EPA-650/4-74-005-f

November 1975             Environmental Monitoring Series
            GUIDELINES FOR  DEVELOPMENT
    OF A QUALITY ASSURANCE  PROGRAM:
               VOLUME VI - DETERMINATION
           OF NITROGEN OXIDE EMISSIONS
                FROM STATIONARY SOURCES
                           Office of Research and Development
                           US. Environmental Protection Agency
                                Washington, DC 20460

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                                 EPA-650/4-74-005-f
    GUIDELINES FOR DEVELOPMENT
OF A QUALITY ASSURANCE PROGRAM:
      VOLUME VI - DETERMINATION
   OF  NITROGEN  OXIDE  EMISSIONS
       FROM STATIONARY  SOURCES
                     by

            J.W. Buchanan and D.E. Wagoner

               Research Triangle Institute
         Research Triangle Park, North Carolina 27709
               Contract No. 68-02-1234
                 ROAP No. 26BGC
              Program Element No .  1HA327
          EPA Project Officer: Steven M. Bromberg

        Environmental Monitoring and Support Laboratory
          Office of Monitoring and Technical Support
         Research Triangle Park, North Carolina 27711
                   Prepared for

         U.S. ENVIRONMENTAL PROTECTION AGENCY
            Office of Research and Development
               Washington, D.C. 20460

                  November 1975

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                       EPA REVIEW NOTICE

This report has been reviewed by the U.S. Environmental Protection
Agency and approved for publication. Approval does not signify that
the contents necessarily reflect the views and policies of the Environ-
mental Protection Agency, nor does mention of trade names or commer-
cial products constitute endorsement  or recommendation for use.
                  RESEARCH REPORTING SERIES

Research reports of the Office of Research and Development,  U.S. Environ-
mental Protection Agency, have been grouped into series.  These broad
categories were established to facilitate further development  and applica-
tion of environmental technology.  Elimination of traditional grouping was
consciously planned to foster technology transfer and maximum interface
in related fields.  These series  are:

          1.  ENVIRONMENTAL HEALTH EFFECTS RESEARCH

          2 .  ENVIRONMENTAL PROTECTION TECHNOLOGY

          3.  ECOLOGICAL RESEARCH

          4.  ENVIRONMENTAL MONITORING

          5 .  SOCIOECONOMIC ENVIRONMENTAL STUDIES

          6.  SCIENTIFIC AND TECHNICAL ASSESSMENT REPORTS

          9.  MISCELLANEOUS

Tins report has been assigned to the ENVIRONMENTAL MONITORING
scries.  This series describes research conducted to develop new or
improved methods and instrumentation for the identification and quantifica-
tion of environmental pollutants at the lowest conceivably significant
concentrations. It also includes studies to determine the ambient concentra-
tions of pollutants in  the environment and/or the variance of  pollutants
as a function of time or meteorological factors.
This document is available to the public for sale through the National
Technical Information Service, Springfield, Virginia 22161.
                 Publication No.  EPA-650/4-74-005-f
                                11

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                               ABSTRACT

     Guidelines for the quality control of stack gas analysis
for nitrogen oxides, except nitrous oxide, emissions by the
Federal reference method are presented.  These include:
     1.  Good operating practices.
     2.  Directions on how to assess performance and to qualify
         data.
     3.  Directions on how to identify trouble and to improve
         data quality.
     4.  Directions to permit design of auditing activities.
     The document is not a research report.  It is designed for
use by operating personnel.
     This work was submitted in partial fulfillment of contract
Durham 68-02-1234 by Research Triangle Institute under the Sponsor-
ship of the Environmental Protection Agency.  Work was completed as
of Augast 1975.

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                           TABLE OF CONTENTS

SECTION                                                           PAGE

    I                         INTRODUCTION                           1

   ii                       OPERATIONS mm.                         4
        2.0   GENERAL                                  .              4
        2.1    PLAN ACTIVITY MATRIX                                   8
        2.2   EQUIPMENT SELECTION                                   19
        2.3   EQUIPMENT CHECK AND CALIBRATION                        24
        2.4   PRESAMPLING PREPARATION                               26
        2.5   ON-SITE MEASUREMENTS                                  29
        2.6   POST-SAMPLING OPERATIONS (LABORATORY)                  33

  111               MNUAL FOR FIELD TEAM SUPERVISOR                 *i
        3.0   GENERAL                                               41
        3.1    ASSESSMENT OF DATA QUALITY (INTRATEAM)                 42
        3.2   MONITORING DATA QUALITY                               44
        3.3   COLLECTION AND ANALYSIS OF INFORMATION
              TO  IDENTIFY TROUBLE                                   45

   IV          mm. FOR IWIAGER OF GROUPS OF FIELD TEAMS           53
        4.0   GENERAL                                               53
        4.1    FUNCTIONAL ANALYSIS OF THE TEST  METHOD                 57
        4.2   ACTION OPTIONS                                        62
        4.3   PROCEDURES FOR PERFORMING A QUALITY  AUDIT              70
        4.4   DATA QUALITY ASSESSMENT                               73

    V                         REERENCES                           85

APPENLIX A                     fOOD 7                            87
/fPENDIXB      ILLUSTRATED AUDIT PROCEDURES AND CALCULATIONS       100
APPENDIX C                GLOSSARY OF SYTCOLS                     104
APPENDIX D                 GLOSSARY OF TERMS                       ioe

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                          LIST OF IUUSTWIONS
FIGURE NO.                                                         PAGE

    1     Operational  flow chart of the measurement process          5
    2     N0¥  field  data  sheet                                      34
            A
    3     NO  laboratory  data sheet                                 37
            /\
    4     Typical  calibration curve for determination of
         NO  concentration  from absorbance                         46
            ^
    5     Quality  control chart for d.                            '47
                                    J
    6     Interference of HC1 with the determination of NO          51
                                                         /\
    7     Summary  of data quality assurance program                 56

    8     Added  cost versus  data quality (CV) for selected
         action options                                            67

    9     Added  cost versus  data quality (CV.} for selected
         action options                                            68

   10     Example  illustrating p<0.10 and satisfactory data
         quality                                                   78

   11     Example  illustrating p>0.10 and unsatisfactory data
         quality                                                   78

   12     Flow chart of the  audit level selection process           80

   13     Average  cost versus audit level (n)                       84

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                             LIST OF TABlfS
TABLE NO.                                                        PAGE


    1    Methods of monitoring variables                           52

    2    Estimates of reading errors  in  determination of  V         60

    3    Estimate for reproducibility of ER                       61

    4    Assumed within-laboratory,  between-laboratory, and
         laboratory bias for action  options                       64

    5    Computation of mean difference,  d, and  standard
         deviation of differences,  sd                             77

    6    Sample plan constants, k for P  {not detecting a  lot
         with proportion p outside  limits L and  U}£0.1            79

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SECTION I                  INTRODUCTION

     This document presents guidelines for developing a quality assurance
program for Method 7,  Determination of Nitrogen Oxide, Except Nitrous
Oxide, Emissions from Stationary Sources.  This method was initially pub-
lished by the Environmental Protection Agency in the Federal Register,
December 23, 1971, and a later version is reproduced as appendix A of
this report for convenience of reference.
     This document is divided into four sections:
     Section I, Introduction.  The Introduction lists the overall objectives
of a quality assurance program and delineates the program components
necessary to accomplish the given objectives.
     Section II, Operations Manual.  This manual sets forth recommended
operating procedures to insure the collection of data of high quality,
and instructions for performing quality control checks designed to give an
indication or warning that invalid data or data of poor quality are being
collected, allowing for corrective action to be taken before future mea-
surements are made. A Plan Activity Matrix is included.
     Section III, Manual for Field Team Supervisor.  This manual contains
directions for assessing data quality on an intralaboratory basis and for
collecting the information necessary to detect and/or identify trouble.
     Section IV, Manual for Manager of Groups of Field Teams.  This manual
presents information relative to the test method (a functional analysis)  to
identify the important operations variables and factors, and statistical
properties of and procedures for carrying out auditing procedures for an
independent assessment of data quality.
     The objectives of this quality assurance program for Method 7 are to:
     1.  Minimize systematic errors (biases) and maintain precision
         within acceptable limits in the measurement process,
     ?.  Provide routine indications for operating purposes of
         satisfactory performance of personnel and/or equipment,
     3.  Provide for prompt detection and correction of conditions that
         contribute to the collection of poor quality data, and
     4.  Collect and supply information necessary to describe the quality
         of the data.

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To accomplish the above objectives, a quality assurance program must contain
the following components:
     1.  Recommended operating procedures,
     2.  Routine training of personnel and evaluation of performance
         of personnel and equipment,
     3.  Routine monitoring of the variables and parameters that may have
         a significant effect on data quality,
     4.  Development of statements and evidence to qualify data and detect
         defects, and
     5.  Action strategies to increase the level of precision/accuracy in
         the reported data.
Component (2) above will be treated for all the methods in the final report
of this contract.  All other components are treated in this document.
     Implementation of a properly designed quality assurance program should
enable measurement teams to achieve and maintain an acceptable level of
precision and accuracy in their stack gas composition measurements.  It will
also allow a team to report an estimate of the precision of its measurements
for each source emissions test.
     Variability in emission data derived from multiple tests conducted at
different times includes components of variation from:
     1.  Process conditions,
     2.  Equipment and personnel variation in field procedures, and
     3.  Equipment and personnel variation in the laboratory.
In many instances time variations in source output may be the most signifi-
cant factor in the total variability.  The error resulting from this
component of variation is minimized by knowing the time characteristics of
the source output and sampling over the complete output cycle.
     Quality assurance guidelines for Method 7 as presented here are
designed to insure the collection of data of acceptable quality by preven-
tion, detection, and quantification of equipment and personnel variations
in both the field and the laboratory through:
     1.  Recommended operating procedures as a preventive measure,
     2.  Quality control checks for rapid detection of undesirable
         performance, and

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     3.  A quality audit to independently verify the quality of the
         data.
     The scope of this document has been purposely limited to that of a
field and laboratory document.   Additional background information is
contained in the final report under this contract.

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SECTION II               OPERATIONS WNUAL

2.0  GENERAL
     This manual sets forth recommended procedures for determination of
nitrogen oxide emissions from stationary sources according to Method 7.
(Method 7 is reproduced and included as appendix A of this document.)
Quality control procedures and checks designed to give an indication or
warning that invalid or poor quality data are being collected are written
as part of the operating procedures and are to be performed by the operator
on a routine basis.  In addition, the performance of special quality control
procedures and/or checks as prescribed by the supervisor for assurance of
data quality may be required of the operator on special occasions.
     The sequence of operations to be performed for each field test is
given in figure 1.  Each operation or step in the method is identified by
a block.  Quality checkpoints in the measurement process, for which appro-
priate quality control limits are assigned, are represented by blocks
enclosed by heavy lines.  Other quality checkpoints involve go/no-go checks
and/or subjective judgments by the test team members with proper guidelines
for decisionmaking spelled out in the procedures.
     The precision/accuracy of data obtained from this method depends upon
equipment performance and the proficiency and conscientiousness with which
the operator performs his various tasks.  From equipment checks through
on-site measurements, calculations, and data reporting, this method is
susceptible to a variety of errors.  Detailed instructions are given for
minimizing or controlling equipment error, and procedures are recommended
to minimize operator error.  Before using this document, the operator
should study Method 7 as reproduced in appendix A in detail.  In addition,
the quality assurance documents of this series for Methods 2, 3, and 4
should be read and followed.
     It is assumed that all apparatus satisfies the reference method
specifications and that the manufacturer's recommendations will be followed
when using a particular piece of equipment.

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EQUIR-ENT SELECTION
1.  SELECT THE EQUIPMENT APPRO-
    PRIATE FOR THE PROCESS (SOURCE)
    TO BE TESTED.  CHECK THE EQUIP-
    MENT FOR PROPER OPERATION.

EQUIPMENT CHECK AND CALIBRATION

2.  CALIBRATE EQUIPMENT WHEN FIRST
    PURCHASED AND WHEN DAMAGED OR
    ERRATIC BEHAVIOR IS OBSERVED.
    (Subsection 2.3)

PRESAMPLING PREPARATION

3.  OBTAIN PROCESS DATA, SELECT/
    PREPARE SAMPLING SITE, DETERMINE
    LOGISTICS FOR PLACING EQUIPMENT
    ON-SITE, AND DETERMINE STACK
    CONDITIONS Ts, Vs, Bw, and Md.
    (Subsection 2.4.1)

4.  CHECK OUT SAMPLE TRAIN AND
    RELATED COMPONENTS.
    (Subsection 2.4.2)
5.  PACKAGE EQUIPMENT IN A MANNER
    TO PREVENT BREAKAGE OR DAMAGE
    DURING HANDLING AND SHIPMENT.
    SHIP EQUIPMENT BY THE BEST
    MEANS AVAILABLE. (Subsection
    2.4.4)

ON-SITE NOX MEASUREMENT

6.  MOVEMENT OF EQUIPMENT TO
    SAMPLING SITE AND SAMPLE
    RECOVERY AREA. (Subsection
    2.5.1)

7.  ASSEMBLE THE EQUIPMENT ON-SITE
    AND PERFORM AN OPERATIONAL
    CFICK. (EVALUATION OF THE
    SYSTEM)

8.  DETERMINE THE TRAVERSE
    POINT (SAMPLE POINT) ACCORDING
    TO METHOD ONE.
   EQUIPMENT
   SELECTION
EQUIPMENT CHECK
AND CALIBRATION
  PRELIMINARY
  SITE-VISIT
  (OPTIONAL)
   APPARATUS
     CHECK
       1
    PACKAGE
   EQUIPMENT
 FOR SHIPMENT
   TRANSPORT
   EQUIPMENT
    TO SITE
ASSEMBLE/CHECK
   EQUIPMENT
    ON-SITE
      T
   DETERMINE
TRAVERSE POINT
  Figure 1.  Operational flow chart of the measurement process.

                                    5

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 9.  DETERMINE THE INSIDE AREA OF       9
     STACK BY (1) MEASURING THE
     DIAMETER, OR (2) MEASURING
     THE CIRCUMFERENCE AND COR-
     RECTING FOR WALL THICKNESS.

10.  PERFORM THE VELOCITY TRAVERSE     10
     OF THE STACK GAS USING THE
     QUALITY ASSURANCE DOCUMENT
     FOR METHOD 2.

11.  DETERMINE THE MOISTURE            11
     CONTENT OF THE STACK GAS
     USING THE QUALITY ASSURANCE
     DOCUMENT FOR METHOD 4.

12.  DETERMINE THE MOLECULAR WEIGHT    12
     OF THE STACK GAS (WET BASIS)
     USING THE QUALITY AS'SURANCE
     DOCUMENT FOR METHOD 3 AND THE
     RESULTS OF STEP 11  ABOVE.

13.  DETERMINE THE VOLUMETRIC FLOW     13
     RATE OF THE SOURCE USING THE
     QUALITY ASSURANCE DOCUMENT
     FOR METHOD 2.

14.  PREPARE ABSORBING REAGENT         14
     AND/OR ACCURATELY PIPETTE
     25 ml OF REAGENT INTO THE
     COLLECTION FLASK(S).

15.  EVACUATE FLASK(S), MEASURE        15
     AND RECORD FINAL FLASK
     PRESSURE AND AMBIENT
     TEMPERATURE.

16.  PERFORM SAMPLE COLLECTION         16
     ACCORDING TO THE PROCEDURE
     GIVEN IN SUBSECTION
     (Subsection 2.5.3.3)

17.  MEASURE AND RECORD THE            17
     INTERNAL PRESSURE (ABSOLUTE)
     OF THE COLLECTION FLASK(S).
18.  MAKE SOLUTION ALKALINE BY         18
     ADDING 1 N NAOH.
   DETERMINE
  INSIDE AREA
   OF STACK
    PERFORM
   VELOCITY
   TRAVERSE
  (METHOD 2)
       J_
   DETERMINE
   MOISTURE
    CONTENT
  (METHOD 4)
   DETERMINE
   MOLECULAR
    WEIGHT
  (METHOD 3)
   DETERMINE
  VOLUMETRIC
   FLOW RATE
  (METHOD 2)
 PIPETTE 25 ml
   ABSORBING
 REAGENT INTO
SAMPLING FLASKS
       JL
   EVACUATE
 FLASK(S) AND
  RECORD DATA
    COLLECT
    SAMPLE
  MEASURE AND
 RECORD FLASK
   PRESSURE
MAKE SOLUTIONS
 ALKALINE WITH
   1 N NAOH
   Figure 1.   Operational flow chart of the measurement process (continued)

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19.   DISASSEMBLE AND INSPECT EQUIP-     19
     MENT FOR DAMAGE SUSTAINED BUT
     NOT DETECTED DURING SAMPLING.
20.  PACKAGE EQUIPMENT AND SAMPLES     20
     FOR RETURN TRIP TO BASE
     LABORATORY.
POSMHING OPERATIONS

21.   ANALYZE SAMPLES FOR OXIDES        21
     OF NITROGEN BY THE PHENOL-
     DISULFURIC ACID PROCEDURE
     (Subsection 2.6.1)

22.   PERFORM CALCULATIONS UTILIZING    22
     ALL FIELD AND CALIBRATION
     DATA (Subsection 2.6.2)
23.  FORWARD THE DATA FOR FURTHER      23
     INTERNAL REVIEW OR TO THE
     USER.
  DISASSEMBLE
   AND CHECK
   EQUIPMENT
PACK EQUIPMENT
  AND SAMPLES
 FOR SHIPMENT
    PERFORM
   ANALYSES
       1
    PERFORM
 CALCULATIONS
    REPORT
     DATA
    Figure 1.  Operational flow chart of the measurement process,

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2.1  PLAN ACTIVITY MATRIX
     This section consists of a Plan Activity Matrix which summarizes
the entire measurement procedure and includes acceptance criteria for
procurement of materials, preparation of reagents, calibration of equip-
ment and maintenance.

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-------
 2.2  EQUIPMENT SELECTION
     In addition to  the Plan Activity Matrix  (section 2.1), a listing
 of the required apparatus  for a sampling  train (configured as shown in
 figure 7-1 of appendix A)  and the reagents, along with certain miscellaneous
 equipment and tools  to aid in source testing, is given in subsection 2.3.
 Additional specifications,  criteria, and/or design  features as applicable
 are  given here to aid in the selection  of equipment  to insure the collection
 of data of consistent quality.  All new items of equipment are inspected
 visually for identification and damage  before acceptance.  Also, if applicable,
 new  equipment is calibrated according to  section 2.3 as  part of  the acceptance
 check.  The descriptive title, identifcation number, if  applicable, and the
 results of the acceptance  check are recorded  in the  procurement  log book,
 dated, and signed by the individual performing the  check.  Calibration data
 generated in the acceptance check is recorded in the calibration log book.

 2.2.1  Sampling
 2.2.1.1  Sampling Probe.   A glass probe (borosilicate glass) with provisions
 for  heating, with a  filter (either  in stack or heated out of stack) to
 remove particulate matter.  The glass liner should  be protected  with an
 outer sheath of stainless  steel.  The sampling tip  of the probe  should
have retainers fabricated of glass to hold the particulate filter in
place.   Heating is not required if the probe remains dry during the
purging period.   It  is recommended that  an all-purpose probe have
provisions  for heating.   High temperature  probes  can be fabricated
from quartz.   A knowledge of the stack gas composition and temperature
is necessary in order to select a probe  of proper composition.   Special
probes  must  be  approved  by  the EPA.
 2.2.1.2  Collection  Flask(s).  Two  liter  borosilicate round bottom  flasks
 with a short neck and 24/40 standard taper opening.  The collection flask
 should be protected  against implosion or  breakage by (1)  tape, or by using
 a (2) commercial unit encased in  foam,  or (3) a fabricated  closed cell  foam
 system.
                                     19

-------
2-2.1.3  Flask Valve(s).  A T-bore stopcock is connected to a 24/40 standard
taper joint.  Bores should be numbered and not switched to prevent leakage
problems.  The T-bore should be marked to avoid turning the stopcock in the
wrong direction when sampling.
2-2-l-4  Temperature Gauge.  Dial-type thermometer, or equivalent, capable
of measuring in 1° C (2°  F) intervals from -5 to 50° C (25 to 125° F).
2.2.1.5  Vacuum Line.   Sufficient tubing which is capable of withstanding
a vacuum of 75 mm (3 inches)  Hg absolute pressure.   This tubing must be
equipped with a "T" connection and a three-way valve (T-bore stopcock) or
its equivalent.  When possible, glass ball-joint connections should be re-
placed by plastic components  to minimize leakage problems.
         Note:  Plastic components must not contact the sample
                gas before entering the flask.
2.2.1.6  Pressure Gauge.   A U-tube manometer, 1 meter with 1 mm divisions,
or equivalent.
2.2.1.7  Pump.  One vacuum pump capable of producing a vacuum of 21.75 mmHg
(3 inches Hg) absolute pressure in the sample flask.
2.2.1.8  Squeeze Bulb.  A one-way bulb (rubber) to purge  the sampling system.
2.2.1.9  Stopcock Grease.  An inert, high vacuum, high temperature chloro-
fluorocarbon grease should be used.
2.2.1.10  Volumetric Pipette.  A 25 m£ volumetric pipette for addition of
reagent to the collection flask.
2.2.1.11  Source Sampling Tools and Equipment.  The need  for specific tools
and equipment will vary from test to test.  A listing of  the most frequently
used tools and equipment is given below.
     (1)  Equipment Transportation
          (a)  Lightweight hand truck that can be used to transport  cases.
          (b)  A 1/2" continuous  filament nylon rope with large boat snap
               and snatch block for  raising and lowering  equipment on
               stacks and roofs.
          (c)  Tarpaulin or plastic  to protect equipment  in case of  rain.
               Sash cord (1/4") for  securing equipment and tarpaulin.
                                   20

-------
     (d)   One canvas bucket is useful for transporting small items
          up and down the stack.
(2)   Safety Equipment
     (a)   Safety harness with nylon and steel lanyards, large throat
          snap hooks for use with lanyards for hooking over guard
          rails or safety line on stack.
     (b)   A fail-safe climbing hook for use with climbing harness
          when climbing ladders having a safety cable.
     (c)   Hard hats with chin straps and winter liners.  Gas masks,
          safety glasses and/or safety goggles.
     (d)   Protective clothing including the following:  appropriate
          suits for both heat and cold, gloves (both asbestos and
          cloth) and steel-toes shoes.
     (e)   Steel cable (3/16") with thimbles, cable clips and turn
          buckles.  These are required for installing a safety line
          or securing equipment to the stack structure.
(3)   Tools and Spare Parts
     (a)   Electrical and Power Equipment
          (1)  Circular saw
          (2)  Variable voltage transformer
          (3)  Variable speed electrical drill and bits
          (4)  Ammeter-voltmeter-ohmeter (VOM)
          (5)  Extension cords - light (#14 Avg) 2 x 25
          (6)  2 3- .tfire electrical adapters
          (7)   '-wire electrical  triple taps
          (8)  Thermocouple extension wire
          (9)  Thermocouple plugs
         (10)  Fuses
         (11)  Electrical wire
     (b)   Tools
          (1)  Tool boxes (1 large, 1 small)
          (2)  Screwdrivers
                  1 set flat blade
                  1 set philips
          (3)  C-clamps (2) 6", 3"
                               21

-------
          (c)  Wrenches
               (1)  Open end set 1/4" to 1"
               (2)  Adjustables (12", 6")
               (3)  1 chain wrench
               (4)  1 12" pipe wrench
               (5)  1 Allen wrench set
          (d)  Miscellaneous
               (1)  Silicone sealer
               (2)  Silicone vacuum grease
               (3)  Pump oil
               (4)  Manometers (gauge oil)
               (5)  Anti-seize compound
               (6)  Pipe fittings
               (7)  Dry cell batteries
               (8)  Flashlight
               (9)  Valves
              (10)  Thermometers (Dial (6"-36")
                      and a remote reading thermometer
              (11)  Vacuum gauge
              (12)  SS tubing (1/4", 3/8", 1/2") short lengths
              (13)  Heavy-duty wire (telephone type)
              (14)  Adjustable packing gland
     (4)  Data Recording
          (a)  Data sheets or data notebook
          (b)  Carbon paper
          (c)  Slide rule or electronic calculator
          (d)  Psychometric charts
          (e)  Combustion nomographs (Ref. 15)
          (f)  Pencils, pens
2.2.2  Sample Recovery
2.2.2.1  Volumetric Pipette or Dropper.  A 25 m£ volumetric  pipette  or
dropper for neutralization.  The pipette (25 mfc) can  also be used  to
add 25 n£ of reagent to the flask before sampling  (2.2.1.10).
                                     22

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2.2.2.2  Storage Containers.  An adequate number of leak-free glass or
polyethylene bottles for recovery of samples.  The containers should be
packed in a cushioned container (box or foot locker) for shipment.
2.2.2.3  Wash Bottle.  A glass or polyethylene wash bottle for rinsing
(transferral) of sample solution to storage containers.
2.2.2.4  Glass Stirring Rod.  A stirring rod (glass or polyethylene) is
required to check the pH of the absorbing reagent.
2.2,2.5  pH Indicating Paper.  pH paper with the range of 7-14 is required
to test the alkalinity of the absorbing reagent.
2.2.2.6  Barometer.  A calibrated barometer (shock mounted) for measuring
the barometric pressure.  An alternate is to obtain the uncorrected
barometric pressure from a nearby weather station and correct for altitude.
2.2.3  Analysis
2.2.3.1  Steam Bath.  A steam bath is required to evaporate the absorbing
solution.  A hot plate is not acceptable for this analysis, as it may cause
sample loss by spattering.
2.2.3.2  Beakers or Casseroles.  A reactor vessel is required for the
evaporation step. Beakers of borosilicate glass or porcelain evaporating
dishes are acceptable.  Beakers (glass) must be discarded or used for
other purposes when the bottoms become etched.
2.2.3.3  Polyethylene Policemen.  One stirring rod  (polyethylene policemen)
is required for each sample and standard.  A glass stirring rod is not
recommended.
2.2.3.4  Volumetric Glassware.  Several volumetric pipettes are required
(1, 2, and 10 m£) .  One transfer pipette (10 m£ with 0.1 m£ divisions)
and one 100 mH volumetric flask for each sample.  Twol,000m£ volumetric
flasks are required for the blank and standard nitrate.  Additional
volumetric flasks  (50 m&) are required for aliquots (for analysis) and
dilution of samples that  fall outside the calibration range (absorbance >
400 yg standard).
2.2.3.5  Spectrophotometer.  A spectrophotometer which is capable of
measuring the absorption  at 410 nm  (or the peak maximum).  A set of neutral
density filters and a filter for wavelength calibration should be available
(ref. 17).
                                    23

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2.2.3.6  Buret.   A 50 mS, buret or its equivalent for addition of ammonium
hydroxide to the reaction vessel.
2.2.3.7  Graduated Cylinder.  A 50 mil graduated cylinder with 1.0 mA
divisions for additions of distilled water.
2.2.3.8  Analytical Balance.  One analytical balance that weighs to 0.1 rag.
A set of calibration weights to check the accuracy of the balance (jh 0.3 mg).
2.3  EQUIPMENT CHECK AND CALIBRATION
2.3.1  Sampling Train
       The design specifications of the NO  train used by the EPA is given
in Appendix A of this document ( figure 7-1).   Commercial models of this
system are available.  Each individual commercial or fabricated train must
be in compliance with the specifications in the reference method.
2.3.2  Probe (Filter)
       Clean the probe internally by brushing, first using tap water, then
distilled, deionized water followed by acetone and allow it to dry in the
air.  In extreme cases the glass liner can be cleaned with stronger reagents.
In either case the object is to leave the glass liner chemically inert to
oxides of nitrogen.  If the probe is equipped with a heating system, check
to see if it is operating properly.  The probe should be sealed on the
filter side and checked for leaks at a pressure of < 380 mm (15 inches)  of mercury
The probe must be leak-free under these conditions.  The glass liner should
be sealed inside the metal sheath to prevent diluent air from entering the
source.
2.3.3  Collection Flask, Flask Valve and Evacuation System
       The collection flask and valve (in contact with sample gas) should
be cleaned with a strong detergent and hot water, rinsed with tap water,
and distilled, deionized water.  Periodically, the glassware can be cleaned
with a grease remover such as decahydronapthalene (C _H  ) followed by
acetone and then by the procedure above.  An alternate procedure is to use
dichromate cleaning solution.  Assemble the clean flasks and valves and
fill with water (room temperature) to the stopcock.  Measure the volume to
+ 10 m£ by transferring the water to a graduate.  Do three volume determinations
and use the mean value.  Number and record the volume mean value
                                     24

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on the flask or foam encasement and in the laboratory log book.
This volume measurement is required only on the initial calibration
provided the flask valves are not switched.  Lubrication of stopcocks
and joints should be with a chemically inert lubricant.  An inert hy-
drogen-free chlorofluorocarbon lubricant can be used.  The evacuation
system as depicted in appendix A is assembled and a vacuum of  3 inches
of mercury absolute pressure is produced in each flask.  The vacuum
should be held for at least one minute without appreciable fluctuation
 [_<_ 10 ram (0.4 in.) Hg] ; if this is not obtained, check for leaks.
2.3.4  Temperature Gauge
       All thermometers should be checked versus a mercury bulb thermometer
at room temperature.  Accuracy of + 1° C (2° F) is sufficient.
2.3.5  Reagents
2.3.5.1  Sampling.  The absorbing reagent is prepared by adding 2.8 mil
of concentrated sulfuric acid (H0SO.) to 1 liter of distilled, deionized
                                2  4
water.  Mix well and add 6 m& of 3 percent hydrogen peroxide (H^O,,) .  Pre-
pare a fresh absorbing solution weekly and do not exposa to extreme heat
or direct sunlight.  All reagent must be ACS grade or equivalent. If the
reagent must be shipped to the field site, it is advisable that the
absorbing reagent is prepared fresh on-site.  All reagents must be reagent
grade.
         Note:   If the concentration of  peroxide  solution
                (H.,0,,,  3  percent)  is in  question,  analyze  with
                0.1N permanganate  in acid  solution.

 2.3.5.2  Sample Recovery.  A sodium hydroxide solution (IN) is pre-
 pared by dissolving 40 g NaOH in distilled water and diluting to 1
 liter.  This solution can be transferred to a polyethylene 1,000 ml
 (32-oz.) jar for shipment.  Distilled, deionized water and pH paper
 are  required to test basicity and for transferral of samples.
                                   25

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2.3.5.3  Analysis.  All reagents must be ACS reagent grade.  The following
reagents are needed for analysis and standardization:
     (1)  Fuming sulfuric acid - 15 to 18% (by weight) free sulfur
          trioxide (SO.,)
     (2)  Phenol - White solid reagent grade
     (3)  Sulfuric Acid - concentrated reagent
     (4)  Standard solution - dissolve 2.1980 g dried potassium nitrate (KN03)
          in distilled water and dilute to 1 liter in a volumetric flask.
          For the working standard solution, pipette 10 ml of the resulting
          solution into a 100 m£ volumetric flask and dilute to the mark.
               Note:   One m& of the working standard solution is equivalent
                      to 100 Vg nitrogen dioxide.
     (5)  Water - deionized, distilled.
     (6)  Phenoldisulfuric acid solution - dissolve 25 g of pure white
          phenol (no discoloration) in 150 m5, concentrated sulfuric acid
          on a steam bath.  Cool, add 75 m& fuming sulfuric acid, and
          heat at 100° C (212° F) (on a steam bath)  for two hours.   Store
          in a dark,  stoppered bottle.
2.4  PRESAMPLING PREPARATION
2.4.1  Preliminary Site Visit (Optional)
       The main purpose of a preliminary site visit is to gather information
to design and implement an efficient source test.  Prior preparation will
result in the prevention of unwarranted loss of time, expenses, and injury
to test and/or plant personnel.  A test plan conceived from a thorough set
of parameters will result in more precise and accurate results.  This
preliminary investigation (on-site) is optional and not a requirement.  An
experienced test group can, in some cases, obtain sufficient information
on the source through communications with the plant engineer.  The infor-
mation should include pictures (or diagrams) of the facilities.  In most
cases, there is no substitute for an on-site presurvey.
2.4.1.1  Process(Background Data on Process and Controls).  It is recommended
that the tester, before a preliminary site visit is made or before performing
tests, become familiar with the operation of the plant.  Data from similar
operations that have been tested should be reviewed if they are available.
                                     26

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The role of certain combustion effluents as interfering substances have
not been ascertained; therefore, any background data on stack gas
species should be noted for further consideration of the final analytical
results  (refs.  4.12).
2.4.1.2  Sampling Site Preparedness.  Each facility tested should provide
an individual who understands the plant process and who has the authority
to make decisions concerning plant operation to work with the team.  This
would include decisions concerning whether the plant would be operated at
normal load conditions or at a rated capacity.  If the source is cyclic in
nature, information must be available as to the time of the sequence and
the duration of the cycle.  This individual or individuals will supervise
installation of ports, sampling platform, and electrical power.  If the
above installations are already in existence, they must be examined for
their suitability in obtaining a valid test and that all facilities meet
minimum safety standards.  If ports have to be installed, specify 4-inch
ports with plugs.  Port locations should be based upon Method 1 of the
Federal Register (ref. 14).  Port locations must be based upon existing
technical knowledge and sound judgment.  An electrical service should be
available at the sampling area with 115-volt and 20-amp service.
2.4.1.3  Stack Gas Conditions.  The following should be determined on the
initial site survey, either by measurement or estimation:
     1.  T     = average stack gas temperature.
           avg
     2.     P  = the static pressure (positive or negative).
             o
     3.  AP    = the average velocity heads.
           avg
     4.    B     approximate moisture content.
            wo
     5.     M  = molecular weight calculated from approximate gas
                 constituent concentrations
The above parameters can be roughly determined using an inclined manometer
(0-5 inches), a Type-S pitot tube, manual thermometer or thermocouple
attach d to the pitot tube with potentiometric readout device.  The moisture
content (approximate) can be determined with wet bulb-dry bulb and the
gaseous constituents by hand-held indicator kits.  Nomographs are useful in
checking and estimating your preliminary data required (ref. 15).
                                    27

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2.4.1.4  Methods and Equipment for Transporting Apparatus to Test Site.
Ropes, block and tackle, and other hoisting equipment should belong in the
repertoire of any stack sampler.  The initial site visit should include a
preconceived plan between plant personnel and tester on how the equipment
can best be transported to the sampling site.  Electric forklifts, when
available, should be utilized if needed.   In addition to the above, it is rec-
ommended, when permissible,  that pictures be taken of the hoisting area and
sampling area, so that any further discussions (either by letter or
telephone) will be clarified.
2.4.2  Apparatus Check
       Previously used equipment should be visually checked for damage and/
or excessive wear before each field test.  Items should be repaired or
replaced as applicable if judged to be unsuitable for use by the visual
inspection.
     Table 1 is designed to serve as a sample checklist for the three
phases of a field test.  It is meant to serve as an aid to the individuals
concerned with procuring and checking the required equipment, and as a
means for readily determining the equipment status at any point in time.
The completed form should be dated, signed by the field crew supervisor,
and filed in the operational log book upon completion of a field test.
This includes initiating the replacement of worn or damaged items of equip-
ment.  Procedures for performing the checks are given in the appropriate
subsections of this operation manual, a check is placed in the proper row
and column of table 1 as the check/operation is completed.  Each team will
have to construct its own checklist according to the type of sampling
train and equipment it uses.
2.4.3  Package Equipment for Shipment
       This aspect of any source testing method in terms of logistics,  time
of sampling and quality of data is very dependent upon the packing of equip-
ment with regard to (1) accessibility in the field,  (2) ease of movement on
site and  (3) optimum functioning of measurement devices in the field.   Equip-
ment should be packed under the assumption that it will receive severe
treatment during shipping and field operation.  One major consideration in
                                     28

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shipping cases is the construction materials.  Durable containers are
the most cost effective.
2.4.3.1  Probe.  Pack the probe in a case protected by polyethylene or
other suitable packing material.  An ideal container is a wooden case or
equivalent lined with foam material in which separate compartments are
cut to hold the individual devices.  This case can also contain a pitot
tube for velocity determinations.  The case should have handles that can
withstand hoisting and be rigid enough to prevent bending or twisting of
t'ra devices during shipping and handling.
2.4.3.2  Collection Flasjc and Valve.  The collection flasks and valves
should be packed securely in a suitable shipping container.  An ideal
shipping container is a case or foot locker of approximately the following
dimensions:  30" x 15" x 15".   This container when lined with foam
will accomodate eight collection flasks with the appropriate mated flask
valves.
2.4.3.3  Evacuation System, Temperature Gauges, Vacuum Lines and Reagents.
A sturdy case lined with foam material can contain the evacuation manifold,
squeeze bulb, manometer, and reagent for sampling and recovery.
2. .3.4  Evacuation Pump.  The vacuum pump should be packed in a shipping
container unless its housing is sufficient for travel.  Additional pump
oil should be packed with the pump if oil is required for its operation.
2.4.3.5  Glass Storage Containers.  All glass storage containers must be
packed with cushion material at the top and bottom of the case with some
form of dividers to separate the components.
2.5  ON-SITE MEASUREMENTS
     The on-site measurement activities include transporting the equipment
to the test site, unpacking and assembling the equipment, confirming duct
measurements and traverse points (if volumetric flow rate is to be deter-
mined), velocity traverse, molecular weight determination of the stack
gas,  moisture content, sampling for oxides of nitrogen, and data recording.
2.5.1  Transport of Equipment to the Sampling Site
       The most efficient means of transporting or moving the equipment from
                                    29

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floor level to the sampling site as decided during the preliminary site
visit should be used to place the equipment on-site.  Care should always
be exercised against damage to the test equipment or injury to test
personnel during the moving phase.  A "laboratory" type area should be
designated for preparation of absorbing reagent and charging of the flasks.
Utilization of plant personnel or equipment (winches and forklifts) in
movement of the sampling gear is highly recommended.
2.5.2  Preliminary Measurements and Set Up
       The reference method outlines the determination of the concentration
of oxides of nitrogen in the gas stream.  The volumetric flow rate must be
determined utilizing Reference Methods 1, 2, 3, and 4 if the mass emission
rate is to be determined (ref. 14).  Consult the Quality Assurance
Document for Method 2 for a more thorough discussion of the determination
of the volumetric flow rate (ref. 16).
2.5.3  Sampling
       The on-site sampling includes preparation and/or addition of the
absorbing reagent to collection flasks, setup of the evacuation system,
connection of the electric service, preparation of probe (leak check and
addition of particulate filter), insertion of probe into the stack,
sealing the port, evacuation of flasks, sampling and recording of the
data, and a final leak-check.
2.5.3.1  Preparation and/or Addition of Absorbing Reagent to Collection
Flasks.  If preparation of absorbing reagent is necessary on-site, follow
directions as given in section 2.3.5.1 of the document.  Pipette 25 m£ of
absorbing reagent into sample flask.  Place a properly lubricated flask
valve into the collection flask with the valve turned in the purge posi-
tion.  Lubrication of joints is intended to prevent leaks and should not seal
the bore of the stopcock or contaminate the sample.
2.5.3.2  Assembling Sampling Train.  Assemble the sampling train as shown
in figu :e 7-1 of the reference method  (contained as appendix A of this
document) and perform the following:
     (1)  Visually check probe for liner separation, (racks, etc.)
     (2)  Place a loosely packed filter of glass or quartz wool in the end
          of the probe.
                                    30

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    (11)  Turn the flask valve to the "purge" position at the conclusion
          of collection.
    (12)  Shake the flask for five minutes.
The particulate filter should be changed at the end of each sampling run.
This is to help to prevent plugging of the probe.
2.5.4  Sample Recovery
       The reference method requires a sample absorption period of
>^ 16 hours.  If the laboratory is close by, the samples
may be left in the flasks for return to the laboratory.  Otherwise
the appropriate data must be taken in the field, solutions made
alkaline and transferred to glass storage containers.
2.5.4.1  Flask Pressure, Temperature and Barometric Pressure.  After the
absorption period is cpmpleted (>_ 16  hours), record the barometric pressure
and the room temperature on a data sheet and a field laboratory notebook.
     (1)  Shake the flask and contents for 2 minutes.
     (2)  Connect one leg of the sample flask valve to the open-end
          manometer.
     (3)  Turn the stopcock to open the flask to the manometer.
     (4)  Record the flask pressure by reading the difference between the
          mercury levels in the manometer.
     (5)  Transfer the flask contents to a container for shipment or to a
          250 ml beaker or porcelain evaporating dish  for analysis.
          (Transferral to a beaker or evaporating dish is only done in
          the laboratory.)
     (6)  Rinse the flask with several portions of distilled water.
          Note:  A quantitative transfer is required.  No less than 2
                 rinses are acceptable.  The total rinse should be
                 < 10  mi.  The total rinse should be the same for all
                 flasks.
     (7)  A blank should be prepared by pipetting 25 ml of absorbing
          solution into a clean sample bottle and adding the same volume of
          distilled water as used in rinsing the flask  in (6) above.
                                31

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     (3)  Insert the probe into the stack to the sampling point and seal
          the opening around the probe.
2.5-3.3  Evacuation, Purge,  and Sample.   A sample is taken by the following:
     (1)  Turn the pump and  flask valves to the "evacuate" positions.
          The flask should be evacuated  to 76 mm (3 inches) of mercury absolute
          pressure or until  the apparent boiling point is reached (bubbling
          of absorbing solution).
     (2)  Turn the pump valve to the "vent" position and turn off the pump.
          Check the manometer for fluctuations.  The manometer should stay
          stable (£10 mm  (0.4  inches) Hg)  for  at least a minute.   If the
          mercury level changes, check and eliminate the  problem.
     (3)  Record the initial volume of the flask, temperature, and baro-
          metric pressure on a data sheet or in a field laboratory note-
          book.
     (A)  Turn the flask valve to the "purge" position.
     (5)  Turn the pump valve to the "purge" position.
     (6)  Purge the probe and the vacuum line using the one-way squeeze bulb.
     (7)  If condensation occurs in the  probe or the flask valve, the probe
          must be heated until(upon purginp) the condensation disappears.
     (8)  Turn the pump valve to the "vent" position.
     (9)  Turn the flask valve to the "sample" position and allow sample
          to enter the flask > 15  seconds.  The object here is to get a
          good sample.  This will usually require approximately 15 seconds.
          A longer period of time indicates that the probe is plugged.
          A generally accepted period of sampling is less than 30 seconds.
    (10)  Record final flask pressure.
 A "good" sample includes sufficient oxygen for the conversion of all NO to
 NO .   Without excess molecular oxygen present in the flask, some NO will
 remain and the datum obtained for NO  concentration will be biased low.  If
                                     x
 it is suspected that there is not enough oxygen, then terminate sampling
 before flask pressure has reached stack pressure (with minimum 50 mm to g
 differential) and open to the atmosphere.  This is not normal procedure and
 should not be done unless the situation so requires.

                                    32

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       (8)   Prior  to  shipping or analysis, add sodium hydroxide  (NaOH,  I  N)
            dropwise  (about  25  to  35 drops)  into both  the  sample  and  the
            blank  until  alkaline to pH paper,
            Note:   Test  for  alkalinity by  touching  the top of a glass rod
                   into  the  sample blank and then applying this to  a  moistened
                   strip of  pH  paper.  The solution is considered alkaline
                   when  a pH range of  9-12 is attained.
                   Caution:   Do not  do  this  in the  presence of  ammonia fumes.
                             This will give a false  test for alkalinity.
2.5.5  Sample Logistics  (Data)  and Packing of Equipment
       The above procedures  are followed until the  required number  of tests
are completed.  The following is  recommended at the completion  of testing:
       (1)   Check all sample containers, or  collection flasks for proper
            labeling.  (Time and date  of test,  location of testing, number
            of test,  and any other pertinent documentation.)  Mark  the height
            of the liquid level in the  sample container to determine  whether
            or not leakage occurred  during transport.
       (2)   All data recorded during field testing  should  be recorded in
            duplicate by carbon paper  or by  utilizing  data sheets (figure 2)
            and a field  laboratory notebook.  One set  of data should  be
            mailed to the base  laboratory  and the other hand-carried.  This
            is a recommendation that can prevent a  very costly  and  embarrassing
            mistake.
       (3)   All sample containers, flasks  and equipment should  be properly
            packed for shipment to the  base  laboratory.  All shipping con-
            tainers should be properly  labeled to prevent  loss  of samples or
            equipment.
                                   33

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PLANT	DATE _
SAMPLE
COLLECTED BY                               RUN NO.
PROBE TEMPERATURE                          REAGENT (ABSORBING)
SETTING                                    PREPARATION DATA
COLLECTION
DATA                                       CLOCK TIME
                                           VOLUME OF FLASK
FLASK NO. 	            AND VALVE, m£
BAROMETER                                  Va, VOLUME OF ABSORBING
PRESSURE, mm Hg _,	SOLUTION, ma   	
Pc, INITIAL ABSOLUTE                       Pf,  FINAL ABSOLUTE
PRESSURE, mm Hg	PRESSURE, mm Hg
Tis INITIAL TEMPERATURE                    Tf, FINAL TEMPERATURE
OF FLASK, [°C +273]	OF FLASK [°C +273](ABSOLUTE)
                    Figure  2.  NO   field  data  sheet,.

2.6  POST-SAMPLING OPERATIONS (LABORATORY)
2.6.1  Analysis (Base Laboratory)
       The requirements for a precise and accurate analysis are an
experienced analyst and familiarity with the analytical method.  Calibration
is of the utmost importance and neglect in this area cannot be accepted.
Extrapolation of standardization curves at very low and high concentrations
is not justified.   Blanks must be used to correct for reagent and sample
conditions.
2.6.1.1  Calibration of Spectrophotometer (Wavelength and Linearity).   Calibra-
tion of the wavelength scale should be checked periodically, at least once
each calendar  quarter.  The absorption spectrum of a didymium glass has been
found useful for this purpose.  For checking the transmittance scale,  a set
of neutral density filters  is  satisfactory.  The reference method calls for
samples and standards absorbance to be determined at 410 nm.  The spectra pro-
duced by scanning samples and standards in a calibrated dual-beam instrument
or IA a single beam instrument (ref. 17) produce a maximum absorbance at ~405 nm.
It is recommended that standardization curves and samples be done at a constant
wavelength of 405 + 5 ran.  Calioration is a critical part of the analytical
technique and should be done with great care.

                                 34

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2.6.1.2  Recommended Procedures in Operating a Spectrophotometer.  The
correct manipulation of sample cells is critical.  The following points
should be adhered to:
     (1)  Cuvettes are not always matched; therefore, one should
          designate the "blank"  and  sample cells.  Do not interchange
          the cells during an analysis.
     (2)  Do not touch the bottom of the cuvette with your fingers.
     (3)  Rinse the cuvette at least twice with the solution you are
          about to measure.
     (4)  Remove lint, liquid, etc., with a lens tissue or its equivalent.
     (5)  Careless technique is unacceptable.
2.6.1.3  Standardization and Analysis of Samples.  Add 0.0 to 4.0 mH of
working standard solution (1 m& = 100 ug N0?) to a series of beakers.  To
each beaker add 25 m& of absorbing reagent and add sodium hydroxide (IN)
dropwise until alkaline.  Check for alkalinity by touching a glass rod to
the solution and then to pH paper (pH range 9-12).  A series of solutions,
for example, would be 0, 1, 2, 3, and 4 m&.  Analyze the standards and sample
as follows:
     (1)  If the sample has been shipped in a container, transfer the contents
          to a 50 m£ volumetric flask, using several small portions of distilled
          water.
          Note:  Before transfer of sample, check  the  level in the container to
                 confirm whether or not any sample was lost during shipment.  If
                 loss is detected, it should be recorded on the analytical data
                 sheet, and the sample discarded.
          Dilute to the mark with dibtilled, deionized water,  Trans-
          fer a 25 mfc aliquot to a porcelain evaporating dish or a 250-mi, beaker.
     (2)  Standards and samples must be alkaline before evaporation.
     (3)  Evaporate the solution (standards, blanks, and sample solutions) to
          dryness on a steam bath and then cool.
          Note:  Do not evaporate these solutions on a hot plate.  Do not evaporate
                 to bone dryness.
     (4)  Add 2 mii phenoldisulfonic acid reagent to the dried residue and titurate
          thoroughly with a stirring rod.
     (5)  Add 1 mi, distilled water and four drops of concentrated sulfuric acid.
          Heat the solution in a steam bath for three minutes with occasional
          stirring.
     (6)  Cool, add 20 m£ distilled water, mix well by stirring.

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     (7)   Add  concentrated  ammonium hydroxide  dropwise  (a 50  m£  burette
          is helpful)  with  constant stirring until  alkaline to pH  paper.
          Check  for  alkalinity  by  touching  a glass  rod  to the solution
          and  then to  a  piece of pH paper.(pH  =  9-12).
     (8)   Transfer the solution to a 100-m& volumetric  flask  and wash the
                                                       *
          beaker three times with  5-m£  portions  of  distilled  water.
          Dilute to  the  mark and mix thoroughly.
     (9)   If the sample  contains solids,  transfer a portion of the solution
          to a clean,  dry centrifuge tube and  centrifuge  or filter a portion
          of the solution.
    (10)   Measure the  absorbance of each  sample  at  410  nm (or the  previously
          determined analytical wavelength—=* 405 nm)  using the blank
          solution as  a  zero.
    (11)   Dilute the sample and the blank with a suitable amount of  distilled
          water  (to  double, triple,  etc.  the original volume) if absorbance
          fall outside the  range of the calibration curve.
          Note:   The calibration curve  should  be verified at  a low,  medium
                 and high concentration with each sample  run.
    (12)   Record  all pertinent  data  on the  laboratory data  sheet (figure  3).
2.6.2  Calculations
       Calculation errors  due to  procedure or mathematical mistakes can be
a large component of total system error.   Therefore, it is recommended that
each set of calculations be repeated or spot checked every third calcu-
lation,  preferably  by a team member other than the one that performed
the original calculations.   If a  difference greater than five per-
cent is detected,  the calculations should be checked step by step until the
source of error  is found and corrected.  A computer program is  advantageous
in reducing calculation errors.  A standardized computer program  could be
developed to treat all raw field data.   If a computer program is  used, the
original data entry should be checked and  if differences are observed, a
new computer run made.
2.6.2.1  Calibration Curve, Spectrophotomer Calibration.   Each  working
standard  (0.0 mfc , 1.0 m£,   2.0 m£,  3.0 m£ and 4.0 ml) should be  analyzed
as directed in subsection  2.5.. 1.3.  Plot a calibration curve of absorbance
versus yg N0~  per sample from the data obtained.  Check visually  for linearity.

                                     36

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                                         RUN NO.
DATE COLLECTED
DATE ANALYZED
LIQUID LEVEL CHECK
Kc, CALIBRATION
FACTOR
A, ABSORBANCE
OF SAMPLE
F, DILUTION
FACTOR
m = tag OF
N0y AS NO?
C (EMISSION,
mg/scm)
v Tstd(Vf - Va)
Pstd
A', BLANK
ABSORBANCE
Vsc (CORRECTED SAMPLE
VOLUME, rm>)
Qs, VOLUMETRIC
FLOW RATE
SAMPLES ANALYZED
BY
(Pf PA / N (Pf PA
VTf" V ~~^-K) Vf~rJ




(Equation 7-2)
m   = 2 KC AF
                             (Equation 7-3)
    = K
           sc
                             (Equation 7-4)
                   Figure  3.  NO   laboratory data sheet
                                      37

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All samples must be mixed thoroughly and the absorbance measured using


the blank solution as a zero reference.  An alternate approach is  to


measure the sample absorbance (A..) and correct for the blank absorbance


(A").


     Determine the spectrophotometer calibration factor using equa-


tion 7-1.

                            A_ + 2A0 + 3A0 + 4A,

                   K  = 100  X     2     3     4
                    c       A 2  .  . 2  .  . 2 ^  . 2
                            A   + A0  + A0  4 A,
                             1234
where
     K  = Calibration factor.
      c

     A  = Absorbance of the 100 yg N0? standard  (1 m.£ = 100 yg NO  ) .


     A  = Absorbance of the 200 yg NO  standard.


     A  = Absorbance of the 300 yg NO  standard.


     A, = Absorbance of the 400 yg N0~ standard.



2.6.2.2  Sample Volume.  Calculate the sample volume at standard  conditions


on a dry basis [760 mmHg (29.92 in Hg), 293° K  (528° R)]  by  using the


following equation.


             X    /vf - V  \ i P     P. \              /P     P.

      v    = _Jt|_U	±1 | _i  _ _i ) = Kfv,  _ 25) M- -  -i 1 (Equation  7-2)

                                                    '  \ •*- e~   •*-_•/
where
Q r*       P            \ T     T
O1—       •LA_J         \ -*• JT    •*-•/      XJ-     /\J-f   •*-•/
          std         \  f     i /               \ f    i/
                      °K
          K = 0.3855 — 77— for metric units
                     mmHg

                      °R
            = 17.65 - - ^— for English units.
                    in. Hg       s

        V   = Sample volume at standard conditions  (dry basis) , m£.
         s c

       T   , = Absolute temperature at standard conditions,  293°K  (528°R) .
        std

       P    = Pressure at standard conditions, 760  mm  (29.92  in.  Hg) .


         V  = Volume of flask and valve, m£ .


         V  = Volume of absorbing solution, 25 m£.
          3.

         P  = Final absolute pressure of flask, mm  Hg  (in.  Hg) .


         P. = Initial absolute pressure of  flask,   mm  Hg  (in.  Hg) .


         T  = Final absolute temperature of flask,  °K  (°R) .


         T. = Initial absolute temperature of flask, °K  (°R) .
                                     38

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Temperatures are converted to degrees Kelvin (Pankin) [(273 + °C) or
(460 + °F)] and all pressures are recorded to the nearest mm (tenths of
an inch) of mercury.  The absolute pressure in a flask is the barometric
pressure minus the difference in the two legs of the U-tube manometer.
2.6.2.3  Total yg NO- per Sample.  Calculate the total yg NO  per sample
by
                            m = 2 K  AF                      (Equation 7-3)
where
     K  = Calibration factor (spectrophotometer)
      £ = Sample absorbance (corrected for blank)
      F = Dilution factor (i.e., 25/5, 25/10, etc., required only if
          sample dilution was needed to reduce the absorbance into the
          range of calibration;  otherwise F = 1.)
      2 = 50/25  the aliquot factor.  (If other than a 25 mi aliquot
          was used for analysis, the corresponding factor must be
          substituted.)
2.6.2.4  Sample Concentration and Emission Rate.  Calculate the sample
concentration on a dry basis at standard conditions by equation 7-4.
                             C = K ~-                       (Equation 7-4)
                                    sc
where
       C = Concentration of NO  as NO,,, dry basis, corrected to standard
           conditions,  mg/dscm (Ib/dscf ) .
       K = 103 iHl      for metric units
               (m )
         = 6.243 x 10~5 ---  for English units.
                                      &
       m = Mass of NO  as NO  in sample, yg  (2.5.2.3)
                     X      Z.
     V   = Sample volume at standard conditions  (dry basis), m&  (2.6.2.2).
The emission rate is determined by either of the following equations:

                     ER = iriln = Q  x C               (Metric units)
where
      Q  = Volumetric rate of the effluent in scm/min at standard conditions
           on a dry basis.
       C = NO  concentration in mg/scm.
             x                   °

                                    39

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or
where
                ER(r—)  = Q  x C                (English units)
                   \ nr /     s






Q  = volumetric flow rate of the effluent in ft /hr at standard

     conditions on a dry basis as determined by the Quality Control

     document for reference Method 2 (ref.  16).


 C = NO  concentration in Ib/scf.
       X
                                      40

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SECTION III          mm. P3R FIELD TEAM SUPERVISOR

3.0  GENERAL
     The term "supervisor",  as used in this document, applies to the indi-
vidual in charge of a field team.  He is directly responsible for the
validity and the quality of the field data collected by his team.  He may
be a member of an organization that performs source sampling under con-
tract to government or industry, a government agency performing source
sampling, or an industry performing its own source sampling activities.
     It is the responsibility of the supervisor to identify sources of
uncertainty or error in the measurement process for specified situations
and, if possible, to eliminate or minimize them by applying appropriate
quality-control procedures to assure that the data collected are of accept-
able quality.  Specific actions and operations required of the supervisor
for a viable quality-assurance program are summarized in the following list.
     1.  Monitor/Control Data Quality
         a)  Direct the field team in performing field tests according to
             the procedures given in the Operations Manual.
         b)  Perform or qualify results of the quality-control checks
             (i.e., assure that checks are valid).
         c)  Perform necessary calculations and compare quality-control
             checks to suggested performance criteria.
         d)  Make corrections or alter operations when suggested perfor-
             mance criteria are exceeded.
         e)  Forward qualified data for additional internal review or
             to user.
     2.  Routine Operation
         a)  Obtain from team members immediate reports of suspicious
             data or malfunctions.  Initiate corrective action or, if
             necessary, specify special checks to determine the trouble;
             then take corrective action.
         b)  Examine the team's log books periodically for completeness
             and adherence to operating procedures.
         c)  Approve data sheets, data from calibration checks, etc.,  for
             filing.
                                    41

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     3.  Evaluation of Operations
         a)  Evaluate available alternative(s) for accomplishing a
             given objective in light of experience and needs.
         b)  Evaluate operator training/instructional needs for
             specific operations.
Consistent with the realization of the objectives of a quality assurance
program as given in section I, this section provides the supervisor with
brief guidelines and directions for:
     1.  Collection of information necessary for assessing data quality
         on an intrateam basis.
     2.  Isolation, evaluation, and monitoring of major components of
         system error.
     3.  Collection and analysis of information necessary for controlling
         data quality.
3.1  ASSESSMENT OF DATA QUALITY (INTRATEAM)
     Intrateam or within-team assessment of data quality as discussed herein
provides for an estimate of the: precision of the measurements made by a
particular field team.  Precision in this case refers to replicability: i.e.,
the variability among replicates, and is expressed as a standard deviation.
This technique does not provide the information necessary for estimating
measurement bias (see subsection 4.1.3 for a discussion of bias) which might
occur, for example, from failure to collect a representative sample, sampling
train leaks, or inadvertent exposure of the sample to ambient air.  However,
if the operating procedures given in the Operations Manual (section II) are
followed, the bias should be small in most cases.  The performance of an inde-
pendent quality audit that would make possible an interteam assessment of
data quality is suggested and discussed in subsection 4.2 of the Manual for
Managers of Groups of Field Teams.
     The primary measurement of interest here is the concentration of nitrogen
oxides (except nitrous oxide) in the sample.  The data from which this concentra-
tion is derived are:
     1.  An absorbance reading which is converted to an equivalent mass
         of nitrogen dioxide by means of a calibration of the spectro-
         photometer with standard nitrate solutions.
     2.  A sample volume, corrected to standard temperature and pressure.
                                      42

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3.1.1  Absorbance Determination
       Collaborative studies of Method 7 (refs. 1,3) showed that, for
the analytical part of this method, the laboratory-to-laboratory varia-
tion was largely due to daily within-laboratory measurement variations
rather than significant biases from laboratory to laboratory.   This within-
laboratory variation is due largely to the failure to check and recalibrate
spectrophotometers on a daily basis.  A second factor involved larger
errors when sample concentrations were low, i.e., below 2 yg/m£.  Optimal
analytical conditions for minimizing replicate variability would then in-
volve daily (or even more frequent) calibration checks and the use of only
the upper portion of the working curve (from about 2 to 4 pg/m8. concentra-
tion) for sample analysis.  Section 3.2 will include a control chart for
monitoring spectrophotometer response by means of control (known) nitrate samples.
3.1.2  Sample Volume Determination
       The sample volume is a function of the flask volume, absorbing
solution volume, initial and firal pressure readings, and initial and
final temperature readings.  Calibration of the flask and valve volume
is a relatively large source of error, and it is therefore recommended that
the volume be obtained as the mean of three determinations.  Provided that
reasonable care is exercised in making the temperature and pressure readings,
these measurements will not introduce a significant error into the volume de-
terminations.
       The largest potential source of variability in volume determination
is calculation error.  Use of a general Method 7 computer program would
eliminate this problem and has been strongly recommended  (refs.  1,3).   Field
teams should be cautioned that calculation errors are prevalent in this method,
and advised to double-check each calculation before reporting the data.  It
would also be advisable to keep a visible record posted of the number of
calculation errors found (by audit or otherwise), by date and name of person.
This w mid provide a negative incentive to exercise care in carrying out the
data processing steps.
                                      43

-------
3.1.3  Interference of Hydrogen Chloride
       The field team should be alert to the possible presence of hydrogen*
chloride in the stack gas.   Certain types of coal,  in particular, contain
chlorides and release HC1 on burning (ref.  12).   This is a negative interferent,
and the results will be biased, in an approximately linear fashion, with HC1
concentration (ref. 4).  It would be possible to make an approximate correction
for this effect if the HC1 concentration were known, but this is not likely.
However, it should be anticipated in a qualitative way that the results are
highly questionable if HC1 is a component of the stack gas.

3.2  MONITORING DATA QUALITY
     In general, if the procedures outlined in the operations manual are
followed, the major sources of variability will be in control.  It is felt,
however, that as a means of verification of data quality, as well as a
technique for monitoring personnel and equipment variability, quality control
charts are highly desirable.  These provide a basis for action with regard
to the measurement process: namely, whether the process is satisfactory and
should be left alone, or whether the process is out of control and action
should be taken to find and eliminate the causes of excess variability.
     For Method 7 it is appropriate to have a chart to monitor variability
and accuracy of the analytical phase.  The chart should plot the results of
reference (audit) samples dispersed randomly throughout an analysis period.
Specifically, the difference, d., between the true value, C   (T) , and the
                               J                           INUrt
measured value, C   (M) , is divided by the true value and the resulting
                 I'll-' /-J
number multiplied by 100 to convert to a percent, i.e.,
This value, d., is then plotted versus audit date.  An upper warning limit
and upper control limit, as well as the corresponding lower limits, are
provided to serve as indicators of data quality.  These limits are normally
established by experience; i.e., over a period of time the precision of the
technique can be established and a reasonable value for the standard devia-
tion of d. can be assigned.  Warning limits are then taken as +2a and -2o,
and control (or action) limits as +3o and -3o.

                                     44

-------
     Collaborative tests for Method 7 (refs. 1,3) showed  that, because
of dubious spectrophotometer recalibration practices,  most of the re-
producibility variation occurs in the analytical phase.   It should be
possible to reduce this analytical variation by more stringent calibra-
tion practices.  Judging from a typical calibration curve such as is
given in a collaborative study (ref.  1) and reproduced in this docu-
ment as figure 4,  if one restricts sample concentrations to those giving
absorbances  from  about 0.3 to 0.5 the calibration error should be minimized.
This can be done in some cases by dilution, but in other cases it will be
impossible due to the sample itself being of low concentration.   For pur-
poses of illustration, a a of 4% is assumed in this document.  The warning
and control limits are then 8% and 12%, respectively.   A quality control
chart is shown in figure 5.   The audit values are plotted sequentially as
they are obtained and connected to the previously plotted point with a
straight line.  Corrective action, such as review of operating technique
and/or calibration check, should be taken any time one of the following
criteria is exceeded:
     1.  One point falls outside either the upper or lower
         control (3a) limit.
     2.  Two consecutive points fall between the warning and
         control limits.
     3.  Three consecutive points fall outside the o range
         (here assumed to be +4%).
     Quality control charts also serve to point up method bias in an obvious
visual way; i.e., if a large number of points fall on the same side of the
center line representing the "true" reference value, an attempt should be
made to identify a possible cause or causes.

3.3  COLLECTION AND ANALYSIS OF INFORMATION TO IDENTIFY TROUBLE
     . n a quality assurance program, one of the most effective means of
preventing trouble is to respond immediately to indications of suspicious
data or equipment malfunctions.  There are certain visual and operational
checks that can be performed while the measurements are being made to help
assure the collection of data of good quality.  These checks are written
as part of the routine operating procedures in section II.  In order to

                                      45

-------
                                               calibration data point
                                               standard regression
                                               line
                                               regression through
                                               origin
1.0
    2.0         3.0         4.0
Standard Concentration, ug/ml, 1J07
                                                5.0
  Figure 4.  Typical calibration curve for determination
             of NO  concentration from absorbance.

-------
 12.0 -
                            UPPER  CONTROL  LIMIT
  8.0
                            UPPER  WARNING  LIMIT
  4.0
 -4.0
 -8.0
                            LOWER  WARNING  LIMIT
-12.0
                            LOWER  CONTROL  LIMIT
                                                 11       13      15
                            Audit  Numbers  (j)
                  Figure 5.  Quality control chart for d.,
                                      47

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effectively apply preventative-type maintenance procedures to the
measurement process, the supervisor must know the important variables
in the process, know how to monitor the critical variables, and know
how to interpret the data obtained from monitoring operations.  These
subjects are discussed in the following subsections.
3.3.1  Identification of Important Variables
       Determination of stack gas composition requires a sequence of
operations and measurements that yields, as an end result, a number that
represents the average concentration of a component gas for that field
test.  There is no way of knowing the accuracy, i.e., the agreement between
the measured and the true value, for a given field test.  However,  a
knowledge of the important variables and their characteristics allows the
application of quality control procedures to control  the effect of  each
variable at a given level during the field test, thus providing a certain
degree of confidence in the validity of the final result.
       Several variables can affect the expected precision and accuracy
of measurements made by Method 7.  Certain of these are related to  analysis
uncertainties and others to the collection procedure.  Major sources of error
are:
       1.  Spectrophotometer-Related Errors.  Because these errors  are the
single largest cause of both inaccuracy and imprecision in Method D, it is
very important to carry out calibrations (of both the wavelength scale and
transmittance scale) at least once each calendar quarter.  However, it is
essential that the calibration be checked every time  an analysis is done.
The check is accomplished by carefully preparing standard nitrate solutions
at low, medium, and high absorbance levels.  Because  of the advisability of
restricting analyses to the 0.3 to 0.5 absorbance range, a good set of
calibration check standards would have nitrate concentrations of 2.0, 3.0,
and 4.0 yg/m£.  Whenever there is a discrepancy  of  greater than the 3a
value for the analytical procedure, a checking-rechecking process involving
the use of another set of standard solutions and recalibration of the spectio-
photometer must be carried out until the cause of the discrepancy is de-
termined and corrected.
                                    48

-------
       A second check on spectrophotometer performance is how closely
the calibration curve regresses to zero absorbance at zero nitrate con-
centration.  It has been suggested (ref.  1) that the curve be forced through
the origin, either graphically or by linear regression.
       2.  Data Processing Errors.  Calculation errors are prevalent in
Method 7.  The collaborative studies recommend that a computer program be
written to carry out all calculations, and that all data processing be
carried out by the EPA.
       So long as calculations are done in the field, it is necessary to
emphasize to all personnel involved that great care must be taken to avoid
careless errors.  It is imperative that each person understand the calcu-
lation, so that when a miscalculation produces a clearly erroneous result
the person involved will be able to recognize that an error has occurred.
       The magnitude of data processing errors can be estimated from the
auditing program, which involves periodic calculation checks and the cor-
rection of errors turned up by these checks.  On a day-to-day basis, however,
it is important that field personnel be impressed with the importance of
rechecking all calculations before submission to the team supervisor.
       3.  Method Errors.   Because Method 7 is very tedious, especially
in the time involved and techniques of the analytical phase, there are numerous
opportunities for sample loss and/or contamination.  It is difficult to
systematically monitor technique errors in pipetting, aliquotting, and the
like.  Such errors can hopefully be minimized through careful instruction
and supervision of field and laboratory personnel.  Again, it is important
that the personnel involved have an understanding of the method in order to
be able to detect obvious mistakes and either make a correction or void the
sample.  Auditing of the analytical technique by reference samples will un-
cover serious systematic technique errors.
       4.  Interference of Hydrogen Chloride.  At least one study  (ref. 4)
has sb iwn that Method 7 results are affected by the presence of HC1, either as
the dry gas or in the form of hydrochloric acid.  If HC1 is a possible com-
ponent of the stack gas being sampled, it is important to obtain at least a
rough estimate of its concentration.  Hydrogen chloride acts as a negative
                                      49

-------
interferent,  and the magnitude of the effect is dependent on HC1 concen-
tration.  Figure 6  is taken from an SWRI study (ref.  4) which shows
that at high concentrations the effect is quite large.   Driscoll (ref. 12)
suggests the removal of chloride by an excess of silver sulfate and filtra-
tion,  prior to the evaportation step.  Another study (ref. 13) indicates
that chloride is effectively precipitated as lead chlorofluoride.   Method 7
makes  no provision for elimination of chloride or any  of several other inter-
ferents and it is not acceptable to modify the reference method.  It is de-
sirable to be aware of possible interferents, however, in order to antici-
pate the collection of bad data in their presence.

3.3.2  How to Monitor Important Variables
       Spectrophotometer readings and data processing errors are monitored
routinely by calibration checks and calculation checks.  "Method" errors are
not separately monitored other than by observation of personnel actually
carrying out the operations of sampling and analysis.   The presence and
approximate concentration of HC1 can be anticipated if the nature of the com-
busting material is known.  Table  1  summaries the variables and how they can
be monitored.
                                     50

-------
d
o
rt
(H
o

                                                                                                                                                             0)
                                                                                                                                                             tj

                                                                                                                                                             W)
                                                                                                                                                             •H
               xzidd
                                                                          51

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             Table 1.    Methods of monitoring variables
        VARIABLE
    METHOD OF MONITORING
1. a.  Spectrophotometer
       Wavelength Scale
Check against a didymium glass
spectrum.
   b.  Spectrophotometer
       Absorbance Scale
Check against a set of neutral
density filters.
2. c.  Spectrophotometer
       Calibration Curve
Check against standard nitrate
solutions of low, medium, and
high concentration.  Also check
by measurement of reference
samples.
3.  Data Processing Errors
Recalculation before submission,
as well as auditing checks.
   Method Errors
Periodic observation of personnel
actually doing sampling and
analysis.
4. HC1 Interference
Knowledge of gases, and approxi-
mate concentrations being emitted
at stack.
                                52

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 SECTION IV      MANUAL FOR MAflAGER OF GROUPS OF FIEUD TOTS

4.0  GENERAL
     The guidelines for managing quality assurance programs for use with
Test Method 7—Determination of  Nitrogen Oxide Emissions from Stationary
Sources, are given in this part of the field document.  This information  is
written for the manager of several teams that measure source emissions and
for the appropriate EPA, State, or Federal Administrators of these programs.
It is emphasized that if the analyst carefully adheres to the operational
procedures and checks of section II, then the errors and/or variations in
the measured values should be consistent with the performance criteria as
suggested.  Consequently, the auditing routines given in this section
provide a means of determining whether the stack sampling test teams of
several organizations, agencies, or companies are following the suggested
procedures.  The audit function is primarily one of independently obtaining
measurements and performing calculations where this can be done.  The pur-
pose of these guidelines is to:
     1.  Present information relative to the test method (a functional
analysis) to identify the important operations and factors.
     2.  Present a methodology for comparing action options for improving
the data quality and selecting the preferred action.
     3.  Present a data quality audit procedure for use in checking adher-
ence to test methods and for validating that performance criteria are being
satisfied.
     4.  Present the statistical properties of the auditing procedure in
order that the appropriate plan of action may be selected to yield an accept-
able level of risk to be associated with the reported results.
     These four purposes will be discussed in the order stated in the sec-
tions which follow.  The first section will contain a functional analysis
of the test method, with the objectives of identifying the most important
factors L lat affect the quality of the reported data and of estimating the
expected variation and bias in the measurements resulting from equipment
and operator errors.
                                     53

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     Section 4.2 contains sever.al actions for improving the quality of the
data; for example, by improved analysis techniques, instrumentation, arid/or
training programs.  Each action is analyzed with respect to its potential
improvement in the data quality, as measured by its precision.  These results
are then compared on a cost basis to indicate how to select the preferred
action.   The cost estimates are used to illustrate the methodology.  The
manager  or supervisor should supply his own cost data and his own actions
for consideration.  If it is decided not to conduct a data audit, sections
4.1 and  4.2 would still be appropriate, as they contain a functional analysis
of the reference method and of alternative methods or actions.
     There are no absolute standards with which to compare the routirely
derived  measurements.  Furthermore, the taking of completely independent
measurements at the same time that the routine data are being collected
(e.g., by introducing two pitot tubes into the stack and collecting two
samples  simultaneously) is not considered practical due to the constrained
environmental and space conditions under which the data are being collected.
Hence, a combination of an on-site system audit, including visual observa-
tion of  adherence to operating procedures and a quantitative performance
quality  audit check, is recommended as a dual means of independently check-
ing on the source emissions data.
     The third section contains a description of a data quality audit pro-
cedure.   The most important variables identified in section 4.1 are con-
sidered  in the audit.  The procedure involves the random sampling of n stacks
from a lot size of N = 20 stacks (or from the stacks to be tested during a
3-month  period, if less than 20) for which one firm is conducting the source
emissions tests.  For each of the stacks selected, independent measurements
will be  made of the indicated variables.  These measurements will be used
in conjunction with the routinely collected data to estimate the quality of
the data being collected by the field teams.
     The data quality audit procedure is an independent check of data col-
lection aid analysis techniques with respect to the important variables.
It provides a means of assessing data collected by several teams and/or
firms with the potential of identifying biases/excessive variation in the
data collection procedures.  A quality audit should not only provide an
                                     54

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independent quality check, but also identify the weak points in the measure-
ment process.  Thus, the auditor, an individual chosen for his background
knowledge of the measurement process, will be able to guide field teams  in
using improved techniques.  In addition, the auditor is in a position to
identify procedures employed by some field teams which are improvements  over
the currently suggested ones, either in terms of data quality and/or time
and cost of performance.  The auditor's role will thus be one of aiding  the
quality control function for all field teams for which he is responsible,
utilizing the cross-fertilization of good measurement techniques to improve
the quality of the collected and reported data.
     The statistical sampling and test procedure recommended is sampling by
variables.  This procedure is described in section 4.A.1  It makes maximum
use of the data collected; it is particularly adaptable to the small lot
size and consequently to small sample size applications.  The same sampling
plans can be employed in the qua]ity checks performed by a team or firm  in
its own operations.  The objectives of the sampling and test procedure are
to characterize data quality for the user and to identify potential sources
of trouble in the data collection process for the purpose of correcting  the
deficiencies in data quality.
     Section 4.4.3 describes how the level of auditing, sample size n, may
be determined on the basis of relative cost data and prior information
about the data quality.  This methodology is described in further detail in
the Final Report on the Contract.  The costs data and prior information  con-
cerning data quality arc Mipplied to illustrate the procedure and these  data
must be supplied by the manager of groups of field teams, depending upon the
conditions particular to his responsibi1ity.
     Figure 7  provides an overall summary of the several aspects of the
data quality assurance program as described in these documents.  The flow
diagram is subdivided into four areas by solid boundary lines.  These areas
correspond to specific sections or subsections of the document, as indicated
in the u^per right hand corner of each area.  The details are considered in
these respective sections of the document and will not be described here.
                                     55

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                                 Pollutant
                                Measurement
                                  Method
                                Functional
                                 Analysis
                                               Subsection 4.1
                            I  Estimate Ranges
                             and Distributions
                               of Variables
                 Identify and Rank
                    Sources of
                  Bias/Variation
                                         Perform Overall
                                            Assessment
                                        Subsection  4.2
                                   Data
                                  are of
                               Satisfactory
                                  Quality
                          Evaluate Action Options
                            for Improving Data
                                   Quality
         Section III
Develop Standards
    for Q.  C.
    Procedure
    Institute
  QC Procedure
  for Critical
    Variables
       QC
    Procedure
    Indicates
   Measurement
      roces
 Continue to  Use
Measurement Meth.
	as Specified
Cost of
Implementing
Actions


Select Optimal
Action and
Implement
                                 Modified
                                Measurement
                                  Method
                                                               Subsections 4.3 and 4.4
  Develop Standards
for Audit Procedure
                                                              Quality Using
                                                               Audit Data
                                                                   Data
                                                                  Quality
                                                                atisfactory
   Continue to Use
Measurement Method
  as Specified
     Figure  7.    Summary of  data quality assurance program.
                                        56

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4.1  FUNCTIONAL ANALYSIS OF THE TEST METHOD
     Test Method 7—Determination of Nitrogen Oxide Emissions from
Stationary Sources—is described in the Federal Register of December 23,
1971, and a later version is reproduced as appendix A of this document.
This method is used to determine the concentration of nitrogen oxides
(except nitrous oxide) in the stack gas.  In conjunction with the volu-
metric flow rate as measured by Method 2, a nitrogen oxides emission rate
may be determined for the source being tested.
     A functional analysis of the measurement process is performed to iden-
tify and, where possible, quantify important sources of variability.  Estimates
of the error ranges associated with intermediate measurements are made using
published data if available, and engineering judgment if data are not avail-
able.  Use is made of the results from collaborative tests of the method
(refs. 1,2,3) for overall variability and for the division of variability due to
the sample collection and analysis phases of the process.
     Special symbols and definitions used in the functional analysis include
the following:
                       C    = NO  concentration (as NO ) dry basis, corrected
                        INw      X                     ^
                          X
                              to standard conditions, mg/scm.
                       C    = The average NO  concentration (as N0?) of three
                          x
                              repetitions, where each repetition is the
                              average of four measurements.
                      CV{X} = Within-laboratory coefficient of variation,
                              percent.
                     CV, {X} = Between-laboratory coefficient of variation,
                       b
                              percent.
                     CV {X} = Laboratory bias coefficient of variation  (varia-  '
                       JLJ
                              bility in NO  determinations due to changes in
                              personnel, equipment,  and procedural details),
                              percent.
               CV{C   }/Sl2 = Repeatability coefficient of variation for NO
                   1NVJ                                                      X
                              determinations based on twelve replicates, percent,
     L{CNO } + Cv2{CNO }/12 = ReProducibility coefficient of variation for a
          X           X
                              test result based on twelve replicates, percent.
                                   57

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4.1.1  Variable Evaluation and Error Range Estimates



       The emission rate (mg/hr)  of nitrogen oxides (as N02) is calcu-


lated from measured values by the relationship




                ER = CNO  '  Qs
                        x


where Q  = volumetric flow rate,  scm/hr and C    has already been defined (4.1)
       s                                     NOX


       Both the nitrogen oxides concentration (as N0?) and  the volumetric flow


rate depend upon a number of variables.  They are further broken down in


the following discussion:



                C    = Km/V
                 N0?       sc



where   K = 10  (mfc)(mg)


                (m )(yg)
        m
Total yg N02 per sample
      V   = Sample volume at standard conditions  (dry basis), mi.
       sc



In turn,



  m = 2 K  AF
         c


where   2 = 50/25 = Aliquot ::actor



       K  = Spectrophotometet calibration factor



        F = Dilution factor (1, unless sample dilution was  required  to


            bring the absorb.ance into the calibrated range) .




          A  + 2A  + 3A3 + 4A

 K  = 100 ~j-	-y-	=——=	

          A7 + A0 + A, + A.
           1    2    j    4



where  A  = Absorbance of the 100 yg N02 standard



       A? = Absorbance of the 200 yg N02 standard



        V  = Absorbance of the 300 yg N02 standard



       A, = Absorbance of the 400 yg NO™ standard
                                   58

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The volume, V  ,  of the sample is calculated as
             sc
        V   =
              T  ,  (Vf ~ V } fP,   P.
               std  \ f    an   f    i
         sc       P . ,         T,,
                   std       If
where  T   , = 293° K .
        std


       P t , = 760 mmHg .
        std


         V  = Volume of flask and valve, mO.



         V  = Volume of absorbing solution, 25 mSL,
          a


         P, = Final absolute pressure in flask, mmHg>



         P. = Initial absolute pressure in flask, mmHg



         T, = Final temperature of flask,  K



         T. = Initial temperature of flask,  K .





       Finally, the volumetric flow rate, Q , is a function of a number


of variables, as given below:                  _           -^

                                      _            P

       Q  = 8.754 x 10^ (1-B  ) C  (/AP)
                                        avg  s
                                                    s
                                                (T )    M
                                                  s avg  s
where   B   = Proportion by volume of water vapor in the stack gas, dimensionless.
         wo


         C  = Pitot tube calibration coefficient, dimensionless.
          P


   (/AP)    ~ Average of the square roots of the velocity pressure head

        avS                         i^

              measurements, (mm HQ0) 2.


                                           2
         A  = Stack cross-sectional area, m .



         P  = Absolute stack pressure, mmHg



    (T )    = Average stack temperature,  K.
      s avg        &           r


         M  = Stack gas molecular weight on a wet basis, g/g-mole.




       A systematic analysis of the variance of ER for NOV must include
                                                         X


estimates of the variances of each parameter mentioned above.  A


variance analysis for Q  has been done and appears in the Quality
                       o

Assurance Guidelines document for Method 6, Determination of Sulfur Dioxide


Emissions from Stationary Sources.  The value of CV,  {Q } is given as 2.33%.
                                                   D   S





                                  59

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       The CV{C   } must be determined in order to obtain an estimate of
CV{ER}, since    X

          CV2{ER} = CV2{r   } + CV2{Q }.
                         NO          s
                           x
CN_  depends on both the total mass of NO  (as NO,,) and the volume of the
collected sample; i.e., on m and V  .  These must be examined for sources of
                                  sc
variability.
       A spectrophotometer calibration check must be made before each
analysis.  A collaborative study (ref. 1) of Method 7 indicates that by far
the most significant source of reproducibility variation (93%) is attributable
to negligence in recalibration procedures.  At low nitrate concentration
(1.25 pg NO^/m ), the analytical procedure was responsible for 100% of the
reproducibility variation.  It is therefore highly desirable to avoid solu-
tion concentrations that give readings on the extreme lower end of the absorbance
scale.  At a concentration of 3.75 pg NO^/mft, analytical and field procedures
accounted for about equal parts of the total reproducibility variation.  As
a general statement, the calibration curves used in the collaborative test
were found to be so imprecise that concentration readings were from 5% to
8% in error.  This translates directly to an equivalent error in the mass calcu-
lation.  The C    then may vary 5-8% unless a recalibration of the spectro-
                v
photometer is carried out before each analysis.  In addition, there is an uncer-
tainty in the value of V  , which depends on measurements of temperature,
                        S C-
pressure, and volume.  Table 2 lists reasonable reading errors in these
variables.
   Table  2.   Estimates of reading errors in determination of V

1.
2.
3.
Variable
Temperature
Pressure
Volume
Measurement Method
Dial thermometer
U-Tube manometer
Graduated cylinder
Error
± 1°K
+ 1 mm
+ 10 m£
Mean Values
300° K
700 mm
2,000 m£
% Error
0.33
0.14
0.50
                                  60

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 Propagating  these  errors  through  the equation  for  determination of
 vsc>  the maximum error  in V   should be  about  0.8%.   It  is  apparent
 that  the error in  a  determination of C     depends  largely on  the accuracy
 of the spectrophotometer  calibration and sample  readings.
         An estimate of the reproducibility is given as 7.48%, as shown in table 3.
            Table 3..   Estimate for reproducibility of ER
Variable Assumed CV2{X}*
X cvL{5Nox} = 46
CV2/i2 = 3
CV2fQg) = 5
ER (R)2 = 55
R = 7

.92
.57
.43
.92
.48
..
4.1.2  Interferences
       Hydrogen chloride has been shown to be a negative interferent (ref. 4).
The effect appears to be linear with HC1 concentration and is drastic at high
concentrations.  With a test gas of approximately 100 ppm NOX and 1120 ppm HC1,
results were 78% low.  At HC1 concentrations below 100 ppm the effect becomes
minor (less than 10%).

4.1.3  Bias
       The method shows no appreciable bias in either direction,  so
long as the absorbing solution concentration remains sufficiently high, i.e.,
within the normal working range of the calibration curve (ref. 2).
 CV  {X} values are taken from a collaborative study  (ref.  2),  and  are consistent
                                                               method — °c
                                   61

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4.2  ACTION OPTIONS
     Suppose it has been determined as a result of the functional analysis
and/or the reported data from the checking and auditing schemes, that  the
data quality is not consistent with suggested standards or with the user
                                                        4
requirements.  Poor data quality may result from (1) a lack of adherence to
the control procedures given in section II—Operations Manual, or (2)  the
need for an improved method or instrumentation for taking the measurements.
It is assumed in this section that (2) applies, that is, the data quality
needs to be improved beyond that attainable by following the operational
procedures given for the reference method.
     The selection of possible actions for improving the data quality  can
best be made by those familiar with the measurement process.  For each
action, the variance analysis can be performed to estimate the variance,
standard deviation, and coefficient of variation of the pertinent measure-
ment (s).  In some cases it is difficult to estimate the reduction in
specific variances that are required to estimate the precisions of  the per-
tinent measurements.  In such cases, an experimental study should be made
of the more promising actions based on preliminary estimates of precision/
bias and the costs of implementing each action.
     In order to illustrate the methodology,  five actions and appropriate
combinations thereof are suggested.  Variance and cost estimates are made
for each action, resulting in estimates of the overall precision of each
action.  The actions are as follows:
     AO:  Reference Method
     Al:  Take aliquots of sample so  as  to  have several replicate results
          from each sample (cost of $400  /20  field tests)
     A2:  Take integrated rather than grab  sample, and irradiate during
          sample collection to shorten absorption/oxidation step (cost  of
          $200/20 field tests)
     A3:  Thermostat spectrophotometer,  standard solutions and samples  to
          minimize absorbance variances  due to temperature fluctuations
          (cost of $250/20 field tests)
 Equipment costs are amortized over five years,  and allowance  is made  for
the continuing cost of supplies and labor.
                                    62

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     A4:  Do all calculations by a standard computer program, thus
          eliminating personnel errors in calculation of results (cost
          of $200/20 field tests)
     A5:  Conduct one-week workshop for all personnel involved in the method,
          to minimize technique errors (cost of $1,000/20 tests)
The costs given for each action are additional costs above that of the reference
method.  The assumptions made concerning the reduction in the variances (or
improved precisions) are given in the following for each action.
     Al:  The reference method allows the taking of only one aliquot, so that
          only one absorbance reading is obtained per sample.  It would reduce
          the danger of sample voiding due to laboratory handling error if
          three aliquots were taken.   Also, a mean of three absorbances would
          be more precise than a single value.  The major effect of Al then
          would be to reduce the within-laboratory relative standard deviation,
          CV.  This in turn will reduce the between-laboratory deviation,  CV^,
          since the values for NO  concentration from different laboratories
                                 X
          will be grouped more tightly about the "true" value.   Without any
          experimental data, it is impossible to verify the above assumptions,
          and certainly the estimation of numerical values for CV, CV^, and
          is subject to a great deal of uncertainty.  The estimated values
          as given in table 4  for AO through A5 serve to illustrate the
          methodology of cost-benefit analysis.  The actual costs must be
          determined in each individual situation, and the actual changes
          in CV, CV^, and CV^ could be determined as the various options
          are implemented.   Figure 8 plots added cost versus data quality
          for the various options, and includes a function curve for the
          assumed cost of reporting poor quality data.
     A2:  An integrated sample normally gives a more reliable indication of
          mean stack gas composition than a series of grab samples, since
          sharp fluctuations in composition are smoothed out over time.  A
          series of grab samples may yield a mean value for the concentration
          of NO  which is widely different from the true concentration, if
               x
          the timing of the grab samples is such that the mean does not
          reflect the true mean averaged over time.  The major effect of
                                     63

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          Table 4.    Assumed within-laboratory, between-laboratory,
                     and laboratory bias  for action options

AO
Al
A2
A3
A4
A5

Reference
Three Aliquots Per Sample
Integrated Sampling
Temperature Control During
Analysis
Calculations by Standard
Computer Program
Personnel Workshop
CV
CVR
0.58 CV*
K.
0.7 CVR
0.8 CV,.
K
1.0 CVR
0.8 CVD
R
cvb
(CVb>R
0.8(CVfe)*R*
0.7(CVb)R
0.9(CVb)R
0.90(CVb)R
0.8(CVb)R
CVL
(CVR
0.96(CVT)_
Li K
0.70(CVL)R
0.98(CVT)D
L K
0.8(CVL)R
0.73(CVL)R
ADDED COST
PER 20
FIELD TESTS
0
$ 400
$ 200
$ 250
$ 200
$1,000
**
   Values stated to one place are estimations based on engineering judgment.
                                       64

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     A2 then should be to reduce the between-laboratory coefficient
     of variation, CV^, since the values become more tightly clustered
     about the "true" value and it is assumed that  this reduction in
     CVb is reflected in CV and CV^, both becoming smaller.
A3:  Thermostating the spectrophotometer cells and solutions reduces
     the small fluctuations in absorbance values due to temperature
     changes, and thus reduces CV by making a closer correspondence
     between the calibration conditions and sample analysis conditions.
     This relatively small improvement in CV is assumed to carry over
     to both CV^ and CV^, since it amounts to fixing a parameter;
     namely, the temperature, which inAOis allowed to fluctuate with
     ambient laboratory temperature.  In order to justify the assumption
     of a carry-over improvement in CV., it must be required that
     laboratory thermometer calibrations be against an NBS set of
     calibrated thermometers.  Otherwise, different laboratories will
     be reading absorbances at different temperatures due to inaccurate
     calibration.
A4:  This recommended option serves a twofold purpose:
     1.  It eliminates human error (in the field) in calculation of the
         NOX concentration.  There remains, of course, the possibility
         of errors due to computer malfunction, key punch error, and
         the like.
     2.  It largely eliminates the illegal practice of discarding
         "bad" runs and the reporting of only "acceptable" data by
         field personnel, since the raw field data is submitted.
     Another comparable option could be the use of "canned" programs
     written for the various commercially available programmable calculators,
     These could be made available by EPA, thus allowing local calculation
     but standardizing the number of significant digits carried in each
     step, the treatment of round-off, and other aspects of the
     calculation steps.
          Since one reason for laboratory bias, CVr , could be improper
     calculation technique, A4 should in general reduce CV^.  This is
     a systematic error (bias).  In addition, a small percentage (about 3%)
                                      65

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     of random calculation errors contribute to CV.  If both CVL and
     CV are reduced, then CVj, should also be improved.
A5:  From discussing this method with experienced field testers, it
     is felt that the method requires an operator that understands the
     system and its capability.  Early detection of out-of-control
     conditions by the operator can substantially improve data quality.
     It is assumed here that crew training could affect all sources or
     variability, and therefore an improvement in all three measures
     of variability is shown.
          Figure  8  shows the results in terms of cost  and data quality.
     Data quality for this purpose is given as CV,  the  within-laboratory
     coefficient of variation.  The figure then illustrates options for the
     individual laboratory to consider.  The manager of a number of teams
     would be more interested in how CV  varies with cost, and this is given
     in figure 9.    It must be emphasized that figures 8 and  9  are given
     for illustrative purposes only and should not in themselves be con-
     sidered as basis for action by a laboratory or a group of laboratories.
     Both the reductions in CV and CV, , as well as costs, are estimates
                                     b
     based on professional judgment.  In particular, the values of CV and
     CV,  are based solely on judgment and there is no experimental evidence
     to support these values.  The figures illustrate that in principle it
     is possible to reduce the variability of Method 7 by a number of modi-
     fications of the method, and that there is a cost associated with each
     modification.
          Figures 8  and 9  also show "cost of reporting bad data" curves,
     which assume that the cost increases as the data quality decreases.
     These function curves must be determined for each specific situation
     according to the monitoring objectives of the laboratory or group of
     laboratories.
          Once determined for a given situation, graphs such as figures
     8  and 9  can be used to select an "optimal" monitoring strategy, i.e.,
     one which gives maximum increase in data quality for minimum cost.
     In both cases illustrated here, choosing strategy A2 would be optimal.
                                  66

-------
00
t—
oo
1000 -



 900 -



 800 -



 700 -



 600 -



 500 -
o
CM
§   400
00
O
Q
UJ
Q
Q
    300 -



    200  -



    100 -
                                                       QA5
              BEST ACTION
                OPTIONS
                                                         COST OF REPORTING
                                                         POOR QUALITY DATA
     Figure 8.  Added cost versus data  quality  (CV)  for  selected action options -
                                       67

-------
co
t—
00
o
CNJ

DE
UJ
D-
00
O
0
0
cC
1000


 900


 800



 700


 600



 500



 400


 300



 200


 100
                                                        OA5
                                    COST OF REPORTING
                                    POOR QUALITY DATA.
                              BEST ACTION
                                OPTIONS
                                   45
                                      cv
       Figure 9.  Added  cost  versus data quality (CV, ) for selected action options,
                                        68

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     In some instances a manager may need to know the total cost
of attaining a prescribed reduction in variability.  Figures 8 and
9  can  be used to find the method which most nearly meets the require-
ment.  The cost of implementing the method, plus the cos.t of reporting
bad quality data when that method is used, gives total cost.
     It is, of course, possible to implement a combination of two or
more action options, with costs being additive and precision values
being multiplicative (assumed independent).  For example, if Al and A3
were both implemented, the total cost would be $650 ($400 + $250) and
the values of CV and CV,  would be as given below.
                                            CV
                      CV                      b
     AO            6.56 (=CVR)          9.49 (=(CVb)R)
     Al            0.58 (CVR)           0.8  (CVb)R
     A3            0.8 (CVR)            0.9  (CVb)R
  (A1 + A3)      (0.58) (0.8)  (CVR)    (0.8)  (0.9) (CVb)
                   = 0.46 (CVR)         =  (.72)  (CVb)R
                   = 3.04               =  6.83
                                      69

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4.3  PROCEDURES FOR PERFORMING A QUALITY AUDIT
     "Quality audit" as used here implies a comprehensive system of planned
and periodic audits to verify compliance with all aspects of the quality
assurance program.  Results from the quality audit provide an independent
assessment of data quality.  "Independent" in this case implies that  the
auditor prepares a reference sample of NO in air and has the field
team analyze the sample.  The field team should not know the true
NO concentration.     From these data both bias and precision estimates  can
be made for the analysis phase of the measurement process.
     The auditor, i.e., the individual performing the audit, should have
extensive background experience in source sampling, specifically with the
characterization technique that he is auditing.  He should be able to
establish and maintain good rapport with field crews.
     The functions of the auditor are summarized in the following list:
     1.  Observe procedures and techniques of the field team during on-site
         measurements.
     2.  Have field team measure sample from a reference cylinder with
         known NO concentration.
     3.  Check/verify applicable records of equipment calibration checks
         and quality control charts in the field team's home laboratory.
     4.  Compare the audit value with the field team's test value.
     5.  Inform the field team of the comparison results specifying any
         area(s) that need special attention or improvement.
     6.  File the records and forward the comparison results with appro-
         priate comments to the manager.
4.3.1  Frequency of Audit
       The optimum frequency of audit is a function of certain costs  and the
desired level of confidence in the data quality assessment.  A methodology
for determining the optimum frequency, using relevant costs, is presented
                                     70

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in the final report for this contract.  Costs will vary among field teams
and types of field tests.  Therefore, the most cost effective auditing
level will have to be derived using relevant local cost data according to
the procedure given in the final report on this contract.

4.3.2  Collecting On-Site Information
       While on site, the auditor should observe the field team's overall
performance of the field test.  Specific operations to observe should in-
clude, but not be limited to:
       1.  Setting up and leak-testing the sampling train;
       2.  Preparation and pipetting of absorbing solution into sampling
           flask;
       3.  Sample collection;
       4.  Sample absorption, recovery, and preparation for shipment.
       The above observations can be used in combination to make an overall
evaluation of the team's proficiency in carrying out this portion of the
field test.
       Reference gas samples can be prepared by air dilution of cylinder NO
in N«.  For details, see pages 2-5 of reference 3.  These reference samples
should then be analyzed by the field team.

4.3.3  Collecting Home Laboratory Information
       The auditor must also observe the analytical phase of Method 7.  Here
he should observe the following:
       1.  Sample aliquotting technique.  This is particularly important, to
           verify that standard analytical technique is being followed.
       2.  Evaporation and chemical treatment of sample, including filtration
           and washing steps.
       3.  Spectrophotometric technique, including -
           a.  Preparation of standard nitrate samples;
           b.  Technique of making absorbance measurements, including
               measurement of blanks;
           c.  Preparation of calibration curve, including technique used for
               drawing of curve (visual, linear regression);
           d.  Wavelength and absorbance calibrations using didymium glass and
               filters.
       4.   Calculation procedure.
                                      71

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       The analysis phase of Method 7 can be audited with standard nitrate
solutions, as discussed on pages 33-36 of reference 3.

4.3.3.1  Comparing Audit and Routine Values of NO .   In field tests
                                                 -j£
the audit and routine (field team) values are compared by
where
       d. = The difference in the audit and field test results for the
        J   -th   j-     / 3
            j   audit, mg/m
m
   (N09)  = Audit value of N09 concentration, mg/
      2. 3.                    Z
         J                                                     3
   (N02) . = N0? concentration obtained by the field team, mg/m
Record the value of d. in the quality audit log book.

4.3.4  Overall Evaluation of Field Team Performance.
       In a summary-type statement, the field team should be evaluated on its
overall performance.  Reporting the d. value as previously computed is an ade-
quate representation of the objective information collected for the audit.
However, unmeasurable errors can result from nonadherence to the prescribed
operating procedures and/or from poor technique in executing the procedures.
These error sources have to be estimated subjectively by the auditor.  Using
the notes taken in the field, the team could be rated on a scale of 1 to 5 as
follows:

             5 - Excellent
             4 - Above average
             3 - Average
             2 - Acceptable, but below average
             1 - Unacceptable performance.
In conjv action with the numerical rating, the auditor should include justifica-
tion for the rating.  This could be in the  form of  a list of the team's  strong
and weak points.
                                     72

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 4.4   DATA  QUALITY ASSESSMENT
      Two aspects of data quality  assessment  are  considered in this section.
 The  first  considers a means of  estimating  the  precision and accuracy of the
 reported data, e.g., reporting  the bias, if  any,  and  the standard deviation
 associated with the measurements.  The  second  consideration is that of
 testing the data quality against  given  standards,  using sampling by vari-
 ables.  For example, lower and  upper  limits, L and U,  may be selected to
 include a  large percentage of the measurements.   It is desired to control
 the  percentage of measurements  outside  these limits to less than 10 percent.
 If the data quality is not consistent with the L  and  U limits, then action
 is taken to correct the possible  deficiency  before future field tests are
 performed  and to correct the previous data when  possible.
 4.4.1  Estimating the Precision/Accuracy of  the  Reported Data_
       Methods for estimating the precision  (standard  deviation) and accuracy
 (bias) of  the NO concentration  were given  in section  4.1.   This section will
                X
 indicate how the audit data collected in accordance with the procedure
 described  in section 4.2 will be  utilized  in order to  estimate the precision
 and  accuracy of the measures of interest.   Similar techniques can also be
 used by a  specific firm or team to assess  their  own measurements.   The
 differences between the field team results  and  the audited results for  the  re-
 spective measurements are
                         d. = (N02).  - (N02)aj.
Let the mean and standard deviation of the differences  d., where j = l, ...  n be
denoted by d, and s., respectively.  Thus
and
                                n
                         sd =
V~^        -  ?
 >    (d. - d) /(n -  1)
                                      73

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Now d is an estimate of the bias  in  the measurements  (i.e.,  relative to the
audited value).  Assuming  the audited data  to  be  unbiased,  the  existence of
a bias in the field data can be checked by  the appropriate  t-test,  i.e.,
                              t - d  -  0
                              <- —
See ref. 5  for a discussion of  the  t-test.
     If t is significantly large,  say greater  than  the  tabulated  value of t
with n - 1 degrees of freedom, which is exceeded by chance  only 5 percent
of the time, then the bias is considered  to  be  real,  and  some  check should
be made for a possible cause of  the bias.  If  t is  not  significantly large,
then the bias should be considered zero,  and the accuracy of the  'ata is
acceptable.
     The standard deviation s, is  a  function of both the  standard deviation
                             d
of the field measurements and of the audit measurements.  Assuming the audit
values to be much more accurate  than the  field  measurements, then s  is an
                                                                    d
estimate of ofNC^}, the population standard deviation  forNO_ measurements
The standard deviation, s,, can be utilized to check the  reasonableness  of
                         d                            *
the assumptions made in section 4.1 concerning afNO,,} .  For example, the
estimated standard deviation, s , , may be directly checked  against  the  assumed
value, crfNC^}, by using the statistical test procedure
                                o     2
                                2    s,
                               *_ =  _!
                               f      2
       2
where x /f is the value of a random variable having the chi-square  distri-
                                               2
bution with f = n - 1 degrees of freedom.  If x /f is larger  than the  tabu-
lated value exceeded only 5 percent of the time, then it would be concluded
that the test procedure is yielding more variable results due to faulty
equipment or operational procedure.
 Values for a{NO«} and ovfNC^}  are found by  multiplying  the values of CV or
 CV,  by the assumed value of the mean concentration  of  NO,,.  This converts
   b                                                     ^
 the percentages into concentrations.
                                      74

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     The measured values should be reported along with  the  estimated  biases,
standard deviations, the number of audits, n, and the total number  of field
tests, N, sampled (n _<_ N).  Estimates,  i.e., s, and d which are  significantly
different from the assumed population parameters, should be identified on
the data sheet.
                     2
     The t-test and x -test described above and in further  detail in  the
final report on this contract, are used  to check on the biases and  standard
deviations separately.  In order to check on the overall data quality as
measured by the percent of measurement  deviations outside prescribed  limits,
it is necessary to use the approach described in subsection 4.4.2 below.
4.4.2  Sampling by Variables
       Because the lot size (i.e., the  number of field  tests performed by a
team or laboratory during a particular  time period, normally a calendar
quarter) is small, N = 20, and because  the sample size  is,  consequently,
small (of the order of n = 3 to 8), it  is important to  consider  a sampling
by variables approach to assess the data quality with respect to prescribed
limits.  That is, it is desirable  to make as much use of the data as  pos-
sible.  In the variables approach, the  means and standard deviations  of the
sample of n audits are used in making a  decision concerning the  data  quality.
     Some background concerning the assumptions and the methodology is
repeated below for convenience.  However, one is referred to one of a number
of publications having information on sampling by variables; e.g.,  see
refs. 6-11.    The discussion below will be given in regard  to the specific
problem in the variables approach, which has some unique features as  com-
pared with the usual variable sampling  plans.  In the following  discussion,
it is assumed that only NCL measurements  are audited as  directed  in  section
4.3.   The difference between  the  team-measured and audited value  of NO
is designated  as d.,  and the mean difference over n audits by d is
                                       n
                              d = 1/n V   (NOJ. - (N02)
                                     75

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Theoretically, (NO-) and (NO'i  should be measures of the same NO2 concentration
and their difference should have a mean  of  zero  on  the  average.  In addition,
this difference should have a standard deviation approximately equal to that
associated with the measurements of NCb.
                                                                          3 *
     Assuming three standard  deviation limits, the  values  3cr = -19.7 tng/m    and
            O
+  19.7 mg/m   define the respective  lower  and upper  limits, L and U, out-
side of which it is desired to control the  proportion of differences, d .
Following the method given in ref. 9,  a procedure  for  applying the vari-
ables sampling plan is described below.   Figures 10 and 11  illustrate
examples of satisfactory and unsatisfactory data quality with respect to
the prescribed limits L and U.
     The variables  sampling plan requires the  following information:  the
sample mean difference, d, the standard  deviation of  these  differences, s,,
                                                                          d
and a constant, k,  which is determined by the  value of  p, the proportion of
the differences outside the limits of L  and U.   For example, if it is de-
sired to control at 0.10 the  probability of not  detecting lots with data
qualities p equal  to 0.10 (or 10 percent of the  individual  differences out-
side L and U), and  if the sample size n  = 7, then the value of k can be
obtained from table II of ref,, 9.   The  values of d and s,  are computed in
the usual manner;  see table 5 for formulas  and a specific  example.  Given
the above information, the test procedure is applied, and  subsequent action
is taken in accordance with the following criteria:
*          3
  19.7 mg/m  assumes for calculation purposes an N00  concentration mean of
          3                                                  i
  100 mg/m , with CV = 6.56%, so that 3cr = 3x6.56 = 19.7 mg/m
                                     76

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           Table 5.  Computation of mean difference, d, and

                     standard deviation of differences, s
General Formulas
d =
dl
d
2

A
3
d,
4
d,
5
d.
6

d7
Ed.
J

I *



2
Sd
Sd
(N02).-(N02)a.
d2,
d2
2
2
d.
3
d2
4
d2
5
d.
6
2
d7
Ed2
J
Ed.

(Ed )2
9 T
Ed. - - J —
JT-)
LI
(n~ - lT ""
-V?
Specific Example
3
Data mg/m
-17.0 289
8.5 72


0.0 0

33.9 1149

25.4 645

12.7 161


0.0 0
+63.5 2316


d - +9.1 mg/m



9
s^ - 331
d
3
s * 18.2 mg/m
d
1.  If both of the following conditions are satisfied,




          d - k s  > L = -19.7 mg/m
                 d —

                                   3
          d + k s, < U = +19.7 mg/m
                 d —



    the individual differences are considered to be consistent with the


    prescribed data quality limits, and no corrective action is required.


2.  If one or both of these inequalities is violated, possible defi-


    ciencies exist in the measurement process as carried out for that
                                     77

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                                            P - P, + Po < 0-10
     Figure 10.  Example illustrating p < 0.10 and  satisfactory  data  quality.
                                                       p (percent of measured
                                                          differences outside
                                                          limits L and U) > 0.10
  Figure 11.  Example illustrating p > 0.10 and unsatisfactory data quality.
         particular lot (group) of field tests.  These deficiencies should
         be identified and corrected before future field tests are performed.
         Data corrections should be made when possible, i.e., if a quanti-
         tative basis is determined for correction.
     Table 6 contains a few selected values of n, p, and k for convenient
reference.  Using the values of d and s  in table 2, k = 2.334 for a sample
size n = /, and p = 0.10, the test criteria become

          d - k sd =  9.1  - 2.334 x 18.2 = -33.4  < L =-19.7  mg/m3
          d + k s.
9.1 + 2.334 x 18.2 =  51.6   > U =+19.7 mg/m"
                                     78

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       Table 6.   Sample plan constants,  k for P {not detecting a lot
                 with proportion p outside limits L and u} < 0.1
Sample Size n
3
5
7
10
12
p - 0.2
3.039
1.976
1.721
1.595
1.550
p - 0.1
4.258
2.742
2.334
2.112
2.045
 Therefore,  both  conditions  are  violated  and  the  lot  of  N = 20 measurements
 is  not  consistent with  the  prescribed  quality  limits.   The plan is designed
 to  aid  in detecting  lots with 10  percent or  more defects (deviations falling
 outside the designated  limits L and U) with  a  risk of 0.10;  that is, on the
 average, 90 percent  of  the  lots with 10  percent  or more defects will be de-
 tected  by this sampling plan.
 4.4.3   Cost Versus Audit Level
        The  determination of the audit  level  (sample  size n)  to be used  in
 assessing the data quality, with  reference to  prescribed limits L and U,  can
 be  made either 1) on a  statistical basis, by defining acceptable risks  for
 type I  and  type  II errors, knowing or  estimating the quality of the incoming
 data, and specifying the described level  of  confidence  in the reported  data,
 or  2) on a  cost  basis,  as described herein.  In  this section,  cost data
 associated  with  the audit procedure are  estimated or assumed,  for the pur-
 pose of illustrating a method of approach and  identifying which costs should
 be  considered.
     A model of  the audit process, associated  costs, and  assumptions made
 in  the determination of the audit level is provided in  figure  12.   it is
 assumed that a collection of source emissions  tests for  N stacks  is  to  be
made by a particular firm,  and  that n measurements (n <_ N) are  to  be audited
 at  a cost,   C= b + en, where b is a constant  independent  of n and  c is
 the cost per stack measurement audited.  In order to make  a  specific  deter-
mination of  n, it is also necessary to make some assumptions  about  the
                                   79

-------
                      Collection of Source Emission
                        Tests (Lots of Size N)
50% of Lots
< 10% Defective


Acceptable
Quality
                                          Not Acceptable
                                               Quality
     Audit n
   Measurements
bfcn = $600
                                       50% of Lots
                                       10% Defective
   Audit n
Measurements
 Select Audit
Parameter n,  k
        Yes
                                              No


1
— — V. ib - a ^ 	
X. d - ks, >L/^
X. d Jr
' \
Data Declared
to be of
Acceptable-
Quality
i






r l


1
Data Declared
not to be of
Acceptable
Quality
s
• J_

Report
Data



4, m


A 	 f
' 1








\
i
Institute Action to
Improve Data Quality
(Correct Data if
Possible)












                                                   Data Declared
                                                     to be of
                                                   Acceptable
                                                     Quality
                                                 Expected  Cost of
                                                  Treating Poor
                                                 Quality Data as
                                                Good  Quality Data

                                                 CG|P = $15'000
                   A
              Expected Cost of
              Falsely Inferring
              Data  are of Poor
               Quality

                  $10,000
                   1
              Expected Cost
            Saving of Taking
           Correct Action with
             Respect to Poor
              Quality Data
              g    =y$7,500
Figure 12 .   Flow chart of  the audit level selection process.
                                   80

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quality of the source emissions data from several firms.  For example, it is
assumed in this analysis that 50 percent of the data lots are of good
quality, i.e., one-half of the firms are adhering to good data quality as-
surance practice, and that 50 percent of the data lots are .of poor quality.
Based on the analysis in section 4.1, good quality data is defined as that
which is consistent with the estimated precision/bias using the reference
method.  Thus if the data quality limits L and U are taken to be the lower
and upper 3a limits, corresponding to limits used in a control chart, the
quality of data provided by firmly adhering to the recommended quality as-
surance procedures should contain at most about 0.3 percent defective mea-
surements (i.e., outside the limits defined by L and U).  Herein, good
quality data is defined as that containing at most 10 percent defective mea-
surements.  The definition of poor quality data is somewhat arbitrary; for
this illustration it is taken as 25 percent outside L and U.
     In this audit procedure, the data are declared to be of acceptable
quality if both of the following inequalities are satisfied:

                              d + ks, < U
                                    d
                              d - ks  > L ,

where d and s  are the mean and standard deviation of the data quality char-
acteristic (i.e., the difference of the field and audited measurements)
being checked.  The data are not of desired quality if one or both inequali-
ties are violated, as described in section 4.3.  The costs associated with
these actions are assumed to be as iollows:
     C. = Audit cost = b + en.  It is assumed that b is zero for this exam-
      A
          pie, and c is taken as $600/measurement.
   C i _, = Cost of falsely inferring that the data are of poor quality, P,
    P| G
          given that the data are of good quality, G.  This cost is assumed
          to be one-half the cost of collecting emissions data for N = 20
          stacks (i.e., 0.5 x $1000 x 20 = $10,000).  It would include the
          costs of searching for an assignable cause of the inferred data
          deficiency when none exists, of partial repetition of data collec-
          tion, and of decisions resulting in the purchase of equipment to
          reduce emission levels of specific pollutants, etc.
                                     81

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   C  I  = Cost of falsely stating that the data are  of  good quality, G,
          given that they are of poor quality,  P.  This cost  is assumed to
          be $15,000 (= 0.75 x $1,000 x 20),  and is  associated with health
          effects, litigation, etc.
   C  i  = Cost savings resulting from correct  identification of poor quality
          data.  This cost is taken to be  $7,500, i.e., equal to one-half
          of C i   or equal to 0.375 x $1,000 x  20,  the total cost of data
          collection.
     These costs are given in figure 12 .   The  cost  data are  then used in
conjunction with the a priori information  concerning the data quality, to
select an audit level n.  Actually, the audit  procedure requires the
selection of the limits L and U, n, and k.  L  and U are determined on the
basis of the analysis of section 4.1.  The value of k  is taken to be the
value associated with n in table 6 of section  4.4.2, i.e., the value
selected on a statistical basis to control the  percentage of data outside
the limits L and U.  Thus, it is only necessary to  vary n and determine the
corresponding expected total cost E(TC) using  the following  cost model

     E(TC) = - CA - 0.5 Pp,G Cp|G + 0.5 Pp|p Cp|p - 0.5 PQ p CG|p     (22)

where the costs are as previously defined.  The probabilities are defined
in a way similar to defining corresponding costs:
     P  i  = Probability that a lot of good quality  data is falsely inferred
      r lb
            to be of poor quality, due to  the  random variations in the
            sample mean d and standard deviation, s ,  in small samples of
            size n.
     P  i  = Probability that a lot of poor quality  data is correctly identi-
            fied as being of poor quality.
     P  i  = Probability that a lot of poor quality  data is incorrectly judged
      G | P                                                        _
            to be of good quality, due to  sampling  variations of d and s.
     These three probabilities are conditional  on the  presumed lot quality
and are preceded by a factor of 0.5 in the total cost  model, to correspond
to the assumed percentage of good (poor)  quality data  lots.
     In order to complete the determination of  n, it is necessary to calcu-
late each of the conditional probabilities, using the  assumptions stated
                                    82

-------
for a series of values of n (and associated k, which is given  in  table  5).
The computational procedure is given in the Final Report of  this  contract.
These calculations were made for the cases n = 3, 5, 7, and  10 and  for  two
degrees of control on the quality of the data that can be tolerated,  i.e.,
p = 0.2 and p = 0.1, the portion outside the limits L and U  for which it
is desired to accept the data as good quality, with probability less  than
or equal to 0.10.  These computed probabilities are then used  in  conjunction
with the costs associated with each condition, applying equation  (22) to
obtain the average cost versus sample size n for the two cases p  =  0.1  and
0.2.  The curves obtained from these results are given in figure  13.  It can
be seen from these curves that the minimum cost is obtained  by using  n  - 5
independent of p.  However, it must be recognized that the costs  used in
the example are for illustrative purposes and may vary from  one region  to
another; thus, within the reasonable uncertainty of the estimated costs, it is sug-
gested  that p = 0.2 is more cost effective; this tends to permit data  of
poorer quality to be accepted.
                                     83

-------
    $8000
    $6000
    $4000
w
•u
oo
o
o

o

-------
 SECTION V                         REERENCES

 1.  Henry F. Hamil and David E.  Camann.   "Collaborative Study of Method for
          the Determination of Nitrogen Oxide Emissions from Stationary Sources
          (Fossil Fuel Fired Steam Generators)."  Final Report, EPA Contract
          No. 68-02-0623, Southwest Research Institute, San Antonio, Texas 78284.
 2.  Henry F. Hamil  et. al.  "The Collaborative Study of EPA Methods 5, 6,  and 7
          in Fossil Fuel Fired Steam Generators Final Report."  EPA Contract No.
          68-02-0623, Southwest Research Institute, San Antonio, Texas 78284.
 3.  H.  F. Hamil and R.E. Thomas.   "Collaborative Study of Method for the Determina-
          tion of Nitrogen Oxide from Stationary Sources (Nitric Acid Plants)."
          Final Report, EPA Contract No.  68-02-0626, Southwest Research Institute,
          San Antonio, Texas 78284.
 4.  Henry F. Hamil.  "Laboratory and Field Evaluations ot EPA Methods 2, 6  and
          7."  Final Report, EPA Contract No. 68--02-0626. Southwest Research
          Institute, San Antonio,  Texas 78284.
 5.  H.  Cramer.  The Elements of Probability Theory.  New York:  John Wiley  & Sons, 1955.
 6.  Statistical Research Group,  Columbia University, C. Eisenhart, M. Hastay, and
          W. A. Wallis, eds.  Techniques of Statistical Analysis.  New York: McGraw-
          Hill, 1947.
 7.  A.  H. Bowker and H. P. Goode.  Sampling Inspection by Variables.  New York:
          McGraw-Hill, 1952.
 8.  A.  Hald.  Statistical Theory with Engineering Applications.  New York:   John
          Wiley and Sons, 1952.
 9.  D.  B. Owen.  "Variables Sampling Plans Based on the Normal Distribution."
          Technometries 9, No.  3 (August 1967).
10.  D.  B. Owen.  "Summary of Recent Work on Variables Acceptance Sampling with
          Emphasis on Non-normality."  Technometrics 11 (1969):631-37.
11.  Kinji Takogi.  "On Designing Unknown Sigma Sampling Plans Based on a Wide
          Class on Non-Normal Distributions."  Technometrics 14 (1972):  669-78.
12.  John N. Driscoll. "Flue Gas Monitoring Techniques."  Ann Arbor Science
          Publishers, Inc., Ann Arbor, Michigan 48106.
13.  Herman H. Martens et. al.   "Improved Phenoldisulfonic Acid Method for Determina-
          tion of NO  from Stationary Sources."  Environmental Science and
          Technology, December, 1973.

                                       85

-------
14.  "Standards of Performance for New Stationary Sources," Federal Register, Vol. 36,
          No. 247, December 23, 1971.
15.  Walter S. Smith and D. James Groye, "Stack Sampling Nomographs for Field
          Estimations,"  Entropy Environmentalists, Inc.,  Research Triangle Park,
          North Carolina, 1973.
16.  Franklin Smith and D. E. Wagoner, and A. C. Nelson,  "Determination of Stack
          Gas Velocity and Volumetric Flow Rate,"  EPA Contract 68-02-1234,-! HA 327,
          Research Triangle Institute, Research Triangle Park, North Carolina,
          February 1974.
17.  Charles N. Reilley and D. T. Sawyer,   "Experiments for Instrumental Methods,"
          McGraw-Hill Book Company, New York, 1961.
                                       86

-------
APPENDIX A         METHOD 7 -  DETERMINATION OF NITR3GEN OXIDE
                       EMISSIONS FROM STATIONARY SOURCES
    1.   Fri ncj pie_and_Appl1cabi 1i ty
         1.1  Principle.  A grab sample is collected in an evacuated
    flask containing a dilute sulfuric acid-hydrogen peroxide absorbing
    solution, end the nitrogen oxides, except nitrous oxida, are
    ir.sesurt-:d cylcrimctrically using the phenoldisulfonic rxid (PDS)
    procedure,
         1.2  Applicability.  This method is applicable to the measure-
    ment of nitrogen oxidss omitted from stationary sources only v/hen
    specified by the test procedures for determining compliance with
    new source performance standards.  The fringe cf the method has been
    determined to be 2 to 400 milligrams NO  as N0« Per dry standard
    cubic meter without having to dilute the sample.
    2.   App.:^-5tur,
         2.1  Sampling (See Figure 7-1).
         2.1.1  Probe—Borosilicate glass tubing sufficiently heated to
    prevent water condc-nsation. end equipped with a filter (either in-st^ck
    or heated out of stack) to remove particulate matter.  Heating is
    unnecessary if the probe remains dry during the purging period.
         2.1.2  Collection flask-~Twc-liter borosilicate, round bottom
    with short neck and 24/40 standard taper opening, protected against
    implosion or breakage.
         2.1.3  Flask valve--T-bore stopcock connected to a 24/40 standard
    taper joint.
                                      87

-------
                                                         •at.
                                                         O
                                                         LU
                                                                     CO
                                                                     TO
                                                                     T3


                                                                     CO


                                                                     CJ
                                                                     >

                                                                     CO





                                                                     CD
                                                                     D)
                                                                     c

                                                                     "5.
                                                                     E
                                                                     ca
                                                                     to
                                                                     0)
88

-------
     2.1.4  Temperature nauqe--0ial-type thermometer, or eaulvalent,
capable of measurinq "l°C (2°F) intervals from -5 to 50°C (25 to 125°F).
     2.1.5  Vacuum line--Tubinq capable of withstanding a vacuum
of 75 mm l!g (3 in. Hq) absolute pressure, with "T" connection and
T-bore stopcock.
     2.1.6  Pressure nauge---U-tube nanometer, 1-meter, v/ith 1-mm
(3f--in., v/ith 0.1-in.) divisions, or equivalent.
     2.1.7  Pump—Capable of evacuating the collection flask to a
pressure equal to or less than 75 rm Hq (t in. f'g) absolute.
     2.1.R  Saueoze bulb—One-way
     2.1.9  Volunetn'c pipette—25-ml.
     2.1.10  Stopcock and around .ioint arease--A hinli vacuum, hinh
temperature chlorofluorocarbori grease is required.  Holocarbon  25-5S
has been found to be effective.
     2.1.11  Barometer—Mercury, aneroid, or other barometers cauable
of measuring eti.iosn'ncric pressure lo vrithin 2.B mm Hq (0.1 in. Ho).
In many cases, the barometric readinq rv.y be obtained from a nearby
weather bureau station, in which case the station value shall be
requested and an adjustment for elevation differences shall be applied
at a rate of minus 2.5 mm Hq (0.1 in. Hq) per 30 m (100 ft) elevation
increase.
     2.2  Samnle recovery.
     2.2.1  Volumetric pit>ette--0ne 25-ml ^or each samole.
     2.2.2  Graduated cylinder--50-ml with 1-rnl divisions.
 Mention of trade names or snecific products does not constitute
 endorsement by the Fnvironniental Protection Aoencv.
                                      89

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     2.2.3  Storage containers--Leak-free polyethylene bottles.
     2.2.4  Wash bottle—Polyethylnne or class.
     2.2.5  Class stirring rod.
     2.2.6  pH indicating test paper—To cover the pH range of  7-1 <1.
     2.3  Analysis.
     2.3.1  Volun£ln'c pipPttes--Tv.'o l~nil, t--/o P-nl, one  3-nl,  one
4--nl and t'.'o 10-ml, r.nij one 25-nl for each s;.nnle and standard.
     2.3.2  Porcelain evaporating dishes.  175 to 250-ml  canacity
\\'ith lip for poiTinq, on? for each sample snd each stanJard.  The
Coors  -^COOb (shcrnoi./-fon',i5 195 ml) has heen found to he satisfactory
     2.3.3  StPcini bach.  (A hot plate is not accentoblo.)
     2.3.4  Dropping tn'pettp or dropper--Threo required.
     2.3.5  Polyethylene policeman—One for each sannle and each
standard.
     2.3.6  Graduated cylinder--!00~ml v/ith 1-nil divisions.
     2.3.7  Volunetric flasl's-'-PO-nl (one for each sample), 100-ml
(one for each sample, each standard and one for the working standard
KN03 solution), and one 1000-ml.
     2.3.8  Spectrophotornetei—To measure absorbance at 410 nm.
     2.3.9  Graduated pipette--10-ml, with 0.1-ml divisions.
     2.3.10  pH Indicating test paper—To cover the pH range  of 7-14.
     2.3.11  Analytical balance—To measure to 0.1 mg.
3.  Reagents
     Unless otherwise indicated, it is intended that all  reagents
conform to the specifications established by  the  Committee on

 tlentior, or t.rac'e  nr.PT^ or specific products  does not  constitute
 endorsement by the fnvironnicjntal Protection  Agency.
                                90

-------
Analytical  Reagents of the American  Chemical  Society, where  such
specifications are available;  otherwise,  use  best  available  grade.
     3.1  Sampling.
     3.1.1   Absorbing solution—Cautiously add 2.8 ml concentrated
HpSO^ to 1  liter of deionized, distilled  water. Mix well  and  add
G IT-! of 3 percent hydrogen peroxide, freshly  nrenarec! from 30  percent
hydrooen pericxic'c solution.  The solution should  be used within
one week of its preparation.  Po not expose to extreme  heat or direct
sunlinht.
     3.2  Sample recovery.
     3.2.1   Sodium hycYoxide  (1 P)--Dissolve  40 g  NaOH  in deionized,
distilled water and dilute to 1 liter.
     3.2.2  1,'ater—Deionized, distilled to conform to  ASTM specifica-
tions 01193 72, Type 3.
     3.3  Analysis.
     3.3.1   Funn'no sulfuric acid--!5 to IB percent by weight free
sulfur trioxide.  Handle with caution.
     3.3.2  Phenol--White solid.
     3.3.3  Sulfuric acid—Concentrated,  95%  minimum assay.   Handle
with caution.
     3.3.4  Potassium nitrate—Dried at 105-110° C for a minimum of
two hours just prior to preparation  of standard solution.
     3.3.5  Standard solution—Dissolve exactly 2.1980  g of dried
potassium nitrate  (KNO^) in deionized, distilled water  and dilute
to 1 liter with deionized, distilled water in a 1000-ml volumetric
                                91

-------
flask.  For the working standard solution,  dilute 10 M!  of the
standard solution to 100 ml  v/ith deionized  distilled water.   One rnl
of the working standard solution is equivalent to 100 yq nitrogen
dioxide (NOg).
     3.3.6  Water~~Dcioni?.ed, distilled as  in section 3.2.2.
     3.?.7  Phenoldisiilfonic acid solution—Dissolve 25  g of  pure
white phenol in 1"0 nil concentrated sulfuric acid on a steam  bath.
Cool, add 75 ml fumino sulfcric acid, and heat at 100°C  (212°F)  for-
2 hours.-  Store in a dark, stoppered bottle.
4.  Procedure
     4.1  Sampling.
     4.1.1  Pipette 25 ml of absorbing solution into a sample flark,
retaining a sufficient quantity for use in  preparing the calibration
standards.  Insert the flask valve stooper  into the flask with the
valve in the ''purge" position.  Assemble the sampling train as shown
in figure 7-1 and place the probe at the sampling noint.  Make sure
that all fittings are tight and leak free,  and that all  ground glass
joints have been properly greased with a high vacuum, high temperature
chlorofluorocarbon-based stopcock grease.  Turn the flask valve and the
pump valve to their "evacuate" positions.  Evacuate the flask to
75 nn Hg  (3 in. Hg) absolute pressure, or less.  Evacuation to a lower
pressure  (approaching the vapor pressure of water at the existing
tenperaturc) is even more desirable.  Turn the pump valve to its "vent"
position and turn off the pump.  Check for leakage by observing the
                               92

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manometer for any pressure fluctuation.  (Any variation qreater than
10 nm Hg (0.4 in. Hg) over a period of 1 minute is not. acceptable, and
the flask is not to be used until the leakp.oo problem is corrected.
Pressure in the flask is not to exceed 75 mm Hq (3 in. Hg) absolute
at the time sampling is commenced.)  Record the volume of the flask
and valve (V,.), the flask terporature (T.). arid the barometric pres-
sure.  Turn the t'lfisk valve ccunterclochn'so to its ''rurqe" position
and do the same with the pump valve.  Purqe the probe and the vacuum
tube using the squeeze bulb.  If condensation occurs in the probe
and the flask valve area, heat the probe and purae until the con-
densation disappears.  Then turn the pump valve to its "vent" position.
Turn the flask valve clockwise to its "evacuate" position and record
the difference in the mercury levels in the manometer.  The absolute
internal pressure in the flask (P.) is equal to the barometric pres-
sure loss the manometer reading.  Immediately turn the flask valve to
the "sample" position and permit the gas to enter the flask, until
pressures in the flask and sample line (i.e., duct, stack) are
virtually equal.  This will usually require about 15 seconds.  A
longer period indicates a "plug" in the probe which must be corrected
before sampling is continued.  After collecting the sample, turn the
flask valve to its "purge" position and disconnect the flask from
the sampling train.  Shake the flask for at least 5 minutes.
     4.1.?  If the gas being sampled contains insufficient oxygen for
the conversion of HO to NO., e.g. an applicable suboart of the standard
                               93

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may require taking a sample of a calibration gas mixture of MO in fL,
then oxynsn shall be introduced into the flask to permit this con-
version.  Oxygon may be injected into the flask after sampling or
the sampling may be terminated with a minimum of two inches of mer-
cury vacuum remaining in the flask.  This final pressure is recorded
and then the flask is vented to the atmosphere until the flask pressure-
is almost equal to atmospheric pressure.
     4.2  Sample recovery.
     4.2.1  Lt-t the flask set for a mini nun of 16 hours and then
shake the contents for 2 minutes.  Connect the flask to a mercury
filled IJ-tuhc mar.orcter, open the valve from the flask to the
manometer,, and record the flask temperature (I,), the barometric
pressure and the difference between the mercury levels in the
manometer.  The absolute internal pressure in the flask (PJ is
the barometric pressure less the manometer reading.  Transfer the
contents of the flask to a leak-free polyethylene bottle.  Rinse
the flask twice with 5-ml portions of deionized, distilled water
and add the rinse water to the bottle.  Adjust the pH to 9 - 12 by
adding sodium1 hydroxide (1 M) dropwise  (about 25 to 35 drops).  Check
the pH by dipping a stirring rod into the solution and then touching
it to the pH test paper.  Remove as little material as possible
during this step.  Mark the height of the liquid level to deter-
mine whether or not leakage occurred during transport.  Label
container to clearly identify its contents.  Seal the container
for shipping.
                                94

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     4.3  Analysis.
     4.3.1  Note level of liquid in container and confirm whether
or not any sorple was lost durinn shipment by notino this on
analytical data sheet.  Transfer the contents of the shipping con-
tainer to a 50-ml volui.tctric flask, rinse the container twice with
5-rnl portions of deiotii^d, distilled water, add the rinse water
to the flask and dilute to the mark with deionizod, distilled water.
fl'ix thorouohly and pipette a 25-ml aliauot into the porcelain evapo-
rotinn dish.  Fvaporate the solution to dryn^ss on a steam bath and
allow to cool. • (Use only o steam bath--a hot ol?te is not acceptable.)
Add 2 ml phenoldisulfonic acid solution to the dried residue and triturate
thoroughly «''i Ui a polyethylene policeman.  Make sure the solution
contacts all the residue.  Add 1 nl deionizrd, distilled water and
four drops of concentrated sulfuric acid.  Meat the solution on a
steam bath for 3 minutes with occasional stirrir.o.  Cool, add 20 nil
deionizec1, distilled water, mix well by stirrinq and add concen-
trated ammonium hydroxide dropwise with constant stirrinq until nH
is 10 (as determined by pH paper).  If the sample contains solids,
filter throuph Whatman No. 41 filter paper into a 100-ml volumetric
flask; rinse the evaporating dish with three 5-ml portions of de-
ioin'zed, distilled water and add these to the filter.  Mash the
filter with at least three 15-ml portions of deionized, distilled
water.  Add the filter washinqs to the contents of the volumetric
flask and dilute to the mark with deionized, distilled water.  If
                                95

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solids are absent, transfer the solution directly to the 100-ml



volumetric flask and dilute to the nark v/ith deionized, distilled



water.  Mix thoroughly and measure the absorbance at 4in nn using



the blank solution as a zero reference.  Dilute the samole and the



blank vn'th a suitable amount of deionized, distilled water if ahsorbance



exceeds A», the absorbance of the "00 yg f!0« standard  (See section 5.3).



5 •  Q_oJ j_b r?.t i_cn_



     5.1  Flask volume.  Assemble the flask and flask  valve and fill



v.'ith water to the stopcock.  Measure the volume of water to ± 10 ml.



Number and record the volume on the flask.



     5.2  Spectrcphotoiiieter calibration.  Add 0.0 ml,  1.0 ml, 2.0 ml,



3.0 ml and 4.0 ml of the K'Nn  workinn standard solution (1 ml = 100 jig
                            >J


N0?) to a series of five porcelain evaporatinq dishes.  To each, add



25 ml of absorbing solution, 10 nl deionized, distilled water and



sodium hydroxide  (1 N) dronwise until the pH is 9-12  (about 25 to



35 drons each).  Retiinning with the evaporation step,  follow the



analysis procedure of  Section 4.3 to collect the data  necessary



to calculate the calibration factor  (Section 5.3).  This calibration



procedure nust be repeated on each day  that samples are analyzed.



      5.3  Determination of spectrophotometer calibration factor K  .
                                                                 \*




                   A,  + 2A? -f 3A~ -f 4A.

           K  = 100 —-	-	4	-                Equation 7-1.
                                96

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v.'here:



     K  * Calibration factor.
      \*


     A, = Absorbance of tho TOO yo NfL  standard.



     Ap = Absorhraice of the 200 yq NO   standard.



     A0 = Absorhfincp of the 300 y0 NO,,  st.yndard.
      O                           '   f.


     A|/t = Absorbancr- of tho 400 yn N09  standard.




     5.4  Barometer.  Calibrate anainvt a mercury  barometer.



     5.5  Toiiiporatin-o nauno.  Calibrate dial  thtrnicmfitors



nercury-in-qlass thermometers.




6.   Calcula'cions



     Carry out the calculations,  reteininq  at leas I  one  extra decinal



figure beyond that of the acpuirod data.  Round  off  finures after



final calculations.



     6.1  Ncrrenclature.



          A - Absorbance of sample



          C = Concentration of NO as NO   dry basis, corrected to
                                  x       <.


              standard conditions, mq/dscn  (lb/dscf).



          F = Dilution factor (i.e., 25/5,  25/10,  etc, required only



              if sample dilution  was needed to reduce the absorbance



              into the range of calibration).



          K = Spectrophotor.ieter calibration factor.
                               97

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          m    = Mass of NO  as N05 in gas sample, yg.
                           X      c
          P^   = Final absolute pressure of flask, mm Hg (in. Hg).
          P.   = Initial absolute pressure of flask, mm Hg (in. Hg).
          Pstd = standard absolute pressure, 760 mm Hg (2D.92 in. Ho)
          T,.   = Final absolute temperature of flask,  K (°k).
          Ti   = Initial absolute temperature of ricisk, °K (°K).
          Tstd = standard absolute temperature, J?G3°K (E28°R).
          V    - Seraple volume- ~t standard conditions (dry basis), r,;l
           o **f
          Vf   ~ Volume of flask and v^lve, ml.
          V    = "oiur.e of absorbing solution, ?b ml.
           a
          2    - 50/25. the aliquot factor.  (If other ti.on o 25-ml
                 aliquot was used for analysis, the corresponding
                 factor riu:t be substituted.)
     6,2  Sample- volume, dry bets is, corrected to standard conditions.
 sc
where:
Tstd /., v \
Pstd ( f &)
"f - Pi"
Tf T
= K (vf - 25 ml)
"pf
Jf
P.
TI
                                                Equation 7-2
     i/     n oocr   K     for metric units
     K  =  °'3855 r^TTlg
        = 17.65  ---Anr   for FngHsh units
     6.3  Total yg N02 Per sample
     rn
Equation 7-3
     Note:  If other than a 25-ml aliquot is used for analyses,
     the factor 2 must be substituted by a corresponding factor.
                              98

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     6.3  Sample concentration, dry basis, corrected to standard
conditions.

     C  =  K  -v— -                               Equation 7-4
               sc
where:
    K  =  103       rr..    for metric units
              (nT) (jig)
                   -5  lb/crf   r
      =  6.243 x 10    --~£T   for English units.
                        V \jl ''' *
     7.1  Standard Methods of Chcrrical  Arif'lysis.   6th ed.  New York,
D. Van Nostrand Co., Inc., 1962, vol. 1, p.  3P9-330.
     7.2  Standard Method cf Test Tor Oxides of Nitronsn in Gaseous
Combustion Products (Phcnoldiculfonic Acid Procedure), In:   1968 Book
of ASTM Standards, Pert 23, Philadelphia, Pa., 1968,  ASTM Designation
D-16C8-50, p. 725-729.
     7.3  Jacob, M.B.,  The Chemical  Analysis of Air Pollutants, flew  York,
N. Y., Intersclsnce Publishers, Inc., 1960,  vol.  10,  p.  351-3E6.
     7.4  Beatty, R. L., Berger, L.  B.  end Schrenk, H. H.,  Detemii nation
of Oxides of Nitrogen by the Phenol disulfcnic Acid Method,  R. I. 3687,
Bureau of Mines, U. S.  Dept. Interior,  February (1943).
     7.5  Hami'l , H. F., end Camann,  D.  E., Collaborative Study of Method
for the Determination of Nitrogen Oxide Emissions from Stationary
Sources (Tossil Fuel-Fired Steam Generators), Southwest Research
Institute report for Environmental Protection Agency, October 5, 1973.
     7.6  Hamil, H. F., and Thomas,  R.  E., Collaborative Study of
Method for the Determination of Nitrogen Oxide Emissions from
Stationary Sources (Nitric Acid Plants), Southwest Research Institute-
report for Environnental Protection Agency,  May 8, 1974.
                                     99

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APPENDIX B        ILLUSTRATED AUDIT PROCEDURES AND CALCULATIONS
     A flow chart of the operations involved in an auditing program, from
first setting desired limits on the data quality to filing the results, is
given in the following pages.  Assumed numbers are used and a sample
calculation of an audit is performed in the flow chart.  Each operation has
refeiences to the section in the text of the report where it is discussed.
                                   100

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WNAGER
1.  LIMITS FOR DATA QUALITY CAN BE SET BY WHAT
    IS DESIRED OR FROM THE NATURAL VARIABILITY
    OF THE METHOD WHEN USED BY TRAINED AND
    COMPETENT PERSONNEL.   FOR THIS EXAMPLE, IT
    IS ASSUMED THAT o{N02}  = 6.56 mq/m3
    (subsec.  4.1)*, AND DSING_± 3 a {N02K THE  ,
    LIMITS ARE L  =  -19.7 mg/m3 AND U = 19.7 mg/mJ

2.  FROM PRIOR KNOWLEDGE  OF DATA QUALITY, ESTIMATE
    THE PERCENTAGE OF FIELD MEASUREMENTS FALLING
    OUTSIDE THE ABOVE LIMITS.   IF NO INFORMATION
    IS AVAILABLE, MAKE AN EDUCATED GUESS.  IT IS
    ASSUMED IN THIS EXAMPLE THAT 50 PERCENT OF THE
    FIELD DATA ARE OUTSIDE THE LIMITS L AND U
    (subsec.  4.4.3).

3.  DETERMINE:  (1) COST  OF CONDUCTING AN AUDIT,
    (2) COST OF FALSELY INFERRING THAT GOOD DATA
    ARE BAD,  (3)  COST OF  FALSELY INFERRING THAT
    BAD DATA ARE  GOOD, AND (4) COST SAVINGS FOR
    CORRECTLY IDENTIFYING BAD DATA (subsec. 4.4.3).

4.  DETERMINE THE AUDIT LEVEL EITHER BY (1) MINI-
    MIZING AVERAGE COST USING EQUATION 22 OF
    SUBSECTION 4.4.3, OR  (2) ASSURING A DESIRED
    LEVEL OF CONFIDENCE IN THE REPORTED DATA
    THROUGH STATISTICS.   FOR THIS EXAMPLE, THE
    AUDIT LEVEL IS TAKEN  AS n = 5 (fig.  13).

5.  BY TEAMS, TYPES OF SOURCES, OR GEOGRAPHY,
    GROUP FIELD TESTS INTO LOTS (GROUPS) OF ABOUT
    20, TO BE PERFORMED IN A PERIOD OF ONE
    CALENDAR QUARTER.

6.  SELECT n OF THE N TESTS FOR AUDITING.  COMPLETE
    RANDOMIZATION MAY NOT BE POSSIBLE DUE TO AUDI-
    TOR'S SCHEDULE.  THE  PRIMARY POINT IS THAT THE
    FIELD TEAM SHOULD NOT KNOW IN ADVANCE THAT
    THEIR TEST IS TO BE AUDITED.

7.  ASSIGN OR SCHEDULE AN AUDITOR FOR EACH FIELD
    TEST.
   SET DESIRED
 LOWER AND UPPER
 LIMITS FOR DATA
QUALITY, L AND U
ESTIMATE AVERAGE
QUALITY OF FIELD
DATA IN TERMS OF
     L AND U
  DETERMINE OR
 ASSUME RELEVANT
      COSTS
 DETERMINE AUDIT
   LEVEL FROM
 STATISTICS, OR
  AVERAGE COST
GROUP FIELD TESTS
INTO LOT SIZES OF
  ABOUT N = 20
 RANDOMLY SELECT
 n OF THE N TESTS
  FOR AUDITING
 ASSIGN/SCHEDULE
 AUDITOR(S) FOR
 THE n AUDITS
 Based on a 100  mg/m  sample mean and CV = 6.56%.
                                  101

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 AUDITOR
 8.   THE AUDITOR OBTAINS APPROPRIATE CALIBRATED          8
     EQUIPMENT AND SUPPLIES  FOR THE AUDIT
     (subsec.  4.3).

 9.   OBSERVE THE FIELD TEAM'S PERFORMANCE OF THE         9
     FIELD TEST  (subsec. 4.3.? AND 4.3.3) AND NOTE ANY
     UNUSUAL CONDITIONS THAT OCCURRED DURING
     THE TEST.

10.   THE AUDITOR'S REPORT SHOULD INCLUDE (1) DATA       10
     SHEET FILLED OUT BY THE FIELD TEAM ,
     (2) AUDITOR'S COMMENTS, (3) AUDIT DATA SHEET
     WITH CALCULATIONS , AND (4) A SUMMARY  OF THE
     TEAM'S PERFORMANCE WITH A NUMERICAL RATING
     (subsec.  4.3.4).

11.   THE AUDITOR'S REPORT IS FORWARDED TO THE           11
     MANAGER.
 WNAGER

12.   COLLECT THE  AUDITOR'S REPORTS FROM THE n           12
     AUDITS OF THE LOT OF N STACKS.   IN THIS
     CASE n = 7 AND ASSUMED VALUES FOR THE
     AUDITS ARE d,  =-17, d2 = 8.5, d3  = 0,
     d.  =33.9, ds = 25.4, dfi = 12.7, and d7  = 0
     (table 5).

13.   CALCULATE 
-------
15.   OBTAIN THE VALUE OF k FROM TABLE 6, FOR n = 7      15
     AND p = 0.1.   THIS VALUE IS 2.334, THEN
     d + k sd = 51.6 mg/m3 AND  3 -  k  sd  = -33.4 mp/m3
     (subsec. 4.4.2).
16.   COMPARE THE ABOVE CALCULATIONS WITH LIMITS         16
     L AND U (subsec.  4.4.2).   FOR THIS EXAMPLE

              d~ + k sd =51.6 > U = 19.7 mg/m3
              d - k sd = -33.4  < L = -19.7 mg/m3

     BOTH CONDITIONS ARE VIOLATED.

17.   STUDY THE AUDIT AND FIELD DATA FOR SPECIFIC        17
     AREAS OF VARIABILITY, SELECT THE MOST COST-
     EFFECTIVE ACTION OPTION (S) THAT WILL RESULT
     IN GOOD QUALITY DATA (subsec. 4.2).  NOTIFY
     THE FIELD TEAMS TO IMPLEMENT THE SELECTED
     ACTION OPTION(S).

18.   A COPY OF THE AUDITOR'S REPORT SHOULD BE  SENT      18
     TO THE RESPECTIVE FIELD TEAM.  ALSO, THE  DATA
     ASSESSMENT RESULTS, i.e.,  CALCULATED VALUES OF
     d, sd, AND COMPARISON WITH THE LIMITS L AND U
     SHOULD BE FORWARDED TO EACH TEAM INVOLVED IN
     THE N FIELD TESTS.

19.   THE FIELD DATA WITH AUDIT RESULTS ATTACHED ARE     19
     FILED.  THE AUDIT DATA SHOULD REMAIN WITH THE
     FIELD DATA FOR ANY FUTURE USES.
                                                                CALCULATE
                                                                d + k sd
                                                                   AND
                                                                d - k sd
                                                                 COMPARE
                                                                (16) WITH
                                                                 L AND U
                                                                 MODIFY
                                                               MEASUREMENT
                                                                 METHOD
                                                                 INFORM
                                                               FIELD TEAMS
                                                                OF AUDIT
                                                                 RESULTS
                                                                FILE AND
                                                              CIRCULATE  OR
                                                              PUBLISH FIELD
                                                                  DATA
                                    103

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APPENDIX C                 GLOSSAL OF SYMBOLS

     This is glossary of symbols as used  in  this document.   Symbols  used  and
 defined in the reference method  (appendix A)  are not repeated here.

 SYMBOL                                  DEFINITION
   N            Lot size, i.e., the number of  field  tests  to  be  treated  as
               a group.
   n            Sample size for the quality audit (section IV).
 CV{x}          Assumed or known coefficient of variation  (100 Ox/Px)•
 A
 CV{X>          Computed coefficient of variation (100 sxAx)  from a finite
               sample of measurements.
 a{x)          Assumed standard deviation of  the parameter X (population
               standard deviation).
 /v
 T{X}          Computed bias of the parameter X for a finite sample
               (sample bias).
  d.           The difference in the audit value and the value of NC^
               arrived at by the field crew for the j   audit.
  d            Mean difference between (N0«) . and (NO,) .  for n audits.
                                          2 3        2 aJ
  s ,           Computed standard deviation of differences between (N00) .  and
   d                                                                 ^ j
  p            Percent of measurements outside specified limits L and U.
  k            Constant used in sampling by variables (section IV) .
p{Y}           Probability of event Y occurring.

 t/   ..,.       Statistic used to determine if the sample bias, d, is
               significantly different from zero (t-test).
 2                                                                  2
X /(n -1)      Statistic used to determine if the sample variance, s , is
                                                                   r\
               significantly different from the assumed variance, <3L , of
               the parent distribution (chi-square test).
                                    104

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APPENDIX C           GLOSSARY OF SYMBOLS  (CONTINUED)

 SYMBOL                                  DEFINITION
   L            Lower quality limit used in sampling by variables.
   U            Upper quality limit used in sampling by variables.
   CL           Center line of a quality control chart.
  LCL           Lower control limit of a quality control chart.
  UCL           Upper control limit of a quality control chart.
   NO,,           Nitrogen dioxide reported by the field team for field test,
(NO,,)            Nitrogen dioxide concentration used in an audit check.
   ^- a
(N00)            Measured  value of  a calibration gas.
   <£ m
(NO-)            Assayed or known value of a calibration gas.
                                    105

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APPBIDIXD
       GLOSSARY OF TERNS
      The  following glossary lists and defines  the statistical  terms as used
 in this document.
 Accuracy
 Bias
 Lot
Measurement method
Measurement process
 Population
 Precision
 Quality  audit
 Quality  control
      L neck
 Sample
A measure of the error of a process expressed  as a
comparison between the average of  the measured values
and the true or accepted value.  It is a function of
precision and bias.
The systematic or nonrandora component of measurement
error.
A specified number of objects to be treated as a
group, e.g., the number of field tests to be conducted
by an organization during a specified period of time
(usually a calendar quarter).
A set of procedures for making a measurement.
The process of making a measurement, including method,
personnel, equipment, and environmental conditions.

The totality of the set of items, units,  or measure-
ments,  real or conceptual, that is under considera-
tion.
The degree of variation among successive, independent
measurements (e.g., on a homogeneous material) under
controlled conditions, and usually expressed as a
standard deviation or as a coefficient of variation.
A management tool for independently assessing  data
quality.
Checks made by the field crew on certain items of
equipment and procedures to assure data of good
quality.
Objects drawn, usually at random,  from the lot for
checking or auditing purposes.
              106

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TECHNICAL xilPOnT DATA
IPn :',.' if -J l:*zr... ' ." - ".'. ; . r, -'••• :•< /."•' n''1 rl.li'irl
i
j
7
9
•'-- -V ,1 i \ J J. 3 P.LC1
EPA-650/4-74-005f
*ni_r. A\I.-' '. ^ MO T_t s FIEPO
fiiiirlpl "inpr for PlpvplnnrnpiTr of a Duality A^^uranrp i™uv
Program - Determination of Nitrogen Oxide Emissions 6' PfcRF
from Stationary Sources.
AUTHOPi ji B. PEPF
J. W. Buchanan, D. E. Wagoner
PCHFOrf,;ir,3 OP " ANIZATI O\ \A\lt AND ^ODPi.SS 10. PRC
Research Triangle Institute 1HA
P.O. Box 12194 11 CON
Research Triangle Park, North Carolina 27709 62-
12 Sf'ONSOni\G AGt.NCY NAX'l AND ADPrtESS 13. TYP
flffirp nf RpQPayrh anrl Dpupl nnmpnt

U.S. Environmental Protection Agency :4 SPO
Washington, D. C. 20460
•it N r ;; ACCLSSIOV NO.
RT DATE
ember
GI1MING ORGANIZATION COOt
ORMING ORGANIZATION hLHOHT NO
GRAM fcLfcMENT NO.
327
TRACT/GRANT NO.
02-1234
t" OF REPORT AND P F R i O O •_ "> V L P. ^ 'J
NSOR1NG AGENCY CODE
15 frOf PLEMFNTAFiY NOTES
16. ABSTRACT
Guidelines for the quality control of stack gas analysis for nitrogen oxides,
except nitrous oxide, emissions by the Federal reference methods are presented.
These include:
1. Good operating practices.
2. Directions on how to assess performance and to qualify data.
3. Directions on how to identify trouble and to improve data quality.
4. Directions to permit design of auditing activities.
The document is not a research report. It is designed for use by operating
personnel .
IV KC Y UGRO3 AND DPCU '. II V T A N f> L YS , E

ot£CR.rroHr> b.iDEMificns OPE. vi ENDF.
Quality assurance
Quality control
Air pollution
Gas sampling
Stack gases

Unlimitpfl llncla^-jfiprl
20 iCCURI VV tLAL.", , . (in;;
Unclassified
D TERMS ^. COSATI 1 n Id i ,r. 1.1,1
13H
14D
13B
14B
21B
113
Js'iV 22. PRICL
107

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