4
5 50 x 10"
5 50 x 10"
1 57 x 10"
5.50x 10°
5.50x lO'"
5.50 x 106
5.50 x lO'6
5.50 x 10-6
4.94 x 10-"
2.45 x 10-"
4.98 x 10-"
1 15 x 10-'
3.05 x 105
1.46x 10-'°
5.50 x 10-6
6 69 x 10-*
6.07 x 104
5 50 x 10-6
5 50 x 10 7
\ 40 x 10 *
5 50 x lO-6
1 40 x 10"
1.01 xiO"1
5.48x10-'
5.50 x lO'6
5.50 x 10'6
3.20x 10 5
6 43 x 10 5
5 50 x 10"
6 69 x 10'6
1.15 x lO'4
High-end
1 15 x lO'4
1 10 \ 10s
1 10 \ 10"
: 04 \ io"
1 10 x 10"
l.lOx 10'
l.lOx 105
l.lOx 10s
l.lOx 10"
4.94 x 10-4
4.90x 10-4
7.53 x 10-
1.15x ID'4
3.05 x 10'
1.46x 10 10
l.lOx 10s
6.69 x 10°
6.07 x 10'4
1 lOx 10'
1.10 x 10'"
2 80 x 10 h
l.lOx 10'
2.80x 10 8
1.01 x 10 4
5.48 x 10's
l.lOx 10 5
l.lOx 10s
3.20x 10s
6.43 x 10s
1 lOx 10'
6 69 x 10°
1 15 x lO'4
Source
a
h
h
h
h
b
b
b
b
a
b
b
a
a
a
b
a
a
h
h
h
b
b
a
a
b
b
a
a
b
a
a
Vnliimp T
TIM:

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TABLE III-3 (continued)
Estimated Average and High-end Emission Rates for Products of Incomplete
Combustion (PICs) and Residues of Organic Compounds
Substance
Methoxychlor
Methvlene chloride
Methylnaphthalene, 2-
Methyl-tert-butyl ether
Methyl-2-Pentanone, 4-
Monochlorobiphenyl
Naphthalene
Nitroanilme, 2-
Nitroanilme, 3-
Nitroanilme, 4-
Nitrobenzene
Nitrophenol, 2-
Nitrophenol, 4-
N-Nitroso-di-n-butylamme
N-Nitroso-di-n-propylamine
N-Nitrosodiphenylamine
Nonachlorobiphenyl
Octachlorobiphenyl
Pentachlorobenzene
Pentachlorobiphenyl
Pentachloronitrobenzene
Pentachlorophenol
Phenanthrene
Phenol
Pyrene
Safrole
Styrene
Tetrachlorobiphenyl
Tetrachloroethane, 1,1,1,2-
Tetrachloroethane, 1,1,2,2-
Tetrachloroethene
Tetrachlorophenol, 2,3,4,6-
Emission Rate (g/s)
Average
5.50 x 10 7
3.96 x 10-"
4.18x 10 5
1.25x 10s
1.25x 10 5
1.67 x 10-'
5.50 x 10-6
6.69 x 10°
6.69 x 106
6.69 x 10-*
5.50 x lO'6
6.69 x lO'"
5.50 x lO'6
1.21 x 10^
6.69 x 1C'6
6.69 x 10'6
1 40 x lO'8
1.40x 10-'
4.76 x 105
1.40x 10 8
3.37 x 105
5.50 x lO'6
6.69 x 106
5 50 x 10*
5.50x 10"
1.15 x 10-4
2.25 x 105
1.40x 10'8
5.50 x 10-6
5.50 x ID'6
5 13 x 10-'
6.80 x 10-"
High-end
l.lOx 10-°
6.19x 10-4
4.18x 10s
2.50 x 10-?
2.50x 10'
2.99x 10"
1 10 x 10'
6.69x 10"
6.69 x 10"
6.69 x 10"
l.lOx 10"
6.69 x 10 6
l.lOx 10'
1.21 x 10"4
6.69 x 10"
6 69 x 10 °
2.80 x 10-'
2.80 x 10"'
4.76 x 10 5
2.80 x 10*
3.37 x 10 '
l.lOx 10'
6.69 x 10 6
1 10 x 10'
l.lOx 10'
1.15x 10-"
4.04 x 10 5
2.80 x 108
l.lOx 105
l.lOx 105
8 '02 x 10 '
6.80 x 106

Source
b
b
a
b
b
b
b
a
a
a
h
a
b
a
a
a
b
b
a
b
a
b
a
b
h
a
b
b
b
b
b
a
Volume I
HI-13

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TABLE IH-3 (continued)
Estimated Average and High-end Emission Rates for Products of Incomplete
Combustion (PICs) and Residues of Organic Compounds
Substance
Toluene
Tnchloro- 1 ,2.2-mtluoroethane. 1,1.2-
Tnchlorobenzene. 1.2,4-
Tnchlorobiphenyl
Tnchloroethane, 1,1,1-
Trichloroethane, 1,1,2-
Trichloroethene
Tnchlorofluoromethane
Trichlorophenol, 2,4,5-
Tnchlorophenol. 2 4.6-
Vinyl acetate
Vinyl chloride
Xylene, m-1
Xylene, o-
Xylene, p>
Emission Rate (g/s)
Average
6.13 x 10""
3.30x 10"
5.50 x 10°
3.02 x lO'8
1.25x 10 !
1.25x 10 5
1.86x 10 5
2.45 x 10-"
5.50 x 10'6
5.50 x 106
6.43 x 105
2.45 x 10-"
3.80 x 10-"
j.50 x 10-"
3.80 x 10-"
High-end
1 0? x 10 '
? 30 \ 10-
1 10 x 10*
5 80 x 10'"
2.50x 10'
2.50x 10'
3.09x 10-
4.90 x 10'4
l.lOx 10-
l.lOx 10s
6.43 x 105
4.90 x 10-"
5.64x 10-
l.lOx 10 5
5.64 x 10-
Source
h
j
h
h
b
b
b
b
b
b
a
b
b
b
b
Notes
a - Emission rate based on March 1993 and February 1994 trial burn results and waste profile information
In these cases, the average and high-end estimates are the same because the estimation method used in
this process results in a high-end estimate, which was conservatively assumed to applv to ihe average
case as well
b - Emission rate based on August 1994 PIC testing results.
c - The emission rate for the mixed isomer "m/p-xylene" estimated from the August 1994 PIC testing is
conservatively assumed to apply to both m-xylene and p-xylene.
Volume T
TTT-14

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TABLE III-4
Estimated Average Metal Emission Rates
Metal
Aluminum
Antimony
Arsenic
Barium
Beryllium
Cadmium
Chromium
Copper
Lead
Mercury
Nickel
Selenium
Silver
Thallium
Zinc
Measured SRE
(percent)
NA (99.99932')
99.986
99.977
NA (99 977h)
99 9907
99.987
99.99932
NA (99.977h)
99.99
Ol
NA (99.977h)
99.68
NA (99.977")
NA (99.977h)
NA (99 977")
Feed Rate
(Ib/hr)
140
0.24
1.3
5 3
0.0028
096
0.83
3.2
3.4
0011
0.17
1.2
0.52
1.7
4.2
Feed Rate
(g/s)
18
0.030
0.16
0.67
0.00035
0.12
0.10
0.41
0.44
0.0014
0.022
0.15
0.065
0.15
0.54
Emission Rate
(g/s)
2.4 x 10 "
4.2 x 10°
3 7 x 10'
1 5 x 10 J
3 ? x 10"
i 6 \ iir
7 1 x 10"
94 x 10'
4.3 x 10'
1 4 x 10 '
5 0 x 10"
4 7 x 10 J
1 5 x 10s
3 4 x 10'
1.2x 10-4
Notes.
System removal efficiency (SRE) determined from March 1993 trial burn (ENSR 1993)
NA - not applicable; SRE not determined in March 1993 trial burn (ENSR 1993).
a - Estimated based on chromium SRE.
b - Estimated based on arsenic SRE
c - Assumed to be zero although very low, non-zero SRE was measured prior to installation of the ECIS
Volume I
III-15

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                                           TABLE III-5
             Estimated Average Acid Gas and Particulate Matter Emission Rates
                    Substance
               Average Emission Rate
               	  (g/s)
   Hydrogen Chloride (HC!)
                          0032
   Nitrogen Oxides (NO,)
   Sulfur Oxides (SO,)
                          0.091
   Paniculate Matter
                          0.07
   Notes.

   Paniculate matter emission rate based on measurements at WTI during trial burns and performance test.
   HC1 emission rate based on measurements from the trial burns.
   SO, and NO, emission rates based on one month of continuous stack monitoring data collected in 1995
Yoliimp T
TIT-

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TABLE UI-6
Estimated Average Concentrations of Metals and Inorganic Compounds
in Fugitive Fly Ash Emissions
Metal/Inorganic
Compound
Arsenic
Barium
Cadmium
Lead
Nickel
Selenium
Silver
Total Cvanide
Frequency
of
Detection
i i:
9 12
11/12
11/12
9/12
5/12
6/12
2/12
Concentration
Range
(mg/kg)
< 0 5 - 27 '
< 1 -4 1
< 0 1 - 640
<05 - 130
<0 15 - 1.9
<0 1 - 1.0
<0 1 - 2 1
< 0 5 - 1 1
Average
Concentration
(mg/kg) ^
3 4
1 7
71 0
36 1
07
0.2
0 3
04
Emission Rate
lg/s)
1 3" \ 10'
6 75 \ Hi"
2 86 v 10'
1 45 x 10'
292 \ 10
8 23 \ 10'
1 04 \ 10 "
1 41 x 10
Note
< - Lower end of concentration range is the lowest detection limit from samples in which analyte was not
detected above detection limit
Volume I
111-17

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         cr
         ZJ
         o
         z
         u

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         to
         z
         o
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         o
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3

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                   IV.  ATMOSPHERIC DISPERSION AND
                  DEPOSITION MODELING OF EMISSIONS
 A.  Overview
     Atmospheric dispersion and deposition modeling is used to estimate off-site ambient
 concentrations and to support the calculation of concentrations in soil, vegetation, livestock.
 surface water, and fish. These concentrations are a starting point for estimating exposures KM
 both the human health and ecological risk assessments.
     The location of the WTI facility presents several challenges for atmospheric dispersion
 modeling:

     •    Due to complex topography in the vicinity of the WTI facility, site-specific
         meteorological measurements indicate strong channeling of winds at lower elevations
         within the Ohio River Valley that are not present above the valley.

     •    The dispersion and buoyant rise of plumes released from short stacks may be
         significantly modified by the presence of buildings or other obstacles to the flow.  A
         particular phenomenon, building-induced downwash, may result in increased
         concentrations in the near-field.

     •    The Ohio River Valley has a high incidence of stagnation and inversion conditions.
         On-site measurements indicate that calm conditions prevail locally in the valley
         approximately 20 to 25 percent of the time.  These conditions may potentially limit
        dispersion and transport of facility emissions, and may result in the accumulation of
        pollutants in the immediate vicinity of the facility.

     •   Under moderate-to-high wind conditions, terrain-induced downwash  (contaminants
        being drawn downward near the ground surface as air flows over an  abrupt drop in
        terrain elevation) may result in increased concentrations in the vicinity of the WTI
        facility.
Vnlnmo T                                 TV-1

-------
    These complexities are evaluated in this assessment through (1) the development and
application of a refined atmospheric dispersion/deposition model (ISC-COMPDEP);
(2) performance of sensitivity tests using the advanced non-steady state models (CALPUFF
and INPUFF), and (3) in the case of terrain downwash. a separate wind runnel simulation of
conditions in the vicinity  of the WTI facility.

B.  Modeling Input Data

    1.  Source Data
        Site-specific source and emission parameters are necessary inputs for the dispersion
    modeling application.  These parameters include physical stack dimensions such as stack
    height, stack diametet, exit gas velocity and exit temperature.  Table IV-1 lists the main
    parameters for the incinerator stack.  Source characteristics for fugitive emissions are
    included in Table IV-2.
        Particle size information used in the assessment is derived from stack  test
    measurements made during the March 1993 trial burn  (U.S. EPA 1993).  Using these
    data, different types of size distributions of paniculate matter are characterized as follows

        •   Mass weighted distribution assumes that the pollutant is bound throughout the
            volume of the emitted particles, such as non-volatile metals,  and;

            Surface area distribution assumes that the pollutant is distributed on the surface of
            the particles.

    2.  ISC-COMPDEP Modeling
        Atmospheric  dispersion and deposition of routine stack and fugitive emissions from
    the WTI facility was  modeled using the Industrial Source Complex - Complex Terrain
    Deposition (ISC-COMPDEP) model. This model was developed by U.S. EPA to provide
    a more refined analysis of atmospheric dispersion and  deposition of emissions from
    sources  located  in complex terrain, such as the area surrounding the WTI facility.  The
    ISC-COMPDEP model incorporates features of the Industrial Source Complex-Short Term
    model for simple  terrain applications, and the COMPLEX I screening model for complex
    terrain.2  The U.S. EPA recommended procedures on intermediate terrain are also
        Terrain is considered "simple" if it does not rise above the height of the stack and "complex" if it rises above
        the height of the stack.  Intermediate terrain is a subset of complex terrain consisting of areas between stack
        top elevation and plume height after consideration of plume rise.

-------
     implemented in ISC-COMPDEP  These consist of modeling receptors between stack top
     elevation and plume height with both the simple and complex terrain models, and using
     the larger of the two concentration estimates as being most representative. The ISC-
     COMPDEP model includes the Schulman-Scire building downwash algorithm for short-
     stack emissions in addition to the Huber-Snyder scheme, to adequately address building
     downwash situations.
         Meteorological data used in the air quality modeling include the following:

             Observations of wind and  temperature made at three sites on or near the WT1
             property. Data are available for the time period April  1992 through March 199?
             from two 10-meter towers and one 30-meter tower;

         •    Wind, temperature, precipitation,  and turbulence measurements made at three
             heights on a 500-foot Beaver Valley Power Station Meteorological Tower
             (BVPSMT).  The BVPSMT is located near Shippingsport, Pennsylvania.
             approximately eight miles  east of the WTI site; and

         •    Standard meteorological observations of wind,  temperature, cloud cover, ceiling
             height, and precipitation made by  the National Weather Service at the Greater
             Pittsburgh International Airport.  The Pittsburgh Airport is located approximately
             30 miles southeast of East  Liverpool.

        To reflect the differences in flow within the valley and at higher elevations, the ISC-
    COMPDEP model has been modified to allow vertical profiles of winds and temperatures.
    derived from the BVPSMT and WTI on-site towers, to be used in determining
    atmospheric stability, pollutant transport, and dispersion.  Data from the Pittsburgh
    Airport are used when data are not  available from WTI or BVPSMT.  The vertical
    temperature gradient data from BVPSMT are incorporated into the model to provide an
    improved representation of stability conditions at  plume height during stable atmospheric
    conditions.
        Site-specific information is  also used to define terrain elevations and land use/land
    cover. Terrain elevations, and land use/land cover data were derived from data obtained
    from the  U.S. Geological Survey (USGS).
        In addition to modeling the atmospheric dispersion of routine/acility emissions,  the
    ISC-COMPDEP model is also used to predict the extent of paniculate matter deposition
    onto soil, vegetation, and surface water.  Both dry deposition of particles (due to

Volume I                                IV-3

-------
    gravitational settling, inertial impaction. and Brownian diffusion) and wet deposition ot
    particles (due to scavenging by precipitation) are evaluated using the ISC-COMPDEP
    model
        The dry deposition flux depends on the pollutant concentration in air and the
    "deposition velocity."  The deposition velocity for panicles is influenced by several
    parameters, including the characteristics of the ground surface (such as surface roughness
    and ground cover type), atmospheric variables (such as stability and turbulence levels in
    the atmosphere), and pollutant characteristics (such as the size, shape and density of the
    particles).  Information on particle size, an important factor in determining the dry
    deposition  rate, is derived from the March 1993 trial burn for use in the  Risk Assessment
        The wet deposition, or scavenging, rate is computed from a scavenging coefficient
    and the precipitation rate. The scavenging coefficient depends on the characteristics of the
    pollutant (such as solubility and reactivity for gases, size distribution for particles), and
    the nature of the precipitation (such as rain or snow).  National Weather Service
    meteorological stations typically report hourly precipitation codes describing the type of
    precipitation; which are used in the ISC-COMPDEP modeling, along with local
    measurements of precipitation amounts collected at the BVPSMT.

    3.  Non-Steady-State Modeling Using CALPUFF and INPUFF
        At the  WTI facility, approximately 22 percent of a representative one-year period  was
    determined to be calm for modeling purposes (i.e., wind speeds  less than 1.0 m/s).  The
    location of the WTI facility within  a well-defined river valley is  conducive to the
    development of strong nocturnal temperature inversions and light winds.  A possible
    diurnal pattern involves the accumulation of pollutants in the stable layer during nighttime
    hours with  poor dispersion conditions, followed by the breakup of the inversion during the
    following morning.  This can result in stack emissions from the previous night to be
    mixed rapidly to the ground  (fumigation)
        Because ISC-COMPDEP is a steady-state Gaussian plume model, it is not specifically
    designed to handle non-steady-state phenomena, such as calm conditions  and plume
    fumigation  in valley situations.  Thus, a non-steady-state model (CALPUFF) is applied in
    the Risk Assessment as a sensitivity analysis to simulate a typical calm wind and plume
    fumigation  event, and assess the impact of such conditions on short-term and long-term
    concentrations.
        The peak one-hour, 24-hour, and annual average concentrations' predicted by
    CALPUFF are similar in magnitude to the values predicted by ISC-COMPDEP.  This
    suggests that the inclusion of calm  wind dispersion and fumigation does not have a

Volume I                                  IV-4

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     significant effect on the peak predicted concentrations from the WTI incinerator stack.
     Additional sensitivity analyses performed using an alternative non-steady-state model
     (INPUFF) support the general conclusions of the CALPUFF modeling.

     4.   Wind Tunnel Simulations
         A series of wind runnel simulations were performed at U.S.  EPA's Fluid Modeling
     Facility to evaluate the potential tor terrain-induced downwash at the sue and to
     characterize resulting peak ground level concentrations (Snyder 1994).  To provide a
     context for the findings of this study relative to the air quality modeling program.
     ISC-COMPDEP simulations are performed that parallel the configuration studied in the
     wind tunnel.
         In the wind tunnel study, a 1:480 scale model was  constructed to represent a full-scale
     region approximately one mile wide by three miles long.  The wind tunnel simulations
     examined the terrain configurations for three separate stack heights under moderate to
     high wind conditions.  The findings of the wind tunnel  study confirm that terrain-induced
     downwash is expected to occur near the WTI site.  However, the concentrations estimated
     by  the ISC-COMPDEP model are sufficiently conservative, and the changes in peak
     concentrations attributed to terrain downwash on the basis of the  wind tunnel simulations
     are relatively minor, such that modifications to the ISC-COMPDEP modeling performed
     for the WTI facility are not necessary.

     5.   Fugitive Emission Sources
         Dispersion modeling of fugitive vapor and particulate matter emissions was performed
     using ISC-COMPDEP.  Source characteristics for fugitive emissions include the type of
     source (point or volume) location of source, release height, and for point sources only,
     stack diameter, temperature and exit velocity.  Of the five fugitive emission sources
     evaluated  in the WTI Risk Assessment, ash handling, the carbon adsorption bed, and the
     organic waste tank farm are evaluated as point sources,  while the waste water tank and.
     truck wash are evaluated  as volume sources.
         Fugitive emissions from the organic waste tank farm, carbon bed adsorption system,
     waste water tank, and truck wash are in the vapor phase.  Emissions from ash handling
     are  in the  form of paniculate matter.  For the purposes of the atmospheric dispersion
    modeling, the particle size distribution for fugitive emissions from ash handling are
    assumed to be the same as for the incinerator stack,  since  the size distribution  data for
    paniculate matter from the ash handling system are not available.
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C.  Results
    A total of 13 sets of simulations of the main incinerator stack are conducted with ihe ISC-
COMPDEP model, corresponding to three different pollutant distributions:

    •   Vapor phase emissions;
    •   Mass-weighted pollutant distribution on particles; and
    •   Surface area-weighted pollutant distribution on particles.

    Wet and dry deposition effects are computed for the distributions involving paniculate
matter. The  results of the ISC-COMPDEP model simulations are presented in Table IV-3
The maximum annual concentrations in air under all  three distributions are predicted to occur
at the same receptor location; located approximately  one kilometer to the east of the
incinerator stack.  The meteorological conditions and the elevation of the receptor suggest that
this is  due to plume impaction on elevated terrain.  Maximum deposition flux occurs at a
receptor located approximately 100 m to the east of the stack.  Based on the ISC-COMPDEP
modeling, wet deposition is the primary deposition mechanism at this point.
    The results of the fugitive emission modeling are presented in Table IV-4. Given the low
release heights for the fugitive emission sources, maximum chemical concentrations in air due
to fugitive emissions are generally in the immediate vicinity of the source.  One exception is
the  carbon adsorption bed system, which has a stack  release height of approximately 90 feet.
As a result, the highest chemical concentrations in air due to fugitive emissions from the
carbon adsorption bed stack are several hundred feet  from the source.

D.  Uncertainties
    Uncertainty associated with modeling  the atmospheric transport and deposition of facility
emissions arise from: (1) limitations  in the ability of  the technical algorithms to accurately
represent local conditions at the WTI facility, and (2) limitations in the  amount and quality of
data available for the modeling.

    1.   Uncertainties Associated with Limitations of the Technical Formulations
        The  principal sources of uncertainty associated with the use of the air dispersion and
    deposition models used in this assessment are summarized as follows:

        •     Wet deposition - The wet  deposition algorithm overpredicts deposition in the near
             field because of a conservative estimate  of the wet scavenging rate.
                                          TV

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             Complex terrain - Although the ISC-COMPDEP model has been modified to
             allow for characterization of wind flow in complex terrain, the modeling
             approach still represents a simplified approximation of actual flow fields   In
             addition, the steady-state plume modeling approach used in ISC-COMPDEP doe*.
             not allow for the plume trajectory to deviate from a  straight line

         •   Calm winds and fumigation - The ISC-COMPDEP model does not account tor
             calm conditions or fumigation associated  with inversion break-up events.
             Application of two non-steady-state  models (CALPUFF and INPUFF) to address
             this uncertainty is discussed in Volume IV.

         •   Dry deposition  - Comparisons of dry deposition velocity observations with model
             predictions generally show  a significant amount of scatter (e.g., U.S. EPA 1993).
             The prediction of deposition velocities is a strong function of meteorological
             variables and the size distribution of the pollutant, both of which represent
             sources of uncertainty.  The initial split of pollutants between the vapor and
             particle phases and the significance of transformations between vapor and  particle
             phases during plume transport are also areas of uncertainty.

     2.   Uncertainties Associated with Data Limitations
         Sources of uncertainty associated with limitations in the data used in the air dispersion
     and deposition modeling include the following:

         •    Meteorological data - Steady-state plume modeling results in a significant
             simplification of meteorological conditions in the valley.  Furthermore,
             meteorological data collected at the site are supplemented by measurements at
             Shippingsport and Pittsburgh. However, with the focus on long-term average
             concentrations and deposition fluxes, the errors associated with use of simplified
             meteorological approximations  is likely to be somewhat mitigated.

             Panicle size distribution - Deposition of paniculate matter from the atmosphere is
             strongly dependent on particle size distribution.  Limitations in  testing equipment
             did not allow for characterization of  the size distribution for very small (less than
             0.4 micron) panicles, thereby contributing some uncertainty to the deposition
             modeling results.
Volume I                                 IV-7

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TABLE IV-1
Stack Parameters for the WTI Incinerator Stack
Parameter
Stack height
Stack diameter
Exit velocin
Exit gas temperature
Stack base elevation
Value
45.7 m
1.83m
17 74 m/s
367. OK
212.1 m
(150 fn
(6 tt)
(58 2 n s)
(201 °Fi
(696 tti
Volume I
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TABLE IV-2
Source Characteristics for Fugitive Emission Sources
Point Sources
Description
Ash Handling
Organic Wastetank Farm
Vemtfl
Vent #2
Vem #3
Vent 04
Carbon Adsorption Bed
X*
(m)
23.89
173.47
193.12
199.30
17965
61 02
y*
(m)
48.98
10845
11690
102.31
93.99
42.83
Stack
Height
(m)
6.706
18.9
18.9
18.9
18.9 '
28.04
Temperature
no
310
310.
310
310
310.
250
Exit Velociu
(m/sl
0 1
0 1
0 1
0.1
0.1
31.05
Diameter
(ml
0 1
0 1
0 1
0 1
0 1
0.762
Volume Sources
Description
Open Wastewater Tank
Truck Wash
X'
(m)
177.06
100.16
Y*
(m)
204.76
170.91
Height
(m)
5.3
3048
Initial
o,
2.35
1 77
Initial
o.
4.96
2 84
Note
* Coordinates are relative to the origin (0.0, 0 0) located at main incinerator stack. Coordinates are oriented
relative to true north.
Volume I
IV-9

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                                          TABLE IV-4
                  Summary of WTI Modeling Results with ISC-COMPDEP
                                   Fugitive Emission Sources
                     Annual Simulation (April 1, 1992 to March 31. 1993)
               All Results Are Based on Unit Emission Rate (1 g/s  or  1 g/nr/s)
       Run No.
          8c
          9c
          lOc
         Ik
         12c
   Notes.
 Fugitive Emission Source
Carbon Bed Adsorption
System (one stack)
Ash Handling
(one stack)
Open Wastewater Tank
(volume source)
Organic Wastetank Farm
(four stacks)
Truck Wash
   Pollutant Distribution
Vapor
Vapor
PM — Mass
PM — Surface Area
Vapor
Vapor
Vapor
                                                                           Maximum Annual
                                                                            Concentration
3.801'(0 8km. 200°
148.97' (0 1 km, 50°)
148.71 (0.1 km, 50°)
148.32(0.1 km. 50°)
298.68* (0.3 km, 40°
143.56" (0 1 km. 40°)
288 70" (0.2 km. 40°
       Based on an emission rate of 1 g/s.
       Based on an emission rate of 1 g/s per stack (four stacks in run).
Volume I
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                 V.  HUMAN HEALTH RISK ASSESSMENT
 A.  Overview
    The HHRA consists of a detailed, site-specific, multipathway assessment to characterize
 the potential human health risks associated with routine emissions from the WTI faciliu   The
 HHRA combines information on the nature and magnitude of routine emissions from the WTI
 facility, the results of the air dispersion and deposition modeling, toxicity data for the
 constituents of primary concern in the facility emissions, and site-specific data for the
 surrounding region and population.  The foundation for this Risk Assessment is consistent with
 well established chemical risk assessment principles and procedures developed for the
 regulation of environmental contaminants (NRC 1983, OSTP 1985, U.S. EPA 1986a,b).
 Application of these guidelines and principles provides a consistent process for evaluating and
 documenting potential human health risks associated with potential exposures to incinerator
 stack and fugitive emissions.  As described by the National Research Council (NRC 1983), the
 risk assessment process consists of the following four components:

    •   Hazard identification, which involves identifying the chemical substances of concern.
        and compiling, reviewing and evaluating data relevant to toxic properties of these
        substances.

    •   Dose-response evaluation, which involves assessing the  relationship between dose and
        response for each chemical of potential concern.

    •   Exposure assessment, which involves the identification of potential exposure
        pathways, the fate and transport of chemicals in the environment (including dispersion
        modeling), and the estimation of the magnitude of chemical exposure for the potential
        exposure pathways.

    •   Risk characterization, which involves calculating numerical estimates of risks  for each
        substance through each route of exposure using the dose-response information and the
        exposure estimates.

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     In applying this four-step process, U.S. EPA guidance is relied upon in conjunction uuh
site-specific information to the extent possible. The general approach used in the HHRA
provides estimates of:

     •    Individual risks based on "central tendency" exposure within defined "subareas"
         surrounding the facility, expressed both as averages across the subarea and at the
         location of maximum chemical concentrations within each subarea.

     •    Risks to potentially more highly exposed or susceptible subgroups, such as young
         children,  within the general population.

     •    Risks associated with specific activities that may result in elevated exposures, such as
         subsistence fishing.

     •    Individual risks based on "high-end" exposure to subgroups of the population that are
         believed to be potentially more highly exposed.  This accounts for potential
         variabilities in exposure  within an exposed subgroup.

    •   Cumulative risks to the population in the vicinity of the WTI incinerator, as a result
        of stack emissions.

    This approach allows for the  estimation of risk to specific segments of the population,
taking into account site-specific activity patterns, the number of individuals in each subgroup,
and actual locations of individuals within these subgroups.

B.  Selection of Chemicals for Evaluation in the Risk Assessment

    1.   Incinerator Stack Emissions
        Approximately 200 chemicals are identified as potentially present in stack emissions.
    Only a few of these compounds, however, have been measured in incinerator stack
    emissions during performance tests and trial burns at the WTI facility. The human health
    risks associated with direct inhalation exposure to each identified compound are
    quantitatively evaluated in the HHRA. However, to focus the assessment of risks via
    indirect pathways of exposure, a subset of the organic compounds Believed to contribute
    most significantly to risk (referred to as "surrogate" chemicals) are selected for

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     quantitative evaluation.  Surrogate organic chemicals are selected based on the following
     factors:

         •    Emission rate, as reflected by data collected during trial burns and performance
             tests at the WTI facility and from the waste profiles:

         •    Toxicitv. considering both carcinogenic and noncarcinogenic effects, and

         •    Bioaccumulation potential, a measure of the extent to which a chemical is likeh
             to accumulate in meat, milk, fish, and other components of the food chain and
             thus contribute to risks through indirect pathways of exposure.

         On this basis, a total of 32 organic  compounds,  shown in Table V-l, are selected as
     surrogate chemicals for evaluating indirect exposures to incinerator stack emissions.  Each
     of the metals identified in stack emissions from the WTI facility is included in the
     evaluation of indirect exposures.

     2.   Fugitive Emissions
         For the assessment of routine fugitive vapor emissions, over 300 organic compounds
     are identified in pumpable wastes received by the WTI facility.  To focus this assessment.
     surrogate chemicals are selected based on the following factors:

         •   Quantity. based on the total annual volume of a constituent received  in the
            pumpable feeds  at the WTI facility;

         •   Toxicitv.  considering both carcinogenic and noncarcinogenic effects; and

         •   Volatility, as a measure of the rate at which a chemical  will volatilize from a
            pumpable waste into the atmosphere.

         On this basis,  a total of 11  organic chemicals, shown on Table V-2, are identified as
     surrogates for the quantitative evaluation of fugitive vapor emissions.  For  fugitive ash
    emissions, cyanide and all seven metals  detected in incinerator fly ash are selected for
    evaluation.
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C.  Toxicity Assessment
    The toxicity assessment of the HHRA includes the first two steps of the general risk
assessment process: hazard identification and dose-response assessment.  Consistent with U.S.
EPA guidance, potential carcinogenic and noncarcinogenic effects are evaluated separately.
Substances classified by U.S.  EPA as potentially carcinogenic are assumed to pose a finite
cancer risk at all exposure levels.  In evaluating potential cancer risks, therefore, a "no-
threshold" assumption is applied for all potential carcinogens.
    The cancer slope factor (SF) (which is an upper-bound estimate of the likelihood that a
carcinogenic response will occur per unit intake of a chemical  over a 70-year lifetime
exposure) is used as a measure of the potency of a chemical carcinogen. An SF value for a
chemical is derived by applying a mathematical model to extrapolate from the relatively high
doses administered to experimental animals (or, more rarely, experienced by people, typically
in the workplace) to the lower exposure levels expected for human contact in the environment
A number of models exist to extrapolate from high dose conditions to low dose conditions; the
approach used by U.S. EPA to develop SF values  is the linearized multistage model, which is
generally believed to be conservative, i.e., is likely to overpredict the true potency of a
chemical.
    In contrast to the approach used to evaluate carcinogenic effects, when considering
noncancer effects U.S.  EPA generally assumes that a minimum threshold level of exposure
must be reached before the effect will occur.  The  estimated level of daily human exposure
below which it is unlikely  that adverse effects will  result is known as the reference dose (RfD).
In evaluating inhalation exposures, U.S.  EPA has also developed reference concentration
(RfC) values to examine the noncarcinogenic effects of certain chemicals.  RfD and RfC
values are typically derived from experimental animal studies,  and incorporate uncertainty
factors to extrapolate from the high dose exposures in the animal experiments to the low doses
likely to be received by humans from environmental sources.   These uncertainties include a
factor to account for individuals who are likely to be more susceptible than the general
population to the chemical.
    The primary sources of SF, RfD, and RfC values used in  the HHRA are, (1) the
Integrated Risk Information System (IRIS), an online data base maintained by U.S. EPA that
provides internally peer reviewed toxicity data for  many commonly  detected substances, and
(2) U.S. EPA's (1994f) Health Effects Assessment Summary Tables (HEAST), which include
information from the literature compiled for use in the Superfund program.  For  a  few
chemicals, toxicity criteria were developed in consu'tation with U.S. EPA. For example, for
polychlorinated dioxins and furans (PCDD/PCDF), SF values  were  developed based on a
toxicity equivalency factor (TEF) approach (U.S. EPA 1994b), whereby the SF values for

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 individual forms of PCDD/PCDF were established relative to 2,3.7.8-tetrachlorodibenzo-p-
 dioxin (2,3.7,8-TCDD), which is believed to be the most toxic form of PCDD/PCDF.  A TEF
 approach (U.S.  EPA  1993f) is also used to estimate SF values for several polycychc aromatic
 hydrocarbons (PAHs), relative to benzo(a)pyrene  For lead, a biokinetic modeling approach
 developed by U.S. EPA (1990c) is utilized in the HHRA to relate lead exposures to blood lead
 levels and the potential  for adverse health effects.

 D.  Exposure Assessment

     1.   Identification  of Population Subgroups and Exposure Pathways
         The exposure assessment step of the Risk Assessment involves the identification of
     potentially exposed populations, and the measurement or estimation of the magnitude of
     exposure to individuals in the population.  Within the exposed population, the magnitude
     of exposure is expected to vary by individual due to differences in individual
     characteristics and activity patterns, among other factors. Therefore, a distribution of
     exposures across  the population is expected to exist.  Since direct measurement of this
     exposure distribution can not be readily performed,  subgroups within the population are
     identified that are expected to have similar exposure because of similarities in activity and
     behavior patterns.  Based on the identified activity and  behavior patterns in the vicinity  ot
     the WTI facility,  the following subgroups are considered  in the HHRA.

         •    Adult non-farming residents;
         •    Child non-farming residents;
         •    Adult farmers whose diet consists partially of homegrown food products;  and
         •    Children of farmers whose diet consists partially of homegrown food products.

         In addition to these subgroups, which are expected to comprise a significant portion
     of the local population, exposure to three additional potentially exposed subgroups of the
     population is estimated. Individuals in these subgroups may experience elevated
     exposures to facility emissions due to specific behavior patterns:

         •   Children 7-12 years old who attend school in the area;
         •   Adult farmers whose entire diet is mainly homegrown (referred to as subsistence
            farmers); and
         •   Children of subsistence farmers.
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        The subgroups identified above are the primary focus of the HHRA. Additional
    groups who may be highly exposed because of particular activity patterns are also
    included in the HHRA to assess the potential risks associated with specific activities:

        •    Adults and children with home gardens;
        •    Breast-feeding infants;
             Subsistence fishermen individuals who fish primarily for recreational purposes.
             but obtain a significant portion of their diet from fish in local bodies of water.
             and
        •    Deer hunters who hunt and consume deer from the area.

        For incinerator emissions,  exposure to individuals living and working in the vicinity
    of the WTI facility is evaluated for both inhalation and indirect, multipathway routes of
    exposure. The primary pathways of exposure considered in the HHRA  for incinerator
    stack emissions are:

        •    Inhalation of air;
        •    Ingestion  of and dermal contact with soil;
        •    Consumption of meat, dairy products, and eggs  from locally raised livestock;
        •    Consumption of locally grown vegetables; and
        •    Ingestion  of and dermal contact with surface water during swimming.

        To  focus the WTI  Risk Assessment, a study area within a 12-kilometer radius of the
    facility is defined based on the highest risk pathway for the general population,  and
    divided  into 12 subareas.  Each subarea is designated by  E, N, S, or W  to reflect direction
    from the stack, and 1, 2. or 3 to show relative distance from the stack.
        The assessment of exposures to fugitive vapor emissions is  limited to inhalation.
    because of the volatile nature of the majority of the fugitive emissions, and the expected
    localized impact.  Thus, risks due to fugitive vapor emissions are evaluated for  adult non-
    farming residents,  child non-farming residents, and children who attend  school  in the area.
    Exposure to fugitive ash emissions is evaluated for inhalation, soil ingestion, soil dermal
    contact, and vegetable consumption pathways. The populations and exposure pathways
    considered in the HHRA are summarized in Table V-3.
Volume I

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    2.  Fate and Transport Modeling
        As previously discussed in Chapter IV. the ISC-COMPDEP model is used in the
    HHRA to evaluate atmospheric dispersion and deposition of both incinerator stack and
    fugitive emissions.  The results of the ISC-COMPDEP modeling are used to estimate
    chemical concentrations in air associated with the routine emissions from the WT1 facilit).
    and can be used directly to assess inhalation exposures.  In addition, the results of the
    dispersion and deposition modeling are used as the starting point for evaluating exposures
    through indirect pathways. Indirect exposure occurs as a result of the wet and dr\
    deposition of paniculate matter and vapor  onto soil and vegetation, and subsequent
    migration of these chemicals into other media. For example, stack constituents that are
    deposited  onto the soil can be incorporated into vegetation, which can then be ingested by
    livestock.  Vapor uptake into vegetation is another  mechanism of chemical entry into the
    food chain.  Consequently, human exposure to site-related contaminants may occur
    through ingestion of vegetables or livestock grown or raised locally.
        In order to assess multipathway exposures, an estimate  of chemical concentrations in
    soil, vegetables, animal products (e.g., meat,  eggs, milk, game), surface water, fish and
    mothers' milk is needed.  To predict  chemical  concentrations in these media, fate and
    transport models based on U.S. EPA guidance (U.S. EPA 1990a, 1993b. 1994b) are
    applied. Values used  as input parameters in the fate and transport models are developed
    based on site-specific data wherever possible;  where such site-specific data are not
    available,  U.S.  EPA-recommended default parameters are used.

    3.  Calculation of Dose
        Human exposure to substances emitted during routine operations of the WTI facility
    may occur as a  result of inhalation, ingestion,  or dermal  contact. To estimate the
    magnitude of the dose received through each of these routes of exposure, the
    environmental media concentrations developed using the fate and transport models are
    combined  with exposure factors reflecting behavior and activity patterns. U.S. EPA
    guidance recommends that such exposure estimates be  presented using several descriptors
    (U.S. EPA 1992c; 1995a).  For example, the guidelines  call for estimating the "high-end"
    exposure,  which is an estimate of the exposure of individuals in the upper end of the
    population exposure distribution.   Conceptually, U.S. EPA guidance defines high-end
    exposure as  within the upper 10% of the exposure distribution, but not higher than the
    expected highest value in the true distribution  of the population. The  guidance also
    recommends the development of  "central tendency" exposure estimates to reflect exposure
Volume I                                 V-7

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experienced by "typical" individuals in the exposed population (i.e., those approximate!)
at the median of the exposure distribution).
    Various types of data are necessary to develop information on the exposure
distribution of the population.  In the HHRA. the exposure distribution for the overall
population is estimated based on subgroups consisting of individuals expected to share the
same exposure characteristics. These subgroups can be characterized using site-specific
information concerning:

    •   The location of the exposure subgroups with respect to the WTI facility;
    •   Typical activity patterns for each subgroup;  and
    •   The number of individuals that comprise each subgroup.

    In order to fully develop an  exposure distribution for a subgroup,  detailed information
must be available regarding the activity and behavioral patterns of individuals in the
subgroup.  Such information includes the percent of time spent performing different
activities at specific locations, estimates of dietary intake, sources of meat, milk, and
produce within the area, and the  age and sex of individuals within the population. For
example, it is important to understand what fraction of food consumed locally is derived
from local  sources rather than imported  from remote locations.
    In general, site-specific information and U.S. EPA guidance (U.S. EPA 1989, 1990b,
1992c) are relied  upon in the HHRA to estimate the exposure factors.  Typical exposures
for each subgroup are estimated by combining exposure factors believed to reflect typical
activity and behavior patterns with media concentrations developed using the fate and
transport models.  The high end  of the population exposure distribution includes highly
exposed subgroups within areas predicted to be  more significantly impacted by facility
emissions  Examples  of the site-specific data compiled and used in the HHRA include the
following-

    •    To evaluate exposures from consuming locally grown fruits and vegetables, data
        are compiled from an informal  home gardening survey conducted in June 1993 by
        the East  Liverpool Board of Health.  The data from the home gardening survey
        provide a general indication of gardening practices in the East Liverpool area,
        and are used to estimate the fraction of homes in the area surrounding the WTI
        facility that have gardens, and the fraction of the residents'  fruit and vegetable
        diets that are  homegrown.

-------
             Potential exposures through mgestion of fish are estimated based on data derived
             from a recreational fishing study performed as part of a joint Ohio/West Virginia
             Department of Natural Resources Recreational Fishing Study (ODNR 1994a) and
             an electro-fishing survey conducted by the Ohio River Valley Sanitation
             Commission (ORSANCO).  The data compiled by these studies provide an
             indication of the amount of fishing that occurs in the vicinity of the WTI facilit)
             and the average weight of fish.

             To estimate exposures through consumption of locally produced milk and meat.
             information regarding local farming practices was obtained from interviews with
             local agricultural extension agents. The primary source of information on beef
             farming statistics is agricultural data compiled by the Agricultural Statistics
             Service associated  with the Departments of Agriculture in Ohio, Pennsylvania
             and West Virginia  (ODA 1994; PDA 1994; WVDA 1994).  Livestock data
             include such parameters as the total number of cattle/calves in the state, the
             number of calves born annually, and information on slaughter and marketing of
             beef cattle and calves.  A limited amount of data are also available from a  1992
             survey of beef cattle and dairy farms performed for the Beaver Valley Nuclear
             Power Station, located in Shippingsport, Pennsylvania.  The general locations of
            dairy farms  in the area surrounding the WTI facility were obtained from the
             Agricultural Marketing Service  of USDA.

            Exposure to hunters from consuming game derived  locally is estimated using
             information  on deer hunting in the area surrounding the WTI facility provided by
            the Departments of Natural Resources in Ohio, Pennsylvania, and West Virginia
            (ODNR 1994b, PDNR 1994; WVDNR 1994).

            To estimate  overall population risks posed in the area, population data for the
            three county area surrounding the WTI facility (Columbiana. Ohio. Beaver,
            Pennsylvania; Hancock, West Virginia) are compiled from a summary of 1990
            census data (CACI  1992).  The county farming populations are estimated based
            on the number of farms (USDC 1993a,b,c) and the typical household size (CACI
             1992) in each county.
Volume I                                V 9

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E.  Risk Characterization
    The final step of the HHRA is risk characterization.  In the risk characterization step.
chemical toxicity values are combined with the dose estimates for each of the exposure
pathways to evaluate both carcinogenic risks, and the potential for noncarcinogenic health
effects. The conclusions of the risk characterization in the HHRA are summarized below

    1.  Incinerator Stack Emissions

        •   PCDD/PCDF are identified as the primary constituents of concern in assessing
            the potential risks to human health associated with WTI stack emissions.

        •   Exposures through the consumption of meat and eggs, dairy products, and
            mothers' milk are determined to be the principal pathways of exposure to
            constituents in the WTI stack emissions.

        •   The highest cancer risks are estimated in the nearest subarea to the east of the
            facility, Subarea El.  As shown in Table V-4, average cancer risks in Subarea El
            for the identified subgroups range from 0.2 in 1,000,000 (2 x 10'7, for the adult
            resident) to 1 in 1.000,000 (1 x  10'6, for the subsistence fanner adult and child).
            Exposure to PCDD/PCDF accounts for most of the estimated risk. A sensitivity
            analysis of the variability in exposure within the more highly  exposed subgroup.
            the subsistence farmer, was also conducted.  This analysis identified food
            ingestion rates and exposure duration as the most sensitive parameters in
            estimating exposure for the subsistence farmer. The variability in exposure  for
            the subsistence farmer subgroup in Subarea El was assessed by recalculating
            risks using values near the  high end of the range for both food ingestion rates and
            exposure duration.  These changes result in high end cancer risks for the
            subsistence farmer which are 7  in 1,000,000 (7 x 10"6), or approximately 7-fold
            above the estimated average risk.

        •   In addition to the risks estimated for the subgroups listed in Table V-4, risks
            were assessed for specific activities that may  not be routinely performed  by all of
            the subgroups evaluated. These activities included consumption of homegrown
            fruits and vegetables, subsistence fishing, consumption of venison derived
            locally, and breast feeding.  Breast feeding was estimated to account for the
            highest potential incremental  increase in risk.  The estimated average cancer risk

Volume!                                 V-10

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             for breast-feeding infants of the subsistence farmer in Subarea El is
             approximately 2 in 1,000.000 (2 x 10'0). PCDD/PCDF and benzo[a]pyrene
             account for most of the estimated risk.

             The highest noncancer Hazard Index (HI) values are also estimated in Subarea
             El. As shown in Table V-4. estimated average HI values are below 1.0 for all
             population subgroups.  This indicates that noncancer health effects associated
             with stack emissions are not anticipated.

             For average exposures, the highest total (direct plus indirect pathway) noncancer
             HI value is estimated to  be for the child of  the subsistence farmer, located in
             Subarea El. This value is 0.07.  The greatest contribution to this HI is from
             direct inhalation, for which the estimated HI value is 0.05.
    2.   Fugitive Emissions
             The average cancer risks from inhalation of fugitive organic vapor emissions are
             estimated to be in the range of 0.5 in 1.000,000  (5 x 10'7) to 2 in 1.000.000
             (2 x lO'6).

             Average inhalation cancer risks associated with fugitive ash emission are
             estimated to be below 0.05 in 1,000,000 (5 x 10'8).  Indirect cancer risks
             associated  with exposure to fugitive ash emissions are significantly below 0.01 in
             1,000,000(1 x 10-8).

             The estimated average noncancer HI values associated with exposure to fugitive
             organic vapors range from between 0.01 and 0.07. Since these values are
             significantly below 1.0,  noncancer health effects  are not anticipated.

             Average noncancer HI values associated with fugitive ash emissions are estimated
             to be at least 1,000-fold  less than  1.0,  indicating  that noncancer health effects are
             not anticipated.
Volume I                                 V-ll

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F.  Uncertainties Associated with the HHRA
    The primary sources of uncertainty associated with the HHRA are summarized as follows

    •   Toxicitv  data - The assessment of the  toxicity of several of the chemicals considered
        in the HHRA is based on experimental animal data, which introduces uncertami> due
        to differences in absorption, metabolism, excretion and toxic response between
        humans and the animal species tested.  However,  U.S.  EPA applies uncertainty
        factors in extrapolating the animal data to humans that are designed to incorporate a
        significant safety margin to ensure that the toxicity factors are adequately protective
        of sensitive individuals in  the population.

    •   Fate and transport models - The fate and transport models used to predict
        environmental concentrations of substances emitted from the facility represent a
        simplification of the processes that determine actual environmental concentrations.
        Furthermore, input parameter values used in the models are often based on algorithms
        derived from empirical correlations  for a limited number of chemicals that may not be
        directly applicable to all chemicals considered in the assessment.

    •   Estimation of exposure - Because site-specific data do not exist for many exposure
        parameters,  standard default values  are often  applied that may not accurately represent
        the behavior patterns or actual locations of individuals living in the vicinity of the
        WTI facility.

    •   Additivity of risks - In the HHRA, cancer risks and hazard quotients are summed for
        all chemicals evaluated, as well as across all exposure pathways considered.
        Uncertainty  is introduced  because the  mechanism  of toxicity and weight-of-evidence
        are not considered in this  process.  In addition,  additivity may not apply to
        noncarcinogens that do not affect the same target organ. Finally, mechanisms
        governing antagonistic or  synergistic responses  are not well understood, so that the
        cumulative risk from multiple chemical exposures is not well defined.
Volume T                                 V-1

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                                           TABLE V-l
                              Surrogate Chemicals Selected for the
                         Indirect Risk Assessment of Stack Emissions
                         PICs and Residual Organic Compounds (15)
   Bis(2-ethylhexyl)phthalate           Benzo(b)fluoranthene               Heptachlorobiphenyl
   Carbon tetrachlonde                Benzo(a)pyrene                   Hexachlorobiphenyl
   Di(n)octyl phthalate                Dibenz(a.h)anthracene              Tetrachlorobiphenyl
   Heptachlor                       Indeno(1.2 ?-cd)pyrene
   Hexachlorobenzene
   Hexachlorobutadiene
   Hexachlorocyclopemadiene
   Hexachlorophene
      Dioxin Congeners (7)
             Furan Congeners (10)
           2,3.7,8-TCDD
          1,2.3,7,8-PeCDD
         1,2,3,4.7.8-HxCDD
         1,2,3,6,7,8-HxCDD
         1,2,3.7,8,9-HxCDD
        1,2,3.4.6,7.8-HpCDD
              OCDD
  2,3,7,8-TCDF                  1.2.3.7,8.9-HxCDF
 1,2,3,7,8-PeCDF                 2,3,4,6,7.8-HxCDF
 2,3,4,7,8-PeCDF                1,2,3,4.6,7.8-HpCDF
1.2,3.4,7,8-HxCDF               1,2,3,4,7.8,9-HpCDF
1.2,3,6,7,8-HxCDF                     OCDF
                                           Metals (13)
             Antimony                   Chromium (hexavalent)                    Silver
              Arsenic                           Lead                           Thallium
              Barium                         Mercury1                          Zinc
             Beryllium                          Nickel
             Cadmium                        Selenium
  Notes

  *         -    Includes methylmercury in aquatic environments
  CDD     -    cnlorodibenzo-p-dioxin
  CDF     -    chlorodibenzofuran
Volume I                                     V-i:

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                                    TABLE V-2
                  Surrogate Chemicals Selected for the Assessment of
                  	Fugitive Organic Vapor Emissions
                  Acetone                          Dichlorodifluoromethane
                Acrylonitrile                           1,1-Dichloroethene
              Carbon Disulfide                            Formaldehyde
            Carbon Tetrachloride                           Hydrazine
              Dibromomethane                           2-Nitropropane
                                                          Pyndine
Volume I                               V-14

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TABLE Y-4
Estimated Area Average Cancer Risks and Hazard Indices
Due to Exposure from Direct and Indirect Pathways in Subarea El
Population Subgroup
Resident Adult
Resident Child
Farmer Adult
Farmer Child
School-Age Child
Subsistence Farmer Aduh
Subsistence Farmer Child
Cancer Risks
2 x 107
4 x ID'7
6 x ID'7
6 x ID'7
3 x 10-7
1 x 10-6
1 x 10-6
Hazard Indices
1 x 10:
5 x 10-2
1 x 102
6 x 10 :
3 x 102
2 x ID'2
7 x ID'2
Volume I
V-16

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           VI.  SCREENING ECOLOGICAL RISK ASSESSMENT
 A.  Overview
     The Risk Assessment for the WTI facility includes a Screening Ecological Risk
 Assessment (SERA) to provide an initial evaluation of potential risks to ecological receptors
 that may be directly exposed to, or indirectly affected by, stack and fugitive emissions trom
 the WTI facility.  The assessment is consistent with the general approach outlined by U.S.
 EPA (1992d), and its screening-level nature is consistent with U.S. EPA Region 5 draft
 Ecological Risk Assessment Guidance for RCRA Corrective Action  (U.S. EPA 1994e), which
 describes a tiered approach to evaluating risks to ecological receptors. U.S. EPA (1992d)
 states that an ecological risk assessment at the screening level "may be performed using readily
 available data and conservative assumptions; depending upon the results,  more data then may
 be collected to support  a more rigorous assessment."  The primary goals of the SERA are as
 follows

     •   To identify and eliminate from further consideration those Ecological Chemicals of
        Concern (ECOCs), exposure pathway, and ecological receptor combinations for
        which potential risks are negligible;

     •   Where potentially significant risks are identified, provide direction regarding further
        evaluations in the ecological risk assessment process; and

     •   Evaluate the presence of federal- and state-listed rare, threatened, and endangered •
        species in the vicinity of the facility and the likelihood that they would be exposed to
        facility-related ECOCs.

     Ecological risk assessment involves the same general methodologies as human health risk
assessment.  As in  a human health risk assessment, the ecological risk assessment integrates
exposure and toxicity. the two fundamental factors in assessing potential  risks.  However.
there are also key differences.  Unlike a human health risk assessment, an ecological
assessment must often consider risks to a diverse community comprising multiple species

Volume I                                VII

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 Different types of plants and animals (including mammals, birds, reptiles, amphibians, and
 fish) with different habitats, exposures and toxicological susceptibilities, must be evaluated
 both individually and collectively, resulting in a greater overall degree of complexity than in a
 human health risk assessment.  Further, ecotoxicological data are not available for a number of
 species and chemical constituents.  Ecological risk assessments are therefore usualh qualitative
 or semi-quantitative, especially at the  screening level.
    In evaluating receptors and exposure pathways, the SERA considers habitats and biota in
 the vicinity of the WTI facility having the greatest potential for exposure to incinerator stack
 and fugitive emissions.  The assessment area  for the SERA is defined as the area within a 20-
 kilometer radial distance of the WTI facility,  encompassing a 1,260 square kilometer (km2)
 area.  The  typical biota present in the  assessment area are identified and representative species
 or species groups are selecied  as indicator species for use in the SERA.  Because of
 differences in goals and approaches, the SERA assessment area, which  is intended to include
 habitats and species of greatest exposure potential, is not the same as the "study" area in the
 HHRA.
    Conservative assumptions, designed to overestimate rather than underestimate potential
 exposures and risks, are used to select ECOCs, exposure pathways, and indicator species, and
 to determine  whether potentially significant ecological risks may occur from routine facility
 emissions.  Any potentially significant risks identified in the SERA could be evaluated further
 in subsequent phases of the risk assessment process.

 B.  Selection of ECOCs

    1.  Incinerator Stack Emissions
        There is currently no  single established approach for ranking or selecting surrogate
    chemicals for ecological risk assessments. Various approaches have been described and
    compared in the literature and discussed at professional work shops (U.S. EPA 1980,
    1994d; Davis et al.  1994;  SETAC 1995).  In general, these approaches consider chemical
    release or contaminant  levels, inherent toxicity, bioaccumulation potential, and, to a lesser
    extent, persistence as ranking criteria to select surrogate chemicals  for risk evaluation   In
    developing a list of ECOCs for the SERA, the focus is  on organic chemicals and metals
    Two other categories of chemical  emissions, acid gases and particulate matter,  are
    excluded as ECOCs because they  are judged to pose a much lower potential risk than
    organic chemicals and metals to ecological receptors. All 15 metals for which emission
    estimates are developed are selected as ECOCs.  These metals  are shown in Table VI-1.
    However, as in the HHRA, a subset of surrogate organic chemicals of primary concern

Volume I                                 VI 2

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    are selected as ECOCs, due to the large number of organic constituents potentially present
    in WTI incinerator stack emissions.  The screening of organic chemicals to select ECOCs
    is conducted in three parts:

             Evaluation based on major exposure type;

             Evaluation based on chemical group; and

             Evaluation based on professional judgement.

        The exposure and chemical group analyses utilize a scoring algorithm consisting of
    the following factors: .

        •    Emission rate, based on high-end emission rate estimates, as discussed in Chapter
             III;

        •    Toxicity. based on available toxicological data for terrestrial animals and/or
             aquatic organisms, depending on the exposure type and/or chemical group
             evaluated; and

        •    Bioaccumulation potential,  as represented by the octanol/water partition
             coefficient (Kow).

        After selecting organic chemicals based on the scoring algorithm, additional chemicals
    are added as ECOCs based on professional judgement. Chemical persistence is
    considered in this step.  For example, polychlorinated biphenyls (PCBs), which are  not
    selected as an ECOC based on the scoring algorithm but which are known to persist and
    to bioaccumulate  in the food chain, are included in the risk analysis.
        Based on this evaluation, 22 organic compounds (or groups of compounds such as
    PCBs) are selected as ECOCs for evaluating WTI incinerator stack emissions in the
    SERA.  These chemicals are shown in Table VI-2.

    2.  Fugitive Emissions
        In selecting ECOCs for fugitive organic vapor emissions, different (but functionally
    equivalent) scoring algorithms than the ones developed for incinerator stack emissions are
    used.  Since the constituents present in fugitive organic vapor emissions are anticipated to

Volume I                                 VI-3

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    be primarily volatile chemicals with relatively low bioaccumulation potential, organic
    ECOCs are selected based on the following criteria.

        •   Quantity released, taking into account the volume of the chemical present in the
            pumpable waste feeds, and the vapor pressure of the constituent;

        •   Water solubility,  calculated from log Kow values: and

        •   Toxicity to terrestrial animals (via  inhalation) and/or aquatic organisms (via
            surface  water exposures).

    The scoring algorithm js supplemented with consideration of persistence and
bioaccumulation.  Based on this process, eight chemicals are selected as fugitive organic vapor
ECOCs.  These compounds are acetone, acetonitrile, acrylonitrile, chloroform.
dimethylamine, dimethylhydrazine, formaldehyde, and hydrazine.
    As in the HHRA, metals detected in at least one fly ash sample are selected as ECOCs for
evaluating fugitive inorganic emissions  from the ash handling facility.  Thus, seven metals
(arsenic,  barium, cadmium, lead,  nickel, selenium, silver) and total cyanide are evaluated  in
the SERA for this emission source.

C.  Characterization of Exposure
    A total of five scenarios are considered in evaluating exposures to  incinerator stack and
fugitive emissions in  the SERA.  Three exposure scenarios are evaluated for incinerator stack
emissions and  two exposure scenarios are evaluated for fugitive emissions.
    Two exposure scenarios are evaluated for metal ECOCs in incinerator stack emissions.
The first  scenario involves an evaluation based on expected annual average metal emission
rates, assuming the facility operates at full capacity.  This scenario, termed the stack expected
metal scenario, uses the same emission  rates  as those used in the HHRA. The second scenario
for stack  metal ECOCs involves an assumption that the incinerator is operating continuously at
its projected maximum permitted metal emissions limits. This is termed the stack projected
permit  limit metal scenario.  The metal permit limits are based on maximum hourly, rather
than annual average,  emissions and thus this  scenario represents an "upper-limit" for metal
emissions from the incinerator stack.  A comparison of the metal emission rates included in
these two exposure scenarios is presented in  Table VI-1.                ''
    A single exposure scenario based on high-end emission rates (i.e., 95% upper confidence
limit values) is evaluated for organic ECOC  stack emissions. In contrast, the HHRA relied

Volume I                                 VI-4

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 primarily on average emission rate estimates for organics, with the high-end rates applied in
 the HHRA in a sensitivity analysis.  The added conservatism of using high-end emission rates
 in the SERA is consistent with its  being a screening-level assessment.  The stack emission
 rates used in the SERA for organic constituents are presented in Table VI-2
     Two exposure scenarios are used to evaluate fugitive emissions   The fugitive  morgana
 scenario evaluates emissions of inorganic  (metals and total cyanide) constituents from the ash
 handling facility while the fugitive organic scenario evaluates emissions of volatile organic
 constituents from four potential sources within the facility boundary.  Potential ecological
 exposures are evaluated at the point of maximum air concentration for each of the five fugitive
 sources (four vapor and one ash).  The emission rates used in the SERA for the fugitive
 inorganic and fugitive organic scenarios are presented in Tables VI-3  and  VI-4, respectively
     For the fugitive inorganic exposure scenario, predicted maximum concentrations of the
 ECOCs in air. surface soil,  surface water, and sediment are used in the SERA as exposure
 point concentrations.  These environmental media concentrations  are evaluated at the projected
 locations of maximum air concentrations,  at the potential locations of maximum deposition
 onto soil and vegetation, and at representative water bodies within 10 kilometers of the
 facility.  The fate and transport models used in the HHRA are also applied in predicting
 chemical concentrations in the SERA.  Tissue concentrations in representative food items are
 modeled to evaluate potential food chain effects in upper trophic level wildlife receptors for a
 subset of the ECOCs.
    Exposure concentrations for fugitive organic  vapor emissions are assessed only for the air.
 surface water, and sediment pathways, given the volatile, water soluble, and non-
 bioaccumulative nature of the constituents in these fugitive releases.  As a conservative
 measure, maximum concentrations for a particular ECOC are summed for all fugitive sources,
 as well as for contributions from incinerator stack emissions. This provides a conservative
 estimate of exposure because the modeled locations of maximum concentrations are not the
 same for all fugitive sources and for the incinerator stack.
    Exposure routes and pathways for the ecological receptors to chemicals in the different
 environmental media are shown in Figures VI-1 and VI-2 for incinerator stack and fugitive
 emissions, respectively.  As indicated in the two figures, terrestrial animals may be exposed  to
 chemicals through the following exposure routes:  (1) direct inhalation of vapor-phase
 chemicals, or of chemicals adsorbed to paniculate matter; (2) direct ingestion of soil and
 sediment; and (3) consumption of vegetation and/or animal tissues containing chemicals which
 have entered the food chain.
    Terrestrial and emergent wetland plants may be exposed to airborne chemicals via
 absorption of vapor phase chemicals through leaf  surfaces or absorption of chemicals deposited

Volume I                                 VI-5

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by air or water onto leaf surfaces. In addition, plants may be exposed through their root
surfaces during water and nutrient uptake to chemicals deposited onto soil and sediment.
Aquatic animals may be exposed by direct contact with chemicals in water and sediments, or
by dietary consumption through the food chain.

D.  Selection of Indicator Species
    Because of the complexity of the ecosystem surrounding the WTI facility, it is not possible
to assess potential  adverse effects to all ecological receptors within the assessment area
Therefore, "indicator" species are selected to evaluate  potential  risks to the broader ecological
community.  The objective of the indicator species selection process is to identify  species
which:  (1) are known to occur, or are likely to occur, within the assessment area; (2)
represent a reasonable range of potentially exposed taxonomic groups or life  history traits in
the habitats present; and (3) have sufficient toxicological information available on  which to
base an evaluation.  On this basis, and considering the potential  exposure routes and pathways
shown in Figures VI-1 and VI-2, the following indicator species or species groups are selected
for evaluation in the SERA:

    •   Terrestrial plants;
    •   Soil fauna (primarily earthworms);
    •   Meadow vole;
    •   Northern  short-tailed shrew;
    •   American robin;
    •   Red fox.
    •   Mink;
    •   Red-tailed hawk;
    •   Belted kingfisher; and
    •   Aquatic biota  (plants, invertebrates, and fish).

    No recent occurrences of rare, threatened, or endangered species are known within a
1-kilometer radius of the WTI facility.  The closest recent occurrences of rare, threatened, or
endangered species (two state-listed fish species) occur approximately four kilometers
southwest of the facility in the Ohio River.
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 E.  Characterization of Effects
     In assessing potential adverse effects to indicator species, chronic lexicological benchmark
 values were derived from the literature for each terrestrial and semi-aquatic indicator species
 No-Observed-Adverse-Effect-Levels (NOAELs) based on growth and reproductive endpomts
 were obtained, when available.  Growth and reproduction are emphasized as lexicological
 endpoints because they are the most relevant, ecologically, to maintaining viable populations.
 and because they are generally the most studied chronic endpoints for ecological receptors
 Where chronic NOAEL  values are not available, estimates are derived from chronic Lov%est-
 Observed-Ad verse-Effect-Levels (LOAELs), or acute thresholds, using appropriate uncertainty
 factors.
     For aquatic biota, U.S. EPA Ambient Water Quality Criteria (AWQC) for the protection
 of aquatic life are used to evaluate potential adverse effects in surface water. Comparable
 Ohio, West Virginia, and.Pennsylvania water quality criteria are used to supplement the U.S.
 EPA AWQC values.  Benchmark values for aquatic biota exposed to chemicals in  sediments
 are based on published criteria and guideline values, or derived from  data in the literature

 F.  Risk Characterization
     In the SERA, risk is characterized by calculating a hazard quotient.  The hazard quotient
 is calculated by dividing  the estimated exposure concentration or dose by the appropriate
 toxicological benchmark  value.  Hazard quotients exceeding one indicate the potential for risk
 (the magnitude indicating the relative magnitude of the risk) and hazard quotients of one or
 less indicate that risks are low to negligible.  In the SERA, the lowest available toxicological
 benchmark values (based on NOAELs) are used along with upper-bound exposure  estimates to
 calculate hazard quotient values; this is  intended to ensure that potential risks are not
 underestimated.
     The conclusions of the risk characterization phase of the  SERA are summarized as
 follows:

         For metal emissions from the incinerator stack under the stack expected metal
         scenario, low to negligible ecological risks are indicated.

     •    For organic emissions from the incinerator stack, low to negligible ecological risks
         are indicated.
                                                                 i •
         For metals in fugitive inorganic emissions from the ash  handling facility, low to
         negligible ecological risks are  indicated.

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     •    For fugitive organic vapor emissions, except for formaldehyde, low to negligible
         ecological risks are indicated.  For formaldehyde, risks of relatively low magnitude
         are indicated for wildlife from inhalation exposure.

     •    For metal emissions from the incinerator stack under the stack projected permit limit
         metal scenario,  risks of relatively high magnitude  are indicated for terrestrial plants
         and animals from exposure to six metal ECOCs (barium, mercury, nickel, selenium.
         silver, and thallium).   The largest exceedances of  toxicological benchmark values
         occur for thallium, selenium, barium, and nickel.  A relatively low magnitude  risk is
         indicated for aquatic biota  for one metal (silver).

     In summary, the SERA indicates low to negligible ecological risks for routine emissions
of organic chemicals (except formaldehyde in fugitive emissions) and for expected emissions
of metals from the stack  and the ash handling facility.  Formaldehyde exposure levels
exceeding inhalation benchmarks are limited to habitats in or immediately adjacent to the
facility.  It is expected that wildlife exposures will be limited at these locations (due to habitat
considerations) and that adverse effects  to wildlife populations and community structure would
be unlikely.
     The results of the stack projected permit limit metal scenario indicate that the magnitude
of the predicted risks is relatively high for both plant and animal terrestrial indicator species at
the projected points of maximum air concentrations and total stack deposition. A key issue
relating to the stack projected permit limit metal scenario is the degree of realism in the
emission rate estimates based on the maximum permitted hourly emission levels.  For this
scenario, it was assumed that the incinerator emits metals continuously (on an annual basis) at
the maximum hourly permitted levels. Although this level  of emission is considered very
unlikely, it is theoretically and  legally possible.  Furthermore, for several metals, including
those for which hazard quotient values were calculated to exceed one, removal efficiencies
were assumed to be zero.
     If the metal emission rates  assumed in the projected permit limit scenario were to be
reached over an extended period, the magnitude of the predicted risks (even considering the
conservative nature of the assessment) suggests that adverse effects  to terrestrial plant and
animal species are likely. Given the areal extent over which some of these predicted risks
extend,  adverse effects are possible to some wildlife populations and possibly to the terrestrial
plant community.  Quantifying  the degree of likelihood and the extent of these potential effects
for the indicator  species, metals, and exposure pathways for which risk is predicted would
require additional evaluation at the PERA or DERA  level.  The implications of such high

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 metal exposures for rare, threatened, and endangered species that may inhabit the assessment
 area  would have to be determined from a biological assessment (not a PERA or DERA).
 However, this scenario does not reflect emissions expected during routine operations   The
 results of the SERA indicate that routine operations at the WTI facility would not present a
 significant risk to ecological receptors and that additional analyses (PERA or DERA) are not
 warranted.

 G.  Uncertainties
     There are various sources of uncertainty in the SERA; they are basically of two types.
 There are uncertainties inherent in screening-level  ecological risk assessment, and there are
 others related to the particular estimation parameters and assumptions used in this SERA to
 establish exposure concentrations (or doses) and toxicological benchmarks.  With regard to the
 first type of uncertainty, the SERA is consistent with the state-of-the-science methodology for
 screening-level assessments, which is designed to be a conservative or protective approach
 given the constraints of the  science and of the available information.  Decisions are made in
 the problem formulation step regarding how to select ECOCs, exposure pathways, receptors.
 and a risk characterization methodology for this assessment.
    The second type of uncertainty involves the values chosen from among the available site-
 specific data,  assessment guidelines, and scientific  literature as input parameters in deriving
 estimates of emission rates,  dispersion factors, deposition rates, contact rates, uptake rates,
 ecotoxicological endpoints,  and uncertainty factors. Values are chosen in an attempt to
 generally model upper-bound exposures and lower-bound toxicological benchmarks such that
 risks  are not underestimated
    The SERA meets the objective of separating those ECOCs, exposure pathways,  and
 receptors that clearly do not pose a significant contribution to overall risk,  but without
 underestimating risks for receptors that might be more highly exposed or susceptible.  It is
 very likely that risks are overestimated in some cases because of the conservative assumptions
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TABLE VI-1
Metals Evaluated in the SERA - Stack Emissions
Chemical
Aluminum
Antimom
Arsemc
Barium
Beryllium
Cadmium
Chromium
Copper
Lead
Mercury
Nickel
Selenium
Silver
Thallium
Zinc
"Permit Limit"
Emission Rate
(g/s)
...
1 6 x 10'4
1 1 x !(T
5 5 x 10'
3.6x 10"
1.9 x 10"
1.5 x HT1
—
1.2x 10°
8.8 x 10'2
2.2 x 10'
4 4x10°
3.3x 10°
5.5x 10-'
—
"Expected" Emission
Rate
(g/s)
24 \ l(l~
4 2\ 10'
? 7 \ 10"
1 5 \ 1(1-
3 3 x 10 f
1.6x 10'
7.1 x 10"
94x 10 5
4.3 x 10'
1 4 x 10 '
5.0 x 10"
4.7x 10J
1.5 x W
3 4 x 10s
1 2 x 104
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TABLE VI-2
Organics Evaluated in the SERA-
Stack Emissions
Chemical
Acetone
Acrylonitnle
Anthracene
Benzo(a)pyrene
Bis(2-ethylhexyl)phthalate
Chloroform
Crotonaldehyde
2,4-D
4,4'-DDE
Di-n-ocryl phthalate
1,4-Dioxane
Dioxin/furan
Formaldehyde
Heptachlor
Hexachlorobenzene
Hexachlorobutadiene
Hexachlorocyclopentadiene
Hexachlorophene
Pemachlorobenzene
Pentachlorophenol
Total PCBs
Vinyl chloride
High-End Emission Rate
(g/s)
2.90 x 10 "'
2.02 x 1CT
l.lOx 10'
1 10 x 10'
5.23 x 10'
4.07 x 104
1 39 x 10"
3.88 x 10'
1.10 x 10-"
1 10 x 10s
4.94 x 10'4
1.26x 10"
6 07 x 10-
l.lOx 10-6
1.10 x 10s
1.01 x 10-
l.lOx 10 5
3 20 x 10s
4 76 x 10 5
1 10 x 10'
3 38 x 10^
4 90 x 10"
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TABLE VI-3
Estimated Emission Rates for Metals and Total Cyanide in Fugitive Fly Ash
Chemical
Arsenic
Barium
Cadmium
Lead
Nickel
Selenium
Silver
Total Cvanide
High-End Emission Rate
(g/s)
3 31 x 10"
9 11 \ 10"
6.63 x 10'
2.17 x 10'
4.22 x 10 7
1.48x 10'7
2.34 x 107
2.61 x lO'7
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TABLE VI-4
Estimated Emission Rates - Fugitive Organic Vapor Emissions
Chemical
Acetone
Acetonitnle
Acrylonitnle
Chloroform
Dimethylamine
Dimethylhydrazine
Formaldehyde
Hydrazine
Emission Rate (g/s)
Carbon
Absorption
Bed
1.18x 10'3
3.19 x 10'5
2.71 x 10'5
7.94 x 10'5
3.00 x 10-4
2.28 x lO'5
6.74 x 10-4
1.72x 10-6
Tank
Farm
1.12 x 10 2
3.03 x 10-4
2.57 x 10-4
7.52 x 10-4
2.84 x 10-3
2.16x IQ-4
6.39 x 10-3
1.63 x 10-5
Open Waste
Water Tank
1.06x 10 3
2.88 x 10"'
2 44 x 10-s
7.15x 10'-
2.70 x 10-4
2.05 x 105
6.07 x 10-4
1.55x 10-6
Truck
Wash
5.19 x 10"'
1.41 x 1(T
1 19 x 10°
3.50 x 10"
1.32 x 10'
1.01 x 10(1
2.98 x 10"
7.58 x lO'8
Volume I
VI-13

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                           VII.  ACCIDENT ANALYSIS
 A.  Overview
     The WTI Risk Assessment includes an analysis of potential human health effects
 associated with accidents that might occur during operation of the WTI facility.  The approach
 for conducting this analysis has been developed based on guidance published by U.S. EPA
 (e.g., U.S. EPA 1987; 1996) and other agencies such as the U.S. Federal Emergency
 Management Agency (FEMA 1993). The primary objective of the Accident Analysis is to
 assess the  potential for human health effects associated with general types or classes of
 accidents that could occur at the WTI facility.  The results of  this type of analysis typically
 provide information that can be used to reduce the likelihood, extent and impact of possible
 accidents.
     The Accident Analysis evaluates the potential  impact distance for specific accident events
 based on acute health effects associated with short-term (i.e., less than 24-hour)  exposures.  Of
 primary interest in the Accident Analysis is the potential for health effects associated with
 events that could have significant short-term off-site consequences, but which generally  do not
 have a high probability of occurring. In addition to these conservative scenarios, more  typical
 events with a greater likelihood of occurrence but lower potential consequences are also
 examined.   For both conservative  and typical accident scenarios,  a range of meteorological
 conditions  (including atmospheric  inversions) are ewluated, and the effect of emergency
 response measures is assessed.
    Both on-site and off-site  accidents are included in the Accident Analysis.  For the on-site
 accident scenarios, the off-site distance over which human health effects might be anticipated
 is estimated; for the off-site accident scenarios, the distance over which health effects may
 occur along local access routes to the facility is identified.  In  determining the distance over
 which effects may occur,  inhalation is evaluated as the primary route of short-term exposure
 for the off-site community. While direct dermal exposure may also be of concern in some
 accident scenarios, exposures through inhalation could occur over a larger area,  and would be
 more likely to result in adverse health effects.
    Given  that the focus of the Accident Analysis is the adequacy of existing design and
 operation features  in protecting the off-site community, risks to on-site workers are not

Volume I                                 VII-1

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evaluated.  Furthermore, ecological assessments typically focus on risks to ecological
communities rather than risks to individual receptors. Since most plausible accident scenarios
would affect relatively small  areas, and are therefore unlikely to affect entire ecological
communities, potential ecological risks associated with facility accidents are not considered
     Many different types of events, or combinations of events, could lead to the general
classes of accidents evaluated in the Accident Analysis.  Thus, a rigorous evaluation of the
causes of specific accident scenarios is not performed.  Instead, probabilities for occurrence of
the various classes of accident events considered are estimated using the semi-quantitative
methods presented in Technical Guidance for Hazards Analysis by  U.S.  EPA (1987). and the
Handbook of Chemical Hazard Analysis Procedures by FEMA (1993).  This approach is
consistent with U.S. EPA's proposed rule for Accidental Release Prevention Requirements
(U.S. EPA 1995c).

B.   History  of Accidents Reported at U.S. Commercial Incineration Facilities
     The U.S. EPA (1995b) has compiled a review of reported emergency incidents at
hazardous waste incinerators  and commercial treatment, storage, and disposal facilities
regulated under RCRA. Descriptions are provided for incidents reported to have occurred
between 1977 and May  1995  at 11 commercial hazardous waste incinerators,  10 non-
commercial  incinerators, and 23 other commercial treatment, storage, and disposal facilities.
The information included in U.S  EPA (1995b) was compiled by contacting combustion
experts and permit writers in each of the  10 U.S. EPA regional offices, as well  as individuals
within state regulatory agencies.
     A total of 50 emergency  incidents, as defined by U.S. EPA, were reported  at the
hazardous waste incinerators  identified in the study.  In the report,  an emergency incident is
defined as "a hazardous waste spill, unauthorized release, fire, or explosion." For the 26
commercial hazardous waste  incineration facilities identified as having operated  in the U.S.
some time during the period from 1981 to the present. 24 emergency incidents at 11  facilities
were reported, with 10 of these incidents involving a release of hazardous waste.
     Based on the 10 reported emergency incidents involving hazardous waste over a total of
approximately 250-300 years of operation for the 26 commercial incinerators, approximately
one emergency  incident involving a hazardous waste release has been reported for every 25 to
30 years of operation.  None  of the 10 reported incidents involving releases of hazardous
waste resulted in a fatality or serious injury in off-site communities, although on-site worker
injuries and fatalities have occurred.
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 C.  Scenarios Considered in the Accident Analysis
     Based upon a review of reported accidents at commercial hazardous waste incineration
 facilities, available guidance, a review of the design and operation of the WTI facihtx.  and a
 site visit, the following general scenarios are selected for quantitative evaluation in the
 Accident Analysis:

         On-site spill;
     •    On-site fire.
         On-site mixing of incompatible  wastes;
         Off-site tanker truck spill; and
     •    Off-site tanker truck spill with fire.

     The criteria used in selecting these general scenarios are: (1) severity of consequence.
 i.e., the potential for the scenario to  result in significant off-site consequences; and (2)
 probability of occurrence, i.e., the potential for the scenario  to occur during the expected
 operating life of the facility (30 years), based on available data.
     For each of the five general scenarios selected for evaluation, both a "conservative" event
 and a "typical" event is developed. These events are shown  in Table VII-1.  For the on-site
 spill scenario, the typical event involves a 100-gallon spill due to a tanker truck accident,
 resulting in volatile emissions.  The conservative on-site spill event involves a 5,000-gallon
 spill. The typical on-site fire scenario  involves the combustion of 200 gallons of waste, while
 the conservative on-site fire scenario  involves a 20.000-gallon spill and fire.  For on-site
 mixing  of incompatible wastes, the typical event involves generation of toxic gases in the event
 of 200 gallons of incompatible waste  being mixed. The conservative on-site mixing  of
 incompatible wastes scenario involves a total of 10.000 gallons of incompatible wastes being
 mixed,  and generating toxic gases.
    The typical  off-site spill event involves a 100-gallon spill along a local access road, while
 the conservative off-site spill involves a 5,000-gallon spill along the local access road.  The
 off-site  typical and conservative fire scenarios involve combustion of 100 gallons and 5.000
 gallons  of waste, respectively,  along  the local access road.

 D.  Chemicals of Potential Concern
    Chemicals of potential concern in the Accident Analysis  are identified from a review of
 information from the following sources:
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    •   Projected waste composition during the first year of operation, based on waste
        profiles from WIT.

    •   Acutely hazardous wastes as defined under Subpart D of 40 CFR 260.  Hazardous
        Waste Management Systems;

    •   Chemicals regulated under Section 112(R) of the Clean Air Act (CAA) as toxic or
        flammable substances that could be involved in an accidental release; and

    •   Chemicals listed as Extremely Hazardous Substances (EHSs) under Section 302 of the
        Emergency Planning and Community Right-to-Know Act (EPCRA).

    From a list of over 300 chemicals derived from these sources, specific indicator chemicals
are selected for each of the accident scenarios.  The criteria used to select chemicals for
evaluation are the following:

    •   Acute toxicity. as represented by Immediately Dangerous to Life or Health (IDLH)
        values established by the National Institute for Occupational Safety and Health
        (NIOSH) or Level of Concern (LOG) values established by U.S.  EPA;

    •   Volatility, as represented by  the vapor pressure of the chemical; and

    •   Concentration, as estimated based on data reported in waste profiles supplied by WT1

    For the on-site and off-site spill scenarios, two chemicals have  been selected for
evaluation:  formaldehyde and  acetone   Formaldehyde is  selected as the "worst case"
chemical for evaluating spills based primarily on its high acute toxicity and high vapor
pressure.  Acetone is selected as  a "typical" chemical for evaluating spills primarily because it
is projected to be received in high quantities at the WTI facility. Both formaldehyde and
acetone wastes are evaluated for  conservative and typical on-site and off-site spills.
    For the on-site and off-site fire scenarios, combustion of a chlorinated waste generating
phosgene and hydrogen chloride  (HC1) is selected in the Accident Analysis. Phosgene and
HC1 are selected based on high acute  toxicity, and the likelihood that they could be produced
                                                                  t *
during combustion of chlorinated wastes  In both tne conservative and typical on-site and off-
site fire scenarios, it is assumed that a hypothetical waste containing 15% tetrachloroethene
and 85% toluene would be combusted.  Fire scenarios  which consider emissions of
Voli

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 uncombusted waste constituents have also been evaluated, and are discussed in Volume VIII
 (Response to Peer Review Workshop Comments).
     For the on-site mixing of incompatible waste scenarios, HC1 is evaluated as the chemical
 of primary concern in the event of mixing of incompatible wastes containing chlorine
 (Bretherick 1985: Sax and Lewis 1989).  According to ASTM (1986), HC1 formation can
 occur when chlorinated hydrocarbons are mixed with mineral acids or strong oxidizing agents
 In both the typical and conservative scenarios involving on-site mixing of incompatible waste.
 it was assumed that a waste containing tetrachloroethene is mixed with a  70% nitric acid
 solution, generating HC1 emissions.

 E.  Estimation of Emission Rates and Heat Effects

     1.   Chemical Emission Rates
         Emission rates and durations are developed for the specific constituents based on
     facility-specific parameters (such as tank volumes and dike sizes) and short-term
     atmospheric release modeling techniques. These models account for the physical/chemical
     properties of the substances and the presence of passive mitigation devices (e.g.. concrete
     dikes and berms).  Waste consisting of a mixture of chemicals is modeled for all events in
     the Accident Analysis.  Physical or chemical properties for these mixtures are estimated
     from the properties of the pure chemicals, weighted by the mass fraction of each chemical
     constituent
         In estimating emissions for each of the on-site  accident events, two scenarios are
     evaluated:

         •    No active or automatic mitigation devices  (e.g., nitrogen blankets or  sprinkler
             systems) are assumed.  However, passive  mitigation (dikes and berms) is
             assumed to be effective

         •    Active or automatic mitigation devices are assumed to control emissions.  The
            effect of mitigation is evaluated in the uncertainty analysis through  two separate
            cases, with assumed response times of 10 minutes and 1 hour,  respectively.

         For the off-site accident events, only passive mitigation is considered.
Volume I                                VII-5

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    2.  Heat Effects
        For the on-site and off-site fire scenarios, the Automated Resource for Chemical
    Hazardous Incident Evaluation (ARCHIE) model developed by FEMA is used to assess
    the heat effects of fires.  For fires and explosions. ARCHIE can be used to estimate the
    size of a pool of burning substances,  the height of the expected resulting flame, and the
    radius from the center of the burning pool within which individuals could potential!) be
    fatally burned, or experience second  degree burns or severe pain.  ARCHIE modeling  is
    performed to examine the heat impacts resulting from a fire ignited both immediate!) attei
    a spill, and after a pool achieves its maximum size.
        In addition to heat effects, the fire hazards associated with a possible fireball incident
    are also estimated using the ARCHIE model.  A fireball could be formed if a sealed.
    inadequately vented container of flammable liquid or liquified compressed gas is exposed
    to an  external fire or other source of heat sufficient to cause explosion or violent rupture
    of the container (FEMA 1993).  For  the scenarios evaluated in the Accident Analysis, it is
    considered highly unlikely that the above conditions would occur and that a fireball would
    form.

F.  Dispersion Modeling for Accident Scenarios
    Two different models are used to evaluate atmospheric dispersion of releases that could
occur during potential on-site and off-site accidents from operation of the WTI facility:

    •   For vapor releases from accidents involving a spill or mixing of incompatible wastes.
        the SLAB model is used   SLAB is a model released by The Lawrence Livermore
        National Laboratory, and has been identified by the U.S. EPA for use in modeling
        hazardous/toxic air pollutant releases (U.S. EPA 1993c).  This model simulates both
        neutral and denser than air releases, and allows for continuous, finite duration, and
        instantaneous releases.

    •   For releases associated with  fire  scenarios, the ISC-COMPDEP model is applied.
        Unlike SLAB, ISC-COMPDEP has buoyant plume rise algorithms that allow the
        gradual or transitional rise of plumes to be evaluated.  In modeling  buoyant plumes
        associated with fire scenarios,  the ability to treat terrain effects is critical.

    For the accident scenarios modeled using SLAB,  off-site chemical concentrations in air
are evaluated for three meteorological conditions:
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     •   Typical Meteorological Conditions.  Typical meteorological conditions at the WTI
         facility are determined to be neutral  atmosphere with average wmdspeed (3.2 m/s)

     •   Conservative Meteorological Conditions.  To determine the appropriate conservative
         meteorological conditions for any given accident scenario. 54 combinations of
         atmospheric stability and windspeed are examined to determine the highest chemical
         concentration in air at each off-site location.  These 54 combinations of atmospheric
         stability and windspeed are those selected relevant to noncalm meteorological
         conditions at the WTI site.  In general, the conservative meteorological condition
         reflects a stable atmosphere with low windspeed, e.g.. a windspeed of 1 5 m/s. and
         stability Category F

     •    Calm/Inversion Meteorological Conditions.  Calm/inversion meteorological
         conditions are considered the most stable condition that could occur at the WTI site.
         and thus result in the highest off-site concentrations in air in the event of an accidental
         release.  Under the hypothetical calm/inversion condition, emissions are assumed to
         accumulate in air immediately above the source for one hour during calm conditions.
         and then are carried off-site under low wind speeds.  This approach is consistent with
         the approach used to evaluate calm/inversion conditions for routine incinerator stack
         emissions.

     For each of these meteorological conditions, a  30-minute average concentration is
 calculated using SLAB, to allow for a direct comparison of predicted concentrations to
 applicable criteria.
     For the fire scenarios modeled using ISC-COMPDEP, typical and conservative
 meteorological  conditions are evaluated   As with the SLAB model. 30-minute average
 concentrations were calculated from the ISC-COMPDEP model results.  The ISC-COMPDEP
 model is not appropriate for use when calculating atmospheric dispersion under calm/inversion
 conditions because the Gaussian equation assumption used in ISC-COMPDEP is  invalid.  An
 evaluation of fire scenarios under calm/inversion conditions has thus been performed using the
 CALPUFF model, and is discussed in Volume VIII (response to Peer Review Workshop
 Comments).

 G.  Evaluation of Severity of Consequence and ^robability of Occurrence
    The results of the Accident Analysis for each accident scenario are characterized  in terms
 of both severity of consequence and probability of occurrence. The severity of consequence

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for each scenario is ranked as minor, moderate, major, or catastrophic, based on the distance
over which predicted concentrations in potentially inhabited areas could exceed either the U.S
EPA LOG values or the NIOSH IDLH values.
    FEMA (1993) presents a four-tier system for classifying the  consequences of accident
scenarios.  This general system has been adapted and used as the basis for the following
severity of consequence categories developed specifically for use in the WT1 Accident
Analysis using LOG values as acute toxicity criteria:
    Minor
No exceedance of an LOG value in inhabited off-site areas; and
negligible potential for off-site fatalities or serious injuries due to heat
effects from a fire.
    Moderate       Exceedance of LOG values in inhabited off-site areas over distances of
                     200 meters or less; injuries due to heat effects limited to a distance of
                     200 meters into inhabited areas.
    Major
Exceedance of LOG values in inhabited off-site areas over distances
between 200 meters and 2,000 meters; injuries due to heat effects limited
to a distance of 2,000 meters into inhabited areas.
    Catastrophic
Exceedance of LOG values in inhabited off-site areas over distances
greater than 2,000 meters; injuries due to heat effects extend to distances
greater than 2,000 meters into inhabited areas.
    A similar system based on IDLH values has also been developed:
    Minor
No exceedance of an IDLH value in inhabited off-site areas; and
negligible potential  for cff-site fatalities or serious injuries due to heat
effects from a fire.
    Moderate        Exceedance of IDLH values in inhabited off-site areas over distances of
                     100 meters or less; injuries due to heat effects limited to a distance of
                     100 meters into inhabited areas.
Yolump T
                      VTT-8

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     Major          Exceedance of IDLH values in inhabited off-site areas over distances
                     between 100 meters and 1.000 meters; injuries due to heat effects limited
                     to a distance of 1,000 meters into inhabited areas.

     Catastrophic    Exceedance of IDLH values in inhabited off-site areas over distances
                     greater than 1,000 meters; injuries due to heat effects extend to distances
                     greater than 1,000 meters into inhabited areas.

     In the Accident Analysis, the probability of occurrence  is estimated based on the reported
 frequency of general classes of accident events, using data summarized in U.S. EPA (19955).
 along with the likelihood of the waste being received by WTI, and the meteorological
 conditions at the time of the accident.  For off-site accidents, these data are supplemented with
 information compiled by the U.S. Department of Transportation and the Ohio Department ot
 Public Safety.  FEMA (1993) presents the following guidelines  for evaluating accident
 probability:

     Common    Expected to occur one or more times each  year on average.

     Likely       Expected to occur at least once every 10 years on average.

     Reasonably  Predicted to occur between once every 10 years and  once  every

     Likely       100  years on average.

     Unlikely     Predicted to occur between once every 100 years and once every 1,000 years
                on average.

     Very       Predicted to occur less than once in 1,000 years.
     Unlikely

     The probability of occurrence is ranked according to these categories based on the
estimated  probability of the accident event, the estimated probability of the  meteorological
conditions, and an estimated waste composition based on the WTI waste profile information.
The  probability of occurrence rankings developed in the Accident Analysis correspond to
broad classes of accidents, rather  than individual  events.
Volume I                                 VII-9

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     Severity of consequence and probability of occurrence rankings from the on-site scenarios
 are summarized in Table VII-2.  As shown  in Table VII-2. the evaluation of consequences
 using the above criteria for the on-site events results in the following:

     •    Only events with minor off-site consequences are considered likely to occur at the
         WTI facility;

     •    Only events with minor or moderate off-site consequences are considered  reasonabh
         likely to occur;

     •    Events with potentially major off-site consequences are considered unlikely to occur;
         and

     •    Events with potentially catastrophic consequences are considered very unlikely to
         occur.

     The severity  of consequence and probability of occurrence rankings for off-site accident
 scenarios are shown in Table VII-3.  Using  the same criteria for the off-site accident scenarios
 results in the following:

     •    Events with minor consequences are considered to be, at most, reasonably likely to
         occur;

     •    Events with potentially moderate or major consequences are considered to be unlikely
         or very unlikely to occur; and

     •    Events classified as having potentially catastrophic consequences  are considered to be
         very unlikely to occur.

    In general, the consequence probability  rankings summarized in Tables VII-2 and VII-3
are consistent with the information presented in U.S. EPA's Report on Emergency Incidents a!
Hazardous Waste Incinerators and Commercial Treatment, Storage,  and Disposal Facilities
(1995b).  Using the compilation of accident  events in U.S. EPA (1995b),  and applying the
ranking scheme suggested in  FEMA (1993). the probability of an accident-at a hazardous
waste incinerator  with moderate, major, or catastrophic off-site consequences would be
classified as unlikely or very  unlikely to occur over a facility lifetime.  Only events having

Volume I                                 VII-10

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 minor off-site consequences would be classified as likely or reasonably likely to occur.  This
 generally agrees with the consequence probability rankings for the scenarios developed
 specifically for  the WTI facility in the Accident Analysis.
     In response to Peer Review Panel comments, a screening-level evaluation of hypothetical
 concentrations at the East Elementary School, which lies approximately 300 meters north of
 the WTI facility, has also been performed.  The results of the screening-level evaluation
 indicate that, for most accident event scenarios, estimated worst-case concentrations at the
 distance to the school are below LOG values. Those accident scenarios for which  LOG  values
 might be exceeded at the distance to the school are expected to be very unlikely to  occur
 during the life of the facility.

 H.  Uncertainties
     As described  in Section VII (Uncertainties) of Volume VII, there are uncertainties
 associated with  various aspects of the Accident Analysis, including the  toxicity evaluation, the
 exposure assessment, and the ranking of both consequence and probability of occurrence.
 Uncertainties associated with the evaluation of chemical toxicities include limited toxicological
 data, the need to extrapolate from animals to humans, and a lack of knowledge regarding
 potential interactions among various chemicals.
    The sources and magnitude of the uncertainties associated with exposure assessment may
 vary greatly from one risk assessment to another.  These uncertainties are largely determined
 by the chemicals, populations, pathways, data and models used in the assessment   Scenarios
 in the Accident  Analysis are selected for quantitative  evaluation to provide a range  of credible
 accident events  More extreme events, with potentially greater off-site  consequences,  but
 significantly lower probabilities of occurrence,  are also theoretically possible, but would not
 affect the overall conclusions of the Accident Analysis.  Incomplete information on waste
 composition and limited  information available for predicting emissions resulting from fires or
 the mixing of incompatible wastes also contribute to uncertainty.  This uncertainty is addressed
 by selecting indicator chemicals believed to overestimate, rather than underestimate, potential
 risk.
    Parameters  used in the Accident Analysis that are subject to uncertainty include those used
 to estimate emission rat~s (e.g., spill pool size and temperature) and chemical concentrations
 in the media and locations of interest (e.g., wind speed and other meteorological conditions).
 Additionally, uncertainty is  inherent in the models used to predict chemical emissions and
 subsequent atmospheric dispersion. Conservative  assumptions are generally made in applying
these models to avoid underestimating potential off-site consequences.
Volume I                                VH-11

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    Sensitivity analyses are used to demonstrate the effect of active mitigation measures and
the effect of failures of passive mitigation measures on the severity of consequence.  It is
predicted that active mitigation is effective in reducing short-term consequences only if it
occurs relatively quickly, i.e., within 10 minutes of the accident event.  As expected, failure
of passive mitigation (e.g., failure  of dikes at the same time an accident occurs) would increase
the potential for off-site consequences.

-------
















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             VIII.  ADDITIONAL ANALYSIS IN RESPONSE TO
                    PEER REVIEW RECOMMENDATIONS
 A.  Overview
     Volume VIII of the risk assessment was prepared to address comments received from the
 scientific peer review conducted on the draft of the comprehensive risk assessment for the
 WTI facility. That peer review, the second of two peer reviews concerning the WT1 risk
 assessment, began in the winter of 1995. It included a face-to face meeting of the peer panel
 in Washington, D.C., on January 11,  1996, and concluded with the publication of the report
 entitled Report on the U. S. EPA Technical Workshop on WTI Incinerator Risk Assessment
 Issues on May 2, 1996 (subsequently referred to in this document as the "Report").
     The second peer review continued a process begun in 1993, when the U.S. EPA's Risk
 Assessment Forum held a workshop to review the  original project plan for the WTI risk
 assessment. In that first peer review workshop, 13 peer reviewers were distributed into work
 groups to discuss four major aspects of the project plan: combustion engineering,
 meteorological conditions/air dispersion, exposure assessment, and toxicology.  The workshop
 was attended by more than 100 observers.  Workshop participants recommended that the U.S.
 EPA expand the  scope of the planned assessment to include more facility performance data,
 use additional computer models,  include a screening ecological risk assessment, and provide
 an analysis of accident scenarios
     For the second peer review,  the U.S  EPA Risk Assessment Forum added a fifth  work
 group specializing in the area of ecological assessment, and expanded the scope of the air
 dispersion work group to include accident analysis. The number of reviewers was increased
 from 13 to  19, with many of the original 13 reviewers participating in the  second peer review
 In this second peer review, the U.S. EPA sought comments on the  technical accuracy,
 completeness, and scientific soundness of the WTI  facility risk assessment.
    The 1-day workshop on January 11. 1996,  provided a forum for the expert peer review
 panel to discuss the elements of the draft WTI risk  assessment. Unfortunately, inclement
 weather prevented many members of the community surrounding WTI from traveling to and
 participating in the review process.
Volume T                               VIII-

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     The reviewers were in general agreement on the overall quality of the assessment and
 contributed useful suggestions for refinements to the final document.  According to the May 2
 Report:

         "Overall, comments on the draft WTI risk assessment were favorable  Indeed.
     throughout the workshop, as the expert peer reviewers discussed the assessment as a
     whole and specific parts of it, workshop participants repeatedly prefaced suggestions
     for improvements with praise for the overall thoroughness, quality,  and integrity of
     the assessment.  Noting that they had been quite critical of the draft project plan for
     the assessment, the peer reviewers stated that by contrast they were very impressed
     with the  thoroughness, organization, and clarity of the draft assessment - and with the
     seriousness and faithfulness with which EPA had followed the comments and
     recommendations of the project plan peer reviewers.  Their most substantive
     comments pertained to three topics (accident scenarios, cumulative risk, ecological
     risk) that were not covered in the initial  project plan for the assessment and thus had
     not benefited from previous review.  The peer reviewers described  most of their
     other comments as questions of clarification or as other minor issues not likely to
     affect the overall results of the assessment. "

     In the May 1 Report, each of the five work groups summarized its comments in an
 individual chapter or section.  Each  chapter summarized its findings with both "Near-Term
 Recommendations" specifically addressing the WTI risk assessment, and "Long-Term
 Recommendations" for consideration in future risk assessments conducted by the Agency.
 Each chapter  also contained a more detailed narrative providing the background for each of the
 recommendations .
    A  new volume, Volume VIII,  was created to provide additional analysis and respond to
 each of the Near-Term Recommendations of  the peer panel in each of the subject-specific
 Chapters.  Where  it was appropriate  to make changes in the risk assessment  itself, those
 changes are referenced in Volume  VIII.
    Because the peer review panel's long-term recommendations generally  addressed future
 risk assessments,  Volume VIII generally does not respond to those suggestions. However,
 wherever the  EPA risk assessment staff believed that either a long-term recommendation or a
 specific element of a background narrative could benefit from an Agency response,
 Volume VIII  does provide such response.
    What  follows in this Chapter are the highlights of the comments from each peer review
work group, and how the EPA has addressed each comment.
                                         VTTT ">

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 B.  Combustion Engineering

     1.   Chemical Emissions from Accidental Fire

         Comment:  The peer reviewers suggested that the EPA change the chemical release
         model for the accidental fire scenario to include the same chemicals and relative
         emission rate estimation procedures used for stack emissions based on overall
         destruction efficiencies ("DEs") of 90 to 99.99 percent.

         Response: This has now been done. Two additional approaches were investigated
         based on the  suggested approach,  representing "worst case" waste and "typical"
         waste.  The detailed results are presented in Volume VIII.  In brief, the results of the
         more conservative 90% DE analysis for the two assumed waste mixtures were that the
         acute toxicities  associated with the predicted ambient air  concentrations of the
         hazardous constituents  would not increase the size of the total area found to be above
         the IDLH/LOC level when compared with the original analysis (which only evaluated
         phosgene and hydrochloric acid predicted to be formed in the fire). We have noted
         the results of this additional analysis in the final risk assessment.

    2.   Particle Size Distribution Data

         Comment: The peer panel suggested that the EPA obtain actual particle size
         distribution data for stack emissions in order to improve the risk assessment's
         estimates of gas-particle partitioning of PCDD/F and metals and other PICs.  The
         peer reviewers stated that if it could be  demonstrated that the currently used
         assumptions are the most conservative,  the requirements for additional stack sampling
         could be omitted.

         Response:  The EPA evaluated this comment, and demonstrates in Volume VIII that
         the chosen method is the most conservative approach.

    3.   Emissions During Abnormal Operations

        Comment: The peer panel suggested adjusting the estimate of 11001131 PIC emission
        rates to reflect emissions during abnormal operations (i.e., based on the percentage of
Volume I                               VIII-3

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         operating time during which emission violations or automatic waste feed cutoffs
         occur)

         Response: The EPA has done this, basing the analysis on continuously recorded
         stack emissions of total hydrocarbons.  The results are presented in Chapter II of
         Volume VIII, and are referenced in Volume V.

    4.   Facility-Specific Sulfur Dioxide Removal Efficiencies

         Comment:  The peer panel suggested that EPA obtain actual facility-specific  sulfur
         dioxide (SO2) removal efficiency data over a wide concentration range so that the
         SO2 surrogate will better model the behavior of selenium.

         Response: We obtained and analyzed that information, but were not able to make
         any useful conclusions for the risk assessment. Based on our analysis of this
         previously unavailable data, we concluded that we have limited confidence in  the use
         of the SO2 capture efficiency, as measured by the CEM system, to  estimate the
         selenium capture efficiency.  We therefore recommend that selenium capture
         efficiency be  measured directly at the facility. This capture efficiency should
         specifically be studied at a low feed concentration which is determined to realistically
         represent expected feed concentrations.

C.  Air Dispersion and Deposition Modeling

    1.   Additional Calm/Stagnation Event Modeling

        Comment: The peer reviewers stated that the CALPUFF analysis  was limited to
         "simple terrain" and  a greatly simplified meteorological data set due to data
        limitations. The reviewers recommended  performing the CALPUFF analysis  using a
        realistic four-dimensional wind field over  a reasonable period of time to assess
        concentrations under adverse dispersion conditions such as a calm/stagnation event.
        These results  should  then be compared with ISC-COMPDEP to better understand the
        impact of calm/stagnation conditions on predicted concentrations.
Volume T                               VTTT-4

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         Response:  The Agency analyzed this issue and determined  that rerunning
         CALPUFF, as suggested by the peer reviewers, would not change the results of the
         risk assessment  A detailed analysis is presented in Volume VIII.

     2.   Re-evaluate Accident Scenarios Emissions During Calm Conditions

         Comment: The peer panel stated that the extended dispersion modeling performed
         for the accident scenario should be re-examined in light of the CALPUFF
         calm/stagnation analysis.  Accident scenario concentrations should be recomputed
         based on the occurrence of an accident during the meteorological event to assess
         whether ambient concentrations during such an event are  significantly exacerbated

         Response:  The Agency addressed this comment by running the CALPUFF model for
         the calm/inversion meteorological condition for both fire  scenarios. The  results and
         findings of this analysis are described in Volume VIII of the risk assessment.

 D.  Exposure Assessment

     1.   Likelihood That Surrogate Selection Process Biased the Calculated Risk

         Comment:  The peer panel recommended that EPA consider the likelihood that a
         chemical with a significant potential contribution to risk was  omitted via the surrogate
         selection process for evaluating chemicals for indirect risk. The panel asked  for a
         simple qualitative reality check.

         Response:  The Agency  performed a quantitative analysis to compare results of the
         surrogate chemical selection process with the cancer risks and Hazard Index (HI)
         values predicted for the subsistence farmer in the area of highest impact.  (Only
         organic chemicals enter into this analysis  since all metals  were selected for entry into
         the risk estimates.)  The objective was to  determine how well the surrogate ranking of
         the chemicals correlates with their contribution to total organic risk. For  carcinogens,
         this analysis indicated that more than 90 percent of the total risk associated with the
         29 organic chemicals selected as surrogate chemicals was  associated with  the  16
         chemicals with the highest surrogate selection scores. The incremental addition to the
        total  risk of the surrogate chemicals was insignificant for the  chemicals with the
         lowest surrogate selection  scores.   It was therefore concluded that it is unlikely  that

Volume I                                VIII-5

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         chemicals screened out in the surrogate selection process would contribute
         significantly to total cancer risk.  Similar findings were observed in an analysis of the
         surrogate chemicals with noncancer effects.  A description of the analysis conducted
         and the results has been included in Chapter VIII of the revised HHRA (Volume V)

     2.   Clarify How Chemical Concentration and Exposure Factors Were Combined

         Comment: It was suggested  that the EPA add a table or figure that summarizes how
         chemical concentrations and exposure factors were combined to develop central
         tendency and high-end estimates of exposure and risk.

         Response:  The text in Volume V has now been modified to clarify the process of
         combining exposure factors,  and a new table (Table VIII-2) was added to the HHRA
         that summarizes the two "risk descriptors "--area average and maximum-and the two
         subgroups evaluated in the high-end sensitivity analysis.

    3.   Exposure to Household Dust

         Comment:  The peer panel suggested that the EPA include a qualitative discussion
         about the contribution of household dust to exposure.

         Response:  Text was added to the soil ingestion section of Volume V Appendix V-8
         that indicates that the soil ingestion rates used are based on estimates of ingestion of
        outdoor soil and indoor dust (per U.S. EPA guidance). The added text also indicates
        that it is assumed for the purposes of the HHRA that concentrations in outdoor soil
        and indoor dust are equal.  This assumption was also added to the Key Assumption
        table in Appendix V-8 of Volume V.

    4.  Expand Table on Key Fate and Transfer Assumptions

        Comment:  The peer reviewers suggested that EPA expand Volume V Table Vl-2  on
        key assumptions for fate and transport models to include more components about
        processes of biotransfer, diffusion, and deposition.

        Response: The Key Assumptions table that was prepared for Volume V Appendix V-
        7 (Fate and Transport Model  Equations and Parameter Values)  is now used in place

Volume I                               VIII-6

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         of the table previously presented in Volume V Chapter VI.  This "new" table
         provider more detail concerning fate and transport modeling assumptions. A footnote
         was added to the table to indicate that Key Assumptions concerning diffusion and
         dispersion are summarized in Volume IV.

 E.  Toxicology

     1.   Route-to-Route Extrapolation of RfDs

         Comment: The peer review panel  suggested including a discussion of the uncertain!}
         associated  with employing route-to-route extrapolation of RfDs.

         Response: Route-to-route extrapolation for chemicals with noncancer health effects is
         discussed briefly  in Chapter III, Section D.2.  This discussion was expanded and
         developed  into a new section in this part of the HHRA.

     2.   Additivity versus Synergy or Antagonism

         Comment:  The peer reviewers asked that  EPA provide additional discussion and
         rationale for the assumption of additivity versus assumption of synergy or antagonism
         for the toxicology of complex mixtures.

         Response:  New text and additional references have been added to Volume V which
         support the use of additivity as presently the best model to employ after considering
         the available data and the low doses that are expected  from WTI  emissions.

    3.   Include List of Noncancer Endpoints

         Comment: The peer review panel suggested that EPA include a list of noncancer
         endpoints for chemicals addressed in the risk assessment.

         Response:  A table summarizing the target organs for noncancer effects associated
        with  the surrogate organic chemicals and metals evaluated in the  HHRA has been
        added to Volume  V, Chapter VIII.
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     4.  Exposure to Metals via Breast Milk Pathway

        Comment: The peer reviewers suggested clarifying why the risk assessment does not
        address exposure to metals (especially methyl mercury) by the breast milk pathway

        Response: An analysis was conducted to compare relative concentrations of
        contaminants in cows' milk to provide an indication of the potential partitioning of
        metals into human breast milk.  The relative concentrations of 2,3,7,8-TCDD,
        benzol ajpyrene, arsenic, beryllium, and mercury were compared.  Based on
        partitioning of contaminants into cows' milk, as estimated in the HHRA. the
        partitioning of metals, such as arsenic, beryllium, and mercury,  was found to be more
        than 1.000 times lower than the partitioning of organic compounds, such as 2.3.7.8-
        tetrachlorodibenzo-p-dioxin and benzo[a]pyrene. Further discussion is provided  in
        Volume VIII.

     5.  Uncertainty Associated  with Uncharacterized Emissions

        Comment: The peer reviewers suggested that the risks of uncharacterized emissions
        be further evaluated.

        Response:  A discussion of uncharacterized emissions has been added to Volume V,
        Chapter VIII.

F.  Ecological Risk Assessment

    1.  Goals and Purpose

        Comment: The peer review panel stated that the principal problem with the SERA
        was that its goals and purpose  were not clear. Consequently, the implications of the
        results of the assessment  and the appropriateness of possible recommendations were
        found to be unclear.

        Response:  The text describing the purpose and scope of the SERA has been revised
        and expanded in Volume VI.  This includes a new section on "Goals and Objectives
        of the SERA" which clearly states the goals of the document along with the primary
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         and secondary objectives.  Numerous sections within Volume VI have been revised to
         clearly restate these goals and objectives.

     2.  Permit Limit Scenario

         Comment: The peer review panel was concerned that the "permit limit scenario"
         does not appear in the human health risk assessment.

         Response:  In order to assist the permitting authorities in evaluating maximum permn
         limits, a separate analysis has been performed, similar to that performed in the
         SERA, to evaluate the potential human health risks from metals emitted at the current
         maximum permit limit.  This is included in Volume VIII as Attachment VII-1.

     3.   Improve Text Clarity

         Comment:  The peer reviewers suggested that EPA edit the SERA to make it more
         succinct and more accessible to stakeholders.

         Response:   The entire SERA text has been revised to  improve clarity,  including
         appropriate  cross references to other Volumes of this WTI Risk Assessment and
         redundant text has been removed.

     4.   Indicate Key Uncertainties that Influence Conclusions

         Comment:  The peer review panel suggested clarifying in the uncertainty analysis
         which uncertainties are most important to the conclusions.

         Response:  Chapter VIII of Volume VI, Uncertainty Analysis, underwent significant
         revision and provides a discussion of key uncertainties expected to influence
         ecological risk. The sections on uncertainty of Chapters IV through VII were also
         revised, along  with Tables IV-11, V-33, VI-8, and VII-58, to clarify the importance
         to risk conclusions
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 G.  Accident Analysis

     1.  Pressurized Release

        Comment:  The peer reviewers were concerned that the accidental analysis did not
        address all potentially important accident scenarios.  For example, pressurized jet
        releases from the incinerator containment was suggested as a scenario that could
        result in aerosol formation due to mixing of chemicals or heating by fire.

        Response: In response to the peer panel's concern, the EPA has re-evaluated the
        possibility of such a pressurized jet scenario for inclusion in the accident analysis.
        Our analysis of the potential for such a  scenario is presented in Volume VIII.

    2.  Accident Severity and Consequence Information

        Comment: The peer reviewers stated that the accident analysis did not adequately
        communicate the expected value of accident  impacts.

        Response: Numerical ranges associated with the terms have now been incorporated
        into a table as part of the results.

    3.  Use of ERPG-2 Values

        Comment: The IDLH values used in the accident analysis are designed to  provide
        short-term protection to healthy workers and do not account for the greater  variation
        in sensitivity likely to exist in a non-occupational population that includes children.
        The peer reviewers recommended that some  other measure of accident health  impacts
        be considered. It was noted that the American Industrial Hygiene Association's
        Emergency Response Planning Guidelines (ERPG)  levels would probably have been
        more appropriate than IDLH values for characterizing the severity of accident
        consequences.

        Response: The Accident Analysis was modified to respond to this concern. In the
        Accident Analysis, ERPG-2 values are compared to both LOC and IDLH values for
        the  chemicals selected for each accident  events. Furthermore, a comparison between
        ERPG-2 values and LOC values for chemicals selected for  evaluation in the Accident

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         Analysis is presented in Attachment IV-1 to Volume VIII titled "Evaluation of the
         Use of ERPG-2 Values vs. LOG values in the Accident Analysis for the WTI
         Facility." IDLH values are still retained as a screening method to select the
         chemicals of concern that should be entered into the quantitative analysis of accident
         scenarios, because the IDLH value is the acute health benchmark available for the
         largest number of substances in WTI's waste profile list (>300 chemicals).

     4.   Fire Emissions Similar to Stack Emissions

         Comment: The panel recommended that the chemical release model for accidental
         fires should be changed to include the same chemicals and relative emission rate
         estimation procedures used for stack emissions.

         Response:  The analysis now includes such a fire scenario evaluation of a "worst-
         case" and a more typical waste based on total volume received and toxicity as
         determined from waste profiles received during the first year of operation. The
         chemical emission rates have been determined for DRE values of 90 and 99%. For
         information on this analysis, see the response to Comment #1 in the Combustion
         Engineering section of Volume VIII.

    5.   CALPUFF Analysis of Calm/Stagnant Conditions

         Comment:  The peer reviewers stated that the dispersion modeling performed for the
         accident scenarios should be re-examined in light of the reviewers'  recommendation
         that calm/stagnant conditions be reanalyzed with a more appropriate data set in the
         CALPUFF model.

        Response: This has been done, with the results presented in Chapter III of
        Volume VIII.

    6.  More Appropriate Model for Chemical Evaporation

        Comment:  The peer reviewers were concerned that the model used to estimate the
        rate of chemical evaporation from spills was not appropriate for calm conditions.
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        Response: The conservative on-site and off-site spills have been re-evaluated in light
        of the Rife and Gauss models recommended by the peer review panel. The results of
        the reevaluation are presented in Volume VIII.

    7.  Screening-Level Evaluation for Chemical Concentrations at the East Elementary
        School

        Comment:  The peer reviewers recommended that the Accident Analysis be modified
        to include an evaluation of potential chemical concentrations at the East Elementary
        School in the event of an accidental release.

        Response: The Accidental Analysis has been expanded to include a screening-level
        evaluation at the location of East Elementary School.
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                               IX.  REFERENCES
 ASTM.  1986.  Proposed guide for estimating the incompatibility of selected hazardous wastes
     based on binary chemical reactions.  D-34 Proposal P. 168.  March.

 Brethenck. L   1985.  Handbook of reactive chemical hazards. Third edition.  Boston:
     Butterworths

 CACI Marketing, Inc. (CACI).  1992.  The sourcebook of county demographics: Census
     edition, Volume one.  CACI, Marketing Systems.

 Davis, G.A., M. Swanson, and S. Jones. 1994.  Comparative evaluation of chemical ranking
     and scoring methodologies.  University of Tennessee Center for Clean Products and Clean
     Technologies

 ENSR Consulting and  Engineering (ENSR).  1993.  Final trial burn report for the rotar\ kiln
     incinerator. Waste Technologies Industries, East Liverpool, Ohio.  Document number
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 Federal Emergency Management Agency (FEMA).  1993. Handbook of chemical hazard
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 National Research Council (NRC).   1983. Risk assessment in the federal government:
     Managing the process.  Washington, D.C.:  National Academy Press.

 Office of Science and Technology Policy (OSTP). 1985.  Chemical carcinogens; a  review of
     the science and its associated principles, February 1985.  Fed. Reg. 50:10372-10442.

 Ohio Agricultural  Statistics Service (ODA).  1994. Ohio Department of Agriculture 1993  '
    Annual Report & Statistics.

 Ohio Department of Natural Resources (ODNR).  1994a.  Ohio River recreational use survev
     1992 survey*.  Preliminary results.  State Project F4DR03. March.

 Ohio Department of Natural Resources (ODNR)   1994b.  Telephone conversation between
    L. Culbertson, Division of Wildlife,  and A. Johnston. ENVIRON-, regarding hunting
    practices in  Ohio.  November.
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 Ohio River Valley Water Sanitation Commission (ORSANCO).  1988.  1987and 1988
     ORSANCO composite fish tissue data.  Cincinnati, Ohio.

 Ohio River Valley Water Sanitation Commission (ORSANCO).  1990.  Sample analyses
     results  January 5

 Ohio River Valley Water Sanitation Commission (ORSANCO).  1993.  Results of 1992 fish
     tissue analyses   Cincinnati, Ohio.  February.

 Pennsylvania Department of Agricultural (PDA).  1994.  7995 - 7994 statistical summary and
     Pennsylvania Department of Agriculture annual report. PASS-115.

 Pennsylvania Department of Natural Resources (PDNR).  1994.  Telephone conversation with
     A. Johnston of ENVIRON regarding deer hunting practices in Pennsylvania.

 Sax, N.I., and R.J. Lewis,  Sr.  1989.  Dangerous properties of industrial materials.  Seventh
     edition.  New York: Van Nostrand Reinhold.

 Society of Environmental Toxicology and Chemistry (SETAC).  1995.  Chemical ranking and
     scoring:  Developing and implementing tools for relative chemical assessments. SET AC
    News.  15(3): 14-16.

 Snyder,  W.  1994. Report  on results of wind tunnel modeling of terrain downwash. Research
    Triangle Park. NC:  Fluid Modeling Facility.

 U.S. Department of Commerce (USDC). 1993a  1992 Census of Agriculture, Volume 1.
    Geographic Area Series, Part 35, Ohio, State and County Data.  AC92-A-35

 U.S. Department of Commerce (USDC). 19935.  7992 Census of Agriculture, Volume 1
    Geographic Area Series, Part 38, Pennsylvania, State and County Data.  AC92-A-38.

 U.S. Department of Commerce (USDC). 1993c.  7992 Census of Agriculture, Volume 1.
    Geographic Area Series, Part 48, West Virginia State and County Data.  AC92-A-48.

 U.S. Environmental Protection Agency (U.S.  EPA). 1980.  Proceedings of the EPA workshop
    on the environmental scoring of chemicals.  EPA/560/11-80/010.

 U.S. Environmental Protection Agency (U.S.  EPA). 1986a.  Guidelines for carcinogen risk
    assessment   Fed. Reg.  51:33992-34003.

 U.S. Environmental Protection Agency (U.S.  EPA). 1986b.  Guidelines for the health risk
    assessment of chemical  mixtures. Fed.  Reg. 51:34014-34025.

U.S. Environmental Protection Agency (U.S  EPA). 1987.  Federal Emergency Management
    Agency (FEMA), and United States Department of Transportation (U.S. DOT).

Voliimr  1                               TX -">

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     Technical guidance for hazards analysis: Emergency planning for extremely hazardous
     substances   OSWER-88-0001 (NTIS PB93-206910). December.

 U.S. Environmental Protection Agency (U.S. EPA).  1989.  Risk assessment guidance for
     Superfund.  Volume I: Human Health Evaluation Manual (Pan A). Interim Final.
     Office of Emergency and Remedial Response.  EPA/540/1-89/002.

 U.S. Environmental Protection Agency (U.S. EPA).  1990a. Methodology for assessing
     health risks associated with indirect exposure to combustor emissions, Interim Final.
     Environmental Criteria and Assessment Office, Office of Health and Environmental
     Assessment, Office of Research and Development.  EPA/600/6-90/003.  Cincinnati, Ohio.
     January.

 U.S. Environmental Protection Agency (U.S. EPA).  1990b. Exposure factors handbook.
     Exposure Assessment "Group, Office of Health and Environmental Assessment.
     EPA/600/8-89/043.  Washington, D.C. March.

 U.S. Environmental Protection (U.S. EPA).  1990c.  Technical Support Documented on Lead
     Final  Draft   ECAO-CIN-757. Cincinnati,  Ohio.

 U.S. Environmental Protection Agency (U.S. EPA).  1992a. Preliminary risk assessment the
     of inhalation exposures to  stack emissions from the WTI Incinerator. January.

 U.S. Environmental Protection Agency (U.S. EPA).  1992b. User's guide for the Industrial
    Source Complex (ISC2) Dispersion Models.  Volume I.  EPA/450/4-92/008a.

 U.S. Environmental Protection Agency (U.S. EPA).  1992c.  Guidance on risk
    characterization for risk managers and risk assessors. Memorandum from F. Henry
    Habicht. Deputy Administrator, U.S  EPA. to: Assistant Administrators.  February 26.

 U.S. Environmental Protection Agency (U.S. EPA).  1992d.  Framework for ecological risk
    assessment.   EPA/630/R-92/001.

 U.S. Environmental Protection Agency (U.S. EPA).  1993a.  Screening level analysis of
    impacts from WTI facility,  attached to memorandum from W. Farland, Director. Office of
    Health and Environmental  Assessment to B. Grant, Attorney, Office of General Counsel.
    U.S. EPA. and G. Goldman, Trial Attorney. U.S. Department of Justice. Office  of
    Research and Development  February 8

 U.S. Environmental Protection Agency (U.S. EPA).  1993b.  Addendum to "Methodology for
    assessing  health risks associated with  indirect exposure to combustor emissions."
    Exposure Assessment Group.  Office of Health and Environmental Assessment.
    EPA/600/AP-93/003. Washington, D.C. November.
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 U.S. Environmental Protection Agency (U.S. EPA).  1993c.  Guidance on the application of
    refined dispersion models for hazardous/toxic air releases.  Office of Air Quality Planning
    and Standards   U.S. EPA-454/R-93/002.  Research Triangle Park. NC. May.

 U.S. Environmental Protection Agency (U.S. EPA).  1993d.  WTI Phase II Risk Assessment
    Project Plan, EPA ID number OHD980613541. Region V, Chicago. Illinois  U.S. EPA
    Contract No. 68-W9-0040, Work Assignment No. R05-06-15. November.

 U.S. Environmental Protection Agency (U.S. EPA).  1993e.  Report on the Technical
    Workshop on WTI Incinerator Risk Issues. EPA/630/R-94/001  December

 U.S. Environmental Protection Agency (U.S. EPA).  1993f.  Provisional guidance for
    quantitative risk assessment of poly cyclic aromatic hydrocarbons.  Office of Research and
    Development. Washington, D.C.  EPA/600/R-93/089. July.

 U.S. Environmental Protection Agency (U.S. EPA).  1994a.  Memorandum from W. Farland.
    Director, Office of Health and Environmental Assessment to WTI Workgroup entitled:
    Update of WTI screening level analysis.  October 26.

 U.S. Environmental Protection Agency (U.S. EPA).  1994b.  Estimating exposure to dioxin-
    like compounds.  Review Draft.  Office of Research and Development, Washington. D.C.
    EPA/600/6-88/005Cc.

 U.S. Environmental Protection Agency (U.S. EPA).  1994c.  Implementation guidance  for
    conducting indirect exposure analysis at RCRA combustion units.  Memorandum from
    M. Shapiro,  Director, Office of Solid Waste.  Revised April 22.

 U.S. Environmental Protection Agency (U.S. EPA). 1994d.  Chemical hazard evaluation for
    management strategies:  A method for ranking and scoring chemicals by potential human
    health and environmental impacts.  EPA/600/R-94/177.

 U.S. Environmental Protection Agency (U.S. EPA). 1994e.  Ecological risk assessment
    guidance for RCRA corrective action, Region 5. Interim Draft.

 U.S. Environmental Protection Agency (U.S. EPA). 1995a.  Guidance for risk
    characterization. Science Policy Council.  February.

 U.S. Environmental Protection Agency (U.S. EPA). 1995b.  Report on emergency incidents
    at hazardous waste incinerators and  commercial treatment,  storage,  and disposal facilities
    (TSDFs)   Draft.  May.

 U S. Environmental Protection Agency (U.S. EPA). 1996. Accidental release prevention
    requirements' Risk management programs under Clean Air Act Section II2(r)(7); Final
    rule.  40 CFR Part 68.  June 20.
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 West Virginia Agricultural Statistics Service (WVDA). 1994.  7993 Annual Bulletin No. 24.

 West Virginia Department of Natural Resources (WVDNR).  1994. Letter from W. Kordek.
     Technical Support Unit, to A. Johnston, ENVIRON, regarding deer hunting in West
     Virginia. January 11.
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