Air Programs  Policy
and Guidance  Notebook
   US. ENVIRONMENTAL PROTECTION AGENCY
       Office of Air, Noise, and Radiation
    Office of Air Quality Planning and Standards
   Research Triangle Park, North Carolina 27711

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                          AIR PROGRAMS  POLICY
                      AND  GUIDANCE NOTEBOOK
 INTRODUCTION
    Section 301 (a)  (2) of the Clean Air Act requires EPA to disseminate national policy and guid-
ance to Regional  and State officials to help assure uniform and consistent implementation of the
air  programs  under  the Clean Air Act.  The Air Programs Policy and Guidance Notebook,  with
this issuance, includes air programs material within the organizational components of the Office
of Air, Noise, and Radiation (OANR). This includes the Office of Air Quality Planning and Stand-
ards (OAQPS),  the  Office of Mobile Source Air  Pollution Control (OMSAPC), and the Office of
Transportation and  Land  Use Planning (OTLUP); materials for other programs, such as the Office
of  Enforcement or  the Office of  Research and  Development, will  be disseminated separately by
these  organizations.  Therefore, the notebook should not be considered  a complete  and formal
documentation of all EPA policy for all air programs.

    The notebook represents a  collection  of  material previously distributed which can be  used
as a handy reference for officials involved in the development and implementation of air pollution
control  programs.  The material is organized according to sections of the  Clean Air Act and  con-
tains a table of contents and a subject cross index.

    The documents  in  each section have been assigned code numbers relating to the respective
section  of the Clean Air Act, the date of issuance for  the documents, and a number denoting the
order  or location  of the  documents in each section of the notebook.  For example, a document
coded PN  172-80-01-23-025 would indicate:

    Policy Notebook
    Section 172 of the Clean Air Act
    80-01-23 - January 23, 1980 - date of initial distribution of the document
    025 - 25th item compiled in Section 172.

    The subject index located in the back  of  the book lists code numbers for all  documents re-
lating to the  individual topic or subject.  For example:   public participation has two document
numbers listed:  PN 110-79-10-02-022 and PN 172-78-11-01-010.  This  indicates that one docu-
ment is  compiled  in Section  110 and one in Section 172.  They can readily be located  in the book
using the example coding information above.

    Documents  within each section are arranged in chronological order, that  is, the most current
documents appear first in any given section.

    Distribution is being made to  EPA Regional  Offices, officials of State and local agencies, and
the  Public Information Reference  Unit (PIRU) at EPA's offices in Washington, D.C.  Copies will
be available for public  inspection  and copying at PIRU and at each Regional Office.  Recipients
of the notebook will receive  periodic updates.

    For  additional   information   specific  to  the notebook  please contact:  (FTS) 629-5437;
Commercial (919) 541-5437.

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Table of Contents and
Title Listing by Clean Air Act (CAA) Section

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                         TABLE OF CONTENTS
   INTRODUCTION
   TITLE LISTING BY CAA SECTIONS
•  CAA SECTIONS
         107
         110
         115
         123
         124
         126
         129
         165
         171
         172
         175
         176
         406
               TITLE
Air Quality Control Regions
Implementation Plans
International Air Pollution
Stack Heights
Assurance of Adequacy of State Plans
Interstate Pollution Abatement
Nonattainment Areas
Preconstruction Requirements
Part D - Definitions
Nonattainment Plan Revisions
Grants
Limitations on Certain Federal Assistance
Savings Provision; Effective Dates
   TAB HEADING
       AQCRs
        SIPs
    Infl Air Poll.
     Stack Ht's.
   Plan Adequacy
      Interstate
       Offsets
  Preconstr. Reqm'ts.
     Definitions
       0X/CO
Transportation Planning
      Sanctions
    Pay Reqm'ts.
   SUBJECT INDEX

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                     TITLE LISTING BY CAA SECTION
Section 107: Air Quality Control Regions


PN107-79-12-C7-005
     CRITERIA FOR OZONE  REDESIGNATIONS UNDER  SECTION  107

PN1C7-79-06-12-004
     SECTION 107 REDESIGNATION CRITERIA

PN107-78-10-18-003
     UNCLASSIFIED COUNTIES WITH SIGNIFICANT VOC  POINT SOURCES

PN107-78-10-10-002
     PROCEDURES FOR HANDLING FUTURE SECTION 107

PN1C7-78-03-24-001
     FOLLOW-UP ACTIONS REGARDING SECTION  107  ATTAINMENT
       DESIGNATIONS
Section 110: Implementation Plans


PN11C-80-09-25-043
     INCOPORATING BV REFERENCE OF SlP REVISIONS

PN110-80-08-U-CK2
     CRITERIA FOR EVALUATING BUBBLE TRANSACTIONS
       EQUIVALENCY DEMONSTRATIONS

PS110-80-08-08-Q41
     THE BUBBLE POLICY AND STATE IMPLEMENTATION PLANS
       UNDER CLEAN AIR ACT 1110

PN110-80-08-04-040
     APPLICABILITY OF PAPER COATING FABRIC COATING  AND
       GRAPHIC ARTS CTGS

PN11C-8C-07-31-039
     APPLICABILITY OF VOC CONTROL TECHNIQUE GUIDELINES
       CCTGS3 TO THE AUTOMOBILE MANUFACTURING INDUSTRY

PN110-80-07-15-038
     ATTAINMENT DATES FOR NEWLY DESIGNATED AREAS

PN11C-80-07-14-G37
     CREDIT  FOR INCREASING STACK HEIGHTS AT EXISTING
       SOURCES

PN11C-80-06-12-036
     ATTAINMENT DATE FOR AMBIENT LEAD STANDARD

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 PK11 0-80-06-1 Z-C
      INFORMATION  RECUIREfr IN FE&E**L  REGISTER
        PACKAGES

 PN1TC-80-04-18-034
      MALFUNCTION  REGULATIONS

 PN11Q-8Q-04-14-G33
      FEDERAL EN FORCE AS I L IT Y OF OFFSETS  IH
        STATE INPLEMENTATION
.PN1 10-80-04 -08-032
      NEy  SOURCE REVIEW REQUIREMENTS  FOR  LEAD

PN11->8"C-03-12-33T
      RESPONSE  TO QUESTIONS ON BUBBLE POLICY

PN110-80-03-10-030
      EMISSION  OFFSET REQUIREMENTS IN SECONDARY  TOTAL
        SUSPENDED PART1CULATE PLANS

PN110-8C-03-CK-029
      DEADLINE  F'O'R PEVIEW OF STATE IMPLEMENTATION
        PLAN  SUBMITTALS
     NOHTRADITIOKfAL TSP SOURCE CONTROL PROGRAMS

PN110-80-02-25-027
     CLARIFICATION OF FEDERAL REGISTER ANNOUNCEMENTS
        CONCERNING BUBBLE POLICY

PN110-80-02-01-OP6
     REASONABLY  AVAILABLE CONTROL TECHNOLOGY  FOR
        PARTICULATE MATTER

PN11Q-79-12-28-025
     SIP  RELAXATION IN NONA TTAI NP EN T AREAS

PN110-79-12-11-G24
     SIP  ISSUE  MEMORANDUM NO. 2

PN110-79-11-21-023
     MINIMUM  NUMBER OF SAMPLES FOR DETERMINING  QUARTERLY
        AVERAGE  LEAD CONCENTRATION

PN110-79-10-02-022
     AMENDMENTS  TO AMBIENT MONITORING REGULATIONS

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PN110-79-09-21-021
     SECONDARY  STANDARDS ATTAINMENT PLANS  -  EXTENSIONS
       OF  SUBMITTAL  DATE

PN110-79-09-17-020
     GENERAL  PREAMBLE  FOR PROPOSED RULEMAKING  ON  APPROVAL
       OF  PLAN  REVISIONS FOR NONATTAINMENT AREAS  -
       (SUPPLEMENT  ON  CONTROL TECHNIQUES GUIDELINES)

PN11C-79-08-23-019
     SIP ISSUE  MEMORANDUM #1 (CONDITIONAL
       APPROVALS,  18 MONTH EXTENSIONS)

PM10-79-07-16-018
     REVISION TO PROCEDURE FOR PROJECTING  AUTOMOTIVE
       LEAD EMISSIONS

PN110-79-07-02-017
     GENERAL  PREAMBLE  FOR PROPOSED RULEMAKING  ON
       APPROVAL OF  PLAN REVISIONS FOR NONATTAINMENT
       AREAS  -  (SUPPLEMENT ON PUBLIC COMMENT AND
       CONDITIONAL  APPROVAL)

PN110-79-06-14-C16
     LEAD  SIPS

PN11C-79-04-04-015
     GENERAL  PREAMBLE  FOR PROPOSED RULEMAKING
       ON  APPROVAL  OF  STATE IMPLEMENTATION
       PLAN REVISIONS  FOR NONATTAINMENT  AREAS

PN110-79-02-21-CU
     INSPECTION/MAINTENANCE POLICY

PN110-79-02-15-013
     CLARIFICATION  OF  SIP POLICIES FOR TSP

PN110-78-12-21-012
     SUPPLEMENTARY  GUIDLINES FOR LEAD IMPLEMENTATION
       PLANS  — CORRECTIONS

PM1O78-12-21-C11
     IMPLEMENTATION OF THE NATIONAL AMPIENT  AIR QUALITY
       STANDARD  FOR LEAD

PN110-78-12-18-010
     REASONABLE  FURTHER PROCESS (RFP) REQUIREMENTS
       FOR 1982  ATTAINMENT DATE SIPS

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PN11Q-78-10-11-G09
     QUESTIONS  & ANSWERS  ON 1979 SIP

PN110-78-09-1 1-008
     IMPACT OF  POTENTIAL  REVISION TO PASTICULATC MATTER
       NAAQS

PN110-78-07-17-D07
     INSPECTION MAINTENANCE POLICY

PN110-78-06-29-006
     RE6IONAL CONSISTENCY FOR TSP CONTROL
       STRATEGIES AND
PN1 10-78-Q5-16-005
     OPTIONS  FOR  HANDLING SIP RELAXATIONS IN FACE
       OF UNCERTAINTY

PN1 10-78-03-24-004
     SUGGESTED  FORMAT  &  GUIDANCE FOR THE 1979 STATE
       IMPLEMENTATION  PLAN SUBMISSION

PN1 10-78-03-24-Q03
     PLANS UNDER  SECTION  111(0)  OF T*E CLEAN AIR ACT

P-N1 10-78-02-24-002
     CRITERIA fOR  APPRO-VAL OF 1979 SIP REVISIONS

PN110-77-08-16-001
     GUIDANCE ON  SIP  DEVELOPMENT AND NEW SOURCE REVIEW
       IN AREAS IMPACTED  BY FUGITIVE DUST
Section 115: International Air Pollution

PN115-78-03-20-002
     INTERNATIONAL POLLUTION (EL PASO/JUAREZ)

PN115-78-01-31-001
     ACCOUNTING FOR  POLLUTION  ACROSS  INTERNATIONAL
       BOUNDARIES
Section 124: Assurance of Adequacy of State Plans
PX124-78-07-31-OC1
     IMPLEMENTING  SECTION  124  OF  THE CLEAN AIR ACT

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Section 126: Interstate Pollution Abatement


PN126-80-06-08-003
     INTERSTATE POLLUTION ABATEMENT PETITIONS  -
       POLICY STATEMENT

PN126-78-07-26-Q02
     UNION ELECTRIC VARIANCE  -  INTERSTATE  EQUITY

PN126-78-03-16-001
     OUT OF STATE SOURCES EFFECT ON IMPLEMENTATION
       PLAN REVISION
Section 129: Nonattainment Areas


PN129-78-07-03-002
     INTERNAL OFFSETS FOR RACT CATEGORIES

PN129-77-13-26-CQ1
     BILL STEWART MEMO REPLY BY 0.  HAWKINS
       RE: OFFSETS POLICY
Section 165: Preconstruction Requirements


PN165-80-02-26-Q05
     IMPLEMENTATION OF PSD  ADMINISTRATIVE  STAY

Phjl65-8Q-02-P8-u04
     CONDITIONAL LANGUAGE  FOR PSD PERMITS

PN165-79-07-03-003
     CONDITIONAL LANGUAGE  FOR PSD PERMITS

PN165-79-01-10-002
     8ACT DETERMINATION  FOR  POWER PLANTS  SUBJECT
       TO REVISED NSPS

PN165-78-12-22-OQ1
     BACT INFORMATION FOR  COAL-FIRED  POWER  PLANTS

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Section 171: Part D — Definitions

PM71-79-05-18-301
     IMPLEMENTATION  OF  REASONABLE FURTHER PROGRESS
       (RFP) REGUIREMENTS
Section 172: Nonattainment Plan Provisions


PN172-80-09-P3-G30
     MISCELLANEOUS METAL  PARTS  AND  PRODUCTS CTG EMISSION
       LIMITS FOR  COATING OF  SHIPPING PAILS AND DRUMS

PN172-8C-07-02-029
     EXEMPTION  FOR COLD  CLEANER OEGREASERS

PN172-80-07-Q1-G28
     BOILER PLATE  LANGUAGE  FOR  OZONE SIPS

PN172-78-06-16-027
     GASOLINE TANK TRUCK  REGULATIONS

PN172-78-06-14-026
     MEMORANDUM OF UNDERSTANDING BETWEEN THE DEPARTMENT
       OF TRANSPORTATION  AND  THE ENVIRONMENTAL PROTECTION
       AGENCY REGARDING  THE  INTERGRATION OF TRANSPORTATION
       AND  AIR  QUALITY PLANNING

PN172-80-Q1-23-025
     STANDARDIZED  LANGUAGE  (RE: SIPS FOR SOLVENT
       CONTENT  OF  EMULSIFIED  ASPHALTS)

PN172-80-01-17-024
     DATA COLLECTION  WORKPLANS  FOR  1982 OZONE SIPS

PN172-79-12-12-023
     EXEMPTIONS FOP  DEGREASERS

PN172-79-11-U-022
     DATA COLLECTION  FOR  1982  OZONE IMPLEMENTATION
       PLAN SUBMITTALS

PN172-79-10-04-021
     CLARIFICATION FOR FINAL  SIP ACTIONS ON ASPHALT
       REGULATIONS

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PN172-79-OS-22-G20
     STATE IMPLEMENTATION  PLANS/REVISE0 SCHEDULES
       FOR SUBMITTING  RACT  FOR  STATIONARY SOURCES
       OF VOLATILE ORGANIC  COMPOUNDS

PN172-79-3S-21-G19
     STATE IMPLEMENTATION  PLANS:  GENERAL PREA8LE FOR
       PROPOSED RULEMAKING  ON  APPROVAL OF PLAN REVISIONS
       FOR NONATTAINMENT AREAS  -  SUPPLEMENT (QN REVISED
       SCHEDULES FOR SUBMISSION OF  VOLATILE ORGANIC
       COMPOUND RACT REGULATIONS)

PN172-79-06-2Q-018
     MODIFICATIONS TO  R£ COWMEN DAT 10NS FOP SOLVENT
       MFTAL CLEANING

PN172-79-05-25-017
     CLARIFICATION OF  AGENCY  POLICY CONCERNING OZONE
       SIP REVISIONS AND SOLVENT  REACTIVITIES

PM72-79-05-25-G16
     SUBMISSION OF STATE AIR  PERMITS AS SIP REVISIONS

PN172-79-05-21-G15
     DRAFT LANGUAGE —  PREAMBLES  FOR SIP PROPOSALS
       AND APPROVALS

PN172-79-03-06-OU
     CUTBACK ASPHALT VOC REGULATIONS

PN172-79-02-21-013
     DETERMINATION OF  REDUCTIONS  NECESSARY TO ATTAIN
       THE OZONE STANDARD

PN172-79-01-16-012
     CONTINUITY OF SIP  REGULATIONS  — REVISED ENCLOSURE

PN172-78-11-03-011
     CATEGORIAL COMPLIANCE  SCHEDULE FOR VOC SOURCES

PN172-78-11-01-010
     GUIDANCE ON SIP REQUIREMENTS  CONTAINED IN
       SECTION  172CBX9XA)

PN172-7&-10-26-009
     OZONE TRANSPORT VALUES  FOR SIP REVISIONS

PN172-78-10-06-008
     COMMENTS ON AUTO  INDUSTRY  PROPOSALS

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PN172-78-09-11-OQ7
     CONTINUITY  OF  SIP REGULATIONS.

PN172-78-08-24-CQ6
     CLARIFICATION  OF  EPA POLICY ON  EMISSIONS  OF
       METHYL  CHLOROFORM

PN172-78-08-16-G05
     CLARIFICATION  OF  ATTAINMENT/NONATTAINMENT EVALUATION
       GUIDANCE

PN172-78-08-CK-OCK
     REQUIREMENT FOR  VOc RACT REGULATIONS  IN  ALL
       OXIOANT NONATTAINMENT AREAS

PN172-78-06-30-C03
     VAPOR  RECOVERY REGULATIONS REQUIRED TO MEET  RACT
       REQUIREMENTS FOR THE 1979 SIP

PN172-78-03-10-002
     EXAMPLE  DEMONSTRATION OF ATTAINMENT FOR
       PHOTOCHEMICAL  OXIDANTS

PN172-78-02-P2-001
     IMPLEMENTATION OF REASONABLY AVAILABLE CONTROL
       TECHNOLOGY (RACT) ON HYDROCARBON STATIONARY
       SOURCFS
Section 175: Transportation Planning

PN175-80-06-23-Q06
     PUBLIC PARTICIPATION IN THE STATE  IMPLEMENTATION
       PLAN - TRANSPORTATION REVISION PROCESS  EXPANDED
       GUIDELINES

PN175-80-04-23-005
     IMPLEMENTATION  OF  EXECUTIVE ORDER  12185 CONSERVATION
       OF PETROLEUM  AND NATURAL GAS

PN175-80-01-15-004
     RECONCILIATION  OF  POPULATION PROJECTIONS
       IN REVISED  STATE IMPLEMENTATION  PLANS

PN175-79-02-12-003
     REGIONAL OFFICE  ASSISTANCE IN EXPEDITING
       HEADQUARTERS  REVIEW OF SECTION 175  GRANT
       APPLICATIONS

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PN175-78-10-10-OC2
     USE OF UNIFORM POPULATION PROJECTIONS  IN
       AIR  AND  WATFR PLANNING

PN175-7S-08-Q1-OC1
     DETERMINATION  OF EMISSION REDUCTION  RESPONSIBILITIES
Section 176: Limitations on Certain Federal Assistance

PN176-80-06-12-002
     PROCEDURES  F0» cONpORMAHCE OF TRANSPORTATION
       PLANS  PROGRAM'S AND PROJECTS WITH  CLEAN  AIR ACT
       STATE  IMPLEMENTATION PLANS

PN176-79-06-P8-001
     IMPACT  OF  CLEAN AIR ACT NOfoATTAINMENT  SANCTIONS
Section 406: Savings Provision; Effective Dates

PH4C6-76-0-4-28-001
     MAINTENANCE  OF PAY REQUIREMENTS

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Section 110: Implementation Plans
PN110-80-09-25-043
     1NCOPORATING BY  REFERENCE OF SIP REVISIONS

PN110-80-08-U-042
     CRITERIA  FOR EVALUATING BUBBLE TRANSACTIONS
       EQUIVALENCY  DEMONSTRATIONS

PN110-8C-08-08-041
     THE BUBBLE  POLICY  AND  STATE IMPLEMENTATION PLANS
       UNDER CLEAN  AIR  ACT  111D

PN110-80-08-04-040
     APPLICABILITY  OF  PAPER COATING FABRIC COATING  AND
       GRAPHIC  ARTS CTGS

PNlin-80-07-31-Q39
     APPLICABILITY  OF  VOC  CONTROL TECHN10UE GUIDELINES
       CCTGSl  TO THE  AUTOMOBILE MANUFACTURING INDUSTRY

PN11C-8Q-07-15-038
     ATTAINMENT  DATES  FOR  NEWLY DESIGNATED AREAS

PN110-SG-Q7-14-G37
     CREDIT FOR  INCREASING  STACK HEIGHTS AT EXISTING
       SOURCES

PN11Q-8G-06-12-036
     ATTAINMENT  DAT£  FOR  AMBIENT LEAD STANDARD

PN11Q-60-06-12-035
     INFORMATION REQUIRED  IN FEDERAL REGISTER
       PACKAGES

PN110-8Q-04-18-034
     MALFUNCTION REGULATIONS

PN110-80-04-14-033
     FEDERAL EN FORCEABIL ITY OF OFFSETS IN
       STATE INPLEMENTATION PLANS

PN11C-80-04-OS-032
     NEW SOURCE  REVIEW  REQUIREMENTS FOR LEAD

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     RESPONSE TO QUESTIONS  ON  BUBBLE POLICY
     EMISSION OFFSET  REQUIREMENTS IN SECONDARY TOTAL
       SUSPENDED PARTICIPATE  PLANS

PN110-9G-03-04-029
     DEADLINE FOR PEVIEw  OF  STATE IMPLEMENTATION
       PLAN SUBMITTALS

PNl1?-8Q-02-27-G28
     NONTRAOITIONAL TSP  SOURCE  CONTROL PROGRAMS

PN11C-8C-02-25-G27
     CLARIFICATION OF  FEDERAL REGISTER ANNOUNCEMENTS
       CONCERNING BUBBLE  POLICY

PN110-8C-02-01-026
     REASONABLY AV»ILABLE  CONTROL TECHNOLOGY FOR
       PARTICIPATE MATTER

PN111-79-1 2-28-025
     SIP RELAXATION IN NONA TTAI NMENT AREAS

PN1V1-79-12-11-G24
     SIP ISSUE MEMORANDUM  NO. 2

PN110-79-11-21-G23
     MINIMUM NUMBER OF SAMPLES  FOR DETERMINING QUARTERLY
       AVERAGE LEAD CONCENTRATION

PN110-79-10-02-022
     AMENDMENTS TO AMBIENT  MONITORING REGULATIONS

PN11C-79-09-21-021
     SECONDARY STANDARDS  ATTAINMENT PLANS - EXTENSIONS
       OF SUBMITTAL DATE

PN110-79-09-17-G20
     GENERAL PREAMBLE  FOP  PROPOSED RULEMAKING ON APPROVAL
       OF PLAN REVISIONS  FOR  NONA TTAINMENT AREAS -
       (SUPPLEMENT ON  CONTROL TECHNIQUES GUIDELINES)

PN110-79-08-23-019
     SIP ISSUE MEMORANDUM H J  (CONDITIONAL
       APPROVALS, 18  MONTH EXTENSIONS)

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PN110-79-07-16-018
     REVISION TO PROCEDURE  FOR  PROJECTING AUTOMOTIVE
       LEAD EMISSIONS

PN110-79-07-02-C17
     GENERAL PREAMBLE  FOR  PROPOSED RULEMAKING ON
       APPROVAL Of  PLAN  REVISIONS FOR NONATTAINMENT
       AREAS -  (SUPPLEMENT  ON  PUBLIC COMMENT AND
       CONDITIONAL  APPROVAL)

PN110-79-06-U-016
     LEAD SIPS

PN11CI-79-04-CU-015
     GENERAL PREAMBLE  FOR  PROPOSED RULEMAKING
       ON APPROVAL  OF  STATE IMPLEMENTATION
       PLAN REVISIONS  FOR  NONATTA1NMENT AREAS

PN11C-79-02-21-C14
     INSPECTION/MAINTENANCE POLICY

PN11Q-79-02-15-013
     CLARIFICATION  OF  SIP  POLICIES FOR TSP

PN110-78-12-21-Q12
     SUPPLEMENTARY  GUIDLINES  FOR LEAD IMPLEMENTATION
       PLANS — COPRECT10NS

PN110-78-12-21-011
     IMPLEMENTATION OF  THE  NATIONAL AMBIENT AIR QUALITY
       STANDARD FOR LEAD

PN110-78-12-18-010
     REASONABLE FURTHER  PROCESS (RFP) REOUIREMENTS
       FOR 1982 ATTAINMENT  DATE SIPS

PNllO-7b-10-11-009
     QUESTIONS  & ANSWERS  ON 1979 SIP REVISIONS

PN11C-78-09-11-008
     IMPACT OF  POTENTIAL  REVISION TO PARTICULATE MATTER
       NAAQS

PN11C-78-07-17-CI07
     INSPECTION MAINTENANCE POLICY

PN11Q-78-06-29-006
     REGIONAL CONSISTENCY  FOR  TSP CONTROL
       STRATEGIES  AND  RACT

-------
PH110-78-05-16-J05
     OPTIONS  FOR HANDLING SIP RELAXATIONS IK fACE
       OF  UNCERTAINTY
     S06C€ST€»  FORMAT S fiUIBAKCE  FOR  TK€ 1»79 STATC
       IWf»LE"ENT*T IOIN PL** SUBMISSION
     PLANS  UNDER SFCTIO«» 111(0>  OF  THE CLEAN AIR  ACT
     CRITERIA  FOR APPROVAL OF  1979  SIP REVISIONS

PK110-77-08-16-G01
     GUIDANCE  ON SIP DEVELOPMENT  AN»  NEW SOURCE BEVIE*
        IN  AREAS  IMPACTED BY FUGITIVE  ftUST

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Section 172: Nonattainment Plan Provisions
     MISCELLANEOUS  METAL PARTS AND PRODUCTS  CTG  EMISSION
       LIMITS  FOR  COATING OF SHIPPING PAILS  AND  DRUMS

PM72-8G-07-?2-0?9
     EXEMPTION  FOR  COLD CLEANER DECREASED

PS172-80-07-01-C28
     BOILER  PLATE  LANGUAGE FOR OZONE SIPS

PN172-7S-06-16-D27
     GASOLINF  TANK  TRUCK REGULATIONS

PN1 72-78-06-U-J26
     MEMORANDUM  OF  UNDERSTANDING BETWEEN THE  DEPARTMENT
       OF  TRANSPORTATION AND THE ENVIRONMENTAL  PROTECTION
       AGENCY  REGARDING THE INTEBGRATION OF  TRANSPORTATION
       AND AIR  QUALITY  PLANNING
     STANDARDIZED  LANGUAGE (RE: SIPS FOR SOLVENT
       CONTENT  OF  EMULSIFIED ASPHALTS)

PN172-SU-01-17-024
     DATA COLLECTION  WORKPLANS FOR 196? OZONE  SIPS

PN172-79-12-12-023
     EXEMPTIONS  FOP  DtGREASERS

PM72-79-1 1-U-022
     DATA COLLECTION  FOR 1982 OZONE  IMPLEMENTATION
       PLAN  SURKITTALS

PNl72-79-10-?4-0?1
     CLARIFICATION  FOR FINAL SIP ACTIONS ON  ASPHALT
       REGULATIONS

PN172-79-08-22-Q20
     STATE  IMPLEMENTATION PLANS/REVISED SCHEDULES
       FOR  SUBMITTING RACT FOR STATIONARY  SOURCES
       OF VOLATILE  ORGANIC COMPOUNDS

PN172-79-08-21-019
     STATE  IMPLEMENTATION PLANS: GENERAL PREAELE  FOR
       PROPOSED  RULEMAKING ON APPROVAL OF  PLAN  REVISIONS
       FOR  NONATTATNMENT AREAS - SUPPLEMENT  (ON REVISED
       SCHEDULES FOR  SUBMISSION OF VOLATILE  ORGANIC
       COMPOUND  RACT  REGULATIONS)

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     MODIFICATIONS TO  RECOMMENDATIONS  FOR SOLVENT
        METAL CLEANING

PNT72-79-Q5-25--17
     CLAPI FICAT10N OF  AGENCY POLICY  CONCERNING  OZONE
        SIP  REVISIONS AND  SOLVENT REACTIVITIES

P-N172-79-35-25-C-T6
     SU&IMSSIOK' Of STATE.  AIR PERMITS  A-S  SIP REVISIONS

P-l».17?-79-05-21-OT5
     DRAFT  LANGUAGE —  PREAMBLES FOB  SIP PROPOSALS
        AND  APPROVALS

P-N1-72-79-03-C6-014
     CUTBACK ASPHALT VOC  REGULATIONS

PNT77-79-Q2-2t-u13
     DETERMINATION OF  REDUCTIONS NECESSARY TO ATTAIN
        THE  OTONE STANDARD

PM.T72-79~}T-16~G12
     CONTINUITY OF SIP  REGULATIONS —  REVISED ENCLOSURE
     CATEGORTAl eO^PlLlANCE  SCHEDULE  FOR  VOC SOURCES
     GUIDANCE ON SIP  R FiUI REMENTS CONTAINED IN
        SECTION 17?CBM9MA*
     OZONE  TRANSPORT  VALUES FOR SIP  REVISIONS
     COMMENTS ON AUTO  IN.DUSTRY PROPOSALS

PNt72-78-09-11-007
     CONTINUITY OF SIP  R EGUL AT IQN.S .

P'NT72-75-08-24-ijC6
     CLARIFICATION OF  EPA POLICY ON  EMISSIONS OF
        h ETHYL CHLOROFORM

PNit T2-78-38-t6-00'5-
     CLARIFICATION OF  A1TA PNW EN T/NO NATTA IN:MEN-T  EWALUATTCN
        GUIDANCE

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PN172-7&-06-G4-OC4
     REQUIREMENT  FOR  VOC RACT REGULATIONS  IN  ALL
       OXIDANT  NONATTAIrtMENT AREAS

PN172-78-06-30-G03
     VAPOR RECOVERY REGULATIONS REQUIRED TO MEET  RACT
       REQUIREMENTS FOR THE 1979 SIP

PN172-7S-G3-10-002
     EXAMPLE  DEMONSTRATION OF ATTAINMENT FOR
       PHOTOCHEMICAL  OXIDANTS

PN172-7&-02-02-001
     IMPLEMENTATION OF  REASONABLY AVAILABLE CONTROL
       TECHNOLOGY  (RACT) ON HYDROCARBON STATIONARY
       SOURCES

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                                                D
                                                O
                                                30
                                                w
Section 107: Air Quality Control Regions

-------
Section 107: Air Quality Control Regions
PN107-79-12-07-005
     CRITERIA fOR OZONE REDES1GNAT10NS UNDER SECTION 107

PN107-79-06-12-004
     SECTION 107 REDESIGNAT10N CRITERIA

PN107-78-10-18-003
     UNCLASSIFIED COUNTIES WITH SIGNIFICANT VOC POINT SOURCES

PN1Q7-78-10-10-002
     PROCEDURES FOR HANDLING FUTURE SECTION 107

PN107-78-03-24-001
     FOLLOW-UP ACTIONS REGARDING SECTION 107 ATTAINMENT
       DESIGNATIONS

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

   DATE:0£C  7  1979
                                                                     PN-107-79-12-07-005
SUBJECT.- Criteria  for Ozone Redesignations
        Under Section 107
   FROM: Richard G.  Rhoads,  Director/      _  „
        Control Programs  Development  Division  (MD-15)

     T0: Director, Air and Hazardous Materials  Division,  Regions  I-X

             As a result  of the  revision  to  the  national ambient air
        quality standards (NAAQS)  for ozone  published on February 8, 1979
        in the Feder*1!  Register, a change in the criteria for determining
        the attainment/nonattainment  status  for  purposes of Section 107
        designations  has  become  necessary.

             Previously,  either  eight quarters of ambient data showing no
        violations  or four quarters of data  showing  no violations coupled with
        commensurate  reductions  in actual  hydrocarbon emissions were needed
        to justify  a  designation of attainment.   These criteria were set
        to complement the form of  the ozone  NAAQS which  allowed  no more than
        one excursion above the  0.08  parts per million (ppm) NAAQS for any
        one hour.   As you are  aware,  the  revised NAAQS is of a statistical
        nature. An area  is considered to not  be in  violation of the revised
        ozone standard (attainment) if the expected  number of days per calendar
        year with maximum hourly average  concentrations  above 0.12 ppm is equal
        to or less  than one.

             OAQPS  guideline,  EPA  450/4-79-003 entitled, "Guideline for the
        Interpretation of Ozone Air Quality  Standards,"  published in January 1979
        allows the  use of as .little as one oxidant season of ambient data in
        assessing compliance :with  the ozone  standard if  that is  the only avail-
        able data.  The procedures outlined  in this  guideline should be used in
        making the  Section 107 nonattainment area designations.  The guideline
        does require  that the  last three  years of ambient data be used whenever
        it is available.   It  is  not allowable  to arbitrarily exclude from con-
        sideration  data if it  is valid.   For example, if two years of ambient
        data is available,  a  State cannot arbitrarily consider only the last
        year of data  because  it  shows attainment while consideration of both
        years of data would show a probability of expected exceedances above
        one, thereby  requiring a nonattainment designation.

             However, where significant changes  in actual emissions have occurred
        in an area, flexibility  is provided  to recognize such changes.  In this
        case, an area with two years  of available ambient monitoring data that
        has experienced significant reductions in actual emissions during the
        last year  could be handled as follows.  If the State could demonstrate
        that the emission reductions  are  commensurate with the improvement in
        air quality levels monitored  during  the  last year, the State could then
 EPA Form 1320-6 (Rev. 3-76)

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justify using only the last year of ambient data in determining the
expected exceedances value for the area and, thus, its attainment status
for purposes of Section 107 designations.

     Therefore, although EPA is not requiring States to reconsider
their current ozone designations, all future designations for ozone
submitted by the States must be evaluated based on the methodology
prescribed by OAQPS Guideline, EPA 450/4-79-003.

cc:  Mike James
     Ed Reich

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                   UHiitL) S1A1ES LNVIKONMbNl ^L PROItCI (Oh Aoc
                     Office of Air Quality Planning and Standards
                     Research Triangle Park, North Carolina  27711

                  1979
SUBJECT:   section 107 Redesignation Criteria                          PN-107-79-06-12-004
     3M:   Richard G. Rhoads, Director,
          Control Programs Development Division  (MD-15)

     TO.   Director, Air and Hazardous Materials Division, Regions I-X
               A number of Regional Offices have contacted this office seeking
          additional guidance as to the amount of ambient air quality data
          needed to change area designations.  The purpose of this memorandum is
          to inform you of an option which is, and has been, available to justify
          a request for redesignating an existing nonattainment area to an
          attainment status.

               Generally, eight quarters of ambient air quality data are required
          showing no violations before an attainment designation can be approved.
          However, an attainment designation based on less than eight quarters
          of ambient data for a currently designated nonattainment area can be
          approved, provided real emission reductions have taken place in the area
          in question and provided the emission reductions are commensurate with
          the air quality reductions.  Also, all ambient data recorded since the
          reductions occurred must obviously show no ambient violations.

               This policy is merely a simple extension of current Agency policy
          concerning the selection of control strategy design values where recent
          air quality shows improvement over previous concentrations and real, not
          paper, emission reductions have occurred in the nonattainment area.
          Existing policy, as contained in the "Workshop on Requirements for
          Nonattainment Area Plans" manual, allows use of the latest air quality
          data in selecting the design value where, in fact, the emission
          reductions are commensurate with the improvement in air quality.

               Therefore, EPA will approve such a redesignation request for
          attainment if at least four quarters of ambient data are available show-
          ing no violations have occurred since the emission reductions have been
          achieved, and a demonstration is presented that the reductions are
          responsible for the air quality improvement.  The requirement for a
          minimum of four quarters of ambient data is necessary to minimize the
          effects of possible seasonal fluctuations in air quality.  Also, the
          emission reductions must be a result of legally enforceable actions
          taken by the State.  It would not be sufficient for a State to show real
          emission reductions occurring in a nonattainment area with no legally
          enforceable way of assuring the continuation of those reductions.
      m 1320-6 (Rev. 3-76)

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     If you have any questions regarding this issue,  please call
Lanny Deal of my staff at 629-5365.
cc:  OGC

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        UNITED STATES  ENVIRONMENTAL PROTECTION  AGENCY
    1
    1                     WASHINGTON. D.C.  20460

                                                               PN-107-78-10-18-003


                           OCTIBIS??                 OFF.CEOF
                                                     AIR AND \VASTE MANAGEMENT


SUBJECT:  Unclassified Counties with Significant VOC Point Source
          Emissions      ^/^\   ,
FROM:   A^DaviH <^H&4da ^'Assistant Administrator
      #/   for Ayr; Noise, and Radiation

MEMO TO:  Regional Administrator, Regions I-X

     As a result of the recent petition by the State of New Jersey to
review the 107 nonattainment designations, we have reviewed our
policy regarding 107 designations and have reaffirmed our belief that
many unclassified counties in the eastern part of the United States
are likely to be in violation of the NAAQS for ozone.  As you know,
we have encouraged (but not required) Statewide nonattainment designa-
tions and the subsequent development of Statewide controls for volatile
organic compound  (VOC) sources.  We should continue to encourage', but
not require, Statewide VOC controls.

     In order to reach a better position for deciding whether broader
nonattainment designations are appropriate, I have requested the Office
of Air Quality Planning and Standards to review and analyze in detail
existing ambient air quality data.  In particular, they will consider
the area which can be assumed to be in violation of the photochemical
oxidant standard, given a measured violation, and the suitability of
aircraft data as an indicator of violations at the earth's surface.  A
contractual study to resolve these questions, using existing data, will
be initiated in the near future.

     Since there  is a possibility that existing data will be insufficient
to demonstrate that Statewide nonattainment designations for oxidants
are appropriate, steps should be taken by the Regional Offices to
identify or list those unclassified counties with high emissions that
have a potential to exceed the standards.  These would include counties
which have large amounts of VOC emissions from major sources or large_
population within about 85 miles of an urban nonattainment area.

     We have enclosed some information regarding those counties which
have high point source VOC emissions and which are currently designated
attainment or unclassified to assist you  in preparing the above list for
your Region.  Once the list is -prepared,  the States should be encouraged,
in the 1979 SIP submission for these counties, to require the application
of RACT on all major sources of VOC emissions  (greater than 100 T/yr

-------
                               2

potential) for which EPA has issued a CTG by January 1, 1978.   In addition,
the 1979 plan should also contain a commitment to adopt and submit
additional legally enforceable regulations on an annual basis, beginning
in January, 1980, for those CTGs that have been published by January of
the preceding year.

     If the State refuses to comply with this request, please require
that additional ambient monitoring for ozone be conducted in each listed
county as a specific grant provision during the next round of 105 grant
negotiations.

     If you have any questions regarding the above., please contact
Walt Barber.

Enclosure

cc:  Director, Air and Hazardous Materials Division, Regions I, III-X
     Director, Environmental Programs Division, Region II
     E. Tuerk
     W. Barber

-------
                    UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

   DATE.   ..-OCTETS                                                   PN-107-78-10-10-002

 SUBJECT. Procedures for Handling Future Section  107 Redesignations
   FROM: Richard G. Rhoads, Directory
        Control Programs Development Division

     TO: Director, Air and Hazardous  Materials  Division,  Regions  I,  III-X
        Director, Envi~~rimental  Programs Division,  Region  II


             This memo presents  suggestions  and  raises questions regarding the
        subject matter.

        WHEN DOES A STATE REDESIGNATE?

             The Clean Air Act (CAA) allows  States  to revise their  designations
        "as appropriate."  Therefore,  EPA must review any  redesignation when-
        ever the State submits such  a  request.   Consequently, a  set periodic
        update by EPA of the Section 107 designations is not feasible.

             A State should consider redesignation  of an area whenever new
        information supporting a  redesignation,  either modeling  or monitoring or
        other relevant data, is  submitted or acquired by the State.

        REDESIGNATION PROCESS

             Although the Section  107  designations  are not legally  part of the
        State Implementation Plan  (SIP)  according to the Office  of  General
        Counsel  (OGC),  the procedural  aspects  of the SIP revision process seem
        ideally suited  to use in  processing these redesignations.  As such, the
        procedures of a  proposal  notice  soliciting  public  comment on the revision
        followed by a promulgation in  the Federal Register under Part 81 of
        Title 40 will  be used.   If an  area previously designated as attainment
        or  unclassified  is revised to  nonattainment, the requirements of Subpart t
        of  the CAA for SIP revisions become applicable.  States  will be given
        nine months from the date of the Section 107 nonattainment  promulgation
        for plan development and  submittal.  EPA will then have  four months to
        approve or disapprove the  plan revision.  For the  Federal Register
        actions involving these  redesignations,  a continuation of the "special
        action" status  for all revisions is appropriate  for the  time being to
        allow Headquarters to review such actions and assess their  status with
        respect to national  policy and consistency  with  other Regional actions.

             Where there is  a difference of opinion between a State and a local
        agency over a designation, the question  arises as  to which  designation
        should prevail.   The mechanism employed  in  the SIP revision process
        appears to provide a workable  solution in that all SIP revisions must be
        submitted  to EPA by  the  Governor or his  designee.  Consequently, EPA
EPA FORM 1320-6 (REV. 3-76)

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                                     - 2 -


only recognizes SIP revisions submitted by the Governor or his designee
(usually the State air control agency).  It is proposed to extend this
concept to the 107 process such that only those designations submitted
by the State agency would be recognized by EPA.

     Finally, we are currently working to resolve the following questions
and your comments are invited.

     - What are the monitoring requirements for various pollutants  for
unclassifiable areas?

     - Is there any flexibility in the 1982 attainment date for areas
possibly designated nonattainment very near the deadline?

     - Are Section 107 designations necessary and/or desirable for  new
ambient standards such as lead and the short term NO  standard?

     Please call  if you have any questions.

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Follow-up Action Regarding Section 107                         PN- 107-77-03-24-001
Attainment Status Designations
Richard G. Rhoads, Director
Control Programs Development Division

Director, Air and Hazardous Materials Divisions, Regions I, III - X
Director, Environmental Programs Division, Region II


     The purpose of this memo is to provide guidance on the follow-up
actions to be taken by the Regional Offices and the Office of Air
Quality Planning and Standards (OAQPS) regarding the Section 107
attainment status designations that appeared in the March 3, 1978,
Federal Register.

     A 60-day comment period was announced in the Federal Register
notice for these Section 107 designations.  Following the closing of
this public comment period on May 2, 1978, the Regional Offices and
OAQPS will evaluate all relevant comments received.  In some cases,
revisions will be necessary for designations.  These revisions with any
accompanying explanation which you feel should appear in the Federal
Register notice should be forwarded to tiie Control  Programs Operations
Branch (CPOB), to the attention of Lanny Deal, so that a national Federal
Register package can again be prepated by OAQPS for publication.  The
deadline for Regional Offices to submit revisions fo CPOB is June 2, 1978.
It should be noted that an area's designation status should be based on
the existing air quality in that area.  The approval by EPA of a SIP
revision which will demonstrate attainment of the national ambient air
quality standards by 1982 is not a basis for declaring an area attainment.

     After publication of these revisions in late June, subsequent
chances to these designations will be accomplished by the appropriate
Regional Office as an informal rulemaking action revising Part 81.
The procedure for revising Section 107 designations will be a proposed
rulemaking notice with a 30-day comment period followed by a final
rulemaking notice.  Intra-agency coordination should be accomplished
through the procedures established for "special" State implementation
plan revisions.

     Your comment is requested on the question of whether or not a
distinction between attainment and unclassified designations should be
made in the Federal Register for carbon monoxide, photochemical oxidants,
and nitrogen dioxide.  If so, this would require a revised set of charts
for these Set II pollutants with separate attainment and unclassidied
columns to be submitted to OAQPS by the Regional Offices for publication
in the forthcoming Federal Register notice.  Please make your recommen-
dations known on this point by contacting Lanny Deal at 629-5365 no
later that April 3, 1978.  A decision will be made by mid-April, 1978.

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Section 110: implementation Plans
                                              CO
                                              3P

-------
Section 110: Implementation Plans
PN110-80-04-18-034
     MALFUNCTION  REGULATIONS

PN110-80-04-14-033
     FEDERAL ENFORCEABILITY OF  OFFSETS  IN
       STATE IMPLEMENTATION PLANS

PN110-80-04-08-032
     NEV SOURCE REVIEW  REQUIREMENTS  FOR  LEAD

PN110-80-03-12-031
     RESPONSE TO  QUESTIONS ON BUBBLE  POLICY

PN110-80-03-10-030
     EMISSION OFFSET REQUIREMENTS  IN  SECONDARY  TOTAL
       SUSPENDED  PARTICULATE PLANS

PN110-80-03-04-029
     DEADLINE FOR REVIEW OF STATE  IMPLEMENTATION
       PLAN SUBMITTALS

PN110-80-02-27-028
     NONTRADITIONAL TSP SOURCE  CONTROL  PROGRAMS

PN110-80-02-25-027
     CLARIFICATION OF FEDERAL REGISTER  ANNOUNCEMENTS
       CONCERNING BUBBLE POLICY

PN110-80-02-01-026
     REASONABLY AVAILABLE CONTROL  TECHNOLOGY FOR
       PARTICULATE MATTER

PN110-79-12-28-025
     SIP RELAXATION IN  NONATTA1NMENT  AREAS

PN110-79-12-11-024
     SIP ISSUE MEMORANDUM NO. 2

PN110-79-11-21-023
     MINIMUM NUMBER OF  SAMPLES  FOR DETERMINING  QUARTERLY
       AVERAGE LEAD CONCENTRATION

PN110-79-10-02-022
     AMENDMENTS TO AMBIENT MONITORING REGULATIONS

-------
PN110-79-09-21-Q21
     SECONDARY  STANDARDS  ATTAINMENT PLANS - EXTENSIONS
       OF SUBNITTAL  DATE

PN110-79-09-17-020
     GENERAL PREAMBLE  FOR PROPOSED  RULEMAKIN6 ON APPROVAL
       OF PLAN  REVISIONS  FOR  NONATTAINMENT AREAS -
       (SUPPLEMENT ON  CONTROL TECHNIQUES GUIDELINES)

PN110-79-08-23-019
     SIP ISSUE  MEMORANDUM ff1  (CONDITIONAL
       APPROVALS* 18 MONTH  EXTENSIONS)

PN110-79-07-16-018
     REVISION TO PROCEDURE  FOR PROJECTING AUTOMOTIVE
       LEAD EMISSIONS

PN110-79-07-02-017
     GENERAL PREAMBLE  FOR PROPOSED  RULEMAKIN6 ON
       APPROVAL OF PLAN REVISIONS  FOR  NONATTAINMENT
       AREAS -  (SUPPLEMENT  ON PUBLIC COMMENT AND
       CONDITIONAL APPROVAL)

PN110-79-06-14-Q16
     LEAD SIPS

PN110-79-04-04-015
     GENERAL PREAMBLE  FOR PROPOSED  RULEMAKING
       ON APPROVAL OF  STATE IMPLEMENTATION
       PLAN REVISIONS  FOR NONATTAINMENT AREAS

PN110-79-02-21-014
     INSPECTION/MAINTENANCE POLICY

PN110-79-02-15-013
     CLARIFICATION OF  SIP POLICIES  FOR TSP

PN110-78-12-21-012
     SUPPLEMENTARY 6UIDLINES  FOR LEAD  IMPLEMENTATION
       PLANS — CORRECTIONS

PN110-78-12-21-011
     IMPLEMENTATION  OF THE  NATIONAL AMBIENT AIR QUALITY
       STANDARD FOR  LEAD

PN110-78-12-18-010
     REASONABLE FURTHER PROCESS    REQUIREMENTS
       FOR 1982 ATTAINMENT  DATE  SIPS

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PN110-78-10-11-009
     QUESTIONS ft ANSWERS ON  1979  SIP  REVISIONS

f»N 110-78-09-11-008
     IMPACT OF POTENTIAL REVISION  TO  PARTICIPATE  MATTER
       NAAQS

PN110-78-07-17-007
     INSPECTION MAINTENANCE  POLICY

PN110-78-06-29-Q06
     REGIONAL CONSISTENCY FOR TSP  CONTROL
       STRATEGIES AND RACT

PN110-78-05-16-005
     OPTIONS FOR HANDLING SIP RELAXATIONS  IN  FACE
       OF UNCERTAINTY

PN110-78-03-24-004
     SUGGESTED FORMAT 8 GUIDANCE  FOR  THE 1979 STATE
       IMPLEMENTATION PLAN SUBMISSION

PN110-78-03-24-003
     PLANS UNDER SECTION 11KD) OF  THE  CLEAN  AIR  ACT

PN110-78-02-24-002
     CRITERIA FOR APPROVAL OF 1979  SIP  REVISIONS

PN110-77-08-16-001
     GUIDANCE ON SIP DEVELOPMENT  AND  NEW SOURCE  REVIEW
       IN AREAS IMPACTED BY  FUGITIVE  DUST

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     UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                      WASHINGTON, D.C.  20460
                                                     PN-110-80-04-18-034

                         APR  181980                 OFF,C.OF
                                                   AIR, NOISE, AND RADIATION


SUBJECT:  Malfunction Regulations

FROM:     David G. Hawkins, Assistant Administrator y
            for Air, Noise, and Radiation (ANR-443)^

MEMO TO:  Director, Air and Hazardous Materials Division,  Regions  I-X

     The discussions at the weekly meeting of the Assistant Administrators
to discuss policy issues associated with the Part D nonattainment  plans
have revealed a need to restate the Agency's current policy regarding
exemptions from State Implementation Plan (SIP) emission limitations
during periods of start-up, shutdown, and malfunction.

     As a result of allegations that a malfunction provision, which was
part of a Federally promulgated regulation affecting a  nonferrous.smelter,
was more restrictive and inconsistent with various malfunction  regulations
approved by EPA as part of SIPs, this Agency committed  to  undertake a
review of all State malfunction regulations.  Consequently, a directive
was issued to the Regional Offices on July 14,  1977 requesting  all
Regional Offices to review their respective SIP malfunction provisions
and to take corrective action to remove unacceptable provisions from  the
Federally approved SIP.   In a follow-up to the  directive,  the Office
of Air Quality Planning and Standards (OAQPS) provided  guidance on
August 18, 1977 outlining the criteria that should be utilized  in
evaluating SIP malfunction provisions.  In many cases,  the review  of
such provisions has not been accomplished due to priorities and limited
resources.

     The Agency's malfunction policy was further defined in the manual
entitled "Workshop on Requirements for Nonattainment Area  Plans" which
indicated that disapproval of malfunction provisions would not  precipitate
growth restrictions and funding cutoffs under Part D (since malfunction
provisions are not a required element of a Part D plan)  and that inappro-
priate malfunction provisions should be disapproved pursuant to Section
110 of the Clean Air Act.  Again, as prior experience indicated, compliance
with this Agency policy was a function of resources and  priorities.

     Despite this guidance, many State malfunction provisions remain
inconsistent with EPA policy.  To eliminate this problem,  Regional

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Offices should, during the review of nonattainment area plans,
identify and disapprove inadequate start-up,  shutdown,  malfunction
provisions submitted with nonattainment area  plans.   In addition,
existing SIPs should be reviewed and inadequate malfunction
provisions should be disapproved as soon as possible.
cc:   Jeff Miller
      Michele Beige!  Corash

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       UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                         WASHINGTON. D.C.  20460

                           APR 1 4 1980               PN-110-80-04-14-033

                                                           OFFICE OF
                                                     AIR. NOISE, AND RADIATION
 SUBJECT:  Federal  Enforceability of Offsets in
          State  Implementation Plan Programs

 FROM:     David  G. Hawkins, Assistant Administrator
            for  Air, Noise, and Radiation  (ANR-443)

 MEMO TO:  Director, Air and Hazardous Materials Division, Regions I-X

     Recently, issues have been raised in the Part D SIP revision
 review process addressing the relationship of offsets obtained under a
 Section 173 new  source review program to the Federally enforceable SIP.
 The purpose of this memo is to reemphasize the Agency policy in regard
 to such offsets.

     The basic premise of the Agency's policy is that where a SIP
 depends upon an  offset program to attain and maintain ambient standards
 and to achieve reasonable further progress,  the SIP must contain provi-
 sions to insure  that the offsets are Federally enforceable.  An internal
 emission offset will be considered enforceable if it is made a SIP
 requirement by inclusion as a condition of the new source permit.  The
 emission offset will, therefore, be enforceable by EPA under Section 113
as an applicable SIP requirement and will  be enforceable by private
parties under Section 304 as an emission limitation.

     An external emission offset will  not be enforceable unless the
affected source(s) providing the emission reductions is subject to a new
SIP requirement by means of a SIP revision to  insure that its emissions
will  be reduced by a specified amount  in a specified time.   Thus, if the
source(s) providing the emission reduction does not obtain  the necessary
reduction, it will be in violation of  a SIP  requirement and subject to
enforcement action by EPA,  the State,  and/or private parties.  The  form
of the SIP revision may be a State or  local  regulation, operating permit
condition, consent or enforcement order, or  any other mechanism available
to the State that is enforceable under the Clean Air Act.

     The manner in which compliance with this  policy for internal  and
external offsets will be insured must  be submitted with the Part D  non-
attainment plan in order for EPA to approve  the State's plan.   Preferably,
this  insurance should take the form of a provision within  the State's
new source review (Section 173) regulation requiring all  offsets to be
submitted as SIP revisions.   As a minimum, however,  this insurance  should
 take  the form of a written commitment  in the SIP by the State that  any
 offsets will be  submitted as a SIP" revision.

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     In those instances in which EPA has not yet taken final
approval/disapproval action on the Part D SIP, the conditional
approval mechanism should provide an excellent mechanism to require
States to revise their SIPs to insure that offsets are submitted as
SIP revisions.  However, it has been brought to my attention that
some 1979 SIP revisions may have been inadvertently approved without
adequate provisions to insure the submittal of offsets as SIP revisions.
Consequently, each of you should review your SIPs and, if you find no
explicit provision to insure enforceability, should require the State to
submit a revision correcting the noted deficiency.

     In the latter case addressed above, it is necessary to issue
a Notice of Deficiency allowing the State 60 days to take corrective
action.  The notice should further state that if the State fails to
correct the deficiency, then EPA will proceed to promulgate the
attached provision in the appropriate subpart of 40 CFR 52.  The
notice should add that the public will have an additional 30 days
to comment on any material the State may submit, as well  as on
EPA's proposed provision.  The effect of promulgation is  to notify
the State and other involved parties that in order for a  new source
permit to be considered valid, all  offsets associated with the new
source permit must be made legally enforceable through.the SIP
revision process.

Attachment

cc:  Jeff Miller
     Michele Beige! Corash

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                            ATTACHMOTr
     The following language should be published in the approval status
Section of 40 CFR 52 for all States which fail to include explicit
provisions in their SIP to insure Federal enforceability of offsets.

     New source review permits issued pursuant to Section 173 of the
Clean Air Act will not be deemed valid by EPA unless the provisions of
Section V of the emission offset interpretive rule published on January
16, 1979 (44 PR 3274)  are met.

-------
   DATE:
          APR
         UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
            Office of Air Quality Planning, and Standards
            Research Triangle Park, North Carolina  27711
      8  1980
                                                                      PN-110-80-04-08-032
SUBJECT-.   New Source Review Requirements  for Lead
   FROM:
     TO:
Richard G. Rhoads, Director
Control Programs Development Division (MD-15)

Director, Air and Hazardous Materials Division,  Regions I-X

     Recently, several Regions have requested guidance regarding new
source review requirements for lead SIPs.

     The "Supplementary Guidelines for Lead Implementation Plans"
contains a brief outline of general SIP requirements.  . This outline
discusses those portions of 40 CFR 51 regulations  "Requirements  for
Preparation, Adoption, and Submittal  of Implementation Plans"  that were
not revised to account for the lead standard, but  which are still
applicable to the lead SIPs.  Specifically,  the  requirements of  CFR
51.18 Review of New Sources and Modifications must be  satisfied  for lead
SIPs.

     Existing permitting regulations  adopted in  accordance with  Section
51.18 may be applicable to lead depending  on the specific exemptions
included in the State's general permitting regulation.  In general,
the NSR requirement for lead SIPs may be satisfied by  simply revising
existing permit regulations to eliminate any exemption of sources
which have the potential to emit five tons/year  or more of lead.

     The source size limit is based on the definition  of a point source
of lead which is five tons/year actual emissions of lead.  The rationale
for this limit is based on an analysis contained in the "Supplementary
Guidelines for Lead Implementation Plans," pages 75-77.  Briefly, this
rationale indicates that sources which emit  five tons/year of  lead
have the potential to violate the ambient  standard for lead.

     If you have any questions regarding new source review in  lead SIPs,
contact Susi Jackson (629-5365) .of my staff.
          cc:   Chief,  Air Branch,
               Mike James,  OGC
               Ed Reich,  DSSE
                        Regions I-X
 EPA Form 1320-6 (R»v. 3-76)

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                 UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                   Office  of  Air  Quality Planning and Standards

DATi:i5Ai-< 1 9 !Q»9l  Research Triangle Park, North Carolina   27711
        i4i«*w                3                                    PN-110-80-03-12-031
STr  :T:
        Response to Questions on Bubble Policy
FROM:   waiter C. Barber, Director

       Office of Air Quality Planning and Standards  (MD-10)


  TO:   Director, Air and Hazardous Materials Division, Regions I-X


            Since the  publication of the "Recommendation for Alternative


       Emission Reduction Options Within State Implementation Plans"  (Bubble


       Policy) in the  December 11, 1979 Federal Register (44 FR 71780),  several


       questions have  arisen which indicate that certain clarifications  in  the


       policy are needed.  Attached is a series of questions and answers  which


       will serve to further clarify, amplify, and explain some items of  the


       bubble policy.   Should you have any further questions on these issues,


       please contact  Mr. Leo Stander of Dick Rhoads ' staff at FTS 629-5365.


       Attachment


       cc:  Chief, Air Programs Branch, Regions I-X

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                   BUBBLE POLICY ISSUES AND ANSWERS

1.   (Q) If a source ceases to operate all or a specified number of its
emission points or reduces or modifies its production activities such
that total emissions decrease, may it use these emission reductions in
an alternative emission control plan ("bubble") under the new policy?

     (A) As the "bubble policy" is essentially an internal  offset, many
of the points discussed in the "Offset Policy" (as provided in the
January 16, 1979 Federal Register 44 FR 3274) are also applicable here.
In general, EPA will allow a company to use the emission reductions from
such emission points in a "bubble," that is, to offset increases in the
allowable emission levels from other existing emission points at the
same source or at other sources, subject to the following restrictions:

          A.  The source cannot take credit for reductions  already
     committed to as part of the control strategy in the SIP.

          B.  Only emission reductions in excess of those needed, as
     part of an applicable SIP, to demonstrate attainment of ambient
     standards, or to demonstrate compliance with requirements on
     reasonble further progress may be credited.

          C.  Emission reductions resulting from actual  curtailment of
     production or operating hours or shutdowns may be credited pro-
     viding these actions are legally enforceable by EPA.

          D.  Emission reductions from source shutdowns  and curtailments
     in production or operating hours occurring prior to the date of the
     application for consideration, generally may not be used as credit.
     (See Footnote 6 of Section IV.C of Offset Policy page  44 FR 3284.)

2.   (Q) In the cases previously discussed, for which emission levels
can a company take credit in implementing the "bubble policy," actual
or allowable emissions?

     (A) Allowable emissions.  If the alternative plan is being submitted
in response to new or revised SIP regulations, the proposed allowable
emission limits should be used.  (However, it should be  noted that
before the "bubble" application can be approved, such emission limits
should be adopted).  Where the applicable SIP does not contain an
emission limitation for a source or source category, the appropriate
emission level for such sources shall be the actual emissions based on
operating conditions for the previous one or two year period (or other
appropriate period if warranted by cyclical business conditions).
Generally, the emissions for determining credit involving a fuel com-
bustion source will be the allowable emissions under the SIP for the
type of fuel being burned at the time the application is filed (i.e., if

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the source has switched to a different type of fuel at some earlier date,
any resulting emission reduction (either actual or allowable) shall not
be used as credit.  However, if a source is emitting less than the SIP
allows (for example, because a clean fuel is being used) the difference
between the actual and allowable emissions may not be used to increase
emissions elsewhere unless it is shown that the SIP control strategy is
based on the allowable emissions rate (see discussion on low emitting
processes in Section D.I. of the policy).

3.   (Q) Can a source use rollback procedures or the example region
approach to demonstrate the equivalency of control measures in open
dust trades?

     (A) No.  While the bubble policy generally does not impose more
stringent conditions on the demonstration of the adequacy of .alterna-
tive emission control strategies than were used to design the current
SIPs, the policy does place special requirements on trades involving
open dust emissions.  Because of the Substantial uncertainty regarding
the accuracy of some model projections, particularly for the inter-
action between open dust sources and structures at industrial sites,
EPA generally.will not approve any proposed alternative strategy based
on a modeling demonstration that proposes to substitute controls on
open dust emissions for reasonable controls on the more significant
sources of process emissions.  Sources may use modeling demonstrations
for open dust trades that do not affect the use of process controls.
(Please note the factors to be kept in mind when considering such a
demonstration, as discussed on page 71783 of the policy.)  Where a
source wishes to trade open dust controls for control on the more
significant sources of process emissions, the bubble policy allows
sources to demonstrate the equivalency of such trades by installing the
open dust source controls and then monitoring the results.  But all
demonstrations for open dust trades must include a monitoring or
modeling demonstration (whichever is applicable), regardless of how
the adequacy of the existing SIP requirements was demonstrated.

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<  ^^^^  z.
153SI
UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
           Washington,  D.  C.   20460         PN-110-80-03-10-030

                                         Office of
             MAR  1 0 19®         Air>  Noise> and  Radiation
    SUBJECT:  Emission Offset Requirements in Secondary
              Standard Total Suspended Particulate Plans

    FROM:     David G. Hawkins,  Assistant Administrator
                for Air, Noise,  and Radiation

    MEMO TO:  Regional Administrator,  Regions I-X

         The purpose of this memorandum is to reiterate Agency  policy
    regarding emission offset requirements in State Implementation  Plans
    (SIPs) for areas in which only the secondary TSP standard is  violated.

         For TSP nonattainment areas violating the secondary standard
    only and where the Federal offset  policy remains in effect, emission
    offsets are required for all major new sources permitted prior  to
    approval of the SIP for that area.   The Federal offset  policy re-
    mains in effect during any extended time allowed under  Section
    110(B) for development and approval of a SIP revision for an  area
    that violates the secondary standard only (44 FR 20379;  April 4,
    1979, and 44 FR 50600; August 29,  1979).'  If the Federal offset
    policy expires, however no major new sources may be permitted to
    commence construction prior to final approval of the SIP for  the
    area impacted by the source.  Following approval by EPA of  the
    secondary standard SIP, emission offsets would no longer be required
    for any new source locating  in or  impacting a secondary standard
    nonattainment area dominated by agricultural and related fugitive
    dust sources if offsets from industrial sources are not reasonably
    available.

         In order to assure thorough dissemination of Agency policy and
    procedures with regard to the requirements of Part D of the Act, I
    am having this memorandum published in the Federal Register.

    cc:  Director, Air and Hazardous Materials Division, Regions  I-X
         J. Miller
         M. James

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        UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                         WASHINGTON, D.C.  20460

                                                           PN-110-80-03-04-029

                         MAR   41980                    OFR.CEOF
                                                      AIR, NOISE, AND RADIATION

SUBJECT:  Deadline  for  Review of State  Implementation
          Plan Submittals

FROM:     David G.  Hawkins, Assistant Administrator
            for Air, Noise, and Radiation  (ANR-443)

MEMO TO:  Director, Air and Hazardous Materials Division, Regions I-X

     As the State Implementation Plan (SIP) review process continues, it
is becoming increasingly evident that the conditional approval approach
is being utilized to a  significant degree.  While this process has
served  its purpose well  in allowing minor deficiencies to be handled in
a reasonable and legal manner, the granting of a conditional approval is
only the beginning of a very important sequence of actions required both
of the  State and of EPA.

     Since the States have committed to submittal dates set forth in the
Federal Register as part of the conditional approval process,  EPA must
likewise commit to review and act upon the State submittals in an expe-
ditious manner.  I am therefore setting a time frame of 60 days  following
the deadlines set forth in the various conditional  approvals for the
Regions to review the States'  submissions and submit to the various
Headquarters offices a FederaT_ Register notice proposing approval/dis-
approval action on the submitted material.  In situations  where  the
original proposal was specific enough so that interested persons could
reasonably have anticipated and commented on  the substance of  the  State's
supplemental submission, and where there is no active commenter  interested
in that particular item, the Region may proceed directly to a  final
action, in which case, the 60-day time frame  would  apply to the  final
approval/disapproval notice instead of the proposal.   In no event  will
the publication of a notice of receipt serve  to fulfill  the 60-day time
period.

     If, following receipt of a State subnrittal, you foresee a situation
where this time frame cannot be met,' a memo informing Richard  Rhoads,
Director, Control Programs  Development Division should be  sent as  soon
as possible giving an explanation for the inability to meet the  60-day
time frame and identifying  and committing to  the most expeditious  date
for submission of the Federal  Register notice.  The justification  for the
delayed review period need  not be extensive but should be  sufficiently
detailed to serve its intended purpose.

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     In concluding, I want to stress the importance of following
these procedures since I will be asking for a periodic report on the
status of the conditional approval  reviews from Dick to keep me abreast
of the situation.  If you or your staff feel  that there are preferable
alternatives to this approach, please inform Dick of your suggestions.

cc:  Jeff Miller
     Michele Corash

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       \    UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

   ri.^ t ?                      WASHINGTON. D.C.  20-150

\[ ^^                                                     PN-110 - 80 -0 2 - 2 7- 0 2 8


                                                                OFFICE OF
                                                          AIR. NOISE. AND RADIATION
                                ? FEB 1980
 SUBJECT:  Nontraditional TSP Source Control Programs

 FROM:     D^vid G. Hawkins, Assistant Administrator
             for Air, Noise and Radiation (ANR-443)

 TO:       Regional Administrator, Regions I-X


      SIP revisions providing for attainment of TSP NAAQS are currently
 in various stages of submittal, proposal, or approval.  An examination of the SIP
 revisions thus far submitted reveals that further direction is needed concerning
 control of nontraditional sources of TSP.  Accordingly, I am providing the
 following guidance for calendar year 1980.

                                   BACKGROUND

      The Administrator's memorandum of February 24, 1973 contained certain special
 provisions relating to TSP control strategies.  These provisions allowed the
 States, after adoption of RACT regulations for traditional sources, to conduct
 demonstration projects and studies for controlling nontraditional sources of
 TSP  in lieu of immediately adopting control measures  for these sources.  The
 provisions were designed to allow enough time to obtain the necessary additional
 data and coordination prior to the adoption of the control measures to provide
 for  attainment by December 1982.

      The Administrator's memorandum required the States to have obtained
 sufficient information by the time of SIP submission  to determine the contribution
 of nontraditional sources and the degree of reductions needed for attainment.
 The  SIPs were to provide for the step-wise implementation of control measures
 while  assessing their effectiveness and drawing final conclusions on the degree
 of controls necessary.

      It is now recognized that TSP problems are more  complex than originally
 thought.  Assessments must adequately identify the specific sources contributing
 to the nonattainment problem and determine the reductions.needed from those
 sources.

      As you are aware, §109(d)(l) of the Act requires EPA to review the NAAQS
 by the end of 1980.  The review of the particulate matter standard currently
 underway could result in revised primary or secondary standards.  As a result
 of the potential change in the standards, many States have been reluctant

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to initiate new control  programs.   Because alternative  standards  addressing
smaller particles are likely to be considered,  EPA has  stated  that deferred
compliance schedules are acceptable for new control  measures designed
primarily to control large-size particles (Memo,  David  G.  Hawkins to Regional
Administrators, Impact of Potential Revision to Particulate Matter NAAQS,
September 11, 1978).  As long as' compliance is  required not later than 1982,
such schedules may include dates which  are late enough  so  that the uncertainty
over the particulate matter standard can be resolved prior to  significant
expenditures for control.

                            CALENDAR YEAR 1980  PROGRAM

     For calendar year 1980, and likely extending into  1981, States' goals
toward alleviating the particulate matter nonattainment problem should include:
(1) completion of adequate problem assessments  to determine the sources,  source
emissions, and nature of particulate matter (especially size distribution),  and
(2) assurance that RACT is applied to all traditional TSP  sources.  Achievement
of these two goals will  bring all  States up to  a  common level  and will provide
a basis for developing plans to attain  either the current  or revised particulate
matter standards.

     Problem Assessment -- Those States which have not  completed  adequate
assessments of their nontraditional TSP problem must carry out further analyses
during 1980.  In light of the fact that the Agency is considering possible
inhalable particulate (IP) or fine particulate  standards as a  result of the
current particulate matter standard review, data  on particle size distributions
should be gathered as part of the analyses.  Inclusion  of  particle size data
will provide a dual purpose for the analyses:  (1) It will provide additional
data to better understand the current TSP problem, and  (2) it  will provide
background and support for a program for attaining any  revised particulate
matter standard.  Those States which have already completed an adequate non-
traditional TSP problem assessment, therefore,  should also be  strongly
encouraged to gather particle size data during  1980. Particle size determi-
nations should initially include at least the 15  micrometer (urn)  cut point.
The use of the selective modified hi-vcl is recommended for this  purpose.

     Evaluation of RACT  - It is important that the degree of  control considered
RACT is that which could be considered reasonable considering  the latest  technology.
During 1980, States should reexamine their RACT determinations and provide for
further controls as needed.

                             EPA SUPPORT ACTIVITIES

     Concurrent with the States' efforts during 1980, KPA  will provide guidance
on how States can determine control effectiveness at the local level.  Also,
it is planned to carry out several major scale  demonstration  studies with
EPA funding support.  The studies will  be of nontraditional source control
measures that are considered applicable to many areas,  but for which little
information on effectiveness is known (e.g., control of reentrained dust  from
paved roadways).  The studies will develop source-receptor relationships,
determine control measure effectiveness, and monitor the ambient  air impact  of
the controls.  The studies will provide useful  information to  the States  in
choosing control measures.

cc:  Jeff Miller, OE
     Mike James, OGC

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                   UNITED STATE: ENVIRONMENTAL PROTECTION AGENCY
                      Office of Air Quality Planning and  Standards
                      Research Triangle Park,  North Carolina  27711
   DATE:  FEB25  i860                                                PN-110-80-02-25-027
S---JECT: Clarification of Federal Register Announcements
        Concerning the Bubble  Policy
   FROM: Richard G. Rhoads,  Director
        Control Programs Development Division  (MD-15)
     TO: Director, Air and Hazardous Materials Division, Regions I-X

             On January 23,  1980,  EPA  published in  the Federal  Register (45 FR
        5616) certain changes  to the new source performance standard (NSPS)
        regulations concerning the use of the "bubble" concept for applica-
        bility determinations.  This promulgation has caused some confusion in
        light of our "bubble policy" statement published in the-Federal Register
        on December 11, 1979.  The attached fact sheet should serve to clarify
        the issue.
        Attachment
        -cc:  Chief, Air Programs Branch, Regions I-X
EPA Form 1320-6 (R«v. 3-76)

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                              FACT SHEET

                     EPA's BUBBLE POLICY FOR NSPS
     On January 23, 1980, the Environmental Protection Agency published
in the Federal Register (45 FR 5616) amendments and corrections to
certain definitions and requirements of standards of performance for
new stationary sources (NSPS), as promulgated in 40 CFR Part 60 under
the authority of Section 111 of the Clean Air Act as amended.  These
changes we;e made to comply with a 1978 ruling by the United States
Court of Appeals in ASARCO vs. EPA, 578 F2d 319.

     One of the corrections in the January 23 notice was the revocation
of the use of a bubble concept as a means of determining what constitutes
a "modified" source for the purpose of applying NSPS.  This has caused
some confusion on the part of industry and other governmental agencies.

     To remove any misconceptions, it should be noted that EPA's "bubble"
policy, as published in the December 11, 1979 Federal Register (44 FR
71780), has not been revoked or revised.  That policy is still available
for use by existing facilities to comply with the emission limitations
in a State's implementation plan.  However, as stated in that policy:
"[It] does not apply to or supersede the conditions that a source must
meet under nonattainment or PSD permit programs, NSPS,  or national
emission standards for hazardous air pollutants, or other conditions
that the Clean Air Act specifically requires for new or modified sources."
(44 FR 71781.)  The action published in the January 23, 1980 Federal
Register further clarifies this by prohibiting the use  of a "bubble"
concept for determining whether a modified existing facility would be
required to meet NSPS.   In short, the "bubble" policy can be utilized by
existing facilities to comply with requirements of a State Implementa-
tion Plan; however, it cannot be utilized to circumvent the requirements
of the Clean Air Act for new or modified sources subject to NSPS.

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  \    UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
   "1
                         WASHINGTON. D.C. 20460
                                                        PN-110-80-02-01-026

                                                           OFFICE OF
                       J   CCfl -n.                     AIR> NO1SE. AND RADIATION
                            *»W tCJOv/


SUBJECT:  °pasonably Available Control Technology for
          Particulate Matter

FROM:     David G. Hawkins, Assistant Administrator
            for Air, Noise, and Radiation

MEMO TO:  Director, Air and Hazardous Materials Division, Regions I-X

     This memorandum provides further guidance on review of total
suspended particulate (TSP) State Implementation Plan (SIP) revisions
for which adoption of reasonably available control technology (RACT) is
a criterion for approval.

     Many SIPs contain a certification by the State that the adopted
regulations represent RACT.  In some cases, the SIP contains an exten-
sive analysis justifying the RACT certification; in other cases, very
little justification is provided.

     The submission of a State certification of RACT does not,  and
should not, preclude EPA from performing an independent analysis.
Clearly, in cases where EPA has promulgated regulations, has negotiated
consent agreements, or has otherwise made case-by-case determinations of
RACT which conflict with the State certification, such a certification
should be rejected and the SIP should be either disapproved or approved
on the condition that the deficient regulations be corrected.

     It is not Agency policy to approve a SIP solely because the State
certifies that the RACT criterion has been met.  Where EPA has  reason to
question a State certification, an independent analysis of RACT should
be performed by the Regional Office prior to SIP approval.

     Because of the potential for Regional and State inconsistencies, a
review of all State certifications should be conducted.  In some cases,
resource constraints may require initial acceptance of a State  certifica-
tion with only a minimal review.  This is an acceptable procedure in the
interim, but a more thorough review should be conducted when resources
are available.

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     The fact that EPA has approved a SIP based upon a State certification
of RACT would not preclude a subsequent disapproval  action if further
analysis confirmed that the State certification was  erroneous.

cc:  Jeff Miller
     Michele Corash

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   DATE:
                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                     Office of Air Quality Planning and Standards
                     Research Triangle Park, North Carolina 27711
          Otl- 2 8 1978
SUBJECT: SIP Relaxations in Nonattainment Areas
                                                                       PN-110-79-12-28-025
   FROM: Richard G. Rhoads, Director
        Control Programs Development Division  (MD-15)

     TO: Stephen R. Wassersug, Director
        Air and Hazardous Materials Division, Region III

             The purpose of this memo is to summarize the Agency's current
        policy toward SIP relaxations for sources impacting nonattainment
        areas.  Specifically, I am addressing any nonattainment area for which
        an attainment SIP has not been approved.

             Generally, the nonattainment provisions of the Clean Air Act would
        prohibit any SIP relaxation for a source located in a designated (pursuant
        to Section 107) nonattainment area.  The basic rationale is that a
        nonattainment area without an attainment strategy is an intolerable
        situation, and any relaxation would only aggravate the already intolerable
        situation.

             However, some exceptions apply.  We recognize that some "designated
        nonattainment areas" may include clean areas.  If the affected source is
        located in such a clean area, the nonattainment provisions do not necessarily
        apply.

             For sources located in "clean" areas of a nonattainment area (as
        for sources located in close proximity to a nonattainment area) the
        nonattainment provisions apply only if the source is "significantly
        impacting" a violation in the nonattainment area.  Although the defini-
        tion of "significant impact" for this purpose is a case-by-case decision,
        for most major sources any air quality impact should be considered
        "significant" if the impact exceeds the Class I significant deterioration
        increments.

             If such a source does not cause a significant impact on a violation
        in a nonattainment area, then the nonattainment provisions of the Act
        would not normally apply.  In this case, the relaxation would still have
        to be assessed against the conventional criteria such as causing a viola-
        tion of the ambient standards or exceeding the significant deterioration
        increments.

             Director, Air and Hazardous Materials Division, Regions I, II, IV-X
             Ed Reich
             Mike James
 EPA Form 1320-6 (Rev. 3-76)

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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                      Office of Air Quality  Planning  and  Standards
                      Research Triangle Park,  North"Carolina   27711
   DATE-. DEC  t t  1979
SUBJECT-  SIP Issue Memorandum #2
                                                                     PN-110-79-12-11-024
   FROM:
     TO:
G. T. Helms, Chief
Control Programs Operations Branch

Chief, Air Branch, Regions I-X

     This is the second of a series  of SIP issue memorandums  which  will
generally focus on issues that have  been identified in  the special
action Federal Register packages of  the 1979 SIP revisions.  This
memorandum will discuss the following five issues in detail:

     - Conditional Approval of Missing VOC Regulations;

     - Stage I Throughput;

     - Conditional Approval of Cutback Asphalt Regulations;

     - Criteria for Ozone Redesignation; and

     - Public Hearings for SIP Revisions Dealing with Public  Notification.

The names of the CPOB contacts for each of these items  are noted in each
case.  Several other issues will be  discussed briefly.

     There was one error in the first SIP issue memorandum (August  23,  1979).
In the discussion of 18-month extensions, the date of December 1, 1980  was
inadvertently given as the date after which the Federal offset policy
expires.   The correct date is December 31, 1980.

Attachments
     Form 1320-6 (Rev. 3-76)

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                             ATTACHMENT I

Conditional Approval of Missing VOC Regulations

     As discussed in SIP Issue Memorandum #1, to be conditionally
approved, a plan must be in substantial compliance (the deficiencies
must be minor) and the State must commit to remedy the minor defi-
ciencies within a short period.  Several recent examples bring this
issue into focus.

     For instance, the surface coating, cutback asphalt, and degreasing
regulations do not represent RACT in the Colorado submittal.  EPA con-
siders conditional approval appropriate since the emissions from those
sources not required to install RACT are minimal based on the State's
emissions inventory.

     For San Diego, seven of the CTG categories (solvent metal cleaning,
cutback asphalt, surface coating of cans, coils, paper, fabric, and
metal furniture) are missing.  In contrast to Colorado, this must be
remedied before the plan is approvable, even conditionally, since 7 of
the 12 CTG categories are missing which account for a large amount of
emissions.  The State has submitted model rules applicable to each of
the seven categories.  EPA considers these draft regulations and expects
the State to submit final rules within the next several months.  EPA
believes that such rules, if adopted and legally enforceable, contain
control requirements sufficient to fulfill the RACT requirements.
(Bill Polglase, 629-5251)

Stage I Throughput

     Tennessee's Stage I requirements for gasoline service stations
allow an exemption for stations with throughput of less than 260,000
gallons per year rather than specifying the tank size as recommended.
EPA proposed to conditionally approve the regulation provided the above
deficiencies are corrected and submitted to EPA by March 1, 1980.

     Michigan had a similar case and was treated in a like manner in a
Federal Register notice dated August 13, 1979.  (Bill Polglase, 629-5251)

Conditional Approval of Cutback Asphalt Regulations

     The conditional approvals of cutback asphalt regulations to date
have primarily involved two  issues.  The first is the allowable period
for exemptions and the second  issue is allowable percent solvent in an
emulsified asphalt.

     The seasonal exemption for cutback asphalt is primarily predicated
on the technical problems associated with the application of emulsified
asphalt on cold days.  Coincidental to this is the fact that ozone is
not formed on cold days.  Accordingly, approval of an exemption for the

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cold weather months should be based on the occurrences of days with cold
weather (generally November through Harch) and the difficulty with the
application of emulsified asphalts during cold weather periods.  It
should not be based on the lack of ozone violations during these months.

     The exemption for emulsified asphalts containing in excess of five
percent of VOC must be conditionally approved.  As was stated in
Richard Rhoads1  March 6, 1979 memorandum to the Regional Office Division
Directors, "Cutback Asphalt VOC Regulations," if less than five percent
of the total solvent has evaporated up to and including 600  F in a
distillation test done according to ASTM Method D-702, "Distillation of
Cutback Asphalt Products," the cutback should be considered to be one
which will not emit VOC under field conditions.

     Information EPA has received on the subject of solvent content in
emulsified asphalt does not support the allowance of a blanket solvent
content for emulsified asphalt.  The intent of EPA guidance has been for
States to specify in the regulations and justify those emulsions and/or
applications where addition of solvent is necessary.  Where States
failed to do this and instead proposed across the board solvent contents,
EPA stated that a five percent across the board content would be acceptable.
The alternative to the five percent maximum is to follow the guidance
and specify necessary solvent contents on the basis of application or
asphalt grade.  In such an instance, more than five percent solvent
contents will be allowed.  The following maximum solvent contents for
specific emulsified asphalt applications have appeared in EPA guidance
and are based on ASTM, AASHTO, and State specifications and on information
recently received from the Asphalt Institute.

     Use                                     Maximum Solvent Content

     Seal coats in early spring or           |         3%
     late fall

     Chip seals when dusty or dirty                    3%
     aggregate is used

     Mixing with open graded aggregate                 8%
     that is not well washed

     Mixing with dense grade aggregate                12%

     Standardized language on this issue will be forthcoming shortly.
In the meantime, sample language on percent solvent for New York and
Pennsylvania is attached.  (Debbie Prather, 629-5365)

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Criteria for Ozone Redesignation

     Due to the revised form of the ozone NAAQS (expected exceedances),
questions concerning the amount of air quality data needed and the
methodology for interpreting it for purposes of Section 107 nonattainment
designations have arisen.  Previous policy required two years (eight
quarters) of ambient data showing no violations or four quarters of
ambient data and commensurate emission reductions to justify an attain-
ment designation.  However, the revised ozone NAAQS and the accompanying
"Guidelines for the Interpretation of Ozone Air Quality Standards" (EPA-
450/4-79-003) sets forth a new methodology for determining the attainment
status.  The new methodology allows a designation of attainment to be
based on as little as one oxidant season's monitoring data if the
criteria (expected exceedances) set forth in the guideline are met
although three years of ambient data is preferred.  Therefore, for ozone
only, the previous designation criteria are superseded by this expected
exceedances methodology whereby the probability of an exceedance of the
0.12 ppm NAAQS must be <_ 1 for a designation of attainment.
(Lanny Deal, 629-5365).

Public Hearings for SIP Revisions Dealing with Public Notification

     The question of whether or not public hearings need to be held for
the Section 127 public notification SIP revisions has been raised.  In
general, it is not felt that public hearings are needed for this item since
such a revision is not considered to significantly affect the program for
attainment and maintenance of the national standards.  If public hearings
are being held for other SIP revisions, it is prudent to include the
revisions on public notification.  However, if this is the only SIP
revision at hand, it is not necessary to hold a public hearing for just
this revision.  Of course, the State should be sure that it follows its
own requirements for public hearings.  (Bill Beal, 629-5365)

Other Questions

     A number of other questions relating to SIPs have arisen.  These
generally require only a brief response and are detailed below.

1.  Ozone/CO extension requests--EPA can accept a plan in which a State
requests an extension to 1987 even though its RFP demonstration projects
attainment by 1982, especially if the State meets all of the requirements
associated with the extension.  That requirement, of course, is to
demonstrate that attainment is not possible even with the implementation
of all reasonably available measures.

Moreover, an extension cannot be conditionally granted and then rescinded
on the grounds that the requirements of Section 172(b)(l.l) have not been
complied with.  These 172(b)(ll) requirements are not requirements that
must be satisfied prior to approving an extension request; they are
requirements which come into effect upon EPA's granting of the extension.

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2.  Rural areas - Rural areas are defined as all areas less than 200,000,
which is the Bureau of Census definition.

3.  Conditional approval - Regional Offices should not impose conditional
approval dates that are more stringent than those prepared by the States
since EPA needs assurances that the States will meet the conditional
approval requirements.  This kind of a situation would likely lead to
sanctions.

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Fe.doral Register / Vol.  •) I.  No.  1-17  /  Mondav
                                          .')().  1!>7!) /  Proposed  Rules
       • Part 211—General Prohibitions
         Part 211  r.oiil;iins a Renerai prohibition
       against polluting the air and rejjulales
       visible, emissions. Il also contains a new
       s.'dinn (Section 2I1.-I) which prohibits
       tin; (isc of  VOC's lo liquify ;isphalt used
       for paving purposes except under
       ceil a in circumstances.
         The Stale lias included  an exemption
       fur cutback asphalt used in the
       m.imifaeturp. of asphalt  dnulr.icms with
       low VOC content (less III.in IV; by
       weight), in describing K:\CI" for this
       source category, KPA did  not deem this
                                           exemption necessary. However. Ihi:
                                           St.ilt: determined otherwise because of
                                           certain application problems for
                                           emulsions with no VOC content and the
                                           inability of some nsphall manufacturers
                                           lo produce solvcnl-free emulsions.
                                           However, this is a Rcncval rxr.mption
                                           not restricted lo specific ;ipplicalions
                                           justified by the Stain. Therefore. F.PA  is
                                           proposing to conditionally npprfn'e this
                                           rcj;iilali)ry provision pnnidi'd the Stnle
                                           {-omiiiils lo iniiiinii7in.«: Ihi' snlvrnl
                                           ciinli'iil in all (iilurt1 i'inul':ifn%il .Kph.ill
                                           usapi'- On or hf.loro. Srpiombi'r 1. I'J'U.
                                           tin: Stale  shall submit I" I'-I'A in
                                           enforceable procedure for carrying out
                                           this objccliVe.
I-'cdcra!
/ Vol.  -M.  No.  M.'l /  Tiicsd.i y.  |nly  ?A.  1
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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
   DATE:
          2 1 NOV 1979
PN-110-79-11-21-023
SUBJECT:  Minimum Number of Samples for Determining Quarterly Average Lead
         Concentration

   FROM:  Richard G. Rhoads, Director
         Control Programs Development Division, OAQPS  (MD 15)

     TO-.  Director, Air & Hazardous Materials Division, Regions I-X

               In the  preamble to the lead SIP regulations of October 5, 1978 (43
         FR  46264), it was stated that EPA would provide guidance regarding the
         minimum number of valid samples needed to determine quarterly average
         lead  concentrations.  The preamble also cited the general practice that
         at  least 75  percent of the scheduled samples must be valid in order to
         determine average concentrations.  OAQPS has reviewed this issue and has
         concluded that the "75 percent rule" is appropriate for determining
         attainment with the NAAQS for lead.  This means that, at the sampling
         frequency of one 24-hour sample every six days (15 samples per quarter),
         at  least 12  valid lead samples must be available to determine whether a
         State is attaining the national standard.

               This criterium applies to the review of existing data submitted as
         part  of the  original lead plan, as well as all future data collected
         through the  required NAMS stations.  In the event that situations arise
         where the minimum number of valid samples are not available, further
         guidance may be sought by contacting Mr. William Cox, Chief, Monitoring
         and Reports  Branch at (FTS) 629-5312.

         cc:   Director, Surveillance & Analysis Division, Regions I-X
               R.-Neligan
               B. Cox
               T. Helms
 EPA Font. 1320-6 (R«v. 3-76)

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       i         UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
      v                Office of Air Quality Pljinnmci nwl Standards
'«< wo'*0               Research Tri.int|lo Park. North'Carolina 27711
                             OCT 2   1979                         PN-110-79-10-02-022
   SUBJECT:   Amendments to Ambient Monitoring Regulations


   FROM:      Richard G. Rhoads, Director
             Control Programs Development Division, OAQPS

             Robert E. Neligan, Director
             Monitoring and Data Analysis Division, OAQPS

   TO:       Director, Air & Hazardous Materials Division, Regions  I-X
             Director, Surveillance & Analysis Division, Regions  I-X


        As you know, the ambient air monitoring SIP revisions  required  by
   the regulations promulgated on May 10, 1979 (44 FR 27558-27604), are due
   January 1, 1980.  An issue has been raised concerning the need for the
   States to hold public hearings on these SIP revisions.  Apparently,
   changes in monitoring networks have been made in the past in some  States
   without holding a public hearing.

        The Office of General Counsel agrees that the SIP  revisions will  be
   essentially non-substantive and that the States should  not  be  required
   to hold hearings on these revisions.  You may therefore advise your
   States accordingly.

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       \    UNITED STATES ENVIRON.N ENTAL  PROTECTION AGENCY
   "^^}  o
  j^\^fi ?                      WASHINGTON. D.C.  20460

X«-r                                                                 PN-110-79-09-21-021
                                                                 OFFICE OF
       SEP ? 1   197Q                                      A'R AN° WASTE MANAGEMENT


   SUBJECT:   Secondary Standards Attainment Plans - Extensions
             of Submittal  Date

   FROM:      David G.  Hawkins, Assistant Administrator
              for Air, Noise, and Radiation

   MEMO TO:   Director, Air & Hazardous Materials Division, Regions I, III-X
             Director, Environmental Programs Division, Region II

        The purpose of this memorandum is to clarify the requirement for
   submission of State Implementation Plans for attainment of secondary
   standards.

        The Clean Air Act Amendments of 1977 require that SIPs be
   submitted by January 1, 1979, for attainment of primary and secondary
   standards in all nonattainnient areas.  However, Section 110(b) of
   the Act authorizes the Administrator to grant up to 18-month extensions
   for submission of SIPs (or portions thereof) for attainment of
   secondary standards.

        Agency policy regarding these extensions is contained in
   4C CFR 51.31, and requires that any request for an extension must
   be accompanied by a showing that attainment of the secondary standards
   will require emission reductions exceeding those which can be
   acnieved through application of reasonably available control measjres.

   cc:  J. Sernstein
        M. Durning

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ENVIRONMENTAL PROTECTION
AGENCY

(40 CFR Part 52]
[FRL 1316-4!

State Implementation Plans; General
Preamble for Proposed Rulemaking on
Approval ol Plan Re  ' Ions for
Nonattainment Areas—Supplement
(on Control Techniques Guidelines)
AGENCY; Environmental Protection
Agency.
ACTION: General preamble for proposed
rulemaking—Supplement.
SUMMARY: Provisions of the Clean Air
Act enacted in 1977 require states to
revise their State Implementation Plans
for all areas that have not attained
National Ambient Air Quality
Standards. States are to have submitted
the necessary plan revisions to EPA by
January 1,1979. The Agency is now
publishing proposals inviting public
comment on whether each of the
submittals should be approved. These '
are followed by final actions on the
submitlals. In the April 4.1979 issue of
Ihe Federal Register, EPA published a
General Preamble identifying and
summarizing the major considerations
that will guide EPA's evaluation of the
submittals (44 FR 20372). This was
followed by a correction of a
typographical error on April 30 (44 FR
25243) and Supplements on |uly 2 (44 FR
30583) and August 28 (44 FR 50371).
Today's  Supplement provides further
discussion on Control Techniques
Guidelines for stationary  sources of
 volatile organic compounds.
For Further Information Contact: The
appropriate EPA regional office listed on
 the first page of the April  4.1979
 General  Preamble (44 FR 20372} or the
 following headquarters office: G. T.
 Helms. Chief. Control Programs
Operations Branch. Control Programs
Development Division, EPA Office of
 Air Quality Planning and Standards
(MD-15), Research Triangle Park. North
Carolina 27711. (919) 541-5365 or 541-
5228.
Public Comment: As explained in the
April 4 General Preamble. EPA Regional
Administrators are publishing Federal
Register proposals inviting comment on
whether the individual plan submittals
should be approved. The General
Preamble, the July 2 Supplement, the
August 28 Supplement, and this
Supplement are notices of proposed
rulemaking. applicable to each decision
by EPA whether to approve a state plan
submittal. EPA's final action will be in
the form of a ruling approving or
disapproving the individual plan
submittal. If the discussion in this
Supplement requires alteration of any
comments on a plan for which the
comment period has already ended, the
commenter should contact the
appropriate EPA Regional Office
immediately so that the issue can be
appropriately resolved.
Supplementary Information: General
background information is set out at
length in the April 4 General Preamble.
This Supplement provides further
discussion on the Control Techniques
Guidelines (CTGs) issued by EPA for
sources of volatile organic compounds
(VOC). (VOC is a chemical precursor or

ozone, and is therefore controlled in
plans for the ozone ambient standard).
  In several proposals involving  .
particular state plan submittals, EPA
has stated that the submitted regulations
for control of sources of VOC were not
supported by the information in the
CTGs. Where EPA noted a  problem, the
Agency proposed that the State would
have  to provide an adequate
demonstration that its regulations
represent reasonably available control
technology (RACT), or amend  the
regulations to be consistent with the
information  in the CTGs. The purpose of
the following discussion is to explain
generally the legal and'policy
considerations supporting these
proposals, and to discuss in general the
purpose of the CTGs.
  1. RACT for Otone Plans. In the 1977
amendments to the Clean Air Act,
Congress specified that, in order for a
state implementation plan (SIP) to
satisfy the requirements of Part D of
Title I of the Act (Part D). the SIP must
provide for application of all reasonably
available control measures, which
includes RACT  for all stationary
sources.1 In using the term "reasonably
available control technology," Congress
apparently adopted EPA's pre-existing
conception of the term.2
  EPA has defined RACT as: The lowest
emission limitation that a particular
source is capable of meeting by the
application of control technology that is
reasonably available considering
technological and economic feasibility.*
RACT for a particular source is
determined on a case-by-case basis,
considering the technological and
economic circumstances of the
individual source.
                                                                                         PN-110-79-09-17-020

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   EPA regulations provide that less
 stringent emission limitations than those
 achievable with RACT are acceptable
 only if the State plan shows that the less
 stringent limitations are sufficient to
 attain and maintain national ambient air

quality standards,  and show reasonable
further progress during the interim
before attainment.4 Otherwise, RACT
limitations are required, as discussed in
detail in the April 4 General Preamble.*
  2. EPA's Control Techniques
Guidelines. In the 1977 amendments to
the Act, Congress instructed States to
begin revising their plans to assure .
attainment of standards, and also
instructed EPA to prepare guidance
material to assist states in their efforts
to develop ozone plans. While EPA's
main effort was to prepare material on
control  of transportation sources.
Congress  also required the Agency to
publish, and make available  to State air
pollution  control agencies, information
on control of emissions from non-
transportation sources including fuel
transfer and storage operations and
operations using solvents.* Congress
stated its  intent that these documents
were "to be a basic resource available
to State and local  governments in
determining the measures to be included
in plans to achieve and maintain the
national ambient air quality
standards." 'While deliberating on the
1977 amendments to the Act containing
these specific instructions. Congress
was aware that EPA had already begun
preparing a series of CTGs to provide
guidance to States and industry on
controlling stationary sources of VOC.8
   Each CTG describes techniques
available for reducing emissions of VOC
from a category of sources, and states
recommended levels of control. There
were 11 such CTG's published before
January 1978. and 9 published during
1978. EPA intends the CTG's to serve the
following functions:
   a. Informing the States. The primary
purposes of each CTG is to inform the
State and local air poliution  control
agencies  of air pollution control
 techniques  available for reducing
emissions of VOC from the class of
sources covered by the CTG. This
 information, involving the capabilities
and problems general to  the industry,
should be useful to both control
agencies and industry in developing
needed emission limitations for
stationary sources within the State.
  b. Establishing the Deadline for
Submitting SIP Requirements. EPA
believes that States will be able to  make
more technologically sound decisions in
adopting emission limitations if they are
permitted to defer adoption until after
the information in the CTGs is available.
Therefore. EPA has stated that a SIP
revision due January 1,1979 is
acceptable if it includes necessary
emission limitations for source
categories covered by CTGs published
by January 1978.9 Emission limitations
for source categories covered by CTGs
published between January 1978 and
January 1979 must be adopted and
submitted to EPA by July 1,1980. l°
  c. Recommendation to States. Along
with information, each  CTG contains
recommendations to the States of what
EPA calls the "presumptive norm" for
RACT. based on EPA's current
evaluation of the capabilities and
problems general to the industry. Where
the States finds the presumptive norm
applicable to an.individual source or
group of sources. EPA recommends that
the State adopt requirements consistent
with the presumptive norm level in order
to include RACT limitations in the SIP."
  However, recommended controls are.
based on capabilities and problems
which are general to the industry; they
do not take into account the unique
circumstances of each facility. In many
cases appropriate controls would be
more or less stringent. States are urged
to judge the feasibility of imposing  the
recommended controls  on particular
sources, und adjust Ihe controls
accordingly.
  The presumptive norm is only a
recommendation. For any source of
group of sources, regardless of whether
they fall within the industry norm, the
  •44 FR 20376 col. 3 (April 4.1979): 43 FR 21678
(May 3.1978).
  "See memorandum from David G. Hawkins. EPA
Assistant Administrator for Air. Noise and
Radiation, to Regional Administrator. Regioni I-X.
on "State Implementation Plans/Revised Schedules
for Submitting Reasonably Available Control
Technology Regulations for Stationary Sources of
Volatile Organic Compounds (VOC)" (August 22,
1979). The July 1.1980 deadline is six months I alar.
than (he deadline EPA had announced in the
statements cited in footnote 9. Since Ihe process of
adopting regulations appears more lengthy than first
anticipated, additional lime may be necessary to
accommodate public, administrative, and legislative
review.
  Adoption of emission limitations may not be
deferred until after publication of CTGs  where
deferral would result in failure to achieve
reasonable further progress. Set 44 FR 20377 n. 25
(April 4, 1979).
  "Or requirements that deviate imperceptibly
(e.g., up to 5 percent less control) from the
recommended presumptive norm.
 State may develop case-by-case RACT
 requirements independently of EPA's
 recommendation. EPA will propose to
 approve any submitted RACT
 requirement that the State shows will
 satisfy the requirements of the Act for
 RACT. based on the economic and
 technical circumstances of the particular
 sources being regulated.
   d. Basis for the EPA Decision on
 Approval. EPA sought information from
 the relevant industries in  preparing the
/fcTGs. and EPA believes that the
 information in the CTGs is highly
 relevant to  the decision whether to
 approve State regulations. For SIPs that
 must include RACT limitations, each
 CTG will be part of the rulemaking
 record on which EPA's decision will be
 based."However, the CTG does not
 establish conclusively how issues must
 be resolved. In reviewing an individual
 regulation.  EPA will consider not only
 the information in the CTG. but also any
 material included in the State submittal
 and in public comments on the
 submittal.
   For emission limitations that are
 consistent with  the information in the
 CTGs. therefore, the State may be able
 to rely solely on the information in the
 CTG to support its determination that
 the adopted requirements represent
 RACT. Where this is not the case, EPA
 believes that the State must submit
 justification of its own, to support its
 determination. EPA will then consider
 the information submitted by the State.
 together with  the information  in the
 CTG and public comment.
   Note: Under Rxccuiive Order 12OI4 EPA is
 required to judjje whether a regulation is
 "significant" and therefore subject to
 procedural requirements of the Order or
 whether it may  follow other specialized
 development procedures. EPA labels these
 other regulations "specialized." 1 have
 reviewed this regulation and determined that
 it it a specialized regulation  not subject to the
 procedural requirements of Executive Order
 12044.
 (Sees. 110(8). 172. Clean Air Act. as amended
 (42U.S.C. 7410(a), 7502)).
   Dated: September S. 1979.
 David G. Hawkins,
 Auistont Administrator for Air. Noise and
 Radiation.
 IHt Doc. 79-ZS7W Filed 9-14-79. 8:45 »m|
 MUM COOt 6MO-OI-M
                                                                                        "This it what was meant by EPA's statement
                                                                                       dul "the criteria for SIP approval rely heavily upon
                                                                                       •k* Information contained in the CTG." 44 FR 21670
                                                                                       (Xtjr lH 1878).

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   ' Sections 172(b)(2H3) of UM Act (42 U.S.C.
7S02(b)(2H3)].
   1 Congros did not adopt iti own definition of
"RACT." and was well aware o( how EPA used the
terra. See. e.g., Hearing! on H.R. 4151. H.R. 4758. and
H.R. 4444 before the Subcommittee on Health and
Environment of the House Committee on Interstate
and Foreign Commerce. 95lh Cong.. 1st S«»».. Part 2
at 1806.1825 (Serial No. 95-59. March B-ll and April
18.1977).
   1 EPA articulated its definition of RACT in a
memorandum from Roger Slrelow. Assistant
Administrator for Air and Waste Management to
Regional Administrator!. Regions  I-X. on
"Guidance for Determining Acceptability of SIP
Regulations  in Non-attainment Areas." section l.a
(December 9.1978). reprinted in (1978) 7
Environmental Reporter. Current Development*
(BNA) 1210 col.  2: and in EPA's publication
Workshop on Requirements for Non-attainment
Area Plant—Compilation of Presentations 154
(OAQPS No. 1.2-103. revised edition April 1978).
   •40 CFR 51.1(o)(l). The regulation! refer only to
attainment and maintenance. The analogous
requirement for the SIP to show reasonable  further
progress was established by the 1977 amendments.
See 44 FR 20375 col. 3 (April 4.1979).
  • 44 FR 20375-20377.
  'Section l08IO(l)(A)(ii) of the Act (40 USC
7408(0(1 )(A)(ii).
  ' Report to accompany S. 2SZ S. Rep. No. 95-127,
9Sth Cong.. 1st Sess. 24. (May 10.1977).
  'See Hearings, note 2 above. Part 2 at 1427-32.
EPA's authority to publish information and
recommended levels of control is provided by
section 103[b)(l) (40 USC 7403(b)(l)). which
generally authorizes EPA to publish "information.
including appropriate recommendation!" to assist
air pollution control agencies, in addition to  section

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                    UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

   «TE..  2 3  AUG 1979

SUBJECT: SIP  Issue Memorandum #1 (Conditional Approvals,
          18-Month Extensions)                                       PN-no-79-08-23-oi9

   FROM.- Q. T. Helms, Chief
        Control Programs Operations Branch

    TO: Chief, Air Branch, Regions I-X

             At the Regional Office/OAQPS Air Programs Workshop at
        Southern Pines, North Carolina, in July, OAQPS agreed to initiate
        a series of SI." issue memorandums.  These will focus on issues
        that have been defined through the special action Federal  Register
        packages for the nonattainment revisions and will describe the
        approaches that were taken to resolve the issues.  (If there are
        further questions on any of these issues, the names and phone
        numbers of the Control Programs Development Division staff person
        who has worked the closest with that issue is provided.)  Two
        broad topics are covered in this initial memo:  (1) Conditional
        Approvals and (2) 18-month Extensions.  Additional topics  will be
        forthcoming in the immediate future.

        Conditional Approvals

             Where a plan has been revised to be in substantial compliance
        with the requirements of Part D and the State provides assurances that
        any remaining minor deficiencies will  be remedied within a short period,
        imposition of the restriction on new sources during that period  would
        not serve the purpose of the Act.   Therefore, under certain circum-
        stances, EPA interprets the Act to permit the plan to be conditionally
        approved as satisfying Part D requirements.  Nearly all plans  for which
        action has been proposed in the Federal Register have included proposed
        approvals of certain portions of the SIP with conditions that  corrective
        actions be completed in a stated time period.  These proposed  conditional
        approvals cover a broad range of topics.  However, because of various
        EPA policies and requirements, conditional approvals, should not  be
        granted for plan deficiencies such as  the following:

             - Failure to meet requirements for TSP SIP revisions.   A  State
        submitted a SIP revision for TSP which consisted of a commitment to
        perform the necessary analyses, develop the necessary control  measures,
        and prepare the necessary plan revisions by a future date.   Such a
        SIP revision was determined to be unapprovable as it consisted of no
        enforceable measures.  An example of this type of action can be  noted
        in the Federal Register proposal for Texas (44 FR 45204, August  1, 1979--
        Attachment 1).

             - Actions on non Part D_requirements such_as PSD.  A  State  plan
        revision (Vermont) was submitted which included PSD regulations.  These
        regulations were reviewed and determined to be equivalent  to EPA's PSD
        requirements with the exceptions of certain definitions, BACT review
EPA, FOPM 1320-6 (REV. 3-76!

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procedures, monitoring and modeling requirements, and growth analysis.
An approval of these regulations on the condition that the deficiencies
would be corrected by November 1 was considered.  Such approval was
determined to be inappropriate as it was not necessary.   Conditional
approvals are only to be granted with respect to the Part D or sanc-
tionable requirements and need not be considered for the other non
Part D SIP provisions.  The Regional Office divided the Federal
Register notice into two parts—Vermont's Nonattainment SIP Revision
and General SIP Measures.  The PSD plan was included in the General
SJP Measures.  Example wording for the proposed action for PSD can
be noted in the Proposal for Vermont (44 FR 40078,  July 9, 1979—
Attachment 2).

     - Lack of legal authority for inspection/maintenance (I/Ml.   A
State which needed an I/M program submitted a Part  D SIP revision
without evidence of adequate legal authority to implement or enforce
such a program.  Absent an approved extension of the June 30, 1979
deadline for I/M legal authority, EPA is proposing  that lack of I/M
legal authority is not subject to conditional approval and that the
SIP should be disapproved.  An example of this type of action can be
found in. the Federal Register proposal for Michigan (40 CFR 45350-
47356, August 13, 1979—Attachment 3).  Lack of commitments to
implement and enforce the I/M program or the lack of an  implemen-
tation schedule are additional Part D requirements  which cannot be
conditionally approved.

(CPDD Contact:  Leo Stander, FTS:  629-5365.)

18-Honth Extensions

     Minnesota asked for an 18-month extension for  submittal of the SIP
revision for the secondary national ambient air quality standard for
TSP.  On July 20, 1979 Region V submitted a final Federal Register
package approving Minnesota's request--(Attachment  4)~

     Two items are of particular interest in this case.   First, the
requirements of 40 CFR 51.31 were met since Minnesota showed that attain-
ment cannot  be achieved without emission reductions greater than those
that can be  achieved through the application of reasonably available
control technology.  The SIP revision must be submitted to EPA by
July 1, 1980.

     Second, the Emission Offset Interpretative Ruling (January 16, 1979)
will apply to the secondary nonattainment areas until December 1, 1980
or until Minnesota submits and EPA approves a SIP revision containing
preconstruction  review, whichever comes first.   If a SIP revision  is  not
approved by  December 1,  1980, those secondary nonattainment areas will
be in a no-growth situation.

(CPDD Contact:   Brock  Nicholson,  FTS:  629-5365.)

Attachments

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                 UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

DATE: JUL 16  1979

    :  Revision  to  Procedure  for Projecting Automotive Lead Emissions

                                                                   PN-110-79-07-16-018
    :  Richard G. Rhoads, Director
      Control Programs  Development Division, OAQPS

  TO:  Director, Air  & Hazardous Materials Division, Regions I-X


           I am attaching for your information, use, and distribution to the
      appropriate  State and  local agencies, 20 copies of •  revision to Section
      4.3 of the Supplementary Guidelines for Lead Implementation Plans
      (EPA-450/2-78-038).  The revision presents a new procedure which will
      replace the  existing procedure in Section 4.3 for projecting automotive
      lead  emissions.   Also  included are the necessary tables of data to allow
      use of the new procedure.

           I am aware that this revision coincides with the preliminary submittal
      of some lead SIPs; however, I feel that the new procedure—which generally
      indicates higher  automotive lead emissions than did the previous
      procedure—should be used to project lead emissions, as appropriate, in
      as many lead SIPs as possible.  Therefore, I am making the following
      recommendations:  first, all lead SIPs which have not yet been submitted
      for EPA review should  use the new procedure described in the revised
      Section 4.3; second, those SIPs already submitted, which use the automotive
      lead  projections  as part of their control strategy to correct violations
      of the ambient lead standard measured since 1974, should be resubmitted
      using the revised procedure.  The above recommendations do not apply to
      SIPs  employing a  valid projection technique other than that in the
      existing  Section  4.3.

           You  should also note that the revision being made affects  the EPA
      guideline,  "Development of an Example Control Strategy for Lead"
      (EPA-450/2-79-002).  Specifically affected are equations 2.3 (p.14), 2.4
      and 2.5  (p.15) and the related discussion, which are based on the
      previous  procedure.  A substitute procedure is provided in the revised
      material.

           I  intend  to  publish  in the  Federal Register a notice of availability
      of the  revised procedure.  Meanwhile, States should be provided with
      copies  of the  revision so that the necessary changes can be made.
 i-ORM 1320-6 (REV. 3-76)

-------
     If you have any questions or comments,  please contact  Dan  deRoeck
of my staff at 629-5437.

Attachment

cc w/attachments:  Walt Barber, OAQPS
                   Ed Tuerk, OANR
                   Charles Gray, OMSAPC
                   Jack Hidinger, OTLUP
                   Dan deRoeck, CPDD

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                 Federal Register / Vol. 44. No.  128 / MonJay. July
                                                        PN-110-79-07-02-017
140 CFH Part 52

IFRL 1262-51

State Implementation Plans; General
Preamble for Proposed Rulematdng on
Approval of Plan Revisions for
Nonattainment Areas—Supplement
(on Public Comment and Conditional
Approval)

AGENCY: Environmental Protection
Agency.
ACTION: General preamble for proposed
rulemaking—Supplement.

SUMMARY: Provisions of the Clean Air
Act enacted in 1977 require sinles to
revise their Slate Implementation Plan*
for all areas that have not attained
National Ambient Air Quality
Standards. Stales are to have submitted
ihe necessary plan revisions to EPA by
January 1.1979. The Agency is now
publishing proposals inviting public
comment on  whether each of the
siibmiltals should be approved.  In the
April 4. 1979  issue of Ihe Federal
Register. EPA published a General
Preamble identifying and summarizing
the major considerations that will guide
EPA's evaluation of Ihe submtttals (44
 FR 20372). Today's Supplement provides.
 further elaboration  on two issues—
 public comment and conditional
 approval.
 FOR FURTHER INFORMATION CONTACT:
The appropriate EPA regional office
 lislfid on the  first page of !ne General
 Preamble (44 FR 20372) or Ihe following
 headquarters office: G. T. Helms. Chief.
 Control Programs Operations Branch.
 Control Programs Development Division.
 EPA Office of Air Quality Planning and
 Standards (MD-15). Research Triangle
 Park. Norlh Carolina 27711. (919) 541-
 53C5 or 541-5228.
 SUPPLEMENTARY  INFORMATION: The
 background  is set out at length in the
 April 4 General Preamble. This
 Supplement  addresses issues that
 appear to need further elaboration.

 1. Public Comment

   As explained in the April 4 General
 Preamble. EPA Regional Administrators
 ere publishing Federal Register
 proposals inviting comment on whether
 the individual plnn  submiltuls should be
 approved. The General Preamble and
 this Supplement arc notices of proposed
rulemaking. applicable to each decision
 by EPA whether to  approve  a slate plan
 submittal. EPA's  final action will be in
 Ihe form of approving or disapproving
 the individual plan  submittaj.
   A plan  may be approved only if it
satisfies the  requirements of ihe Clean
Air Act and EPA regulations. To assist
the public in commenting on whether
EPA should approve or disapprove
individual plan submitlals. EPA
published in the General Preamble and
this Supplement a summary of the most
important requirements of the Act. EPA
regulations, and EPA's interpretations
and policies. Since the General
Preamble is a notice of proposed
rulemaking. the interpretations and
policies referred to in it do not now
establish conclusively how every issue
must be resolved. In reviewing each
individual plan submittal. EPA will
consider the justification submitted by
the stale with its pl.m.tho public
comments on whether the plan should
be approved, and other relevant
matcriul in the rolemakinif record—ns\N
well as  the interpretations and policies "•
referred to in the General Preamble,

2. Conditional Approvals

   For purposes of determining  whether
a SIP satisfies the requirements of Part
D. EPA  intends to grant conditional
approvals under certain circumstances.
The Act and existing SIPs provide.for a .
restriction on construction of major new
sources of pollution if a  revised plan is
not in effect by July 1.1979, to satisfy
Ihe requirements  of Part D. The purpose
of the restriction on new sources is not
to punish a stale for failure to control
pollution, but rather to prevent the
pollution problem from getting worse.
The restriction would postpone
construction that  would worsen a
violalion of a national standard until
after an acceptable plan is in effect Ihat"
assures timely attainment of the
standard. Where  a plan has been
revised so as lo be in substantial
compliance with the requirements of
Part D.  and the stale provides
assurances that nny remaining minor
deficiencies will be remedied within a
short period, imposition of Ihe
restriction on new sources during that
period would not serve the
congressional purpose. Therefore, under
such  circumstances EPA interprets the
Act lo permit Ihe plan to be
conditionally approved as satisfying
Part D requirements.
   If a stale submits a SIP containing
minor deficiencies, and the state
provides nssurunccs thnt it will submit
corrections on u specified schedule. F.PA
will conditionally approve the  plan. The
EPA Regional Office will negotiate with
the state on an acceptable schedule
prior to final action. A conditional
approval will mean that the  restriction
on new sources will not apply unless the
state fails to submit corrections by the
specified date, or unless the corrections
are ultimately dctrcrmined lo be
inadequate. Conditional approval will
not be granted withourstrang_assurance
by the appropriate stale officials that ~"
the deficiencies will be corrected on
  In developing comments on whether
individual plans satisfy the
requirements of Pnrt D. members of the
public should keep in mind the three
possible outcomes: full approval.
disapproval, and conditional approval
If this discussion of conditional approval
requires alteration of any comments on  •
a plan for which the comment period
hus nlroady ended, the commtinler
should contact the appropriate EPA
Regional Office immcdiulely so that the
issue cnn be appropriately dcnll with.
  Nolo.—Under Executive Order 121H4 ETA
is required lo judge whether a regulation.!*
"significant" and therefore subject lo Ihe
procedural requirements of Ihe Order or.
whether it may follow other specialized
development procedures. EPA labels these
other regulations "specialized". 1 hove
reviewed Ihij regulation and determined that
it is a specialized regulation not subject to the
procedural requirements of Executive Order
12044.
(Sees. T10(a]. 172. Clean Air Act. as amended
(42 U.S.C. 7410(a). 7002)).
  Dated: June 27.1979.
David G. Hawkins.
Assistant Administrator for Air. Noise and
Radiation.
|r« Doc. 7»-20430 F.lfd 6-S>-7». MS 
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                 UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                    Office  of Air  Quality  Planning and Standards
DATE-.  J\JN  \ 4  1979  Research Triangle  Park,  North Carolina   27711
  TO:
                                                                   PN-110-79-06-14-016
G. T. Helms, Chief
Control Programs Operations Branch,  CPDD (MD-15)


Air Branch Chief, Regions I-X

     As you know, the SIP requirements for lead are  set  forth  in
40 CFR Part 51, Subpart E, as promulgated on October 5,  1978.   Questions
have arisen concerning the interpretation of these requirements in those
instances where no violations of the national  ambient lead  standard have
been recorded since January 1, 1974, no significant  lead point sources
[as described in 40 CFR 51.80(a)] exist, and the  State has  no  urbanized
area with a 1970 population greater  than 500,000.

     In cases where such conditions  exist, a plan submission  is still
required.  This plan should minimally contain information pertaining
to lead emissions data (Section 51.81) and air quality data (Section
51.82).  It must be submitted by the State and demonstrate  continued
attainment (i.e., maintenance) of the standard for a minimum of three
years.  The specific information that should be contained in this type
of plan is as follows:

     1.  A baseline emission inventory summarized in a form similar to
Appendix D of 40 CFR Part 51.  Stationary sources emitting  five or more
tons of lead per year must be included in such inventories. This inventory
must also contain area sources and mobile sources.   [Section  51.81 (a)]

     2.  Projected lead emissions for at least three years  from the date
by which EPA must approve or disapprove the plan.   [Section 51.81(b)]

     3.  A summary of all lead air quality data measured since 1974 and
an evaluation of the data for reliability and representativeness.
[Section 51.82(a)]

     4.  A projection of maximum air quality concentrations based on
projected emissions.  [Section 51.82(c)]

     If you have any questions concerning minimum SIP requirements for
the above mentioned situations, please contact Susi  Jackson at 629-5365.

cc:  Jim Cahan, OGC
   >RM 1320-6 [REV. 3-76)

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              PN-110-79-04-04-015
Wednesday
April 4, 1979
Part Ml:
Environmental

Protection Agency

General Preamble for Proposed
Rulemaking on Approval of State
Implementation Plan Revisions for
Nonattainment Areas

-------
20372
Federal RegUtet / Vol. 44. No. 66 / Wednesday. April 4. 1979 /  imposed Rules
ENVIRONMENTAL PROTECTION
AGENCY

[40 CFR Part 52]

State Implementation Plans; General
Preamble for Proposed Rulemaking on
Approval of Plan Revisions for
Nonattainment Areas

AGENCY: Environment! Protection
Agency.

ACTION: General preamble for proposed
mlemaking.

SUMMARY: Provisions of the Clean Air
Act enacted in 1977 require states to
revise their State Implementation Plans
for all areas that have no! attained
National Ambient Air Qur.lity
Standards. States are to have submitted
the necessary plan revisions to EPA by
January l, 1979. During the next several
months. EPA will be publishing
proposals inviting public comment on
whether each of the submittals should
be approved. This General Preamble
supplements these  proposals by
identifying the major considerations that
will guide EPA's evaluation of ihn
submittals.

COMMENTS: As State plan submiitals are
received, EPA Regional Administrators
will publish Federal Register proposals
inviting comment on whether the
submittals should be approved. Even
before the formal EPA proposal is
published, in some instances Regional
Administrators are publishing notices
announcing receipt of SIP submittals,
and availability of the submittals for
public inspection. Each proposal or
other notice inviting comment will state
the address and closing date for
submittal of comments to the
appropriate EPA Regional Office.

For Further Information Contact the
Appropriate EPA Regional or Headquarters
Office
Betsy Home. Air Branch. Ei'A Region I. )FK
Federal Building, Boston. Mass. 02203. (617)
223-4448 (Connecticut. Maine,
Massachusetts, New  Hampshire. Rhode
Island, Vermont).
William S. Baker, Chief. Air Programs
Branch, EPA Region II. 26 Federal Pla-.in, New
York. N.Y. 10007, (212) 2G4-2517 (New York,
New Jersey. Puerto Rico. Virgin Islands).
Howard Heim. Chief.-Air Programs Brunch.
EPA Region III. Curtis Building. Sixlh and
Walnut Streets, Philadelphia. Pa. 19106. (215)
597-8175 (Delaware, Maryland. Pennsylvania.
Virginia. West Virginia. District of Columbia).
Walter H. Bishop, Air Programs Br.im.h. EPA
Region IV. 345 Courtland Si rent. N.E..
Atlanta. Ca. 30308. (404) BiJJ-.'J-'HG (/M.jb.imn.
                 Georgia, Florida, Kentucky, Mississippi,
                 North Carolina, Tennessee, South Carolina).
                 Debra Costello, Air Programs Branch, EPA
                 Region V, 230 South Dearborn Street,
                 Chicago. 111. 60604, (312) 353-2205 (Indiana,
                 Illinois, Michigan, Minnesota, Ohio.
                 Wisconsin).
                 Jerry Stubberfield, Chief, SIP Section, Air
                 Programs Branch, EPA Region VI. 1201  Elm
                 Street, Dallas. Tex. 75270, (214) 767-2742  .
                 (Arkansas, Louisiana, Oklahoma, New
                 Mexico, Texas).
                 William Spratlin. Chief, Air Support Branch.
                 EPA Region VII, 324 East llth Street, Kansas
                 City, Mo. 64106, (816) 374-3791 (Nebraska,
                 iowa, Kansas, Missouri).
                 Robert DeSpain, Chief, Air Brunch, EPA
                 Region VIII, I860 Lincoln Street, Denver,
                 Colo. 80295, (303) 837-3471 (Montana, Utah.
                 North Dakota. South Dakout. Wyoming.
                 Colorado).
                 Douglas Grano, Chief, Regulatory Section. Air
                 Tochnical Branch, EPA Rogion IX. 215
                 Fremont Street. San Francisco. CJil  94105,
                 (415) 556-2338 (California. Nevada. Arizona,
                 Iliiwaii, American Samoa. Guam. \orthern
                 Muriana Islands).
                 Clark Gaulding, Chief. Air Programs Branch,
                 EI'A Region X. 1200 Sixth Avonue, Seattle,
                 Wash. H6101. (206) 442-1230 (Alaska.
                 Washington. Oregon, Idaho).
                 G. T. Helms. Chief.  Conuol Programs
                 Operations branch. Control Programs
                 Development Division, KPA Offico of Air
                 Quality Planning and Standards (MD-15).
                 Research Triangle Park. North Carolin.i
                 27711. (91S) 541-5365 or 541-5^(5
                 (Huadqiiiiilors).

                 SUPPLEMENTARY INFORMATION:

                 Out/inn

                 L Background
                 II. Approval of Individual SIP Elements
                   A. Basic Requirements
                   B. Further Guidance
                   1. Enforceabiiity
                   2. Stringency
                   3. Relaxation or Revocation
                 III. Approval of a Revised Sll3 os' Satisfying
                 Part D Requirements
                   A. Basic Requirements
                   1. Requirements for All Part D SIPS
                   2. Additional Requirements for Ozone or
                 Carbon Monoxide SIPs with Attainment
                 Dates After 1982
                   B. Further Guidance
                   1. Need for All RACM
                   2. Schedules
                   3. Ozone Control Strategy
                   4. Inspection/Maintenance
                   5. Transportation Control Measures
                   6. Ozone Standard
                   7.  Interstate  and International Issues
                   8.  Secondary Standards
                   9.  Fugitive Dust
                   10. Preconstruction Review
                   a. Basic Statutory Requirements
                   b. Requirements From Ihe Emission  Offset
                 Interpretative Ruling
                   c.  Ci'.ographic Applicability
                   d. Exempted Types uf Sources
                   e.  Banking
                   f. Pru'Jibiiion on New CorjlMi; !ion
  11. Changes in Designation
IV. Approval of revised SIP as Satisfying
Non-Part D Requirements

I. Background
  In the 1970 amendments to the Clean
Air Act,' Congress directed EPA to
establish primary National Ambient Air
Quality Standards (NAAQS) to protect
the public health, and secondary
NAAQS to protect the public welfare,
and directed the states to develop and
adopt State Implementation Plans (SIPs)
to attain and maintain the standards.
EPA was given responsibility for
reviewing SIPs and either approving
them, or disapproving them and
promulgating substitutes.
  In 1971  EPA promulgated NAAQS for
sulfur oxides, partioulate matter, carbon
monoxide, ozone (originally called
photochemical oxidants). and nitrogen
dioxide.2 SIPs were developed and
placed into effect. To m«et statutory
deadlines, ths NAAQS were to have
been attained in most regions by 3975,
with some extensions until 1977.
  By 1976 it became apparent that,
despite significant progress, SIPs  were
inadequate to achieve the NAAQS in
many nreas of  the country. EPA
therefore  issued numerous calls for
statos to revise their SIPs to provide for
attainment. Questions also arose  as to
whether, and under what circumstances.
ne\v stationary sources might legally be
permidnd to construct in areas  where
Ihe NAAQS were not  being met. In
response  to these questions, EPA
published its Emission Offset
Interpretative Ruling,-1 which allowed
new construction in areas where
NAAQS wore violated as long as
slringen! conditions were me I thai
would assure further progress toward
attainment of Ihe standards.
   In August 1977 Congress amended the
Act to (among other things) establish a
statutory  approach to permit growth in
polluted areas, while requiring
attainment of Ihe NAAQS by specific
deadlines.''Congress first instructed
  1 Tin: Clean Air Acl. as amended, is codified ut 42
U.S.C  74tn el say.
  J40 CFR Part 50. EPA also promulgated a
hydrocarbons slundard "for use as a guide in
devising impltMiionlation plans lo :ir.hicvn oxidanl
sliind.irds." 40 CFR 50.10. On October 5.1078. EI'A
piiWishi-.il an NAAQS for lead. 40 CFR M.12. «a
added 43 FR 46250. However. Part D of !hc Acl
(discussed in the texl below) dons not rci|uir<: SIP
KulitmUais now due to implement Ihe lead standard.
The roquiromcnls that now govern  Isnd SJP.s were
promulgated uiong with tin; standard. 40 CFR Par!
51. as amended 43  FR 4f>2f'S.
  3Oiiginnlly promulgated on HccL-mbiM 21. I0rr».
the Ruling was n.v.enily reviwd. 4(1 Cl K I'iiri 51.
Appendix S. as revised 44 KR :I274 (January 10.
1WJ).
  'Sections 107(U) and 172 >>f Ihe Acl |4.". II S.C.
710r(d) and 750.:); st-.-.iianis 12? (H) »ml !< I *>t lh<:
         Footnotes continued on next page

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                          Federal Register / Vol. 44. No. 68  / Wednesday. April 4, 1979 / Proposed Rules
                                                                             20373
each state to list those areas where
NAAQS were still not attained as of
August 7,1977 (nonattainment areas],
and instructed EPA to promulgate the
list with any necessary changes. Each
state then had to submit a SIP revision
by January 1,1979, providing for
attainment of the NAAQS as
expeditiouslyas practicable, and for
primary standards no later than the end
of 1982 (or the end of 1987 for areas with
particularly difficult ozone or carbon
monoxide problems). Congress also
provided that EPA's Offset Ruling would
govern new source construction until
July 1.1979, after which da' •• proposed
major sources are to be reviewed under
the provisions of a revised SIP that
meets the requirements of Part D.6
  A list of nonattainment areas was
promulgated on March 3,1978, with
some subsequent modification, and for
these areas states are now in the  .
process of submitting adopted SIP
revisions to EPA for approval.6 During
the next several months.  EPA will be
publishing proposals soliciting public
comment on whether each of the
submittals should be approved. This
General Preamble supplements these
proposals, by identifying the major
considerations that  are guiding EPA's
evaluation of the submittals.
  The fundmental requirements for
approval of SIPs are set out in Title I of
the Clean Air Act, and in EPA's
regulations at 40 CFR Part 51. On
February 24,1978, the Administrator of
EPA issued a memorandum
summarizing the elements that an
approved SIP must contain by July 1,
1979, to satisfy the Act's requirements
for  nonattainment areas. The Agency
has also prepared guidance on how to
satisfy these basic requirements, and
clarifying the requirements where
necessary.7
Footnotes continued from last page
1877 Amendments. Pub. L. No. 95-95 (notes under 42
U.S.C. 7502).
  5 There are some circumstances under which the
Offset Ruling will still apply. See note 36 below.
  "EPA promulgated intitial designatiims and
invited public comment. 43 FR 8962 (March 3.19781.
(n response to the comment received. EPA modified
the designations in certain areas of the country, and
in in the process of modifying designations in some
uddilinnul areas. 43 FR 40412 (September 11.197UI
(EPA Regions I. IV. VI. VIII. X); 43 FR 4051)2
(September 12.1978) (EPA Region III); 43 FR 4SB9;i
(October 5.1978) (EPA Region V): 44 FR 5119
(junuary 25. 1979) (EPA Region !1).
  'Title.I of the Act is codified at 42 U.S.C. Ch»|).
85. Subchap. I. The sections most relevant to this
Genera! Preamble, sections 107 through 128 and I'/t
through 176 of the Act. are codified at sections 7407
through 7428 and 7501 through 7506. respectively, of
42 U.S.C. The Administrator's memorandum on
criteria for approval was reproduced in the Federal
Register at 43 FR 21673 (May 19.1978). The guidance
material has been collected together for public
inspection, and a notice of availability wan
published al 44 FR 8311 (February B. 1979|.
  The purpose of this General Preamble
is to summarize the principal
requirements, in order to assist the
public in preparing comments on the
approvability of the submittals.
However, there are additional, more
detailed requirements and explanations
in the statute, regulations, and guidance,
which interested parties may consult in
preparing comments.
  For each nonattainment SEP submittal
EPA must make two decisions: whether
each  individual element of the submittal
should be approved as a revision to the
SIP; and whether the revised SIP, as a
whole, satisfies the requirements of Part
D of Title I of the Clean Air Act. In
addition, EPA must review the revised
SIP as soon as possible to determine
whether it satisfies all other pertinent,
non-Part D requirements of the Act
II. Approval of Individual SIP Elements
  The effect of approving each element
of a submittal as a SIP revision is to add
to or  alter the "applicable
implementation plan"—that is, the
collection of SIP provisions approved or
promulgated by EPA and enforceable
under federal law (see sections 110(d]
and 113(a) of the Act). Even if EPA
accepts the entire SIP submittal. EPA
may find that the overall revised SIP is
inadequate because it did not go far
enough.  If a submittal does not
accomplish enough, EPA will ordinarily
approve the submitted SEP elements that
are acceptablefbut will disapprove  the
SIP in part, to the extent that more
provisions are needed.
  A. Basic Requirements
  The 1977 Amendments to the Act  did
not alter the principles governing
revisions to the applicable
implementation plan. The basic criteria ,
for approving any individual element of
a submitted plan revision, under section
110(a)(3)(A) of the Act, are that it must—
  ® Be legally adopted by the state.
  © Be adopted after reasonable notice
and public hearing by the state.*
  © Be enforceable.
  @ Not interfere with assuring
attainment and maintenance of the
NAAQS by the required deadline, or
with satisfying the Act's other
requirements.
  B. Further Guidance
  1. Enforceobility. In determining
whether a SIP provision is enforceable.
emission limitations and other
.requirements will be reviewed for
clarity and specificity. Emission
limitations  and other controlling terms
must be well defined, and must clearly
state which sources and processes are
being regulated, when the required
actions are to be taken and by whom,
and what specifically is to be done. In
addition, the provision must specify any
necessary test method by which
compliance is to be assessed, and, if the
provision requires compliance at a
future date, it must contain an adequate
schedule for compliance.
  2. Stringency. It is EPA's policy to
encourage and assist states in adopting
economically efficient pollution control
methods.* However, the Agency has no
authority under the Act to reject a
requirement adopted by a state because
it is too costly or too stringent.10
("Stringency" refers to both the controls
required and how quickly they must be
implemented.) However, EPA must
reject any individual requirement that
would interfere with attaining and
maintaining the NAAQS by the required
deadline or with achieving the other
requirements of the Act."
  3. Relaxation or Revocation. Even
when a new requirement is being added
to a SIP. the existing requirement may
not ordinarily be relaxed or revoked.
The new requirement does not
  * Notice and hearing are required for all SIP
revisions except non-regulatory revisions that are
so insignificant that they will not affect the program
for attninment or maintenance of the NAAQS. See
40 FR "8629 col. 2. 28631 col. 2 (July 8.1975|.
  * For exnmple. EPA encourages states to consider
allowing plants to place less control on processes
where the marginal cost of control is high, in return
for placing greater cor.trol where cost is low. so that
the total control satisfies SIP requirements. See note
16 below on alternative emission reduction
("bubble") options: Preamble to Emissions Offsat
Interpretative Ruling. 44 Fed. Reg. 3274. 3276 col. 3
(January 16.1979): discussion in section IU.B.1 of tha
text below, on Need for All RACM.
  '" Therefore. EPA may not disapprove a
requirement on the ground that It is costly or even
economically or technologically infeasible. or on tha
ground that the overall plan is more stringent than
federal law requires. Sea Union Electric Company v.
EPA. 427 U.S. 248. 265 (1976). Of course, to the
extent «ven full efforts to implement and enforce a
nwisure cannot bring dbout the emission reductions
CdHcd for. EPA may deny credit for those reductions
in demonstrations of reasonable further progress
end attainment, or may reject the measure as
unenforceable. For example, a submitted provision
calling for an alteration of transportation patterns
that simply cannot be achieved may be denied
credit or rejected.
  "For  example, a submitted emission limitation
would have to be rejected if a more stringent
emission limitation is needed under the Act and if
application of technology to meet the submitted
emission limitation would make application of
technology to meal the needed emission limitation
more difficult. Likewise, a relatively slow schedule
for implementation of inspection/maintenance must
be rejected to the extent that a more expeditious
schedule is required under the Act (see section
I1I.B.4 in the text below, on Inspection/
Mointfnancel. As discussed in section HI.B.I of the
text below, on Need for All RACM. states often
have flexibility to obtain more or less emission
reduction from any one measure, as long as a group
of measures in the plan is adequate. Therefore.
review of an individual requirement to determine
whether it will interfere with attainment of the
NAAQS and other Act requirements must often be
conducted together with review of the entire SIP to
determine whether it is adequate overall.

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 20374
Federal Register / Vol.  44, No. 68 / Wednesday, April 4, 1979 / Proposed Rules
 supersede or replace the old
 requirement until the source comes into
 compliance with the new requirement.
 Instead, the existing requirement must
 remain an enforceable provision of the
 SIP, and must co-exist with the new
 requirement in the  applicable
 implementation plan. The present
 emission control requirement must bs
 retained because the source must be
 prevented from operating without
 controls (or with less stringent controls)
 while it is  moving toward compliance
 with {or challenging) the new
 requirement.12
   There are some exceptions, however.
 A state may submit a relaxation or
 revocation of an  existing requirement
 (or, for an  existing  requirement
 promulgated by EPA, have EPA  relax or
 revoke it),  if the requirement is in one or
 more of the following categories:
   (a) Any  existing  requirement that
 conflicts with a new, more stringent
 requirement, making it highly impratical
 for a source to comply wi'h the cid
 requirement.13 Any exemption granted
 must be drawn as narrowly as possible.
   (b) Any  indirect source review
 program revocable unrior section
 110(a)(5)(A)(iii) of the Act,u ond any
 bridge toll  njqinreiiiur.t revocable under
 section TIO(c)(5){A) of Inn Act.
   (c) Any existing inspection/
 maintenance or transportation control
 measure, to the extent  (he measure is
 demonstrated not to be reasonably
 available,  if the rnvissd SIP satisfies all
 Part 0 requirements (Part D
 requirements nrn discussed in section III
 below).15
  1! If existing requirements i.ould he relaxed or
superseded recalcitrant sources could Iw r::iio>'ed
of obligations established under the Ac! preceding
Ihu 1977 Amendments. HUWPVV. the 1977
Amendment!: were intended to provide add'!i<>nal
timti for additional controls to bu applied, not to
permit relaxation of existing reqciri.mc'its.
Th.'iolore. failure of a source to inn •• .:p|il;c:nhle
exis'.ing requirements is subject to apf.iopriire
enforcement action, including assessment of
noncomplian<:e penalties.  Furthermore, if (here is
any instance of delay or lapse in the applicability or
enforceability of the new re.'J.:ircments. because of a
coun order o- for any elder reason, the existing
reo.uiremenls will be applicable and enforciihlile.
  >JFor example, equipment needed to satisfy
existing requirements may have to be disconnected
before more efficient equipment needed to saihfy
new requirements under the 1977 Amendments can
be installed. In such a situation, the existing
requirement may be suspended insofar as necessary
to permit installation ol the more efficient
equipment.
  "EPA's interrjrefalion of this provision.!.*
published at 44 FR 5427 (January 26. 197sl.
  11 "Inspection/maintenance" program; ,irf>
measures providing for envssion-coniro! inspection
and maiiilKiiit'ice of motcr virnit ics. "TrT*!;—  rsjiinn
control" measures are measures tliri:"ip.ti»::; i". • IM
transport^ii.or: sourf.-:s .V;.io.,gh .=on»n ej--.
lrans|iorta!i-.i" r.ontro> pi^ii? ir.-!i-dcd viK-n,:,
stationary sot.:.:t' con:rn: r.-.R^f.-.as (such a-? •••:.?n:
                     (d) Any new requirement in a 1979 SIP
                   submittal designed for the 0.08 ozone
                   level, as long as the control measures in
                   the revised SIP satisfy all requirements
                   for the 0.12 level (as discussed in section
                   III.B.6 below, on Ozone Standard).
                     A relaxation or revocation is also
                   premissible if it will not contribute to
                   concentrations of poilutmn where there
                   is a violation of a NAAQS or of a
                   Prevention  of Significant Air Quality
                   Deterioration fPSD) increment.16 Where
                  recovery from Tilling of vehicular tanks or other
                  storage containers, control of decreasing and
                  surface coating activities, and others (see. e.g.. 38
                  Fed. Reg. 31232 (November 12.1973|). these
                  stationary source control measures tire not
                  transportation control measures.
                    St>e the discussion in section UI.B.5 of the text
                  below, on reasonable availability. To the extent
                  deadlines for compliance are not practicable, they
                  may be relaxed. The fact thai d measure has
                  actually been implemented! will ordinarily indicate
                  thai the measure is reasonably available and the
                  deadlines are practicable. As explained in section
                  III.B.4 of the text below (on inspection/
                  f>lu:iitt:i>anca) u revised SIP with un attainment
                  dale after 1982 must meet certain :Ki,iimi:m
                  requirements for inspection/maintenance.
                    In 1973 EPA promulgated inspection/maimi-nunce
                  and transportation control measures for numeious
                  arras of the country, including requircR-.'-nls 'hat
                  states implement the measures. Several slates
                  sought judicial review of EPA's authority to
                  pron'.ulcnle these requiretr.rr.is. The couns of
                  appeals rejched inconsisicr.t .tensions, and th*1
                  Supreme Court has not resolved the issue.
                  Pnnnsyhaniu v  EPA. 500 K.r.d 246. 257. 261 (3d Cir.
                  •W-1): Maryland v. F.PA. 530 F.2ri 215. 228-27 14th
                  Cir. 197S); Brown v. EPA. 52! F.2u B27. 8'Ji i'Uh Or.
                  IS/5). Diblricl ofCoiumbid v Train. 5-1 F.2d!>"; "06
                  (U.C. ('ir. 1s?75). All exc'.-pl tin- fa:>nxyh' c.isr
                  wu»	r.alecimidri,ni:ndeclsub no:n. F:'A \.
                  iirrjwn. 431 U.S.99 (1H~~). On rei'>s. 74-1007 el a!.  (4lii C'r . filrd Oclo'iri 13. 1!>"j;
                  Uislricl of Columbia v. Cosiie  5fi7 F.2.1 v.fii (D.C.
                  Cir. 15)77).
                    Under t!>i: most recenl U.C. C'icuJI ik'r.sion. EPA
                  must conduct substantial additional rulumttking
                  proceedings before the regulations will bi: ready for
                  flintier judicial consideration. Howcvvr idrniaVin)!
                  over the past year and a half ullc; U.C. Circuit
                  cii.xision would have  distracted the status. K."A, and
                  interested members of ihc public from devoting
                  tht'-ir full efforts end attention to devclnpmi"!! of ihe
                  plan revisions now dun. including any npri;s?,vy
                  inspeclion.'matntenanct- nnd transpcirtaiicr, jor.lrol
                  measures. The Agency thei'i-f^u'e decidi-U nut to
                  proceed for the lime being with Ihe litigation a^J
                  related adinir.is'rjtivt- proceedings invoh'ing ihe
                  tiJ73 r(;gula'ions.
                    However. EPA still believes that ihe Clean Air
                  Ar.l provides a basis  for promulgating imitircenble
                  tranbporlation control nici'su:es irquiring st.ilu
                  implumontation. The  Agency has thoreforo not
                  altered its enforcement poliry for lh« 1C73
                  resul.ilions that are not su'ujer.! lo judicial review.
                  Alter the 197S SIP revisions have been submitted
                  and cvjiluati' d. F.PA will reconsider wlial further
                  proceedings on the 1973 regulations are necessary, if
                  any.
                    16PSD increments are the amounts of
                  deterioration of air quality beltfii than tlu NAAQS
                  iha' is ^ftriri«'ed ur.dfr section M»3 of the Ai.t (42
                  U S C. 747.1} -jni< "i; Ci-'K 51.24. 5.1.:!!. as rev i«,-,H -ill
                  TR •"i280 ?- requirements a plan mtis!  meet  to
satisfy Pan D. After each  item is a
citHiion to Ihe applicable section of the
Act and the applicable paragraphs  of
the Administrator's February  24,1P.78
total plant emissions do not increase and other
requirements are met. Sas Memorandum from the
Administrator of F.PA to Directors of Stale Air
Programs, on "implementing The Alternative
F.mijMOn Reduction ('Bubble') Approach"
(December 21. ia7S): Proposed Policy Statement on
Alternative Emission Reduction Options Within
SlaU- implementation Plans. 44 FR 3740 (January 18.
1979).
  "The 'requirements  of Part D" are Ihc
requirements of sections 110[a)(3)(D). 110(c|;si(D).
and 171-174 of the Act.  (Thv icquirements of
sections 110(G)(3)|D) and 1 ]0|i:)(5)|il) are lo be
In-etcd as requirements of Part D. even though thnse
sections arc not  physically within Part D of Title I of
Ihe Act.) These restrictions on construction, grants.
and funds where SIPs are inadequate are found in
sertuvis 110(a)(2)(l). 113(a)(5). and 17B|a) of Ihe Act.
Even if the SIP itself is adequate, failure to
ii:)i.'lcn<:-nl and cany out the S!P will result in
w:ihholding of new source permits and air pollution
control program grants, under sections 173(4).
113(a)(S). and 176(b) of the Act. In addition, section
316 of  the Act (42 L'.S.C. 7616) provides that Ihe
Administrator may withhold, condition or restrict
sewage tiea";vnl plant construction grants if he
determines  ihai  th" air emissions n;n3on:ibly
nnlicipftifj to re^o't frnm the growth assui -aleci
•»\i',n the op^ndc-J r.0vv,,a» treatment cap*ict'y is f.oi
hrl::g adcqun:p!v iip-'"""!)"'"!.' ano compensated '.ur
mirier  Ihe SIP

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                         Federal Register / Vol. 44, No. 86 / Wednesday, April 4. 1979 / Proposed Rules
memorandum on Criteria for Approval
of 1979 SEP Revisions:18
  1. Requirements for All Part D SIPs:
  ® Demonstrate that both primary and
secondary NAAQS will be attained
within the nonattainment area as
expeditiously as practicable, but for
primary NAAQS no late than the
following final deadlines: (§ 172(a); JJ 1,
3,5.)
  —For sulfur oxides, particulate
matter, and nitrogen dioxide, December
31,1982.
  —For ozone or carbon monoxide,
December 31,1982, except, if the state
demonstrates that attainment by
December 31,1982 is impos>RtV|!» despite
implementation of all reasu.iably
available measures, December 31,1987.
  ® Require reasonable further progress
in the period before attainment,
including regular, consistent  reductions
sufficient to assure attainment by the
required date, {§ 172{b)(3); fl 6.)
® Provide for implementation of all
reasonably available control measures
(RACM) as expeditiously as practicable,
insofar as necessary to assure
reasonable further progress and
attainment by the required date. This
includes reasonably available control
technology (RACT) for stationary
sources and reasonably available
transportation control measures.
(§§172(b)(2), (8); M4-5.)
  ® Include an accurate, current
inventory of emissions that have an
impact on the nonattainment area, and
provide for annual updates to indicate
emissions growth and progress in
reducing emissions from existing
sources. {§ 172(b)(4); M 2, 7-«.)
  ® Expressly quantify the emissions
growth allowance, if any, that will be
allowed to result from new major
sources or major modifications of
existing sources, which may not be so
large as to jeopardize reasonable further
progress or attainment by the required
date. (§§172(b)(3)and(5);fl7.)
  © Require preconstruction review
permits for new major sources and
major modifications of existing sources,
to be issued in accordance with  section
173 of the Act. (§ 172(b)[6): fl  9.)
  "See citations in note 7 above. For the items in
subsection 1 of the text below, the paragraph
numbers refer to paragraphs in the section of the
Administrator's memorandum entitled "General
Requirements of all 1979 SIP Revisions." For items
in subsection 2 of the text below, paragraph
numbers refer to paragraphs in the section of the
memorandum entitled "Additional Requirements for
Carbon Monoxide and Oxidant SIP Revisions
Which Provide for Attainment of the  Primary
Standards Later Than 1982." except that paragraph
numbers identified by the word "Oxidant" refer to
paragraphs in the section of the memorandum
entitled "Carbon Monoxide and Oxidant."
  ® Include the following additional SIP
elements: (§§ 172fb)(7), (9H10); iH 4.10-
11.) ">
  —Identification and commitment of
the necessary resources to carry out the
Part D provisions of the plan.
  —Evidence of public, local
government, and state legislative
involvement and consultation in
accordance with section 174 of the Act.
  —Identification and brief analysis of
the air quality, health, welfare,
economic, energy, and social effects of
the plan provisions chosen and the
alternatives considered, and a summary
of the public comment on the analysis.
  —Written evidence that the state and
other governmental bodies have
adopted the necessary requirements in
legally enforceable form.
  —Written evidence that the state and
other governmental bodies are
committed to implement and enforce the
appropriate elements of the SIP.
  2. Additional Requirements for Ozone
or Carbon Monoxide S/Ps with
Attainment Dates After 1982:
  ® Include an adequate on-going
vehicle emission control inspection/
maintenance program, or establish a
specific schedule endorsed by and
committed to by the governor (or the
chief executive of the local or regional
governmental unit, if it is responsible for
implementation) for the development,
adoption, and implementation of such a
program as expeditiously as practicable.
(§ 172(b)(ll)(B); fl 2.)
  © Present a program for selecting a
package of transportation control
measures (and any other necessary
measures) to attain the emission
reductions target ascribed in the SIP to
the package, including adopted
schedules for expeditious
implementation of currently planned
  "These SIP elements are required for all SIP
provisions needed to satisfy Part D, except for
provisions that were approved or promulgated, and
implumenlcd. prior to enactment of the 1977
Amendments (Augusl 7.1977). The elements
required by section 110(a)(2)(F)(i) (that is.
assurances of adequate personnel, funding and
authority) are needed for all SIP provisions.
  Under sections 172(b)(10) and 174 of the Act. the
SIP may provide that local governments or regional
agencies, rather than the atata itseJf. is responsible
for implementing and enforcing particular plan
provisions. Where this is done.  (1) the plan
provisions must atill be adopted by the state and
submitted to EPA by the Governor. (2) the  slate
must evidence its determination that the local or
regional body has legal authority to implement the
provision, and (3) the local or regional body must
evidence its commitment of necessary resources,
adoption of enforceable requirements, and
commitment to implement and enforce the plan
elements. For some elements, such as inspection/
maintenance provisions, item (3) will also  require a
certification by the local or regional body that it has
adopted necessary ordinances or other legislative
authorization- See the lasl paragraph of note 27
below, on inspection/maintenance.
reasonable transportation control
measures, and schedules for analysis
and adoption of additional
transportation control (and other
necessary) measures. (§§ 110fa){3)(D),
172(b)(2) & (11)(C); Oxidant f| 1-5.)
  ® Include a commitment to establish,
expand, or improve public
transportation measures to meet basic
transportation needs as expeditiously as
practicable, including a commitment to
use necessary federal grants and state
and local funds. (§§  110(a)(3)(D),
     Establish a program that requires,
before issuance of a preconstruction
review permit, an analysis of alternative
sites and other factors which
demonstrates that the benefits of the
proposed source significantly outweigh
any environmental and social costs.
  B. Further Guidance.
  1. Need for All RACM. Part D requires
the SIP to provide for that level of
control necessary  to assure attainment
of the standards as expeditiously as
practicable, and no later than the
specified deadlines, and reasonable
further progress in the interim. It does
not require that all sources apply RACM
if less than all RACM will suffice for
reasonable further progress and
attainment. Therefore, if a state adopts
less than all RACM and demonstrates
(a) that reasonable further progress and
attainment of the NAAQS are assured,
and (b) that application of all RACM
would not result in attainment any
faster, then a plan with less than all
RACM may be approved. An exception
is  that most ozone SIPs must  include,  as
a minimum, RACT requirements for
certain stationary  sources (discussed  in
subsection 3 below, on Ozone Control
Strategy).
  2. Schedules. Ordinarily all necessary
measures must be adopted in legally
enforceable form. However, for certain
classes of measures, EPA interprets the
Act to allow approval of plans
containing schedules for expeditious
development, adoption, submittal, and
implementation of these measures.
Schedules may be used for the
following: (a) Measures to control
particulate matter sources that EPA has
not traditionally treated as causes of
NAAQS  violations ("nontraditional"
sources — for example, sources of urban
fugitive dust, resuspended road dust,
and dust from construction, as
distinguished from fugitive and stack
process emissions from stationary
sources); (b) RACT requirements for
stationary volatile organic compound
(VOC) sources for which EPA has not
issued a  Control Techniques  Guideline

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 0376
Federal Register / VoL 44. No. 68 / Wednesday. April 4. 1979 / Proposed Rules
 ly January 1978; (c) inspection/
 naintenance programs; and (dj
 ransportation control measures.
   Schedules must provide for
 mplementation of measures quickly
 :nough to assure that the SIP will
 jrovide for reasonable further progress
 md attainment by the required date.
 schedules for control of stationary VOC
 jources and for inspection/maintenance
 programs also must meet, at a minimum,
 :he deadlines and other specific
 -equirements for these kinds of
 measures established in EPA guidance,
 which are summarized below (in
 subsections 3 and 4, on Ozone Control
 Strategy and Inspection/Maintenance).
 For controls of nontraditional
 particulate matter sources and for
 transportation controls, where analysis.
 selection, and adoption cannot be
 completed in time to be approved by
 July 1.1979, schedules may provide for
 expeditious completion of analysis,
 selection, and adoption. By the
 applicable deadline in the schedule, the
 state must adopt the necessary
 measures in legally enforeceable form.
 along with any necessary additional
 schedules for expeditious
 implementation of the measures.
   Each schedule must contain key
 milestones to be used for evaluating
 progress  in completing the scheduled
 tasks, including as precise a description
 as possible of what must be
 accomplished by each key milestone. In
 order to contribute to the demonstration
 of reasonable further progress and
 attainment, each schedule must include
 a  target of how much emission reduction
 will result, and when, from each
 measure or group of related measures.
   Each schedule must be adopted as
 part of the SIP, and each state or other
 governmental body responsible for
 implementation must be committed to
 meet the  key milestones.20The state and
 other governmental bodies  must
  "•Failure to meet a key milestone to which (he
8t;ite or other governmental body 19 committed may
be ireated as a failure to "implement" and "cHiry
ou!" the SIP under sections 173(4). 176(b). and
31ti(b)(2) of the Act. and under gome circumstances
may be treated 88 a "violation" of a requirement of
the SIP under section 113(a)(l). Furthermore, certain
milestones in each schedule will be deadlines for
submitting additional necessary elements of the SrP.
such as certification of adequate legal authority.
evidence that the necessary requirements have b«en
adopted in legally enforceable form, or evidence
that the state or local government is committed to
implement and enforce the appropriate plan
elements. Regardless of whether the state or othor
governmental body is committed to meeting thesfl
milestones for subriitting additional elements,
failure to meet them may render the SIP no longor
adequate to satisfy the requirements of Part D under
suuion UO(a)(2)(I) of the Act. and in some
circumstances may be treated as a failure to submit
a plan that considers an 'element required by Piirt 0
under section 176(a) of the Act.
                 therefore be committed to analyze,
                 select, adopt, and implement measures
                 necessary to achieve the emission
                 reductions ascribed to the schedules.
                 There is a partial exception for ozone
                 and carbon monoxide measures that are
                 not reasonably available for
                 implementation before the end of 1982:
                 The state and other governmental
                 bodies must be committed to meeting
                 the key milestones for analyzing and
                 selecting such measures for the post-
                 1982 period, but need not submit the
                 adopted enforceable measures, and
                 schedules and commitments to
                 implement them, until, at the latest, July
                 1,1982.21
                   3. Ozone Control Strategy. Although
                 an ozone SIP must assure reasonable
                 further progress and attainment in all
                 nonattainment areas, the SIP need not
                 include a specific demonstration of
                 reasonable further progress and
                 attainment in rural  areas. (A designated
                 nonattainment area may consist of one
                 or more "urbanized areas" surrounded
                 by "rural areas.")22Such a
                 demonstration in  all urbanized areas.
                 aloug with at least the minimum
                 stationary-source requirements
                 described below,  should assure
                 reasonable further progress and
                 attainment in the  rural areas by
                 minimizing the pollutants transported
                 from urbanized to rural areas.
                   Because it is often difficult to develop
                 precise ozone control strategies, and
                 because sections 172(a)(2) and (b)(3)
                 require minimum  levels of control
                   " Section 172lc) of the Act establishes a July 1.
                 1982 deadline for the SIP to contain all enforeceahle
                 measures necessary' for attainment by the end of
                 1987. The |u!y 1. 1982 deadline applies only to
                 measures not reasonably available earlier The
                 state ir.«y nut delay adoption and implementation of
                 measures that are reasonably available earlier on
                 d'.cuunl of section 172(c). Sea Clean Air
                 Amendments of 1977, Conference Report to
                 accompany H.R. 6161. U.K. Rep. No. 95-564. BSlh
                 Cong.. 1st Sess. 157 (August 3.1977).
                   if! For purposes of ozone plan development.
                 "urbanized area" means a central city and
                 surrounding closely settled areas with population of
                 200.00 or more, according to the 1970 Census, plus
                 any adjacent fringe areas of development. Any
                 other area is a 'rural area."
                   SiRte reasonable furthur progress and attainment
                 need not be demonstrated in a rural area, ozone
                 SIPs that satisfy all Part D requirements under EPA
                 guidance for a rural area and for the urbanized
                 areas that ,:.iusi: the nonallainment problem in the
                 tur.il area will provide an inherent omissions
                 growth allowance for new major sources in the rural
                 area. This means that a permit m.iy be issued for
                 major sources of VOC in such rural areas, under
                 section 173 of the Act. without a specific
                 demonstration that the new emissions will be
                 Hccomoiod.itt'd under section 173(1) (Situ discussion
                 in subsection lO.a below, on Precons'.rui'.tian
                 Rrr;ew,\ If extensive growth changes the
                 dBT.ugr.iphic character of an area from rural to
                 urbanized, a demonstration of reasonable further
                 progress and attainment may then be called for in
                 Ihi: tn.-ivly urbanized arua.
 technology, the minimum acceptable
 level of stationary source control for
 ozone SfPs is the following: Ozone SIPs
 being revised now must include adopted
 RACT requirements for VOC sources
 covered by Control Techniques
 Guidelines (CTGs) that EPA issued by
 January 1978, and schedules to adopt
 and submit by each future January
 additional requirements for the sources
 covered by CTGs issued by the previous
 January. For SIPs with attainment dates
 after 1982. these RACT requirements
 must apply in urbanized areas to  all
 sources covered by each CTG, and in
 rural areas to all "major" sources (that
 is. over 100 tons/year potential
 emissions)"covered by each CTG.
 (Such SIPs must also provide for the
 control of additional  sources where
 necessary to achieve reasonable further
 progress, as discussed below.) For SIPs
 with attainment dates before the  end of
 1982 that do not use photochemical
 dispersion modeling,  these  RACT
 requirements must apply to all major
 sources covered by each CTG, and in
 urbanized areas to enough  additional
 sources covered by each CTG to provide
 for reasonable further progress and
 attainment as expeditiously as
 practicable. In SIPs with attainment
 dates before the end  of 1982 that do use
 photochemical dispersion modeling,
 these RACT requirements must apply to
 enough sources covered by each CTG to
 provide for reasonable further progress
 and attainment as expeditiously as
 practicable.24
  ""Potential" to emit means the maximum
capacity to emit a pollutant absent air pollution
control equipment. See sections II.A.I through 5 of
the Offset Ruling, note 3 above.
  3AThe above sets forth the minimum \evel of
stationary source control that must be included not
only in the SIP. but also in the demonstration that
Hitiiinmcnt is impossible by the end of 1982 despite
implementation of all reasonably available
measures, which  is necessary under section
172(a)(2) to qualify for an attainment date after thtt
end of 1982.
  Linear rollback techniques for determining
net*dfid emission reductions arc acccplbblu for use
in 1979 SIP xubmiltals. Plans with attainment dates
after 1982. however, must be revised by July 1.1982
to jst!  more rigorous techniques.
  "Thai is. the SIP must do the following to tho
extant  necessary to achieve straight-line reductions
at lh« .ind of 1982: |1) Include all RACT. including
RACT for source categories in addition to those that
will be covered by EPA's CTC series, and. for
source categories that will be covered by CTGs.
adopt RACT requirements sooner than would be
required by EPA's CTC program described in the
texi above: (2) provide for especially expeditious
and ambitious reasonably available transportation
control measures: and (3) permit new major sources
and major modifications only with case-by-case
offsetting emission reductions (see discussion on
PrHConiitruclion Review in subsection 10 below of
the text). As a practical matter, a SIP that requires
application of alt RACT and includes no emissions
growth allowance for new major sources should
assure straight-line reductions at the end of 1982 for
even tiie most seriously polluted area.

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                           Federal Register / Vol. 44, No. 60 / Wednesday, April 4, 1979 / Proposed Rules
                                                                                20377
   An ozone plan with an attainment
date after 1982 will satisfy the
requirement for reasonable further
progress if the SIP requires at least (1)
"straight-line reductions"  at the end of
1982, or (2) reductions that reflect
application of all RACM as
expeditiously as practicable through the
end of 1982 with no emissions growth
allowance for new major sources.1*
"Straight-line reductions" mean
reductions at the end of 1982 at least as
great as if equal annual reductions were
required between 1979 and the
attainment date, which can be
represented graphically by a straight
line. Until the end of 1982, Allowable
emissions may remain above the
straight line to accommodate the time
required for compliance.
   4. Inspection/Maintenance. An
acceptable inspection/maintenance
program or schedule is required in
urbanized areas for every ozone or
carbon monoxide SIP with an
attainment date after 1982.26In addition,
for SIPs with attainment dates by the
end of 1982, states may find that
inspection/maintenance is helpful to
assure reasonable further progress and
attainment by the required date, or even
to provide an emissions growth
allowance  for new major sources. For
urbanized areas with attainment dates
after 1982,  the SIP must contain a
commitment of the state, local
government, or regional agency to
implement  the program as expeditiously
as practicable. EPA has determined  that
the final deadline for submitting
assurances of adequate legal authority
to carry out the program is June 30,1979,
  "That is. the SIP must do the following to the
extent necessary to achieve straight-line reductions
al the end of 1982: (1) Include all RACT. including
RACT for source categories in addition to those that
will be covered by EPA's CTG series, and. for
source categories lhat will be covered by CTGs.
adopt RACT requirements sooner than would be
required by EPA's CTG program described in the
lexl above; (2) provide for especially expeditious
and ambitious reasonably available transportation
control measures; and (3] permit new mejor sources
and major modifications only with case-by-case
offsetting emission reductions (see discussion on
Proconslruclion Review in subsection 10 below of
the text). As a practical matter, a SIP lhat requires
application of all RACT and includes no emissions
growth allowance for new major sources should
assure straight-line reductions at the end of 1982 for
even the most seriously polluted area.
  ""Urbanized area" is defined in note 22 above.
Statewide programs are encouraged, especially for
stales that are small and highly urbanized. EPA will
review the need for inspection/maintenance in non-
urbanized areas after the 1979 SIP revisions arc
submitted and will consider additional requirements
al that lime. For some carbon monoxide SIPs.
regardless of whether attainment will be after 1982.
inspection/maintenance for non/urbanized areas
may now be necessary to demonstrate reasonable
further progress and attainment.
with limited exceptions." Phial
implementation of the program
(including adoption and submission to
EPA of all necessary requirements for
mandatory inspection and repair of
failed vehicles) must be scheduled for.
no later than the end of 1982 for a
centralized program, or the end of 1981
for a decentralized program.58 Failure to
submit by the required deadlines the
legal authority and all regulatory
requirements necessary for mandatory
inspection and mandatory repair of
  "Limited exceptions to the June 30,1979 deadline
for supplying certification of adequate legal
authority may be possible if the state (or other
governmental body) can demonstrate that the
legislature has had no opportunity to consider any
necessary enabling legislation between enactment
of the 1977 Amendments (August 7,1977) and June
30,1979. Extension beyond June 30,1979 is an
exceptional remedy, and EPA will grant no
extension if the legislature has had an opportunity
to consider enabling legislation but has not given
such legislation serious consideration. (EPA had
also contemplated extensions for situations where
there had been insufficient opportunity to conduct
necessary technical analyses: however, us far as
EPA Is aware, the needed information is now
available.) In no case may the assurances of
adequate legal authority be supplied later than July
1.1980. Where legislative action will occur after the
SIP has been approved, submiltal of assurances of
adquate legal authority must be included as a key
milestone in the schedule for implementation of the
program.
  Legal authority by the required deadline is
necessary to satisfy the requirements of sections
172(b)(7) and (10) of the Act, which call for evidence
that the state or other governmental body has
legally adopted the necessary requirements and
schedules and timetables for compliance, is
committed to implement and enforce the elements
of the SIP, and has committed the necessary
resources to carry out the SIP. If legal authority is
provided but is later withdrawn or found to be
inadequate to authorize implementation of the
required program, the SIP will then no longer satisfy
the  requirements of section 172(b)t?) and (10).
  See note 19 above, on commitments by
governmental bodies other than the state. Where a
local or regional body will implement the program.
the deadline for certification that such a body has
necessary legal authority is the same as for a
state—that is. June 30.1979, with limited exceptions.
  "A "centralized" program is one where
inspection testing is conducted At facilities owned
and operated by a state, local, or regional
governmental agency, or a contractor working for
the agency. A "decentralized" program is one where
testing is conducted at private garages licensed to
conduct the tests by the slate, local, or regional
agency. The deadlines for implementation apply
regardless of when authorizing legislation is
obtained. The Administrator's memorandum on
criteria for approval (note 7 above) had provided
that the deadline for implementation would be
earlier for areas that obtain legislation earlier.
However, tht> Agency has modified this policy. EPA
believes that lh« uniform deadlines stated in the
text, for obtaining legislative authority and for
implementing the necessary programs, will foster
equity among slates and coordination in
administering programs in interstate metropolitan
areas, and that compliance with the deadlines will
constitute implementation of the programs as
expeditiously as practicable. See also note 21
above, explaining that the July 1. 1982 deadline
under section 172(c) of the Act is irrelevant to
inspection/maintenance legislation, which is now
reasonably available.
 failed vehicles will make the SIP no
 longer adequate to satisfy the
 requirements of Part D.
   5. Transportation Control Measvres.
 For urbanized areas, each SIP with an
 attainment date after 1982 must contain
 schedules for implementation of
 currently planned reasonably available
 transportation  control measures, and
 schedules for analysis, selection and
 adoption of additional transportation
 control measures, sufficient to achieve
 the emission reductions target ascribed
 to transportation control in the
 demonstration of reasonable further
 progress and attainment. As noted
 above, by the applicable deadlines in
 the schedules, the state must adopt the
 necessary measures, along with any
 necessary additional schedules  and
 commitments for expeditious
 implementation of the measures. It is
 EPA's policy that each area will be
 required to schedule a representative
 selection of reasonable transportation
 control measures for implementation at
 least on a pilot or  demonstration basis
 before the end  of 1980.
   The determination of what
 transportation control measures are
 reasonably available must be made  on a
 case-by-case basis. The measures listed
 in section 108(f)(l)(A) of the Act are
 presumed to be reasonably available. If
 a  state or local government believes that
 in its particular situation any of the
 measures listed [except inspection/
 maintenance) is not reasonably
 available, the burden is on the state or
 local government to demonstrate the
 unavailability of the measure, based on
 the local situation. A demonstration lhat
 a  measure is not reasonably available
 must be based on  substantial
 widespread and long-term adverse
 impact that would result from the
 measure, and on the time needed to
 analyze,  develop and implement the
 measure. These factors bear both on
 whether a measure is reasonable and on
 whether a schedule calls for
 implementation as expeditiously as
 practicable.
   6. Ozone Standard. EPA recently
 changed  the required level under the
 primary and secondary NAAQS for
 ozone from 0.08 to 0.12 parts per million
 (and changed the designation of the
 NAAQS from "photochemical oxidants"
 to "ozone")."A SIP is now acceptable if
 it moets all Part D requirements  for the
 NAAQS at a level of 0.12 or below. A
 state may, if it wishes, relax new
requirements in a 1979 SIP submittal
designed for a level below 0.12, so long
  "40 CFR 50.9. as revised 44 PR 8220 (February 8.
1979).

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20378
Federal Register /  Vol. 44. No. 86 / Wednesday. April 4, 1979 / Proposed Rules
as the revised SIP meets all
requirements for the 0.12 level.
  Being a relaxation, the revision to the
ozone standard does not affect the
schedule for submittal of SIP revisions
required under Part D. Section 110(a)(l)
of the Act requires that SIP revisions be
submitted within 9 months after a
standard is revised. This refers only to
SIP revisions legally required because of
the revision to the standard. However,
where a standard is relaxed, no SIP
revision is required by law, since states
may have more stringent controls than
necessary if they choose.^ It is optional
with the state whether to relax new
requirements back to the 0.1'. level, and
the state may therefore determine its
own schedule for accomplishing this.
  The relaxation of the ozone NAAQS
may allow some areas now designated
nonattainment to have their
designations changed, under section
107(d)(5) of the Act. In order to clear up
any questions about what is a
nonattainment area before the July 1,
1979 deadline for having approved Part
D SIPs,31 states are urged to promptly
submit lists  of areas that may be
redesignated, along with supporting
documentation. EPA will then
promulgate the revised lists as soon as
possible, with any necessary
modifications.
  7. Interstate and International Issues.
P6llutants entering a state from sources
in neighboring states, countries, or
bodies of water, and contributing to the
violation of a NAAQS in a
nonattainment area, must be included in
the demonstration of reasonable further
progress and attainment. For purposes
of SIP development (although not for
purposes of  making nonattainment
designations under section 107(d) of the
Act), states may assume that the
NAAQS will be attained by the
appropriate  deadlines under the Act in
neighboring  states, countries, and bodies
of water, and that all SIP requirements
in neighboring states will be met. For
interstate (and intrastate) urbanized
areas that are nonattainment for ozone,
the highest pollutant concentration for
the entire area must be used in
  M An adequate SIP designed for an ozone level
below 0.12 will be al least stringent enough lo
satisfy requirements for the 0.12 level, as required
by )uly 1.1979.
  31 The revised standard is immediately effective
for determining whether a proposed new source
would cause or contribute to a violation of.lhe
standard, for purposes of preconstruction review,
regardless of the designations. However, the
requirement to have a revised SIP that satisfies Part
D remains in effect for all nonattainment areas until
EPA promulgates a different designation. See the
discussion in subsection  11 of the text below, on
Changes in Designation.
                determining the necessary level of
                control.
                  8. Secondary Standards. Particulate
                matter and sulfur oxides are the only
                pollutants for which secondary NAAQS
                are more stringent than primary
                NAAQS. These secondary standards
                must be attained as expeditiously as
                practicable, but no later than the end of
                1982 where application of all RACT by
                the end of 1982 will result in
                attainment. "Where application of all
                RACT will not be sufficient, or where
                the state shows that good cause exists
                for postponing its application, then an
                attainment date later than 1982 may be
                provided for in the SIP. This date must
                be as expeditious as practicable
                considering  the amount of emission
                reductions needed and the problems
                involved in obtaining them.
                  The January 1,1979 deadline for
                deadline for submittal  of the SEP
                revision and the July 1,1979 deadline for
                its approval may be  extended up to 18-
                months for a secondary NAAQS."The
                state must request an extension, and
                include a showing that attainment will
                require emission reductions greater than
                those that would result from application
                of all RACT.
                  9. Fugitive Dust. "Rural areas" (as
                defined according to EPA's Fugitive
                Dust Policy)34 experiencing particulate
                matter violations that can be attributed
                to fugitive dust (that is, native airborne
                soil uncontaminated by man-made
                sources) can under certain conditions be
                designated as attaining the NAAQS.
                Areas so designated do not need SIPs
                that satisfy the requirements of Part D.
                Non-rural areas that experience
                particulate matter violations, even if
                attributed to airborne soil, must be
                designated as non-attainment  and must
                have SIPs that satisfy the requirements
                of Part D. "Rural"areas are defined for
                these purposes as those that have (1) a
                lack of major industrial development or
                the absence of significant industrial
                particulate emissions, and (2) low
                urbanized population. All other areas
                are "non-rural" areas.
                  Where fugitive dust in non-rural areas
                causes or contributes to particulate
                matter violations SIPs must include
                sufficient controls to demonstrate
                reasonable further progress and
                  «5«s40CFRS1.13(b).
                  "Soo section 110(b) of the Act; 40 CFR 51.31.
                  " See memorandum from Edward F. Tuerk. EPA
                acting Assistant Administrator for Air & Waste
                Management, to EPA Regional Administrators, on
                "Guidance on SIP Development and New Source
                Review in Areas Impacted by Fugitive Dust"
                (August 16.1977). and the attachment entitled
                Fugitive Dust Policy: SIP's and New Source Review
                (August 1.1977); Preamble to initial designations of
                attainment status. 43 PR 8963 col. 1. (March 3.1078);
                section II.A.8 of the Offset Ruling, note 3 above.
 attainment of the standard by the
 required date. SIPs for non-rural urban
 areas must contain adopted RACT
 requirements for traditional sources and
 either adopted requirements or
 schedules for study and subsequent
 adoption of requirements for
 nontraditional sources. (See subsection
 2 above, on Schedules.) Controls of
 fugitive dust sources in non-rural areas
 must be included, if controls to be
 applied to other sources are not
 sufficient to demonstrate reasonable
 further progress and attainment.
   10. Preconstruction Review.
   a. Basic Statutory Requirements. To
 satisfy the requirements of Part D,55 a
 preconstruction review program must
 assure  that permits for proposed major
 sources and major modifications may be
 issued  only if the following conditions of
 sections 172(b)(ll)(A) and 173 of the Act
 are satisfied:
   i. Requirements for all Part D SIPs:
   ® The proposed major source or
 major modification is accommodated by
 one or  both of the following approaches:
   (A) There are sufficient case-by-case
 offsetting emission reductions (offsets)
 and other emission reductions required
 under the SIP, so that allowable
 emissions from all sources when the
 proposed major source or major
 modification is to commence operation
 represent reasonable further progress, or
   (B) Emissions resulting from the
 proposed major source or major
 modification are accommodated by the
 emissions growth allowance for major
 new sources.
   © Any emission reductions required
 under paragraph (A) must be legally
 binding and enforceable before the
 permit  may be issued. (§ 173(1) and the
 sentence of § 173 after subsection (4).)
   9 The proposed major source or
 major modification must comply with
 the lowest achievable emission rate •
 (LAER), as that term is defined in
 section 171(3) of the Act. (§ 173(2).)
   ® All major sources in  the state
 owned  or operated by the owner or
 operator of the proposed major source
 or major modification must be in
 compliance (or on a schedule for
 compliance) with the Act. {§ 173(3).)
   ii. Additional requirements for ozone
 and carbon monoxide SIPs with
 attainment dates after 1992:
   © An analysis must have been
 conducted of alternative sites, sizes,
 production processes, and
 environmental control techniques for the
 proposed major source or major
  "There are several other preconstruction review
 requirements under the Act that are not Part D
.requirements. E.g., section 110{a)(2)(D) of the Act
 and section II.B of the Offset Ruling, note 3 above.

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                         Federal Register / Vol. 44. No. 66 / Wednesday. April 4. 1979 /Propo»;edjtule»_
                                                                           20371
modification which demonstrates that
benefits significantly outweigh any
environmental and social costs.
(§ 172(b)(ll)(A).)
  The submitted preconstruction review
program must be legally enforceable,
and may satisfy the requirements of Part
D by referring to these requirements of
the Act and stating that permits will be
issued only in compliance with them, or
by restating these requirements (or
requirements more stringent).
  Aside from the specific requirements
discussed above, a state preconstruction
review program along with other SIP
provisions must impose enough controls
on new and existing sources that
resonable further progres. -ad
attainment will actually occur as
required. If this does not happen, major
source and major modifications may be
unable to obtain permits  in the future,
existing sources may have to apply even
more stringent controls, and the overall
SIP may be found not to satisfy Part D
requirements. The  state preconstruction
review program must therefore be
adequate, considering the particular
circumstances of the overall SIP and the
area to which it applies, to assure
reasonable further progress and
attainment.
  b. Requirements From the Emission
Offset Interpretative Ruling. EPA's
recently revised Emission Offset
Interpretative Ruling now governs
preconstruction review of any major
source or major modification that would
cause or contribute to a violation of a
NAAQS. Under the statute, the Ruling is
to be superseded for nonattainment
areas after June 30.1979, by
preconstruction review provisions of the
revised SIP, if the SIP meets the
requirements of Part D. If the SIP does
not meet the requirements of Part D, the
Ruling is to be superseded by a
prohibition on major source construction
under the applicable SIP  and section
110(a)(2)(I) of the Act (discussed below
in subsection f, on Prohibition on New
Construction. The  Ruling will remain in
effect to the extent not superseded
under the Act. 36
  14See seclion 129(a)(l) of the 1977 Amendments
(note under 42 U.S.C. 7502): section I of the Offset
Ruling, note 3 above. The Ruling is therefore to
apply after July 1.1979. in the following situations:
(a) To proposed major sources in one state that
would contribute to a violation of a NAAQS only in
another state, (b) during the time allowed for the
development and approval of a revised SIP in an
area that is designated as nonattainment after
March 3.1978. and (c) during any extended time
allowed under secton 11Q(B) for development of a
SIP revision for an area that violates the secondary
NAAQS but not the primary NAAQS for a pollutant.
Furthermore, the Ruling applies everwhere in the
state, regardless of the applicable designation under
section 107(d) of the Act. See sections ll.D and E of
the Ruling. For any areas in the state where neither
  The revised Ruling and accompanying
Federal Register preamble set forth
EPA's views on several issues that are
relevant under Part D. Many of the
approaches used by the Agency in
revising the Ruling may be used by the
states as guidance in developing
provisions under Part D. But to establish
uniform minimum requirements and
consistent statutory definitions, EPA
requires that state programs apply
certain fundamental policies that EPA
adopted in revising the Ruling (or be
more stringent):"
  O The SIP must require permits for
the construction and operation of all
proposed "major sources" and "major
modifications," with those terms given
definitions equivalent to those in the
Ruling. (Ruling §§ II.A.l through 5.)
  9 Permits may be issued  without
satisfying the requirements under
sections 172(b)(ll)(A) and 173(1). (2) and
(3) of the Act, for proposed major
sources and major modifications that do
not have allowable emissions exceeding
50 tons per year, 1000 pounds per day, or
100 pounds per hour, whichever is most
restrictive. (Ruling § II.C.)
  9 Permits may be issued  without
satisfying the requirements under
sections 172(b)(ll)(A) and 173(1). (2) and
(3) of the Act, for proposed major
modifications of existing facilities (that
is, modifications of identifiable pieces of
process equipment) with accompanying
offsets within the same source (intra-
source offsets)  such that there is no net
increase in allowable emissions. (As
explained in the preamble to the revised
Ruling, this requirement is more lenient
than that found in the Ruling itself. 44
FR at 3276-3277.)
  © In determining the lowest
achievable emission rate (LAER), the
reviewing authority may consider
transfer of technology from one source
type to another where such technology
is applicable. (44 FR at 3280-3281.)
  If a state adopts a regulation in the
SIP that is not inconsistent with these
mandatory policies, EPA proposes to
assume that the state intends to
implement its preconstruction review
program in accordance with these
policies. EPA proposes to conduct its
enforcement activities accordingly.
Alternatively,  the state may adopt  '
a Part D preconstruction review program nor a
seclion 110fa)(2)(l) prohibition on issuance of
permits applies, the Ruling will not be superseded
and will continue to apply to every source that
would cause or contribute to a NAAQS violation.
  " See the preamble to the revised Ruling. 44 FR
3278 col. 1. (January 16.1979). EPA considered
comment received before publication of the revised
Ruling, and the Agency invited additional comment.
As soon as EPA has completed reviewing and
responding to these latter comments, it will publish
a response.
regulations that expressly incorporate
these mandatory policies (or approaches
more stringent).
  c. Geographic Applicability. At a
minimum, the program must apply to
any major source 38 in the state that
would cause or contribute to a violation
of the NAAQS within the designated
nonattainment area. M The Ruling
establishes certain exemptions for a
source locating at a site where the
NAAQS is not actually violated.
Although sections 172(b)(ll)(A) and 173
do not expressly allow exemptions from
a preconstruction review program, EPA
interprets the Act to allow exemptions
like those in the Ruling. A state may
therefore make the following provision
for major sources locating at sites where
the NAAQS is not violated (as of the
new source start-up date):
  •  A source whose allowable
emissions would not cause or
significantly contribute a violation of the
NAAQS may be exempted from all
requirements under sections
172(b)(ll)(A) and 173(1), (2), and (3).
(Ruling §§II.D and E.)
  •  A source that would cause a new
violation of the NAAQS may be
exempted from all requirements under
sections 172(b)(ll)(A) and 173(1). (2).
and (3), except  that it must have
sufficient offsets so that allowable
emissions from the new source and
existing sources will not, in fact, cause a
violation.  (Ruling § III.)
  e  For a source that would contribute
significantly  to  an existing violation,
emissions that result from the source
must be accommodated under section
173(1) only to the extent that those
emissions would actually contribute to
the violation. All other applicable
requirements (including the requirement
under section 173(1)(A) to accommodate
certain  emissions that do not result  from
the source) must be satisfied in full.
(Ruling §§ II. D and E.)
  d. Exempted  Types of Sources. In
addition to the exemptions discussed
above involving location of a source, the
revised Ruling provides that certain
types of major sources may be
exempted from  the requirement for
offsets.  In adopting its preconstruction
review program, the state may exempt
similar types of sources from the
requirement of section 173(1) that
emissions be accommodated by offsets
or by the emission growth allowance, as
long as  the exemptions established by
the state cover classes of sources no
  "Except where the context indicates otherwise.
reference to any "major source" includes any major
modification.
  "See the preamble to the revised Ruling, 44 FR
3275 col. 3 (January 16.1979).

-------
 •0388
JfeterajI**?8*!", L .Y.tf'^^^J^^^^L^^^L^LL^^^^^^
broader than those exempted under the-
Ruling. The types of sources exempted
under the Ruling are: (i) Resource
recovery facilities burning municipal
solid wast, (ii) sources that must switch
fuels due to lack of adequate fule
supplies or where a source is required to
be modified as a result of EPA
regulations and no exemption from such
regulation is available to the source, (iii)
temporary emission sources, and (ivj"
emissions resulting from the
construction phase of a new source.
(Ruling § IV.B.)
  As under the Ruling, exemptions for
resource recovery facilities and sources
that must switch fuels may be permitted
only if (A) the new emissions are
charged against the emissions growth
increment for major new sources to the
extent there is any, (B) the applicant
demonstrates that it made its best
efforts to obtain sufficient offsets, (C)
the applicant applies all offsets that are
available, and (D) the applicant will
continue to seek the necessary offsets
and apply them when they become
available. Issuance of a permit under an
exemption for resource recovery
facilities or sources that must switch
fuels will ordinarily cause the inventory
of allowable emissions to exceed what
is permitted; for reasonable further
progress. Therefore, no further permits
for  major sources may be  issued under
section 173(1) until the deficit is made
up by either addirionp! offsets or a SIP
revision, to provide additional control of
existing sources.
  e. Banking. Under the policy
expressed in the Offset Ruling {§ IV.C.5).
the  state may allow emission reductions
to be banked for later use under the
Ruling and under the state's
preconstruction review program under
Part D. The SIP should provide
procedures for managing banked
emission reductions, such as  SIP
revisions or permit conditions. Banked
emission reductions may be used for
case-by-case offsets under section
173(1)(A), by contributing  part or all of
the  required offsetting reductions in
allowable emissions. To be sufficient
under that section, the offsetting
reductions in allowable emissions,
including any banked emission
reductions being used,  must be sufficient
to represent reasonable further progress.
Alternatively, banked emission
reductions may be preserved for use
under section 173(1)(B), by being added
to the emissions growth allowance for
new major sources. Adding to the
allowance requires a SIP revision, and
will be approved by EPA only if the
enlarged allowance will not interfere
                 with reasonable further progress and
                 attainment by the- required date.
                   f. Prohibition on New Construction.
                 Sections 110(aK2)(I). 113(a)(5). and
                 173(4) of the Act and section I of the
                 Ruling provide that new major sources
                 and major modifications that would
                 cause or contribute to a NAAQS
                 violation within the nonattainment area
                 are not to be constructed if either of the
                 following circumstances applies:
                   i. If there is a period after June 30,
                 1979 when a SIP does not satisfy the
                 requirements of Part D, no major source
                 or major modification is to  be
                 constructed under a permit applied  for
                 during that period, until after the
                 approved SIP meets Part D
                 requirements. If the permit  was applied
                 for before July 1,1979, or before the
                 period when the SIP fails to satisfy Part
                 D requirements, construction is not
                 restricted by any failure of the SIP to
                 satisfy Part D requirements (as long as
                 requirements of the Ruling or of an
                 adequate Part D preconstruction review
                 program, whichever is applicable, are
                 satisfied).
                   ii. If there is a period after June 30,
                 1979 when a SIP is not being carried out
                 in  accordance with the requirements of
                 Part D, no permits are to be issued until
                 the SIP is carried out in accordance with
                 those requirements. To the  extent that
                 the state does not carry out these
                 prohibitions against new construction
                 under sections 110(a)(2)(l), 113(a)(5), and
                 173(4), the Act provides for EPA to do
                 so.
                   11. Changes in Designation. In
                 developing a Part D SIP revision for a
                 designated nonattainment area, the
                 state may determine that the
                 designation is inappropriate. If this
                 occurs, the state may submit to EPA a
                 revised designation with supporting
                 material. Until EPA finds the revised
                 designation acceptable and promulgates
                 it.  the July 1 deadline for approval of a
                 SIP revision satisfying Part D will
                 continue to apply. However, the SIP
                 submittal may simply demonstrate that
                 the standard is attained and that no
                 additional emission reductions or
                 preconstruction review requirements
                 need to be included in the SIP.'0
                   The |uly 1 deadline applies only for
                 areas designated  as nonattainment in
the Hsitiat March 3, W78 promulgation."
For any area designated as
nonattainment after March 3,1978, the
state will have nine months after the
new designation is promulgated" to
submit a SIP revision satisfying the
requirements of Part D. No additional
time is available, however, when an
area boundary is adjusted but the same
air quality problem and sources
contributing to the problem are
addressed.

IV. Approval of Revised SIP as Satisfying
Non-Part D Requirements
  The final question that EPA must
determine in reviewing a SIP submittal
is whether the revised applicable
implementation plan satisfies all
requirements in the Act that are not Part
D requirements. A state's  failure to
satisfy non-Part D requirements creates
an obligation under Section 110{c) of the
Act for EPA to promulgate substitute SIP
provisions to satisfy those requirements,
but does not require withholding of new
source permits and highway and air
pollution control program grants.42
  Many states  are submitting SIP
provisions to satisfy non-Part D
requirements along with their Part D
submittals. EPA must review these
submittals as soon as possible to
determine whether they should be
approved, and must review all
applicable implementation plans as
soon as possible to determine what non-
Part D requirements remain unsatisfied.
In some cases EPA will consider non-
Part D submittals along with Part D
submittals, and in other cases EPA will
defer consideration of non-Part D
submittals until later. The Federal
Register proposals referring to
individual state plans will identify apy
non-Part D decisions to be made and the
relevant considerations.
(Sees. 110(a), 172, Clean Air Act, as amended
(42 U.S.C. 7410(a), 7502))
Dated: March 23,1979.
Dcvid C. Hawklni.
Assi.ititnl Administrator for Air. Noise and Radiation.
|FRL1090-1|
| PR Doc. 79-10?:? Filed 4-3-79; 8.45 am|
BILLING CODE 6580-01-M
                   Tor purposes of preconslruction review, the
                 determination of whether a proposed new source
                 would cause or contribute to a violation of the
                 standard may be made without regard to the
                 applicable designation. See subsections 10.c and f of
                 the text above, in the discussion on Preconstruction
                 Review: discussion on EFFECT OF
                 DESIGNATIONS ON CLEAN AIR ACT
                 REQUIREMENTS in the general preamble on
                 revised desigmitions of attainment stulus. 43 FR
                 40412-n (September 11.1978).
  " .SV»e note 6 above.
  "Several SIP revisions are required by the 1977
Amendments to the Act but are not Part D
requirements. These include the requirements of
sections 128 (state boards). 110(a)(2|(E) and 126
(interstate pollution). 127 (public notification). 160 el
seq. (PSD). 110 (a)(2)(K) (permit fees). 123 (stack
heights in other than nonatt.iinment areas). 121
(consultation), and 110(a)(6) (pay reduction).

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                UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                          Washington, D. C.  20460             PN-110-79-02-21-014
                          FEB 2 1
                                                      Office of
                                              Air, Noise, and Radiation


SUBJECT:    Inspection/Maintenance Policy

FROM:       David G. Hawkins, Assistant Administrator
              for Air, Noise and Radiation   (ANR-443)

TO:         Regional Administrators,  I-X


     Attached is a letter from John McGuire that was discussed at
our meeting on February 7, 1979.  John's letter discusses and expands
upon the criteria for granting extensions beyond the July 1, 1979,
deadline for obtaining state enabling legislation for inspection and
maintenance programs.

     The Clean Air Act is very specific as to many of the actions
required for the SIP process.  EPA's  policy guidance has attempted
to carve out as much flexibility as possible to allow latitude for
the states in meeting the many Act requirements.  In the case of I/M,
the Act is clear that non-attainment plans must, by July 1, 1979,
include "written evidence that the state...has adopted by statute,
regulation, ordinance, or other legally enforceable document...the
schedules and timetables for compliance..."  (172(b)(10)) and has committed
"the financial and manpower resources to carry out the plan..."(172(b)(7)).

     In developing the I/M policy (as described in the Administrator's
February 24, 1978, memo and my July 17, 1978, memo to the Regional
Administrators), it was recognized that some flexibility in meeting the
Act's requirements was desirable.   Since many legislatures did not meet
until after the January 1, 1979, deadline for SIP submittals, we agreed
to accept a governor's commitment to the I/M schedule in lieu of legislation
by that date.  Proof of legislative authority would become an element of
the schedule, (which would reflect obtaining such authority by July
1, 1979), allowing EPA to take earlier action with respect to the
process of approving the SIP.

     In a similar vein, the possibility existed that in certain limited,
exceptional situations, it might be unreasonable to require a state to
pass I/M legislation by July 1,  1979.  The two situations which were
included in the I/M policy memos were:  a) insufficient opportunity to
conduct necessary technical analyses; and b) the legislature has had no
opportunity to consider any necessary enabling legislation.  In the
latter case, it was felt appropriate  to allow an extension if the
legislature did not meet before the July 1, 1979, deadline.  In the
former case, the legislatures could not be expected to pass I/M legislation
before information on I/M benefits and implementation had been gathered;
however, as far as I am aware, the needed information is now available.

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     John McGuire's letter very emphatically points out that legislative
extensions will not be granted at this time under any circumstances.
The extension, if needed, should only be considered after June and
should be requested by the legislature.  In addition to the two criteria
discussed above, the determination on granting a legislative extension
will also take into account "whether the legislation has been given
serious consideration by the legislature."  I agree with John that this
is an important consideration and should be included in the policy
guidance.  The availability of extensions must continue to be regarded
as an exceptional remedy.  I will oppose the granting of extensions
where it appears that the state has made only pro forma attempts to
have I/M legislation consideration.

     The use of the legislative extension should still be reserved
for special situations.   As John's letter points out, the interpretation
that the Act provides this flexibility is not universally held.  For
that reason alone our efforts should be focused on obtaining legislation
by this July, and discussions with the states dealing with the legis-
lation deadline should point out that we are both likely to be in
jeopardy if legislation is not obtained by that date.  John's letter
also points out several other benefits of obtaining legislation this
session.

     Current policy requires implementation of mandatory inspection
and repair no later than 18 months after legislation for decentralized
programs, and no later than 30 months for centralized programs.  This
results in an earlier implementation date for those states that obtain
legislation the earliest; a disincentive for taking action now.  After
consultation with the Administrator, I am modifying this requirement
by establishing a single deadline (dependent on program type).   I
hope this action will act as an incentive; earlier legislation
will provide more time for implementation.  Therefore, regardless of
when the legislation is obtained, the latest date for implementation
of mandatory inspection and repair will be:

                 Decentralized programs - 1981
                 Centralized programs - 1982

     Our success in obtaining inspection and maintenance programs will
be measured by the legislative progress in the upcoming months.  I have
directed my staff to intensify their efforts towards supporting the
regional and state efforts in obtaining adequate I/M programs.   I
strongly urge you personally as well as your staffs to also intensify
your efforts during this time.  The data being generated by our Portland
Study (a copy of the latest status report was recently sent to you)
reinforces our previous conclusions that I/M programs are both necessary
and effective.  With this new information and a strong commitment by
both our staffs, I am confident that our objectives can be met.

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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                    Office of Air Quality Planning and Standards
                    Research Triangle Park, NC  27711
  DATE:  1 5 FEB 1979

   T.CT:  Clarification of SIP Policies for TSP
                                                             PN-HO-79-02-15-013
  FROM:
    TO:
Richard G.  Rhoads,  Director
Control Programs Development Division  (MD-15)

Chief, Air Branch,  Regions I-X

     During the past weeks, several  questions have been raised on certain
policies and *heir  implications on plan development and control  strategy
requirements.  The  purpose of this memorandum is to respond to these
questions and to reiterate and clarify the policies in question.

     1.  (Q)  Should ambient air quality data reflecting extraordinary
conditions be excluded from control  strategy development so as not to
indicate a need for an unreasonable control  strategy element?

         (A)  Yes,  as Section 51.12(d) states ". . . data derived from
measurements of existing ambient levels of a pollutant may be adjusted
to reflect the extent to which occasional  natural or accidental  phenomena,
e»g.,-dust storms,  forest fires, industrial  accidents, demoi;strably
affected such ambient levels during the measurement period."  During
the review of the SIP revisions, the ambient data summaries should
be reviewed to assure that such extraordinary conditions are
not utilized in developing control strategies.
             2<
        areas?
         (Q)  Is RACT required for all  major sources in nonattainment
                 (A)  The basic requirement under Section 172 is that the NAAQS
        must be attained as expeditiously as practicable (with reasonable
        further progress before attainment), but for primary standards
        in no case later than December 31, 1982.  Therefore, nonattainment
        area'plan revisions nn;st provide for implementation of all  RACT
        rc-quirements thi.1 \vould serve to expedite attainment of the flAAQS.
        One or more RACT requirements may be dispensed with only if it is
        demonstrated:  (1) that their absence will  not jeopardize the
        attainment date in the revised SIP and (2)  that their inclusion would
        not allow for an earlier attainment date.  States may develop whatever
        mix of control measures they deem appropriate to obtain the NAAQS
        as expeditiously as practicable, provided the mix of control  measures
        has been officially submitted and is legally enforceable.

             3o  (Q)  Can one or more existing RACT requirements for TSP be
        revoked as being unnecessary?

                 (A)  Congress did not intend the extension of attainment dates
        under Section 172 to permit loosening of existing SIP requirements.
        Therefore, a demonstration that the loosening of one or more existing
        RACT requirements will not jeopardize the attainment date in the
EPA Form 1320-6 (Rev. 3-76)

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revised SIP will not justify, in and of itself, the lifting of these
requirements.  Before existing RACT requirements may be lifted, it
must also be shown that the absence of suqh requirements does not
prevent expeditious attainment or does not result in violation of
PSD increments.

     4.  (Q)  How rigid is the definition of "rural area" in the fugitive
dust policy?

         (A;  As stated in the "Fugitive Dust Policy:  SIPs and New
Source Review" of August 16, 1977, the criteria used to determine what
constitutes an urbanized area vs a 'rural' area should be based upon a
number of factors (i.e., industrial emissions, population, or population
density).  For purposes of defining a 'rural' fugitive dust area, the
following criteria should be examined:  (1) the lack of major industrial
development or absence of significant industrial particulate emissions
and (2) low urbanized population (i.e., eastern States <100,000-200,000 or
westerp States <25,000-50,000).   The population criteria is at best a
range of values to be considered in conjunction with the amount of
industrial  activity for classifying an area as "urban" or'"rural."
These criteria allow the States  to utilize a certain amount of discretion
in designating nonattainment areas and in requiring control measures
for various source categories.

     The answers to these questions express our current thoughts on each
of these issues.  Should you require further clarifications or have any
comments on this memorandum, please do not hesitate to contact me or
my staff.

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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

   DATE:     December 21,  1978

SUBJECT:    Supplementary Guidelines  for Lead Jmp-jementation Plans—Correction's'
               i n  T i    ru-  r                                    PN-110-78-12-21-012
          Oarryl 0.  Tyler, Chief
   FROM:    Standards  Implementation  Branch

          Air Branch Chiefs
     TO:    Regions 1-X

               EPA's recommended procedure for projecting automotive lead emissions
          appears in section 4.3 of the Supplementary Guidelines for Lead Imple-
          mentation Plans (EPA-450/2-78-038).   Section 4.3.1.2 presents a procedure
          for calculating area source automotive emissions.  The procedure uses an
          equation J), which contains a factor, a ,  the percentage of lead burned that
          is exhausted.  Section 4.3.1.2 advises users to base the determination  of
          a  on the average vehicle speed for the specific area.  The value of a
          would be determined from Figure 4.3-1, which presents the percentage or
          burned lead exhausted vs. vehicle cruise speed.  It appears, however, that
          Figure 4.3-1  is based primarily on tests of lead emissions from vehicles
          operating at  steady speeds over short test periods, rather than on long-
          ter,m, varied  driving conditions.  Therefore, for calculating monthly or
          quarterly mobile source lead emissions over an area, one should use a
          factor more  representative of those conditions.  Although there haven't
          been many tests of mobile source  lead emissions that enable OAQPS to
          define such  a factor with more certainty, CPDD recommends a factor of
          a  = 0.70, which is based on tests that measured exhaust emissions under
          city-type driving conditions.  At the completion of the test runs, the
          cars were examined to determine the amount of  lead left in various
           zones of the  engine and exhaust system.  The total lead trapped in the
          car was subtracted from the total amount of lead burned to determine
           the maximum  amount of lead which  could have been exhausted.  The 70
           percent emission factor is approximately equal to this amount.

                Use of  the 70 percent value  will yield an amount of lead particulate
           matter  emitted  from automobiles greater than the amount derived from
           Figure  4.3-1  and without consideration of the  particle size.  Some of
           the  particles,  may, of course,  be very large and may  not become airborne.
           At present,  EPA does  not have enough  information to provide guidance on
           how to  account  for  particle  size  distributions  of automotive  lead emis-
           sions,  although Appendix C  of  the guideline presents  additional informa-
           tion  about  this topic.

                This  change  does  not  affect  the  procedure for calculating  emissions
           from individual  roadways,  which appears  in  Section 4.3.1.1; for individual
           roadways,  a   should  be determined from Figure  4.3-1.

                Also  several  errors have  been  found in other  portions  of  the guideline.
           We have prepared  the  attached  correction sheet for  the  lead guideline.
           I ask you  to pass  this  information  on to the  agencies that  are  preparing
           the lead  SIPs.

           Attachment
   EPA FORM 1320-6 (REV. 3-761

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     SUPPLEMENTARY GUIDELINES FOR LEAD IMPLEMENTATION PLANS



                     (EPA-450/2-78-038)



                       --CORRECTION—



1.  On page 45, section 4.3.1.2, "Area Source Automotive Emissions,"



delete "a  and" in the last sentence and add the following sentence:



"For determining lead emissions for an area for a one- to three-month



averaging time, assume a  = 0.7."



2.  On page 61, 15th li/ie, replace "1200" with ".'2000."



3.  On page 104, fourth line, replace "100 ^g" with "100 mg."

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  "«=                                                          PN-no-78-i2-21-on

SUBJECT: Implementation of the National, Ambient Air Quality  Standard for Lead


   FROM: waiter C.  Barber, Director
        Office of Air Quality Planning and Standards

     T0: Director, Air and Hazardous Materials Division,  Regions  I-X


             As a follow-up to my memorandum of October 16, it appears that more
        guidance is needed for development of the State Implementation Plans for
        lead.  As you may recall, the Administrator indicated in his  press
        conference when he signed the lead standard that EPA did not  have adequate
        information to accurately assess the impact of the  national .lead standard,
        but that after the SIPs are developed, EPA would have a better indication
        of those impacts.

             Therefore, I ask you to encourage your States  to -perform assessments
        of the impacts of the lead SIPs on sources.  Many States are  already
        required under their own laws to perform regulatory impact analyses
        anyway, so EPA can benefit from those efforts.  Specifically, we would
        like the States to address in their assessments the following topics:

             —Existing and future levels of control.

             —Existing and future'emission levels.

             —Cost of additional controls.

             —Affordability of controls.

             —Discussion of population exposure.

             OAQPS can make some limited technical  assistance available  for the
        development of these assessments; interested persons can call Richard Rhoads
        of my offi ce.

        cc:  R. Rhoads
             D. Tyler
             0. Sableski
             0. Silvasi
             D. deRoeck
 EPA Pom, 1320-6 (R.v. 3-76)

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                     UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
           DEC 18 1978
                                                                        PN-110-78-12-18-010
SUBJECT:    Reasonable Further Progress (RFP)  Requirements for 1982
           Attainment Date SIPs

   PROM:    Walter C. Barber, Director
           Office of Air Quality Planning and Standards

     T0:    Director, Air and Hazardous Materials Division
           Regions I-X


                At the December 5, 1978, meeting of STAPPA/ALAPCO/EPA in  Mobile,
           Alabama, a discussion was held concerning the applicability of the  RFP
           requirement for SIPs with 1982 attainment dates, e.g., TSP. At the meeting,
           I committed to Devaluating the RFP requirement for 1982 attainment date
           SIPs.

                After once again studying the appropriate sections  of the 1977 Clean
           Air Act Amendments and the Administrator's February 24,  1978,  memorandum
           "Criteria for Approval of 1979 SIP Revisions," I have concluded that
           the RFP requirement is applicable to all SIPs regardless of attainment
           date.  I do not, however, consider this to be a burdensome requirement
           as the demonstration of RFP is nothing more than a projection  of the
           incremental emission reductions that will result from the expeditious as
           practicable application of the various SIP control measures.

                Let me provide an example of how the RFP presentation would be
           developed for a TSP SIP.  The State's 1979 SIP submittal must  demon-
           strate attainment by 1982.  In order to do this, the State must know
           what the current emissions are and what emissions must be reduced to  in
           order to demonstrate attainment.   These pre- and post-SIP emissions define
           the two ends of the RFP line.  I  realize that to the extent that
           fugitive emissions and fugitive dust are significant contributors to
           the nonattainment problems, the degree of confidence in  these  emission
           estimates will be weak and will certainly improve as studies are con-
           ducted and control measures are more specifically defined and  ultimately
           implemented.  Regardless of the shortcomings of the emission inventory,
           some estimate of current emissions and the emissions necessary to demon-
           strate attainment must be made by the State if EPA is to have  any
           confidence in the State's ability to attain the standards by the
           prescribed date.  Thus, the pre-  and post-SIP emission estimates are
           needed regardless of any RFP requirements.

                The Administrators' February 24, 1978, memo states  that:   "The
           January 1979 plan revisions dealing with particulate matter must contain
           all the necessary emission limitations and legally enforceable procedures
           for traditional sources.  These emission limitations and enforceable
EPA Form 1320-6 (R.v. 3-76)

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procedures must provide for the control of fugitive emissions, where
necessary, as well as stack emissions from these stationary sources.
Where control of non-traditional sources (e.g., urban fugitive dust,
resuspension, construction, etc.) is necessary for attainment, the
plan shall contain an assessment of the impact of these sources and a
commitment on the part of the State to adopt appropriate control  measures.
This commitment shall take the form of a schedule to develop, submit, and
implement the legally enforceable procedures, and programs  for controlling
non-traditional particulate matter sources."

     The shape of the RFP line will be determined by the time it  takes
the sources to comply with the traditional and fugitive emissions regu-
lations submitted in 1979, by the timing of the non-traditional source
studies, and by the time it takes to implement the specific control
requirements that were outlined in the schedules contained  in the 1979
submittals.  As stated in the Administrator's memo, "...EPA recognizes
that some measures cannot result in immediate emission reduction.  Therefore,
if a State can show that some lag in emissions reduction is necessary, a
SIP will be acceptable even though reductions sufficient to produce
decreases at the "straight-line rate" are not achieved..."   In
conclusion, the RFP presentation for 1982 attainment date SIPs must
demonstrate that the control measures are being implemented as
expeditiously as practicable and that attainment will be achieved
by the prescribed date.

     Again, the RFP demonstration requires very little additional work
than would be required to develop a SIP with the associated compliance
schedules in the absence of such a requirement.

     Congress added the RFP requirement to the Act to ensure that
measures would be adopted and implemented in sufficient time to bring
about attainment by the prescribed date.  RFP forces the State to
analyze the means and the schedule by which the plan will provide for
attai nment.

cc:  I. Artico
     D. Borchers
     M. Fast
     S. Kuhrtz
     B. Steigerwald
     E. Tuerk
     H. Williams, Chairman, STAPPA
     K. MacKenzie, President, ALAPCO

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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                     Office of Air Quality Planning and Standards
  C4TE:  X10CT 1978  Research Triangle Park, North Carolina 27711
                                                                     PN-110-78-10-11-009
    CT:  Questions and Answers on 1979 SIP Revisions


      :  G. T. Helms, Chief
        Control  Programs Operations Branch

    TO:  see Addressees Below


            Enclosed is a  compilation of the six monthly questions and answers

        memos put out ':: date plus questions and answers (dated January 12, 1978)

        from the January Air Branch Chiefs' meeting.  Also included are six

        new questions and answers.  The questions and answers are grouped by

        subject.  I hope this will enhance the use of the memos in clarifying

        the 1979 SIP revision requirements.  The date of the original memo

        follows  each question.

        Enclosures

        Addressees:

        Thomas  Devine, Region I
        William  Baker, Region II
        Howard  Heim, Region III
        Winston  Smith, Region IV
        Steve Rothblatt, Region V
        Jack Divita, Region VI
        Art Spratlin, Region VII
        Robert  DeSpain, Region VIII
        Wayne Blackard, Region IX
        Clark Gaulding, Region X

        cc:  R.  Campbell
            R.  Rhoads
            D.  Tyler


        The six new questions and answers are identified by an  asterisk  as  well
        as by date in parenthesis.
EPA FORM 1320-6 IREV. 3-761

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                        SECTION 107 DESIGNATIONS


Q:  What are the general criteria for EPA promulgation where a State
defaults and a violating monitoring site is present?  And for EPA
acceptance of State designations for Section. 107?  (1/12)

A:  Given below on a pollutant-by-pollutant basis are the two cases—first,
where EPA must promulgate the area to be generally designated as non-
attainment is given; and second, the criteria to be used by the Regional
Offices in evaluating State submitted designations.

TSP

EPA promulgation — political boundaries such as county, city.
State designation — if monitoring sites are unrepresentative according
to SAMWG — call area unclassified.

Oxidants
EPA promulgation — county as a minimum.
State designation — accept all reasonable designations.

S02

EPA promulgation — county as a minimum.
State designation — accept all reasonable designations.

C0_

EPA promulgation — urban core area.
State designation — accept reasonable designations.  Regional Office
would redesignate as "unclassified" if State submitted attainment designa-
tion for large urban area > 200,000 population with no monitoring or
modeling data.

   Designation of all areas as nonattainment, attainment, or unclassified
relative to air quality standards must be made by EPA in early February, 1978,
based on State recommendations due December 5s 1977.

Q:  Which should be given preference in designating areas, monitored data
or modeling results?  0/12)

A:  In urban areas monitoring results should be used.  For areas around
isolated point sources, especially for SO;?, it is difficult for a few
monitors to catch the hotspot.  If there is a conflict between adequate
monitoring data and modeling results, monitored values should be used.
However, if the monitoring data are inadequate, then available modeling
results should be used.  It is not necessary to model specifically for
the §107 designations.

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Q:  Is there any flexibility allowed 1n determining nonattainment areas? (1/12)

A:  Areas clearly showing attainment or nonattainment must be classified
as such.  Areas with only sketchy data may be defined as unclassifiable.

   We recognize the subtle complexity of this issue and the inherent
difficulties created by the above guidance.  However, two factors must
be recognized:  (1) sites with clearly defined nonattainment problems
cannot be arbitrarily reclassified except as provided in the fugitive
dust policy paper; and (2) a SIP cannot be totally approved by EPA
unless it demonstrates attainment of the NAAQS in all areas.

Q:  Are all sapling sites to be included in determining nonattainment
areas?  (1/12)

A:  Yes, unless it can be clearly shown that such data points do not
represent the true ambient air quality occurring at the site in question.

Q:  If the last four quarters of sampling were shown to be abnormal in
terms of frequency and magnitude of violations, would previous data be
accepted as the basis for not declaring nonattainment status at this
time?  (1/12)

A:  Both the long term trend and specific data point given by the four
quarter analysis should be examined.  If there is a discrepancy between
the two, the State should make a judgment as to which is the most valid
indicator.  Rationale utilized in making this judgment should be provided
to EPA.  As a practical guide, data significantly impacted by rare
meteorological conditions (for example, the recent Northwest drought)
may be considered abnormal and thus be discounted for these determinations.

Q:  Will EPA accept a designation of attainment for an area with a monitor
showing recent violations due to a temporary situation such as construction? (1/12)

A:  Yes, if a history of attainment can be shown and 1f the temporary
activity is demonstrated to be responsible for the violation.

Q:  Is it necessary to designate an area-as nonattainment if the source
of the violation is known and regulatory measures are underway? (1/12)

A:  Yes,  if the data  are  available  and valid.  The area of  nonattainment
can be made small  in  these  situations.

Q:  Is the boundary of a. nonattainment area best determined by the
"contour" around areas experiencing ambient violations or by the
location  of sources that  contribute to these violations? (1/12)

A:  Nonattainment  areas are  in general defined by ambient violations.
It appears that sufficient  flexibility exists  to allow States  to  include
an additional  area around the actual  nonattainment area to  make new
sources  located immediately adjacent  to  the problem  areas subject  to
offset  requirements.

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Q:  What are EPA's intentions on Ox designations?  (1/12)

A:  It is our intention to designate all urbanized areas with populations
greater than 200,000 (1970 census) as nonattainment for Ox even  in the
absence of air quality data.  Valid rural data on Ox cannot be ignored
and at  a minimum the county in which the sampler is located must be
declared nonattainment if a violation has been recorded.

Q:  Does EPA intend to hold public hearings on the State designations
of attainment status?  (1/12)

A:  EPA does not intend to conduct public hearings on the State  designa-
tions.  Instead, EPA will publish arrlist of attainment, nonattainment
and unknown designations on_February 3, 1978, followed by a 30-day
comment period.  Any" changes to the designation status will be" promulgated
at~~Teast 30 days later.

Q:  Should illegal stack heights be considered in Section 107 designations? (1/T2)

A:  Yes, to the extent that they are known.

Q:  Can attainment/nonattainment status be changed? (1/12)

A:  Yes.  An area designated nonattainment on the basis of this year's
data could be redesignated whenever the data show that the area  has
achieved attainment.

Q:  What form will the February 3, 1978, Federal Register notice take
which will give the Stats designations for attainment/nonattainment areas
as required by Section 107 of the Clean Air Act?  (1/12)

A:  The designations will appear in the notice section of the Federal
Register with a general national perspective preamble accompanying the
actual list of designations as approved by EPA.  Where necessary, a
portion of the preamble will be devoted to a discussion for any  signifi-
cant actions taken by the Regional Offices.

     Q.   Is  it  true  that  if  a monitor  is properly sited,  i.e., influenced
 by a significant  stationary source, then the area of the nonattainment
 designation  should  be  as small  as possible, so as to reflect only the
 impact  of a  nearby  source?  (6/2)

     A.   Yes.   The nonattainment area  may be as small as possible as long
 as it covers the  whole area of  the  source's impact.

     Q.   Should monitors  that are  improperly sited, according to  EPA
 criteria, and  hence could be unduly influenced by resuspended street
 dust, be ignored  in establishing  the  attainment status of an area? (6/2)

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    A.  No.  It is not current Agency policy that only those monitoring
sites which meet SAMWS guidelines be used for both SIP development and
Section 107 designation purposes.  EPA's proposed guidance states that
there are situations in which data from existing monitors located in the
"unacceptable" zone may still be useful.  For sites not located within.
the proposed guidelines, an evaluation is needed to determine the roadway
influence.  This evaluation is then used to decide if the roadway influence
is significant enough to warrant relocation of the monitor.  If relocation
is necessary, the monitor must be within the immediate vicinity of the
original location such that the new site meets the proposed guidelines.
The area is presumed to be nonattainment until such time as data from
the relocated station indicate otherwise.
    Q.  Are States required to monitor air quality in areas desig-
nated as unclassified in order to establish a base for determining the
attainment/nonattainment status?  (7/11)

    A.  No specific monitoring requirements apply.  However, the require-
ment for sources subject to PSD regulations to obtain one year of air
quality data prior to construction does apply and that data could be
used for purposes of designating the area.

      Q.   What is  the future  of the  Section  107  designation  process?   Will
  designations be  modified, changed,  and  updated on  any  kind of  annual
  basis? (7/28)

      A.   There is no specific schedule for  revising  the Section 107  desig-
  nations.   The designations  are dynamic  and designation changes are  to  be
  made whenever new and  relevant information is  brought  to  the attention
  of the State (or EPA if the State  does  not act.)   The  designation  changes
  are to be accomplished by the Regional  Office  as an  informal rulemaking
  action revising  Part 81.

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                      EMISSION INVENTORIES
    Q.  Must the emission inventory forms recommended in the workshops
on requirements for nonattainment area plans be used for submitting
inventories with the 1979 SIP submissions? (6/2)

    A.  No.  The formats in the nonattainment workshop summaries are
merely suggestions.  Due to the vast number of computerized systems
using varied storage formats, it is nearly impossible for all submissions
to fit the particular suggested formats,  Whatever particular summary
format a State chooses, must be approved by their Regional Office and
should reflect that the emission inventory is accurate, current, and
comprehensive.

    Q.  Must chemical species information be included in the emission
inventory?  (6/2)

    A.  Total nonexempt volatile organic compound emissions are the only
emissions that need to be identified in the emission inventory submitted
in the January, 1979, plan.  Chemical _species information may be useful
in the determination of the most appropriate method of control for a
particular industry, but this information need not be submitted in the
emission inventory.

    Q.  Emission inventories are to  be on an annual basis, yet  some
problems and standard violations occur on a short-term basis  (daily
or seasonal).  Is there a way these sources can be reported so their
emission inventories will reflect this? (3/31)

    A.  If the nonattainment area has short-term problems, the State can
attempt to develop a selective short-term emission inventory for those
sources which have an impact on the air quality problem.

    Q.  Are sources located outside a nonattainment area which significantly
impact on that area required to be inventoried? (3/31)

    A.  Sources outside the nonattainment area which,  due to meteorological
conditions, impact on the nonattainment area are required to be included
in the emissions inventory.  It is unlikely that standards will be
attained if these outside sources are not part of the inventory and con-
trol strategy.

     Q.  What date is acceptable as a "current" emission inventory? (5/4)

     A.  A "current" emission inventory is generally considered to be
 1977.  However, the emission inventory should be comparable with the
 air "quality data used to develop the control strategy and if pre-1977
 air quality data were used, a "current" emission inventory can be
 anywhere from 1975-1977.

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    Q.  What information is available to do a mobile source emission
inventory?  (6/2)

    A.  Mobile Source Emission Factors (EPA 400/9-78-005) is now available.
The computer program Mobile 1 tape along with a short user's guide, is
available from Len Fleckenstein in OTLUP (755-0603).

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                            FUGITIVE DUST
   As previously stated in the Hawkins to the Regional Administrators,
memo dated October 7, 1977, for rural areas, the contribution of fugitive
dust to monitored air quality levels can be neglected before determining
the attainment/nonattainment status for Section 107 designations.

Q:  For purposes of defining nonattainment areas for TSP, what is rural
fugitive dust? 0/12}

A:  The State may subtract both the impact of industrial sources located
within an area and the normal ambient background level.  The remainder
may be considered "rural fugitive dust" in non-urban areas.

Q:  Windblown particulate need not be counted against nonattainment in
rural areas but all particulate must be counted in urban areas.  What
is a rural area? 0/12)

A:  Significant flexibility is allowed in this determination.  Generally,
Regional Offices have been using 25,000 population as the cut point between
an urban setting and a rural situation.  However, for the purposes of
implementing the fugitive dust policy, rural areas are determined by
the following criteria:  (1) the lack of major industrial development
or absence of significant industrial particulate emissions; and (2) low
urban.i zed popul ati ons.

     Q.  If an area influenced by fugitive dust is designated as  a non-
 attainnent area due to point source emissions, does the control  strategy
 analysis have to include fugitive dust controls?  (5/4)

     A.  Yes, fugitive dust may only be discounted in accordance  with
 the fugitive dust policy paper.   An area which cannot be classified as
 attainment through the discounting of fugitive dust cannot subsequently
 discount fugitive dust sources in developing control strategies,  assuming,
 of course, that point source control alone will  not be sufficient to
 attain the ambient standards.

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                               OFFSETS
Q:  If a source locates or expands in an attainment  area  and  is therefore
not subject to offset, can it be allowed to  significantly contributes
to violations of standards in an adjacent nonattainment area? (1/12)

A:  No, the requirement that each NAAQS shall act as an overriding  ceiling
to any otherwise allowable increment assures that a  source  constructed
in an attainment area will not significantly contribute to  violations of
standards in an adjacent area.

Q:  Can sources be allowed to construct under the State emission offset
rulina after July 1979?  (1/12)

A:  Yes, in the following situations:

    (1) The requirements of Part D are otherwise met,  but the allowance
for growth has been used up (or none was provided initially).

    (2) If an area is determined to be nonattainment subsequent to  the
initial February 1978 designations, a State will have  9 months in which
to develop an acceptable SIP, and EPA will have six  months  to approve
during which time new sources may be permitted in accordance  with the
offset ruling.

     Q.  How is a nonattainment area treated before  promulgation  in  the
 Federal Register, specifically with respect to offsets? (6/2}

     A.  Section 107 designations  in no way affect offset requirements.
 Once data show an area to be nonattainment,  the  area is required to get
 offsets immediately, irrespective of the Federal  promulgation date. This
 works both ways.  .If data show an area to be attaining the  standards and
 that a new source will  not cause  or contribute to a  violation, offsets
 are not required.

      Q.  Are hydrocarbon (HC) offsets required of major  new  sources
  locating in rural 0  nonattainment areas? (5/4)
                     J\
      A.  Yes, offsets are required in rural 0  nonattainment areas  until
  the State develops a SIP which demonstrates attainment  in the urban non-
  attainment areas and requires RACT on all existing 100  ton HC sources
  located in rural nonattainment areas:  The required  offsets, however,  do
  not  have to be obtained in the vicinity of the proposed new source.
     Q.  Does  a  source wishing to  construct in a nonattainment area need
 to obtain offsets  if the  new source permit is approved after  the SIP is
 submitted? (7/11)

     A.  Offsets are  required up until the time a SIP is approved by EPA
 even if the  SIP submittal  has a margin for growth provision rather than
 an offset requirement.  However,  rather than go through the offset ruling,
 the State could process a  new source application under the new source
 review procedure  in  the revised SIP.  As soon as EPA approves the SIP,
 the State can  issue  the oermit.

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    Q:  Is there  any  difference between violations of primary and secondary
    standards  in  terms  of actions that must occur, especially with regards
    to offset? (1/12)

    A:  SIP revisions are required for both violations of primary and
    secondary  standards.   Offsets apply in both cases until July 1979 unless
    the State  submits a revised attainment date for the secondary standard
    for either TSP or sulfur dioxide.
 *   Q.  If a State adopts Statewide RACT regulations for TOO tons/year
 VOC sources for which EPA has published a CTG by January,  1978,  do
 offsets apply  in rural nonattainment areas and rural unclassifiable
 areas subsequently designated as nonattainment?  (1-P/ll)

    A.  No, as stated in the Administrator's memo of February 24,  1978,
 for oxidants,  Statewide regulatory development (for at least VOC
 sources greater than  100 tons/year for which EPA has published a CTG
 by January, 1978) would permit the State to utilize the regulations
 developed for  the entire State as the applicable plan.  This would
 normally constitute an  approvable SIP for rural areas and  by definition
 will  accommodate  the  proposed growth.

 *  Q.  Are internal  offsets which are approved in  the 1979  submission
 permanent or do they expire in 1982?  (10/11)

    A.  Neither.   If attainment cannot be demonstrated by  1982,  a plan
 revision must be submitted before July 1, 1982, containing additional
measures to assure attainment by 1987.   This means  that  the  1982 submittal
may need to call  for tightening of RACT or the elimination of internal
 offsets, but they will not automatically expire in  1982.   Of course, a
 State can make offsets expire at any time it wishes.

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                                   PSD

Q:  Do the PSD increments become applicable when an area moves from
nonattainment to attainment? 0/12)

A:  No.  Since the baseline for determining air quality deterioration
for PSD purposes is air quality as of January 6, 1975 (which exceeded
the NAAQS), the NAAQS would always be more restrictive than any PSD
increment.

Q:  Can Indian reservations unilaterally redesignate to Class I? (1/12)

A:  Yes, Indian reservations can reclassify their lands from Class II
to Class I by following the proper procedures outlined in the Clean Air
Act Amendments and PSD Federal  Register.

Q:  Can a new source be allowed in a rural attainment area that is just
barely achieving the NAAQS if the source's emissions, even though within
the allowable PSD increment, would cause violations of the NAAQS?  (1/12)

A:  No.  If the source would cause violations of NAAQS,-it would not be
allowed to build.  PSD increments are not allowed to cause an area to
exceed the NAAQS.  Yes, if offsets are practiced.

Q:  If a source is constructed in a nonattainment area and meets the
required offset, would it be allowed to violate PSD increments in an
adjacent Class I area even though it is not subject to the PSD regulations?(1/12)

A:  PSD reviews are required in all areas.  The source would not be
allowed to violate PSD increments in any area.

Q:  Will sulfur dioxide from ships be included in the PSD requirements
if the potential cumulative emissions exceed 250 tons per year?  (1/12)

A:  Yes, it is recommended that the SO? emissions from ships be included
in the PSD analysis for the duration of time that they are docked or
attached to the facility.

Q:  Do hydrocarbons and oxidants have to be included in PSD reviews at
this time?  If not, when do you anticipate that they will be included?
If these pollutants are to be included at some future date, will
facilities previously planned or under construction be exempt?  (1/12)

A:  If a source can get a final permit by March 1, 1978, the PSD
applications will only need to assess the impacts for $62 and partic-
ulates.  After March 1, 1978, the new definitions and regulations under
Section 165 will go into effect.  (Even a source which'could obtain a
final permit by March 1, 1978, must be reviewed in accordance with the
new rules to be issued in March if it will commence construction on or
after December 1, 1978.)  BACT would be required for all sources which
require PSD review.  Increments for hydrocarbons and oxidants may go
into effect within the next few years.

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    Q.  Will EPA require PSD permit applicants to monitor for hydro-
carbons in addition to oxidant?  (7/11)

    A.  Since the .24 ppm hydrocarbon standard is only a guide for
developing SIPs to attain the oxidant standard, no monitoring for hydro-
carbons will be required.

    Q.  What is the effect of reducing baseline emissions? (7/lT)

    A.  Reductions in baseline emissions (such as the application of
RACT as a result of 1979 SIP revisions) will serve to expand the avail-
able increment for an area.

    Q.  Does a SIP relaxation count against a PSD increment? (7/11)

    A.  SIP relaxations that were pending as of August 7, 1977, are part
of the baseline.  The contribution to the baseline from existing sources
affected by the relaxation that was pending as of August 7 would be
based on the allowable emissions under the SIP as revised.

        SIP relaxations received by EPA after August 7, 1977, but before
promulgation of the PSD regulations do consume increment.  However,
these revisions require special consideration due to the uncertainty of
how the new Act would apply to such SIP relaxations.  These SIP relaxa-
tions need not be individually assessed to determine the precise amount
of consumed increment before such relaxations may be approved.   The
periodic assessment requirement to verify that the applicable increments
have not been exceeded is thought to be sufficient protection.   This
assessment would result in revisions to the SIP if an increment were
found to have been violated.  All SIP relaxations received after the
date of promulgation of the PSD regulations will be individually reviewed
against the available PSD increments.  If deterioration beyond  that
allowed under the available increments would occur under a SIP  relaxa-
tion, then such a SIP revision would be disapproved to the extent that
it would cause significant deterioration.  Whether a plan relaxation
would consume the available increment would be typically determined
through modeling the difference between the allowable emissions resulting
from the new relaxed SIP limit and the emissions of the applicable
source(s) which were included in the baseline.

    Q.  Can EPA delegate PSD as an interim measure? (7/11)

    A.  The PSD program can be delegated to the States as has been done
in the past.  States should, however, be encouraged to develop their own
PSD program.

    Q.  Does an applicant located in a nonattainment area have to obtain
one year of air quality data if the control agency has sufficient data
reflecting the predicted ambient impact of the new source?  (7/11)

    A.  No.  If the Regional Office feels that existing air quality data
are representative, then no additional monitoring would be required.

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    Q.  SIP relaxations which would exceed the air quality increments
established under Part C of the Clean &ir Act to prevent significant
deterioration will be disapproved.  Will this be retroactive for previously
approved SIP relaxations?  (7/11)

    A.  There is no need to immediately disapprove previously approved
SIP relaxations which would have caused the increment to be violated.
However, the State should be notified of the need to assess the possible
violation of the increment.  If the review indicates a violation of an
increment, then the plan should be revised within 60 days or such time
as determined by the Administrator.  The SIP revision should be designed
to obtain such reduction in emissions so that the increment is no longer
exceeded.

    Q.   Is it  appropriate  to  disapprove implementation  plan  relaxations
if such  relaxations would  exceed  the air quality increment established
under Part C of  the Clean  Air Act (CAA) to prevent  significant  deteriora-
tion  (PSD) of  air quality? (3/31)

    A.   Yes, Section  110(a)(2)(J) of the CAA requires,  prior to
approval, that each plan contains  measures to prohibit  a  stationary
source from emitting  pollutants which -xould  interfere with any  PSD
increment.  Any  SIP relaxations which exceed the increment would be in
violation of this provision.   It  should be noted that this policy
applies  in all instances,  even if the relaxation would  not jeopardize
attainment or  maintenance  of  the  ambient standards.

     Q.   If  a  State is conducting  some of the PSD review but  not issuing
permits, should  it obtain  a formal delegation of authority from EPA to
conduct that review?  (7/28)

     A.   Yes.   In orider to  clarify the relationship  between EPA and  the
State, the  Governor (or his designated agent) should request a  partial
delegation.                           -•

     Q.   Will  post-construction monitoring play any  role in determining
whether a  source has  used  up the  increment? (7/28)

     A.   Section  52.21(n)(7) of the PSD regulations  provides  that  the
owner or operator shall conduct such post-construction  monitoring  as  the
Administrator  determines may be necessary to establish  the effect which
emissions of a criteria pollutant from a source are having or would have
on  air quality.   In the preamble  to the regulations, EPA  indicates  it
would, in  any  event,  only  require monitoring data for the purpose  of
determining  whether a NAAQS has been or would be violated.  At  the
present time,  however, EPA is generally not requiring post-construction
monitoring  for this purpose.

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     Q.  What is EPA's role in approval/disapproval of PSD classification
 redesignations?  (7/28)

     A.  EPA can disapprove a redesignation only if the procedural require-
 ments of Section 164 of the Clean Air Act and Sections 52.21(g) are
 not met (which includes, e.g., failure to give public notice or failure
 to hold public hearings) or if the redesignation is inconsistent with
 Section 162(a) or Section 164(a)(l)(2).  If the above requirements are
 satisfied, EPA cannot overturn a redesignation and will approve the
 redesignation.

    Q.  Can a Regional Office have a more stringent PSD monitoring program
or ask for additional monitoring in support of a permit application than
is recommended in the OAQPS guideline?  (9/8)

    A.  Yes, a Regional Office may exceed the minimum sampling requirements
specified in air guidance.   However, to assure some degree of regional
consistency, they should have sufficient justification when additional
monitoring or more frequent quality assurance tests are required from a
particular source.

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                            CO AND Qx SI Ps
     Q.  What is the effective date of Section 172(b)(ll)? (5/4)

     A.  Section 172(b)(ll) states that when a plan due on or before
 January 1, 1979, demonstrates that attainment is not possible for either
 0  or CO (or both) before December 31, 1982, that plan must establish a
 permit system, a schedule for implementation of inspection/maintenance
 (I/M), and identify other measures necessary to provide attainment by
 December 31, 1987.

     Q.  Can an extension to 1987 be requested after 1979 if the original
 1982 attainment for CO or 0  (or both) does not materialize? (5/4)
                            A

     A.  Yes.  If a State has their SIP approved in 1979 which provides
 for attainment of CO or 0  (or both) by 1982, but that plan later proves
 inadequate for achieving attainment by 1982 and the State demonstrates
 that it cannot attain the standards by 1982 despite the implementation
 of all reasonably available control measures, a plan revision may be
 submitted providing attainment by 1987.

    Q.  If a State concludes it is impossible to demonstrate attainment
of the CO or 0  standards or both by 1987 using all reasonable measures,
will there be I no growth sanction as of July, 1979? (7/11)

    A.  A State should not draw that conclusion.  The Clean Air Act requires
commitment to the implementation of all RACT in the January, 1979, SIP.
If these reasonable measures are not adequate to show attainment, the
State must identify the additional control measures which could theoretically
produce the additional required emission reductions and commit to further
investigation of the measures.  However, the Clean Air Act does not require
that a State commit in 1979 to implement these specific additional measures.
Such a commitment is not required until 1982.

    Q.   For CO nonattainment areas which cannot attain by 1982,  is
inspection/maintenance required? (6/2)

    A.  Yes.  Section 172(a)(2) of the Clean Air Act says that in the
case of the national primary ambient air quality standard for photochemical
oxidants or CO (or both) "if the State demonstrates...that such  attainment
is not possible in an area with respect to either or both of such pollu-
tants within the period prior to December 31, 1982,...such provisions
shall provide for the attainment of the national  primary standard for
the pollutant (or pollutants) with respect to which such demonstration
is made, as expeditiously as possible but not later than. December 31, 1987."
Section 172(b)(ll) says that in the case of plans which make a demonstra-
tion pursuant to Section 172(a)(2), the plan provisions shall establish
a specific schedule for implementation of a vehicle emission control
inspection and maintenance program.  However, as  a matter of policy,  EPA
is not requiring I/M in cities with populations, of less than 200,000.

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       i.  Q.   What model  should States use to determine percent reduction
      needed to attain the 0Y standards?  £6/2)
                            ^
          A.   The Regional Office need not dictate model consistency but can
      leave it to the option of the States.

     Q.  Is the reference (in the February 24, 1978, memo on criteria for
 approval  of 1979 SIP revisions) to use of the highest pollutant concentra-
 tion for determining the necessary level of control for photochemical
 oxidants  in nonattainment urban areas an attempt to modify current
 Agency policy regarding the use of the second highest value? (7/28)

     A.  No, the use of the highest pollutant concentration is intended
 by definition to mean the second highest value since the ambient standard
 dictates that-the-.oxidant standard can be exceeded, once per year.

     Q.  If an area contains several CO monitors all showing nonattainment,
 must the control strategy demonstrate attainment for all monitors or
 only the one with the highest reading?(7/28)

     A.  The control strategy must demonstrate attainment at all locations.
 Site specific controls alone are sufficient if they take care of the
 problem and do not serve simply to relocate it.  However, measures that
 provide comprehensive control  (such as  I/M) and area-wide VMT reduction
 (such as mass transit, car pooling, etc.) may provide the best solution
 to the problem.

    Q.  How is an "urbanized area" of greater than  200,000 people defined? (7/28)

    A.  As defined in the U.S. Department of Commerce publication,
1970 Census Users' Guide Part 1, p. 82,  urbanized area includes a core
city plus any closely settled suburban area.  For the purpose of oxidant
plan development, major urbanized areas  are urbanized areas with a popula-
tion of 200,000 or greater.  (See attachments to this enclosure for the
Bureau of Census1 definition and a list  of urbanized areas.)
       Q.   Is  Appendix 0 an acceptable procedure for calculating  percent
   reduction required  to achieve the oxidant NAAQS?  (9/8)

       A.   Present guidance permits the use of Appendix 0.   However,  there
   has  been much adverse comment in the technical  community regarding  its
   adequacy; and its limitations are well known.   Therefore,  States  should
   be  discouraged from using Appendix J because it is not the  best  technique
   available.  States should also be advised that  EPA has  proposed  to rescind
   Appendix J in its proposed revision  to the NAAQS  for ozon.e.  Regional
   Offices should not use Appendix J in any calculations  made  for any urban-
   ized area since it will  not be considered appropriate  after the standard
   is revised.

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    Q.  The rollback equation accounting for transport is different in
the workbook used in the "Workshop on Requirements for Nonattainment
Area Plans" from the equation presented in the "Users" document.  Which is
correct?  (9/8)

    A.  Both are correct.  The equations are algebraically the same.

    Q.  For CO SIPs, what is needed to demonstrate reasonable further
progress (RFP) by 1982?  (9/8)

    A.  The requirement to demonstrate RFP will, in most areas, reflect
a continuous phased implementation of transportation control measures
(TCMs).  These TCMs will most likely stress overall vehicle miles
traveled (VMTy reductions.  Also included in the RFP line would be
reasonable controls for point sources (in areas which have them), reduc-
tions from the Federal motor vehicle control plan (FMVCP) and where
required, I/M emission reductions for a decentralized program (1981) and
for a centralized program (1982).  Most CO violations are "hot spot"
type problems and some evaluation of progress toward attainment should
be made in these smaller areas as well-as in the larger regional CO
nonattainment areas.

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                          SECONDARY STANDARDS
     Q.   Can  an  18-month extension be  granted for submission of a secondary
 standard control  strategy? (6/2)

     A.   Yes.  A state may request from  the Administrator  an extension
 under 40 CFR 51.31.  Such a request shall show that attainment of the
 secondary standard will require emission reductions exceeding those
 achieved through  application  of RACT.   A request for an extension must
 be  submitted early enough to  permit development of a plan prior to the
 deadline in  the event that such request is denied.

    Q.   What  criteria must a  State meet prior to changing the date
 specified for attainment of a secondary standard?  (5/4)

    A.   Section 172(a)(l) of  the CAA  requires that secondary standards
 be  attained  as  expeditiously  as practicable, while Section 110(a)(2)(A)
 requires  that secondary standards be  attained by a reasonable time.
 Reasonable time for attainment of TSP and sulfur dioxide  (S02) secondary
 standards is  1982 if only reasonable  available control technology (RACT)
 is  needed to  attain and maintain the  secondary standard.  Section 51.13
 of  Title 40  of  the Code of Federal Regulations states  that in any
 Region where  application of RACT will not be sufficient for attainment
and maintenance of the secondary standard,  or where the State  shows  that
good cause exists for postponing the application  of such control  technology,
reasonable time shall  depend on the degree of emission reduction  needed
for attainment  of such secondary standard and on  the social,  economic,
and technological problems involved in carrying  out a control  strategy
adequate for attainment and maintenance of such  secondary standard.   A
date specified for attainment of a secondary standard which  satisfies
these requirements will  also satisfy the provision of Section  172  which
requires that the secondary standard be attained  as expeditiously  as
practicable.

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                              GENERAL REQUIREMENTS

      Q:  What are the criteria that must be met for EPA  to approve a State
      submitted SIP revision due-in January, 1979?   (1/12)

      A.  The criteria for approval are contained in Costle's memo of
      February 24, 1978, entitled "The Criteria  for Approval of 1979 SIP
      Revisions."

         Q.  If attainment is reached before the  projected date (1982 or 1987),
     do control strategy measures not yet  effective have to be implemented? (3/31)

         A.  Yes, unless the State wants to reevaluate  the control strategy
     and demonstrate that some  of the controls  are no longer needed in view
     of changed conditions.  Unless  there  is some reason to doubt the control
     strategy, it should be assumed  that all the  measures must be implemented
     to assure attainment at all  times, not just  during years with good
     dispersion conditions.

         Q.  Do the 1979 SIPs have to demonstrate maintenance and if so, for
     how long? (3/31)

         A.  The 1979 SIPs must demonstrate both  attainment and maintenance.
     For most areas the maintenance  requirements  are satisfied by first
     demonstrating attainment and then  having  adequate  new source review
      (NSR) procedures.  For air quality maintenance areas (AQMAs) for which
      the Region has determined  the need for an  AQMA plan, such a plan is
     still required and maintenance  for a  period  established by the Region
     must  still be demonstrated.  Otherwise, unless a nonattainment area is
     within an A0MA or there is a severe problem  with minor source growth, a
     NSR program is adequate for  satisfvina the maintenance requirement.
    Q.  Does the January 1, 1979, submission date  hold for areas redesig-
nated nonattainment for minor boundary  adjustments as a result of the
sixty-day  comment period on the March 3, 1978,  Section 107 designations? (6/2)

    A.  Yes.  Any nonattainment area revised for minor boundary adjustments
as a result of the 60-day comment period on the original designations promul-
gated March 3, 1978, is required to  submit a SIP before January 1,  1979.

    Q.  When are SIPs due for nonattainment designations made after the
revised March 3, 1978, final promulgations? (6/2)

    A.  SIPs are due nine months from the date  of  any new promulgations.
Q:  Will all nonattainment areas of  primary and secondary standards
require SIP revisions? (1/12)

A:  Nominally, yes, but the exact nature of the SIP revision could vary
considerably.  For instance, a  number of TSP nonattainment areas will be
washed out in advance by current EPA policy that  authorizes a designation
of "attainment" where present nonattainment is  demonstrated to be cause
by rural fugitive dust sources.  It  also appears  possible in a number of
cases that attainment might be  possible by December 31, 1982, without
adding any significant new regulatory requirements to the SIP; in such
cases, the SIP "revision" might consist of an official notification that
the time extensions for the primary  and the secondary NAAQS contained
in the Clean Air Act Amendments (accompanied by the underlying analysis).

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    Q:  Should EPA require the  States  to  implement  the provisions of
    Section 124 (i.e.,  consider whether low  polluting-fuels that are presently
    being used will  continue to be  available)  in  their January, 1979, SIP
    submissions?  (1/12)

    A:  Yes.  It makes  little sense for a State to  revise their SIP without
    dealing with these  issues,  and  then have EPA  call for a SIP revision
    several months later.   Where a  SIP is not required to be revised as a
    result of a nonattainment designation, the analysis  and submission of a
    revised SIP (if necessary)  may  be  done on the more extended schedule
    outlined in Section 124.

    Q:  Most a SIP contain provisions  complying with  Section 172(b)(ll)(A)
    if the State indicates that no  major  stationary sources will be constructed
    in the nonattainment areas?  (9/8)

    A:  At a minimum, the plan must contain  legally'-enforceable procedures
    which require an analysis of alternative sites, sizes, production processes,
    and recommended control techniques prior to  issuance of any permit.

 *   Q.  What  is  the  status of  the  existing  SIPs  once the 1979 SIP
revisions  are  approved?   (10/11)

    A.  New control  requirements imposed by the  1979 SIP revisions  will
normally be treated  as  being in  addition to, rather  than in lieu of,
those imposed  by  existing regulations.   In  approving a  SIP revision, EPA
will  provide  that the current  SIP  emission  control regulations remain  in
effect until  the  newly revised  regulations  become  effective and the
source achieves  full compliance  with  its provisions.  The one major
exception  to  this rule would be  when  the new regulations are "incon-
sistent" with  those  currently  in effect.  In this  situation, the State
may exempt the source from the  requirements of the preexisting regulations,
provided the  source  demonstrates that it cannot  physically meet the new
regulations and continue  to  comply with  the existing requirements.
Exemptions must  be reviewed  by  the State and if  approved, submitted to
EPA as SIP revisions to ensure  that every exemption  will be drawn as
narrowly as possible.

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                   RURAL Qv NONATTAINMENT AREAS
    Q.  Are control strategies needed (and if so, what should they look
like) for States whose only Ov nonattaintnent areas have a population of
less than 200,000 persons? (7?11)

    A.  Control strategies are needed for all areas designated nonattain-
ment, but their form and substance will vary depending on the nature
and complexity of the problem.  To have an approvable 1979 SIP, areas
less than 200,000 persons need only to adopt VOC RACT regulations for
100 tons/yr point sources.  As a minimum, these regulations should be
accompanied with an emissions inventory quantifying emissions from the
affected sources.  For the 1982 0  SIP, the State should adopt a more
detailed plan which can rely upon any mix of measures it desires-
Federal Motor Vehicle Control Proaram, additional stationary source
controls, I/M, and any other measures.  A control strategy demonstra-
tion showing attainment must also be contained in the 1982 SIP.

    Q.  Must the attainment plan for areas designated nonattainment for
photochemical oxidant with a population less than 200,000 contain an
organic compound inventory?  (7/11)

    A.  If an area has been designated nonattainment in accordance with
Section 107 of the Clean Air Act, then the attainment plan must contain
an inventory of organic compound emissions regardless of population.
However, where a plan specifies Statewide RACT control for major sources,
detailed emission inventories are required only for those areas specif-
ically designated as nonattainment.

     Q.  If an 0  nonattainment area with a population less than 200,000
 (i.e., rural arias) develops a control strategy, can Federal monies be
 used?
     A.  The classification of areas by population is primarily for the
 purpose of rural and non-rural consideration as well as for setting of
 priority for resources.  In some areas it may be necessary to develop
 strategies in these rural areas.  If available, Federal monies can be
 used in these areas and the use and amounts of monies should be nego-
 tiated with the State and/or local agencies involved with the strategies.
     Q.   Are rural  areas nonattainment for photochemical oxidants required
 to implement reasonably available control technology (RACT)?  (.3/31 )

     A.   RACT must  be applied to rural  major stationary sources with the
 potential  for emitting more than 100 tons per year, but a demonstration
 of attainment does not have to be made for such areas.

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    Q.  Even though it is not required for rural areas to demonstrate
attainment for oxidants, how are areas with urbanized populations of
40,000 - 200,000 classified? C3/31}

    A.  There may be some adjustment later, but for now areas with
populations greater than 200,000 are considered urban areas and any
areas less than 200,000 are considered as being rural areas for purposes
of demonstratina attainment.

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                            RACT REGULATIONS
Q:  RACT on selected source categories is a requirement  for  SIP  approval
for Ox SIPs.  RACT is defined by the CTG documents.  Many  States  have
existing regulations for VOC that are already being  implemented.   Can
RACT determinations be softened to account for existing  regulations  and
control control efforts?  (1/12)

A:  While it is recognized that RACT will be determined  on a case-by-case
basis, the criteria for SIP approval should rely  heavily upon the informa-
tion contained in the CTGs.  Any deviations from  the use of  the  CTGs
should be adequately documented to be approvable.

      Q.  Is it possible to approve hydrocarbon control  regulations  which
  are less stringent than the emission limitations provided  in the CTGs?(5/4)

      A.  Yes, in some cases if adequate justification is  provided.  Where
  economics or other circumstances justify regulatory requirements less
  stringent than those contained within CTGs, such justification  is  to be
 _clearly documented in the SIP submittal.
  ;.   Q.  What will be accepted as adequate justification to explain
 deviations from the CTGs for hydrocarbon regulations?  (7/28)

     A.  Where deviations from the CTG results in a more stringent control
 requirement, no justification is necessary.   However,  a deviation resulting
 in a less stringent control requirement is  acceptable only if one of two
 conditions is met.   One condition is that the 1979 SIP  submittal contains
 adequate justification that economics or other circumstances warrant
 requirements less stringent than those contained within the  CTG.  The
 other condition is;that the impact on emissions  differs imperceptively
 (less than 5 percent in cases where it is possible to quantify the
 difference) from that of the CTG and there  is no significant threat  of
 undermining EPA activities elsewhere in the  nation.   This  concept is
 only applicable on  a source category basis.   In  other words, it  would
 be unacceptable to  approve a source category specific  regulation requiring
 significantly less  control  than the corresponding CTG  on the basis that
 other source categories are regulated to a  degree significantly  more
 stringent than the  comparable CTGs.

     Q.   Can States  apply VOC RACT regulations  to  sources in  attainment
 areas surrounding a nonattainment area?  (7/28)

     A.   Yes,  States can obviously apply  RACT  regulations wherever they
 wish.  The application of RACT regulations to  expanded  areas, perhaps
 even Statewide,  is  probably a  wise action since  it will  greatly  simplify
 the SIP revision process for future 0  nonattainment "discoveries" made
 through the PSD program.   However, EPA presently  does not  require VOC
 RACT regulations for attainment areas.

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     Q.  Does Hawkins1 August 4 memo on requirement for VOC RACT regulations
 mean that linear rollback and EKMA should no longer be used for the 1979
 oxidant SIPs?  Must detailed photochemical dispersion modeling now be done?  (9/8)

     A.  Mr. Hawkins1 memo was not intended to discredit the use of less
 rigorous oxidant control strategy techniques such as rollback and EKMA.
 Further, it does not require detailed photochemical dispersion modeling
 in the 1979 SIPs for all large urbanized nonattainment areas.  Instead,-
 the memo was intended to provide consistency between the control require-
 ments for urbanized and rural nonattainment areas.  We believe that where
 conditions of uncertainty and/or lack of precision exist, it is the prudent
 course of action to regulate large VOC emitters in major urbanized areas
 to at least the same degree as similar sources in rural nonattainment areas.

     Q.  How should cutoff sizes be established in VOC regulations for
 large urbanized areas that get extensions beyond 1982 to attain the oxidant
 standard?  (9/8)

     A.  The 100-ton per year limit does not apply here.  If a State chooses
 to include a cutoff size other than one explicitly in the CTG documents,
 it should reflect a consideration of the nature of sources in an individual
 nonattainment area. • It should not be arbitrarily derived.  Factors such
 as the magnitude of emissions and the economics of control must be con-
 sidered.  You are encouraged to consult with OAQPS (John Calcagni) as
 individual cutoff limits are established.

     Q.  For purposes of the 1979 SIP submittal, do all 11 RACT categories
 contained in the first round of CTGs have to be adopted for rural nonattainment
 oxidant SIPs?  (9/8).

     A.  Yes.  RACT regulations for all 11 CTG categories must be included
 in the 1979 SIP for large VOC emitters (100 tons/yr potential emissions).
 However, practically speaking, there may not be any large point sources
 in certain CTG categories in some areas.  A positive showing in the SIP
 submittal that no such size sources exist in the affected nonattainment
 area would obviously negate the need to require adopting of regulations
 for this or any other source category.  Service stations can be assumed
 to be less than 100 tons without a detailed showing for the purposes of
 exempting rural areas from Stage I requirements.

 *  Q.  What is considered a "100 tons/year source" for the cutback
asphalt category?  (10/11)

    A.  Emissions from this CTG category result from several points and
operations including the mixing plant, paving operations, and from the
curing of the road surface itself.  Because of the possible combinations
of emissions points, the cutback asphalt category should be viewed as an
area source and any "TOO ton" calculations should consider all State,
local, and private uses of asphalt in the nonattainment area.  Accordingly,
States should be encouraged to adopt limitations of the manufacture,
sale, and use of cutback asphalt on a Statewide basis.  However, such a
limitation could be avoided in rural  areas if it can be demonstrated
that the total  emissions from the use of cutback asphalt in the entire
area for which a strategy is being developed does not exceed 100 tons/year.

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  * Q.  Can the CTG RACT value for VOC be met on a plant-wide basis (by
using internal offsets) rather than by applying RACT to each individual
source within the plant?  (10/11)

    A.  Regulations using internal offsets will be approved under the
following conditions.  Source specific process regulations can deviate
from the RACT value, provided that total emissions from the plant are
consistent with the level of control attained if RACT were applied to
each affected line.  Also, each source of emissions must have a legally
enforceable emission limitation.  This simply means that in the 1979
SIP, offsets can only be obtained from the.source categories for which
EPA has published a CTG by January, 1978.  They cannot be obtained from
a source category not covered by the first eleven CTGs (which would
probably have to control at some future date).  Furthermore, a RACT
bubble that covers several CTG source categories (e.g., coaters and
degreasers) could only be approved in the 1979 SIP if the SIP demon-
strates attainment by 1987 using measures firmly committed to in the
1979 SIP.

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                             MISCELLANEOUS
Q:  Section 126 "Interstate Pollution Abatement" allows any State or
political subdivision to petition EPA for finding that a source in a
neighboring State "prevents attainment or maintenance...of any...national
primary or secondary ambient air quality standard."  The Administrator
must make a decision within 60 days of the receipt of a petition and
follow up with appropriate new abatement actions.  What will be the
basis for EPA decision on whether a source prevents attainment? (1/12)

A:  EPA generally will make a positive finding only if the source is
causing the violation of the standard and control of the out-of-state
source will result in attainment.  ThatjLS, the petitioning State
must have its own house in order and must fail to attain.only because
of the interstate source before EPA will invoke the special powers
of Section 126.  Where the interstate source or sources are only contri-
buting to violations that would exist anyway, the situation should be
regulated through a comprehensive SIP revision for the area.

     Q.  What is the legal status of a source which is not meeting an
 approved SIP limit and to which the State has granted a variance but EPA
 has not yet approved the variance as part of the SIP?  (3/31)

     A.  The source will be out of compliance and subject to Section 113
 enforcement and noncompliance penalties under Section 120.

     Q.  What effect will non-ferrous smelter orders have on mandatory
 S02 attainment by 1982?  (3/31)

     A.  The issuance of a nonferrous smelter order (NSO) will not inter-
 fere with the attainment of the ambient sulfur dioxide standards since
 any smelter subject to a NSO will be required to employ dispersion
 techniques to ensure attainment of the ambient standards until  expiration
 of the NSO.  Upon expiration, the smelter will be required to attain
 the ambient standards through constant control technology alone.

     Q.   Can monitors  be relocated  as  part of  a SIP revision?  (6/2)

     A.   Yes.

     Q.   Are BACT and LAER nationwide or Statewide determinations? (3/31 j

     A.   Neither, BACT and LAER are case-by-case  determinations.

     Q.   Are Federal  facilities subject to  SIP limits  and procedures? (3/31)

     A.   Yes,  Federal  facilities should be  treated as  any other  source.

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        Q.   Does the existence of Federal  regulations  alleviate sanctions?  (6/2)

        A.   Only in  limited  circumstances.   For  example,  to  the extent
    resources  permit,  EPA will  promulgate  RACT for  stationary sources.   If
    this fills the only  deficiency in  the  SIP, approval will then be possible
    and  any  sanctions  will be  lifted.   However,  in  this case sanctions would
    apply if the State failed  to  implement  the Federally  promulgated regulations,
    wnere states fail  to adopt  emission control  regulations needed to provide
    tor  attainment and maintenance of  the  national  air quality  standards,
    EPA  may  not  have sufficient resources to correct all  deficiencies and it
    will  be  necessary  to impose sanctions.

      0.  Q.  Are Federal facilities required to  pay permit fees to the State
     in  which  they are located?  (5/4)

         A   Yes, the Federal  government is not exempt from these fees.
        Q. '  Can  Section  175  funds apply to  TSP related .projects or grants?  (6/2)

        A   Yes, Section 175 applies to TSP related projects or grants to
    .solve'reentrained  dust  and other TSP problems.

     Q.  Is a delayed compliance  order (DCO)  a SIP revision?   (5/4)

     A.  A  DCO  is not a  SIP revision under Section 110(a)(3) of the CAA.
 A  DCO  is,  however, an  addition  to  the SIP and modifies  the terms of an
 approved SIP under Section 110(i)  and Section  113(d)(ll).  Consequently,
 a  source subject to  a  DCO  is  potentially  subject  to non-compliance
 penalties.   DCO's will  be  published  in 40 CFR  65.

     Q.  Who  is required to submit a  DCO to the Administrator? (5/4)

     A.  A  State issued DCO is required to be submitted  by the State to
 the Regional  Office  which  in  turn submits it to headquarters  for review.
 A  DCO  is not required  to be  submitted by  the State Governor but can be
 submitted  by a local agency.
     Q.  When  and to whom will  the Section  108 transportation control
measures (TCM)  guideline documents  be  distributed? (6/2)

     A.   Inspection/maintenance and  bus/carpool  guidelines are  now being
distributed to  the Regional Offices.  The  vapor recovery guideline is
expected from the contractor on  June  1.  Limited copies  of this will be
distributed in  early  June with more copies available in  early  July.
Other guidelines are  due at the  end of this year.  Transportation planning
guidelines  have been  completed in-house and are awaiting DOT consensus.
This review should be completed  in early June and  the guidelines avail-
able then.

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         Q.   When will  the "Micro-inventory  Technique  for TSP Assessment" be
     available?   (7/11)

         A.   This technique,  which  has  recently  been  applied to several
     areas,  emphasizes  a  more definitive  area  source  inventory in the
     immediate vicinity of hi  vols.   It will be  discussed, along with other
     analysis techniques, at  the Workshop on Particulate Analysis and
     Assessment  Methods,  July 19 and  20,  in Raleigh,  North Carolina.  A paper
     describing  the technique in more detail will  be  available at that time
     and  afterwards by  requesting a copy  from  Tom  Pace, MD-14, Research
     Triangle Park, North Carolina  27711, or at  629-5486 (FTS).

      Q.   What is EPA's policy on approving SIP  relaxations  which  impact
  interstate areas?  (9/8)

      A.   EPA's  interim policy on approving SIP  relaxations  which  impact
  interstate areas is stated  in the July  26,  1978, memo from Dave  Hawkins'
  to Kathleen Camin, Regional Administrator,  Region VII,  regarding  the
  Union Electric variance.  EPA's policy  is as follows.  The relaxation
  cannot  be approved if the NAAQS or PSD  increments would  be violated.
  Additionally,  where the affected States have a specific  growth/maintenance
  plan for the area, the SIP  relaxation must  not violate that plan.  If
  neither State has a specific maintenance-plan and the States involved
  cannot  agree to the level of consumption of the growth allowance, EPA
  becomes involved.  In this  case, it is  current EPA interim policy to
  approve the relaxation based on dividing  equally between the two  States,
  the consumption of growth potential.  That  is, each State  will have use
  of one-half the air quality difference  between the NAAQS and the  ambient
  concentration now allowed at the border.  This concentration represents
  the air quality level which would exist if  sources in the  area were to
  emit at the level allowed by the applicable  SIP.  The "one-half  growth
•  allowance" concept should also apply to areas  internal  to  the  other
  State.   That is, where an applicable source  would have significant
  impacts well within the geographic boundaries  of the other State, then
  that impact should also be  evaluated using  the "one-half growth  allowance"
  criteria.   If the relaxation would consume  more than one-half  of  any
  applicable growth increment, then it will be disapproved.

     Q.   When  are  the State reviews for plan adequacy, as required  by
Section  124,  due  for submission  to the ..Regional Offices?  (9/8)

     A.   The  results  of the State reviews were due  August 7, 1978.

     Q.   Has  guidance been developed  for  implementing Section 124?  (9/8)

     A.   A draft guidance memorandum  was  distributed  for Regional Office
review on January  23,  1378.  That memo reflected  a very detailed review
process.   On  July  31,  1978, a final  guidance memorandum was sent to the
Regional Offices;  however, it did  not mandate the  detailed review  as
described in  the  earlier draft memo.  The  final memo pointed out that the
earlier  draft could be followed  if a detailed review was necessary, but in
~ome cases,  depending  on conditions  within a  State,  a .shorter, qualitative
  >proach would suffice.  For further information  on what constitutes a
qualitative  approach,  contact Roger  Powell (FTS:   629-5437).

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 *   Q.  For control strategy demonstration purposes,  if an  existing
source is operating at less than capacity and is restricted by permit
conditions to that level of operation, what emissions should be factored
into the demonstration, actual  or allowable?  (10/11)

    A.  If the permit is submitted and approved as part of  the SIP,
actual emissions which become allowable via the permit are  used for  the
demonstration.  If the permit is not part of the SIP, then  allowable SIP
emissions must be used.

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 1.   Q.   For urban  nonattainment areas  (greater than 200,000 population),
 what are the  appropriate exemptions for solvent metal cleaning operations?

     A.   The only exemptions which would generally be allowed are those
 explicitly provided for in the preface of the CTG.  Namely, conveyorized
 degreasers smaller than 2.0 m  (21.5 ft ) of air/vapor interface can
 be exempted from the requirement for a majoc control device and open top
 vapor degreasers smaller than 1 m  (10-8 ft ) of open area can be
 exempt from the application of refrigerated chillers (or carbon adsorbers).
 We do not rerommend across the board exemptions for small sources
 (e.g., 3 Ib/day).  Because of the large number of small  metal  cleaning
 operations in existence, an exemption of this nature would significantly
 reduce the overall effectiveness of the control program in this CTG
 category.  We recognize that for cold cleaners (batch operated, non-
 boiling  solvent degreasers typically of the type found in automotive
 repair facilities) these limits will be difficult to enforce.   However,
 since the sources  are so ubiquitous, we feel it would be preferable to
 set  requirements which are applicable to similar pieces  of equipment
 throughout the industry and prioritize enforcement rather than exempt
 particular sectors because of the difficulty with enforcement.

 2.   Q.   For rural  nonattainment areas, what are appropriate exemptions for
 solvent  metal cleaning regulations?

     A.   Besides those exemptions listed above for urban  areas, the policy
 allows exemptions  for sources less than 100 tons/year.   Hence, an exemp-
 tion for all cold  cleaners in rural  nonattainment areas  would  be approvable
 since a  typical cold cleaner emits approximately 0.3 tons/year.  However,
 States should be encouraged not to automatically exempt  all  open top
 vapor degreasers or conveyorized degreasers which individually emit
 less than 100 tons/year in rural  nonattainment areas because large
 scale users may have over 100 separate degreasing operations at one
 plant location.  If a State chooses  to exempt open top or conveyorized
degreasing operations in rural  nonattainment areas,  the  limitation
should be 100 tons or less on a facility-wide basis  based on annual
solvent  purchase records.   Further,  anyexemption which  distinguishes
between  open top vapor degreasers  and conveyorized degreasers  should not
 be approved because of the potential  of switching between equipment
types.  Although conveyorized degreasers are larger  emitters,  they emit
significantly less solvent than do open top vapor degreasers for an
equivalent workload.   Thus, it  would not be advantageous to  encourage
degreaser operators to choose open top vapor degreasers  in order to
avoid regulations on conveyorized  degreasers.

3.  Q.  The CTG for solvent metal  cleaning identifies a  Control System A
and a Control  System B.   Under  what  circumstances are each appropriate?

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                                     - 2 -


    A.  States should be encouraged to control all sources to Control
System B level.

        Generally, regulations for urban nonattainment areas seeking an
extension, and facilities emitting in excess of 100 tons/yr in a non-
attainment area, should require Control System B.   Obviously, case-by-case
exemptions where appropriate are approvable as they are for all RACT
categories.

4.  Q. If, for an 0  nonattainment area, a State adopts the 11 CTG RACT
regulations (covering 16 source categories) and demonstrates attainment
of the NAAQS L%> 1982 using other than a rigorous dispersion model, must
the State commit to adopting additional CTG RACT regulations as issued
by EPA for an approvable SIP?

    A.  Under present policy, the answer is yes.  Due to the uncertainty
associated with other than rigorous dispersion modeling for 0 , EPA is
requiring such a commitment to be part of the 1979 SIP submittal.  If a
State can demonstrate through monitoring that the 0  NAAQS is being
attained, a revision to the Section 107 attainment status would alleviate
necessity for adopting or implementing additional  measures beyond the
first 11 CTGs.

5.  Q.  Is there a deadline for State submittal of a request for an
extension beyond 1982 for attainment of the CO and/or 0  NAAQS?
                                                       A

    A.  Generally the request along with sufficient justification
should be submitted prior to, or most likely included in, the formal 1979
plan submission.  If a State does not request such an extension in the
1979 SIP, but later finds an extension beyond 1982 is needed to attain
the 0  and/or CO NAAQS, the State may then request the extension.  In
summary, there is no deadline for requesting such an extension although
the sooner the extension is requested, the better.

6.  Q.  What impact does an 18-month extension for submittal of a plan
for attaining secondary standards have on growth,  Federal funding, and
the Federal offset program?

    A.  If the area in question is designated nonattainment solely for
the secondary standard, limitations on growth and funding would only
apply after December, 1980 (18 months from July, 1979) if no plan is
submitted or when a plan is submitted but officially disapproved by EPA,
whichever comes first.  The Federal offset policy would remain applicable
until December, 1980 (18 months from July, 1979) or until a plan is
submitted and officially disapproved by EPA, whichever comes first.

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                                       - 3 -
7.  Q.  How is the RFP curve developed for areas where air quality
monitoring indicates attainment but which were designated nonattainment
based on projected air quality violations due to growth and future
activities (e.g., Valdez, Alaska)?

    A.  The RFP line should be a horizontal  line or ceiling reflecting
the emissions level which, if exceeded, would result in an actual  ambient
violation.  Progress against such a line should be measured by tracking
actual emission increases.

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                                                          PN-110-78-09-11-008
                          11 SEP 1978
SUBJECT:  Impact of Potential Revision to Participate Hatter
          HAAQS

FROM:     0?.vid G. Hawkins, Assistant Administrator
            for. Air, Noise and Radiation (ANR-443)

TO:       Regional Administrators, Regions I-X


     The Clean Air Act arid EPA policy require a periodic reevaluatlon
of each National  Ambient Air Quality Standard.  Under these  •
requirements, the Office of Research and Development  has begun  a
program to revise the Air Quality Criteria for Particulate Hatter
(AP-49).  Ue anticipate that the craft revised criteria document  v/ill
be available for external review in late 1979.  Any revisions to  the
NAAQS for particulate matter that result from revision to the
criteria document would probably be proposed in mid-1980 and
promulgated 1n late 1SSO.

     It is possible that the revised criteria document will  result
in some form of an "inhalable" particulate matter primary standard
based on particle sizes of less than 15 micrometers.

     Of course, until the criteria cocu.r^nt is revised, any  estimate
of the effect is  only speculation and therefore should not be
allowed to disrupt the current efforts to develop SIP revisions in
arsas>-designated nonattainnient for particulate matter.  The  SIP
revisions must still be submitted by January 1, 1979, rcust demonstrate
attainment of the current ^articulate matter standard by
Decetr.ber 31, 1982, and must include emission regulations for
conventional sources and programs to subsequently develop controls
for unconventional sources as required.

     If the revaluation of the criteria document results in the   .
kind of change to the flAAQS discussed above, however, sorr.e controls
that would be necessary to attain the current NAAQS n;ay not  be
necessary to attain a revised primary iiAAQS.  Generally, the sources
In this category are those such as storage piles and  rraterials
handling-operations that emit relatively large particles.

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     The 1979 SIP revisions must contain or provide  for  the  develop-
ment of all measures necessary to attain the current particulate
matter standard.  However, it is legally permissible for States
which adopt new regulations covering sources of predominantly
large particles to recognize the possibility of a revision of  the
current standard in establishing compliance schedules for such sources.
As long as compliance is required not later than 1982 such
schedules may include dates which are late enough so that the
uncertainty over the particulate matter standard can be  resolved
prior to significant expenditures for control.

     Your office should advise State and local  agencies  that this
approach may be followed .if they wish.  The approach may be
appropriate in some situations and inappropriate in  others.  Naturally,
the State's judgment regarding appropriateness  in particular cases
should be respected.

     The possible revision of the particulate standard should  not
be a factor which is considered in setting compliance schedules  for
sources other than those described above,  llor can this  possibility
affect any existing compliance schedules.

     I encourage you and your staff to work with your State  and.
local agencies to acquaint them with this situation.

     Enclosed is a copy of a letter to Congressman Walgren of
Pennsylvania and an issue paper which discusses the  reassessment of ths
particulate matter ambient air quality standard and the impact on
the January 1, 1979, SIP revision submittals.  This  guidance
memorandum is consistent with the information in those two  documents.
cc:  M. Durning
     J. Bernstein
     S. Gage
     Director, Air & Hazardous Materials Division, Regions I, III-X
     Director, Environmental Programs Division, Region II

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        UNITED STATES ENVIRONMENTAL PROTECT'™
                       ANN ARBOR. MICHIGAN  4S105     PN-110-78-07-17-007


                        till                               OFFICE OF
                       JUL 1 7 W«w                   AIR AND >;VATS;* PROGRAMS
SUBJECT:  Inspection/maintenance Policy

FROM:     David G. Hawkins, Assistant Administrator
          for Air and Waste Management

MEMO TO:  Regional Administrators, Regions I - X
     As you know, the Clean Air Act Amendments of 1977 set forth
specific requirements for the implementation of motor vehicle
inspection/maintenance  (I/M) programs.  Attached is a policy paper
indicating what EPA will consider a minimally acceptable program
wherever I/M is required by the Act.  It should aid your efforts  Co
provide for adequate I/M submissions for the State Implementation
Plan (SIP) revisions of January 1, 1979.  Plaase continue to contact
me if problems in I/M implementation develop.

cc:  Air and Hazardous Materials Division
      Directors, Regions I, III - X
     Environmental Programs Division Director,
       Region II
     Air Programs Branch Chiefs, Regions I - X

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           Policy for the Development and Implementation  of
                    Inspection/Maintenance Programs
     The Clean Air Act Amendments of 1977 provide new direction  £or  the
development and implementation of motor vehicle  inspection/maintenance
(I/M) programs.  If states are not able to demonstrate  attainment  of  the
standards for oxidant (Ox) or carbon monoxide  (CO) by December 31, 1982,
a specific schedule for the implementation of  I/M muse  be  included in
the State Implementation Plan (SIP) revisions  of January 1,  1979 for  the
plan to meet the requirements, of Section 172.  The general requirements
for the I/H programs are set out in a February 24, 1978 memorandum from
the EPA Administrator to the Regional. Administrators (reprinted  in the
Federal Register on May 19, 1978, 43 ?.R. 21673).  The  requirements,  for
these programs, are explained in more detail below.

A«  I/M SI? Revision Development and the January 1, 1979,  Submittal

     In producing an I/M SI? revision, the states should provide for:

          1.  an analysis of the benefits and  costs of  the program;

          2.  a public information effort;

          3.  a legislative proposal; and

          4.  a schedule for I/M implementation.

A copy of suggested steps for development of the SIP revision is attached
(Attachment 1).  Before the January 1, 1979 submittal,  the SI? revision
must be adopted by the state air pollution control board or agency head as
appropriata.  As a. part of the SI? revision submittal itself, chere must
be a commitment by the Governor to implement che I/M program according to
the schedule submitted.*


*Sections 172(b)(7) and (10) provide that the  plan revisions required
for nonattainment areas shall —

     (7)  identify and commit the financial and manpower resources
necessary to carry out the plan provisions required by this subsection;
[Emphasis added]

and shall —

     (10)  include written avidenca that the state,  the general purpose
local government or governments,  or a regional agency designatad by general
purpose local governments for such purpose,  have adopted by statute,  regu-
lation, ordinance, or other legally enforceable document, the necessary
requirements and schedule and timetables for, conipliar.ee, and ara cocmitced
to implement and enforce che appropriata alaner.ts of the plan; [Emphasis
added]

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these plan elements should be prepared in accordance with che guidance
on pages 186-188 of che Compilation of Presentations, prepared by EPA's
Office of Air Quality Planning and Standards  (OAQPS) for the "Workshops
on Requirements for Nonattainment Area Plans" February -March 1978
(pages 218-220 in the April 1978 edition).


B.  The I/M Implementation Schedule

     The specific items listed below must be  included as a part or the
States' I/M implementation schedules with specified dates for implementation
of each item.  The stringency planned for the program and other factors
affecting the potential for emission reductions should also be indicated.
Additional items if necessary because of local factors may be required by
USZPA Regional Offices.

          1.  Initiation (or continuation) of public information
              program including publicizing the I/M program in the
              media, meeting and speaking vith affected interest
              groups, etc.

          2.  Preparation of a draft legislative package and
              submittal of legislation package to legislature
              if additional legislative authority is needed.

          3.  Certification of adequate legal authority by approp-
              riate state official.

          4.  Initial notification of garages explaining program
              and schedule of implementation.*

          5.  Development and issuance of RFPs.*

          6.  Award to contractor(s). *

          7.  Initiation of construction of facilities.*

          8.  Completion of construction of facilities.*

          9.  Adoption of procedures and guidelines for tasting
              and quality control including emission analyzer
              requirements (and licensing requirements for private
              garages, if applicable*).

         10.  Notification of and explanation co garages of actions
              in step 9.*

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         _j..   Completion of equipment purchase and delivery of
              equipment.

         12.   Development and adoption of outpoints.

         13.   Initiation of hiring and training of inspectors or
              licensing of garages.*

         14.   Initiation of introductory program (voluntary main-
              tenance with either voluntary or mandatory inspection)
              if not previously initiated.

         15.   Initiation of mechanics training and/or information
              program.

         16.   Initiation of mandatory inspection.

         17.   Initiation of mandatory repair for failed vehicles.

     If certification of adequate legal authority occurs after January 1979,
the States may modify previous commitments to implement and enforce the elements
of the schedule to conform to che legal authority.**  These modifications will be
approved by the EPA Regional Offices and must be consistent with the Administra-
tor's February 24, 1978, policy memorandum.  The documents should be submitted
to the EPA Regional Offices for inclusion in the SIP revisions already submitted
by January 1, 1979.  Any necessary adjustments to the schedule may be made at
this time but must be approved by the EPA Regional Offices.

C.  Authority to Implement I/M

     Normally, adequate legal authority to implement a 3TJ? revision must exist
for a revision to be approved.  Where a legislature has had adequate
opportunity to adopt enabling legislation before January 1, 1979, the
Regional Administrator should require certification that adequate legal
authority exists for I/M implementation by January 1, 1979.  However,
for many states there will be insufficient opportunity to obtain adequate
legal authority before  their legislatures seet in early 1979.  Therefore,
a certification of legal authority for the implamentation of I/M in
these states must be made no later than June 30, 1979.  An extension to
July 1, 1980, is possible, but only when the state can demonstrate that
(a) thera was insufficient opportunity to conduct necessary technical
analyses and/or (b) the legislature has had no opportunity to consider
any necessary enabling  legislation for inspection/ maintenance between
enactment of the 1977 Amendments to che Act and June 30, 1979.  Certifi-
cation of adequate lagal authority, or other evidence that legal authority
has been adopted, aust  be submitted to the EPA Regional Offices to be
included in the SIP revision already submitted.  Failure to submit evidence
of legal authority by  the appropriate deadline will constitute a failure
to submit an essential  element of the SIP, under Sections 110(a)(2)(I)
and 176(a) of che Act.
^Dependent on type of system chosen (state-run centralized, contractor
centralized, or decentralized).

**See footnota on page 1.

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     Prior to the respective deadlines for initiating mandatory inspection
fad mandatory repair of failed vehicles, the state, local government, or
regional agency should adopt whatever legally enforceable requirements
are necessary to ensure that vehicles are not used unless they comply
with the inspection/maintenance requirements.  Written evidence of
adoption of these requirements should be submitted to the EPA Regional
Offices, to be included in the SIP revision already submitted by January
1, 1979.*

D.   I/M Implementation Deadlines

     Implementation of I/M "as expeditiously as practicable" shall be
defined as implementation of mandatory repair for failsd vehicles no
later than rwo and a. half years after passage of needed legislation or
certification of adequate legal authority for new centralized systems
and one and a half years after legislation or certification for decen-
tralized systems or for centralized systems which are adding emission
inspections to safety inspections.  For the normal legislation deadline
of June 30, 1979, new centralized programs must star- by December 31,
1981, and all others must start by December 31, 1980.  For the case of
the latest possible legislation data, July 1, 1980, chis means that a
nev centralized program aust start by December 31, 1982, while all other
programs must start by December 31, 1981.  Where I/M can be implemented
more expeditiously, it aust be.  Each stats implementation schedule mist
be looked at individually to determine if it is as expeditious as practi-
cable.  Implementation dates ordered by courts, if earlier than these
dates, take precedence.

E.   Geographic Coverage

     I/M should focus on metropolitan areas and should include the entire
urbanized area and adjacent fringe areas of development.  Boundaries of the
area affected may be adjustad if an equivalent emission reduction is achieved.
For urbanized areas of 200,000 population or graatar which aeed I/M to obtain
an extension of the 1982 attainment data, full mandatory I/M must be implemented
by the deadlines indicated above.  Statewide programs ara encouraged, especially
for those states which ara small and highly urbanized.

     It should be emphasized Chat all nonattaimnent araas must have SI?s
which ara adequate to attain and maintain the National Ambient Air
Quality Standards (MAAQS) by 1982 or by no later than 1987 should an
acceptable nonattainment demonstration be aade.  For areas under 200,000,
EPA will not at this time automatically raquira I/M schedules in 1979 as a
condition for SI? approval or an extension.   However, areas under 200,000
still have to attain and maintain NAAQS as expeditiously .as practicable,
and I/M is encouraged as a aeans of helping to provide for an adequate
SI?.  EPA will review the need for I/M in areas under 200,000 aftar che
1979 SI? revisions are submitted, and will consider additional require-
ments at that time.
*See footnote on ?aga 1.

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    Emission Reductions Required for I/M

     I/M programs must produce at least a 25 percent reduction in light
duty vehicle (LDV) exhaust emissions of hydrocarbons and a 25 percent
reduction in LDV emissions of carbon monoxide by December 31, 1987,
compared to what emissions would be without I/M on the basis of the most
recent motor vehicle emission factors.  However, the choices of stringency
factor to be used and other actions affecting the potential for emission
reduction should be made by the states.  States should of course be
encouraged to develop programs which produce more emission reduction
when possible.   The final revision to .Appendix N (40 C.F.R., Part 51)
when promulgated (along with its minimum program requirements) should be
used to determine if the program described in the implementation schedule
will meet the minimum 25 percent CO/25 percent HC criterion. Should a
program not need to be this stringent to attain and maintain the NAAOS
by 1982, the I/M program need be only as stringent as needed to assure
conformity wich NAAQS.  Should a state vant to emphasize control of one
particular pollutant at the expense of the other, the plan for such an
I/M program must be submitted to the appropriate EPA Regional Office for
approval.

G.  Minimum Program Requirements

     In addition to the emission reduction requirement above, all I/M
programs must:

          1.  provide for regular periodic inspections  of all vehicles
              for which emission reductions ara claimed;*

          2.  provide for maintenance and recasting of failed vehicles
              to provide for compliance with applicable emission
              standards;

          3.  prohibit ragistration or provide some equally affective
              mechanism to prevent vehicles which do not comply with
              the applicable exhaust emission requirements from operating
              on public roads;

          4.  provide for quality control regulations and procedures
              for the inspection system including:
*Randoia roadside checks, while a useful addition to an I/M program,
are not an acceptable substitute for regular periodic inspections.

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                                   -6-

               a.  m-Lnimim specifications for emission  analyzers

               b.  required calibrations of all  types on  analyzers  and

               c.  m-fm'TTTitm record keeping;

          5.  provide for either a mechanics training program or  a  program
              to inform the public of service establishments  with approved
              emission analyzers;
          6.  inform the public of the reason  for  the I/M  program plus
              the locations and hours of  inspection  stations.

     Decentralized systems must also comply with the following  require-
ments .

          1.  All official inspection facilities must be licensed.
              Provisions for the licensing of  inspection facilities
              must insure that the facility has obtained,  prior to
              licensing, analytical instrumentation  which  has been
              approved for use by the appropriate  state, local,  or
              regional government agency.  A representative of  the
              facility must have received instructions  in  the proper
              use of the instruments and  in vehicle  tasting methods
              and must have demonstrated  proficiency in these methods.
              The facility must agree to  maintain  records  and to submit
              to inspection or the facility.   The  appropriate government
              agency must have provisions for  penalties for facilities
              which fail to follow prescribed  procedures and for mis-
              conduct.

          2.  Records required to be saintained should  include  the
              description (make, year, license number,  ate.) of  each
              vehicle inspected, and its  emissions test rasults.
              Records must also be maintained  on the calibration of
              testing equipment.

          3.  Summaries of these inspection records  should be submitted
              on a periodic basis to the  governing agency  for auditing.

          4.  The governing agency should inspect  each  facility
              periodically to check the facilities'  records, check
              the calibration of the tasting equipment  and observe
              that proper test procedures are  followed.

          5.  The governing agency should have an  eff active -program
              of unannounced /unscheduled  inspections both  as a  routine
              measure and as a complaint  investigation  measure.   It is
              also recommended that such  inspections be used cc  check
              the correlation of iastr'^aenc raadings among inspection
              facilities.

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                        -7-

6.  The governing agency should operate a "referee" station
    where vehicle owners may obtain a valid test to compare
    to a test from a licensed station.  At least one 'referee"
    station must be present in each I/M metropolitan area.

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                            Attachment 1
                       Suggested I/M Milestones
1.   Complete plan for preparing and implementing I/M SI? revision
     including:

     a.   technical analysis

     b.   public information program

     c.   development of necessary legislation

     d.   development of I/M implementation schedule.

2.   Complete technical analysis including:

     a.   emission reduction benefits

     b.   fuel economy benefits

     c.   costs.

3.   Complete elements of a continuing public information program
     including:

     a.   further publicity concerning oxidant (and/or carbon
          monoxide) episodes

     b.   meeting with and speaking to affacred interest groups
          (including the public and public officials)

     c.   news releases.

4.   Complete development of legislative proposals.

5.   Complete development of I/M implementation schedule.

6.   Receive approval of I/M, including implementation schedule, from
     air pollution control board or agency head as applicable and
     introduce into state legislature.

7.   Submit SI? revision for I/M, including implementation schedule, to
     E?A (due no later than January 1,  1979).

3.   Obtain legal authority needed to implement I/M (required by July 1,
     1979,  with some exceptions allowed until July I, 1980).

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               UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
           29  13?{5                                                   PN-110-78-06-29-006
      Regional Consistency for TSP Control Strategios and RACT


      Richard G. Rhoads, Director
FROM:  Control Programs Development Division

  T0  Robert L. Duprey, Director
      Air & Hazardous Materials Division, Region V

           This is in response to your memo to Halter Barber of April 26
      regarding RACT for particulate matter sources.

           As you know, Region IX has the lead on developing regulations to
      insure regional consistency.  We have been working with Region IX on
      this effort, and a draft regulatory package is currently being prepared.
      This regulatory action should go a long way toward insuring regional
      consistency and in resolving many of the potential problems with incon-
      sistencies regarding the implementation of Agency policy in interregional
      nonattainrcent areas.

           The 1979 SIP revisions need only to provide that level of control
      which would be necessary to insure attainment of the standards as expedi-
      tiously as practicable.  We do not believe that all sources must apply
      RACT if less than RACT is needed to attain tne standards.  It may be
      unreasonable or provide little or no benefit  to apply RACT to some
      industrial sources if the problem is totally fiue to fugitive dust.  RACT
      on  industrial sources should not necessarily he a prerequisite before
      one  is  permitted  to  investigate fugitive dust controls.  We recognize
      that the emission estimates and reductions due- to fugitive dust controls
      are  difficult to  quantify and, as such, we will want to look closely at
      these  sources and the associated control strategy.

           While RACT may  not be  necessary for attainment of the primary
      standard  in all cases, it will play a critical role in determining the
      attainment date for  the secondary standard.   If less than RACT is neeued
      to  attain the secondary standard, attainment  shall bo no later than
      1982.   If more than  RACT  is needed, a reasonable time is allowed.  Since
      many areas will have difficulty attaining the secondary standard by
      1982,  RACT will be needed to permit use of thfi reasonable time criteria
      for defining  the  attainment date.   Thus, whilo RACT ir.ay not be needed on
       industrial sources to attain the primary standard, RACT would need to be
      applied  if attainment of  the secondary  standard is beyond 1982.

           OAQPS does not  intend  to  issue RACT guidance or control technique
      guidelines for particulate  matter.  However, your efforts to establish
      a list of  RACT criteria or  a compendium of information on paniculate
      matter regulations  is certainly useful  to th;.- States in developing
       regulations.   However, we  should not indicate that this list or compendium
       represents  presumptive  RACT for particulate matter.  We cannot concur that
      1320-6 IREV. 3-76!

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                                              §110  -  TSP  SJPs  -
                              2                      Fugitive  Dust

each number in the list represents RACT.  This is best handled on a,
case-by-case basis. In general, we have no major problems with your
using these criteria as a draft for use by the States in developing
particulate matter control regulations, but we should not base approval/
disapproval on the specific values contained in the attachment to your
April 26 memo.

     If you have any questions, please give me a call.

cc:  D. Goodwin
     D. Tyler
     T. Helms

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MAY  16  1978

Options for Handling State Implementation                    P
Plan Relaxation -in Face of Uncertainty

Richard G. Rhoads, Director
Control Programs Development Division

David G. Hawkins, Assistant Administrator
  for Air, Noise, and Radiation


     During your discussions with Walt Barber regarding the Westvaco
situation, you asked how these types of situations had been handled in
the past, and how they might be handled in the future.

     The main factor in our policy has been that the State must demon-
strate to EPA that the State implementation plan (SIP), or any  revision
thereto, is adequate to attain and maintain the standards.  Specifically,
the burden of proof is on the State.  If the State fails to provide an
adequate demonstration, we do not (normally) feel  obligated to  conduct
a demonstration on behalf of the State; we believe we are authorized
to (and we have in the past) either defer action on the submission or
disapprove the submission.

     A second factor in our policy is our strong reliance on air quality
modeling.  Most of the controls imposed under the Clean Air Act (CAA)
of 1970 were justified on modeling.   We strongly guard our legal
authority to impose controls based on modeling, and strongly resist
any implication that ambient monitoring is necessary in order to justify
controls, although we do agree that monitored data are very valuable
(but not essential) for calibration and verification of the models.

     A third factor is that a source is bound by an approved SIP regula-
tion unless EPA has approved revisions to the regulation.  If a State
adopts a revision to an approved regulation, the revision must  be submitted
to EPA for review, proposal, and promulgation of our approval/disapproval
decision.  Until we have promulgated our approval  of the revision, the
original regulation remains in effect.  For these situations, Stan Legro
established an enforcement discretion policy for the interim period
between State adoption of a regulation relaxation and EPA approval.  The
policy prohibits increases in emissions during the interim period, but
it states that we generally should not require reductions in emissions
until after EPA makes the final determination.  This, however,  is only
an internal enforcement policy, and should not influence our regulatory
decisions.

     In summary, the Agency has three options available to it.   They
are approval of the relaxation, disapproval of the relaxation,  or deferral
of action on the relaxation.  Generally, the specifics of each  case dictate
which option must be followed.  Specifically, approval of a relaxation

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is only appropriate when the criteria outlined above are met.  Any
deviation from these criteria would result in arbitrart approvals of
SIP relaxations by this Agency, a situation which is disasterous.
Consequently, disapproval of the regulation would be in order, recog-
nizing, of course, that in many instances litigation and external
pressures are a likely outcome.  The third option, which in some cases
can alleviate the problems associated with a disapproval action, is to
defer action on the SIP revision.  However, this option is not free of
the problems associated with the disapproval action.  For example, in
some cases external pressures will force the Agency to make an affirma-
tive approval/disapproval decision.  In other cases the Agency faces the
possibility of litigation over the administrative decision to delay action.

     I believe all three options are available for every SIP relaxation
and the Agency must evaluate the application of each on a case-by-case
basis to determine the most prudent approach.  In the case of Westvaco,
it is obvious that because this issue escalated into a polarized adversary
situation before all the facts were straight, it is not prudent to delay
action on the revision any longer.

     I futher believe that in implementating the case-by-case determination
approach, we should maintain a fairly flexible policy in order to preserve
some options (e.g., approval of a relaxation may be granted based on the
good faith effort of the State to adopt and submit by January, 1979, a
SIP which will demonstrate attainment by 1982).  Nevertheless, the general
.policy must be understood by the staff level to ensure consistency in
our decisions and to avoid inadvertent undesirable precedents.

     To the extent possible, my staff will keep aware of pending activities
in this area, and will ensure that the critical decisions are made at
the appropriate level.

cc:  W. Barber

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          MAR 24 1378

Suggested Format and Guidance for the                          PN-iio-78-03-24-004
1979 State Implementation Plan Submission

Richard G. Rhoads, Director
Control Programs Development Division

Director, Air and Hazardous Materials Division, Region I, III-X
Director, Environmmtal Programs Division, Region II


     In our discussions with Regional Office and State Agency personnel,
questions regarding the content and format of the 1979 State Implementa-
tion plan (SiP) submissions have been raised.  Specifically, since many
personnel of State air control agencies have not been involved in producing
a SIP revision of the magnitude required by the Clean Air Act (CAA) amend-
ments of 1977, there exists a need for nationwide guidance on those
requirements that must be included in the SIP revision and where in the
SIP those requirements should be addressed.

     Generally, the State should utilize the existing format of the
current SIP as a basis for developing the 1979 SIP revision.  Therefore,
when adding to the current SIP any information which complies with a new
requirement which deals with an area or topic previously required and
included in the SIP, it is appropriate to submit such material such that
it compliments the discussion of that topic in the current SIP.  For
example, a State which must submit in 1979 a photochemical oxidant
control strategy should format the discussion of such strategy so that
it meshes with the already existing oxidant control  strategy.  If the
current SIP contains no oxidant strategy and an oxidant strategy must be
submitted in 1979, the submission should still be formated so as to
compliment the existing control strategy discussion (i.e., particulate
matter or sulfur dioxide) in the current SIP.  Obviously, the same
approach should be utilized when a regulation must be revised or added.

     Many requirements to be compiled with in the 1979 submissions deal
with topics that have not previously been addressed in the existing SIP.
In these instances, it is appropriate for the 1979 submission to simply
add new sections to the current SIP.  For example, assuming a State's
current SIP contains Chapters 1 through 14, that portion of the 1979
submission which addresses the requirements of Section 126 of the CAA
amendments dealing with State board composition could be labeled as
Chapter 15.

     For your State's use in developing the 1979 SIP submissions, the
enclosure lists those requirements which may be confusing in terms of
locating a proper place for discussion in the format of the existing
SIP and recommends a place for such topics to be discussed.

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     Finally, in order to minimize the volume of material  contained in a
given section of SIP,  it is recommended to employ appendices  to the
SIP whenever possible.  For example,  a report summarizing  a  control
strategy prepared by a contractor should be regerenced in  the text of
the SIP and included in its entirety  as an appendix.   Other  examples of
items to be included as appendices include computer printouts, emission
inventories, and air quality data.

     Hopefully this guidance will  be  usefu to agencies developing 1979
submissions.  If you have any futher  questions,  please feel  free to contact
me or my staff.

Enclosure

cc:  B. 0. Steigerwald
     D. Taylor
     D. Borchers
     T. Mateer

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          RECOMMENDED  LOCATIONS  IN  SIP  FORMAT  FOR  DISCUSSION

         OF VARIOUS REQUIREMENTS OF THE CLEAN  AIR  ACT OF 1977
           TOP I C

Intergovernmental  Consultation
  (Section 121)

Tall Stacks (Section 123)
State Board Composition (Section 128)
Interstate Pollution (Section 126)
Public Notification (Section 127)

Maintenance of Pay (Section 110)
Air Pollution Episode Reporting
  (Section 313)

Permit Fees (Seciion 110(a)(2))
Socio-economic  Impact Analysis
   (Section  172(b}(9))

Prevention  of Significant  Deterioration
   (Part  C)
    LOCATION IN SIP

Existing section on inter-
governmental cooperation.

Existing control strategy
section in addition to regu-
lations,  if appropriate.

Mew section is appropriate
in addition to legal authority
revi sions.

Existing section on inter-
governmental cooperation
in addition to regulation
revisions.

New section is appropriate.

New section in addition  to
regulation  revisions, if
appropriate.

Existing section on air
pollution  emergency episodes.

Existing new  source review
section or  existing compliance
schedule section in addition
to regulation  revisions.

Mew section is appropriate.
 Mew  section  is  appropriate
 in addition  to  regulation
 revisions.

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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

 D'TE: ivIAR 24  187S
BjEci: Plans under Section lll(d) of the Clean Air Act

                                                                    PN-110-78-03-24-003
 FROM: Richard G. Rhoads, Director
      Control Programs Development Division

   TO: Director, Air and Hazardous Materials Division, Regions  I,  III-X
      Director, Environmental Programs Division, Region  II


           A question has been raised concerning Section  lll(d) plans and
      their relationship to the State implementation plan  (SIP).  Specifi-
      cally, it was asked whether a State  is require^ to  develop  and submit
      a plan under Section lll(d) to control a facility  if the facility is
      currently controlled by the SIP to a degree equivalent to that of the
      Section  lll(d) requirements.

           The State must submit under Section lll(d) a  separate  control
      plan for designated facilities as outlined under 40  CFR  60, Subpart B  -
      Adoption & Submittal of State Plans  for Designated  Facilities.
      However, certain plan requirements can be fulfilled  by referencing the
      appropriate  provision found in the State's approved  SIP.  Section lll(d)
      plan requirements which can be fulfilled in this manner  are found in
      40  CFR 60.25(d) and 40 CFR 60.26(b).

           Section 60.25(d) of Title 40 of the Code  of Federal Regulations
      states that  the provisions for monitoring the  status of  compliance
      with applicable emission standards;  provisions for correlation of this
      monitoring data with applicable emission standards;  and  provisions for
      making the data available to the public may be included  in  the lll(d)
      plan by  referencing the appropriate  provision  in the SIP.   In addi-
      tion, when employing this approach,  the State  must make  a demonstra-
      tion that the SIP provision being referenced applies to  the desig-
      nated pollutant(s) for which the Section lll(d) plan is  being submitted
      and that the Section lll(d) plan requirements  of Section 60.25 are, in
      fact, met.

           Section 60.26(b)  of Title 40 of the Code  of Federal Regulations
      states  that  laws  or regulations which  provide  authority  to  carry out
      the Section  lll(d)  plan  need not be  directly submitted with the plan
      if the  legal authority  to do so has  been approved  as part of  the
      existing SIP and  the State  demonstrates  that the  laws  or regulations
      are applicable  to  the  designated pollutant(s)  for  which  the lll(d) plan
       is being submitted.  The  approved SIP  provision must be  specifically
      identified  in  the  Section  lll(d) plan  to satisfy this  requirement.
  F.,,,,, 1370-6 'Rev. 3 76,

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                                  - 2 -


     The requirements listed under Section 60.25(5 & c)  and  Section  60.26(a)
are the only Section lll(d)  plan requirements which may  be satisfied by
referencing the appropriate  approved SIP provision. However, we believe
any emission standards which have been included in the officially approved
SIP can also be included in  the Section lll(d)  plan by reference, pro-
vided.that the State makes demonstrations similar to those identified in
Section 60.25 and Section 60.26.- All other requirements must be specifi-
cally spelled out in the Section lll(d) plan.

     Finally, it should be noted that hearing requirements can be waived,
pursuant to Section 60.23(c)(3), if certain criteria are met.   All  the
requirements for Section lll(d) plans, including those which can be
fulfilled by referencing the appropriate portion of the  Section 110  SIP,
are summarized in a checklist found in No. 1.2-072 of the OAQPS Guideline
Series, Requirements and Procedures for Implementing Section lll(d).   This
was sent to you in March, 1977, and should prove helpful to  States when
they develop their lll(d) plans.  I hope these comments  adequately respond
to your needs; however, if I can be of any further assistance, please
feel free to call.

cc:  W. Spratlin
     D. Tyler
     J. Sableski
     J. Farmer
     L. Wegman

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     UNITED STATES ENVIRC i.V.ENTAL PROTECTION AGENCY
                    WASHINGTON. D.C.  20460
                                            PN-110-78-02-24-002

                                                 OFFICE OF
                                           AIR AND WASTE MANAGEME.V
                    FEB 24 1978
SUBJECT:   Criteria for Approval  of  1379  SIP  Revisions

FROM:      The Administrator  (A-100)

TO:        Regional Administrators,  I-X
      The attachment  to  this  memo  summarises  the elements
which a 1979 State  Implementation  Plan  (SIP)  revision
for a non-attainment  area  must  contain  in order to be
approved by EPA as  meeting  the  requirements  of Part D of
the Clean Air Act.

      In summary,  the Act  requires the  demonstration of
attainment of the  air quality standards (primary and
secondary) as expeditiously as  practicable,  but in the
case of national primary standards not  later than
December 31, 1932.   However,  for carbon monoxide (CO) and
oxidants (Ox),  if  the State can demonstrate  attainment
is not possible by  1982  despite the implementation of all
reasonable stationary source  and transpc:  ation control
measures, the Act  provides  for  up  to a  five-year extension.
In those cases  the  plan  revisions  must  de^onstra:o
attainment as expeditiously as  practicable but no lat<-:-
than December 31,  1987.  The  extension  is not automatic;
a demonstration of  need  must  be made and the Stati. must
fulfill the other  statutory requirements.

     It is the  intent of the Agency to  establish reasonable
and achievable  goals for SIP submissions -.;nd to t';ke a  firm
posture on the  imposition  of sanctions  whore the reaso:iible
goals are not achieved.   Accordingly,  while  the policy
requires a commitment to many specific  strategic,  in the
19~9 submissions  (e.g.,  RACT on stationary sourc-.-s,  in^pec-
 r.ion/maintenance  programs  where attainment for c:. rbon
monoxide or  oxidanls extends beyond 1982, other reasonable
transportation  control measures, etc.)  the T.err.o ^;so
 requires  (for  carbon monoxide and oxidants',  .1 coir,,,atmv.-;it
 to  a-continuing process.  This process must oe one which
 extensively  involves the ;-i.blic as well ?.s State and local
 elected  officials  and which  ambitiously pursues a wide
 ran^e  of  alternatives.

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     Since reliance on stationary controls and Federal
new car standards alone will not enable most areas with
oxidant and carbon monoxide problems to attain these
standards by 1982, each Regional Office will need to put
particular emphasis on additional measures to reduce
transportation system emissions.  The process committed
tn in the 1979 plan submission must lead to the
expeditious selection and implementation of comprehensive
transportation control measures.  In judging the adequacy
of the 1979 plan submission for the transportation
sector, each Regional Administrator should ensure that
ambitious alternatives (as described in the draft
"Transportation Planning Guidelines" which have been
circulated) will be analyzed.

     The Department  of Transportation (DOT), Housing and
Urban Development (HUD) and EPA are seeking to integrate
the transportation/air quality planning and implementation
required by the Clean Air Act into existing planning and
programming procedures.  The air planning activities should
be included in the Unified Work Program required by DOT
and the adopted transportation measures should be included
in the Transportation Improvement Program required by DOT.
In complying with the Clean Air Act requirements, the Regions
should also keep in mind the requirements of the HUD-EPA
Agreement which provides for coordination of air quality
planning and planning assisted under the HUD Comprehensive
Planning Assistance (701) Program.  Integration of air
and transportation planning with comprehensive planning
which incorporates growth management concerns should improve
the effectiveness of air quality planning and could reduce
the need for enforcement measures in the future.

      States will be provided some discretion regarding
the amount of emissions growth to be accommodated within
the SIP.  EPA generally will not question the growth rates
desired by the State so long as reasonable further progress
is demonstrated and there is a demonstration of attainment
by the statutory deadline (1982 or 1987).  However, the
growth rate identified in the SIP must be consistent with
growth rates used  (or implied by) other planning programs
in the area (e.g., FWPCA §208, '201,  HUD §701, FHWA
§134).

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     You should note that there are other SIP revisions
which are not discussed in the attachment but which are
required by the 1977 Amendments.  These include:

     1.  Section 128 (relating to State boards)

     2.  Section 126 (relating to interstate pollution)

     3.  Section 127 (relating to public notification)

     4.  Part C (relating to prevention of significant
                  deterioration)

     5.  Section 110(a)(2)(K) (relating to permit fees)

     6.  Section 123 (relating to stack heights for
           existing source in other than non-attainment
           areas)

     7.  Section 121 (relating to consultation)

     Although incorporation of these provisions is required
by the law, failure to achieve final approval by
July 1,  1979 does not  trigger the new source prohibition
of Section 110(a)(2) (I) .

     It  is important to emphasize to the States that all
current  SI? requirements  remain in effect despite the
development of the  1979 revisions.  Any suspension or
discontinuance of an existing SIP provision must be
submitted  for EPA approval.  This should be done as part
of the revision submitted in January 1979.  Exceptions
to this  procedure may  be  found in certain new provisions
of §110  relating to reduction of on-street parking, bridge
tolls, and other measures.
     The development o
minimum requirements o
1977 is a complex  and
the commitment of  sign
air programs  staff of
the States  develop and
approvable  plan.   We a
the necessary  guidance
assist your  office and
difficult but  importan
f the January 1979 S
f the Clean Air Act
demanding program.
ificant resources on
the Regional Office
 submit a comorehens
re working with your
 and follow-up progr
 the State to carry
t oart of the overal
IPs to meet the
Amendments of
It will require
 the part of the
to ensure that
ive and
 staff to develop
a m s w h i c h will
out this very
1 a i r p rog ram.

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Attachment
cc:   Air f, Hazardous  Division Directors
      Air Srar:«:h Chiefs

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     Criteria for Approval  of 1979 Sta te Iinplernentatiori^ Plan Revisions
                       for Non-Ati ••'.inment Areas

Purpose

     The purpose of this document is to define the criteria by which
State Implementation Plan (SIP) revisions for non-attainment areas
required by the Clean Air Act Amendments of 1977 (the Act) will be
approved.   These revisions are to be submitted to EPA by January 1, 1979.

Categories of SIP Revisions

     SIP revisions submitted by January 1, 1979 can be divided into
two categories:

     1.  Those which provide for attainment of tl e Primary Ambient
Air Quality Standards (primary standards) for ali  criteria pollutants-
on or before December 31, 1982.

     2.  Those which provide for attainment of the primary standards
for sulfur dioxide, nitrogen oxides, and particulate matter on or before
December 31, 1982 but show that despite the implementation of all
reasonable transportation and  stationary source emission control measures
attainment of  the primary standards for carbon monoxide and/or oxidants
cannot  be achieved  until after this date.  In  these cases, the revisions
*ust demonstrate  attainment  as expeditiously as practicable but no  later
than December  31,  1987.

     In order  for an adequate  SIP revision to  fall into the second
category,  the  Stats has  an affirmative  responsibility  to demonstrate
to  the  satisfaction of  EPA  that  attainment of  the  primary  carbon
monoxide  and/or oxidants standards  is  not  possible in  an area  prior
to  December  31,  1982.

      It should be noted  that SIP revisions of  either  category  should
also provide for attainment  of Secondary  Ambient  Air  Quality  Standards
 (secondary standards)  as expeditiously as  practicable  although  there  is
no  specific  deadline contained in  the  Act.

General Requirements of AH  1979 SIP  Revisions

      Each 1979 SI? revision  must contain  the  following:

      1.  A definition of the geographic areas  for which control
 strategies have been or will be  developed.   Consideration  should  be
 given  to the practical  benefits  of defining  areas which correspond
 whenever possible to those substate districts  established  pursuant
 to Fart IV,  Attachment A of OMB  Circular No.  A-95.

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     2.   An accurate, comprehensive, and cunent (1977 calendar year)
inventory of existing emissions.

     3.   A determination of the level of control needed to demonstrate
attainment by 1982 (including growth).  This demonr>era 1.ion should be
made by the application or medal ing techniques as set lorth in EPA's
Guideline on Air Quality Models.  For oxidanco, any legitimate modeling
technique (e.g., chose referenced in ''Use, Limitation an-J Technical
Basis of Procedures for Quantifying Relationships Between Photochemical
Oxidants and Precursors.'"  EPA 450/2-77-G21d. November 1977) can be
used.  Consideration of background and transport for oxidants should
generally be in accordance with the procedures 'documented in "Procedures
for Quantifying Relationships Between Photochemical Oxidants and
Precursors,"  In developing photochemical oxidant control strategies
for a particular area, states may assume at a minimum that the standard
will be attained in adjacent stales.

     If a state can demonstrate that the level of coni.ro! necessary for
attainment of the primary standards for r.arbcn .r.onoxide and/or oxidant
is not possible by 1982 despite the application of all reasonable
measures, a-n extension past 1SS2 (but not beyond IG'bTJ" is authorized,

     '\.   Adoption in legally enforceable form^ of all measures necessary
to proviao  for attainment by the prescribed date or, where adoption of
all  such measures by  1979 is noc possible,  (e.g.; certain transportation
control measures, and certain measures to control the oxides of nitrogen
and  total suspended participate) a  schedule for expeditious development,
adoption, submittal,  and implementation of  these measures.  The
situations  in which adoption of measures may  be scheduled after 1979
are  discussed in the  pollutant  specific sections of this document.  Each
schedule must provide for implementation of all reasonably available
control measures as expeditiously as practicable.  During the period
prior  to attainment,  these measures must be implemented rapidly enough
to  provide  at a minimum  for reasonable further progress  (see discussion
      'Written evidence  that  the State,  the general purpose  local
 government  or governments, or  a regional agency designated  by general
 purpose  local governments  for  such  purpose,  have  adopted by statute,
 regulation,  ordinance or other legally  enforceable document, the
 necessary  requirements  and schedules  and timetables  for compliance,
 and  are  committed  to  implement anc  enforce the appropriate  elements
 of the  plan.  The  relevant organizations shall provide evidence  that
 the  legally enforceable attainment  measures  and  the  "criteria,
 standards  and implementing procedures necessary  for  effectively  guiding
 and  controlling  major decisions as  to where  growth  snail and shall  not
 take place,"  prepared by  State and  local governments in compliance  with
 Section  701  of  the Housing Act of 1954, as  amended,  are fully coordinated
 in the  attainment  and maintenance of  the NAAQS.

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below).  Each schedule will be considered part of the applicable
implementation plan and thus will  represent a commitment on the part
of the State to meet the key milestones set forth in the submitted
schedule.

     5.   Emission reduction estimates for each adopted or scheduled
control measure or for related groups of control measures where
estimates for individual measures are impractical.  It is recognized
that reduction estimates may change as measures are more fully
analyzed and implemented.  As such estimates change, appropriate
responses will be required to insure that the plan remains adequate
to provide for attainment and for reasonable further progress.

     6.   Provision for- reasonable further progress toward attainment
of the primary and secondary standards in the period prior to the
prescribed date for attainment.  Reasonable further progress  is defined
as annual incremental  reductions in total emissions (emissions from
new as well as existing sources) to provide for attainment by the
prescribed date.  The  plan shall provide for substantial reductions in
the early years with regular reductions thereafter.

     Reasonable further progress will be determined for each  area
by dividing the total  emission reductions required to attain  the appli-
cable  standard by  the  number of years betv/een 1979 and the date pro-
jected for attainment  (not later than 1987).  This is represented
graphically by a straight  line drawn from the emissions inventory sub-
mitted in 1979 to  the  allowable emissions on the  attainment date.
However, EPA  recognizes that some measures cannot result in immediate
emission reduction.  Therefore, if a State can  show that some lag in
emissions reduction  is necessary, a SIP will be acceptable even though
reductions  sufficient  to produce decreases at the "straight-line --ate"
are not  achieved for a year or  two after  1979.  This lag in achieving
the "straight-1ine  rate" for emissions reduction  is to be accepted
only  to  accommodate  the time  required  for compliance with the first set
of  regulations  adopted on  or  before January  1,  1979, if immediate
compliance  is  not  possible.   It does not  authorize delays in  adoption
of  control  requirements.

      The requirement to demonstrate  reasonable  further progress will,
 in  most  areas  designated  non-attainment  for  oxidant or carbon monoxide,
necessitate a  continuous,  phased  implementation of  transportation
control  measures.   In  areas where attainment of all primary ambient
 standards  by 1982  is not possible EPA  will not  accept mere reliance on
 the Federal  Motor  Vehicle  Control Program by itself as a demonstration
of  reasonable further  progress.

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     In determining "reasonable further progress", those emission
reductions obtained from compliance between August 7, 1977, and
December 31, 1979, with (1) SIP revisions that have been submitted
after August 7, 1977, and (2) regulations which were approved by the
Agency prior to the enactment of the 1977 Clean Air Amendments, can
be treated as having been achieved during 1979.  There should be an
assurance, however, that these are real emission reductions and riot
just "paper" ones.

     7.   An identification and quantification of an emissions growth
increment which will be allowed to result from the construction and
operation of major new or modified stationary sources within the -area
for which the plan has been developed.  Alternatively, an emissions
offset regulation can be adopted to provide for major new source growth.

     The growth rates established by states for mobile sources and new
minor  stationary sources should also be specified, and in combination
with the growth associated with major new or modified stationary sources
will be accepted so long as they do not jeopardize the reasonable further
progress test and attainment by the prescribed date. However, the growth
rate identified in the SIP must be consistent with the growth rates used
(or implied by) the other planning programs in the area  (e.g., FVJPCA
Section 208 [201], HUO Section 701, FHWA Section 134). A system for
monitoring  the emission growth rates from major and minor new stationary
sources and from transportation sources and assuring that they do not
exceed the  specified amounts must also be provided for in the revision.

     8.   Provision for annual reporting on the progress toward meeting
the schedules  summarized in  (4) above as well  as growth  of mobile
sources, minor new  stationary  sources, major new or modified stationary
sources, and reduction in emissions from existing  sources to provide for
reasonable  further  progress as in  (6) above.   This should include an
updated emission  inventory.

     9.   A requirement  that permits  be  issued for the construction and
operation of new  or modified major  sources  in  accordance with Section
173 and  110(a)(2)(0).

     10.   An identification  of and  commitment  to  the financial and
manpower  resources  necessary  to carry  out  the  plan.  The cotr«nitment
should be made at  the  highest  executive  level  having responsiblity for
SIP or that portion  of  it  and  having  authority to  hire new employees.
This  commitment  should  include written evidence  that  the State,  the
general  purpose  local  government  or governments,  and all state,  local  or
regional  agencies  have  included appropriate provision'in their respective
      ts  and intend to  continue to do  so  in  future  years  for  which  budgets
      not yet been finalized,  to  the extent  necessary.

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                                   .•5


    11.    Evidence of public, local  government,  and state legislative
involvement and consultation.  It shall also include an identification
and brief analysis of the air quality, health,  welfare, economic,
energy,  and social effects of the plan revisions and of the alternatives
considered by the State, and a summary of the pub.lic comment on such
analysis.

    12.    Evidence that the SIP was  adopted by the state after reasonable
notice and public hearing.

Additional Requirements For Carbon Monoxide and Oxidant SIP Revisions
which Provide for Attainment of the Primary Standards Later than 1982

     For  those SIP revisions which demonstrate that attainment of the
primary standards for carbon monoxide and/or oxidants is not possible
in an area prior  to December 31, 1982 despite the implementation of all
reasonable emission control measures  the following items must be
included  in the January 1, 1979 submission in addition to all the
general requirements listed above:

     1.   A program which  requires prior to issuance of any permit for
construction or modification of a major emitting facility an analysis
of alternative sites, sizes, production processes, and environmental
control  techniques for  such  proposed  source which demonstrates that
benefits  of the proposed  source significantly outweigh the environmental
and  social cost imposed as a result of its location, construction, or
modification.

     2.   An inspection/maintenance program or a schedule endorsed by
and  committed  to  by  the Governor for  the development, adoption, and
implementation of such  a  program as expeditiously as practicable.
Where  the necessary  legal  authority does not currently exist,  it must
be obtained by June  30,  1979.   Limited exceptions to the requirement
to obtain legal authority by June 30,  1979 may  be possible if  the state
can  demonstrate  that (a)  there  was  insufficient opportunity  to conduct
necessary technical  analyses and/or  (b)  the  legislature  has  had no
opportunity  to consider any  necessary enabling  legislation for inspection/
maintenance  between  enactment  of  the  1977  Amendements  to the Act and
June 30,  1979.   In  addition,  where  a  legislature has adequate  opportunity
 toxadopt enabling legislation  before  January  1, 1979,  the Regional
Administrator  should require submission  of such legal  authority by
 January 1,  1979.   In no case can  the  schedule  submitted  provide for
 obtaining legal  authority later than  July  1,  1980.

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     Actual implementation of the inspection/maintenance program must
proceed as expeditiously as practicable.   EPA considers two and one half
years from the time of legislative adoption to be.the maximum time
required to implement a centralized inspection/maintenance program and
one and one half years to implement a decentralized proqr?m.  In no case
may Implementation of the program, i.e.,  mandatory inspection and
mandatory repair of failed vehicles be delayed beyond 1982 in the case
of a centralized program (either state lanes or contractor lanes) or
beyond 1981 in the case of a decentralized (private garage) system.

     3.   A commitment by the responsible government official or
officials to establish, expand, or improve public transportation
measures to meet basic transportation needs as expeditiously as is
practicable.

     4.   A commitment to use insofar as is necessary Federal grants,
state or local funds, or any combination of such grants and funds as
may be consistent with the terms of the legislation providing such
grants and funds, for the purpose of establishing, expanding or
improving  public  transportation measures to meet basic transportation
needs.

     Note  that HUD has prepared guidelines for local development codes
and ordinances to provide special requirements for areas which for
significant periods of time may exceed the primary standards.  These
guidelines specify criteria for new construction operation of buildings
which minimize pollutant concentrations to ensure a healthy  indoor end
outdoor environment.  States are encouraged to adopt such measures as
part of the SIP.

Pollutant  Specific Requirements

                            Sulfur  Dioxide

     Specifically, with  regard  to  item  (4) of  the General  Requirements,
 the  January  1S79 plan  revisions  dealing with  sulfur dioxide  must contain
 al1  the necessary emission  1 imitations and  legally enforceable  procedures
 to provide for  attainment  by no  later  than December  31,  1S82  (i.e.,
 schedules  for the development,  adoption,  and  submittal of  regulations
will  not  be  acceptable).

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                      Nitrogen Oxides

     For NOX, the January 1979 plan must contain all the necessary
emission limitations and the legally enforceable procedures, or as a
minimum, the appropriate schedules to adopt and submit the emission
limitations and legally enforceable procedures which provide for
implementation so that standards will be attained by no later than
December 31, 1982.  EPA is currently evaluating the need for a short
term NO? standard and expects to promulgate such a standard during
1978.   If such a standard for air quality is promulgated, a new and
separate SI? revision will be required for this pollutant.

                    Particulate Matter

     The January  1979 plan revisions dealing with particulate matter
must contain all  the necessary emission "limitations and legally enforce-
able procedures-for traditional sources.  These emission limitations and
enforceable procedures must provide for the control of fugitive
emissions, where  necessary, as well as stack emissions from these
stationary sources.  Where control of non-traditional sources (e.g.,
urban fugitive dust, resuspension, construction, etc.) is necessary for
attainment, the plan shall contain an assessment of the impact of these
sources and a commitment on the part of the state to adopt appropriate
control measures.   This commitment shall  take  the form of a schedule to
develop, submit,  and implement  the legally enforceable procedures, and
programs for controlling non-traditional  particulate matter sources.
These schedules must include  milestones for evaluating progress and
provide for  attainment of  the  primary standards by  no later than
December 31, "1982,  and attainment  of  the  secondary  standards as expe-
ditiously  as practicable.   States  should  initiate the necessary studies
and  demonstration projects  for  controlling  the non-traditional sources
as  soon as  possible.

                 Carbon Monoxide and  Oxidant

An  adequate  SIP  for oxidant  is  one which  provides for sufficient
control of volatile organic  compounds  (VOC) from  stationary and mobile
 sources to provide for  attainment  of the  oxidant  standard.  Accordingly,
 the  1979  plan  revision must  set  forth  the necessary emission limitations
 and  schedules  to  obtain  sufficient control  of  VOC emissions in all non-
 attainment areas.  They  must oe directed  toward reducing  the peak
 concentrations  within  the major urbanized areas to  demonstrate attainment
 as  expeditious^ as practicable but  in  no case later  than  December 31,  19
 This should also solve  the rural  oxidant  problem  by minimizing VOC
 emissions  and  more importantly oxidants  that  may  oe transported from
 urba>i  to  rural  areas.   The 1979 submission must represent  a comprehensive
 strategy  or plan for each non-attainment  area; plan submissions that
 address only selected  portions of non-attainment  are  not adequate.

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                                  8

     For the purpose of oxidant plan development, major urban areas are
those with an urbanized population of 200,000 or greater (U.S.  Bureau
of Census, 1970).   A certain degree of flexibility will be allowed in
defining the specific boundaries of the urban area.  However, the areas
must be large enough to cover the entire urbanized? area and adjacent
fringe areas of development.  For non-attainment urban areas, the highest
pollutant concentration for the entire area must be used in determining
the necessary level of control.  Additionally, uniform modeling .tech-
niques must be used throughout the non-attainment urban area.  These
requirements apply to interstate as well as intrastate areas.

     Adequate plans must provide for the adoption of reasonably
available control  measures for stationary and mobile sources.

     For stationary sources, the 1979 oxidant plan submissions  for
major urban areas  must include, as a minimum, legally enforceable
regulations to reflect the application of reasonably available control
technology (RACT)3 to those stationary sources for which EPA has
published a Control Techniques Guideline (CTG) by January 1978, and
provide for the adoption and submittal of additional legally enforce-
able RACT regulations on an annual basis beginning in January 1980, for
those CTGs that have been published by January of the preceeding year.

     For rural non-attainment areas, the Ox plan must provide the
necessary legally  enforceable procedures for  the control of  large HC
sources (more than 100 ton/year potential emissions) for which EPA
has  issued a CTG by January 1978, and to adopt and submit additional
legally enforceable procedures on an annual basis beginning  in
January 1980, after publication of subsequent CTGs as set forth above.

     For mobile sources in  urbanized area  (population 200,000) SIPs
must provide for expeditious implementation of reasonably available
control measures.   Each of  the measures for which EPA will publish
information documents during 1978 is a  reasonably available  control
measure.  These measures are listed on  the following page:
      2As defined  by  the U.S. Bureau of Census, urbanized area generally
 include core  cities  plus  any closely  settled suburban areas.

      3while  it  is recognized that  RACT will be determined on a case-by-
 casc  basis,  the  criteria  for SIP approval  rely heavily upon the
 information  contained  in  the CTG.  Deviations from  the use of the CTG
 must  be adequately documented.

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    1.   To be published by February 1970

         a.   inspection/maintenance
         b.   vapor recovery
         c.   improved public transit
         d.   exclusive bus and carpool  lanes
         e.   area wide carpool programs

    2.   To be published by August 1978

         a.   private car restrictions
         b.   long range transit improvements
         c.   on  street parking controls
         d.   park and ride and fringe parking lots
         e.   pedestrian malls
         f.   employer programs to encourage car and van pooling,
              mass transit, bicycling and walking
         g.   bicycle lanes and storage  facilities
         h.   staggered work  hours
         i.   road pricing  to discourage single occupancy  auto  trips
         j.   controls on extended vehicle  idling
         k.   traffic flow  improvements
         1.   alternative fuels or engines  and other fleet
              vehicle controls
         m.   other  than  light duty  vehicle retrofit
         n.   extreme cold  start  emission reduction  programs

     The above measures  (either  individually or combined  into  packages
of measures)  should  be analyzed  promptly  and thoroughly and scheduled
for expeditious  implementation.   EPA  recognizes that  not  all analyses
of every measure can  be  completed  by  January 1979  and,  where necessary,
schedules may provide for  the  completion  of analyses  after  January  1,
1979 as discussed below.   (If  analysis  after January  1979 demonstrates
that certain measures would  be unnecessary or ineffective,  a decision
not to implement such measures may be justifiable.   However, decisions
not to implement measures  will have to  be carefully reviewed to  avoid
broad rejections of measures based on conclusbry  assertions of
infeasibility.)

     As described previously,  annual  incremental  reductions in total
emissions must occur in  order to achieve reasonable further progress
during the period prior to attainment of the standards.  Therefore,
not all transportation measure implementation activities should  wait
until  the comprehensive analyses of control measures are completed.
Demonstration studies are important and  should accompany or precede

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                                10

full scale implementation of the comprehensive strategy.   It is EPA's
policy that each area will  be required to schedule a representative
selection of reasonable transportation measures (as listed above) for
implementation at least on  a pilot or demonstration basis prior to the
end of 1930.

     Every effort must be made to integrate the air quality related
transportation plan and implementation required by the Clean Air Act
into planning and programming procedures administered by DOT.   EPA will
pubiish "Transportation Planning Guidelines" which will,  if followed
carefully, insure that an adequate transportation planning process
exists.

     EPA recognizes that the planning and implementation of very
extensive air quality related transportation measures can be a complicated
and lengthy process, and in areas with severe carbon monoxide  or oxidant
problems, completion of some of the adopted measures may extend beyond
1982.  Implementation of even these very extensive transportation
measures, however, must be initiated before December 31,  1982.

     In the case of plan revisions that make the requisite showing to
justify an extension of the date for attainment, the portion of the 1979
plan submittal for transportation measures must:

     1.   Contain procedures and criteria adopted into the SIP by which
it  can be determined whether the outputs of the DOT Transportation
planning  process conform to the SIP.

     2.   Provide for  the expeditious  implementation of currently
planned reasonable transportation control measures.  This includes
reasonable  but uniimplemented transportation measures in existing SIPs
and transportation controls with demonstrable air quality benefits
developed as  part of  the transportation  process funded by DOT.

     3.   Present a  program for evaluating a range of alternative
packages  of  transportation options that  includes, as a minimum,  those
measures  listed  above  for which EPA will develop  information documents.
The analyses  must  identify a package  of  transportation control measures
 to attain the emission reduction  target  ascribed  to  it in the  SIP.

      4.    Provide  for  the  evaluation  of  long  range  (post-1982) trans-
 portation and growth policies.  Alternative  growth  policies and/or
 development patterns must  be  examined  tc determine  the potential  for
modifying total  travel  demand.  One  of the  growth alternatives evaluated
 should be that prepared in  response  to Section  701  of the Housing  Act of
 1954,  as  amenaed.

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                              11

     5.    Include a schedule for analysis and adoption of transportation
control  measures as expeditiously as practicable.  The comprehensive
analysis of alternatives (item 2 above) must be completed by July 1980
unless the designated planning agency can demonstrate that analysis
of individual components (e.g., long range transit improvements) may
require additional time.  Adopted measures must be implemented as
expeditiously as practicable and on a continuous schedule that demonst>-
reasonable further progress from 1979 to the attainment date.  Deter-
minations of the reasonableness of a schedule will be based en the
nature of the existing or planned transportation system and the com-
plexity of implementation of an individual measure.

     Additional Carbon Monoxide and Oxidant Monitoring Requirements

     It is EPA's policy to require that all SIPs which provide for
attainment of the oxidant standard after December  31, 1982, must con-
tain commitments  to  implement a complete oxidant monitoring program in
major urbanized areas in order  to adequately characterize the nature
and extent of the problem and to measure the effectiveness of the
control strategy  for oxidants.  The 1979 plan submittal must provide
for a schedule  to conduct such  CO monitoring as necessary to correct
any deficiencies  as  identified  by the Regional Office.

     SIPs  for Unclassified Areas Redesignated Non-Attainment

     With  respect  to unclassified areas which are  later found to be
non-attainment  areas the state  will be required to submit a plan
within  nine  months of the non-attainment determination.  During plan
development,  the  state  will be  required  to  implement  the offset policy
for  that  area.  However, it should be noted  that  in many cases, because
of previous  plan  revisions or adoption of  previous control regulations,
the  baseline for  offsets will  be more  restrictive  and thus offsets may
be more difficult to obtain.   For oxidants,  state-wide regulatory
development  (for  at  least all  sources  greater than 100 tons/year),
however,  would  permit  the state to utilize  the regulations developed
 for  the entire  state as the applicable plan for  the newly designated
 non-attainment  area.   This  wcv.tid  normally  constitute  an approvable SIP
 per  the above criteria  and  could  essentially  accommodate  the proposed
 growth  within the previously  submitted state  plan  and not require
offsets once the  area  is designated  as non-attainment.

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       UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

 .   '          •           WASHINGTON. D.C.' 20460

                                                         PN-110-77-08-16-001

                            1 R  flllP 1Q77                     OFFICE OF
                            X 0  MUU IO/ /             A1R AND vvASTE MANAGEMENT
SUBJECT:  Guidance on SIP Development and New Source
          Review in Areas Impacted by Fugitive Dust
FROM:     Edward F. Uierk, _ A^tkl$ Assistant Administrator
            for £ir (t waste Management

MEMO TO:  Regional Administrators

     Many of the July 1, 1976, calls for particulate matter SIP revisions
identified fugitive dust as a significant contributor to the particulate
matter problem within the urbanized areas throughout the nation.  Addition-
ally, recent studies have indicated that fugitive dust control should be
considered as part of the overall control program for particulate matter
if many urban areas are to attain and maintain the NAAQS.

     The attached policy paper has undergone considerable review from
boch within and outside the Agency.  Briefly, the policy recognizes the
greater environmental impact due to violations of the National Amoient
Air Quality Standards (NAAQS) due to fugitive dust in urban versus rural
areas.  Consequently, for control strategy development, urban areas should
receive the highest priority for the development of a comprehensive and
reasonable program to control fugitive dust.  Rural area control programs
at this time should center on the control of large existing man-made
fugitive dust sources (i.e., tailing piles, mining operations, etc.) which
in themselves are presently causing violations of the NAAQS or are sources
of a known toxic or hazardous material (e.g., asbestos).  For the purposes
of implementing the fugitive dust policy, rural areas are primarily
determined by the following criteria:  (1)  the lack of major industrial
development or absence of significant industrial particulate emissions,
and  (2) low urbanized population.

     In addition,  .ew sources that wish  to construct in rural fugitive
dust areas should be allowed to do so without the need of an emission
offset, as long as they comply with the  applicable emission regulation,
and  the impact of their emissions plus the emissions from other stationary
sources in tne vicinity of the proposed  location, along with normal back-
ground, is not projected to cause violations of the NAAQS.  Source: wishing
to locate  in urban non-attainment areas  must obtain offsets and may do so
by controlling fugitive dust sources.

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     The control of fugitive dust sources reflecting the application of
reasonable available controls should be included with the SIP revisions
now under development.  It should be noted that since fugitive dust
control programs will be relatively new to many State and local  agencies,
time will be required for coordination among various groups in order to
implement an effective program in urban areas.   Demonstration projects
and special implementation studies may be needed, and efforts to support
such programs are encouraged.

Enclosure

cc:  Director, Air and Hazardous Materials Division, Region I, III-X
     Director, Environmental Programs Division, Region II
     Assistant Adminstrator for Enforcement
     Office of General Counsel
     Assistant Administrator for Planning and Management

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           FUGITIVE  DUST  POLICY:



        SIP's  AND NEW SOURCE  REVIEW
                   August 1,  1977
   Control  Programs  Development Division



Office of Air Quality Planning  and  Standards



     Office of Air and Waste Management

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Purpose
     The purpose of this paper is to identify and set forth the Agency's
position concerning fugitive dust relative to the control  strategy and
new source review requirements of the State Implementation Plans (SIPs).
Policy Statement
     Briefly, the policy recognizes the greater environmental  impact due
to violations of the National Ambient Air Quality Standards (NAAQS) due to
fugitive dust in urban versus rural areas.  Consequently,  for control
strategy development, urban areas should receive the highest priority for
the development of a comprehensive and reasonable program to control fugi-
tive dust.  Rural area control programs at this time should center on the
control of large existing man-made fugitive dust sources (i.e., tailing piles,
mining operations, etc.) which in themselves are presently causing violations
of the NAAQS or are sources of a known toxic or hazardous material (e.g.,
asbestos).  For the purposes of  implementing the fugitive dust policy, rural
areas  are primarily determined by the following criteria: (1) the lack of
major  industrial development or  absence of significant industrial particu-
Vate emissions and  (2)  low urbanized population.
     In addition,  new sources that wish to construct in rural fugitive dust
areas  should be allowed to do so without  the need of an emission offset, as
long as they comply with the applicable emission regulation, and the impact
of their  emissions  plus the  emissions from other stationary sources  in  the
vicinity  of  the proposed location, along  with normal background, is  not
projected to cause violations of the NAAQS.  Sources wishing to locate  in
urban  non-attainment  areas must  obtain offsets  and may do so by controlling
fugitive  dust  sources.
Summary
     The  particulate  matter  found  in rural areas, without  the  impact of
man-made  sources,  is  typically  native  soil  that for  various  reasons

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becomes airborne.  It is generally not exposed to potential contaminatie-
by industrial pollutants which commonly occur in urban atmospheres.
     In urban areas,  the native soil  is contaminated to a measurable
degree by various components highly suspect in their health effects.
Urban fugitive dust characteristically contains  a combination of industrial
pollutants from a variety of sources  making it potentially more harmful.
Additionally, the problem is more pronounced within urbanized areas and
thus more conducive to the development of an imp!erne itable control  program.
Therefore, the major emphasis for fugitive dust control should center
upon urban areas.  Urbanized areas shall be required to adopt compre-
hensive but reasonable fugitive dust control plans.
     Additionally, certain non-urban sources may have a significant air
quality  impact or may contain known toxic materials (such as some mining
and  large tailings operations) and should also be controlled through the
application of reasonably available control technology (RACT).
     Since fugitive dust control programs will be relatively new
to many  State and local agencies, time will be required for coordination
among  various State and local agencies in order  to  develop and implement
an effective program.  Demonstration projects and special studies may
be needed as part of  the control strategy development  process and adequate
time should be provided to accomplish  these programs.  Fugitive dust
 control  plans  reflecting  the application  of RACT should  be  submitted as
 part of the  SIP  revisions  now under  development  and provide  for  imple-
 mentation of the program as expeditiously as  practicable  considering
 that a demonstration project would or  could be  the  first  phase  of  the
 implementation program which would require several  years  to fully  and
 completely implement.
                                2

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     The emission offset policy states  that if a new source  wishes
to locate within an urbanized non-attainment area,  the  source  must
insure that its emissions will  be controlled to the greatest degree
possible, that more than equivalent offsetting emission reductions  will
be obtained from existing sources, and that there will  be progress
toward attainment of the NAAQS.  Since fugitive dust is a significant
problem which must be controlled within the urban area, the  source  could
be permitted to minimize either the existing fugitive dust or  stack particu-
late emissions in order  to satisfy the offset requirements.   It should be
pointed out that if a source wishes to offset its proposed particulate
stack emissions with fugitive  dust emissions, it must provide  a demonstra-
tion  that  this offset utilizing fugitive dust control represents an
equally effective offset as compared to an offset utilizing stack emission
control only.  However,  if a new source wishes  to locate in a  rural area
with  violations of the NAAQS attributed to non-industrial sources,  the
source will be allowed  to construct without  the need of offsets, as long
as  it complies with the  applicable emission  regulations (NSPS, state
regulation, etc.) and the impact of its emissions,  plus the emissions
from  other stationary sources  in the vicinity of the proposed location,
along with normal background,  is not projected  to cause violations
of  the NAAQS for particulate matter.  If violations are predicted,
the source will be required to provide for further control and/or
offsets as necessary, as outlined in the current Emissions Offset
Policy  (December 21, 1976).

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Prioritites for Control  of Fugitive Dust

     Briefly, efforts should begin to control  fugitive dust from all

major sources in urban areas, with little or no attention to natural

or non-industrial (i.e., unpaved roads, agricultural activities)

related fugitive dust sources in rural areas.   Exclusion of rural areas

from control efforts at this time is based upon the belief that the

toxic fraction of fugitive dust 1n areas without the impact of man-made

pollutants is likely to be small.  Fugitive dust rources in such areas

include dust from deserts, arid lands, sparsely vegetated land, exposed

but vacant lots  in rural communities, dust from sparsely traveled,

unpaved roads and unpaved residential driveways, and other such conditions

endemic to rural America.  It is generally not exposed to potential

contamination by industrial fallout or subject to adsorption of gaseous

pollutants, which commonly occur in urban atmospheres.  This analysis

is supported'in  a qualitative manner by an EPA statement to the U. S.-

Senate Committee on Public Works:

           "In rural  areas  relatively  free  from point emission  sources,
      sucn  as  in  areas of  the  Southwest,  the total  suspended particulate
      matter  may  be  composed  largely  of  non-toxic substances, such  as
      silicates;  although  certain organic material,  such as fungi  and
      aeroal lergens,  may be present  in specific areas.  No epidemiological
      studies  have been  conducted  in  sparsely  populated areas where the
      TSP  concentration  may be high  due  to  'fugitive dust.'  In  general,
      the  population  is  too small  to  provide a  statistically significant
      sample.  Detailed  information  on  the  chemical  composition  of the
      TSP  in  these areas is not  available;  however,  the  toxic fraction  is
      likely  to  be small."

      Fugitive  dust  in  urban  areas,  on  the  other  hand,  is  a  relatively

different phenomenon.  While mineral matter is still the primary ingredient,

it can no longer be considered as native soil.  In  urban areas, it is con-

taminated to a  measurable  degree  by  various components wnicn may  adversely

affect health.   Urban fugitive dust contains fallout from'industrial  and

                               4

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combustion related processes,  lead from automotive exhaust,  measurable
rubber tire particles, and other components associated with  an advanced
technologically dependent community. "   Further contamination may result
in urban areas from adsorption of harmful  gases or adhesion  of fine
particle matter on fugitive dust particles making fugitive dust particles
carriers of potentially more harmful and potent ingredients.
     There are other reasons why efforts for fugitive dust control should
center in urban areas.  From a resource point of view (i.e., control
agency manpower and control costs) and from a population at risk viewpoint,
control efforts concentrated in urban environments will be more effective
and beneficial.   In urban centers, a  larger base of support exists to
implement an expanded road-paving or other such fugitive dust control
program than would exist  in a rural area because of the more uniform and
pronounced impact of  the  problem  on the population in general.  Within
the urban area, the feasibility and implementability of the control plan
is enhanced by the increased number of positive improvements in addition
to air  quality which  can  be derived from a  fugitive dust control  program
(improved streets, less soil erosion, overall urban improvement and
enhancement).  Therefore,  urban areas should receive a higher priority
in the  development and  implementation of a  comprehensive reasonable
program to control  fugitive dust.
     Thus from either a scientific or priority basis, the need to control
fugitive  dust should  begin  in urbanized areas where the impact and
feasibility of implementing a program are  the greatest.

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Integration of Fugitive Dust Control  Into  the Particulate Matter
Control  Strategy and New Source Review Program
Urban Areas
     "Urban" fugitive dust is a significant air pollution problem and
must be controlled.  The criteria used to  determine what constitutes an
urbanized area vs a "rural" area should be based upon a number of- factors
(i.e., industrial emissions, population, or popu^tion density).  For
the purposes of defining a "rural" fugitive dust area, the following
criteria should be examined:  (1) the lack of major industrial develop-
ment or absence of significant industrial  particulate emissions and
(2) low urbanized population (i.e., eastern states <100,000-200,000 or
western states  <25,000-50,000).
     Once  the "urban"  area is defined, an analysis should be conducted
to  identify all  sources of particulate matter and to consider various
measures that might be  used  to reduce particulate emissions from both
conventional  stationary sources and fugitive dust sources and determine
what  impact such measures would have on ambient air quality.  From this
evaluation, a comprehensive  achievable control program should oe developed.
      Generally,  the control  of fugitive dust at construction activities
is  reasonably available and  should be required if needed to meet national
standards.  Also,  cleared  land awaiting construction can be stabilized.
Additionally,  the  number  of  acres cleared at one time should be minimized
 to  the  greatest extent practicable.   Similarly, it 1s generally reasonable

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in urban areas to control  fugitive dust from demolition and  similar
activities, commercial  driveways and parking lots and truck  parking
areas.  In urban areas  where there is enough rain or water available,
it may be reasonable to require owners of vacant lots to maintain some
type of vegetation cover to minimize the potential  of soil loss  by wind
erosion.
     Additionally, fugitive dust measures such as street sweeping or
street cleaning, paving of existing unpaved roads, stabilizing road
shoulders and roadways, requiring that all new roads be paved and
constructing curbs along roadways, may be reasonable, depending  upon local
conditions (technical,  social, or economic).  More specific discussions
of  the control alternatives for fugitive dust, their effectiveness and cost
can be found  in  OAQPS Guideline Series 1.2-071, Guideline for Development
of  Control Strategies in Areas with  Fugitive Dust Problems.
      A fugitive  dust strategy  should  contain a series  of  air pollution
control  regulations, which should be  coordinated where  possible with
existing  on-line actions taken  by various agencies  in  the performance
of  related projects.  The  traditional  regulatory enforcement approach
 is  certainly  required for  several of the  source  categories  (i.e.,  construc-
 tion,  aggregate  storage).   This will  be  the  only way  to  insure compliance.
 However,  in  some cases  this direct  approach  may  pose  some difficulties
 and binding  agreements  on  the  part  of certain  departments (i.e.,  public
works,  etc.)  that  they  will participate  in  and be responsible for the
 implementation  of  a  certain portion of the  strategy should  be pursued.

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     This approach provides for integration (where possible)  of the
control measures into the on-line operations of various governmental
agencies.  This approach generates greater acceptance in that these
measures are viewed not only as air pollution controls, but as overall
planning and developmental improvements which will yield other tangible
benefits in addition to air quality improvement.
     In some areas, demonstration projects may be planned as an integral
part of the control strategy to generate support anc  coordinate efforts
within various departments.  Because fugitive dust control may be a new
program, a control demonstration project is particularly appropriate
to insure an achievable program in a timely manner.  In many areas,
demonstration projects will not be necessary, however, and the program
to control fugitive dust  can be immediately implemented.  In other areas,
some control efforts have  already begun, and more complete enforcement
of existing regulations,  along with the implementation of some additional
control, will be  effective.
      It seems  appropriate that wide  latitude  be given  in  the develop-
ment of a  fugitive dust control  program.   Sufficient time  should  be
given  to the  States  to develop a  comprehensive  program.  Plans for  the
eventual  control  of  fugitive dust  should  be  submitted  as part  of  the
SIP  revisions  now under development.   It  is  anticipated  that the  plans
submitted  will  include various interagency agreements  or demonstration
programs to  implement  the strategy  in  various  stages,  if necessary.
      This  approach is  based upon  the  fact that  specific  fugitive  dust
 control  programs  will  be relatively  new to many State  and  local agencies.
 Time v/ill  be required  for coordination among various State  and local
 agencies in order to develop and implement an effective  program.

                                   8

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     For new source review in non-attainment urban areas, the program



which includes the emission offset concept remains unchanged.  However,



since fugitive dust is recognized as-a significant air pollution problem



in urban areas, it is appropriate to allow sources to minimize either



existing fugitive dust sources or particulate stack emissions in order



to satisfy their emission requirements.  When proposing offsets, the



sourca must be required to consider  the nature of the particulate matter



being offset and should provide a demonstration that the offset utlizing



fugitive dust control represents an equally effective offset when compared



to an offset utilizing stack emissions only.  Such factors as exit



velocity, effective stack height, temperature and the particulate size



of the particulate matter should be specifically considered when a source



proposes to utilize fugitive dust control as an equivalent offset.



Rural Areas



     While it  is agreed that a comprehensive fugitive dust control



program may not be realistic within rural areas,* certain sources



which may have a significant impact upon air quality or which may



contain  toxic materials, such as mining and large tailings operations,



can  and should be controlled.  Several areas have very effectively



controlled large  isolated sources of fugitive dust.  When the source is



determined  to  have a  specific health or air quality impact, control



agencies have  traditionally  required the application of reasonable



precaution measures  to minimize  the  source's impact upon health and



welfare.   In  rural areas,  this  is  still an effective means of control



and  should continue  to be  utilized.
  See  page  6  for  criteria  to  identify  rural  areas.

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     There has been considerable concern about the location of major
stationary sources in rural  areas where fugitive dust has been determined
to be the major source.  This awareness of a problem has been brought
about in many cases by the results of special ambient air quality monitoring
studies being conducted in remote areas (where previously little or no long-
term sampling had been done) prior to the source applying for a new source
review permit.  In many cases, these short-term sampling programs are
established to determine the background concentrations for the geographic
area under consideration for plant location.  Quite often the long-term
averages for these particular sampling locations, if conducted over
more than a few months, are quite low, however, on rare occasions, i.e.,
2.or 3 times during the sampling program, unusually high 24-hour concen-
trations in many cases violate the 24-hour NAAQS and provide some concern
when considering the location of a new source within this isolated rural
area essentially free  from  the impact of stationary sources.  These
values should be closely reviewed prior to use.  These short-term data
should be statistically analyzed via some statistical test  (e.g., Dixon
Ratio Test) to evaluate the peak-to-mean ratio.  Quite often the peak-
to-mean ratio is unusually  high and the maximum 24-hour concentration
is highly suspect when compared to the measured norm.  This analysis
would suggest which short-term maximum concentrations may not be
representative in determining the concentration which best describes
the average air quality for the area in question.  If through such a
statistical analysis the violations of the 24-hour concentration are
"flagged',1' it is recommended that these concentrations be investigated
                              10

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and where further analysis supports the. non-representativeness of the
data it should be omitted for evaluating the impact of the new
stationary source.
     Similarly, for control strategy development, when the impact of
natural sources can be determined, the Part 51  SIP regulations allow
such data to be discarded and not used in control strategy development.
Section 51,12d states:
          "For purposes of developing a control strategy, data derived
     from measurements of existing ambient levels of a pollutant may
     be adjusted  to reflect the extent to which occasional natural  or
     accidental phenomena, e.g., dust storms, forest fires, industrial
     accidents, demonstrably affected such ambient levels during the
     measurement  period."
     New  sources  that wish to construct in rural areas with infrequent
short-term  violations of  the TS? standard should be allowed to construct
without  the need  of an emission offset, as long as they comply with the
appropriate emission  regulation (tNSPS, state regulation or 8ACT for PSD
source)  and when  considering their emissions, plus "non-urban" back-
ground and  the emissions  from other  stationary  sources in  the vicinity
of the proposed  location,  they  do  not cause  violations of  the NAAQS
or appropriate PSD  increments if applicable.  Specific procedures to
conduct  an  air quality modeling analysis  for new particulate matter
sources  can be found  in  current EPA  modeling guidance now  under
development.
                               11

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                          REFERENCES


1.   A Study of the Nature  and  Origin  of  Airborne  Particulate Matter
    in Philadelphia,  Scott Environmental  Technology,  Inc., January 1975.

2.   Draftz, R. G., Types  and Sources  of  Suspended Particles in Chicago.,
    ITTRI, May 1975.

3.  National Assessment of the Urban  Particulate  Problem.  Volume  1:
    Summary of National Assessment, U.  S. Environmental  Protection
    Agency, Research Triangel  Park, North Carolina.   Publication
    Number EPA-450/3-76-024,  July 1976.

4 . . 'Water  Pollution Aspects of Street Surface Contaminants, Sartor,  J.  0.,
    and Boyd, G.B., Contract No. 14-12-921, November 1972. EPA-R2-72-081.

5.  Contributions  of Urban Roadway Usage to Water Pollution,  Shaheen,  O.G.,
    Contract  No.  68-01-0197, Task Order 005, April  1975.

6.  Dixon, W. J.,  "Processing Data for Outliers," Biomedics,  9:75,  1953,

7.  Guj_deTjne for Air  Quality Models, Second Draft, OAQPS. May  1977.

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Section 115: International Air Pollution
                                                  3
                                                  r-+
                                                  >

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Section 115: International Air Pollution
PN115-78-03-30-002
     INTERNATIONAL POLLUTION  (EL  PASO/JUAREZ!

PN115-78-01-31-001
     ACCOUNTING FOR POLLUTION  ACROSS INTERNATIONAL
       BOUNDARIES

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        MAR  20  1978

SUBJECT:             International Pollution (EL Paso/Juarez)

FROM:                David G. Hawkins, Assistant Administrator
                       for Air, Noise, and Radiation
                                                              PN-115-78-03-20-002
MEMO TO:             Adlene Harrison
                     Regional Administrator, Region VI


     The purpose of this memorandum is to communicate the policy applicable
to the El  Pasc/Juarez situation referenced in your recent memos on this
subject.  The policy does not shelter the El Paso area from imposition
of the Clean Air Act (CAA) sanctions, but at the same time increases the
probability of the El  Paso area being able in 1979 to demonstrate the
potential  for attainment of the ambient standards.

     A portion of El Paso County has been designed, pursuant to Section
107 of the CAA, nonattainment for particulate matter.  Such a designation
automatically invokes the requirement of Section 172 to submit a State
implementation plan (SIP) revision which, among other things, demonstrates
attainment of the ambient standards by 1982.  Consequently, the area
cannot avoid the imposition of sanctions unless an acceptable SIP revision
is submitted.

     Neither the CAA amendments nor current Agency policy provides
relief from the impact of emissions from existing stationary sources
located in foreign nations.   Such a problem is best solved, however, by
an interim policy which allows control agencies developing strategies
for attaining ambient standards in nonattainment  areas to assume that
foreign sources will be controlled sufficiently to attain standards  at
the border by 1982.  Since such a policy must have a foundation, it  will
be necessary to initiate bilateral diplomatic actions to realize the
assumption that ambient standards will be attained at the border (i.e.,
that actual emission reductions will take place).

     It must be noted,  however, if the reductions agreed upon through
negotiations do not materialize, those sources located in the United
States will have to be controlled to a greater degree in order to realize
attainment.  Futhermore, for the above approach to be truly effective,
the State  of Texas must make a good faith effort to further reduce
pollution  originating in this country and impacting air quality levels
in Mexico.  Specifically, progress must be made on controlling air
pollution  from the El  Paso smelter .  In this context, I believe that the
agreed judgement and order of injunction issued by the 41st District
Court in El Paso in the case of the City of El  Paso and the State of
Texas vs.  ASARCO.  Incorporated will provide substantial controls at the
smelting facility in the near future.  It is imperative, however, that
compliance by ASARCO with this court order be closely monitored and  if
the court  ordered controls are insufficient to insure the attainment of
the standards, additional controls will be required.

cc:  M.  Durning
     J.  Berstein
     A.  Popkin
     R.  Wilson
     Director, Air and Hazardous Materials Divisions, Regions I, III-X

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                    UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

  OATE-  31 JAM iJ/8

SUBJECT-.   Accounting for  Pollution  Across
         International  Boundaries

   ROM:   Halter C.  Barber, Director
         Office of Air  Quality Planning and Standards

    T0:   David G.  Hawkins, Assistant Administrator
           for Air and  Waste Management
PN-115-78-01-31-001
              In response to your memo of December 23, 1977,  concerning the
         impact of pollution originating in foreign nations,  I  offer the following
         coniuents.

              The issue of exempting fugitive dust and stationary source emissions
         originating across international boundaries is'-partially addressed by
         the Agency's current policy on fugitive dust.  Such policy dictates that
         control programs in rural areas affected by fugitive dust should at this
         time center on the control of large existing man-made fugiti.ve dust
         sources which in themselves are presently causing violations of the
         national ambient air quality standards (NAAQS) or are sources of a known
         toxic or hazardous material.  This policy has universal application in
         that it does not distinguish between fugitive dust originating in the
         United Slates and  that originating in areas outside of  this country.
         Consequently, if the El  Paso/Juarez area meets the criteria set forth in
         the fugitive dust  policy,  the nonattainment analysis for that area can-
         discount that portion of  emissions from Mexico, as well as from the
         United States, which are  attributable to natural fugitive dust sources.

              iNeither  the Clean Air  Act  Amendments nor current Agency policy,
         however, provides  relief from  the  impact of  emissions from existing
         stationary  sources  located  in  foreign nations.  Congress did recognize
         that relief may  be required  in  areas along  international boundaries with
         respect  to  new  sources and  the  prevention of  significant deterioration.
         Specifically,  the  Amendments  permit a Governor to set aside  the increase
          in  concentrations  attributable  to  new sources outside  the United  States
         over  the concentrations  attributable  to  existing sources which are
          included in the baseline concentration.

               I  believe  the best  interim policy  to  resolve  this  problem  is one
          which  will  allow control agencies  developing strategies for  attaining
          ambient standards  in nonattainment areas  to assume  that foreign  sources
          will  be controlled sufficiently to attain  standards  at the  border by
          1982.
              «. 3-761

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     In addition, the United States should initiate bilateral diplomatic
actions to obtain reductions necessary to attain standards at the border.

     In the long term, if reductions are not actually obtained, a policy
change or Clean Air Act amendment would be required.

cc:   Marvin Burning
     Mike James
     Jack Thompson

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Section 123: Stack Heights
                                                  NJ
                                                  CO
                                                  CO
                                                  r~+
                                                  0)
                                                  o
                                                  7T

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Section 124: Assurance of Adequacy

            of State Plans
                                               19
                                               03
                                               .Q

                                               Q)
                                               O

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Section 124: Assurance of Adequacy of State Plans
PN124-78-OT-31-001
     IMPLEMENTING SECTION 124 OF THE CLEAN AIR  ACT

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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

  OATE:  JUL 3 1  1378

    CT.    Implementing Section 124 of the Clean Air Act              PN-124-78-07-31-001


  FROM:    Walter C. Barber, Director
          Office of Air Quality Planning and Standards

    TO:    Director, Air & Hazardous Materials Division, Regions I, III-X
          Director, Environmental Programs Division, Region II

               On January 23, 1978, Richard Rhoads sent to the Regional  Offices
          for comment a draft copy of an OAQPS guideline memorandum on imple-
          menting Section 124, Assurance of Adequacy of State Plans, of the
          Clean Air Act.  This section requires the States to determine the
          effect of potential fuel shortages on the adequacy of their SIPs and
          to revise their SIPs if necessary to counteract any adverse effect
          of shortages.  The draft guidance material was also discussed at the
          February and March workshops on requirements for nonattainment area
          plans.

               The analysis required by Section 124 is, although important, of
          lesser priority than many other aspects of the air program.  Further,
          the depth of analysis required is highly dependent upon the conditions
          within the individual States.  Although some States may need to follow
          the full analytical procedures outlined in our January draft guidance,
          most States could comply with Section 124 by using much more simplified
          techniques, and in many States a simple qualitative assessment would be
          adequate.

               I therefore do not intend to formalize uniform national guidance
          on implementation of Section 124 at this late date.  I believe you and
          your States should continue to implement Section 124 in a manner
          consistent with the specific conditions within the individual  States,
         . keeping  in mind the many conflicting resource demands on both the
          States and EPA.


          cc: R. Rhoads
              J. Padgett
              Director, Enforcement Division, Regions I-X
              Air  Branch Chiefs,  Regions I-X
EPA FORM 1320-6 (REV. 3-761

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Section 126: Interstate Pollution Abatement

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Section 126: Interstate Pollution Abatement
PN126-80-06-08-003
     INTERSTATE POLLUTION ABATEMENT PETITIONS  -
       POLICY STATEMENT

PN126-78-07-26-002
     UNION ELECTRIC VARIANCE -  INTERSTATE  EQUITY

PN126-78-03-16-001
     OUT OF STATE SOURCES EFFECT ON IMPLEMENTATION
       PLAN REVISION

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                 Federal Register./_Vd.4S,Ma 53  /  Monday,March 17.1980 / Propo    PN-126-80-u5-i7-003
40 CFR Parti

    .1436-3]
interstate Pollution Abatement; Notice
of Proceedings Under Section 126 of
the Clean Air Act and Hearing
AGENCY: U.S. Environmental Protection
Agency (USEPA).
ACTION: Notice of Proceedings under
Section 126 of the Clean Air Act
(Lnerstate PolluSon Abatement)
including Notice of Public Hearing.

SUMMARY: Section 126 of the Clean Air
Act provides a mechanism for any State
or political subdivision to petition the
USEPA to determine whether i major
pollution source-in another State is
causing or has the potential to cause in
interestate air pollution problem. Such a
petition has been filed by Jefferson
County, Kentucky with respect to sulfur
dioxide (Sd) emissions from the Public
Service of Indiana (PSI) Gallagher
power station in Floyd County, Indiana.
The purpose of this notice is to
announce a public hearing to determine
the interstate impact of the PSI
Gallagher station; and to solicit
comments from affected parties and the
general public with respect to the
criteria which should be used to
establish an emission limitation  for the
Gallagher station should the
Administrator determine that this source
is emitting any air pollutant in amounts
which -will prevent attainment or
maintenance by any other State  of any
national primary or secondary ambient
air quality standard, or interfere with
measures required to be included in the
applicable implementation plan  for any
other State under Part D of the Act to
prevent significant deterioration of air
quality or to protect visibility.
DATE: The public hearing will be held on
April 17,1980.
   Submit requests to present oral
testimony by not later than close of
business on April 11,1980.
   USEPA request advance copies of
written comments and factural
information wherever possible;
however, written material will be
accepted up until  the close of the public
hearing record on May 2,1980.
ADDRESSES: The hearing will be held at
the Ramada Inn-Airport, Corbin Room,
1465 Gardiner Lane at Interstate 264,
Louisville, Kentucky. The hearing will
convene at 1 p.m.; recess at 5 p.m. (or at
such time as all commentors scheduled
for the afternoon have completed their
testimony); reconvene at 7 p.m.;  and
adjourn when all scheduled testimony
has been completed.
  Individuals .wishing to present oral
testimony are requested to contract
Robert Miller, Air Programs .Branch,
USEPA. Region V. 230 South-Dearborn,
Chicago, Illinois 80604 (312-888-6031).
FOfl FURTHER INFORMATION CONTACT:
Robert Miller, Air Programs Branch. VS.
  Environmental Protection Agency,. Region
  V, 230 South Dearborn Street. Chicago.
  Illinois 60604. (312) 886-6031
Barryn Gilbert, Air Programs Branch, US.
  Environmental Protection Agency, 845
  Courtland Street. Atlanta. Georgia 30308,
  (404)881-3286.
  Technical and background documents
are available for public inspection at the
above address and at
Public Information reference Unit,tJ.S.
  Environmental Protection Agency library.
  Room 2922,401M Street SW, 'Washington,
  D.C. 20460.
Air Pollution Control District of Jefferson
  County, 914 E. Broadway, Louisville.
  Kentucky 40204.
Division of Air Pollution Control, Kentucky
  Department for Natural Resources, and
  Environmental Protection. W. Frankfort
  Office Complex, US 127 South. Frankfort.
  Kentucky 40601.
Air Pollution Control Division, Indiana Board
  of Health. 1330 W. Michigan Street,
  Indianapolis, Indiana 46206.

Background:
  On May 14,1973. the USEPA
approved Indiana's S02 State
Implementation Plan for Floyd County
(38 FR 12698). This regulation set an
emission limitation for PSI's Gallagher
Station of 1.2 pounds of S02 per million
British Thermal Units fMBTU) of actual
heat input. Final compliance with the
rule was required by April 1,1975. In
1974 Indiana adopted new S02
regulations for Floyd County. Technical
support submitted by the State of
Indiana included ambient air quality
data showing no monitored violations of
S02 air quality standards in Indiana, and
a modeling study which concluded that
Gallagher's contribution to high S02
levels in Kentucky was minimal (i.e.
about 6%). On August 24,1976 the
USEPA approved these regulations for
the Gallagher station (41 FR 35676).
Although these regulations do not
impose an emission limitation of any.
kind on Gallagher, they do require the
facility to install an ambient monitoring
system and to maintain an emergency
two week supply of fuel which will be
adequate to meet an emission limitation
of 1.2 Ibs. of S02/MBTU. This fuel is to
be used upon the State of Indiana's
order during periods of adverse
meteorological conditions.
   Indiana submitted a revised statewide
S02 attainment strategy and a revised
S02 regulation to USEPA on July 3,1979.
These regulations were de
demonstrate attainment of S •
standards in the Lake. Mail;    .  ._ .d
Wayne County nonartainmert .  -  s.
The regulations also establish a 6 Ibs. of
S02/MBTD heatimput emission
limitation for fossil fuel fired power
plants throughout the State.If approved
by the USEPA. this 8 Ibs. of S02/MBTU
limitation would apply to the Gallagher
station.
  The 1972 Kentucky State
Implementation Plan required major
power plants in Jefferson County,
Kentucky to limit their emissions to 1.2
Ibs. of S02/MBTU. These limitations are
still in effect in Kentucky.
  Section 126(b) of the Clean Air Act
authorizes any Slate or political
subdivision to petition the
Administrator of the USEPA for a
finding that any major source emits or
will emit an air pollutant hi violation of
the prohibition of seption 110[a)[2)(E)p)
of the Clean Air Act This section
prohibits any stationary source within a
State from emitting any air pollutant in
amounts which will prevent attainment
or maintenance by any other State of
any national primary or secondary
ambient air quality standard, or
interfere with measures required to be
included in the applicable
implementation plan for any other State
under Part C of the Act to prevent
signficant deterioration of air quality or
to protect visibility. After public
hearings, the Administrator either
makes a finding that section
110(a)(2)(E)(i) is being violated or denies
the petition. If the finding is made,
section 126(c) provides that operation of
the source for more than three months
after the finding has been made shall be
a violation of the applicable
implementation plan unless the
Adminstrator permits continued
operation of the source conditioned on
its compliance with emission limitations
and  compliance schedules provided by
the Administrator. Compliance with the
requirements contained in section
nO(a)(2)(E)(i) must be as expeditious as
practicable but no later than three years
after the date of such finding.
  On May 14,1979, USEPA was
petitioned by the Air Pollution Control
District of Jefferson County, Kentucky to
initiate proceedings, pursuant to section
126 (b) and (c) of the Clean.Air Act as
amended in 1977 (42 U.S.C. 7401 et seq.),
to make a finding that the sulfur dioxide
emissions from the PSI Gallagher
Station in Floyd County, Indiana were
causing or contributing to violations of
the SOj standards in Kentucky and were
otherwise in violation of 110(a)(2)(E)(i).

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Federal Register / Vol. 45, No. 53  I
                                                                                           Rules
                              17049
  In order to study the issues raised by
Jefferson County, the USEPA funded a
computer dispersion modeling study to
assess the impact of SO* emissions from
selected facilities in the Louisville
Interstate Air Quality Control Region
(AQCR). The 1976 emissions were
modeled using the Air Quality Display
Model (AQDM) to determine if the
National Ambient Air Quality Standards
(NAAQS) would be violated. A
background of 30 micrograms per cubic
meter (/ig/m*) was used. No violation of
the annual standard was predicted. The
annual contribution from Gallaher at the
point of maximum concentration was 0.7
p.g/m3. The annual primary slandered is
80 fig/m3. A compliance scenario was
then modeled with AQDM in which the
LG&E plants were assumed to be in
compliance with Federal consent orders
and Gallagher was modeled at the.
maximum allowable emissions rate. No
violation of the annual N, AAQS was
predicted. The annual contribution of
Gallagher at the point of maximum
concentration was then predicted to be
0.9 fig/m3.
  The short-term impact of Gallagher
when emitting at a 6 Ibs./MBTU rate
was determined. This impact, and all
others, was determined without
consideration of the possibility that the
sulfur content of coal burned by power
plants may significantly vary. Computer
dispersion modeling predicts that the
plant  would cause a violation in Indiana
of the 3-hour NAAQS (1300 jig/ms—not
to be  exceeded more than once a year).
The highest second-highest 3-hour
concentration of 1434 ftg/m3 would
occur at a location eleven kilometers
north of the plant. The highest second-
highest 24-hour impact would be 307
m3, again occuring eleven kilometers
north of Gallagher. The primary 24-hour
standard is 365 jig/m3 not to be
exceeded more than once a year.
Kentucky sources would have an
insignificant contribution to these values
in Indiana during the time periods that
•these concentrations are predicted.
Gallagher emitting at 6 Ibs. of SO* per
MBTU would impact in Kentucky as
well.  The highest second-highest
predicted 24-hour and 3-hour
concentrations in Kentucky from
Gallagher alone are 126 ^g/m3 and 608
/ig/m3, respectively. Sulfur dioxide
emissions from both Gallagher and three
LG&E power plants were modeled to
determined if Gallagher would
contribute to violations of the NAAQS
in Kentucky in 1976. Violations of the 24-
hour  standard were predicated for two
Kentucky locations to which Gallagher
has a contribution: 16 fig/m3
contribution to a 487 /ig/m3 violation
                      and 51 jig/m* contribution to a 395 jig/
                      m3 violation. Violations of the three hour
                      standard were predicted in Kentucky
                      but Gallagher does not contribute to
                      these violations.
                        In conclusion, the model predicted
                      that emissions from the plant result in
                      increased ambient air concentrations in
                      Kentucky and contribute to predicted
                      violations of the 24-hour NAAQS in
                      Kentucky.
                        The Agency considers that the degree
                      of protection afforded by the interstate
                      pollution provisions includes nof only
                      protection against NAAQS violations,
                      but also protection against unreasonable
                      interference with  a maintenance
                      program or margin for growth in the SIP.
                      In reaching this conclusion, the Agency
                      has reviewed the  interstate pollution
                      provisions of the Act, including Sections
                      101.110,126 and 301. their legislative
                      history and pertinent case law. The
                      Agency is of the opinion that these
                      provisions evidence Congressional
                      intent to protect against unreasonable
                      interstate interference with State
                      programs to maintain the NAAQS and
                      create margins of growth, as well as
                      efforts to attain the standards, present
                      significant deterioration of air quality
                      and protect visibility. Such efforts may
                      include State adoption of emission
                      limitations that are more stringent than
                      needed to attain Federal standards. In
                      addition, the Agency believes that the
                      provisions are designed to protect
                      against interstate interference with
                      State or local ambient air standards or
                      other measures more stringent than
                      necessary to attain Federal standards.
                      See. H.R. Rep. No. 95-294.95th Cong..
                      1st Sess.; May 12.1977, 331, n. 14.
                        Issues that should be addressed by
                      the interested parties and the public
                      include the questions and possible
                      USEPA courses of action given below.
                        1. Does the Gallagher Power Plant in
                      Indiana now cause or contribute to  air
                      pollution concentrations in excess of the
                      NAAQS in Kentucky?
                        2. Were sources in Jefferson County,
                      Kentucky, required to put on additional
                      controls to correct NAAQS violations
                      that were caused or substantially
                      contributed to by emissions from the
                      Gallagher plant?
                        3. Does the Gallagher plant have  a
                      substantial adverse impact on
                      Kentucky's or Jefferson County's efforts
                      to develop a State Implementation Plan
                      which will attain and maintain
                      standards or create a margin for future
                      growth for NAAQS or PSD purposes? It
                      should be noted that emissions  from the
                      Gallagher Plant may affect future
                      growth in Kentucky, irrespective of a
                      proposed new sources and Gallagher's
air quality impact within Kentucky, if
Gallagher substantially consumes the
full NAAQS or PSD increment within
Indiana.
  4. The Agency currently intends to
encourage the interested parties to
resolve the interstate dispute
themselves. The Agency will encourage
the parties to consider various strategies
and tradeoffs that may be used to settle
the dispute. If this is not possible, the
Agency intends to make a case-by-case
finding of whether an interstate
pollution problem exists. The Agency
will consider the air quality impact of
the source and differences between the
control requirements for the contested
source and comparable sources in the
affected State. One option would be to
find that the Gallagher plant in Indiana
has a substantial adverse impact on
Kentucky's air quality maintenance
program or margin for growth if, in the
Administrator's opinion, the air quality
impact in Kentucky of emissions from
the Gallagher plant is significantly
greater than the air quality impact
allowed a comparable'Kentucky source.
  5. If the Agency makes a finding of
substantial adverse impact, the Agency
may resolve the interstate dispute by
requiring generally comparable emission
limits for comparable sources hi both
States. In determining a comparable
emission limit for the contested source,
the Administrator would consider the
air quality impacts permitted
comparable sources in each State and
emission limits required for similar
sources in similar areas. Comments are
solicited on such an approach.
  6. Suggestions are also solicited on
other appropriate criteria for USEPA
arbitration of interstate disputes.
Suggestions should include
consideration of the following questions:
  a. How should differences between
State emission limits generally be
compared against the estimated air
quality impacts of out-of-State sources
and comparable in-State sources.
  b. What criteria should  the Agency
utilize when air quality impacts may be
difficult to ascertain, for example, when
multiple  sources and pollution transport
over considerable distances may be
involved?
  c. In such a situation, should  the
Agency give a lesser weight to air
quality impacts and more to differences
in emission limits?
  d. Under what circumstances should
the Agency consider the application of
reasonably available control technology
(RACT) by the contested sources to be
sufficent in and of itself to avoid a
finding of impermissible interstate
pollution?

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17050
Federal Register / Vol. 45, No. 53 / Monday, March 17.1980 / Proposed Rules
  e. Under what circumstances should
the Agency require regionally uniform
emission limits or uniform control
technologies?
  7. Specific discussions of estimated air
quality impacts  should include
information on,  among other things, the
model used, the input data-used, and the
assumptions used in applying the model,
such as the selection of critical
meteorological periods, plant loading
and other plant  operating characteristics
assumed for the period of time (annual,
24-hour, 3-hour,  3-hour] being examined
and fuel variability.
  8. If the Agency has need of-more
information than that presented at the
hearing, it may use its powers to obtain
information under Section 114 of the
Act. Also, if any additional reports or
studies need to be prepared, the costs of
such may be assessed against the
Agency's Section 105 grants for the
States involved in the dispute. The
Agency may require in-stack monitoring
lo develop comparable information.

Conduct of Public Hearings
  A panel of Agency officials will
conduct an informal public hearing on
the above .issues. Although no cross-
examination will take place-at the
hearings, the panel may ask questions of
witnesses to clarify issues or to make
the record complete. Written questions
directed at the witnesses may be
submitted to the panel by members of
the audience. Any person wishing to
make a presentation or submit material
for inclusion in the hearing record
should provide written notice of this
intention by April 11,1980, to: Robert
Miller, Air Programs Branch, U.S.
Environmental Protection Agency, 230
South Dearborn Street, Chicago, Illinois
60604, (312) 886-6031.
  This notice should include the
following information: (1) Name(s),
title(s). and affiliation(s); (2) amount of
time necessary for presentation and
whether yovrwould like to present your
testimony in the afternoon or evening
session. The time allotted for each
presentation will depend on the number
of persons seeking an opportunity to
appear. A verbatim transcript of the
hearing, copies of written statements,
and copies of other material will be
made available  for public inspection
and copying during normal working
hours at the USEPA Region IV Library
(Atlanta), the Region V Air Programs
Branch (Chicago), and the Public
Information Reference Unit
(Washington). The same documents will
be available for inspection at the Air
Pollution Control District of Jefferson
                      County (Louisville), the Kentucky
                      Division of Air Pollution Control
                      (Frankfort), and the Indiana Air
                      Pollution Control Division
                      (Indianapolis).

                      Submission of Written Materials
                        USEPA solicits and win accept
                      written materials relevant to the issues
                      set forth above from all interested
                      parties. Eight copies of the material
                      should be submitted. We encourage the
                      filing of written statements prior to the
                      hearing, but they may be filed at the
                      hearing itselLThe public hearing record
                      will be kept open until May 2,1980, to
                      provide an opportunity for the public to
                      submit rebuttal and supplementary
                      information on the data presented at the
                      hearing. Written materials should be
                      submitted to Mr. Miller, Air Programs
                      Branch. USEPA Region V at the above
                      address.
                        The Agency recognizes that interested
                      persons may require a period or time
                      prior to the hearing to read the written
                      submissions of other interested parties
                      so that informed comments can be made
                      at the public hearing. All written
                      comments prior to the public hearing
                      will be available for public inspection
                      and copying during normal business
                      hours at the following address: U.S.
                      Environmental Protection Agency,
                      Region V, Air  Programs Branch, 230
                      South Dearborn Street, Chicago, Illinois
                      60604.

                      Final Determination Under These
                      Proceedings
                        The EPA recommendation will be
                      based upon the preponderance of the
                      evidence of record and will be
                      announced in  the Federal Register in the
                      form of a proposal upon which the
                      public wul be  given an opportunity to
                      comment. Final action, following the
                      public comment period, will be
                      announced in  the Federal Register.
                        Dated: March 10.1980.
                      John McGuire,
                      Regional Administrator.
                      (FR Doc 80-7959 Filed 3-34-80:8*5 am)
                      BILLING CODE

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    \   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                           WASHINGTON. D.C. 20460

                                                        PN-126-78-07-26-002

                            III  f\ **                         OFFICE OF
                            JUL 2t)  1978            AIR AND WASTE MANAGEMENT


SUBJECT:  Union Electric Variance - Interstate Equity

FROM:     David 6.  bawkite  Assistant Administrator
            fo? Am, Nc fse, and Radiation

TO:       Kathleen Q. Camin, Ph.D.
            Regional Administrator, Region VII


     This is in response to our recent conversation and  your memo  of
June 27, 1978, regarding interstate problems in general  and  the Union .
Electric variance for 502 ^n particular.

     In evaluating a SIP relaxation affecting interstate areas,  the
Agency must consider several criteria.  EPA must be assured  that the
applicable National Ambient Air Quality Standards and the PSD increments
will not be exceeded by approving the relaxation.  Additionally, where
a State has a specific growth/maintenance plan for the area, the SIP
relaxation must not violate the specific provisions regarding what
growth in emissions is acceptable with respect to the maintenance  plan.
Where no'specific maintenance plan exists, the two States involved
must agree to the level of consumption, consistent with  attaining  the
standards and maintaining the PSD increment, which would be  permitted
to take place as a  result of the proposed relaxation.  Finally,  the
control strategy submitted by a State in  support of a SIP relaxation
should define the growth that would be permitted or precluded by the
proposed relaxation.  If the State would  adopt a relaxation  which  would
not permit future growth, the Agency should notify the State when
approving the revision that the State may not approve the construction
of any major source unless it would obtain the necessary offsets and
meet all other applicable requirements for new source review.

     In the specific case of the Union Electric variance,  it is my
understanding that  no NAAQS would be interfered with by  the  proposed
relaxation, and that no maintenance plan  for S02 has been approved for
Illinois which would restrict its approval.   Moreover, I understand  that
Missouri and Illinois cannot agree upon an equitable solution to resolve
this problem.  Such agreement does  not appear necessary  in the case  of
maintaining the PSD increment, since the  PSD baseline emissions (actual
emissions) will not increase.   Agreement, however, is necessary in
deciding what new growth is to be allowed with respect to attaining  the
ambient standards.

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     I recommend that the following approach be used in resolving the
Union Electric variance dispute, should Missouri and Illinois fail  to
otherwise agree.  In general, consumption of the growth potential  relative
to the S02 NAAQS should be divided equally among the two States at the
border.  That is, each State will have use of one-half the air quality
difference between the NAAQS and the ambient concentration now allowed
at the border.  This concentration represents the air quality level which
would exist if sources in the area were to emit at the level  allowed  by
the applicable SIP.  It should be noted that the "one-half growth allow-
ance" concept should also apply to areas internal to the other State  (in
this case, Illinois).  That is, where an applicable source would have
significant impacts well within the geographic boundaries of the'other
State, then that impact should also be evaluated using the "one-half
growth allowance" criteria.

     The above policy means that the SIP relaxation for Union Electric
would count against the remaining growth potential for Illinois.  If
this relaxation would consume more than one-half of any applicable
grov/th increment, then it must be disapproved.

     I hope this guidance is useful in resolving the Union Electric
situation.  Please call on me if you require further assistance.

cc:  W. Barber
     V. Adamkus

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   MAR   3 1978

Out-of-State Sources Effect on                                DM  ,-..  7Q  n,  ,,.  nni
Implementation Plan Revision                                  PN-126-78-03-16-001

Richard G. Rhoads, Director
Control Programs Development Division

Director, Air and Hazardous Materials Division, Regions I, III-X
Director, Environmental Programs Division, Region II


     A question has been raised concerning what constitutes an adequate
control strategy determination and how this impacts on regional  consistency
in evalusting State implementation plan (SIP) revisions.   It will be
assumed for the purpose of SIP development and evaluation that sources
in neighboring States are in compliance with appropriate  emission limita-
tions and ambient standards will be achieved as required.  Accordingly,
States should develop their plans and EPA should evaluate these plans
based on presumed compliance of sources in neighboring States.  Should
it be determined that sources are not in compliance, then appropriate
enforcement action should be initiated against noncomplying sources.

     We believe that a "presumed compliance policy" is a  fair assumption
and will encourage regional consistency in the SIP process.  If you have
an objection to this approach or wish to propose an alternative approach,
please advise me.

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Section 129: Nonattainrnent Areas
                                                 N)
                                                 CO
                                                 o
                                                 -+>
                                                 —1\
                                                 tn
                                                 CD
                                                 t-f
                                                 CO

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Section 129: Nonattainment Areas
PN129-78-07-03-002
     INTERNAL OFFSETS FOR RACT CATEGORIES

PN129-77-10-26-001
     BILL STEWART PtEftO REPLY BY D. HAWKINS
       REs OFFSETS POLICY

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              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                        Washington, D. C.  20460              PN-129-78-07-03-002
                            tM   :«  iCtfft                Office of
                           Jl/L   c» .JJ?/.«         ..      , ...  __  ..
                                                Air and Waste Management


SUBJECT:    Internal Offsets for RACT Categories

FROM:       David G. Hawkins, Assistant Administrator
              for Air and Waste Management

MEMO TO:    Robert L. Duprey, Director
            Air and Hazardous Materials Division,  Region V

     Your May 18, 1978, memo concerning internal offsets for RACT cate-
gories has been reviewed and discussed with other headquarters offices.
agree with your positive benefits from allowing "internal offsets" for
those facilities (plants) which can use it.

     If the following conditions are met, I would see no reason why a
SIP would be disapproved for using "internal offsets."

     1.  In the case of source category specific regulations, each regu-
lation must consist of the RACT regulation consistent with the Control
Techniques Guideline (CTG) for that category.  In  the case of source
specific regulations, individual regulations for a source category can
deviate from the RACT value, provided total control of processes within
that source is consistent with the RACT for the categories covered.  For
VOC sources, only source categories covered by a CTG document could be
included within a "RACT bubble."  Also,  a RACT bubble that covers several
source categories (e.g., coaters and degreasers) could only be allowed
if the 1979 SIP demonstrates attainment by 1987 using measures firmly
committed to in the 1979 SIP.

     2.  To alleviate the potential enforcement problems associated with
internal offsets, individual source category emission limits within a
RACT bubble would have to be in the SIP and met at all times.

     3.  Once the individual source emission limit is set, it cannot be
changed without a SIP revision.

     4.  Finally, as you suggested, the tightening of RACT and the
elimination of the "internal offsets" in the 1982  submittal must not
be precluded.

cc:  Director, Air and Hazardous Materials Division, Region I,
       III, IV, VI-X
     Director, Environmental Programs Division, Region II
     L. Wegman
     J. Rasnic

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              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                        Washington, D. C.  20460             PN-129-77-10-26-001
                             OCT 26> 1977             Office of
                                               Air and Waste Management
Mr. Bill Stewart
Executive Director
Texas Air Control Board
8520 Shoal Creek Boulevard
Austin, Texas  78758

Dear Mr. Stewart:

     We have reviewed the resolution of the Texas Air Control Board
(TACB)  (Resolution R77-3) enclosed in your letter of September 22,  1977.
Although the resolution adequately reflected the requirements for granting
a waiver to the offset procedures under Section 129(a)(2) of the Clean
Air Act of 1977, the Administrator must make a finding of equivalency
based on the record.  Therefore, the record must be complete before we
can take final action.  A review of information currently available to
the Administrator has identified several deficiencies.  In order to
complete the record, the TACB must provide:  a demonstration of equiv-
alency between the TACB Regulation and the offset procedure, special
inventories, procedures for determining lowest achievable emissions rate
(LAER), evidence that regulations requiring reasonably available control
technology (RACT) for existing sources are enforceable, and identifica-
tion of the nonattainment areas to be included under the waiver.

     For purposes of the waiver request, the following demonstrations
and information must be provided:

     1.  An emissions inventory must be submitted for each nonattainment
area showing the emissions allowed under the State Implementation Plan
(SIP) by category of major stationary source.  The emissions inventories
used for SIP development which reflect actual emissions are not acceptable.

     2.  For each nonattainment area, a second inventory which shows the
projected allowable emissions inventory for January 1, 1979, must be
submitted.  This inventory must be based on the projected major source
growth  for the area and the applicable SIP regulations.

     3.  Based on these two emissions inventories, a demonstration which
shows that the TACB programs would provide for the same level of emission
reductions as would result from the application of the offset policy,
must be submitted.

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     4.  The TACB must submit enforceable regulations requiring LAER on
all new major sources.  LAER as defined by the Act means:  (a) the most
stringent emission limit which is contained in the SIP of any State for
such class or category of source; or (b) the most stringent emission
limit which is achieved in practice by such class or category of sources,
whichever is more stringent, but in no case less restrictive than an
applicable new source standard of performance for such a source.

     5.  The enforceable regulations requiring RACT for each class or
category of existing major sources contained in the inventory must be
identified.  RACT for the purposes of obtaining an offset waiver will be
broadly interpreted and is not necessarily the same as RACT for the 1979
SIP submittal.  A formal notification of State enforcement of all SIP
regulations (including, for example, Federally promulgated Stage I
Gasoline Marketing Regulations) must be submitted.

     6.  A clear description of the nonattainment area to be included
under the request for waiver must be provided.  The definition of non-
attainment for the purposes of the waiver application may be found in
Section 171 of the Act.

     Details of reporting progress, review of permits by this Agency,
and determination of compliance with annual reduction requirements will
be provided by the Regional Administrator.

     If you have specific questions, concerning the waiver requirements,
please contact the Regional Office (Mr. Jack Divita, 214-749-3837) or
the Control Programs Development Division in Durham, North Carolina
(Mr. Charles Pratt, 919-541-5365).

                                  Sincerely yours,
                                  David G.  Hawkins
                               Assistant Administrator
                            for Air and Waste Management
cc:  A.  Harrison, Region VI

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Section 165: Preconstruction Requirements
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Section 165: Preconstruction Requirements
PN165-80-02-26-005
     IMPLEMENTATION OF PSO ADMINISTRATIVE  STAY

PN165-80-02-08-00*
     CONDITIONAL LANGUAGE FOR PSD PERMITS

PN165-79-07-03-003
     CONDITIONAL LANGUAGE FOR PSD PERMITS

PN165-79-01-10-002
     BACT DETERMINATION FOR POWER PLANTS SUBJECT
       TO REVISED NSPS

PN165-78-12-22-001
     BACT INFORMATION FOR COAL-FIRED POuER  PLANTS

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   DATE:
SUBJECT:
 FE fa'2 6 1980
                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                     Office of Air Quality Planning and Standards
                     Research Triangle Park, North Carolina 27711
PN-165-80-02-26-005
         Implementation of PSD Administrative Stay
   FROM:
     TO:
Walter C.  Barber, Director
Office of Air Quality Planning and Standards

Regional  Administrator, Regions I-X

     On February 12, 1980, I sent you  a  memorandum advising you of the
administrative stay of the June 1978 PSD regulations  and  of the need to
assure that the monitoring provisions  are adequately  complied with by
PSD applicants.  I also indicated that more specific  guidance on what
the stay meant would be forthcoming; that is  the  purpose  of this memo.

     All  possible questions cannot be  answered  in a short guidance
document.   This memorandum provides merely an overview  of the evaluation
that must be made and should resolve some questions.  Our New Source
Review Office is available to help in  unique  situations,  but please keep
in mind that specific applicability determinations are  the responsibility
of the Division of Stationary Source Enforcement  in Washington.

     In general, a two-level test is given to a proposed  source to
determine the need for PSD review.  First, it is  necessary to determine
whether the June 1978 PSD regulations  would apply to  the  source independently
of the stay.  If they would not,  then  the source  does not need a PSD
permit.  If they would, then it is necessary  to determine whether the
stay so limits the applicability  of the  regulations as  to exclude the
source from PSD review.  The stay would  exclude the source, if the
source (1) would not be "major" under  the amendments  to the June 1978
regulations which EPA proposed in September 1979  or (2) would be located
in an area designated nonattainment for  each  of the pollutants for which
the source would be "major" under the  proposal.  If the stay would
exclude the source, then it does  not need a PSD permit.  In short, as
the stay itself states, "a source or modification would not be subject
to PSD review if either the 1978  PSD regulations  would  not apply to it
or this stay applies to it."
              The  process  of  deciding whether a particular source or modification
         would be  "major"  under  the  September proposal should generate questions,
         since it  will  require interpretation of provisions which are both new
         and  unrefined.   In general, a  source or modification would be "major"
         under the proposal if it  meets  the criteria described in the attached
         interim rules.

         Attachment

         cc:   Director,  Air and  Hazardous  Materials Division, Regions I-X
              Director,  Enforcement  Division, Regions  I-X
              Director,  Surveillance and Analysis  Division, Regions I-X
              Peter Wyckoff
              Steven Kuhrtz
              Edward Tuerk
EPA Form 1320-6 (Rev. 3-76)

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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                       Office of Air Quality Planning and Standards
                       Research Triangle  Park, North'Carolina  27711
   DATE  FEB  8 1980

SURJECT:    Conditional Language for PSD Permits                      PN-165-80-02-08-004


   FROM     Richard G. Rhoads, Director
           Control Programs Development Division

     T0:    Director, Air and Hazardous Materials Division,  Regions  I-X

                The recent Court decision in the case of Alabama  Power v. Costie
           has significant impact on the  PSD program.   On July 3,  I sent you a
           memorandum suggesting language to be  included in a  permit  package to
           advise applicants of possible  risks  in proceeding with  construction.
           Such language is still appropriate  in modified form.  The  following
           revised paragraph is recommended for inclusion in the  permit and the
           cover letter transmitting it to the applicant:

                "The United State Court of Appeals for  the  D.  C.  Circuit
                 has issued a ruling in the case of Alabama Power  Co. vs.
                 Douglas M. Costle (78-1006 and consolidated cases"T~which
                 will have significant impact  on the EPA prevention of
                 significant deterioration (PSD) program.   The applicant
                 is hereby advised that this  permit may be  subject to
                 reevaluation as a result of the final  Court decision and
                 its ultimate effect."

           cc:  Air Branch Chief, Regions I-X
                New Source Review Contact, Regions I-X
                David Hawkins, OANR
                Peter Wyckoff, OGC
                Rich Biondi, DSSE
     orm 1320-6 (Rev. 3-76)

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                  ENVIRONMENTAL TROTECTION AGENCY


 JUL   3 19
^   ,.J..   , ,         f   Bcn n   ..                             PN-165-79-07-03-003
Conditional Lan.guage for PSD Permits


Richard G. Rhoads, Director
Control Programs Development Division


Director, A1r and Hazardous Materials Division, Regions I-X


     As discussed at the Air Directors'  meeting in Cincinnati,  the recent
court decision in the case of Alabama Power v.  Costle has  significant
impact on the current PSD program.   Although the court has stayed the
effect of Its decision pending resolution of petitions for reconsideration,
it  is now clear that the final opinion will still materially affect our
PSD procedures and permits.  Moreover, it is unclear what  the effect
of  the decision will be (i.e., to what extent the decision will be
retroactive).

     It will be prudent to advise applicants which propose to meet the
requirements of the current PSD regulation that sore uncertainties exist
so  that they may decide whether to risk proceeding with construction.   The
following language is recorrmended for inclusion 1n the permit and the
cover  letter transmitting it to the applicant:

     "The United States Court of Appeals for the D.C. Circuit
       has issued a ruling in the case of Alabama Power Co. vs.
       Douglas M. Costle (78-1006 and conscHMdated cases) which
       has significant impact on the EPA prevention of significant
       deterioration (PSD) program and permits issued thereunder.
      Although the court has stayed its decision pending resolu-
      tion of petitions for reconsideration, it is possible that
      the final decision will require modification of the  PSD
       regulations and could affect permits issued under the
      existing program.  Examples of potential  impact areas include
       the scope of best available control technology (BACT) , source
       applicability, the amount of increment available
       (baseline definition), and the extent of preconstruction
       monitoring that a source may be required to perform.  The
       applicant is hereby advised that this permit may be
       subject to revaluation as a result of the final court
       decision and its ultimate effect.

cc:  Air  Branch Chief, Regions I-X
     New  Source Review Contact, Regions I-X
     David Hawkins, OA.NR
     Peter Wyckoff , OGC
     Rich  Biondi , DSSE

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    ATE'



SUBJECT:




   FROM:





     TO:
         UNITED STATES ENVIRONMENT/ L PROTECTION AGENC0


JAN 10 1979

BACT Determinations for Power Plants Subject to Revised NSPS
                                                             PN-165-79-01-10-002

Walter C. Barber, Director
Office of Air Quality Planning and Standards

Deputy Regional Administrator, Regions I-X

     It has come to my attention that some confusion may exist relative
to the applicability of the proposed new source performance standard (NSPS)
for steam electric power plants to the PSD permitting process.  The PSD
program requires a determination that new power plants employ best
available control technology (BACT) which is defined on a case-by-case
basis and can be no less stringent than the applicable NSPS.  Thus, for
new power plants where the proposed NSPS identifies the applicable
standard, all PSD permit decisions regarding BACT and application com-
pleteness should be made to reflect at least the level of stringency
contained in this proposal.

     At the time of proposal, Administrator Costle indicated that no
final decision had been made as to the appropriate stringency of the
standard and that he would base the final  rule on the record developed
during the public comment period.  Mr. Costle -further indicated that
he was proposing the stringent alternative, in part, because it would
be easier to design down to a less stringent promulgation than it would
be to design up to a more stringent standard.  Accordingly, BACT decisions
made prior to promulgation which require control equal to that contained
in the proposal should be reviewed against the final standard to determine
if alternative (less stringent) controls would be more appropriate.
Of course, any more stringent standards required by the promulgated rule
would also establish a new technology baseline for the relevant portion
of the BACT determination.

cc:  D. Hawkins
     Director, Air & Hazardous Materials Division, Regions I-X
     R. Rhoads
     S. Kuhrtz
     I. Artico
     B. Steigerwald
     M. Fast
     D. Borchers
     E. Tuerk
 EPA Form 1320-6 (R.v. 3-76)

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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                                                                       PN-165-78-12-22-001
  DATEOEC 22 1378
SUBJECT:   BACT Information for Coal-fired  Power  Plants


  FROM:   Walter  C.  Barber, Director
         Office  of  Air Quality Planning and  Standards  (MD-10)

    TO:   Director,  Air & Hazardous Materials  Division,  Regions I-X

              Currently, there seems  to be some confusion  regarding how much
         information  is required  in order to  make BACT  determinations  for power
         plants. Such confusion  has  created  situations where  one Region may have
         conditionally approved a power plant's construction plans while another
         would not.  This memo is intended to provide  an example of the type and
         amount  of  information required from  power  plant applicants in order to
         determine  whether the source is  applying BACT.

              Under the new PSD regulations,  BACT is necessarily decided on a
         case-by-case basis after weighing relevant socio-economic costs and
         environmental impacts.  Consequently,  information must now be submitted
         by  a PSD source describing its plans for control  equipment in sufficient
         detail  so  as to define the plant-specific  BACT limit.  As indicated in
         separate guidance for making case-by-case  BACT determinations, the
         utility is also required to  demonstrate that  the  proposed controls are
         not less stringent than  the  applicable NSPS and that  more stringent
         control alternatives are not appropriate.

              While the new PSD regulations  require a  reasonable degree of
         assurance  that the source can and will install BACT,  they also permit
         the Agency to establish  a system for initial  BACT review followed by a
         more detailed control equipment  analysis.  While  such a system does not
         relieve the  source from  its  responsibility to  demonstrate to  the Agency
         that it is applying BACT, it does act  to streamline the review process
         and minimize the delays  incurred by  power  plants  which cannot supply
         ultimate equipment designs and blueprints  at  the  time that a  permit to
         construct  is secured. This  system will also  provide  the utility with
         sufficient flexibility to take advantage of expected  improvements in
         control technology.

              The key question then becomes  how much information is necessary to
         establish  the BACT limit during  the  initial preconstruction review. In
         general the  information  should include the preliminary engineering and
         plant design criteria which  will constitute the basis for soliciting and
         reviewing  vendor proposals for control equipment.   In addition, an
         example should be included which specifies how the  preliminary design
         criteria would be applied to the particular plant in  question or to a
         similar facility where the design has  been completed  and the  exact
         detailed specifications  are  available. Where  a utility has not settled
         on  a single  control  system,  it may  submit  alternatives for review.

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     Attachment A is provided as an example of the type of information
which can be used both to define a specific BACT emission limit and to
assess whether the plant can be reasonably expected to meet this limit.
Power plants can be permitted when this initial information confirms
that BACT will be employed and that the applicable ambient constraints
will be met.  This approach must be conditioned on the company's later
submission of final detailed engineering design specifications prior to
commencement of construction of the control equipment.  While the final
engineering design and vendor specifications will vary from the preliminary
information, the utility must show it to be equivalent in performance
and reliability established as BACT in the initial determination.  These
variations may include basic changes in equipment design such as a shift
from an ESP to a baghouse, a change from a lime/limestone scrubber to a
regenerable scrubbing system or a change in the design approach to
insuring reliability.

     All of the information outlined in Attachment A may not be available
and is not required in all instances.  The reviewing authority should
seek only those data elements which are necessary to support air engineering
judgment that the proposed system will perform reliably at the specified
emission rates.

     Since the submission of the final engineering design specifications
is a condition of the permit, this would not constitute a reopening of
the permit process, and I do not see the need for an opportunity for
public comment on this material.  However, I do recommend that the
approval notice contain the location and approximate time period in
which this final design information would be available.

     The above guidance represents some change for several  Regions.
Therefore, I am requesting that during 1979 you submit to OAQPS your
BACT determinations for SCL from coal-fired power plants (together with
the applicable BACT information identified in Attachment A)  for review
prior to your preliminary determination.   If some of your States are
making these BACT determinations, I ask that you send us the appropriate
BACT information before they make their final determination.  The above
information should be sent to Mike Trutna (629-5497) who will  coordinate
OAQPS's activities regarding these determinations in the near future.
Suggestions on additions or modifications to this guidance also should
be addressed to Mr. Trutna.

Attachments

cc:  Director, Enforcement Divisions, Region I-X
     D. Hawkins
     R. Rhoads
     M. James
     E. Reich
     E. Tuerk

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                    PRELIMINARY BACT INFORMATION*

A.  GENERAL INFORMATION

     l.a.  Name of Power Plant and Parent Company
       b.  Name, address, phone no. of company contact
     2.  Location of Source

         a.  City	  b.  State 	

B.  STEAM GENERATOR'DATA

     1.  Type of boiler (manufacturer,fiif known)
     2.  Size of boiler (heat input 10° Btu/hr)

C.  FUEL DATA

     Provide long term averages and ranges for specified short term and
long term averaging periods for the following (1-6):

     1.  Primary fuel (coal or oil)
     2.  Start up fuel
     3.  Alternate fuels
     4.  Brief description of what fuels will be fired including
         estimated percentage heat input
     5.  Solid fuel data (all solid fuels to be fired)
         a.  Ultimate analysis (as burned) % by weight sulfur
             also include chlorine, ash, moisture and gross heating
             value (Btu/lb)
         b.  Estimated resistivity of particulate as a function of gas
             temperature (if known)
         c.  Estimated ash analysis (% by weight - dry)
     6.  Particle size analysis for ash
     7.  Liquid fuel'data (all liquid fuels)
         a.  Type and grade
         b.  Density (Ib/gaTlon)
         c.  Gross heating value (Btu/gallon)
         d.  Ash content (percent by weight)
         e.  Sulfur content  (percent by weight)
         f.  Nitrogen content (percent by weight)
         g.  Moisture (percent by weight)
         h.  Will additives by used?  If so, furnish data on chemical
             composition and approximate quantitites (percentage of
             total fuel  to be used).
     8.  Is a contract signed for the coal?  If no contract is signed,
         we would need the information for questions 1-6 for all coals
         that are being contemplated for usage and percentage usage where
         coals are to be blended.

*Note that not all information may be available in all cases.  Information
 requirements should be adjusted as appropriate to fit the circumstances
 of the applicant at time of permit application.

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D.  PRECIPITATOR DATA
Part I - Preliminary design or design criteria
     1.  Design emission rate (Ibs/mBTU) for participate matter (before
          and after proposed controls)
     2.  Total gas flow from steam generator at full load and at ESP
          operating temperature (ACFM)
     3.  ESP operating temperature (±F) range
     4.  Number of separate ESP modules under consideration
     5.  Approximate specific collection area (SPA)
     6.  Number of separate electrical sections for each module under
          consideration.
     7.  Type of power control and instrumentation
     8.  Estimated linear velocity of gas through each module at full
          load (actual feet/sec) or range of acceptable velocities
     9.  Briefly describe techniques used to ensure uniform linear
          velocity within ESP.
    10.  Nature and terms of performance guarantee
    11.'  Briefly describe system used to remove and convey collected
          ash to final disposal.
Part II - Reference plant example
     1.  General  flow diagram for the precipitator
     2.  Provide design criteria or preliminary engineering data for the
          major elements of'the ESP for the particular plant under
          consideration or a similar plant where the major elements have
          been designed and detailed specification are available.

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E.  BAGHOUSE DATA
Part I - Preliminary design or design criteria
     1.  Design emission rate (Ib/mmBtu) for participate matter (before
          and after proposed controls)
     2.  Estimated total gas flow from steam generator at full  load and
          at baghouse operation temperature (ACFM)
     3.  Baghouse operation temperature (±F) range
     4.  Number of 'separate baghouses
     5.  Number of isolated compartments per baghouse
     6.  Design criteria for air to cloth ratio or range of acceptable
          ratios (Cloth area divided by total  ACFM)
     7.  Cloth description
     8.  Type of bag cleaning under consideration and subsequent cleaning
          controls
     9.  Strategy for detecting and replacing  faulty bags
    10.  Description of ash handling and disposal system
    11.  Nature and terms of performance guarantee

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Part II - Reference plant example

     1.  General flow diagram for the baghouse

     2.  Provide design criteria or preliminary engineering data for the
          major elements of the baghouse for the particular plant under
          consideration or a similar plant where the above elements have
          been designed and detailed specifications are available.

F.  SULFUR DIOXIDE SCRUBBER DATA

Part I - Preliminary design or design criteria

     1.  Design emission rate (Ib/mm Btu) of SOp (before and after
          proposed controls)
     2.  Design data or criteria for the scrubber modules to include:
          - scrubber type (TCS, spray tower, etc.)
          - absorbent type
          - possible scrubber liquor additives (e.g., mg)
          - prescrubber design criteria, or acceptable ranges for 1/g,
            inlet and outlet chloride, etc.
          - design criteria for acceptable ranges for inlet and oulet
            gas flow and temperature and volume percent HpO, Op, and SOp
          - specific design criteria or acceptable ranges for fiquid/gas
            ratio
          - estimated scrubber gas velocity
          - design criteria or acceptable range for scrubber inlet and
            outlet pH
          - design criteria or acceptable range of pressure drop across
            the scrubber (inches of H20)

     3.  For turbulent contact absorber (TCA) also supply:
          - design criteria or acceptable ranges for diameter of spheres
          - design criteria or acceptable ranges for the height of
            sphere in TCA
          - design criteria or acceptable ranges for number of grids or
            screens in TCA

     4.  Indicate total number of scrubber modules and number of spare
          modules during maximum boiler loading.

     5.  What special precautions will be taken with module internals
          and other components (pumps, mist eliminators, fans, etc.) to
          ensure that corrosion, scaling, and plugging does not cause failure
          of the system^

     6.  What special precautions will be taken with the control
          systems, e.g., spare probes, probe site location, probe sheaths,
          backup instrumentation to ensure that failure will not lead to
          excess emissions or fouling of components via scaling?

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     7.   How will  other key variables,  such as process stoebiometry,
          liquid to gas ratios (1/g),  etc., be monitored to ensure
          good operations?

     8.   Indicate which key components  of the scrubber will be spared,
          e.g., pumps, fans, nozzles,  etc.

     9.   Location and mechanism of reheat,  auxiliary fuel requirements,
          and percentage of exhaust gas reheated.   If reheat will  not be
          performed, indicate what measures are being taken to eliminate
          stack corrosion or provide data to verify that stack corrosion
        .  will not be a problem area.

    10.   Outline routine maintenance and inspection procedures for the
          scrubber system hardware to ensure continuous and reliable
          scrubber performance.

    11.   Describe the general design standard for  the material to be  used
          and type of mist eliminator system and describe the techniques
          under consideration to guarantee uniform gas distribution across
          the mist eliminator and to the scrubber  modules.

    12.   Nature and terms of performance guarantees

Part II  - Reference plant example

     1.   General flow diagram of the scrubber system including mix tanks
          prequench section, scrubber modules, mist eliminator and reheat.
          General design standards for materials to be used to construct
          above elements.

     2.   Provide design criteria for the major scrubber and system
          components (e.g., pumps, tanks, alkali handling systems, etc.)
          for the particular plant under consideration or a similar
          plant where the above items have been already designed and
          detailed specifications are available.

G.  Other Sulfur control methods*

     I.   Description of control method

    II.   Amount of sulfur removal credit

These "other sulfur control methods" are those designed to augment S02
scrubbers in order to achieve a given rate of SOo  removal.  An example
of such a method would be coal cleaning.

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Section 171: Part D — Definitions
                                                 D
                                                 cr>
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Section 171: Part D—Definitions
PN171-79-05-18-001
     IMPLEMENTATION OF REASONABLE FURTHER PROGRESS
       (RFP) REQUIREMENTS

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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

          MAY  t 8  '375                                              PN-SL71-79-05-18-001
   DATE:
SUBJECT: Implementation of Reasonable Further Progress  (RFP) Requirements
   FROM: Walter C. Barber, Director
        Office of Air Quality Planning and Standards
     TO:
       ; Regional Administrator, Regions I-X

             Over the recent weeks, substantial concern has been expressed
        regarding the resources that may be necessary to monitor compliance
        with RFP requirements which must be contained in the 1979 State
        Implementation Plans.  In this regard, OAQPS has been requested to
        develop and provide computer programs to facilitate the monitoring of
        RFP.  The purpose of this memorandum is to describe an approach to RFP
        tracking which is relatively simple and which does not require a computer
        application.

             The first step in the RFP process is to determine the yearly
        emission reduction milestones to be achieved.  Many of these will be
        clearly stated in the SIP submittal; however, where this is not the
        case, a simple straight line from the base line SIP emission inventory
        (total actual emissions) to the 1982 attainment emissions will be sufficient
        in most cases.  The second phase, actual tracking, can be accomplished
        by maintaining a ledger of decreases and increases in total actual
        emissions.  When a source is certified as in compliance with the applicable
        regulations the difference between controlled and precontrolled emissions
        is entered on the decrease side.  When a new source begins operation,
        the increase in emissions is entered on the increase side.  At the con-
        clusion of the reporting period, the difference between the increases and
        decreases is combined with the last year's total inventory (presumably an
        overall decrease) providing the total emission level for the particular
        pollutant.

             The above program is applicable to either an offset SIP or an
        accommodative SIP.   Thus, while the above procedures could be computerized,
        OAQPS does not feel this is required to monitor RFP.

        cc:  Director, Air § Hazardous Materials Division, Regions I-X
             Director, Enforcement Division, Regions I-X
             Richard Wilson, OE
             J.O. Hidinger, OTLUP
 EPA Form 1320-4 (R«v. 3-76)

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Section 172: Nonattainment Plan Provisions
                                                -sj

                                                S3
                                                o
                                                x


                                                O
                                                o

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Section 172: Nonattainment Plan Provisions
PN172-80-01-23-025
     STANDARDIZED LANGUAGE  (RE:  SIPS  FOR  SOLVENT
       CONTENT OF EMULSIFIED  ASPHALTS)

PN172-80-01-17-024
     DATA COLLECTION UORKPLANS  FOR  1982 OZONE SIPS

PN172-79-12-12-023
     EXEMPTIONS FOR DEGREASERS

PN172-79-11-14-022
     DATA COLLECTION FOR  1982 OZONE  IMPLEMENTATION
       PLAN SUBMITTALS

PN172-79-10-04-021
     CLARIFICATION FOR  FINAL  SIP ACTIONS  ON  ASPHALT
       REGULATIONS

PN172-79-08-22-020
     STATE IMPLEMENTATION PLANS/REVISED SCHEDULES
       FOR SUBMITTING RACT  FOR  STATIONARY SOURCES
       OF VOLATILE ORGANIC  COMPOUNDS

PN172-79-08-21-019
     STATE IMPLEMENTATION PLANS:  GENERAL  PREABLE  FOR
       PROPOSED RULEMAKING  ON APPROVAL OF PLAN  REVISIONS
       FOR NONATTAINMENT  AREAS  - SUPPLEMENT  (ON REVISED
       SCHEDULES FOR SUBMISSION  OF  VOLATILE  ORGANIC
       COMPOUND RACT REGULATIONS)

PM172-79-06-20-018
     MODIFICATIONS TO RECOMMENDATIONS FOR SOLVENT
       METAL CLEANING

PN172-79-05-25-017
     CLARIFICATION OF AGENCY POLICY  CONCERNING  OZONE
       SIP REVISIONS AND  SOLVENT  REACTIVITIES

PN172-79-05-25-016
     SUBMISSION OF STATE  AIR PERMITS AS SIP  REVISIONS

PN172-79-05-21-015
     DRAFT LANGUAGE —  PREAMBLES  FOR SIP  PROPOSALS
       AND APPROVALS

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PN172-79-03-06-014
     CUTBACK ASPHALT VOC REGULATIONS

PN172-79-02-21-013
     DETERMINATION OF  REDUCTIONS  NECESSARY  TO ATTAIN
       THE OZONE STANDARD

PN172-79-01-16-012
     CONTINUITY OF SIP REGULATIONS  —  REVISED ENCLOSURE

PN172-78-11-03-011
     CATE60RIAL COMPLIANCE  SCHEDULE FOR  VOC SOURCES

PN172-78-11-01-010
     GUIDANCE ON SIP REQUIREMENTS CONTAINED IN
       SECTION 172

PN172-78-10-26-009
     OZONE TRANSPORT VALUES  FOR SIP REVISIONS

PN172-78-10-06-008
     COMMENTS ON AUTO  INDUSTRY PROPOSALS

PN172-78-09-11-007
     CONTINUITY OF SIP REGULATIONS.

PN172-78-08-24-006
     CLARIFICATION OF  EPA POLICY  ON EMISSIONS OF
       METHYL CHLOROFORM

PN172-78-08-16-005
     CLARIFICATION OF  ATTAINMENT/NONATTAINMENT EVALUATION
       GUIDANCE

PN172-78-08-04-004
     REQUIREMENT FOR VOC RACT REGULATIONS IN ALL
       OXIDANT NONATTAINMENT AREAS

PN172-78-06-30-003
     VAPOR RECOVERY REGULATIONS REQUIRED TO MEET  RACT
       REQUIREMENTS FOR THE  1979  SIP

PN172-78-03-10-002
     EXAMPLE DEMONSTRATION  OF ATTAINMENT FOR
       PHOTOCHEMICAL OXIDANTS

PN172-78-02-02-001
     IMPLEMENTATION OF  REASONABLY AVAILABLE CONTROL
       TECHNOLOGY (RACT) ON HYDROCARBON  STATIONARY
       SOURCES

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                  UNITED STATES ENVIRONMENTAL PROTECTION AGENCY


   ATP   2 ,'J  JAN 1980

 BJECT   Standardized Language                                        PN-172-80-01-23-025


  FROM:  G. T. Helms, Chief
        Control  Programs Operations Branch  (MD-15)

    TO:  Chief, Air Branch, Regions I-X

            Because of the frequency of comments from the Asphalt Emulsion

        Manufacturers Association and the State of New Jersey on solvent con-

        tent of  emulsified asphalts and ozone SIPs, respectively, my office

        and  the  Office of General Counsel have prepared the attached sample

        language for your use in preparing Federal Register notices for SIPs

        where final actions are still pending.  Please call Mary Ann Muirhead

        of OGC  (755-0744) or Bill Beal of my office (629-5365) if you have any

        comments or questions on this material.

        Attachments

        cc:  Mary Ann Muirhead, OGC
EPA Form 1320-6 (Rev. 3-76)

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            Suggested Response to Cominents from the Asphalt
                  Emulsion Manufacturers Association

     Comments were also received from the Asphalt Emulsion Manufacturers
Association (AEMA) concerning the availability of emulsified asphalts
with low solvent content for all applications in all regions of the
country.  Although some of the issues raised are not relevant to the
	plan, EPA is notifying the public of its response to these
comments at this time.  AEMA's main point is that no general rule
regarding solvent content of emulsified asphalt for the nation is
possible because of varying conditions.  AEMA urges that EPA accept each
State's emulsion specifications as RACT.  AEMA also incorrectly concludes
that EPA has been using a figure of five percent as nationwide RACT for
maximum solvent content in emulsified asphalt.

     EPA recognizes that varying conditions may require different solvent
content asphalts.  RACT for asphalt should be determined on a case-by-case
basis in order to take varying conditions into account.  Therefore, EPA
has not set a nationwide standard for the solvent content of emulsified
asphalt.  However, EPA has accepted a five percent maximum solvent con-
tent regulation where a State has chosen to submit an across-the-board
regulation for emulsified asphalt, rather than develop case-by-case
RACT.  The intent of EPA guidance has been for States to speci-fy in the
regulations, and justify, those emulsions and/or applications where
addition of solvent is necessary.  Since RACT can be determined on a
case-by-case basis, States are free to specify necessary solvent con-
tents on the basis of application or asphalt grade.  Where a State
demonstrates that these are RACT, EPA will approve the regulations.  The
following maximum solvent contents for specific emulsified asphnlt
applications have appeared in CPA guidance and are based on ASTM, AAS1ITO,
and State specifications and on information recently received from the
Asphalt Institute.

               Use                      Max. Solvent Content

Seal coats in early spring or
   late fall                                      3%
Chip seals when dusty or dirty
   aggregate is used                              3%
Mixing w/open graded aggregate
   that is not well washed                        8%
Mixing w/dense graded aggregate                 12%

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                  Suggested Response^to New Jersey's

                        Comments on Ozone SIPs

     The State of New Jersey submitted comments on the proposed Part D
ozone SIP revisions for several States.  New Jersey contends that SIPs
which do not include uniform Statewide controls for existing and new
sources which meet the requirements of Part D will not attain the ozone
standard.  New Jersey urges the Administrator to disapprove ozone SIPs
which do not include such Statewide measures.  The State of	,
however, has adopted measures including Statewide RACT regulations for
existing sources and has demonstrated in its plan that the ozone standard
will be attained before the statutory deadline of December 31, 1982.
Moreover, New Jersey has not made a specific showing that 	's
SIP will not attain standards.  Therefore,  the Administrator has no
basis for disapproving 	's SIP.

     In addition, New Jersey argues as it did in objecting to the
Administrator's ozone nonattainment area designations that entire
States should be designated nonattainment,  thereby requiring Part D SIP
revisions Statewide.  The Administrator considered all of New Jersey's
objections to the designations and responded in the document entitled
"Technical Support Document for Agency Policy Concerning Designation
of Attainment, Unclassifiable, and Nonattainment Areas for Ozone"
January 1979.  Availability of this document was announced in the
February 1,  1979 Federal Register  (44 FR 6395).  This document and the
Administrator's response to New JerseyT comments are incorporated
herein by reference.

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                  UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                     Research  Triangle  Park,  North Carolina  27711


  DATE: -JAN 1? ;98G                                             PN-172-80-01-17-024

   T-CT Data Collection Workplans for 1982.Ozone SIPs


  FROM: Walter c> Barber, Directon
       Office of Air Quality Planning and Standards (MD 10)
    TO:
      : Director, Air and Hazardous Materials Division, Regions I-X


            On October 23, 1979, David Hawkins sent to t'.e Regional Administrators
       a memorandum discussing the data the Agency anticipates will be necessary
       to prepare the 1982 ozone SIP revisions required by the Clean Air Act.
       As was indicated in this memorandum, it is essential that data collection
       programs be initiated immediately.  I cannot overemphasize the importance
       Mr. Hawkins places on having adequate inventory and air quality data as
       a part of the 1982 SIP.

            It is evident that a number of areas will not be able to collect
       all the suggested data during 1980.  In addition, it is also likely that
       some adjustments will be made to the level of analysis required for
       individual areas.  However, regardless of which models are ultimately
       applied for the attainment demonstration in the 1982 ozone plan revisions,
       representative data are essential to developing credible air quality
       management plans.  I cannot envision a circumstance where a 1982 SIP
       will be approvable without timely and accurate inventory and air quality
       data.

            In order to ensure that data requirements are understood and will
       be met, each Region is asked to prepare, in consultation with the States,
       data collection workplans for each of the urban areas identified as
       needing a 1982 SIP revision.  These plans should reflect realistic
       consideration of the capabilities of the States and local agencies to
       perform the requisite tasks.

            Workplans now being finalized in the urban areas in the Northeast
       Corridor will be sufficient for these areas.   For all other urban areas,
       in order to assure that at least the minimum necessary data to prepare a
       1982 submittal are available, I recommend that a staged plan be developed.
       Basic  air quality and emissions data should be collected as expeditiously
       as practicable  (preferably in 1980).  As a minimum, these basic data
       must include a timely and accurate seasonally-adjusted annual inventory
       of VOC and NO  and related air quality data as called for to support the
       level  3 demonstration.  This does not relieve  States of the requirement
       to continue developing a Level 1 or 2 data base for those cities that
       have been provided Section 105 and 175 grant funds for these efforts.
        In these cases, the higher level data base should generally be available
       by mid-1982.
cfA fo,m 1320-6 (Rev. 3-76)

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     The workplan should include:   a description of the existing data
base, the efforts required to complete the data base, the entity (State
agency, MPO, contractor, EPA) which will complete the effort,  the date
of completion, and the resources to be expended.  Careful consideration
should be given to identifying those 105 and 175 funds explicitly delineated
in the FY 80 grant awards for data collection efforts.  It may be appropriate
to redeploy some of the funds programmed for detailed data collection in
Level 1 or 2 cities to areas where funding is insufficient to  complete
the required tasks.  A copy of this workplan should be forwarded to me
by March 15, 1980.  If there are any questions regarding these workplans,
please contact John Calcagni at (FTS) 629-5365 in the Control  Programs
Development Division (MD 15).

cc:  Chief, Air Branch, Regions I-X
     Director, Surveillance and Analysis Division, Regions I-X

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

DATE:  L)hC .liJ 19/9
                                                                  PN-172-79-12-12-023
 .EOT:  Exemptions for Degreasers


FROM:  Richard G. Rhoads,  Director
      Control Programs  Development Division  (MD-15)

  TO:  Director,  Air and Hazardous Materials Division,  Regions  I-X

           It has come  to my attention  that some States  are including a weight
      rate exemption in degreasing VOC  regulations applicable  to urban nonattain-
      ment areas (>200,000 population)  that cannot demonstrate attainment  by
      1982o   For example, some States have  included a  15 Ibs/day and/or
      3 Ibs/hour weight exemption that  effectively exempts  from control cold
      cleaners (batch operated, nonboiling  solvent degreasers  typically found
      in automotive repair facilities).

           A telephone  survey of  Regional Offices  has  indicated that, in some
      instances, where  weight exemptions for degreasers  have been  included in
      draft regulations,  the States have revised the regulation to delete  the
      exemption.  States, such as Colorado, Delaware,  and Wisconsin are included
      in this category.  In other States, the weight exemption for degreasers
      has been cited as a deficiency in the State  Implementation Plan (SIP) by
      the Regional  Offices.  Conditional approval  of the SIP has been given to
      the States pending  exclusion of the weight exemption  from the degreasing
      regulation.  States, such as Connecticut, Virginia, and  Tennessee are in
      this category.  In  the majority of cases, States have not included a
      weight exemption  in degreasing regulations.

           The degreaser regulation policy  guidance cited in my memorandum of
      September 7,  1978,  to the Air and Hazardous  Materials Division Directors,
      states that for urban nonattainment areas across the  board exemptions
      for small  sources (e.g., 3  Ibs/day) should not be  approved.   However,
      conditional approval may be appropriate where the  State  agrees to
      remove the exemption.  This policy guidance  is reaffirmed.

           Please contact Bill Polglase at  (FTS 629-5251) should you have  any
      questions on this memorandum.
  Form 1320-6 (Rev. 3-76)

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                 Federal  Register  /  Vol. 44, No. 221 / Wednesday, November 14, 1976
                                                                                                     PN-172-79-11-14-022
(FRL 1349-7; Docket A-79-43J

Data Collection for 1982 Ozone
Implementation Plan Submittals
AGENCY: U.S. Environmental Protection
Agency.
ACTION: Notice.

SUMMARY: The Environmental Protection
Agency is initiating efforts which will
lead to  the development of control
strategies and implementation plans to
 attain the ozone National Ambient Air
 Quality Standard by 1987 for those
 areas needing an extension beyond 1982
 in accordance with the requirements of
 Section 172 of the Clean Air Act as
 amended. As a first step in this process,
 the Agency has prepared preliminary
 information and guidance for the
 collection of "emission, air quality, and
 meteorological data. This guidance
 identifies the data presently believed to
 be necessary to complete modeling
 analyses and plan development in the
 time period and to the degree expected
 to be necessary to complete these tasks.
 This guidance should not be construed
 as a requirement in a regulatory sense.
 Rather, it should be regarded as the
 Agency's preliminary estimate of the
 data necessary to prepare a plan. While
 the Agency has already distributed this
 information, primarily for initial
 planning purposes, the Agency is
 soliciting comments on this guidance.
  Docket No. A-79-43, containing
 material relevant to this action is
 located in the U.S. Environmental
 Protection Agency, Central Docket
 Section, Roorh 2903B, 401 M Street S.VV.
 Washington, D.C. 20460. The docket may
 be inspected between 8:00 a.m. and 4:00
 p.m. on weekdays and a reasonable fee
 may be charged for copying.
 FOR  FURTHER INFORMATION CONTACT
 Mr. John Calcagni, Environmental
 Scientist, Environmental Protection
 Agency (MU-15), Research Triangle
 Park, North Carolina 27711, telephone:
 (919) 541-5365.
  Dated: October 24. 1979.

 David G. Hawkins,
Assistant Administrator for Air, Noise, and
 Radiation.
 Environmental Protection Agency
 October 23,1979.
Subject: Data Collection for the 1982 Ozone
Implementation Plan Submiltals.
From: David G. Hawkins, Assistant
Admininslralor for Air. Noise, and Radiation.
 Memo lo: Regional Administrator, Regions
 i-X.
  As you are aware, the Clean Air Act
Amendments of 1M77 require a State which
needs on extension of the aHiiinment dale for
 the National Ozone Ambient Air Quality
Standard lo submit a revision to its
 implementation plan by July 1,1982. A
 principal component of this submittal will be
 the demonstration of attainment. In most
cases, if a State is to prepare its plan revision
in a timely manner, the data collection effort
will have to be completed during the fiscal
year  1980. Hence, it is essential that data
collodion programs be initiated this fall.
  In order to assist you and your States in
preparing the necessary data collection plans
for this effort, a summary of the anticipated
air quality and emission data requirements
for the more comprehensive models is
 attached. (Attachment 1.) In addition, the
 anticipated level of modeling for each of the
 major urban areas (over 200,000 pop. 1970
 census} requesting an extension of the
 attainment date is delineated in
 Attachment 2.
  The data requirements summarized in
 Attachment 1 have been divided into four
 levels based upon four generic types of
 models: [1] Photochemical dispersion models,
 (2) Simplified trajectory models, (3) City-
 specific EKMA. and (4) Standard EKMA. The
 Attachment provides a description of the
 analysis technique, emissions data
 requirements, air quality data requirements,
 and meteorological data requirements for
 each level. These date requirements vary
 depending upon the complexity and
 comprehensiveness of the model. Generally,
 the most severe problem areas will require
 application of the most comprehensive
 models and therefore the most extensive data
 bases. Areas with lesser problems will
 require loss comprehensive models and
 correspondingly simpler data bases.
  With regard to the urban areas delineated
 in Attachment 2 and the level of modeling
 expected, it should be noted that this was
 derived based on consideration of the
 complexity and magnitude of the air quality
 problem as projected by the 1979 State
 Implementation Plan submittals and data
 reviews conducted by Headquarters and
 regional staff. Should there be any
 discrepancies between our expectations for a
 particular city and the State plans for that
 area, it should be discussed with the Office of
 Air Quality Planning and Standards before
 you commit to accept a different level of
 analysis.
  The above efforts will likely result in  a
 need for additional resources beyond those
 included in the FY 80 budgets for those
 agencies responsible for collecting  the data.
 The Agency has made spocial allocations of
 Sections 105 and 175 funds to accomplish the
 above tasks. The Section 105 funds have
 already been allocated to the Regional
 Offices for distribution to the appropriate
 agencies. The Section  175 funds are being
 held in Headquarters and will be allocated to
 each Regional Office for distribution,
 preferably lo Metropolitan Planning
 Organizations. These special funds are being
 provided primarily for level 1 and 2 data
 collection activities. Level 3 and 4 data
 collection should be accomplished within the
 scope of the general Section 105 allocation.
 Final decisions on distribution of funds
 should be based upon  an integrated workplan
 for the 1082 ozonfi SIP.
  In order  to assure thorough disse.-ninntion
 of these  requirements. I am having this
 memorandum published in the Federal
 Register.
 Attachments
 cc: D.  Bickart, Director. Air and Hazardous
    Materials Division, Regions I-X, Director,
    Surveillance and Analysis Division,
    Regions I-X

Attachment 1.—Summary of Data Input
Requirements for Various Levels of Ozone
Modeling
  The following pages provide summaries of
data input requirements for four levels of
ozone modeling analysis:

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65668	Federal Register / Vol. 44, No. 221 /  Wednesday, November 14. 1979  / Notices
  (a) Level I—Photochemical Dispersion
Models
  (b) Level II—Simplified Trajectory Models
  (c) Level III—Photochemical Dispersion
Models
  (d) Level IV—Standard EKMA
  It most likely will be necessary to plan and
execute a special field sampling program
during the smog season (e.g., typically June-
September) to collect the air quality and
meteorological data needed for the various
levels of analysis. The level of effort needed
to carry out such a field study can vary
widely, depending upon the level of modeling
analysis required and the size anil
distribution of the existing ambient network.
Generally, a larger effort would be required
for Levels I and II than for III or IV. For
Levels III and IV, current ambient data
collection activities should provide much of
the data input required for the modeling
analyses.
  Estimates of the number of monitors/
stations which are made herein are general
ones which are useful in estimating resource
requirements. In  the final design of
environmental monitoring networks for
individual cities however, care  must be taken
to consider such  factors as roughness of
terrain, local meteorology, size and shape of
the urban area and the nature and
distribution of the city's emissions. Although
available guidance and User's Manuals
provide a useful framework for the design
and interpretation of information forthcoming
from the different levels of analysis, the
advice of modelers, meteorologists and other
air pollution specialists familiar with the area
being modeled is likely to be essential,
particularly for Levels 1 and II.
  For additional  information please contact
Mr. John Calcagni of the Standards
Implementation Branch at FTS 629-5365.

Level I: Photochemical Dispersion Models
  Description of Analysis. This level of
sophistication requires the application of
validated photochemical dispersion models.
The procedure is to apply one of several
available photochemical dispersion models to
the urban area, encompassing the area of
major emissions and the  downwind area of
maximum ozone concentrations. In order to
validate the model and to specify the critical
meteorological scenario(s) associated with
the design level ozone concentration it is
necessary to conduct a rather extensive field
study during an ozone season. The extent and
density of the environmental data collection
network in this field study depends on the
expected spatial/temporal variability of the
data within the area and on the sensitivity of
the model to the data. It is also  necessary to
assemble or derive spatially/temporally
resolved emissions inventories  of VOC
classes and NO/NO2 for (1) the base year
(corresponding to the field study); (2) for one
to two  projection years (effect of regulations
"on the books" plus growth); and (3) for the
various control strategy scenarios to be
tested. Expertise in air pollution meteorology.
photochemical modeling, air pollution
monitoring, and emissions inventories are
generally required to design the data
collection effort and to conduct the modeling
analysis.
A. Emissions Data Requirements
  1. Spatial Resolution. These models require
the use of a gridded VOC, NO, and CO
emissions inventory. Grid squares are
typically one kilometer to five kilometers on
a side. County-wide area sources are
allocated to the grid squares using various
activity indicators. Roadway emissions are
calculated by link and assigned to the
appropriate grid. Smaller point sources are
generally allocated to the appropriate grid as
an area source, whereas major point sources,
with stack parameters, are located exactly.
Emission inventory guidance is available in
EPA 450/4-79-18.
  2. Temporal Resolution. All emissions must
be temporally resolved on an hourly basis for
a typical ozone simulation day. Roadway
emissions are temporally resolved from
traffic data. Information on the diurnal
variability of point source emissions is
obtained directly from the sources. For area
sources, local information on the source
categories is used to derive the diurnal
emission behavior.
  3. Pollutant Splits. VOC emissions must be
split into three to six hydrocarbon classes
(specific to the model used); NO, emissions
are split into NO/NOi. Information on
pollutant splits is available in EPA 450/3-78-
119.

B. Air Quality Data Requirements
  1. Ozone Monitors. Typically 10-20 sites
are required in the modeling area. One to
three upwind sites are needed to establish
incoming transport and five or more sites.
generally located 15-40 kilometers downwind
to encompass the area of maximum
concentrations, are needed for model
validation purposes. The number and
location of the upwind and downwind sites
should be dependent on the wind direction
during periods of high concentration. The five
to 12 remaining sites should be distributed
over the modeling region in such a fashion
that a reasonably accurate depiction of the
ozone concentration field can be derived
using interpolation.
  2. NO/NO,. Typically six to 12 sites are
required, usually collocated with O» monitors
and with THC/CH, monitors. The NO/NO,
sites should be concentrated in the urban/
suburban and near downwind areas. The
data are used in an analogous fashion to the
ozone data.
  3. THC/CH*. Three to six sites are required
and should be collocated with NO/NO,
monitors in high emission density areas
within the modeling region.
  4. Species. A total of approximately 200
samples should be taken and analyzed for
hydrocarbon species (C, through C,0 plus
aromalics) during the field study. These data
arc used to derive the mix of pollutants
within the modeling region. Samples should
be taken at one or two upwind sites to
provide an estimate of incoming transport
and at two to three sites within the urban
area where pollutant mixes might be
expected to be different. Some samples
should be taken at the THC/CH. sites for
comparison with the THC/CH. data. If
possible, approximately 30 samples should be
collected aloft (see B6 below).
  5. Carbon Monoxide. Data from six to 10
sites within and downwind of the city should
be collected. The data from these sites are
helpful in troubleshooting any initial poor
performance of the model in that estimates
for an inert pollutant such as CO allow the
dispersion aspects of the model to be isolated
from the photochemical aspects. Thus the
sites should be located such that the data are
representative of an average concentration
over a grid and not a hot spot within the grid.
  8. Aircraft Data. Ozone, NO,, and
hydrocarbon grab samples should be taken
by aircraft. These data are used to provide an
estimate of upper-level transport into and out
of the modeling region and the downward
transport of pollutants from aloft. Aircraft
flight patterns should consist of vertical
profiles over key ground stations and
horizontal flights: (1) In the early morning,
upwind and over the city to measure
incoming transport and initial conditions
aloft; (2) mid-morning over and near
downwind of the city to measure rapid
changes during inversion dissipation; and (3)
afternoon over a broad area downwind up to
80 kilometers to assess the pattern of highest
ozone concentration and verify the maximum
value. The two to four vertical profiles over
key stations in each of these flights  should
include temperature data used in 03 below.

C. Meteorological Data Requirements
  1. Surface Winds. A total of 10-25 sites
should be distributed over the modeling
region in such a fashion that the data can be
spatially interpolated to derive wind vectors
for each grid.
  2. Upper Level Winds. Data from  one or
two radiosonde sites and two to three
movable pibal sites are required to derive the
upper level wind fields as a function of space
and time. These sites should take advantage
of existing radiosonde sites (usually at an
airport) but should generally encompass the
entire modeling region.
  3. Temperature Data. Data from five to 15
surface  temperature sites (usually collocated
with wind sites) and the radiosonde and
aircraft  soundings mentioned above are
needed  to spatially/temporally derive the
mixing height and/or stability inputs to the
model.
  4. Solar Radiation. Continuous data from
two to three surface sites are needed as input
to the kinetics module. It is preferable to use
an ultraviolet pyranometer; a net solar
radiometer can often be substituted.

D. Other Data Requirements
  Some models require the specification of
other variables which may require ambient/
meteorological/emissions data. The modeler
should consult the user/planning manuals for
the specific photochemical dispersion model
to determine the required input parameters.

Level 11: Simplified Trajectory Model
  Description of Analysis. Level II analysis is
essentially the application of the city-specific
EKMA approach using a more comprehensive
and detailed data base than required for
Level HI analysis. The larger data base
provides added confidence in (a) defining
ambient levels of ozone, (b) determining
control requirements, and (c) testing various
control strategies.
  The procedure involves calculating
backward trajectories from the site(s)

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                                                                                                                           65669
 observing a high hourly ozone concentration.
 Atmospheric chemistry is simulated within a
 uniformly mixed parcel of air as the parcel
 moves along  the calculated trajectory. Fresh
 emissions encountered along the trajectory
 and pollutants entrained from aloft are
 considered as well. For a given trajectory, the
 simulation is  repeated a number of times for
 different VOC and NO. emission levels. An
 ozone isopleth diagram is thus obtained. The
 EKMA procedure (described in EPA-450/2-
 77-021 a and  b and EPA-600/8-78-14a) is
 then applied  to estimate needed controls and
 test the effectiveness of control strategies. A
 similar procedure is followed usirg
 trajectories corresponding with other
 observed high ozone concentrations as well.
 More detailed guidance on selecting specific
 trajectories and applying the EKMA
 approach in this mode will be available in
 summer 1980. prior to the time the analysis
 will need to be applied for 1982 ozone SIPs.

 A. Emissions Data Requirements
  1. Spatial Resolution. Level II analyses
 require the use of a gridded VOC and  NO,
 emission inventory with a network of grid
 squares approximately 10 km on a side.
 Gridded CO emissions are also highly
 desirable and are used with ambient CO data
 to tost the dispersion aspects of the model.
 The area covered by the grid should at least
 encompass all of the air quality monitors
 deployed in accordance with paragraph B.
 Distinction should be made between point
 and area sources for each grid square. Line
 sources are treated as area sources. In order
 to provide satisfactory emission projections
 in accordance with EPA-450/4-79-18,  it is
 useful to identify emissions from each major
 kind of VOC,  NO. and CO source in each grid
 square.
  2. Temporal Resolution. Hourly emission
 estimates are required for each source
 category in each grid square between the
 hours of 8:00 a.m.-6.00 p.m. LOT inclusive for
 a typical summer day. Procedure? to compile
 such an emission inventory are contained
 within EPA-450/4-79-18.
  3. VOC Splits. Consideration of reactivity
 is not required for Level H analysis. However,
 consideration is being given to making
 available an option which would allow the
 user to assess the impact of changing
 reactivity more satisfactorily. In order to
 exercise such an option. VOC emissions from
 each source calegory would need to be
 divided into several lumped categories.
 Guidance contained in EPA-450/3-78-119
 should be utilized in making estimates of
 VOC emissions by lumped species if it is
 desired to exercise such an option.

B. Air Quality Data Requirements
  1. Ozo. e Monitors (7-11 sites). Since i! may
 be necessary  to simulate several trajectorins,
 ozone monitors should be located in the
prevailing wind direction during the smog
 season and in other wind directions
 frequently observed to cause high ozone
 levels. Ozone monitors should be located at
 (a) one site upwind of the urban area,  (b) one
 site downtown, (c) 1-3 sites on the downwind
edge of the city, and (d) 4-6 sites 15-^10+ km
downwind of  the urban area to encompass
 the areas of maximum ozone  concentration.
   2. NO/NO, Monitors (4-6 sites). NO/NO,
 monitors should be (a) located at one upwind
 site, (b) collocated with THC/CH. continuous
 monitors in two (or more) representative
 locations likely to observe high
 concentrations of precursors (i.e., downtown
 sites, industrial areas, etc.), and (c) collocated
 with ozone monitors on the downwind edge
 of the city.
   3. Organic Compounds. Two continuous
 THC/CHi monitors should be collocated with
 NO/NO, monitors in areas with high
 precursor levels (e.g., downtown or industrial
 sector). An optional third site on the
 downwind edge of the city is desirable. In
 addition, a number of integrated grab
 samples should be taken upwind of the city
 (at the same site where continuous O™and
 NO/NOT* monitors are deployed) for a
 period of several weeks during the early
 morning hours during the smog season.
 Species data thus obtained should be
 summed to estimate upwind VOC being
 transported into the urban areas.*
   4. CO Data. Although CO data are not
 required in Level II analysis, they can be
 extremely useful in trouble shooting model
 performance. CO data are used to test the
 dispersion aspects of the model. To the
 extent possible, it is recommended that CO
 monitors be collocated with all NO/NO,
 monitors. CO measurements should be
 indicative of areawide representativeness
 rather than hot spot concentrations.

 C. Meteorological Data Requirements
   1. Surface Winds.  Because Level II requires
 simulation of specific trajectories, it is
 important to define the wind field as
 carefully as possible. It is difficult to specify
 what number of properly siied surface wind
 stations is sufficient because this will depend
 on such factors as terrain, surface roughness
 and the presence of complicuting factors such
 as largo bodies of water. As a rule of thumb,
 the number of surface wind measurements
 should be about the same number as the
 number of air quality monitoring stations (i.e.,
 abou! 8-12 sites).
  2. Upper Air and Surface Temperatures.
 Hourly estimates of mixing height between
8:00 a.m. and 6:00 p.m. are needed. These
 estimates should be made using local
 rawinsonde and surface temperature data. If
 there are no suitable rawinsonde data being
collected, these measurements should be
 made ai least twice a day for at least 60 days
 during the smog season, at one site.
Generally, an airport location should suffice.
 Surface temperature data should be
collocated at 4-6 sites where surface wind
 data are being collected.

Level 111: City-Specific EKMA
  Description of Analysis. City specific
EKMA allows consideration of local sunlight
 intensity, temporal and spatial VOC and NO,
emission patterns and transported  ozone and
precursors in constructing an ozone isopleth
 diagram. Such a diagram is constructed using
 a published user's guide and a widely
available computer program (EPA-COO/8-78-
014a and b). Control requirements are
  ' Sec discussion in Level 111 for rationale of using
grab snmplcs at upwind location.
 estimated by using the ozone design value
 and prevailing 6-9 a.m. NMHC/NO. radons
 to identify a starting point on the isopleth
 diagram. Control requirements are estimated
 using procedures described in EPA-450/2-77-
 OZla, b. The impact  on peak ozone
 concentrations resulting from gross changes
 in temporal or spatial emission patterns and/
 or pollutants transported into the city can be
 assessed as described in EPA-450/2-77-021a
 and EPA-600/8-78-014a.

 A. Emission Data Requirements
  1. Temporal Resolution of VOC and A'O.
 Emission Patterns. Diurnal patterns of
 emissions (on an hour-by-hour basis) are
 superimposed over the seasonal adjusted
 annual emission rate for each broad source
 category identified in the discussion of Level
 IV analysis. Only emissions between 8:00
 a.m. LDT and 6:00 p.m. LOT are considered.
  2. Spatial Disaggregation of Emission.
 Gross spatial disaggregation of emissions and
 growth rates can be considered. For example,
 urban area emission patterns could be
 disaggregated into component counties, and
 surrounding rural counties. Alternatively.
 existing information, such  as land use maps,
 or population distribution could be used as a
 rough basis for spatial disaggregation  of
 emissions. It is not required to obtain a
 gridded inventory for l.evel HI analysis.

 B. Air Quality Data  Requirements
  1. Ozone Monitors (3 sites). Ozone
 monitors should  be located at (a) one upwind
 site, (b) one monitor on the downwind edge
 of the city, and (c) one monitor 15-40 km
 downwind of the city.
  2. 77/C/CW.NO, Monitors (1 site required.
 2 sites desirable). Guidance presented in
 EPA-450/2-77-021b  should be followed.
  Upwind Precursor Data.  Optional air
 quality data for Level III are measurements of
 ambient NO, and THC/CH, at one site
 upwind of a city. These data are only needed
 if explicit account of transported precursors
 is to be taken in the  analysis. Most studies
 have indicated that  transported ozone is of
 greater significance  than transported
 precursors in contributing to urban problems.
Because of the imprecision attendant with
 NMHC estimates from continuous THC/CH,
measurements, use of these instruments at
 upwind sites is not recommended. H is
preferable to collect a  limited number of grab
 samples and analyze these
 chromatographically and sum species  to
 estimate upwind NMHC. Continuous
 measurement of NO/NO, is appropriate.

C. Meteorological Data Requirements
  I. Upper Air and Surface Temperature
Data. Estimates of the morning (8 a.m.) and
maximum afternoon mixing heights ore
required. Preferably, estimates should be
obtained using National Weather Service
rawinsonde data (if  available) at a nearby
airport in conjunction with hourly surface
 temperature  data. If  rawinsonde data are not
 available, morning and afternoon mixing
heights can be estimated using AP-101.
  2. Surfara  Wind Data. Surface wind data at
 two sites (one site located in an area of high
precursor emissions  in addition to the  airport
site) are desirable. The wind data are used in

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65670 	Federal Register  / Vol.  44. No. 221 /  Wednesday.  November 14.. 1979 /  Notices
helping to assure that the recorded design
value is downwind of the city.

Level IV: Standard EKMA
  Description of Analysis. Level IV analysis
entails the use of published ozone isopleth
curves. Two pieces of input information are
needed: (1) the O, design value; and (2)
prevailing 6-9 a.m. NMHC/NO, ratios
downtown. In order to be reasonably assured
that representative levels of high ozone and
appropriate NMHC/NO, ratios are observed,
it is highly desirable that data be collected
for at least one smog season (e.g., June-
September). The procedure for utilizing the
isopleths has been described in EPA-450/2-
77-QZla. In order for estimated control
requirements to be translated into meaningful
control programs, comprehensive, current
seasonably adjusted VL 1 and NO, emission
inventories are needed.

A. Emission Data Requirements
  1. Spatial and Temporal Resolution of VOC
and NO, Emissions. Seasonally adjusted
VOC and NO, inventories for the county
(counties) comprising the urban area. It is not
necessary to grid the inventory. Procedures to
compile the emission inventory are contained
within EPA-450/4-79-18. Hourly emission
estimates  are not necessary.
  2. Disaggregotion Among Source types.
Although not required, it is desirable to
disaggregate VOC and NO, emissions into
major source categories such as light-duty
vehicles, stationary area sources, heavy-duty
vehicles, stationary point sources, etc. Such
disaggregation is likely to prove highly useful
in making projections of future aggregated
emissions.

B. Air Quality Data Requirements
  1. Ozone Monitors (2 sites). At least one
site should be deployed 15-W km in the
prevailing downwind direction and one site
at the downwind edge  of the commercial
district or in the inner downwind suburbs. In
order to estimate transported ozone, an
upwind monitor is highly desirable.
  2. THC/CHt and NO, Monitors (1 site).
THC/CH, and NO/NO, monitors should be
collocated at at least one site in the city's
major commercial district, following the
guidance in EPA-450/2-77-021 b.

C. Meteorological Data Requirements
  Although no meteorological data ai-e
required by the standard EKMA procedure, to
enhance credibility, it is  desirable to show
that the wind carries emissions from the city
to the monitoring site on the design value
day. In many cases, such a rough assessment
can be made using wind data which are
collected at a local airport.

References
  1. Uses, Limitations and Technical Basis
for Quantifying Relationships between
Photochemical Oxidants and Precursors.
EPA-450/2-77-021a, U.S. Environmental
Protection Agency, Research Triangle Park,
North Carolina, November 1977.
  2. Procedures for Quantifying
Relationships between Photochemical
Oxidants and Precursors: Supporting
Documentation. EPA-450/2-77-02lb, U.S.
Environmental Protection Agency, Research
Triangle Park. North Carolina, February 1978.
  User's Manual for Kinetics Model and
Ozone Isopleth Plotting Package. EPA-600/8-
78-014a, U.S. Environmental Protection
Agency, Research Triangle Park, North
Carolina, July 1978.
  4. Kinetics Model and Ozone Isopleth
Plotting Package Computer Program. EPA-
600/8-78-014b, U.S. Environmental Protection
Agency, Research Triangle Park. North
Carolina, July 1978.
  5. Procedures for the Preparation of
Emission Inventories for Volatile Organic
Compounds—Volume I. EPA-450/4-77-028,
U.S. Environmental Protection Agency,
Research Triangle Park, North Carolina,
December 1977.
  6. Procedures for the Preparation of
Emission Inventories for Volatile Organic
Compounds—Volume II: Emission Inventory
Requirements for Photochemical Air Quality
Simulation Models. EPA-450/4-79-18, U.S.
Environmental Protection Agency, Research
Triangle Park, North Carolina, September
1979. (in print)
  7. G. C. Holzworth,JWmng Heights, Wind
Speeds, and Potential for Urban Air Pollution
Throughout the Contiguous United States.
AP-101, U.S. Environmental Protection
Agency, Research Triangle Park, North
Carolina, January 1972.
  8. Volatile Organic Compound (VOC)
Species Data Manual. EPA-450/3-78-119.
U.S. Environmental Protection Agency,
Research Triangle Park, North Carolina,
December 1978.

Attachment 2.—Anticipated Level of Ozone
Modeling for Major Urban Areas Requesting
Extension

Level I
Boston. MA             Chicago. IL/IN
New York. NY/NJ        Houston, TX
Philadelphia. PA/N)       St. Louis. MO/IL
Baltimore. MU          Los Angeles. CA
Washington. DC/MD/VA

Level 2
Springfield. MA
Pittsburgh, PA
Wilmington, DE
Cleveland. OH
Cincinnati. OH/KY

Level 3

Worcester. MA
Providence. RI
Hartford. CT
New Haven. CT
Bridgeport. CT
Trenton. NJ
Allentown. PA
Scranton. PA
Richmond. VA
Louisville. KY/1N
Nashville, TN

Level 4

None identified at this time.
[FR Doc. 79-35028 Filed 11-13-79: 8:45 am)
MIXING CODE 6560-01-M
Detroit. MI
Milwaukee. WI
Sacramento. CA
San Diego. CA
Venlura-Oxnard. CA
Youngstown. OH
Dnyton. OH
Indianapolis, IN
Denver. CO
Salt Lake City. UT
Phoenix. AZ
San Francisco. CA
Fresno. CA
San Bernardino. CA
Seattle. WA
Portland. OR/WA

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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
   DATE: OCT  4  1979

suBjECT:Clarification for Final SIP Actions on Asphalt Regulations      PN-172-79-10-04-021


   FROM:Richard 6. Rhoads, Director
       Control Programs Development Division, OAQPS (MD 15)

     TO;Director, Air and Hazardous Materials Division, Regions I-X

            On December 19, 1978, and March 6, 1979, guidance memoranda were
       sent to the Regional Offices concerning criteria for determining acceptable
       Volatile Organic Compound (VOC) RACT regulations for cutback asphalt.
       The examp",_- regulation in the first memorandum prohibited use of cutback
       asphalt or emulsified asphalt containing solvent but provided certain
       exceptions.  The exceptions are:  cold weather use;  prime coat; stockpiling;
       and demonstration of no VOC emissions from cutback.  Both memoranda
       pointed out that there might also be other unique problems for which
       additional exemptions could be appropriate with adequate-justification
       such as applications of emulsified asphalt requiring the addition of
       solvents or oils to improve the properties of the emulsion.  I requested
       that you advise our.office of additional exemptions which the States
       requested.

            Now that most VOC SIP regulations have been submitted to EPA,
       several remaining issues with cutback asphalt need  clarification.  The
       following guidance is intended for your use as you  finalize SIP approval/
       disapproval actions and conditional approvals.

            The approach recommended in the two previous memoranda was to
       define an asphalt emulsion as a suspension of asphalt in water by means
       of an emulsifying agent with no allowance for the addition of solvents
       to the emulsion.  The additional  exemptions to the  regulation were to be
       the mechanism for allowing use of those emulsions containing solvent*
       where necessary.  While most of the SIP submittals  applying RACT to
       asphalt operations have not addressed the acceptability of solvent in
       emulsions, several States which have allowed solvent have not used the
       mechanism we provided, but instead have allowed a maximum solvent content
       in emulsions, sometimes up to 12 to 15 percent.  Information we have
       received on the subject of solvent content in emulsified asphalt does
       not support the allowance of a blanket solvent content for emulsified
       asphalt.  Accordingly, these blanket-type regulations should not be
       unconditionally approved.  If a State chooses to allow the use of solvents
       in certain emulsions, the regulations should only permit the inclusion
       of solvent in emulsified asphalt by stipulating maximum solvent contents
       *The solvent content is determined by ASTM distillation test D-244.
 °A Form 1320-6 (R«v. 3-76)

-------
allowed for specific uses or for specific grades of emulsified asphalt.
The following maximum solvent contents for specific emulsified asphalt
applications are based on ASTM, MSHTO, and State specifications and on
information recently received from the Asphalt Institute.

     Use                                     Max. Solvent Content

     Seal coats in early spring or late
       fall                                            3%
     Chip seals when dusty or dirty
       aggregate is used                               3%
     Mixing w/open graded aggregate that
       is not well washed                              8%
     Mixing w/dense graded aggregate                  12%

     I wish to emphasize that these are maximum solvent contents and if
States are using emulsified asphalt with less solvent for these applications,
they should continue to do so.  These are only the maximum solvent
contents that we feel current technology supports.  Many emulsified
asphalt manufacturers are successfully using less solvent and achieving
the same acceptable results.  The chemistry of emulsified asphalt and
the non-uniformity of the technology across the country prevents us from
specifying anything more than upper limits on solvent content.   Lower
limits are certainly achievable in many States but must be determined on
a case-by-case basis.

     Finally, in our contact with the emulsified asphalt industry we
find that many people are extremely apprehensive about defining an
emulsified asphalt as having no solvent.  Should the exceptions which
allow emulsions containing solvent ever be removed from the regulation,
the industry might be unable to produce acceptable products for a number
of applications.  An acceptable regulatory approach, therefore, will be
to allow defining emulsified asphalt as optionally containing solvent or
oils.  The allowed solvent would be limited to the amounts specified
above (or lower if this can be negotiated) based on application.  The
definition should be worded in such a way to clearly indicate that these
are the maximum solvent contents allowed and that they are allowed only
for the specific applications or grades of emulsified asphalt.   All
other asphalt emulsions should not contain solvent.  If States  reject
this approach, as an alternative, we will accept blanket-type regulations
which allow maximum solvent contents in the range of 5 to 7 percent.

     For those States who have submitted regulations with an unacceptable
blanket solvent content allowance, a conditional approval should be
granted with time allowed to modify the regulations to follow the solvent
content guidance provided above or to lower the blanket solvent allowance
to 5 to 7 percent.

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 \   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

                        WASHINGTON. D.C.  20460
                                                      PN-172-79-08-22-020


                         AUR 90 1Q7Q                   OFFICE OF
                         r»L»U Ct £ ICJ/O             AIR. NOISE, AMD RADIATION
SUBJECT:  State Implementation Plans/Revised
          Schedules for Submitting Reasonably Available
          Control Technology Regulations for Stationary
          Sources-'Of Vqlatrte Organic Compound ;  (VOC)
FROM:  /n payj^^&te&OJiS, Assistant Administrator
            for Air, Noise, and Radiation

MEMO TO:  Regional Administrator, Regions I-X

     The Administrator's memorandum of February 24, 1978, published in
the Federal Register at 43 FR 21673 (May 19, 1978), stated that the 1979
plan submission for ozone nonattainment areas, "... must include, as a
minimum, legally enforceable regulations to reflect the application of
reasonably available control technology (RACT) to those sources for
which EPA has published a Control Technique Guideline (CTG) by January
1978, and provide for the adoption and submittal  of additional legally
enforceable RACT regulations on an annual basis beginning in January
1980 for those CTGs that have been published by January of the preceding
year."

     It is now apparent that the regulatory adoption process may be more
lengthy than first anticipated.  Additional time  may be necessary to
accommodate public, administrative, and legislative review.  In order to
realistically address this problem, yet to continue meeting our respon-
sibilities to attain the ambient standards as expeditiously as practi-
cable, EPA is revising by six months the deadlines for submittal of'the
RACT regulations for the second set of CTGs.  The SIPs- should now provide
for  the adoption and submittal of additional'legally enforceable regulations
by July 1, 1980 for the following source categories:

          Factory Surface Coating of Flatwood Paneling
          Petroleum Refinery Fugitive Emissions (Leaks)
          Pharmaceutical Manufacture
          Rubber Tire Manufacture
          Surface Coating of Miscellaneous Metal  Parts and Products
          Graphic Arts (Printing)
          Dry Cleaning, Perch!oroethylene
          Gasoline Tank Trucks, Leak Prevention
          Petroleum Liquid Storage, Floating Roof Tanks

-------
     In the immediate future, I will publish a Federal  Register notice
announcing this policy change.  I ask that you notify your States in
order to allow them to schedule their associated regulatory activities
in the most efficient manner possible.

cc:  Marvin Durning
     Joan Bernstein
     Director, Air & Hazardous Materials Division,  Regions I-X

-------
ENVIRONMENTAL PROTECTION
AGENCY
[40 CFR Part 52]
tFRL 1305-8)

State Implementation Plans; General
Preamble for Proposed Rulemaklng on
Approval of Plan Revisions for
Nonattalnment Areas—Supplement
(on Revised Schedules for Submission
of Volatile Organic Compound Ract
Regulations)
AGENCY: Environmental Protection
Agency.
ACTION: General Preamble for proposed
rulemaking—Supplement

SUMMARY: Provisions of the Clean Air
Act enacted in 1977 requires States to
revise their State Implementation Plans
for all areas that have not attained
National Ambient A;r Quality
Standards.  States are to have submitted
the necessary plan revisions  to EPA by
January 1.1979. The Agency is now
publishing proposols inviting public
comment on whether each of the
Bubmittals  should be approved. In the
April 4,1S79 issue of the Federal
Register. EPA published a General
Preamble identifying and summarizing
the major considerations  that will guide
EPA"s evaluation of the submittals (44
FK 20372). Today's Supplement provides
information on the revised schedule for
adoption of regulations for source
categories  emitting volatile organic
compounds (VOC) covered by the
second set of Control Technique
Guidelines (CTGs).
FOR FURTHER INFORMATION CONTACT:
The appropriate EPA  Regional Office
Listed  on the first page of the General
Preamble (44 FR 20372) or the following
Headquurters office: G. T. Helms, Chief,
 Control Programs Operations Branch.
 Control Programs Development Division,
 EPA Office of Air Quality Planning and
 Standards (MEM5), Research Triangle
 Park, North Carolina  27711, (919) 541-
 5365 or 541-5226.
 SUPPLEMENTARY IHFORMATiON'. The
 background is set out nt length in the
 April 4 General Preamble. This
 Supplement  address an issue that needs
 explanation.
  The Administrator's memorandum of
February 24,1978. published in the
Federal Register at 43 FR 21673 (May 19,
1978). slated that \he 1979 plan
submission for ozone nonattainment PN-172- 79-08-21 -019
areas." . . • must includes, as a
minimum, legally enforceable
regulations to reflect the application of
reasonably available control technology
(RACT) to those sources for which EPA
has published a Control Technique
Guideline (CTG) by January 1978. and
provide for .the adoption and submittal
of additional legally enforceable RACT
regulations on an annual basis
beginning in January 1980 for those
CTGs that have been published by
January of the preceding year."
  It is  now apparent that the regulatory
adoption process may be more lengthy
than first anticipated. Additional time
may be necessary to accommodate
public, administrative, and legislative
review. In order to realistically address
this problem, yet to  continue meeting
our responsibilities to attain the ambient
standards as expeditiously as
practicable. EPA is revising by six
months the deadlines for submittal of
'.he RACT regulations for the second set
 >f CTGs. The SIPs should now provide
.'or the adoption and submittal of
additional legally enforceable

regulations by July 1.1980 for  the
following source categories:'
Factory Surface Coating of Flarwood
  Paneling
Petroleum Refinery Fugitive Emission (Leak*)
Pharmaceutical Manufacture
Rubber Tire Manufacture
Surface Coaling of Miscellaneous Metal Part*
  and Products
Graphic Arts (Printing)
Dry Cleaning. Perchloroelhylene
Gasoline Tank Trucks. Lenk Prevention
Petroleum Liquid Storage. Floating Roof
  Tanks
   If this revision to  the adoption
schedule of RACT regulations requires
alteration of any comments on a plan for
which the comment period has already
ended, the commcnter should contact
the appropriate EPA Regional Office
immediately so thnt the issue can  be
appropriately dealt with.
   Note.—Under Executive Order 12044 EPA
Is required to judge whether a regulation it
"significant" and. therefore, subject to the
procedural requirements of the order or
whether it may follow other specialized
development procedures. EPA labels these
other regulations "specialized." 1 have
reviewed this regulation and 'determined that
 it is a specialized regulation not subject to the
 procedural requirements of Executive  Order
 12044.  (Sees. I10(a). 172. Clean Air Act. at
 amended (42 U.S.C. 7410(a). 7502JJ.
   Dated: August 21,1079.
 Edward F. TueiW.
Acting Assistant Administrator for Air, Noise,
 and Radiation.
 |FR Doc. 7S-2fl7M Rind 6-CT-7B; S.44 UBJ
 BILLING CODE «5*0-01-U

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                   UNITED STATES.ENVIRQNMENTAL.PROTECTION AGENCY
            MI\  1479   Office of Air Quality Planning and Standards
  DATE-                Research Triangle Park, North Carolina 27711

SUBJECT:   Modifications to Recommendations  for Solvent Metal  Cleaning

                                                                     PN-172-79-06-20-018
  rROM:   Richard G. Rhoads, Director
         Control Programs Development Division  (MD-15)

    TO:   Director, Air and Hazardous Materials Division, Regions  I-X


              In the Control Technique Guideline for Solvent Metal  Cleaning, the
         operating requirements for open top vapor degreasers include the
         following specification for changes in the vapor level:

              "The vapor level should not  drop more than 10  cm  (4 in) when  the
         workload enters the vapor zone."

              Recently the effectiveness and practicality of this specification
         has been questioned.  The Emission Standards and Engineering Division of
         OAQPS«has reviewed this issue and has concluded that this  specification
         may not necessarily reduce emissions and will cause compliance  problems
         for a significant number of sources.  A summary of  the analysis is
         attached.

              Accordingly, State plans which do not include  this  provision  for
         open top vapor degreasers should  be recommended for approval.   States
         with final adopted regulations that include this restriction should be
         advised of potential implementation problems with the  provision.   Where
         practical, States should be encouraged to amend their  plans  to  delete
         this provision.   In the interim,  Regional Offices should take  no steps
         to implement this provision.

         Attachment

         cc:  Mr. Ed Reich, DSSE
              Mr. Don Goodwin, ESED
   FORM 1320-6 (REV. 3-76)

-------
                                                                                      PN-172-79-05-25-017
 ENVIRONjyiB»i
      ;iV^_vJj/^^-.y-r-5:^iftSg^X
 Policy Concerning
 Revisions and Solvent Reactivities
: section: lO^oJEtBe Clean AiisAAy^Kt>|-.v
•notice clarifi1esiEPA.'9."Recommend&i.-j:
"                  '
 volatile organic compounds participate
• in the chemical reactions that form.-"' -IT
 photochemical oxidante- Currently y.~ .. -
-available information suggests that. -'.;
 negligibly .pHptochemically reactive :. .
 volatile organic compounds as defined".
 in that Statement, incliidino mp*K«l  -
chloroform and methylene chloride, do
not appreciably affect ambient ozone
levels.' Hence, EPA will not disapprove
any state implementation plan or plan
revision for its failure to contain
regulations restricting emissions of these
compounds.
  Although these substances need not
Ibe controlled under state
implementation plans for the purpose of
achieving ambient ozone standards,
nothing in this memorandum is intended
to modify past EPA expressions of
concern about the uncontrolled use of
methyl chloroform and methylene
chloride. As noted in the above
referenced policy and the clarification
presented'in memoranda of August'24,
1978 and March 6, 1979, there is
suggestive evidence that both-
compounds are potentially carcinogenic.
and methyl chloroform is suspected of
contributing to depletion of
stratospheric ozone. See, for example,
the following studies:
  Simmon, V. F^-Kauhanen, K. and
Tardiff, R. G., "Mutagenic Activity of
Chemicals Identified in Drinking Water"
in Progress in Genetic Toxicology, ed. L
D. Scott,' B. A. Bridges, and F. H. Sobels,
at 249-258 (Elsevier, 1977);
  Price, P. G., Hassett, C. M. and
Mansfield, O.L, 'Transforming
Activities A Trichloroethylene and
Proposed Industrial Alternatives" In
Vitro 14:3, at 290-293 (1978);
  Theiss, J. O, Stoner, G. D., Shimkin, M.
B., et al., 'Test for Carcinogeniciry of
Organic Contaminants of United States
Drinking Waters by Pulmonary Tumor
Response In Strain A Mice," Cancer
Research, 37(8 Pt 1): 2717-20, (August
1977);
   The EPA Carcinogen Assessment
 Group's Preliminary Risk Assessment on
 Methyl Chloroform, Type I—-Air
 Program, (January 17,1979);
   The EPA Carcinogen Assessment
 Group's Preliminary Risk Assessment on
 Methylene Chloride, Type I-^Air
 Program, (January 17,1979);
   Conference on Methyl Chloroform and
 other Halocarbon Pollutants, sponsored
 by Environmental Sciences Research
 Laboratory, 133. EPA, February 27-28,
 1979,-Washington, B.C. (proceedings in
 press).
   Because both methyl chloroform and
 methylene chloride are potentially
 harmful, EPA recommends that these
 chemicals not be substituted for other
 solvents in efforts to reduce ozone
 concentrations. EPA further
 recommends  that-the states control
 these compounds under the authority
 reserved to'them in section 116 of the
 Clean Air Act Moreover, there is a
 strong possibility for future regulation of

 these compounds under the Clean Air
 Act

 FOR FURTHER INFORMATION CONTACT: •
 Joseph Padgett, Director, Strategies and
 Air Standards Division, Office of Air
 Quality Planning and Standards, MD-12
 Research Triangle Park, North Carolina':
 27711(919)541-5204.
  Dated: May 25,1979.,"
 David G. Hawkins,  '•'
Assistant Administrator for Air, Noise and
Radiation.
 [FR Doc. 7S-172M Filed fr-1-78; &4$ am]
BILLING CODE U«0-Ot-M

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        UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                      WASHINGTON. D.C. 20460
                         25
                PN-172-79-05-25-016
V
>  \^
                 OFFICE OF ENFORCEMENT
MEMORANDUM
Subject:  Submission  of  State  Air Permits
          as SIP Revisions

From:     Richard G.  Rhoads, Director
          Control Programs  Development Division

          Edward E. Reich,  Director
          Division  of  Stationary Source Enforcement

To:       Director, Air  and Hazardous Materials Division
          Regions I-X
     A question  has  been raised concerning the need for
States to  submit construction and operating air permits as
revisions  to  State  implementation plans (SIP).  Of particular
concern  is tine  Federal enf orceabil i ty of State-issued  air
permits  tha:;  have not been incorporated individually within
a  SIP  by means  of an EPA approval through rulemaking.

      Federal  enforcement of construction permits  issued
under  procedures complying with the requirements  of
40 CFR 51.18  (new source review)  is provided  in
40 CFR 52.02(d)  which reads, in part, as follows:

           ...all permit conditions or permit  denials
           issued pursuant to approved or promulgated
           regulations for the  review of new or modi-
           fied  stationary or indirect sources, are
           enforceable by  the Administrator... in
           accordance with...assigned responsi-
           bilities under  the plan.

Thus,  State construction  permits  which  have been  issued
 in accordance with SIP  procedures approved by EPA as
 satisfying 40 CFH 51.18,  and which satisfy  the  interpretative
 ruling of  the requirements  of  40  CFR 51.18  (the  emission
 offset policy),  44 Fed. Reg. 3274 ot §054.  (January  16,
 1979), are oaf orco.ab.lo  by EPA.   (However,  i I:  emission
 reductions to meet Condition 3  of the  emission  offset  policy
                                       J.  Sableski
                                       Environmental Protection Agency
                                       OAQPS, CPDD  (MD  15)
                                       Research Triangle Park, fJC 27711

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                         -2-

are obtained from existing sources other than those con-
trolled by the owner of the proposed new source, Section
V.B. of the policy provides that these "external" offsets
must be effectuated through a SIP revision.)  The provisions
of 40 CFR 52.02(d) also provide for EPA enforcement of
prevention of significant deterioration construction permits
which have been issued by States under procedures complying
with 40 CFR 52.21.

     The conditions upon construction contained  in these
permits which are needed to meet federal requirements
(e.g., the source must achieve  the lowest achievable emission
rate, or operate best available control technology) have
continuing application to a source built under  the permit.
Any State limitations upon the  effective duration of a State
construction permit is deemed to effect only  the authorization
to construct under the permit.  Once a source is actually
built, it must continue to meet the conditions  imposed upon
itsfconstruction unless they are modified by  a  federally
approved SIP revision.

     Operating permits present  some special problems.
Since State procedures for the  issuance of operating permits
to  new sources are not required under 40 CFR  51.18 or
40 CFR 52.2a., State new source  operating permits are not
federally enforceable under 40  CFR 52.02(d).  Of course,  to
the extent  ^he behavior required  in new source  operating
permits is  consistent with the  behavior required  in  the SIP
(including  any previously  issued  construction permit enforce-
able  by reason of 40 CFR 52.02(d)), EPA can enforce  the
behavioral  requirement on  the basis of noncompliance with
the SIP.  In addition, EPA can  enforce, on  the  basis of
noncompliance with  the SIP, behavioral requirements  contained
in  operating permits  i:'or existing  sources  to  the  extent  that
the  permit  requirements are  the same  as  the SIP requirements.
However,  if  the  provisions of an  operating  permit  differ
from  the  SIP,  the  permit must,  at  the  present time,  be
approved  as  a SIP  revision before  it  is  enforceable  (or
recognized)  by EPA.   If an operating  permit  condition  more
stringent  than  the  SIP  is  necessary  to assure attainment  or
maintenance of  a  national  ambient air  quality standard,
 failure  to  trevise the  SIP  accordingly  results in the SIP
being inadequate.   Therefore,  we  are  advising each  Regional
Office  to  notify  the  States  of  this  potential need  to  revise
 their SIPs.   States  which  do,  in  fact,  need  to  revise  their
SIPs  to  incorporate  individual  operating  permits which  are
 necessary  to assure  attainment  and maintenance  of  a  national
 ambient  air quality standard  should  do so  as  soon  as  possible.

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                           -3-

     Some State-issued opera* : .-sg permits may not indefinitely
require individual EPA approval through rulemaking in order
to be considered part of the  SIP.  Section 110(a)(2)(d) of
the Clean Air Act requires SIPs to include "a  program to
provide for the enforcement of emission limitations  and
regulation of the modification, construction,  and operation
of any stationary source, including a permit program as
required in parts C and D and a permit or equivalent program
for any major emitting facility..."  In addition, Section
,l'72(b)(6) of  the Act provides that SIPs must "require
permits for the construction  and operation of  new or modified
major stationary sources..."  Although no regulations
implementing  these sections  yet exist, a working group  is
developing a  regulatory proposal requiring STPs  to contain
an operating  permit program  (or  its equivalent)  and  estab-
lishing the standards for EPA approval of such a program.
The  issue of  the federal enforceabi.l. ity of State-issued
operating permits will be addressed by these regulations.
In the  interim, States are encouraged  to submit  permits  as
SIP  revisions as appropriate.
 cc:   Director,  Enforcement  Division
      Regions  I-X

      Michael  James,  OGC

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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                      Office of Air  Quality  Planning  and  Standards
                      Research  Triangle  Park,  North Carolina 27711
   DATE:   21 'MAY 1979

SUBJECT:  Draft Language—Preambles for SIP  Proposals                    PN-172-79-05-21-015
         and Approvals

    ROM:  Richard G.  Rhoads, Director
         Control Programs  Development Division (MD-15)

     T0:  Director,  Air and Hazardous Materials Division,  Regions  I-X

              As a  followup to  the mid-April  Division Directors'  meeting in Atlanta,
         I am attaching sample  Federal Register language  on two topics:

                1.   Commitment  to Future CTG RACT  Categories (Attachment #1)

                2.   Solvent Exemptions in Ozone SIPs  (Attachment  #2)

         Attachment  #1 should  be self-explanatory.   Attachment #2, pertaining to
         methylene chloride and methyl chloride, can  be used for  VOC solvent
         exemptions in cases where the solvents have  been shown to have minimal
         reactivity, yet have other  adverse  effects.  For these two specific
         compounds, I am also attaching  additional  information  (Attachment #3)
         which may be of value  to you  in your State discussions.

              I appreciate your cooperation  and hope  you  find the draft language
         useful.

         Attachments
    Form 1320-6 (Rev. 3-76)

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                              Attachment 1



               COMMITMENT TO FUTURE CTG RACT CATEGORIES



     EPA will  accept a commitment from States to adopt reasonably



available control  technology (RACT) regulations which apply to those



source categories  emitting volatile organic compounds (VOCs) for which



control technique  guidelines (CTGs) did not exist on January 1, 1978.



This policy was discussed in a notice entitled "Criteria for Proposing



Approval of Revision to Plans for Nonattainment Areas" which appeared in



the Federal Register on May 19, 1978 (43 FR 21673).  The State Implemen-



tation Plan (SIP)  described in this notice does not contain a formal



commitment to adopt regulations for future CTG source categories.  However,



the Agency proposes to approve the SIP on the following conditions:



     1.  The State submits adopted RACT regulations for the following



source categories by January 1980:



         a.  Vegetable oil processing



         b.  Petroleum refinery leaks



         c.  Gasoline tank truck



         d.  Perchloroethylene dry cleaning



         e.  Pharmaceutical manufacture



         f.  Miscellaneous metal  parts and products



         g.  Graphic arts



         h.  Pneumatic rubber tire manufacture



         i.  Flatwood paneling



         j.  Floating roof tanks



      2.  The State  adopts  by  January 1981  regulations which control



 emissions  from additional  source  categories  for which F.PA  issues a  new



 CTG by January 1980.

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     3.   The State demonstrates by certification that there are no



sources  in the State for a given VOC source category that is not regulated.

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                               Attachment 
-------
                                   2



interpreted as encouraging the increased use of these compounds nor



compliance by substitution.   The Agency does not endorse such approaches.



Furthermore, State officials and sources should be advised that there is



a strong possibility of future regulatory action to control these com-



pounds.  Sources which choose to comply by substitution may well be



required to install control  systems as a consequence of these future



regulatory actions.

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                          Attachment 3
                SYNOPSIS OF POTENTIALLY ADVERSE EFFECTS
              OF METHYL CHLOROFORM AND METHYLENE CHLORIDE

     Both methyl chloroform (MCF) and methylene chloride (MC)  have been
found to be mutagenic in a bacterial test system (Simmon e_t aj_)   and in
in vitro tests of mammalian cell transformation (Price et_aj_).    In both
cases, methylene chloride exhibited a higher potency than either methyl
chloroform or trichloroethylene.
                                                          o
     A pulmonary tumor bioassay conducted by Theiss (1977)  indicated
that methylene chloride produced an excess in surface adenomas in male
mice.  Results of animal studies on methyl chloroform are inconclusive.
     On the basis of the available data, EPA's Carcinogen Assessment
Group has concluded that, for both methyl chloroform  and methylene chloride,
"there is suggestive evidence of carcinogenicity." '
     In addition, methyl chloroform has been implicated in the depletion
of stratospheric ozone.  At a recent conference on the atmospheric
                                                               4
chemistry of methyl chloroform and other halocarbon pollutants,   researchers
reported tropospheric lifetimes for MCF ranging from three to twelve years,
sufficient time to allow for significant migration of the chemical to the
stratosphere.  It was further estimated that, at the current growth pro-
jections in the production and use of this chemical, MCF could account for
10-20 percent of the total ozone depletion attributable to chlorofluoro-
carbons over the next ten years.  Significant depletion of stratospheric
ozone impairs the ability of this atmospheric layer to filter out harmful
ultraviolet radiation.   Increases in the amount of this type of radiation
reaching the Earth may lead to reduced crop yields as well as increases
in human skin cancer.
 Simmon, V. F., Kauhanen, K. and R. G. Tardiff, "Mutagenic Activity of
 Chemicals  Identified in Drinking Water" in Progress in Genetic Toxicology,
 ed.  I. D.  Scott, B. A. Bridges, and F. H. Sobels. p. 249-258 Elsevier (1977),
2
 Price, P.  0., C. M. Hassett, and J.  I. Mansfield, "Transforming Activities
 of Trichloroethylene and Proposed  Industrial Alternatives" In Vitro 14:3,
 p. 290-293 (1978).
3
 Theiss, J. C., et al, "Test for Carcinogenicity of Organic Contaminants."

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Conference on Methyl  Chloroform and Other Halocarbon Pollutants,  sponsored
by Environmental Sciences Research Laboroatory, U.S. EPA,  February 27-28,
1979, Washington, D.  C.

The Carcinogen Assessment Group's Preliminary Risk Assessment on  Methyl
Chloroform, Type I -  Air Program, January 17, 1979.

The Carcinogen Assessment Group's Preliminary Risk Assessment on  Methylene
Chloride, Type I - Air Program, January 17, 1979.

-------
                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
   DATE:   MAR  6  1979


SUBJECT:  Cutback Asphalt  VOC  Regulations
PN-172-79-03-06-014
   FROM:  Richard  G.  Rhoads,  Director
         Control  Programs  Development  Division,  OAQPS  (MD  15)
     TO:
       :  Director,  Air & Hazardous  Materials  Division,  Regions  I-X

              On  December 19,  1978  a  memorandum  containing  an example  regulation
         for controlling cutback  asphalt  was  sent  to  eac  of you.  That memo-
         randum was prompted by misunderstandings  of  the  complicated issue of
         cutback  asphalt; specifically, what  exemptions are allowed and what is
         an appropriate transition  period from cutback  to emulsified asphalt.
         The memorandum contained information based on  contacts with emulsified
         asphalt  manufacturers and  users  and  with  representatives of the Asphalt
         Institute.

              Attached is a summary of the draft regulations which were submitted
         to CPDD  prior to the  December 19 memorandum.   Even though the summarized
         regulations were only drafts and have likely been  revised, I  feel it
         worthwhile to point out  the  significant problems found during the review
         of the regulations.  An  explanation  of  these problems  is also attached.

              The December 19  memorandum  indicated that liquid  emulsified asphalt
         can be stored only up to four weeks  in  heated  or insulated containers.
         Information received  since the memorandum was  sent indicates  that this
         is an error; liquid emulsified asphalt  apparently  can  be stored for much
         longer periods of time.   This error, however,  is only  minor since it  is
         still true that an emulsified asphalt patch  mix  (mixture of aggregate
         and liquid asphalt) cannot be stockpiled. Manufacturers, however, are
         working  on this problem  and are  trying  to develop  such an emulsion.   If
         solvent  is added to the  emulsion, long  life  stockpiling  can be achieved,
         but our definition of emulsified asphalt does  not  include emulsions
         containing solvents.

              The December 19  memorandum  also indicated that more detailed
         information for calculating emission rates from  cutback  asphalt will  be
         sent to the Regional  Offices. At the  present  time an  EPA contracted  study
         of emission rates from cutback asphalt  is being  reviewed by the Asphalt
         Institute.  The results  of that  review  will  be considered when the review
         is completed in late  March or early April.  At that time a decision will be
         made on  the need for further study of  cutback  asphalt  emission rates.  For
         the present, however, in developing control  strategies for ozone and  pre-
         paring emission inventories for  the 1979 SIP revisions,  States should use
         the evaporation rates contained  in the  control techniques guideline.   These
         rates are 80% for rapid cure, 70% for  medium cure, and 25% for slow cure
     orm 1320-6 (Rev. 3-76)

-------
(except as discussed below).  These rates-should be used in conjunction
with solvent content values for the vorious cutbacks used in the State.
Solvent content values can be obtained from the cutback manufacturers.
If new emission rates are established at a later date, they will be
available for the next round of SIP revisions.

     The fourth exemption in the example regulation sent December 19
allowed the use of any cutback for which the user can demonstrate that
no emissions will occur under conditions of normal use.  Until further
studies are done on cutback emission factors, that demonstration should
be done as follows:

     1.  Obtain distillation data for the cutback from the manufacturer
or run a distillation test.  (ASTM Method D-402, Distillation of Cutback
Asphalt Products.)

     2.  If less than 5% of the total solvent has evaporated up to and
including 500°F, the cutback will be considered one that has no VOC
emissions under field conditions.
     «
     We realize that distillation tests cannot be directly related to
field  conditions, however, we feel that any emissions from a cutback
passing the above test will be very minor.  Also, for purposes of calcu-
lating emissions for control strategies or emissions offsets, cutbacks
passing the test should be considered as having no VOC emissions.

     The December 19 memorandum indicated that there might be other
unique problems for which exemptions could be appropriate under a case-
by-case RACT determination.  I would like to stress that if a State
requests an exemption to use cutback or an emulsified asphalt containing
solvent for any application other than those accepted in the example
regulation, it is up to the State to demonstrate that an emulsified
asphalt  (containing no solvent) cannot be used.  The demonstration must
contain evidence that the State has contacted emulsified asphalt manufac-
turers and emulsifying chemical manufacturers, and that the manufacturers
cannot develop an acceptable emulsion or cannot recommend an acceptable
alternative paving or repair procedure.  As stated in the December 19
memorandum, please advise me of any additional requests for exemptions.

Attachments

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SUMMARY OF DRAFT VOC REGS. i:OR CUTBACK ASPHALT
STATE
I
Mass.
NH
II
N.Y.
Ill
VA
WVA
MD
DEL
PA
COMPLIANCE
DATE
7/1/80


1

1/1/79-
12/31/80
nut given
EXEMPTIONS
UJ
s:
t— i
C£
a.
X

X
X
X
X

X
SEASONAL
1

1

X



Q.
UJ
t—



X

X
1
X
STORAGE


X
X
X
X

X
C£
UJ
1C
0


2




1
SIZE
CUTOFF

PE > 100
~~ TPY

>7 TPY


>10 Ibs/day
ior 3 lbs/hr

STATEWIDE
x
X
X
2
?
1
X
X
COMMENTS
1. 10/30-5/1 for patching.
Total prohibition for paving of
roads, highways, or driveways.
N.H. has no urbanized areas.
1. 10/16-5/1
2. Emulsified asphalt containin
less than 15% by weight VOC.
1. 60 days after board adoption
or 9 months after promulatio
of new 03 standard.
2. At a minimum, the non-
attainment areas* may be
adopted Statewide.
All cutback asphalt users and
manufacturers must register wit
the Commission within 30 days
from the effective date of the
regulation. After the effectivi
date of the regulation, permits
are required for anyone commenc
operations subject to this
regulation.
1. Applies to the Baltimore
Metropolitan Area. There
are two other nonurban non-
attainment areas in MD.
1. Only for emergency repair of
potholes and/or filling crad
in highway pavement. As
technology becomes available
all uses of cutback asphalt
will be discontinued.
1. Dust palliative tack coat, pr
coating of aggregate and pro-
tective coating for concrete.

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STATE
IV
KY
(Louis-
vine)
N.C.
S.C.
TN
V
IL
IND
OH
MICH
wise

COMPLIANCE
DATE
eff. date
of reg.
10/1/80
5/1/81
2/1/81
12/31/80
1/82

not given
7/1/79
EXEMPTIONS
UJ
s:
i — i
DC
Q,

X


X
X
X
X
X
SEASONAL]
2



1

-
1
1
Q_
s:
LU
H-

X



X
X
X
X
STORAGE

X


X
X
X
X
2
C£
UJ
n:
h-
o
1


1


1


SIZE
CUTOFF

? 15 Ibs/day
ors Ibs/hr
7100 TPY for
att. areas
1


?
? 15 Ibs/day
or 3 Ibs/hr


STATEWIDE
3
X
X
?
X
?
X
X

COMMENTS
1. Exempts asphalt with less
than or equal to 10% by
weight VOC.
2. Jan. -Apr. for repair of
potholes or other damage to
roadways.
3. Louisville, Kentucky.

1. In urban areas, stationary
sources with potential
emissions greater than 10 TP
non-urban areas greater than
100 TPY.
1. Total prohibition in urban
counties. Use allowed in a
rural co. with the approval
of the director.
1. 10/1-4/30.

1. Other than road paving, i.e.
roofing or water proofing.
1. 10/1-4/30
1. non-ozone season 11/1-4/30
2. must be stored for 2 years
or longer.

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STATE
VI
ARK
OK


TX








VIII
CO








X
WASH
(Puget
Sound)



WASH
STATE








ORE





COMPLIANCE
DATE

7/21/79
24 mo.
after eff.
date "f reg
12/31/80









not given









6/1/80





6/1/80









4/1/79

EXEMPTIONS


UJ
5^
1— H
Q_

X























1





1









1

5
o
oo
UJ

























2





3









?


.
^
LU
h-

X













1















1,
4










UJ
«C
0
t—
OO

X













X









3





1









1


<-£.
LU
t—
O


1












2









4





















SIZE
CUTOFF












































LU
t — i
LU
1—
1 —


X


1









X















2









2






COMMENTS


1. Consent of the Commissioner


1. 7 nonattainment areas. Use
of cutback asphalt for
paving is restricted to no
more than 7% of the total
annual volume of asphalt use
or specified for use by any
State, municipal, or county
agency. All nonattainment
areas are not covered.

1. Also allows exemptions when
precipitation is anticipated
within 3 hrs. from time of
application.
2. Other conditions as approved
by the Division. Div. may
require invoices or other
records to verify use of cut-
back and emulsified asphalt.

1. Use of MC only.
2. Oct. -May.
3. Use of MC only.
4. SC
Reg. applies to Puget Sound
nonattainment area.
1. Allowed provided diluent has
a total vapor pressure of le<
than 26 mm Hg at 20°C.
2. Nonattainment areas.
3. Oct. -May.
4. Forecast for 24 hr. period
following application is less
than 50°F.
Report required on use of cutbac
asphalt during June-Sept.
1. MC only.
2. Nonattainment areas.

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            DISCREPANCIES  BETWEEN  PROP! SF.D ASPHALT  REGULATIONS
              AND EXAMPLE  REGULATION  01  DECEMBER  19,  1978
1.   Twelve regulations contain an exemption allowing  the use of cutback
asphalt when the temperature is below 50°F.  It is preferable for
enforcement purposes to establish a season during which cutback asphalt
may be used.  The season would represent that portion of the year during
which temperatures do not linger above 50°F for periods of time adequate
for emulsified asphalt application and setting.
2.  Several States specify a 100 TPY cutoff size.  No criteria is
provided for defining a 100 TPY source with respect to cutback asphalt.
Our guidance defines cutback asphalt as an area source and any "100 Ton"
calculations should consider all State, local, and private uses of asphalt
in the area for which the control  strategy demonstration is developed.
3.  None of the 24 draft regulations prohibit  the use of emulsified
asphalt containing solvent.  Our definition of emulsified asphalt
includes only  solvent-free  emulsions.
4.   Eight  States  exempt cutback  asphalt from regulation  for  situations
other than the three  prescribed  in our guidance.  These  exemptions in  the
draft regulations are  unacceptable although  there will  be case-by-case
situations where  other  exemptions  could be allowed.

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

  DATE:  F£B 2 1  1979
                                                                       PN-172-79-02-21-013
SUBJECT-.  Determination of  Reductions Necessary to Attain
         the  Ozone Standard

     JM:  Richard G. Rhoads, Director
         Control Programs  Development Division

     TO;  Director, Air and Hazardous Materials Division, Regions I-X

              The promulgation of the new standard for ozone has modified  a
         number  of the assumptions used in determining the necessary reductions
         to achieve- the ozone standard.  If States are revising their plans
         for  the .12  ppm standard, the analysis should be consistent with  the
         enclosed, revised guideline.  This memorandum updates and supersedes  my
         memorandum of August 16, 1978, entitled, "Clarification of Attainment/
         Nonattainment Evaluation Guidance."  States submitting plans based  on
         the  .08 ppm  standard can use the assumptions in the August 16,  1978,
         version.

              Please  distribute this to all appropriate State and local  agencies
         in your Region.   If you have any questions regarding this memorandum,
         please  contact John Calcagni at FTS 629-5365.

         Enclosure

         cc:   Chief,  Air Branch, Regions I-X
              W. C. Barber
              B. J. Steigerwald
              Joe Paisie,  Region v
      o. 1320-6 (Rev. 3-76)

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   DETERMINATION OF NECESSARY REDUCTION TO ATTAIN THE OZONE STANDARD
I.  SELECTION OF DESIGN VALUE

     Generally, the ozone design value should be developed in accordance
with the "Guideline for Interpretation of Ozone Air Quality Standards"
(EPA-450/4-79-003, OAQPS 1.2-108), January 1979.  Several special cases
are addressed below:

     A.  In the case where a major hydrocarbon control program has been
initiated and has resulted in significant actual emission reductions in
the 1975-1977 time period.  In this case, the latest maximum value can
be used.  However, the  burden of proof is on the State to demonstrate
that significant actual emission reductions have occurred due to the
implementation (not simply the adoption) of a control program and that
the air quality improvements are consistent with, and can be attributed
to, the emission reductions.  Generally, the emission reduction should
be equal or greater than the air quality improvement.  It is not appro-
priate* to use the latest year's data rather than the last three years if
there has not been a commensurate reduction in emissions.  (For example,
e 10 percent difference in air quality levels cannot be attributed to a
3 percent reduction in actual emissions.)

     B.  In certain situations where transport influences the design
value to a point that the design value is not the worst case.  This case
is described in greater detail in Item V.

     C.  In cases where less than three years of data exist.  In that
cc.se, EPA will accept a design value based on the available years of
data.

     D.  In cases where the representativeness of the data set is
questionable.  An input data set which is 75 percent complete for the
pa die ozone season should be considered representative for that year.  In
ceses where the input data set is less than 50 percent complete during
the peak ozone season or, during the monitoring period in the case of a
special study, then the data should be considered inadequate.  Care
should be used in evaluating data sets that fall between these two
limits to assure representativeness.  Data determined to be unrepre-
sentative should be used only as a last resort when no other data exist
and should not be included in the routine statistical analysis with
other years.   Care should be taken in the treatment of data to assure
that the number of valid data points (after adjusting for seasonal
monitoring) from each year do not vary by more than 20 percent.  If they
do, the conditional probability technique discussed in Section 3.3(4),
page 26 of the guideline must be applied to guard against the excessive
weighting of any one year's data.

-------
     Regardless of the technique applied, the chosen design  value  must
n^eet the quick test for design values test discussed in  Section  3.4,
page 28 of the guideline.  Unless adequately substantiated,  the  design
values not meeting this quick test will not be considered valid.

II.  SELECTION OF A PRESENT TRANSPORT VALUE

     The procedure set forth in the Workbook for Nonattainment  Planning
based on an upwind monitor is by far the most desirable  technique  for
selection of a transport value.  This procedure is  to use upwind data
collected on the day- of the design value.  The most desirable surface
data to use are data collected shortly after the breakup of  the  nocturnal
inversion.  Review of the ambient data from prim'rily rural  areas  suggests
that the 10-n2 a.m. LST average value is appropriate.  Alternatively, a
more precise fixed time of nocturnal  inversion breakup can be determined
with the assistance of a meteorologist by reviewing specific local  para-
meters such as time of sunrise, ambient air quality data, vertical
temperature profiles, and surface temperature.

     In the absence of upwind air quality data, two less satisfactory
alternatives are available.

     The first alternative is to assume that both future and present
transport are equal to background (.04ppm).   This is most appropriate in
circumstances where the urbanized area is isolated  and not likely  to be
subject to significant transport from other urban areas, but acceptable
for any urban area where transport is not an obvious major influence.

     In circumstances where transport obviously is  a major factor,  the
recommended alternative approach is to consider 03  data  collected  at
rural sites shortly after breakup of a nocturnal  inversion (e.g.,
10-12 LST) on the highest CL day in the city under  review.  At  least
five days should be considered.  A range for the rural values is thus
determined.  The median value of this range should  be considered the
present transport value.  This helps  safeguard against the selection of
an unrepresentative value.  For example, if rural data suggest  transport
values ranging from .06-.10 ppm (.06, .07,  .08, .09, 10'ppm), a  present
transport value of .03 ppm would 'bs assumed.

     For evaluations made for the .12 ppm ozone standard, the alter-
native of ignoring both present and future transport considerations is
no longer acceptable unless the net impact on control  requirements  is
relatively insignificant.  Concurrent with the adoption  of the  new ozone
standard, 40 CFR 51.14(c) has been amended by the addition of paragraph
(8) which states:  "In developing an  ozone control  strategy  for  a  particular
area, background ozone and ozone transported into an area must  be  con-
sidered.  States may assume that the standard will  be attained  in  the
upwind area."

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III.  SELECTION OF A FUTURE TRANSPORT VALUE

     fTiie generally acceptable range for future transport is .12-.04 ppm
(somewhere between attainment of the standard by the upwind urban area
and background).  Isolated urbanized areas (at a distance greater than
36 hours travel time of an air parcel) whose air quality levels are not
influenced by air masses which have passed over major urban areas,
should use .04 ppm.  The selection of a value within this range will be
a subjective judgment on the part of the State with concurrence by the
Regional Office with the isolation of the city in question as the key
criterion.

      However, the choice of a future transport value must be logically
consistent with the determination made for the present transport value.
It is inappropriate to assume a major contribution from transport
presently and very low transport levels in the future.  Any reduction in
the future transport value from the present transport value must be
attributable to an anticipated control program in another upwind urban
area.  Generally, assumptions for the future transport value should not
be less than 60 percent of the present transport value.  The only
possible exception to this is 'in those few circumstances where present
transport is so large that a 40 percent reduction is insufficient to
reduce future transport to the ozone standard of .12 ppm. In these cases
the States may assume that the standard will  be attained in the upwind
area.  However, this situation will be quite unusual and should be
adequately documented.

IV.  CHOICE OF AN ADDITIVITY FACTOR

     A presumptive value of .45 (.5 to one significant figure) should be
assumed unless documentation can be presented supporting the use of a
different value.

     Documentation supporting the use of another value could be based on
Guidance contdined in EPA-450/2-77-C21b or, better yet, through simu-
"I3tions with OZ1PP (a computerized, city specific version of EKI-'iA EPA-
600/3-78-014a) using locally applicable data.  However, if the cap-
ability for running OZIPP exists, consideration of transport can be made
more satisfactorily using OZIPP than by using the additivity concept.

     Because simulations to date suggest that edditivity may increase as
precursor concentrations decrease and/or as NMHC/NO  ratios decrease, it
is inappropriate to assume an additivity value in fOture years less than
the currently assumed one.

V.   CONSIDERATION OF A NUMBER OF HIGH DAYS

     A consideration in establishing the baseline air quality is the
desire to identify and base the plan on the ambient conditions which
will result in attainment of the standard under all circumstances.  In

-------
areas influenced significantly by transport, it may well be that the day
requiring the greatest percent reduction will differ from the statistically
predicted design value.  For example, if the design value v/ere  .24 ppm
and transport on that day were .16 ppm, local control requirements would
be less stringent than a design day of  .20 ppm with a transport value of
.06 ppm.

     If an urban area intends to demonstrate attainment by 1982, then it
will be necessary to review a sufficient number of the high ozone days
to ensure1that the proposed plan provides for a sufficient level of
control to ensure attainment.  Note that this analysis will be only
necessary in cases where upwind data which are specific for each day are
.used in development of a transport value.

     If an urban area is seeking an extension to 1987 based on an
evaluation of the design value determined in accordance with Section I,
the Region has the option to accept this demonstration.  It will net be
necessary at this time to insist on the evaluation of a number of high
days to determine if the higher percent reduction is necessary since
the plan is subject to revision in 1982.

VI.  APPROVAELE MODELING TECHNIQUES

     Concurrent with the modification of the ozone standard,  EPA
revised 40 CFR, Part 51, to rescind Appendix J and replace it with
four analytical techniques:  (1) photochemical dispersion models,
(2) empirical kinetics modeling approach (EKMA), (3) empirical and
statistical models, and (4) proportional rollback.  States must use one
of the four techniques to determine the amount of hydrocarbon 'reductions
necessary to demonstrate attainment of  the national ozone standard.

VII.  APPROPRIATE NMHC/NO  RATIOS
                         s\

      If no data exist, the default value cf 9.5:1 should be applied when
employing EKMA.  If an area intends to  develop a city specific  value, the
guidance conv. inec -in F.PA-45C/2-77-021b op 3-21 through 3-24 should be
cure fully fo'i 'lov/eci.  Th<.-re is 5 good deal of concern v;1tn the use of a
single day's Ni-'.sC data at a single site being used.  This is especially
true if the NMHC values are less than 0.5 ppm C.  Regions should carefully
review these data prior to accepting a  city specific NMHC/NO , ratio
different than 9.5:1.  Given the past lack of emphasis on monitoring of
NO  and nonmethane hydrocarbons, careful attention should be paid to -he
representativeness of this data.  In particular, Regions should carefully
evaluate siting and quality assurance procedures before accepting a
locally derived W.HC/NO  ratio.  It is  especially important to  review
high NO  data used in tfie derivation of this ratio since acceptance of
the dstia may imply the possibility of N0? nonattainrn^nt or maintenance
problems.

      For estimates of future conditions, unless it can be clearly
demonstrated to the contrary, or unless major reductions are necessary

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to attain standards, States should presume that the change in NO  con-
centrations are not likely to be significant.  Therefore, it wilt be
appropriate to assume a constant HO  concentration (i.e., lower future
NMHC/NO  ratio).                   x
       A

VIII.  SELECTION OF THE URBANIZED AREA

       The urbanized area should generally conform to the boundaries
defined by the U.S.- Bureau of Census although States, with Regional
Office concurrence, do have a certain degree of flexibility in defining
the specific boundaries of the urban area.  However,  the areas must  be
large enough to cover the entire urbanized area and adjacent fringe
areas of development.  In situations where urbanized  areas are contiguous
or in close proximity, States should be encouraged to consolidate the
urban areas for the purpose of attainment/nonattainment demonstration.
In no case should an urbanized area be divided into smaller subunits,
even if the urbanized area straddles more than one State.

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  ^°s"«
/.Cv*}/*    UNITED STATES ENVIRONMENTAL  PROTECTION AGENCY

       /                     WASHINGTON D.C.  20460
                               JAN 16 1979
                                                          PN-172-79-01-K-012
                                                          OFFICE OF
                                                   AIR AND WASTE MANAGEMENT
SUBJECT:   Continuity ofJjiP-^egul at ions—Revised Enclosure
              <^r'*  (/~~~s^ <^-
FROM:  /   Davi0=^
-------
            REDRAFT OF LANGUAGE FOR 1.979 SIP PREAMBLES



     The measures proposed/promulgated today would/will  be additional



to, and not in lieu of, existing SIP regulations.   The present emission



control regulations for any source would/will  remain applicable and



enforceable to prevent a source from operating without controls, or under



less stringent controls, while it is moving toward compliance with the



new regulations (or, if it chooses, challenging the new regulations).



Failure of a source to meet applicable pre-existing regulations would/will



result in appropriate enforcement action, including assessment of noncom-



pliance penalties.  Furthermore, if there is any instance of delay or



lapse in the applicability or enforceability of the new regulations, because



of a court order or for any other reason, the pre-existing regulations



would/will be applicable and enforceable.



     The only exception to this rule is in cases where there is a conflict



between the requirements of the new regulations and the requirements of the



existing regulations such that it would be impossible for a source to



comply with the new regulations.  In these situations, the State may



exempt a source from compliance with the pre-existing regulations.



Any exemption granted would/will be reviewed and acted on by EPA



either as part of these proposed/promulgated regulations or as future



SIP revisions.

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                    UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

  DATE:        o  .,--70                                                  PN-172-78-11-03-011
      NDV   3  tS?8
SUBJECT:  Categorical  Compliance Schedule for VOC Sources


  FROM:  Walter C. Barber, Director
        Air Quality Planning and Standards  (MD-10)

    TO:  Director, Air and Hazardous Materials Division, Regions  I,  III-X
        Director, Environmental Programs Division, Region II

             We  have received a number of requests to clarify what  is  expected
        for VOC  coir^-iance schedules.  The guidance pubV.shed in the compilation
        for the  "Workshops on Requirements for Nonattainment Area Plans"  states:

             1.  Each plan must contain legally enforceable compliance schedules
        setting_forth dates by which all sources or categories  of sources must
        be in compliance with an applicable requirement of the  plan.   Each
        compliance  schedule must contain increments of progress  as  defined in
        Section  51.1(q) except as provided in item number 3 below.

             2.  Compliance schedules as defined in Section 51.1(q) shall  be
        submitted with the plan and shall  provide for final compliance as
        expeditiously as practicable but in no case shall extend beyond the final
        air quality attainment date of the plan.

             •3.  Each compliance schedule for six months or less in duration from
        the date of its adoption must contain at least the following increments:

                 a.  Date of initiation of a contract or activity which will
        result in final compliance.

                 b.  Date  of final compliance with the emission limitation.

             In  order to better define what should be considered "as expeditious
        as practicable" for a compliance schedule, OAQPS requested  the Division
        of Stationary Source Enforcement (DSSE) to investigate  the  time a typical
        source would need to come into compliance.  Their response  is  enclosed.

             Please note that every source should be covered by  a schedule,
        either categorical or source specific.  Categorical schedules  should
        reflect the minimum time necessary for a typical individual source in
        a category  to come into compliance, and generally should reflect  the
        consideration of the enclosed memo from DSSE.  States which depend
        heavily  on  categorical schedules are also encouraged to  have procedures
        to develop  source specific schedules for sources which  need them.

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     On a case-by-case basis, individual source specific schedules may be
extended under the SIP beyond the categorical schedule time (but not
beyond the final air quality attainment date) only if one or more of
the following are satisfied.

     1.  The State demonstrates that it is physically impossible for the
operation in question to comply with the date in a categorical  schedule.

     2.  That, by allowing additional time, innovative technology will
be applied and the reductions to be achieved will  be significantly greater
than that from the CTG RACT value (this ultimate limitation must be
legally enforceable).

     3.  Additional  time is necessary to allow for the development of
low solvent systems  rather than apply add-on controls.

     4.  The operation in question is part of a Statewide or multistate
program to prioritize the sequence of installing controls at a  number of
similar operations owned or controlled by the same company, and the
overall compliance program is as expeditious as practicable.

     Please note that any present or future modification of a compliance
schedule must be included in the SIP (or revised into the SIP)  since it
will impact the evaluation of reasonable further progress (RFP).   In no
case should compliance with RFP be waived.  Hence  an alternate  compliance
schedule can be approved but only if the RFP demonstration is maintained
through compensating reductions in other areas.

     If you have any questions or comments on this memorandum,  please
call John Calcagni (FTS) 629-5365.

Enclosure-

cc:  Chief, Air Branch, Regions I-X
     D. Hawkins, OANR
     E. Tuerk, OANR

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    !   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
,_01^                 WASHINGTON, D.C. 20460


                          SEP 18'1978

                                                OFFICE CF ENFORCEMENT

 MEMEORANDUM

 SUBJECT:    Categorical Compliance 'chedules for VOC
            Sources

 FROM:       John Rasnic, Chief
            Compliance Monitoring Branch
            Division of Stationary
            Source Enforcement  (EN-341)

 TO:        John Calcagni, Staff Assistant
            Control Programs Operations Branch
            Control Programs Development Division  (MD-15)

      Earlier this month you asked DSSE to develop
 categorical ("blanket") compliance schedules for
 sources required to install RACT for VOC control.
 Sources subject to these requirements must be  in
 compliance as expeditiously as practicable but no later
 than  December 31, 1982.  In response to your request we
 have  developed schedules that, hopefully, will enable
 most  sources to be in compliance before this date yet
 not be unduly burdensome in terms of time constraints.

      The  control technique guideline (CTG) series
 issued by OAQPS lists 11 documents covering 16 VOC
 emitting  industrial operations.  Our brief investigation
 of these  industries leads us to believe most of these
 sources can achieve final compliance within either one
 or two years by adhering to one of the following
 categorical schedules:

-------
2.
                                      Categorical Compliance Sche
                                                Options

    Required Increments          	Schedule No. 1	Sched
       of Progress                     One-Year                TV*
                                   Schedule, Weeks        Sched

1   Control Plan Submitted               12
2   Contract Award                      18
3   Initial of Construction              28
4   Construction Completed               46
5   Final Compliance                    52

       The left hand column  lists the increments of
  progress as  required  by  40 CFR 51.15.   The time
  intervals are in weeks  (Note:   Due dates can be
  conveniently designated  as the 1st or  15th of a month).

       This table was constructed after  consulting
  various literature sources and obtaining the opinions
  of CTG authors or  other  qualified CMB-ESED personnel.
  Since states must  submit approvable regulations by
  January 1979, the  need  for compliance  schedules was
  immediate.  Therefore our proposed schedules have been
  prepared in a short period of  time and involve consider-
  able guesswork.  Also, many other factors may mitigate
  the proposed time  scales.   Some of these factors are
  on-site problems such as space limitations, inclement
  weather, and lack  of  needed utilities; logistical
  problems such as delays  in equipment  delivery caused by
  special orders, backlog  of orders, or  unavailabi-
  lity of large motors  and/or fans;  and  design problems
  caused by lack of  engineering  data for some applications.
  To the limited extent possible, such  factors were
  considered  in preparation  of the schedules.

       Before presenting  the industry specific results of
  our investigation  I would  like to mention some apparent
  problems areas:

       Low Solvent Technology (LST)  - The adoption of low
  solvent coatings as a principal means  of reducing VOC
  emissions is, in many cases, technology forcing.  As a
  result, more time  may be required to install some low
  solvent coating systems  than would be  required for
  add-on control devices.  For example,  five years would
  not be an unreasonable  length of time  to research.

-------
3.

develop and evaluate a low solvent coating for a
particular application.  Time would also be required to,
install the system.   Despite .this, low solvent coating
technology is advocated because of the inherent long-te
benefits to be derived from reducing the quantity of
volatile organic compounds used in surface coatings,
eliminating the need for abatement «quipment and
reducing concommittant energy requirements.  For source:
developing innovative, superior technology a special
compliance schedule can be issued in accordance with
Section 113(d)(4) of the Clean Air Act as amended
August 1977; however, no explicit guidance is available
at this time.  Please note that this long-term situatioi
is not to be confused with LST applications where the
low solvent coatings are already developed.  Lead time
for applying existing technology should not exceed two
years.

     Ultraviolet Curing - Conversion to ultraviolet
curable coatings has been successful on some can
coating formulations; however, many coatings are still
in the development stages or are undergoing tests for
the Food and Drug Administration.  Presently, ultravio-
let curing technology is limited to thin semi-trans-
parent coating films, although they are being tested
for additional uses in the can coating industry.  It
will be a number of years before acceptable ultraviolet
curable coatings are generally available.   A categories
compliance schedule for ultraviolet curing is not
necessary or appropriate at this time.

     Cutback Asphalt Paving and Degreasing Cold
Cleaners - The orginal compliance schedules developed
for these sources indicated that final compliance can
be achieved in less than six(6) months.  However, the
hundreds of thousands of companies affected by the
anticipated regulations may not be able to comply that
quickly.  Most of these operations are, by nature, smal.1
businesses with limited resources and may not be  aware
of their regulatory obligations.  In addition, manufac-
turers may not be able to produce sufficient quantities
of emulsion agents and cold cleaner covers in such a
short period of time.  Therefore, we recommend the one
year schedule be applied.

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4.

     Our specific recommendations for each VOC source
category are listed in Attachment 1.  Generally speaking
sources installing add-on control devices or applying
low solvent technology are given two years to comply.
Sources subject to equipment, operating, and/or
maintenance standards have one year to comply.

     Hopefully this discussion will help you develop
meaningful categorical compliance schedules that
state and local agencies may use as a guideline when
preparing the 1979 SIPs.  Allow me to remind you that
§120(g) requires payment of noncompliance penalties for
sources violating emission limitations beyond mid-79.
Failure by States to include schedules as part of their
VOC regulations will generally subject the affected
sources to penalties.   If you have any further questions
or wish to comment please contact Bob Marshall
(FTS-755-0103).

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                      Attachment 1
      CTG Source Category
Recommended
Compliance Schedule
1)   Surface Coating

           Can
           Coil
Low Solvent Technology (LST)
Add-On Controls (AOC) except
incineration - |2
Incineration (I) - #1
Ultraviolet Curing - Unknown

LST - #2
I   - #1
                             - 12
           Fabric
           Vinyl
           Pager
           Auto & Truck

2)   Metal Furniture Coating
3)   Magnetic Wire Coating


^)   Large Appliance Coating



5)   Bulk Gasoline Terminal
     Truck Loading

6)   Bulk Gasoline Plants

7')   Service Stations

8)   Fixed-Roof Storage of
     Petroleum Liquids

9}   Petroleum Refining



10)  Cutback Asphalt

11)  Degreasing
LST
AOC
 I
LST
AOC
 I

LST
 i

LST
AOC
 I

#2
      12
      12
      #1
      #2
      #2
      fl
    - #1

    - #2
    - #2
    - #1
Internal Floating Roofs - #1
AOC - #2

Vacuum Systems and Process
Unit Turnarounds - #1
Waste Water Separators - #2
#1

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  DATE:
                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
         1 NOV 19/8
   :cT:  Guidance on SIP Requirements Contained in Section 172(b)(9)(A)

                                                                     PN-172-78-11-01-010
  FROM:  Walter C. Barber, Director
        Office of Air Quality Planning and standards

    TO:  Regional Administrator, Regions I-X

            Enclosed is a copy of the final guidance on Section 172(b)(9)(A)
        which was previously transmitted to your staff in draft form for review
        and comment.  We have received many helpful  comments, most of which have
        been incorporated in this final guidance.

            Section 172(b)(9) provides for public, local  governments and State
        legislative involvement and consultation in  developing implementation
        plans for nonattainment areas.  Subsection (A) requires an identification
        and analysis of the air quality, health, welfare, economic, energy and
        social effects of the selected plan provisions and of the alternatives
        considered by the State.  Subsection (B) requires a summary of public
        comment on the above analysis.

            The general requirements regarding the identification and analysis
        are provided in Section 172(b)(9)(A) itself.  However, the specific
        elements of this provision  have not been supplied.  The purpose of this
        guidance is to describe the scope of the requirements.  The intent
        throughout is to avoid the imposition of additional burdens and to
        tailor the analysis to information already needed for developing an
        adequate plan.  Specific attention should be given to the identification
        of differential impacts which vary from one  alternative to another.
        Wherever possible, the analysis should be prepared in laymen's language
        and in a format suitable for public review.

            The enclosed guidance has been developed so as to accomplish the
        requirements of Section 172(b)(9) within the limited resources currently
        available within the State and local programs.  This analysis should
        center on the significant impacts of the plan and the alternatives
        considered.

            Where impacts are severe and the implementation plans are especially
        controversial, some Regional Offices may determine that more detailed
        analysis is in order.  For those Regions desiring further information,
        please contact David Foster of the Policy Development Section at 629-5497.

        Enclosure

        cc:  Director, Air and Hazardous Materials Division, Regions I-X
             D. Hawkins
             R. Gamse
             M. James
             D. Wilson
EPA FORM 1320-6 (REV. 3-76)

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Guidance on SIP Requirements Contained in Section 172(b)(9)(A)

     Section 172(b)(9) provides for public, local government, and State
legislative involvement and consultation in developing implementation
plans for nonattainment areas.   Subsection (a) requires an identification
and analysis of the air quality, health, welfare, economic, social  and
energy effects of the selected plan provisions and of the alternatives
considered by the State.   Subsection (B) requires a summary of public
comment on the above analysis.

     The general requirements regarding the identification and analysis
are provided in Section 172(b)(9)(A) itself.   The purpose of this
guidance is to describe the scope of the requirements.  The intent
throughout is to avoid the imposition of additional burdens and to
tailor the analysis to information already needed for developing an
adequate plan.

     At a minimum, this must include an impact assessment or analysis
for each of the following six impact areas:  air quality, health,
welfare, economic, social, and energy effects.

I.  AIR QUALITY

     Included here should be estimates of air quality  in terms of the
annual and short-term standards for each pollutant under each alternative.
This information should be provided for the base year and the year of
attainment.  The plan must provide for attainment at least by the
statutory deadline.

     Also included under air quality effects  should be a discussion of
any additional beneficial effects associated  with the various plans
under consideration.   For example, a transportation control plan
instituted to reduce emissions  of hydrocarbons would have the additional
effect of reducing carbon monoxide and possibly particulate emissions
as well.

II.  HEALTH

     The presentation of health information should address general  health
effects and population exposure.  This would  include a generalized
description of the types  of health effects which have been associated
with the pollutant for which the plan was prepared/ This is not intended
to be a specific statement about health effects on the area in question.

     Population exposure estimates can be presented as a narrative
description outlining the relative difference in exposure levels and
numbers of people exposed associated with the alternative strategies
considered.
 Estimates for the alternatives need not employ the detail  and same level
of precision required in making the final selection.
p
 This information can be taken from the criteria documents.

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III.  WELFARE

     Presentation of welfare data would be similar to, but less detailed
than, that for health data.  It should first contain a qualitative
statement regarding the detrimental impacts on material, crops and
livestock associated with each pollutant, as well as the aesthetic
impacts.   The second part should characterize the differential exposure
under alternative plans.  Where the secondary standard is to be attained
after the primary standard, the estimated date of secondary standard
attainment should be listed along with the associated strategy.

IV.   ECONOMIC EFFECTS

     The minimum requirements for identification and analysis of economic
effects should include estimates for control and administration costs.
These estimates should be provided for the plan to be submitted, as well
as for each considered alternative plan, and they-should be specified
by industry and government category (where applicable).  Where possible,
the percentage price increases under the assumption of full cost pass
through should be estimated where the price increases are significant
(i.e., >5%).

     Given the time and resource constraints facing the States, cost
estimates developed on a plant specific basis may well be the exception
rather than the rule.  Many States may elect to use model plants as a
basis for cost estimates.  Typical control costs for certain source
categories may be used where specific cost information is not available.

     Regardless of which cost estimating technique or combination of
techniques is used, there should be an indication of the extent of the
analysis (i.e., all sources versus 95% of the affected sources
included in the analysis).  Where a substantial portion of the affected
sources are not covered, a justification should be provided regarding
the limited coverage.

A.  Control and Administration Costs
                                                     4
     Control costs include the incremental investment  and annualized
costs  incurred by a source to comply with the regulations under the
alternative plans.  The control costs are incremental in the sense that
 This information can be taken from the criteria documents.
4
 "Investment costs" include one time, non-recurring costs such as the
 design, fabrication, and installation of air pollution control systems.
5
 "Annualized cost" is comprised of three categories:  the direct operating
 cost, the indirect costs (including annualized capital charges), and
(where applicable) the recovery credit.  The first accounts for operation
 and maintenance costs, such as:  (1) labor and materials needed to
 operate and maintain the control equipment; and (2) utilities, which
 include electric power, process water, and cooling water; water treatment
 (herein, applicable to the electrostatic precipitator and venturi scrubber
 systems).

-------
they are in addition to current control  conditions.  For example, if an
emission source is currently controlling 90% of its emissions and an
alternative plan regulation requires 90% control  of the same emissions,
there would be no incremental  costs.  However, if the requirement was
95% control, there would be incremental  costs associated with the addi-
tional 5% control.

     The indirect costs include administrative overhead, property taxes,
insurance, and the annualized capital charges for depreciation and
interest.  The depreciation and interest portion is computed by use of a
capital recovery factor, the value of which depends on the device
operating  life (e.g., 10 years for the electrostatic precipitators and
venturi scrubbers; 15 years for the fabric filters) and the interest
rate (e.g., annual interest rate of 10 percent).  Administrative overhead,
taxes, and insurance are usually a fixed percent of the installed capital
cost per year (e.g., 4 percent).

     The product recovery credit accounts for the value of the material
recovered by the control equipment.  The annualized cost is then obtained
simply by adding the direct operating cost to the indirect costs
and subtracting any recovery credit from the sum.

     Alternative plans could also impose different incremental costs on
State and local agencies charged with administering the plan to attain the
national ambient air quality standards.   The incremental costs could take
the form of more data gathering, enforcement, monitoring, laboratory,
support, and management activities.  Experience with administering the
present implementation plan may be the best basis for estimating the
incremental costs of administering a revised plan.

     The control and administration costs should be summarized to show
the totals for each alternative plan.

B.  Potential Price Increases

     A potential price increase is the quotient of incremental annualized
cost divided by annual revenue.  Annualized cost is the sum of control
and administration costs referred to earlier.  Annual revenue is "product"
price times the quantity sold each year.  Price information can be
obtained from industry trade journals and several Department of Commerce
publications. The quantity sold each year can be estimated from the
capacity and hours of operation data specified in the source's emissions
inventory.  Differences in source characteristics or control requirements
may result in different potential price increases within an emission
source category.

     A bibliography of pertinent published cost references is included
in the appendix.

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V.  SOCIAL EFFECTS

     Effects on establishments, employment, and living conditions are
classified in this guidance as social effects.  One could argue that
establishment and employment effects are really economic effects, and
that living condition effects are best classified as health or welfare
effects.  However, Section 172(b)(9)(A) does not identify social  effects
as subsets of economic, health, or welfare effects.  Consequently,
social  effects are treated separately in this guidance.

     Given the resource constraints of the States and the difficulties
in estimating social  effects, this portion of the identification and
analysis may not be very precise.  This is not to say social  effects
should  be ignored.  However, the analysis may be presented as descrip-
tions of general tendencies as opposed to specific point estimates.
Where these changes seem significant, a brief narrative description
should  be provided outlining the magnitude and type of existing estab-
lishments affected, employment gains and losses (where known), and a
general statement of impacts on living conditions, such a transportation
service.

VI.  Energy Effects

     In most cases, the potential energy impacts will be factored into
the control costs for an individual source.  However, some strategies,
for example, those involving S0?, may have significant impacts on
projected energy supplies.  These impacts include any major increase
in aggregate energy demand or major shift in demand by fuel type.  The
primary focus here is on the identification of any potential  for major
disruption or conflict with the national energy policy.   Where signifi-
cant energy impacts are identified for control of a given pollutant,
impact information should be provided for the year of full compliance
and where possible expressed in a common unit for each major source
category.

     Coordination with the State energy plan is also encouraged, and any
projected energy savings should be noted in support of the proposed
implementation plan.
 The national energy policy encourages the use of coal, seeks to assure
 availability of natural gas, and favors a decrease in oil imports.

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                         Appendix
1.  Control  Techniques Documents for:
     a.  Carbon Monoxide, Nitrogen Oxide, and Hydrocarbon Emissions
         from Mobile Sources:  AP-66
     b.  Carbon Monoxide Emissions from Stationary Sources:  AP-69
     c.  Volatile Organic Emissions from Stationary Sources:   EPA-
         450/2-78-022
     d.  Nitrogen Oxide Emissions from Stationary Sources:  AP-67
     e.  Particulate Air Pollutants:  AP-51
     f.  Sulfur Oxide Air Pollutants:  AP-52
2.  Control  Techniques Guideline Documents for Volatile Organic Emissions
    from Existing Stationary Sources:  Several Volumes published in 1976,
    1977, and 1978.
3.  Standards Support and Environmental Impact Statements for Various
    New Source Performance Standards
4.  Industrial Gas Cleaning Institute, Inc., Air Pollution Control
    Technology and Cost Studies:  EPA-450/3-73-010 and EPA-450/3-74-060
5.  GARD, Inc., Capital and Operating Costs of Selected Air Pollution
    Control  Systems:  EPA-450/3-76-014
6.  Air Quality Impact of Transit Improvements, Preferential  Lane, and
    Carpool/Vanpool Programs:  EPA-450/2-78-992a
7.  Volume 2 (Plan Preparation) of Guidelines for Air Quality Maintenance
    Planning and Analysis, Appendices B & C (EPA-450/4-74-002), July, 1974
8.  Development of a Trial Air Quality Maintenance Plan Using the Baltimore
    Air Quality Control Region, Chapters VII and VIII (EPA-450/3-74-050).
    September, 1974
9.  Air Quality Analysis Workshop:  Volume I - Manual, Chapter 9 (EPA-
    450/3-75-080-a), November, 1975

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 ocr  2 &


                                                             PN-172-78-10-26-009

Ozone Transport Values for SIP Revisions


Walter C. Barber, Director
Office of Air Quality Planning and Standards

Director, Air and Hazardous Materials Division, Regions I, III-X
Director, Environmental Programs Division, Region II

     Techniques for selecting transport values have been discussed in
past guidance.   This memorandum is to further reinforce Agency policy
concerning the use of background and present/future transport values
in the development of ozone control strategies employing the linear
rollback or EKMA method.

     When developing an ozone control strategy, consistent assumptions
must be employed.  A control strategy cannot assume that a significant
portion of the present ozone problem is due to ozone transported into
the control region and at the same time assume that future transport
will be at the commonly accepted natural background level of 0.04 ppm.
For example, a control strategy for an urbanized area with a ozone
design value of 0.19 ppm should not assume ozone presently transported
in at a level of 0.13 ppm, while at the same time assuming that future
ozone transport measurements will drop to the 0.04 ppm background
level.  High present transport is indicative of the influence of
significant upwind sources which one can assume will be controlled to
attain the standard.  However, if the influence of these upwind emis-
sions is as significant now as in the example, they will continue to
be an important influence in the future.  Accordingly, a future
transport number at the natural background levels is not acceptable.

     Regional Offices should pay careful attention to the present and
future transport values in all linear rollback and EKMA evaluations
made for ozone control strategies.   Strategies which assume that
transported ozone is a significant portion of the present problem and
accordingly employ high present transport values, but then assume
future transport to be at natural background, are not approvable.
 August 16, 1978, memo from Richard G.  Rhoads to Regional Air and
 Hazardous Materials Division Directors, "Clarification of Attainment/
 Nonattainment Evaluation Guidance."

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                    UhUTED STATES ENVIRONMENTAL PROTECTION AGENCY
                      Office of Air Quality Planning and Standards
     TE: OCT 6   1Q70  Research Triangle Park, North Carolina 27711
             0   M'S                3                                PN-172-73-10-06-008
 SUBJECT: comments on Auto Industry Proposals


   FROM: Richard G. Rhoads, Director
        Control Programs Development Division

     T0: Director, Air and Hazardous Materials Division, Regions I, III-X
        Director, Environmental Programs Division, Region II

             A number of States and Regional Offices have requested OAQPS comments
        on auto industry proposals which differ from limits in the Control  Technology
        Guidelines (CTG).  Rather than review each proposal individually, we  have
        aggregated the key issues raised in each and addressed it in the enclosed
        memorandum.  This memorandum should be considered a supplement to the CTG
        and a clarification of EPA policy for the review of State SIP submittals.

             Any questions or comments on this memorandum should be directed  to
        John Calcagni  at FTS 629-5365.

        Enclosure
EPA FORM 1320-6 (REV. 3-76)

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               AUTOMOTIVE AND LIGHT TRUCK  ASSEMBLY  COATING OPERATIONS






     A number of States  have received suggestions and proposed standards



for the control of auto  and light truck assembly operations.  The principle



issues raised by these comments related to:



          RACT for prime application



          RACT for topcoat application



          Averaging times for the emission limits



          Case-by-case review



          Compliance schedules



     Our findings and guidance on these issues are as follows:



PRIME APPLICATION OPERATIONS



     The prime coat serves the dual function of protecting  the surface



from corrosion and providing for good adhesion of the topcoat.  A combi-



nation of manual  and automatic spray methods, with or without the use  of



electrostatic techniques, is usually used  to apply organic  solvent-borne



primer.



     Primers may also be applied by dipping techniques.   The Chrysler



Corporation, for example, used water-borne dip primers for  underbodies



at some of its plants.  Because the dip-coated primer is not smooth, the



coating must be sanded or else be used only on areas where  appearance



is not important.



     Of most interest from a pollution control standpoint is a relatively



new priming process, electrophoretic (electrodeposited)  water-borne dip.



The object to be coated is immersed in a water-borne coating and an

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electric potential is induced between the vehicle and the coating bath.
By correctly setting the electrical potential and the time of the bath,
the coating thickness can be controlled as desired.  Corrosion protection
is excellent because coverage is more complete than can ever be obtained
by spray priming alone.  The electrophoretic dip pncess is used at over
40 percent of U.S. assembly plants and is very widely used in Europe.
     Because of the uniformity of the electrodeposited coating, it does
not "mask" imperfections in the substrate and additional primer must be
sprayed on those areas for subsequent sanding.  This additional primer,
called "surfacer" or "guidecoat," is available as either a water-borne or
organic solvent-borne coating.
     The EPA recommendation of 1.9 Ib/gal (less water) was based on a
weighted average of the two essential components in this system:  .8 Ib/gal
coating used in the anodic electrodeposition (EDP) process then in use and
a 2.8 Ib/gal (less water) coating for the surfacing operation.
     The industry comments on the prime application operations have
questioned the availability of cathodic EDP coatings at the same solvent
content as anodic EDP.  Cathodic EDP is a new development in EDP coating
and is considered to be a superior technology because it markedly improves
the corrosion resistance.  Our investigation on this matter concluded:
          Anodic EDP coatings are available at .8 Ib/gal (less water).
          Presently used anodic EDP coatings are 1.2 Ib/gal  (less water).
          Presently used cathodic EDP coatings are between 1.8 and
2.1 Ib/gal (less water).

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     Coating manufacturers have committed to providing cathodic El
coatings at 1.2 Ib/gal (less water).
      In terms of emissions/year, a typical EDP line (coating 40 i
mediate size vehicles per hour) using a .8 Ib/gal (less water) coa
consumes 15 tons/year while a 1.2 Ib/gal (less water) coating cons1
26 tons/year and a 2.1 Ib/gal (less water) coating consumes 54 ton:
Test results have shown approximately two-thirds of this solvent c<
tion from an EDP process is removed from the system by the waste we
stream reducing the emissions from the oven and dip tank to a thirc
these values.  Accordingly, State regulations should require EDP bu
less stringent limits than 0.8 Ib/gal.  Based on the available data
believe a regulation which calls for EDP at 1.2 Ib/gal  (less water)
prime application would allow the use of either cathodic or anodic
even though cathodic EDP coatings at less than 1.8 Ib/gal (less watt
are not commercially available today.
     For surfacing operations, the EPA recommended limit of 2.8 lb/<
equivalent to a 62 percent solids coating, is based on a conventions
applisd water-borne coating which was in use in two plants in this c
We anticipate that conversion to a water-borne surface will  be the p
compliance technique for approximately 50 percent of the industry.
     In evaluating equivalence to the CTG, it is important to consid
transfer efficiency.  Electrostatically sprayed coatings offer a mar
advantage over conventional spray coatings in that the overspray (or
material) is reduced from about 50 percent to 30 percent.  Unfortunal
water-borne coatings are not presently applied electrostatically in 1
automotive industry because of some safety problems.  Considering the
higher transfer efficiency, a 55 percent solids organic-borne surface

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applied electrostatically can be considered equivalent to the EPA-



recommended limit of 2.8 Ib/gal.  Although a 55 percent solids prime



coat is not presently available, if it can be developed, it would  be 1



preferred option for a significant fraction of the industry.  It shou



also be noted that a shortfall from the 55 percent solids coating  pro!



can be made up through the addition of add-on controls such as incine



of the prime oven emission, or carbon adsorption on the spray booth a



flash off areas.




TOPCOAT APPLICATION OPERATIONS




     The area receiving the most comment has been the appropriate  cor



levels for topcoat application.  The EPA-recommended limit of 2.8  lb,



was based on a conventionally sprayed water-borne enamel coating pre:



being applied at two automotive assembly plants in California.  Cons



there can be no argument as to the technical feasibility of achievin



2.8 Ib/gal.



     At many of its1 plants, General Motors uses lacquers for the top



Lacquers have an extremely high solvent content (- 88 volume percenl



American, and Chrysler use topcoat enamels with 65 to 78 percent so'



by volume.  Volkswagen expects to use topcoats with only 30 volume >



solvent equivalent by 1981.



     A number of major process modifications are necessary, however



retrofit water-borne coating technology to an existing plant.  This



the lengthening or addition of new ovens and flash tunnels, humidit



temperature controls in the spray booths, increased sludge handlinc



bilities, provisions for additional power, and use of more corrosic



resistant materials in the piping and spray booth construction.  Tl

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of this retrofitting will vary and one major variable will  be the age of



the existing coating equipment.  If near retirement, it may be better to



build entirely new spray booths and ovens.  This was done at one of two



automobile plants which converted to water-borne coatings.   If the coatim



equipment is still relatively modern, however, retrofitting will  entail



lengthening of ovens and modification of spray booths and conveyors.



This was the approach taken at the other automobile plant using water-



borne topcoats.  While costs will vary from plant-to-plant, capital  costs



for a retrofit to water-borne topcoats for the "model plant" were estimate



by EPA to be about $20 million (1975 dollars).  For a plant where the



entire coating line is replaced, capital costs can be about twice this.



     Incremental operating costs include increased electrical  requirements



and maintenance labor.  Coating material costs are approximately the  same.



Higher oven temperature causes an increase in natural gas usage.



     Actual conversion to water-borne coatings may not be the only way to



achieve the emission levels represented by 2.8 Ib/gal.  For example,  emis-



sions from electrostatic application of an organic-borne topcoat  of



55 percent solids (with a transfer efficiency of 70 percent) is equivalent



to conventionally sprayed water-borne coating with 2.8 Ib/gal  (less water)



of solvent.  Electrostatic application of a 50 percent solids coating



(with a 70 percent transfer efficiency) would require an additional



16 percent reduction of the organic solvent through add-on  controls in



order for it to emit no more than the water-borne.  These reductions  may b



achieved through incineration of oven emissions and/or carbon adsorption



of a portion of the spray booth emissions.

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     It should be noted that while carbon adsorption of the spray booth
emissions is technically feasible, no full-scale installations  are presently
in operation in automobile plants although the two major manufacturers
both have large scale pilot studies underway.   If a coating with  a
reasonably ^gh solids content (50-55 percent) becomes  commercially
practicable for the automobile topcoat, the costs for add-on controls to
provide incremental reductions would be significantly less than the cost
of converting to an all water-borne operation.  Naturally, if future
organic-borne enamel coatings fall shori of 50 percent  solids,  a  greater
reliance on add-on control would be necessary.  For example, a  45 percent
solids coating with a 70 percent transfer efficiency would require a
31 percent reduction from add-on controls,
AVERAGING TIMES
     The 2.8 Ib/gal (less water) limit chosen  represents a typical color
being used.  Some of the light metallic colors require  greater  solvent
content (as high as 3.1 Ib/gal).   If the 2.8 Ib/gal (less water)  value is
interpreted as a maximum not to be exceeded, this would likely  constrain
the availability of certain colors.  Suggestions have been  made  by the
automotive industry that this should be an average.  If a State  regula-
tion expresses this limit as a daily weighted  average or arithmetic
average of the colors in use (so long as the limit is unambiguously expressed
and legally enforceable), OAQPS would not regard that as being  perceptibly
different than the recommended limit.

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CASE-BY-CASE REVIEW




     Arbitrary variation from the recommended limits is not appropriate.



However, the recommended limits are presumptive norms for the category ii



question, not absolutes for each individual plant.  If facility specific



problems unique to a given plant are identified, these should be conside:



on a case-by-case basis.  In any circumstance where the State requiremen'



vary from the recommended limit, the SIP must provide adequate technical



information to support the modification.  Individual source specific



regulations or variances are appropriate if:



     1.  The recommended limit is inappropriate for an individual



source because of specific circumstances unique to the particular



facility;



     2.  The proposed level of control is the maximum reasonably attain-



able by the operation in question.  Specific consideration should be giv



to the feasibility of development of technology to comply with a value



at or near the recommended value; and



     3.  The reasonable further progress demonstration is not violated.





     It should be noted that any change made after the initial submittal



will have to be a SIP revision and that the revision must provide a



means to account for the increased emissions in the SIP.   This could be



through such measures as offsets by the sources, plans for additional



reductions to be obtained by the State beyond what the SIP called for, c



a reduction in the growth increment.  In brief, the plan  must continue



to demonstrate a program for attainment.

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COMPLIANCE SCHEDULES




Where source specific schedules cannot be proposed, OAQPS recommends



that the SIP contain categorical compliance dates for each source category.



A categorical schedule for any CT6 categories rust have increments of



progress which  are as expeditious as practicable.  This schedule should



reflect the minimum reasonable time necessary for a typical  individual



source to install controls.  However, that is not to say that all  sources



must comply by that date.  Individual extensions beyond this date, but



not later than the attainment date, may be acceptable on a case-by-case



basis if:



     1.  The State demonstrates that it is physically impossible for the



operation in question to comply with the date.



     2.  That, by allowing additional time, innovative technology will



be applied and the reductions to be achieved will be significantly



greater than that from the CTG RACT value (this ultimate limitation



must be legally enforceable).



     3.  Additional time is necessary to allow for the development of



low solvent systems rather than apply add-on controls.



     4.  The operation in question is part of a Statewide or multi-state



program to prioritize the sequence of installing controls at a number of



similar operations and that the overall compliance program has been



approved as being expeditious as practicable.

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     Note that any modification of the compliance schedule beyond
December 31, 1982, will need to be a SIP revision and will  impact the
evaluation of reasonable further progress (RFP).   In no case should
compliance with RFP be waived.  Hence, an alternate schedule beyond
1982 can be approved only if the RFP program is modified to reflect
the delays.

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UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                   ASHINGTON. D.C. 20460

                   jfj 1 2EP  1878               PN- 172- 78 -10 -11 -00 7
    "                      WASHINGTON. D.C.  20460
                                                             OFFICE OF
                                                      AIR AND WASTE MANAGEMENT
SUBJECT:  Continuity of SIP Regulations


FROM:     David G. Hawkins, Assistant Administrator
            for Air, Noise, and Radiation

MEMO TO:  Regional Administrator, Regions I - X

     Pursuant to Sections.107 and 172 of the Clean Air Act, many States
have had areas designated as nonattainment and will be required to
submit revisions to their State Implementation Plans to provide for
attainment.  While many of these regulations will bring previously
uncontrolled sources under the purview of control regulations, there
will also be a significant degree of regulation tightening.  This sub-
mittal of more stringent regulations probably will result in judicial
challenges to the new regulations and requests for temporary relief, in
the form of variances or delayed compliance orders, from the more oneroi
regulatory provisions.  In these situations, it is imperative that
the plan retain an enforceable regulation in order to minimize any
further deterioration of air quality in nonattainment areas.  In order
to ensure that this deterioration does not occur, it is essential to
inform affected States of the procedures to be followed in submitting
and approving plan revisions.

     In approving a SIP revision, EPA will  provide that the emission
limitation contained in the existing regulations remain in effect.
Mew requirements imposed by the plan revision will normally be treated
as being in addition to, rather than in lieu of, those imposed by
existing regulations.  For example, if the new regulations are judi-
cially challenged, or if the source is granted a delayed compliance
order or variance which exempts it-temporarily from the provisions of
the new regulations, it must comply with the pre-existing regulations.
Failure to meet these pre-existing standards ..will, subject .the. source
to appropriate enforcement actions, including the "imposition of'non-
compliance penalties under Section 120 of the Act.

     EPA's policy should be set forth in the FEDERAL REGISTER notices
proposing to approve, and approving, SIP revisions.  Also, the States
should be informed of this policy immediately.  EPA will disapprove
any SIP revision to the extent it is inconsistent with this approach.

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     The one major exception to this rule would be when the new regulations
are "inconsistent" with those currently in effect.  In this situation,
the State may exempt the source from the requirements of the pre-existing
regulations, provided the source demonstrates that it cannot physically
meet the new regulations and continue to comply with the existing require-
ments.  If the State expects to grant such exemptions, it must establish
an appropriate exemption review mechanism in its nonattainment plan.
Exemptions approved by the State must be submitted to EPA as SIP revisions
to ensure that every exemption will be drawn as narrowly as possible.
EPA will review these exemption requests strictly.  An exemption request
may be granted only when the construction or installation of the new
equipment can no longer proceed while existing controls remain in operation.
No request may be granted, however, if to do so would interfere with the
demonstration of reasonable further progress required by the Act.

     Enclosed is suggested wording for EPA's FEDERAL REGISTER notices
proposing to approve, and approving, State Implementation Plan revisions.

cc:  M. Burning
     J. Bernstein

Enclosure

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                             ENCLOSURE
     This proposal/final action would/will replace measures in the
current SIP with the new measures submitted by the State to EPA for
approval.  Under this proposal/action, the current emission control
regulations applicable to any source would/will remain in effect
until such time as the newly revised regulation becomes effective and
the source achieves full compliance with its provisions.  This provision
applies to all revised SIP regulations, not merely those that are
subjected to judicial challenge.  Failure of the source to satisfy
the requirements of the former regulation would/will result in appro-
priate enforcement actions.

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                    UNITEDtSTATES ENVIRONMENTAL PROTECTION AGENCY
         i 4 AUG 19/8
      :

      :   Clarification of EPA Policy on Emissions of Methyl Chloroform
                                                                 PN-172-78-08-24-006

  FROM:   Walter C. Barber, Director
         Office of Air Quality Planning and Standards (MD-10)

    T0:   Regional Administrator, Regions I-X

              The purpose of this memo is to clarify EPA's position with regard
         to State and Federal regulation of emissions of methyl chloroform
         (1,1,1, trichloroethane).  On July 8, 1977, EPA published the present
         "Recommended Policy on Control of Volatile Organic Compounds"
         (42 FR 35314).  This policy exempts methyl chloroform from inventory
         requirements and regulations to meet the national ambient air quality
         standard for photochemical oxidants.  However, the policy indicated
         that methyl chloroform had been implicated as having deleterious effects
         on stratospheric ozone and therefore may be subject to future controls.
         Nevertheless, the policy seems to be encouraging a shift to the
         uncontrolled use of methyl chloroform in place of trichloroethylene and
         other regulated solvents in metal degreasing operations.

              We have been advised by the Office of Toxic Substances that methyl
         chloroform should be considered potentially harmful to the ozone layer
         and that they are performing the necessary evaluations and assessments
         prior to pursuing further regulatory initiatives.  Hence, its use in an
         uncontrolled fashion should not be encouraged.  Accordingly, OAQPS has
         begun the necessary actions to propose removal of methyl chloroform from
         the list of exempt volatile organic compounds (VOC).  However, we do not
         expect this action to be completed before the State Implementation Plans
         for photochemical oxidants are to be submitted.   In addition, I have
         directed that the new source performance standards to be proposed for
         solvent metal cleaning operations, as well as any other solvent uses,
         require positive control of all VOC emissions including methyl chloroform.

              I recognize that many States are well along in the preparation of
         their regulatory packages and inventories.  In order not to change the
         existing guidance at this late date, I am requesting that you advise
         your State directors that, although we will not disapprove a State
         oxidant SIP submittal which exempts methyl chloroform from control, we
         are very concerned with the environmental risks associated with wide
         scale substitution to methyl chloroform; and that the uncontrolled use
         of methyl chloroform es an approved means for compliance should be avoided
         wherever possible.

         cc:  Director, Air & Hazardous Materials Division, Regions I, III-X
              Director, Environmental Programs Division, Regions II
              Chief, Air Branch, Regions I-X
              Steven D. Jellinek, Office of Toxic Substances
              Warren Muir, Office of Toxic Substances
EPA Font. 1320-4 (Rev. 3-76)

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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
               . -JQ^ Office of Air Quality Planning and Standards
    •E  *UG lo i    Research Triangle Park, North Carolina 27711    PN-172-78-08-16-005
SUBJECT-  Clarification of Attainment/Nonattainment
        Evaluation Guidance

  FROM.  Richard G. Rhoads, Director
        Control Programs Development Division (MD-15)

    TO  Director, Air and  Hazardous Materials Division, Regions I, III-X
        Director, Environmental Programs Division, Region II

            Enclosed is a clarification of the approved -procedure for the
        determination of the necessary reduction to achieve the oxidant standard.
        This memorandum is the result of a work group recommendation  as revised
        at the last branch chief's meeting at the Southern Pines workshop.
        Please distribute  this to'all appropriate State and local  agencies  in
        your Region.

            If you have any questions regarding this memorandum,  please  contact
        John Calcagni at (FTS) 629-5365.

        Enclosure

        cc:  T. Devine, Region I
            W. Baker, Region II
            H. Heim, Region III
            G. Glahn, Region IV
            W. Pearson, Region V
            J. Divita, Region VI
            A. Sprat!in, Region VII
            R. DeSpain, Region VIII
            W. Blackard, Region IX
            C. Gauiding, Region X
            T. Helms
            D. Tyler
            E. Lillis
              . 3-7b

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             CLARIFICATION OF ATTAIHMENT/NONATTAINMENT
                        EVALUATION GUIDANCE

I.  SELECTION OF DESIGN VALUE
    The present guidance regarding selection of an oxidant design value
generally is appropriate.  EPA will expect the design value to be the
highest of the three second high values obtained during the last 3 years
(1975, 76, and 77).  The only variations from this will be:
     A.  In the case where a major hydrocarbon control program has been
initiated and has resulted in significant actual emission reductions in
the 1975-1977 time period.  In this case, the latest second high value
can be used.  However, the burden of proof is on the State to demonstrate
that significant actual emission reductions have occurred due to the
implementation (not simply the adoption) of a control program and that
the air quality improvements are consistent with, and can be attributed
to, the emission reductions.  Generally, the emission reduction should
be equal or greater than the air quality improvement.  It is not appro-
priate to use the latest second high rather than the highest second high
of the last 3 years if there has not been a commensurate reduction in
emissions.   (For example, a 10 percent difference in air quality levels
cannot be attributed to a 3 percent reduction in actual  emissions.)
     B.  In certain situations where transport influences the design
value to a point that the highest second high value is not the worst
case.   This case is described in greater detail  in Item V.
     C.  In cases where less than 3 years of data exist.   In that
case,  EPA will  accept the highest second high of the available years of
data.
II.  SELECTION  OF A PRESENT TRANSPORT  VALUE
     The procedure set forth in guidelines  based on an upwind  monitor
is by far the most desirable technique for  selection of a transport
value.   This procedure is to use upwind data collected on the day of
the design value.  The most desirable  surface data to use are data

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collected shortly after the breakup of the nocturnal inversion.  Review
of ambient data from primarily rural areas suggests that the 10-12 a.m.
LSI average value" is appropriate.  Alternatively, a more precise fixed
time of nocturnal inversion breakup can be dstermined with the assistance
of a meteorologist by reviewing specific local parameters such as time
of sunrise, ambient air quality data, vertical temperature profiles, and
surface tenr--/attire.
     In the absence of upwind air quality data, several less satisfactory
alternatives are available.
     One alternative is to assume that both future and present transport
are equal to background.  This is most appropriate in circumstances
where the urbanized area is isolated and not likely to be subject to
significant transport from other urban areas.
     In circumstances where transport obviously is a major factor, the
recommended alternative approach is to consider 0~ data collected at
rural sites shortly after breakup of a nocturnal inversion (e.g., 10-12 LSI)
on the highest 0-, days in the city under review.  At least 5 days should
be considered.  A range for the rural values is thus determined.   The
median value of this range should be considered the present transport
value.   This helps safeguard against the selection of an unrepresenta-
tive value.   For example, if rural data suggest transport values  ranging
from .06-.10 ppm (.06, .06, .08, .09, .10 ppm), a present transport
value of .08 ppni would be assumed.
     The third alternative is to ignore both present and future transport
considerations.  Providing the design value is twice the standard or
greater, calculations obtained ignoring the effects of present and future
transport will yield results similar to the previously described  pre-
ferred  approach.
III.   SELECTION OF A FUTURE TRANSPORT VALUE
      The generally acceptable range for future transport is  .08-.04 ppm
(attainment of the standard by the upwind urban area).   Isolated

-------
urbanized areas (at a distance greater than 36 hours travel time of an
air parcel) whose air quality levels are'not influenced by air masses which
have passed over major urban areas, can use .04 ppm. The selection of
a value within this range will be a subjective judgment on the part of
the State with concurrence by the Regional Office with the isolation of
the city in question as the key criterion.
IV.  CHOICE OF AN ADDITIVITY FACTOR
     A presumptive value of .45 (.5 to one significant figure) should
be assumed unless documentation can be presented supporting the use of
a different value.
     Documentation supporting the use of another value could be based
on guidance contained in £PA-450/2-77-021b or, better yet, through
simulations with OZIPP (a computerized, city specific version of EKMA)
using locally applicable data.  However, if the capability for running
OZIPP exists, consideration of transport can be made more satisfactorily
using OZIPP than by using the additivity concept.
     Because simulations to date suggest that additivity may increase
as precursor concentrations decrease and/or as NMHC/NO  ratios decrease,
                                                      A
it is inappropriate to assume an additivity value in future years less
than the currently assumed one.
V.  CONSIDERATION OF OTHER DAYS IN ADDITION TO THE DAY WITH THE HIGHEST
      SECOND HIGH
     A consideration in establishing the baseline  air quality is the
desire to identify and base the plan on the ambient conditions which
will result in attainment of the standard under all circumstances.   In
areas influenced significantly by transport,  it may well  be that the
day requiring the greatest percent reduction will  differ from the day
with the second high value.  For example, if the highest second high
value were .24 pp:n and transport on that day were  .16 ppm,  this would
be less stringent than a design day of .20 ppm with a transport value
of .06 ppm.

-------
      If an urban area intends to demonstrate attainment by 1982, then
 it will be necessary to review a sufficient number of the high ozone
 days  to ensure that the proposed plan provides for a sufficient level
 of control to ensure attainment.  Note that this analysis will only be
 necessary in cases where upwind data which are specific for each day
 are used in development of a transport value.
      If an urban area is seeking an extension t) 1987 based on an
 evaluation of the highest second high value obtained over the last
 three years, the Region has the option to accept this demonstration.  It
 will  not be necessary at this time to insist on the evaluation of a number
 of high days to determine if the higher percent reduction is necessary
 since the plan is subject to revision in 1982.
 VI.  APPROVABILITY OF THE USE OF APPENDIX J
      Present guidance permits the use of Appendix J.   However, there
 has been much adverse comment in the technical community regarding its
 adequacy; and its limitations are well known.  Therefore, States should
 be discouraged from using Appendix J because it is not the best technique
 available.  States should also be advised that EPA has proposed to rescind
 Appendix J in its proposed revision to the NAAQS for ozone.   Regional
 Offices should not use Appendix J in any calculations  made for any
 urbanized area since it will not be considered appropriate after the
 standard  is revised.
 VII.  APPROPRIATE NMHC/NO  RATIOS
                         A
      If no data exist, the default value of 9.5:1  should be  applied when
 employing EKMA.   If an area intends to develop a city  specific value,
 the guidance contained in EPA-450/2-77-02b pp 3-21  through 3-24 should
 be carefully followed.   There is a good  deal  of concern  with  the use of
a single day's NMHC data at a single site being used.   This  is especially
 true if the NMHC values are less than 0.5 ppm C.   Regions  should carefully
 review these data prior to accepting a city specific NMHC/NO   ratio
                                                           J\
 different than 9.5:1.

-------
     For estimates of future conditions, unless it can be clearly
demonstrated to the contrary, States should presume that the change  in
NO  concentrations are not likely to be significant.   Therefore,  it  will
  A
be appropriate to assume a constant NO  concentration (i.e., lower future
                                      A
MMHC/NO,  ratio).
       X
VIII.  SELECTION OF THE URBANIZED AREA
       The urbanized area should generally conform to the boundaries
defined by the U.S. Bureau of Census although States, with Regional
Office concurrence, do have a certain degree of flexibility in defining
the specific boundaries of the urban  area.  Hovjever, the areas must be
large enough to cover the entire urbanized area and adjacent fringe
areas of development.  In situations where urbanized areas are contiguous
or in close proximity, States should be encouraged to consolidate the
urban areas for the purpose of the attainment/nonattainment demonstration.
In no case  should an urbanized area be divided into smaller subunits,
even if the urbanized area straddles more than one State.

-------
        UNITED STATES  ENVIRONMENTAL PROTECTION AGENCY

                          WASHINGTON. D.C.  20460

                                                          PN-172-78-08-04-004


                                                             OFFICE OF
                                                      AIR AND WASTE MANAGEMENT
SUBJECT:  Requirement for VOC RACT Regulations in all
          Oxidant Nonattainment Areas.

FROi-1:     David G. Hawkins, Assistant Administrator
            for Air, Noise and Radiation (AW-443)

TO:       Regional Administrators
          Regions I-X
     This is £ follow-up to Mr. Costle's February 24, 1S73, memorandum
entitled "Criteria for Approval of 1979 SIP  Revisions", and to r,iy recent
discussions with the Regional Air snd Hazardous Materials Division
Directors in Houston.  It is intended to clarify the 1979 SIP require-
ments  for volatile organic compound  (VOC)  RACT regulations  for all
oxidant nonattainnient areas.

     The issues of long range oxidant transport and background make it
difficult to develop oxidant control strategies with the degree of
precision normally associated with more stable air pollutants.  Further,
certain of  the available analytical  techniques will tend to under-
estimate the degree of control required'for  al.taini.icnt.  The ur.o of
less rigorous analytical techniques  such as  rollback support 1979 SIP
revisions is acceptable in areas viliere  reasonably available control
measures are scheduled for implementation.   However, for the reasons
stated above this  technique  is not acceptable as a demonstration that
RACT regulations on VGC sources are  not needed to attain and maintain
the oxidant standard.  Accordingly,  for every cxidant plan v/hich
relies en the rollback technique for its control strategy demonstration,
the plan must, as  a mimimum, include legally enforceable provisions
for the control of large VOC sources (more than 100 tons/year potential
emissions)  for which EPA has issued  a Control Technology Guideline  (CTG)
Plans  which rely on the rollback technique and uO not contain these
provisions  will not be approvable.   The only exception  to this policy
is  the situation in which  the  control agency certifies  that there are no
affected sources for a particular  source  category in the nonattainnient
area.

-------
     States which wish to attempt co demonstrate that the oxidant standard
can be attained and maintained v/ithout adopting one or snore of such RACT
regulations for large VOC sources may cio so out must employ more
rigorous analytical techniques than the rollback method; i.e., photo-
chemical dispersion modeling.

     I ask that you proceed immediately to advise your States and to
integrate this policy clarification into'.the ongoing SIP development
process.

cc:  i'i. Durning
     J. Bernstein
     Director, Air and Hazardous Materials
       Division, Regions I, III-X
     Director, Environmental Programs Division,
       Region II

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SUBJECT
                  UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
 3 0 JUN 1G73

Vapor Recovery Regulations Required to
Meet RACT Requirements for the 1979 SIP
                                                                        PN-17.-78-06-30-003
   FROM:   Richard  G.  Rhoads, Director
         Control  Programs  Development Division

    T°:   Allyn Davis,  Director
         Air  and  Hazardous Materials Division, Region  IX
              In  response  to your memo dated June 2, 1978, regarding the subject
         matter,  I  offer the following comments for your consideration.

              As  you  know,  the  1979*oxidant plan submissions for major urban
         areas must include, as a minimum, legally enforceable regulations to
         reflect  the  application of reasonably available control technology
         (RACT) to  those stationary sources for which a Control Techniques Guide-
         line  (CTG) has been published by January, 1978.  While it is recognized
         that  RACT  will be  determined on a case-by-case basis, the criteria for
         SIP approval will  rely heavily upon the information contained in the
         CTGs.  However, deviations, from the CTGs are acceptable, provided one of
         two possible conditions are met.

              First,  a regulation which deviates from the CTG may be approved
         by this  Agency if .economics or other circumstances justify regulatory
         requirements less  stringent than those contained within the CTG.  In
         this  situation, the 1979 SIP submittal must provide adequate justifica-
         tion  for such deviations.  Please note that the above discussion applies
         in those instances where the deviation from the CTG results in a less
         stringent  control  requirement and that in cases where regulations are
         more  stringent than the CTGs, no justification for the deviation is
         necessary.

              Alternatively, this Agency may approve State regulations that are
         only  marginally different from the CTGs without the detailed justification
         noted above  if the impact on emission differs imperceptibly (less than
         five  percent in cases where it is possible to quantify the difference)
         from  that  of the  CTG and there is no significant threat of undermining
         Agency activities  elsewhere in the nation.  This concept, however, is
         only  applicable on a source category basis.  In other words, it would be
         unacceptable to approve a source category specific regulation requiring
         significantly less control than the corresponding CTG on the basis that
         other source categories are regulated to a degree significantly more
         stringent  than the comparable CTGs.

              Although your analysis of the State and Federal regulations and
         the CTGs appears correct and we agree with your interpretation of the
         CTG regarding accounts which may be exempted, a further analysis is
         required to  assess the acceptability of the California regulations.
EPA FORM U20-6 (REV. 3-76)

-------
Such an analysis would have to demonstrate that the California
regulations regulate emissions to within five percent of the CT6 or
justify deviations greater than five percent on the basis of economics
or other circumstances.

      Furthermore, approvability of VOC regulations is not dependent
on the ability of a State to demonstrate attainment by 1982 versus
1987.  As indicated by Mr. Hawkins at the recent Air and Hazardous
Materials Division Directors' meeting in Houston, RACT musUbe applied
to a11 categories in a]1 areas designated nonattainment for photo-
chemical oxidants.  Tfvis office is currently preparing a policy
memorandum on this matter-for Mr. Hawkins1 signature.

     If you have any questions, please feel free to call.

cc:  Director, Air and Hazardous Materials Division, Regions I,
       III-VIII, & X, w/incoming letter
     Director, Environmental Programs Division, Region II, w/incoming
       letter
     E. Reich, DSSE,.w/incoming letter
     M. James, OGC, w/incoming letter
     H. Beal, SRED, w/incoming letter

-------
                    UNITED STATES ENViRONMEHTAL PROTECTION AGENCY
  DATE;


SUBJECT:




  PROM:




    TO:
          U
        B78
Example Demonstration of Attainment
for Phoiocnemical Oxidants

Richard G.  Rhoads ,  Director
Control Programs Development Division

Director, Air and Hazardous Materials Division, Regions I, III-X
Director, Environmental Programs Division, Region II
PN-172-78-03-10-002
              This  office has  received  numerous  inquiries  concerning  the  content
         of  the  1979  State  implementation  plan  (SIP)  ribmissions  relating  to  the
         demonstration  of attainment for oxidants.   Specifically,  the inquiries
         focused  on the questions  of which models  are acceptable  for  air  quality
         prediction purposes  and which  techniques  are acceptable  for  presenting
         the  emissions  inventory.

              One of  the statutory criteria  for  approval of  the  1979  plan  is
         that it  must determine  the level  of control  needed  to demonstrate attain-
         ment (including growth).   For  oxidants,  such a  determination shall be
         made by  applying any moceling  technique  referenced  in the document "Use,
         Limitation anc Technical  Basis of Procedures for  Quantifying Relation-
         ships  Between  Photochemical Oxidants and  Precursors," EPA 450/2-77-Q21a,
         November,  1977.  Consideration of background and  transport for oxidants
         should  generally be  in  accordance with  the procedures described  in this
         document.  Although  the use of Appendix  J to 40 CFR Part 51  to determine
         the degree cf  emission  reduction  necessary to attain the ambient standard
         for photochernica i  oxidants is  not referred to in  the above-mentioned
         document,  the  ase  of such a procedure by  State  agencies  snould be condoned.
          In  no  instances, however, should  the Regional Offices employ Appendix J
         or  any other method  not referenced  in the above-mentioned document to
         develop pnctochemical oxidant  control  strategies.

               Emission  inventories should  be developed in  accordance  with the docu-
         ment "Procedures for the  Preparation of Emission  Inventories for Volatile
          Organic Compounds,"  EPA 450/2-77-028, December, 1977,  and :ne Agency's
          recommenced  policy on the control of volatile organic compounds  (VOC)
          publishec in  the July 8,  1977, Federal  Register (42  FR 35314).-  Because
          there  exists  a need to be able to compare baseline  inventories fr:.,,  one
          area to another, as well  as to determine the impact of  employing various
          control strategies,  a common  format for summarizing such inventories is
          desirable.  Therefore, the enclosed format should be strongly recommended
          to State agencies  generating  summary reports of VOC emissions.   This format
          allows the control agency to  identify all major source  categories of vola-
          tile organic  compound emissions and to determine  the reductions  trsat may
          occur  in an area if various control strategies are  employed.  In addition,
          the en.closec  form sr.ould  be utilized to summarize the anticipated percent
          emission  reduction from  transportation control measures to allow one to
     :orn, 1530-6 IRcv
                 76)

-------
                                 - 2 -
determine what percentage of the total  emission reduction is attributable
to various transportation control  measures.   Finally,  both summaries
should be prepared for each area for which a separate  strategy is  being
developed.

     Hopefully, these comments adequately respond to your questions in
the subject areas.  However, if you need further assistance, please feel
free to contact me or my staff.

Enclosure

cc:  R. Neligan
     0. Hidinger

-------
                        SUMMARY  OF  ANTICIPATED

                   PERCENT  EMISSION REDUCTIONS FROM

                                 RTCMs


        MEASURES                               % EMISSION  REDUCTION

Inspection/maintenance

Improved public transit

Exclusive bus and carpool  lanes

Areawide carpool programs

Private car restrictions

Long-range transit improvements

On-street parking controls

Park and rice and fringe parking lots

Pedestrian malls

Employer programs to encourage car and van
  pooling, mass transit, bicycling and walking

Bicycle  lanes and storage facilities

Staggereo work  hours

Road .pricing  to discourage single  occupancy
  auto  trips

Controls on  extenced  vehicle  idling

Traffic flow improvements

Alternative  fuels  or  engines  and other
   fleet vehicle controls

Other than  light  duty vehicle retrofit

Extreme cold start  emission  reduction
   programs

 Other (specify)

-------
SUMMAHV I:QH /1AT FOH VOC
SOU'
f eTROLEUM HEFINEKIES 1
i
r
STORAGE. TRANSPORTATION |
f, MARKETING OF PETROLEUM j
PRODUCTS
1
i !
l :
i
i
INDUSTRIAL PROCESSES
 "....m
vi:.ci i I.A-VI. <•!.••.; ?JK. """"•'. 3
•nl V.w.oii'" Prr)«:>icm<| SvMC'"
f, r 1 1 c n
O'L i'. r' *>S f'iOCHX rcj^ >-'!Ci.
•\' A T >j n A i_ GAS ,\ \ O DATURA
""i AJOL'NR PMOCRSSINC
0 '. A :.. ' C
'". A ^C'L-^E f". C!M '(JC OH. 3 TO
•jillP AKjOUAnGi r,TA.\SF!:U
:. A SOL 'ME <-, couOc OIL
nci.-: GASOLINE TERMINALS
'.A-.-dl :\! .'.UL-: PLA.-ITS3
'., KVIC-- 3TATIO . (.'.VM'i •>.'/-.
Mjii/1 ii'in/i iMto.ir- C.TI: i
IIASI VI-'AI; iMi;;:'.ii!N:; tiuiM
LMISSIONS SOUHCI.S L'XI.STINC
IU/7 IN 1077
ALLC VAUI c F/g|
CROW I'D SlNCiH
l'J/7
1
i

1 |
OS
u ~ r
!
H/.GC1
OF |
2 " 1 '
t
.--:.•..,-• n
'JC"VIC£ iTAriO"^ UNLOADING lii.iic HI ;
O T . i £ f (
OnC,A.^,CC"HV.lCAL MANUr
P.M.-<- \!.-,NU- -'-C "'Jftfc








t
1 1
ACT'jilE j i
j
vtce TAIILS OIL PROCESSING
••> - 1 A I' .M A C J U T 1 C A L M AN U F A
PLASTIC onociuCTS MAwuct
•"i>.T.i-= ^ rnccuCiS .MAM JC*

CTUSE
^CTune ! !


"fcXTIL? POLYMERS MANUFACTURE |

INDUSTRIAL SURFACE
COATING
NCN-lNDUSTa IAL SuRrACH
COATINGS
OTHER SOLVENT USE
OTHER-MISCELLANEOUS
SOUHCES
TOTAL VOC EV.i$S:O.XS ?RC.V.
MOBILE SOUHCEi
O T . i? as
:.-lRG^i /-PPLi AMCcS
; -,iAG.VcT -.VI R S
••HJTOMG3ILES
; C -"• -'•' S
. '.•': T '. L COILo
'. ^ A P i; H
;.-.:l«IC
\-L 'At e^P>H-L-Tt£
' A' 000 FURNITURE
? i. A T wooo =«or/uc i s
OT-...T;-, MJjTAi. =SOOUCr3
•-: -.-E-V,
-. .T ,; ., i - = .; r u M A L. C O A r ' •"• 0
; •'• ^.~O iT E F l N l S H l M O
CT-.SRS
. CF. T.-EA^wr,
;_> .TV <;L t .i.i.'.ciG
: CMAPIMC AR TS
; ADt-'KS'vss
' C Jr3 AC< ASPHALT
• O "••?•"; 3 C L '.' C '-J T ; j S El
. --e . C.TV.NUS-IOM
'•OL-O .".'AST,'. rji-JfOrfAL
:K-,M^",I AC'i-cuL ru" AL.
STAT!Q'NA«Y SOURCES
;) H-.-iw O,,iy Cose""1? T'
ul ""flw Ouiy D'csnl T.uc
C 1 '• * O 1 o ' 1 / f ' '.' S
O *• r ^i O '-i'.'.' A Y */ £ ^ l C L E *J
n A ' 1
.-. . .'ICR A? r
«'


1 i
i ! i
i : ! i
i i
i • i
! 1 !
i ; '

1
l
; !



i i ! j
i i
1
f , , , , {
i i i i

i ;
!

i ; i
\ .N o o T , i n o , 1 1
: j i
> i
i
'• i
! i
j
i
i
i <
i
\

-------
             UNITED STATES  ENVIRONMENTAL PROTECTION  AGENCY
°
, -                            WASHINGTON. O C.  20460
      J>
  'tp"°'fc                                                        PN-172-78-02-02-001
                                FFB2    =073
                                '  I- I-* *"*
                                                          AIR AND WASTE MANAGEMENT
      SUBJECT:      Implementation of Reasonably Available Control
                    Technology (RACT)-'D'n Hydrocarbon Stationary Sources
                          /^"^    (^ — ~~    t
      FROM :       £  Da v i d y^A^W\my &$ sta n t Admi n i s t ra to r
                      for Vftf and 1-Jaste Management
      MEMO TO:      Regional Administrator, Regions  I  - X
           As part of the State implementation plan  (SIP) revision process,
      I want to personally emphasize the  importance  of  the development of
      adequate oxicant plans which incorporate RACT  for stationary sources.
      One important effort in  this process  is the  development  of  the Control
      Techniques Guideline documents (CTGs).

           I have enclosed for your  information  a  summary of  the  11 completed
      CTGs.  These documents define  presumptive  RACT for 11 source categories.
      At a minimum, the SI?  revisions  due  in  1979  must  contain RACT for  these
      11 Categories in areas where the attainment  of the oxidant  standard
      cannct be demonstrated by 1982.   Where  economics  or other circumstances
      justify regulatory requirements  less  stringent than those contained
      within the CTG's, such justification  should  be clearly  documented  in  the
      SIP submi ttal .

           For  source categories  not yet  included  in the CTGs, existing  local
      and Federal regulations  should be retained and enforced. We will  not
      approve relaxation of  existing reasonable  hydrocarbon control regula-
       tions  in  oxidant nonattain:r,ent areas  without a demonstration of  attain-
      ment as expeai tiously  as possible.   As  new CTG's  are  issued, it  will
      be necessary  to review and  revise or reaffirm these  regulations.

       Enclosure

-------
                               ENCLOSURE



                  REGULATIONS FOR STATIONARY SOURCES




     Control  techniques guidelines (CTG's) have been prepared for ten



VOC source, categories.   Vie plan to release sixteen more in 1978.   They



are written in uncomplicated language and are not highly detailed.



Each CTG identifies the presumptive emission limits, operating prac-



tices, and/or equipment which are achievable through the application of



Reasonably Available Control Technology (RACT).  RACT is defined  as



the lov.-est emission limit that a particular source is capable of



meeting by the application of control technology that is reasonably



available considering technological and economic feasibility.  It- may



require technology that has been applied to similar but not neces-



sarily identical source categories.  Limitations recommended in the



CTG's are based on capabilities and problems which are general to the



industry; they may not be applicable to every  installation.  In many



cases, appropriate controls will be more or less stringent.  States are



urged to examine the impact of imposing these  requirements through the



public nearing process.  Where economics or other circumstances justify



regulatory requirements less stringent  than those contained within



CTG's, such justification  is to  be clearly documented in tne SIP



submitta1.



      The  recommended limitations are  in the form of allowable VOC emis-



sion  levels  for surface coating  operations and bulk gasoline  terminals.



For cutback  asphalt  paving  operations,  the  recommended  control measure



is replacement  to  the  extent possible  of  solvent cutback asphalt with



water-borne  emuisicns.   For the  remaining  source categories — degreasing,

-------
refinery sources, petroleum storage tanks,, and'bulk plants--! imitations
are stated in terms of equipment standards with companion operating
requi rements.
     The format of each CTG limit was chosen on the basis of compat-
ibility with the most likely air pollution control  technique.   For
example, surface coating limits are presented in terms of the  maximum
allowable solvent content of the coating, the assumption being that all
of the solvent will evaporate during application and curing.  SIP regu-
lations should allow the use of equivalent control  technology  in all
cases.  The burden of proving the equivalency of a new control tech-
nique will normally lie with the owner or operator.  OAQPS will  provide
guidance in the measurement of VOC emissions.
     Stares are also required to adopt measures to control VOC from
the  transfer of bulk gasoline to service  station storage tanks (Stage  I).
The  necessary  hardware  is relatively simple and available.  It nas been
used successfully  in several areas of the nation to provide 95 percent
or better control  of gasoline vapors displaced during the loading of
these  storage  tanks.   Criteria  describing Stage I  equipment and operating
requirements were  prepared  by OAQPS  and  have  been  distributed to the
regional  offices.
      Additional  copies of  CTG's  and  the  Stage I design  criteria may  be
obtained from  Mrs. Deborah  McCarley  at  919-541-5374.

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        SUMMARY OF RECOMMENDED K.'.'ISSTON LIMITATIONS

               FOR STATIONARY Va: -SOURCES
                                       Rcco-.unenued Limitation
Surface Coating

  Can Coating

    Sheet basecoat
    Two-piece con exterior
    TV/O- & three-piece can
    interior body  spray
    Two-piece end  exterior

    Side-seam spray

    End sealing  conpound

  Coil Coating

  Fabric Coating

  Vinyl Coating

  Paper Coating

  Auto & Light Duty  Truck Coating

     Prime

     Topcoat

     Repair

   Metal  Furniture Coating
   Magnet Wire Coating
   Larp.o Appli.-incc Co:.! tin

 Sx ilk Casoli.no Tomu.ticL
  Truci^ tjoading

 Bulk Gasolir.c PLants
0.34 kg /I oL coating  (r.anus water)



0.5L kg/1 of coating  (minus water)


0.66 kg/1 of coating  (minus water)

O.AA kg/1 of coating  (minus water)

0.31 kg/1 of coating  (minus water)

0.35 kg/1 of coating  (minus water)

0.45 Kg/1 of coating  (minus water)

0.35 kg/1 of coating  (minus water)



0.23 kg/1 of coating  (minus water)

0.34 kg/i of coating  (minus water)

0.5S kg/1 of coating  (minus water)

0.36 kg/1 of coating  (minus water)

0.20 kg /I of coating  (minus water)

J . 34 kg/i oj. coating  (niLiiLis water)
 60  nig/i.  of  gasoline loaded
   Storage Tanl\ i'l
 Vapor balance system

-------
  Truck loading

Service Stations

  Storage Tank Filling (Stage I)

Fixed-Roof Storage of Petroleum
  Liquids

Petroleum Refining

  Vacuum Systems


  Wastewater Separators


  Process Unit Turnarounds


Cutback Asphalt Pavir.s
 Degress ir,;;
Vapor balance system
Vapor balance system
Internal floating roofs
Vent noncondensables to boiJLer/
heater firebox

Install tight covers over
separators

Vent gases to a flare or other
carpustion device during depressurizat

Substitute water emulsions for solvent
cutback asphalt applications

Conunnation of control equipment and
operating requirements to minimize
solvent evaporation and solvent
carryoul:.  Requirements differ for
cold cleaners, open top vapor
degreasers and conveyorized degreasers

-------
Section 175: Grants
                                                      01
so
3
tn
T3
o

s
r-+

o'
3

2
09
3
3

3
CO

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Section 175: Transportation Planning

PN175-8G-Q6-23-006
     PUBLIC PARTICIPATION IN THE STATE IMPLEMENTATION
       PLAN -  TRANSPORTATION REVISION PROCESS  EXPANDED
       GUIDELINES

PN175-80-04-23-005
     IMPLEMENTATION OF  EXECUTIVE ORDER 12185  CONSERVATION
       OF  PETROLEU* AND NATURAL GAS

PN175-SO-01-15-004
     RECONCILIATION OF  POPULATION PROJECTIONS
       IN  REVISED  STATE IMPLEMENTATION PLANS

PN175-79-02-12-003
     REGIONAL  OFFICE ASSISTANCE IN EXPEDITING
       HEADQUARTERS REVIEW OF SECTION 175 GRANT
       APPLICATIONS

PN175-78-10-10-002
     USE OF UNIFORM POPULATION PROJECTIONS  IN
       AIR  AND WATER PLANNING

PN175-78-08-C1-001
     DETERMINATION  OF  EMISSION REDUCTION RESPONSIBILITIES

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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                       Office of Air Quality Planning and Standards
                       Research Triangle Park,  North Carolina  27711
      DATE:
       SEP 25  !9°Q                                       PN 110-80-09-25-043

SUBJECT: Incorporation  by Reference of SIP Revisions


  FROM: Richard G.  Rhoads, Director
       Control Programs Development Division (MD-15)
    TO;Director, Air  and Hazardous Materials Division, Regions I-X

           We have received a few questions regarding my June 21, 1980 memo
       in which minor changes were described in the procedures to be followed
       in the submissions for incorporation by reference by the Office of the
       Federal Register (OFR).  The purpose of this memo is to clarify a few
       points.

           1.  A  copy of the document described in the Identification of the
       Plan must be attached, to the package intended for the OFR.  This is
       important since it is the document which is really being incorporated by
       reference and  is indexed and placed in OFR's public information center.

           2.  Some  Identification of Plan sections are quite lengthy.  In
       such cases, there is no need for a verbatim repetition in the identifica-
       tion of the document section of the covering memo.   This memo submits
       the package to OFR by EPA's Office of Federal Register (EPA/OFR).   A
       short identification will do.

           3.  Final submission of all parts, including Part 81, should be
       forwarded for  incorporation by reference.

           4.  There may be public inquiries by mail  to the OFR so the
       zip code, 20408, should be added to the OFR address.

           5.  The contract period has been recently extended to provide time
       for the contractor to update the compilation to September 1, 1980
       rather than to August 1, 1980.  This means that there is no need to
       submit any  final approval action taken during the month of August to
       the EPA/OFR.

           If you have any further questions, please call Tom Gunning (629-5365).
o-n, 1320-6 (R.r. 3-76)

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  ^^                                                   PN 110-80-08-14-042

?' .£^\    UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

                              WASHINGTON. D.C.  20460



                                14 August 1980
                                                                 OFFICE OF
                                                           AIR. NOISE, AND RADIATION
    MEMORANDUM

    SUBJECT:  Criteria for Evaluating Bubble Transaction Equivalency
              Demonstrations

    FROM:     David Hawkins, Assistant Administrator for Air,
              Noise and Radiation

    TO:       Regional Administrators


         One key criterion for evaluating proposed "bubble"  transactions
    under the December 11, 1979 Policy Statement (44 FR 71780)  is  a  showing
    that the transaction will  not have an adverse impact on  ambient  air quality.
    The ambient air impacts before and after the bubble transaction  must  be
    at least substantially equivalent.   In light of the recent  decision to
    require more rigorous modeling for SIP revisions, including use  of five
    years of meteorological data and tighter receptor grids, jV a  question
    has arisen regarding the modeling needed for bubble ambient air  impacts
    equivalency demonstrations.

         This is to clarify that the more rigorous modeling  requirements  set
    out in the CEI decision do not apply to bubble transactions which involve
    the following:  1) colocated stacks of similar height, i.e., stacks of
    similar height located at the same plant or facility which  are reasonably
    close to one another, 2) no net increase in actual  emissions (or if
    allowable emissions levels are less than actual,  then no net increase in
    allowable emissions), and 3) the applicable SIP provides for attainment
    by the statutory deadline.  In addition, if the area is  currently non-
    attainment, the SIP must have been approved or conditionally approved
    under Part D.

         Under the above circumstances  the equivalency demonstration may  be
    made in a manner consistent with the attainment demonstration  in the
    applicable SIP.  See 44 FR 71783, col.  3 for a further discussion of  this
    point.
         This~~decision  is  set out in  the  promulgation  of  new  emission
         limitations  for the Cleveland  Electric  Illuminating  (CEI)
         Company's  Eastlake and Avon  Lake plants  45  F.R.  42279  (June 24, 1980).

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                                    -2-
     An important constraint on this policy must be mentioned,  however.
If, for whatever reason, it becomes known that standards  or increments
are being or will be violated, then remedial action must  be taken.
Monitored or modeled violations may not be ignored, regardless  of the
reason why they were discovered.  Further, the remedial action  must be
undertaken in a manner consistent with the modeling policy set  out in
the CEI decision.

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       FROM:
                    UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                       Office  of  Air  Quality  Planning  and  Standards
                       Research Triangle  Park,  North Carolina  27711
       DATE:
              AVQ
0  1980
                                                                    PN  110-80-08-08-041
     SUBJECT:  The Bubble Policy and State PI a;
             Under Clean Air Act Section
             waiter C.  Barber,  Direct
                                      '\
             Office of Air Quality FlarwflWT/nd Standards   (MD-10)
                                       \A/
         TO:  Director, Air and Hazardous  Materials  Division,  Regions  I-X

                  A number of inquiries/have  been received  concerning  the  applicability
             of the bubble policy witjrrespect  to the  noncriteria pollutants  designated
             under the requirements or Section  lll(d)  of the  Clean  Air Act.   This
             memorandum is a response to  these  inquiries.

                  The bubble policy,  as published in the December 11,  1979 Federal
             Register (44 FR 71780),  may  be applied to emission  limitations developed
             as part of State Implementation  Plans  required by Section 110 of the
             Clean Air Act.   The  bubble policy  does not apply to sources which
             must comply with the performance standards for existing stationary
             sources developed in accordance  with the  requirements  of  Section lll(d).
             These performance standards  are  applied to specific individual facilities
             for certain designated pollutants.

                  Although the bubble policy  does not  apply to Section ill(d), the
             advantages of the policy can be  achieved,  in some cases,  simply  by
             observing EPA's requirements for implementing  this  Section as found in
             40 CFR Part 60 Subpart B.   This  is  particularly  true if the Administrator
             determines that a designated pollutant may only  cause  or  contribute to
             the endangerment of  public welfare  but not endanger public health.  In
             such cases, the States are not bound by the EPA  guideline document but
             may balance "other factors of public concern"  against  the EPA guidelines
             when setting standards.   These other factors may include:  (a) the cost
             of achieving such emission reductions; (b) any other health and  environ-
             mental impacts; (c)  energy requirements;  and (d) the remaining useful
             life of the existing sources.

                  Under the regulations,  States  have less flexibility  if the
             Administrator determines the designated pollutant to be health related.
             In such cases,  the States  are generally expected to set standards at
             least as stringent as the  EPA guidelines.  Less  stringent standards may
             be set but only in situations where the State  demonstrates compelling
             reasons to do so.
•orrr. U20-4 (R«v. 3-76)

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     We encourage you to be receptive to Section m(d) proposals.  If a
company tells you or the State that they want to "bubble" lll(d)
pollutant control requirements, ask to see their specific plan before
you give them an opinion.  In many cases, it may be possible to adopt
the company's preferred cot^rol strategy.  In particular, since TRS
regulations are due s-oon in many States and it is a welfare related
pollutant only, you may want to remind your States that they already
have substantial flexibility under our regulations to design source-
specific regulations for these sources.

     Should you have any questions concerning the relationship between
EPA's bubble policy and the requirements of Section lll(d), please
contact Dick Rhoads at FTS 629-5251 or Leo Stander of his staff at
FTS 629-5365.

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                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                      Office of Air Quality Planning and Standards
                      Research Triangle Park, North Carolina 27711
      DATE:  August 4, 1980
                                                                   PN 110-08-04-040
    SUBJECT:  Applicability of Paper Coating,  Fabric Coating,  and  Graphic Arts  CTGs
      FROM-.  Tom Helms,  Chief
            Control  Programs Operations  Branch,  CPDD
        TO;  Air Branch  Chief,  Regions  I  -  X
(MD-15)
                 Recent discussions  with  State  agencies  and  industry  indicate there
            are misunderstandings  concerning  which  coating processes  are subject to
            the Graphic Arts CTG (Volume  VIII)  and  which are covered  by the Paper
            Coating and Fabric Coating  CTGs  (Volume II).

                 As stated in Section  1.2.4  of  Volume  VIII,  the Graphic Arts CTG is
            intended to cover printing  operations in the production of packaging
            materials and publication rotogravure printing operations.  Other types
            of web coating operations are covered by Volume  II in  the Paper Coating
            and Fabric Coating CTGs.  These  Volume  II  operations include some
            printing operations, such as  printing of wallpaper, floor coverings,
            gift wrap, shower curtains, and  artificial  leather and wood grains.

                 Industry spokesmen  have  requested  that  all  rotogravure printing
            operations be covered under the  Graphic Arts CTG (Volume  VIII).  There
            is a certain simplicity  to  having all rotogravure printing operations
            included under one RACT  level; however, since publication printing and
            flexible package printing would  be  included, such a general rotogravure
            RACT level would, of necessity,  be  less strict than the paper coating
            and fabric coating RACT  levels described in  Volume II.

                 EPA engineers have  observed that there  are  many rotogravure coating
            operations which are as  amenable to control  as are paper  and fabric
            coated by reverse roll or  blade  coating techniques.  Thus, in order to
            obtain the maximum reasonable control,  rotogravure operations (other
            than publication printing  and flexible  packaging printing) have been
            included in the Paper Coating and Fabric Coating CTGs  along with roll,
            reverse roll, blades,  air  knife,  and other coating application techniques.

                 Some types of printing,  such as textile printing, are not covered
            by either Volume II or Volume VIII, but may  be covered in future CTGs.

            cc:  VOC Contact, Regions  I - X
                 Jim Berry, ESED
:ocm 1320-4 (Rov. 3-76)

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                    UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                        Office of Air Quality Planning and  Standards
                        Research Triangle Park,  North Carolina  27711
        DATE:
JUL3H980
                                                                    PN 110-80-07-31-039
     SUBJECT.-  Applicability of VOC Control Technique Guidelines
             (CTGs) to the Automobile Manufacturing Industry
       FROM:
             Richard G. Rhoads, Director
             Control Programs Development Division        (MD-15)
         TO:  Director, Air and Hazardous Materials Division,  Regions I
                                                        - X
                  It has been brought to my attention that some confusion exists
             concerning the applicability of EPA-CTG, Vol. II,  "Surface Coating of
             Automobiles and Light Duty Trucks" and EPA-CTG,  Vol.  VI,  "Surface
             Coating of Miscellaneous Metal Parts and Products" in the automobile
             manufacturing industry.  This memorandum clarifies the applicability  of
             these two CTGs to the automobile manufacturing industry.

                  For the purposes of this discussion, metal  coating operations in
             the automobile manufacturing industry can be separated into the  following
             three distinct subdivisions:

                  I.  Primer, guidecoat (surfacer), topcoat,  and final  repair coating
             of main body and front end sheet metal parts.

                 II.  Application of coatings other than those  in  I above to  main
             body and front end sheet metal parts.

                III.  Separate coating of metal parts other than main  body and front
             end sheet metal parts.

                  Coating operations in I above are covered by  the Automobile and
             Light-Duty Truck CTG.  The recommended limits apply whether the  main
             body and front end sheet metal parts are coated  as a  single unit or
             separately as is done at some stamping plants and  some assembly  plants.

                  Contrary to two statements (pages viii and  6-5)  in the Automobile
             and Light-Duty Truck CTG which indicate that all  automotive metal
             coating operations are covered by this CTG, all  operations in II and  III
             above should be covered by the Miscellaneous Metal Parts  CTG.  This was
             noted in the attached April 18, 1980 memorandum  from  F.  W.  Giaccone,
             Region II to Don Goodwin, Director ESED.

                  The Miscellaneous Metal Parts CTG best takes  into account the broad
             range of performance requirements for coatings in  II  above such  as
             plastisols, striping, trunk spatter, and undercoatings;  and for  coatings
             applied to such varied parts in III as wheels, steering columns,
             brackets, and engine parts.  The recommended emission limits in  the
             Miscellaneous Metal Parts CTG are generally less  stringent than  those in
             the Automobile and Light-Duty Truck CTG.
Fcxm 1320-6 (R,v. 3-7«)

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     As is noted in the CTG. for Miscellaneous  Metal  Parts,  when reviewing
regulations for these products, consideration  should be given to the
possibility that for some operations in II  and III  control  to the level
recommended in the Miscellaneous Metal  Parts CTG may be technically
infeasibile or unreasonably costly.  Such operations may be allowed to
control to a Tess stringent level provided  an  adequate demonstration of
technical infeasibility or unreasonable cost is made.   Consideration
might also be given to the utilization  of alternative emission control
strategies under the bubble policy (44  FR 71780, December 11, 1979) for
those operations from II and III and thereby possibly exempting small
(measured in terms of absolute mass emission)  sources from  control.

     Please contact Bill Polglase (FTS 629-5251) or Tom Williams
(FTS 629-5226) should you have any questions.

Attachment

cc:  Chief, Air Programs Branch, Regions I-X
     Del Rector,. Michigan DNR

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


  DATE:  JUL  t 5  1980                                        PN 110-80-07-15-038


SUBJECT:  Attainment Dates for Newly
        Designated Nonattainment Areas

  FROM:  R-jchard G. Rhoads, Director
        Control Programs Development Division (MD-15)

    T0:  Director, Air and Hazardous Materials Division, Regions  I-X

             The purpose of this memo is to set forth the policy  for determining
        the  date by which areas must attain the national  ambient  air quality
        standard for pollutants for which such areas are, hence forth, initially
        designated nonattainment.

             As you are aware, current Agency policy allows  nonattainment area
        plans to be approved only if they satisfy the criteria, among others,
        of demonstrating compliance by the 1982 attainment date  (unless one of
        the  criteria allowing post-1982 compliance dates  is  satisfied).  Obviously,
        continuance of this policy creates a difficult problem for those areas
        which are designated nonattainment within a few years  of  the 1982 attain-
        ment date.  As such, my office has requested a legal  opinion from OGC on
        the  ability of the Agency to specify an attainment date  different than
        1982 for newly designated nonattainment areas.  A copy of our request
        and  OGC's subsequent response are attached.

             The policy expressed in the attached OGC legal  opinion states that
        SIPs developed for newly designated nonattainment areas are subject to
        the  same time intervals set forth in Part D as were  the  initial 1979 plan
        revisions.  This allows 12 months from the nonattainment  designation for
        preparation and submittal of a plan, 6 additional months  for EPA action
        on the plan, and no more than 3-1/2 years from the date of plan approval
        (i.e., 18 months from the nonattainment designation)  to reach attainment.

             If you have any questions or comments concerning  this policy,
        please contact Mike Clowers (FTS) 629-5365 of my  staff.

        Attachments

        cc:  Mike James
             Ed Reich

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                   UNITED ST4TE5 ENVIRONMENTAL PROTECTION AGENCY
                     Office or Air Quality Planning ano Standards
                     Research Triangle Park,  North Carolina  27711

   DATE   J&Y  , 3  1980

SUSJECT  Compliance Dates Extending Beyond
        a 1982 Attainment Date

   PROM. Richard G. Rhoads, Director
        Control  Programs Development Division   (MD-15)

     T0: Michael  A. James, Director
        Air, Noise, and Radiation Division, OGC   (A-133)

             The purpose of this  memo is to request  a legal opinion on the
        Agency's ability to approve a compliance  schedule  extending beyond £
        1982 attainment date.

             As  you ere aware, current policy  dictates  that on a case-by-case
        basis, individual source  specific  schedules  may  be  extended beyond the
        categorical schedule but  not beyond the final attainment date if various
        criteria ere satisfied.   However,  in implementing  this policy, the'
        Agency hes allowed commonly, owned  or controlled  operations (i.e., GK)
        which ere part  of a statewide or multistage  program and ere prioritizing
        the sequence of installing controls to extend the  compliance deadline
        beyond the applicable attainment date  (1982).   In  addition, the Agency
        hes just issued guidance  allowing  States  with 1982  attainment dates to
        grant extensions beyond 1982 provided, however,  that  the SIP continues
        to  demonstrate  attainment by 1982.

             Recently,  issues have been brought to  the  attention of my office
        which suggest that further flexibility in this  area of post-attainment
        date compliance schedules is necessary.   Specifically, the issues
        involve  these instances where States will  be required to develop Pert D
        SIP revisions for areas which are  designated nonattainment in the future.
        Under current Agency policy,  such  nonattainment  area  plans could only be
        approved if they satisfy  the criteria, among others,  of demonstrating
        compliance by the 1982 attainment  date (unless  one  of the criteria for
        allowing post-1982 compliance dates is satisfied).  No provisions
        currently exist to deal  with those instances where, because of the
        timing of the nonetteinrnent designation,  insufficient time remains for
        the sources to  comply with the emission limitations prior to 1982.
        decision being published by early  1982.   Even with  this optimistic
        schedule,  sources  subject to the  plan  would'  have  less  then one year from
        EPA's decision to  comply with the  limitations in  the plan.   In most
        cases,  due to control  equipment construction and  stert-uo times.
        sources will  be physically unable  to comply  by the  1982 attainment date.

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     Two possible solutions for dealing with this  situation  are  briefly
outlined below for your consideration.   The first  possibility  is  to
operate under Section 110 which allows  three years from the  date  of plan
approval to achieve attainment.  The second and  more  logical approach  is
to prorate the time frames in Part D so that post-1978 designations are
subject to the same time period as the  initial designations.

     The present situation in Wisconsin and the  possibility  of future
nonattainment designations require  that Agency  policy address these
special circumstances.  It is, therefore, important that we  receive the
benefit of your staff's opinion of this issue as soon as possible.   If
you have any questions concernino this  request,  please cell  Bob  Schell
of my staff at FTS 62S-5365.

cc:  Chief, Air Proorams Branch, Reoions I-X
     Ed Reich, DSSE
     Steve Kuhrtz, OANR
     Ron Campbell, OAQPS

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      UNITED STATES ENVIRONMENTAL PROTECTION
                    WASHINGTON. D.C. 20460
                      JUN  241980
                                                          f'fO
MEMORANDUM
                        OFFICE OF
                      GENERAL COUNSEL
SUBJECT:  Attainment Dates For Part D Plans For Newly
          Designated Nonattainment Areas

FROM:     Bruce Diamond
          Deputy Associate General Counsel
          Air, Noise and Radiation Division

THRU:     Michael A. James
          Associate General Counsel
          Air, Noise and Radiation Division

TO:       Richard G. Rhoads, Director
          Control Programs Development Division
          Office of Air, Noise and Radiation
     You have aslece;nb*.r
-.1 .   Section  : -?.(£) (2 } .

:r;?ose?  of  this  -discussion
::;s  v:ith respect to  lead.
                                                        -.•••e  nave

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                              -2-
      I  also  agree  that  Congress  could  not have  intended the
 deadlines  contained  in  Part D  to apply when,  due  to  the late
 date  at which  a  nonattainment  designation occurs,  these dead-
 lines make no  sense  whatever.  3_/

      The question, then,  is what time  frames  to apply.   Two
 choices present  themselves.  One option is  to use  the  time
•frames  in  Section  110:  nine months  to prepare  a  plan  (110(a)
 (1);  see also  uncodified  Section 406(d)(2)(B)), four months
 to  approve or  disapprove  it {110(a)(2)), and  up to three
 years from the date  of  approval  to  reach primary  standards
 attainment (110( a) ( 2 ) {A) ( i) ) .  _4/ The  other option is  to use
 the time intervals (but not the  precise dates specified) in
 Part  D  and related provisions.   This would  allow  12'  months
 for preparation  of a plan,  5/  six months  for  EPA  approval or
 3y    This  must be  distinguished  from  claims  that  the  attain-
      ment  deadline  is  impractical  due to  other  reasons.
      Congress was  well aware  that  the 1982 date could present
      a  severe practical  challenge,  yet  provided only  very
      limited authority to  EPA to extend that date.  By limiting
      the  scope of  Section  172(a)(2) to  CO and 03, Congress
      made  clear  that the 1982  deadline  could not  be deferred
      for  other pollutants  despite  the existence of  such
      practical obstacles as lack of data, the complexity of
      the  required  tasks, or the  severity  of  the pollution
      problem.  But  maintaining the 1982 deadline  for  areas
      first designated  nonattainment well  after  the  initial
      designations  were issued  could lead  to  absurd  results.
      For  example,  there  is obviously  no way  an  area desig-
      nated nonattainment in 1983 could  meet  a 1982  attainment
      deadline.   Since  Congress was aware  that designations
      could change,  see Section 107{d)(5), and since it must
      be assumed  that Congress  could not have intended absurd
      results, it is reasonable to  believe that  the  1982  dead-
      line  nay be deferred  for  areas designated  nonattainment
      in the future.

 4/    Tne  three years runs  from no  later than the  last day
 ~    set  by the  statute  for approval,  even if approval is
      delayed.  Section 110(e)  authorizes  an  extension of the
      atttainraent date  of up to two years  under  certain cir-
      cumstances .

 5_/    This  is the approximate  difference between the date
      nonattainnent  designations  were  originally supposed to
      be promulgated under  Section  107(d)  and the  date for
      Part  0 Plan submission specified ir.  uncodified Section
      129(c).

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                             -3-


disapproval, 6/ and no more than 3 1/2 years from date of
plan approval (or from the last clay by which approval was due)
to reach attainment.  7/

     Neither the statute nor the legislative history addresses
the question of which option is more appropriate.  I believe
that using the Part D time frame is somewhat more defensible.
As a matter of simple logic it would seem that the time frames
designed by Congress specifically for Part D SIPs are the ones
to use.  Since the plans to be developed for the new nonattain-
ment areas are subject to the other requirements of Part D, it
makes sense that they also be subject to the time deadlines set
out in  (or for) Part D.  Although it could be argued that in
the absence of explicit alternative deadlines the deadlines of
Section 110 apply, 8/  I think the better reading of the statute,
in light of its structure and purposes, is to use the time frames
set out in the statute for Part D SIPs.


cc:  Steve Kuhrtz
     Ed Reich
6yThis is the difference between the January 1, 1979 date
     for plan submission set in uncodified Section 129(c)
     and the July 1, 1979 date for imposition of the growth
     moratorium.  See Sections 110(a)(2)(I) and 172(a)(l).

7_/   This is the difference between July 1, 1979 and December
     31, 1982.  Of course, attainment must always be as
     expeditious as practicable.

3/   Uncodified Section 406(d)(2) provides that "[e]xcept
     as otherwise expressly provided" by the statute plan
     revisions required by the 1977 amendments are due within
     nine months of the adoption of the regulations neces-
     sary for approval of the revisions.  This could provide
     support for using nine months rather than twelve months
     as the deadline for Part O plan subrnittal for newly
     designated nonattainment areas. But, since Section 406(d)
     does not literally apply (since no new regulation is
     involve'"!) anrl since one year w=s the ti'ie originally
     provided for submittal of Part D plans, a one year dead-
     line seems reasonable.

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       UNITED STATES  ENVIRONMENTAL PROTECTION AGENCY

                        WASH.NGTON. D.C.  20,60
                                                            PN  1 1 0-80-07-1 4-037
                                                           OFFICE Of
                                                     AIR, NOISE. AND RADIATION
                          .IUL 141*80
SUBJECT:  Credit for Increasing Stack Height at Existing  Sources

FROM:     David G.  Hawkins, Assistant Administrator  ("original siqned by]
            for Air, Noise, and Radiation (ANR-443)

MEMO TO:  Regional  Administrator, Regions I-X

     Administrator  Costle and I are concerned about the  impact of  pending
SOg emission limit  relaxations on the acid  rain problem.   We  have  received
several  State Implementation _Plan (SIP)  revisions  which  allow such
relaxations based on stack height increases at existing  sources.   If
granted, the increased emissions would add  to the  long-range  transport
of sulfur oxides which are precursors of acid rain.

     In the future, we will not approve  any SIP revision  that gives
credit to a source  which raised its existing stack after  December  31,
1970, unless the new stack height is justified through fluid  modeling
or field studies.  .This policy does not  aooly to sources  with new
stack heights less  than 65 meters or to  sources less than 250 million
BTUs per hour heat  input that are not increasing their stack(s) above
the formula height  as defined in the January 12, 1979 proposal of  the
stack height regulation (44 PR 2608).

     I recognize that several SIP revisions may be pending which are not
consistent with this policy.  To permit  an  adequate transition to  the
new policy, 3 have  asked OAQPS to coordinate all pending  SIP  revisions.
Please contact that office for guidance  for your pending  SIP  actions.
The Cleveland Electric Illuminating SIP  revision (June 24, 1980, 45 FR
42279) reflects one way pending SIP revisions will be handled; however,
the differences among the various sources do not allow me to  provide
uniform requirements here.  Your pending revisions will  be reviewed by
OAQPS on a case-by-case basis.

cc:  J.  Miller
     M.  Corash
     Director, Air  & Hazardous Materials Division, Regions I-X

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                                                              PN 110-80-06-20-036
               UNITED STATES E NVIRONMENTAL PROTECTION AGENCY
                   Office  of Air Quality Planning and Standards
                   Research Triangle  Park,  North Carolina  27711
  DATE:
              2 0  ]980
SUBJECT: Attainment  Date  for Ambient Lead Standard


  FROM: G. T. Helms, Chief
       Control  Programs Operations Branch  (MD-15)
    TO: Chief, Air  Branch, Regions I-X

            A question  has been raised in  regard to the attainment date for
       the  national ambient air quality standard (NAAQS) for lead.  Specifically,
       is the date to be determined from the statuatory timeframe or from the
       actual date the  State plan receives EPA approval or disapproval?

            Under  the first scenario, the  attainment date would be three years
       from the statutory approval/disapproval date of July 5, 1979 (i.e.,
       four months from the required plan  submittal date) or in other words,
       October  31, 1982.  The  second scenario would result in different
       attainment  dates for different areas depending on when the plan for a
       specific area was submitted and acted upon by EPA.  For example, if a
       plan was submitted in June 1980 and approved in October 1980, the
       attainment  date  would be October 1983.

            A response  to this question was addressed in the October 5, 1979
       Federal  Register notice promulgating the NAAQS for lead.  That notice
       indicates that attainment of the standard must be no later than
       October  1982.  Obviously, this approach, besides being supported by
       the  statute, does not place sources at competitive advantages because
       their States failed to  submit a lead SIP in a timely fashion.  Finally,
       it is important  to note that the granting of a two-year extension of the
       attainment  date  in no way alters the basic scenario for determining the
       applicable  attainment date.

             In  summary, the attainment date for lead is either October 31, 1982
       or October  31, 1984 if  a two-year extension has been granted.  If you
       have any questions regarding this issue, please call Jane Kelly at 629-5365.
1370-6
       . 3-76)

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                  UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                    Office of Air Quality Planning and Standards
                    Research Triangle Park, North  Carolina  27711
     DATE:
   SUBJECT:
 JIJN121980
Information Required in Federal  Register  Packages
                                                                 PN 110-80-06-12-035
     FROM:
            Richard G.  Rhoads, Director
            Control Programs Development Division (MD-15)
       TO:   Director, Air and Hazardous  Materials  Division,  Regions  I-V, and VII

                 An April 29, 1980 memo  from Walt  Barber  asked  that  all SIP
            revisions dealing with SO^ relaxations be  submitted through the "special
            action" procedures.   The purpose of that request was to  allow the Agency
            to more carefully scrutinize the nature of each  relaxation and its
            multi-regional  impact.  A copy  of this memo is attached.

                 In order to allow us to assess the relative impact  of each S0?
            relaxation more accurately,  I ask that the following information be
            included in each action memo.

                 1.  Plant name  and location.

                 2.  Size of the facility (including the  number of boilers) expressed
            in megawatts or Btu/hour firing capacity (design).

                 3.  Amount, type, and sulfur content  of  actual  fuel combusted
            during the previous  year.

                 4.  The revised S02 emission limit, the  existing SIP limit,
            and the corresponding averaging times  for  these  limits.

                 5.  The "paper" as well  as actual  increase  or  decrease in emissions.

                 The calculations involved  in determining the increase of emissions
            should assume status quo operating conditions of the source.  There is
            no need to consider  increased or decreased utilization of the source's
            capacity.

                 In addition, because of the ongoing development of  policy on the
            issue of good engineering practice (GEP) stack height, all Federal
            Register packages addressing the stack height issue  should be submitted
            through the "special action"  procedures.   Furthermore, I ask that
            your staff inform Bob Schell  (629-5365) of my staff  of any Federal
            Register packages involving  stack height increases which are currently
            under development and projected to be  forwarded  for  14-day review
            within the next few  weeks.
orm 1320-6 (Rev. 3-76)

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     The following information should be included in each action memo
which involves increased stack height.

     1.  Height of the old stack as well as that of the new.

     2.  If GEP stack height is determined, the methodology used to
determine it, and the staclc height considered* to be»GEP.

     Your cooperation and assistance in dealing with these sensitive
issues are greatly appreciated.

Attachment

cc:  David Hawkins
     Walt Barber
     Mike James
     Ed Reich

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                                                               PN 172-80-09-03-030
    SUBJECT:
      FROM:
        TO:
                  UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                      Office of Air Quality Planning and  Standards
                      Research Triangle Park,  North Carolina  27711
      DATE-.  September 3, 1980
Miscellaneous Metal Parts and Products CTG—•
Emission Limits for Coating of Shipping Pails and Drums
Tom Helms, Chief
Control Programs Operations Branch, CPDD
Air Branch Chief, Regions I - X
(MD-15)
                 The sample regulation for the Group II CTG categories indicated that
            the coating of pails and drums was to be included in the Miscellaneous
            Metal Parts CTG.  Representatives from the shipping container industry
            have since requested clarification as to what emission limits are
            applicable to their coatings.

                 We recommend that a presumptive norm of 4.3 pounds of VOC per
            gallon of coating less water is  reasonably available control technology
            for coatings used in pail and drum interior protective linings even
            though the coatings may not be a true "clear coat."  This determination
            was made on the basis of the unavailability of lower VOC coatings that can
            withstand the harsh, toxic, and  corrosive nature of many chemicals that
            are shipped in these containers.

                 The exterior coatings for pails and drums must meet an emission
            limit of 3.5 pounds of VOC per gallon of coating less water.  This is
            the limit described in the CTG for outdoor exposure coatings.

                 The following  information is provided for the States to use in
            defining metal pails and drums:

                      Pails --  any nominal cylindrical metal shipping container of
            1-  to 12-gallon capacity and constructed of 29 gauge and heavier
            material.

                      Drums --  any cylindrical metal shipping container of
            13- to  no-gallon  capacity.

                  For  additional  information,  please call Tom Williams at
            FTS 629-5226.

            cc:   VOC  Contact,  Regions  I  -  X
                  Jim  Berry, ESED
Fo
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      DATE:
                                                              PN 172-80-07-02-029
                  UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                     Office of Air  Quality Planning  and Standards
                     Research  Triangle  Park,  North Carolina   27711

              JUL 2   1980
    SUBJECT:   Exemption for Cold Cleaner Degreasers
      FROM:   Richard G. Rhoads, Director
             Control Programs Development Division   (MD-15)

        TO-.   Director, Air and Hazardous Materials Division, Regions I-X

                  During the past several months, a  number of States have submitted
             VOC regulations for solvent metal cleaners that include an exemption
             based on weight, i.e., 3 Ibs/hr, 15 Ibs/day, for cold cleaners (batch
             operated, nonboiling solvent degreasers typically found in automotive
             repair facilities).  A major concern of the States was related to the
             manpower requirements associated with enforcing regulations for these
             sources.

                  Agency policy guidance in these instances has been to conditionally
             approve regulations containing weight type exemptions applicable to
             urban nonattainment areas that cannot demonstrate attainment by 1982
             pending State deletion of the exemption or demonstration of compliance
             with the five percent significance test.  (See memoranda from
             Richard G. Rhoads, Director, CPDD to Director, Air and Hazardous
             Materials Division, Regions I-X, dated  September 7, 1978 and
             .December 12, 1979.)

                  The purpose of this memorandum is  to provide additional guidance by
             specifying instances where certain designs of cold cleaner degreasers
             could justifiably be determined to be in compliance with the CTG.

                  In the development of NSPS  for solvent metal cleaning, it was
             determined as the result of investigation that cold cleaners with remote
             solvent reservoirs expose solvent only while parts are being cleaned.
             The solvent is pumped through a nozzle  suspended over a sink-like work
             area which drains back into the reservoir.  Because the reservoir is
             remote from the work area, this type of cold cleaner is not subject to
             the evaporation losses suffered by conventional cold cleaners.

                  Consequently, it was concluded that cold cleaners with remote
             solvent reservoirs can be exempted from the operating requirements to
             cover the degreaser during non-use periods.  In addition, the units can
             be exempted from equipment specifications which require each cold
             cleaner to have a closable cover and,because the sink collects solvent
             drainage, a separate drain rack is unnecessary.
:orm 1320-6 (Rev. 3-76)

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     In view of the above,  State regulations which specify an  exemption
for cold cleaners meeting the following criteria  could be  approved  as
being equivalent to RACT.

     1.  The cold cleaner must have a remote solvent reservoir.

     2.  The solvent used in the cold cleaner must not have a  vapor
         pressure that exceeds 4.3 kPa (33mm Hg or 0.6 PSI) measured at
         38° C (100° F) or be heated above 50° C  (120° F).

     3.  The sink-like work area must have an open drain area  less
         than 100 cm.

     4.  Evidence is provided that waste solvent  will  be stored  or
         properly disposed of with minimal loss due to evaporation.

     Should you have any questions regarding this memorandum,  please
contact Bill Polglase at (FTS 629-5251).

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                                                                PN  172-80-07-01-028
                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                       Office of Air Quality Planning  and Standards
                       Research Triangle Park,  North Carolina 27711

      DATE:   JUL t   1980

    SUBJECT:  "Boiler Plate" Language for Ozone SIPs


      FROM:  G. T. Helms, Chief
            Control Programs Operations Branch   (MD-15)

        TO:  Chief,  Air Programs Branch, Regions I-X

                 Attached for your consideration is  "boiler plate"  language that is
            suggested when a State submits an ozone  SIP  revision that either exempts
            methyl  chloroform and/or methylene  chloride  or includes specific controls
            for these compounds.  This "boiler  plate"  was originally drafted
            by OGC  for a Maryland SIP revision.  Should  other organic compounds
            (such as Freon compounds) be included in the approved list of exempt
            organic materials, the boiler plate language should  be  modified to
            reflect these exemptions.

                 Should you have any questions, please contact me (FTS 629-5226) or
            Bill Polglase (FTS 629-5251).

            Attachment
Forrr. 1320-4 (Rev. 3-76)

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                PROPOSED NEW BOILERPLATE FOR OZONE SIPs

     Maryland's SIP exempts methyl chloroform (1,1,1, trichloroethane)
from its definition of "organic material."  On May 16, 1980, EPA pub-
lished a clarification of Agency policy concerning the control  of methyl
chloroform and methylene chloride in ozone SIPs.   (45 FR 32424).  EPA
explained that it cannot approve or enforce controls on either  of these
two compounds as part of a Federally enforceable ozone SIP because
current information indicates that neither compound is an ozone pre-
cursor.  Consequently, EPA is not disapproving Maryland's exemption of
methyl chloroform from the definition of "organic material."
     This policy is in no way an expression of EPA's view on the
desireability of controls on these compounds.   States retain the
authority to control these compounds under the authority reserved to
them in Section 116 of the Clean Air Act.   In addition, State officials
and sources should be advised that there is a strong possibility of
future regulatory action by EPA to control emissions of these two
compounds.  (See, e.g., Proposed New Source Performance Standards for
Organic Solvent Cleaners, 45 FR 39766, June 11,  1980.)
     NOTE:  This boilerplate can also be used to handle a SIP revision
which includes specific controls on the compounds (e.g., Delaware) by
substituting the following sentence for the last sentence in the first
paragraph:
          Consequently, EPA is taking no action on [State]'s
     regulations controlling methyl chloroform and methylene
     chloride.

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                                                                   PN 172-80-06-16-027
                    UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                      Office  of Air  Quality  Planning  and Standards
                      Research Triangle  Park,  North Carolina   27711
       DATE:  JUN 1 6 1980


     SUBJECT:  Gasoline Tank Truck Regulations
       FROM: Richard G. Rhoads, Director
            Control Programs Development Division
         TO.- Jack Divita, Chief
            Air Programs Branch, Region VI
(MD-15)
                 This is to confirm previous telephone conversations with my staff
            concerning the necessity to develop regulations for gasoline tank trucks
            in areas demonstrating attainment by 1982.  Prior EPA guidance has
            provided that:

                 "Urban and rural nonattainment areas not needing an
                 extension until 1987 may have a cutoff source size
                 of 100 tons per year if they can demonstrate
                 attainment by 1982."

            As indicated above, the tank truck regulations are necessary where
            nonattainment area extensions until 1987 are required.

                 Nonattainment areas that demonstrate attainment by 1982 may have
            a cutoff source size of 100 tons per year.  In line with this policy,
            regulations for Stage I service stations, bulk plants, and smaller
            degreasers were not required for the Group I CTG categories.

                 Tank trucks are less than 100 tons per year sources and, as such,
            under present policy would be exempt from a CTG recommended annual
            certification regulation.  However, tank trucks are an integral part of
            bulk terminal operations (which are generally 100 tons per year sources).
            Essentially leakless tank trucks compatible with bulk terminal  vapor
            control were required to comply with bulk terminal regulations  previously
            adopted during the Group I CTG regulation development.

                 In summary, in areas attaining by 1982, separate regulations
            covering tank trucks are strongly encouraged.   In any event, in
            order for the terminal regulation (mass emission standard of
            80 mg/1) or an efficiency standard of (90 percent by weight) to
            be effective, the tank trucks loading gasoline at regulated
            terminals must be essentially leakless and equipped for vapor collection
            so that vapors generated in the tank trucks during loading operations
Form 1320-6 (R«». 3-76)

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are vented to the bulk terminal  vapor control  system.   The State
regulations will have to include a test method that addresses  the
leak tight tank truck conditions.   For additional  information,  please
call Bill Polglase (629-5251) or Tom Williams  (629-5226).

cc:  Chief, Air Branch, Regions  I-V, VI1-X
     Pete Hagerty, Region I
     Paul Truchan, Region II
     Neil Swanson, Region III
     Doug Cook, Region IV
     Dick Dalton, Region V
     Donna Ascenzi, Region VI
     David Doyle, Region VII
     Bill Bernardo, Region VIII
     Tom Rarick, Region IX
     Ken Lepic, Region X

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                                                      PN 172-78-06-14-026


                     MEMORANDUM OF UNDERSTANDING

                                BETWEEN

                  THE DEPARTMENT OF TRANSPORTATION

                                  AND

                 THE ENVIRONMENTAL PROTECTION AGENCY

                              REGARDING

     THE INTEGRATION OF TRANSPORTATION AND AIR QUALITY PLANNING


I.  Introduction

The Clean Air Act Amendments of 1977 were signed into  law by the  President
on August 7, 1977.  These Amendments require state and local  governments
to develop for all areas where national ambient air quality standards  have
not been attained, revisions to state implementation plans (SIPs).   The
revised SIPs must be submitted by the state to the Environmental  Protection
Agency (EPA) by January 1, 1979.  These revised plans  must provide  for
attainment of the national ambient air quality standards by 1982  or,  in
the case of areas with severe photochemical  oxidant or carbon monoxide
problems, not later than 1987.  The revised plans must also provide for
incremental  reductions in emissions ("reasonable further progress")  between
the time the plans are submitted and the attainment deadline.

In many major urbanized areas of the country the revised SIPs will  require
transportation controls, i.e. strategies designed to reduce emissions from
transportation-related sources by means of structural  and operational changes
in the transportation system.  A mechanism is required that will  enable
state and local  governments to: (1) develop a wide range of alternative
transportation control  strategies, (2) analyze the air quality and  other
impacts of the strategies, and (3) select among the alternatives  in a
timely and informed manner.

Federal transportation planning requirements in urbanized areas are imple-
mented by the Department of Transportation (DOT)  through a  joint  delegation
of authority to  the Federal Highway Administration (FHWA)  and  the Urban
Mass Transportation Administration (UMTA).  The FHWA and UMTA provide funds
to states and local  governments to plan, develop, and  improve transportation
systems and  services.  In urbanized areas improvements are  implemented
according to a continuing, comprehensive, and cooperative transportation
planning process carried out pursuant to FHWA/UMTA joint regulations.  It

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is in this context that "DOT"  is  utilized  in  this  document.   In order  to
effectively achieve the objectives  of the  1977  Clean  Air Act  Amendments,
the DOT and Environmental  Protection  Agency (EPA)  agree that  the  trans-
portation-related air quality  planning requirements of EPA will be  integrated
with the transportation planning  process administered by the  DOT.   Closer
integration of the planning requirements of DOT and EPA will  ensure the
timely consideration of air quality concerns  and will  reduce  potentially
duplicative, overlapping,  and  inconsistent activities at the  state  and
local level.  DOT administers  other planning  programs through other
administrations (e.g. FAA  and  FRA)  which  have lesser  impact on air
quality but may be subject to  future  discussion.

II.  Purpose

This Memorandum of Understanding, developed pursuant  to the President's
request, is designed (1) to establish certain principles which DOT  and  EPA
agree to follow in the preparation  of more detailed regulations and
administrative procedures  required  to achieve the  objective of integrating
the air quality and transportation  planning processes;  (2) to identify
specific areas of agreement with  regard to the joint  administration of  the
air quality aspects of the planning process.

III.  Principles that Will Guide  the Integration of the Air Quality
      and Transportation Planning Processes

 A.  The reduction of air  pollution is an  important national  goal and
     must be among the highest priorities  of the transportation planning
     process in areas not  meeting primary  Air Quality Standards.  However,
     the transportation planning  process must also consider other national
     and local objectives  such as mobility, safety, energy conservation,
     urban economic development,  full employment and  orderly  metropolitan
     growth.

 B.  It is the affirmative responsibility  of federal, state and local
     agencies involved in  funding or conducting transportation planning
     and implementation to ensure that evaluation  of  an adequate  range
     of alternative transportation control strategies is conducted  in
     order to furnish local, state and federal  officials with an  adequate
     basis on which to reach informed decisions.

 C.  Any transportation planning  activites conducted  pursuant to  this
     agreement must continue to provide for an adequate  process of
     consultations with and involvement of the general  purpose local
     government, responsible state agencies and the public as called for
     in the joint UMTA/FHWA Urban Transportation Planning  regulations.

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 0.  It is the objective of  the  activities  undertaken  pursuant to this
     agreement to contribute to  the  maximum extent feasible,  in  com-
     bination, with other emission reduction measures,  to  a reduction of
     emissions necessary to  meet the prescribed  air quality standards.

IV.  Joint Administration pfjthe Air Quality Aspects of the
     Urban Transportation Planning Process_

     The Department of Transportation and Environmental  Protection
Agency agree to modify existing  procedures  concerning  the  administration
of the urban transportation  and  air  quality planning processes in
nonattainment areas as follows:

     1.  DOT and EPA regional/division offices will have the  opportunity
for joint review of and concurrence  in the Unified Work Program  (UWP)
required pursuant to paragraph 450.114 of the Joint Planning  Regulations
(23 CFR 450), to ensure that adequate air quality planning tasks are
included in the planning programs.   Any disagreements  at the  regional
level shall be referred to the DOT  Secretary for resolution.  Before
making his final decision on the UWP, the Secretary will consult with
the EPA Administrator and will notify EPA of the disposition  of  its
comments, with appropriate supporting materials.  In addition, where an
MPO has failed, without adequate reason to  carry out the analysis or
other activities committed in Us Unified Work Program, DOT will prescribe
conditions which will require specified remedial actions to be taken in
order to correct the identified  failure in the Unified  Work Program.
DOT and EPA will develop in  the  near future a document  identifying
appropriate categories of remedial actions.

     2.  DOT and EPA regional/division offices will have the  opportunity
for joint review of transportation  plans (including TSM elements) in
nonattainment areas required pursuant to paragraph 450.116 of the
Joint Plannning Regulations, to  ensure that air  quality considerations
are adequately addressed.  DOT and  EPA will consult with the  planning
agency on how air quality related planning deficiencies will  be
corrected.  DOT will also explicitly consider EPA comments in taking
subsequent actions on program approvals and will notify EPA of the
disposition of its comments, with appropriate supporting materials.

     3.  DOT and EPA regional/division offices will have the  opportunity
for joint review in connection with  the annual planning certification
required pursuant to paragraph 450.122 of the Joint Planning  Regulations,
on the adequacy of the planning  process to  address air  quality considerations.
DOT and EPA will consult with the planning  agency on how air  quality
related planning deficiencies will  be corrected.  DOT will also  explicitly
consider EPA comments in making  any  certification decisions and  will
notify EPA of the disposition of its comments, with appropriate
supporting material.

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     4.  DOT and EPA regional/division offices will have the opportunity
for joint review of the Transportation Improvement Program (TIP) and its
annual element required pursuant to paragraph 450.118 of the Joint
Planning Regulations for consistency with the air quality elements of
the transportation plan and/or the SIP.  DOT will explicitly consider
EPA's comments in program approvals, and will notify EPA of its disposition
of the comments.   If EPA disagrees with the disposition of its comments,
the procedures for resolution set forth in Addendum 1 to this memorandum
will be followed.

     5.  DOT and EPA regional/division offices will have the opportunity
for joint review of the revised SIPs, for compliance with the objectives
of statutes administered by DOT (e.g., Title 23 USC and the Urban Mass
Transportation Act) to provide for mobility and for safe and efficient
transportation.  EPA will explicitly consider DOT comments in approving
or disapproving SIP revisions, and will notify DOT of its disposition of
the comments, with appropriate supporting materials.  If DOT disagrees
with the disposition of its comments, the procedures for resolution set
forth in Addendum 2 to this memorandum will be followed.

     6.  DOT and EPA agree to work toward greater coordination in the
administration of their respective grants for local planning activities
by including these grants in the UWP, to ensure that such grants support
effectively the related objectives of both agencies while avoiding
duplication and overlapping planning activities.

DOT and EPA will take appropriate steps to alter their existing internal
procedures and to issue a joint appendix to the existing transportation
planning regulations to implement the above understandings.

     DOT and EPA agree to consult one another in the development of
criteria and procedures required by Section 176 of the Clean Air Act,
including insuring that all major capital improvement projects are
consistent with the SIP.
Signed in Washington, D.C. this  14th  day of      June       1973.


Department, of Transportation                Environmental  Protection Agency
   .       N                                       *            si

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                         ADDENDUM 1
If the EPA Regional  Administrator disagrees with the disposition
of his comments by DOT, he will  so notify the DOT Regional/Division
Administrator within seven days.   In such a case, the DOT Regional/
Division Administrator will not  approve the element or elements of
the TIP in disagreement until  so  advised by headquarters.

Within 30 days after the EPA Regional  Administrator notifies  DOT
of his disagreement, the EPA Administrator will  notify the Secretary
of Transportation if the EPA Administrator disagrees with the DOT
field staff disposition of EPA comments, and the reason for the EPA
Administrator's disagreement.

If such notification is received  within 30 days, the Secretary of
Transportation will  carefully consider the EPA Administrator's views
and in the event of disagreement  will  notify the EPA Administrator
of the disposition of his comments,- with appropriate supporting
materials before making his decision.

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                         ADDENDUM 2
If the DOT Regional/Division Administrator  disagrees  with  the
disposition of his comments by EPA,  he  will  so  notify the  EPA
Regional Administrator within seven  days.   In  such  a  case,  the
EPA Regional Administrator will  not  approve the SIP until  so
advised by headquarters.

Within 30 days after the DOT Regional/Division  Administrator
notifies EPA of his disagreement,  the Secretary of  Transportation
will notify the EPA Administrator  if the Secretary  of Transportation
disagrees with the EPA field staff disposition  of DOT comments, and
the reason for the Secretary's disagreement.

If such notification is received within 30  days,  the  EPA Administrator
will carefully consider the Secretary of Transportation's  views and
in the event of disagreement will  notify the Secretary of  the
disposition of his comments, with  appropriate  supporting materials
before making his decision.

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                                                              PN 175-BC-06-23-007
Federal Register / Vol 45. No. 122 / Monday. June  23. 1980 /  Notices              42823
                                                        ENVIRONMENTAL PROTECTION
                                                        AGENCY

                                                        DEPARTMENT OF TRANSPORTATION

                                                        [FRL 1579-4]

                                                        Public Participation In the State
                                                        Implementation Plan—Transportation
                                                        Revision Process: Expanded
                                                        Guidelines
                                                        AGENCIES: Environmental Protection
                                                        Agency and Department of
                                                        Transportation.
                                                        ACTION: Expanded guidelines.

                                                        SUMMARY: The Clean Air Act as
                                                        amended August 1977 (Pub. L 95-95)
                                                        includes a requirement that the
                                                        Environmental Protection Agency, after
                                                        consultation with appropriate Federal,
                                                        State and local officials, produce
                                                        guidance on the basic program elements
                                                        for the planning process  assisted under
                                                        Section 175 of Part D. Section 108(e)(4)
                                                        of the Act specifically directs EPA to
                                                        produce guidelines-on methods to assure
                                                        participation by the public in all phases
                                                        of that process.
                                                          The Environmental Protection
                                                        Agency, in conjunction with the
                                                        Department of Transportation, has
                                                        completed guidelines for public
                                                        participation in the planning process
                                                        assisted by funds authorized under
                                                        Section 175 of the Clean Air AcL These
                                                        guidelines are being published today to
                                                        complement their distribution to lead
                                                        agencies, States, public interest groups,
                                                        organizations of local elected officials
                                                        and the public.
                                                          The guidelines set forth the elements
                                                        and procedures of an acceptable public
                                                        participation program. This program
                                                        should be integrated with the urban air
                                                        quality planning program that is being
                                                        carried out by  lead agencies comprised
                                                        of local elected officials.and designated
                                                        under Section  174 of (he Clean Air Act
                                                        FOR INFORMATION CONTACT: Gary C.
                                                        Hawthorn or William L Houck,
                                                        Environmental Protection Agency,
                                                        Office of Transportation  and Land Use
                                                        Policy (ANR-445), 401  M Street, &W.,
                                                        Washington, B.C. 20460, (202) 755-0603.
                                                        FOR SPECIFIC INFORMATION OM DOT'S
                                                        ROLE, CONTACT: James Geteewich,
                                                        Department of Transportation. Urbao
                                                        Mass Transportation Administration

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42024               Federal Register / Vol.  45, No. 122 / Monday, June 23, 1980 /  Notices
(UPM-10). 400 Seventh Street, S.W..
Washington. D.C. 20590. (202) 426-W91.
SUPPLEMENTARY INFORMATION: The
Environmental Protection Agency (EPA)
and the Department of Transportation
(DOT) jointly issued Transportation-Air
Quality Planning Guidelines in June
1978. Section UI-D of those guidelines
contained initial guidance for lead and
other agencies involved in the planning
process to use in developing an effective
public  participation program to support
the 1979 Stale Implementation Plan (SIP)
submission.
  The  joint EPA-DOT guidelines
published today are an expansion of
that earlier guidance. EPA and DOT
indicated  their intent to issue these
expanded guidelines in Section 175
Federal Register notices of December 28.
1978 (43 FR 60215) and March 6,1980 (45
FR  14774). The guidelines-are to assist
urban areas that could not demonstrate
attainment of the national  ambient air
quality standards for carbpn monoxide
and/or ozone by December 31.1982.
Agencies representing these areas are
required to submit a revised SIP in 1982
which includes an analysis of, and
commitment to implement, reasonably
available transportation control
measures  in order to assist in attaining
the carbon monoxide and ozone
standards before December 31.1987.
Since certain measures which may be
included in the revised SIP could affect
personal travel habits and  could be
considered controversial, it is essential
that effective public participation
support the planning and
implementation process.
  The expanded guidelines are a result
of over 12  months of extensive
consultation with Stale, local and
regional agencies, public and special
interest groups, knowledegable
consultants and the general public. Prior
to developing the guidelines, EPA
surveyed established public interest
groups and lead agencies which
demonstrated exemplary approaches to
public involvement.
  The insight gained from this survey
led  to the development of the first
version of the Section 108{e)(4)
guidelines which were presented at a
national meeting of lead agency officials
in April 1979. All of the numerous
comments EPA received were reviewed
and considered in the development of a
revised June 1979 draft. This version
reflected the fact that a majority of
commentors had  urged EPA to place
more emphasis on the key elements of a
successful process rather than to rely
upon rigid, prescribed public
participation techniques.
   Further refinement of the guidelines
 occurred in the following months. June.
 August and October 1979 drafts were
 widely distributed to lead agencies,
 selected environmental and public
 interest groups and the general public.
 Periodic newsletter releases.
 presentations at national meetings  and
 workshops, mail responses and direct
 contact with affected interests produced
 over 100 written and verbal responses.
 Many of these comments helped shape
 the Section 108(e)(4) guidelines into a
 more practical tool for the management
 of the consultation portion of the
 transportation-air quality program.
 Throughout the development of the
 guidelines EPA maintained an open-
 ended approach to public review and
 comments. EPA's efforts were the
 subject of continuing critique and
 refinement by those who were to be
 most affected by the guidelines.
 Commenlors played a strong role in
 shaping the direction of the guidelines.
   In October of 1979 EPA released an
 interim  final version of the guidelines.
 Little additional comment was received
 on this version. Areas requiring a post-
 1982 attainment extension for carbon
 monoxide and/or ozone were
 encouraged to use this interim version
 when preparing their remaining Section
 175 grant applications. EPA and DOT
 then entered into discussions to produce
 the final guidelines jointly. This joint
 version being published today contains
 only minor changes from the previous
 October draft.
  Finally, in support of the guidelines, a
 scries of well-received technical
 assistance seminars were held in
 January and February 1980 in
 Philadelphia, Chicago. San Francisco
 and Colorado Springs for affected
 agencies, elected officials and citizens in
order to explain the rationale behind,
 and the practically applicability of,  the
guidelines to ongoing transportation-air
 quality work program development.

Expanded Guidelines for Public
Participation in the SIP—Transportation
Revision Process
 '&ih/e of Contents
 Foreword
Organization of the Guidelines
 A. Introduction: Purpose and Background
B. Policy and Objectives
C. Applicability
 D. Definilion of the Public
E. Elements and Procedures
  1. Commitment
  2. Identification
  3. Outreach
  4. Interaction
  5. Responsiveness
  6. Evaluation
  7. Financial Resources
 F. Work Program and Public Information
    Involvement
 G. Progress Reports
 H. Performance Evaluation
 1. Provisions for Coordination

 Foreword
  The U.S. Environmental Protection
 Agency (EPA) and the U.S. Department
 of Transportation (DOT) are jointly
 issuing these Guidelines for public
 participation in response to Section
 108(e)(4) of the Clean Air Act, as
 amended August 1977. This issuance
 expands upon the more genera! public
 participation guidance in the June 1978
 EPA-DOT Transportation-Air Quality
 Planning Guidelines. These Guidelines
 apply to public participation programs
 for development of the transportation
 component of SIPs funded with  section
 175 grants in urban areas requiring an
 extension beyond 1982 for attainment of
 the carbon monoxide or ozone standard.
 EPA views the Guidelines  as a
 significant step in its efforts to integrate
 Clean Air Act transportation
 requirements with  the ongoing DOT
 process.
  Section C. Applicability, describes the
 operational significance of these
 Guidelines: "Section 175 grant awards
 made subsequent to the issuance of
 these Guidelines will be conditioned on
 an adequate response to the Guidelines
 for'urban areas requiring an extension
 beyond 1982 for attainment of the CO
 and/or the ozone standard. EPA will
 require these grantees to modify their
 section 175 work programs to include
 specific tasks that meet the objectives
 and cover elements and procedures of
 the expanded Guidelines."
  The Guidelines have benefited from
 and been shaped by extensive
 consultation. As a consequence  of the
 many comments, the final version does
 not prescribe detailed methods but does
cover the essential elements and
 procedures of an effective public
 participation program. Specific methods
 are not prescribed because  many
 alternative approaches can be
effectively employed. Extensive details
on specific participation or information
techniques are not provided because (1)
such information is available elsewhere
and (2) the exact details should be a
local decision.
  EPA and DOT have observed  that the
most effective public participation
programs consist of elementary parts
and procedures. Therefore, the final
product continues to emphasize  the
common sense ingredients  of an
adequate public participation program.
 Implementation of these basic
 Guidelines should improve a key part of
 the SIP-transportation process and
 facilitate attainment of the air quality
 standards.

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                                        /  Voi. 45.  No. 122 / Monday, June 23, 1980 / Nolioes^
                                                                       42025
 Organization of the Guidelines

   Following the Foreword the
 Guidelines are organized into nine
 sections. The Introduction, Section A,
 addresses the Purpose and Background,
 highlighting the relationships of the
 Guidelines to the Clean Air Act and past
 DOT and EPA guidance. Section B
 covers Agency Policy and Objectives
 regarding public participation activities.
 The Applicability of the Guidelines—
 particularly their relationship to the
 section 175 grant  program—is set forth
 in section C.
   Section D provides a Definition of
 Public, while Section E presents more
 substantive information on Elements
 and Procedures in seven subsections,
 including: Commitment. Identification,
 Outreach, Interaction, Responsiveness,
 Evaluation, and Financial Resources.
 Section F describes how Section 175
 Work Programs should be modified,
 where necessary, to address Guideline
 elements. Sections G and H discuss the
 content of Progress Reports and
 Performance Evaluation criteria,
 respectively. Section I concludes with
 advice on COORDINATION of related
 public participation programs.

 A. Introduction: Purpose and
 Background

  The nation's efforts to attain and
 maintain healthy, clean air will not
 succeed  without an informed and
 involved citizenry. Effective citizen and
 elected official involvement is especially
 essential to development of the
 transportation portion of State
 Implementation Plan (SIPs) because
 certain measures  could affect travel
 habits and be considered controversial.
  The purpose of the expanded public
 participation Guidelines is to facilitate
 attainment of national ambient air
 quality standards (NAAQS). Early and
 widespread public and elected official
 involvement throughout the process can
 accelerate and smooth the planning and
 implementation of measures by
 surfacing community goals and interests
 and by helping to resolve conflicts prior
 to key decision points.
  The Clean Air Act Amendments of
 1977 clearly emphasize the need for
 public and elected offical input to SIP
 development. Section 172(b](9) requires
public involvement and consultation.
 Consultation should occur from the
 initial stages of identifying and
 developing controls through technical
 analysis  to the selection and
 implementation of measures.
Additionally section 108(e)(4j directs the
EPA Administrator to issue guidance on
methods to assure public involvement ia
 all phases of the planning process
 funded by section 175.
   These expanded Guidelines build
 upon the June 1978 Transportation-Air
 Quality Planning Guidelines. This initial
 guidance of June 1978 anticipated the
 issuance of further detail on an effective
 public participation program as
 provided for in Section 108(e) of the Act.
 EPA and DOT indicated their intent to
 issue these expanded Guidelines in the
 Section 175 Federal Register notice of
 December 26,1978 (43 FR 60215).
   Agencies should coordinate
 implementation of these Guidelines with
 their activities conducted in response to
 Section 121 requirements on
 intergovernmental consultation (e.g., by
 insuring effective interaction among
 local elected officials and citizens).
 Implementation of the Guidelines should
 also be coordinated with section  127
 requirements on public notification
 which require a SIP revision to address
 how the public will be informed and
 involved in all phases of SIP
 development and implementation. This
 Section 127 SIP revision should include
 a summary of activities carried out in
 response to these section 108(e)
 Guidelines.
 B. Policy and Objectives
  These expanded Guidelines reflect the
 following policy: Public participation
 will be provided for, encouraged and
 assisted as a continuing activity in the
 SIP-Transportation Revision Process.
 Public information and involvement
 should begin early and continue
 throughout the planning process.
 Responsible agencies should seek and
 consider the views of a wide spectrum
 of affected public interests.  Since
 effective involvement may occur in a
 variety of ways, the Guidelines o.utline
 only the key elements and procedures of
 an effective public participation
 program. The Guidelines do not
 prescribe specific methods.
  The goal of agencies engaged in S1P-
 transportation revision process should
 be to achieve and maintain widespread
public awareness and consensus on the
 nature of the air quality problem and
 agreement on the implementation of
 reasonably available controls necessary
 for its solution. The objectives
 supporting this goal are:
  1. to assure that the public and  elected
officials understand the: (1)  public
health and welfare dangers  of air
 pollution; (2) the nature of the  SIP-
 transportation revision process and the
 role of the public and officials in it; (3)
 the nature and impacts of transportation
control measures (TCMs) and  their
relationship to other attainment
strategies;
   2. to encourage active involvement of
 a broad range of interested and affected
 constituencies in the SIP-iransportation
 revision process;
   3. to assure public understanding and
 agreement on needed, reasonably
 available transportation-air quality
 measures;
   4. to assure that interested and
 affected constituencies are identified,
 informed and consulted before decisions
 are made that significantly affect the
 public;
   5. to assure that agency and elected
 officials consider and are responsive to
 the concerns of these constituencies
 when making such decisions;
   6. to foster spirit of openness and
 mutual trust among responsible
 agencies, elected officials and the
 public, thereby establishing and
 maintaining the legitimacy and
 credibility of the SIP-transportatiofl
 revision process;

 C. Applicability
   These expanded Guidelines apply to
 all section 175 urban air quality planning
 grantees and subgrantees in urbaa areas
 that require an extension beyond 1982 to
 attain the carbon monoxide and/or
 ozone air quality standards.
   The expanded Guidelines do not
 apply to grantees or subgrantees in
 urban areas that demonstrate
 attainment of carbon monoxide and
 ozone air quality standards by 1982.
 Grantees and subgrantees in such areas
 are required, however, to implement-
 public participation activities called for
 in the EPA-DOT June 1978 Guidelines
 {section 111 D).
  These Guidelines are effective  as of
 the date issued. Grants awarded  after
 December J, 1979, however, were
 approved with the  condition that within
 60 days of the effective date of the
 Guidelines, tasks meeting the objectives
 and covering the elements and
 procedures of the Guidelines were to be
 included in the section 175 work
 programs and undertaken as a part of
 the approved grant Grants awarded
 after tfte effective date of the Guideline*
 must contain tasks that meet the
 objectives and cover the elements and
 procedures of the expanded Guidelines.
 Section F provides details on work
 program content Failure to adequately
 address these Guidelines in the section
 175 work program will delay grant
 awards until deficiencies are corrected
  EPA could notify UMTA. in
 accordance with procedures in
 Attachment J to OMB circular A-102, to
 withhold section 175 payments if grant
 conditions are aot met or if work
 program tasks unpfesaeating Guideline
procedures are set carried out

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42026
Federal Register / Vol. 45. No. 122 /  Monday,  June 23, 1980  /  Notices
  The applicability of the Guidelines
with respect to appropriate agency and
interest group roles should be
determined by the lead planning agency
in consultation with agencies and
groups affected. Responsibilities for
implementing  Guideline elements and
procedures should be shared among
agencies—and jointly determined as
required by section 174 of the Act.
Those agencies identified in accordance
with section 174 as having roles to play
in implementing Guideline elements are
hereinafter referred to as "responsible
agencies."
  Although actual implementation of
individual Guideline elements may be
carried out by different agencies, the
lead planning agency is responsible for
overall coordination. The lead agency
should manage the coordination of all
activities necessary to develop the
required work program tasks and to
implement the Guidelines.
D. Definition of the Public
  The public ia not only the general
population but also a collection of
constituencies with varying interests
and concerns regarding air quality and
transportation. As used in the
guidelines, public  refers to those
interests concerned about and likely to
be affectd by, the  implementation of
transportation control measures. In any
given area for  any particular measure
these constituencies could include
consumer, public health, environmental,
civic, neighorhood. minority, labor,
trade, commerce and industry and, of
course, individual citizens. Public
information and involvement programs
should be designed for both general and
specific interests.
E. Elements and Procedures of an
Effective Public Participation Program
  The following six sections define the
principal elements of an effective public
participation program. These are:
commitment, identification, outreach,
interaction, responsiveness, evaluation.
Section seven discusses the financial
resources necessary to support these
elements. Lead agencies in consultation
with citizen advisory groups should
work closely with EPA in developing
Section 175 work program tasks to cover
each of these elements. Tasks should
reflect ongoing public participation
activities that adequately cover the
elements below.
  1. Commitment.  A lead agency's
commitment to these  expanded
Guidelines is first  demonstrated by
integrating the public participation
program tasks Into the overall
transportation-air quality work program.
The goals, objectives, elements,
                   procedures and performance criteria of
                   the public participation program should
                   be clearly defined and developed by the
                   lead planning agency in consultation
                   with a body of interested and affected
                   constituencies. Execution of these work
                   program tasks demonstrates an agency's
                   commitment to integrate Guideline
                   citizen participation activities with  the
                   SIP-transportation revision process.
                     2. Identification. Constituencies
                   interested in and potentially affected by
                   transportation-air quality issues should
                   be identified and inventoried early  in
                   the process, as called for in the June
                   1978 EPA/DOT Planning Guidelines.
                   The inventory—if not yet completed—
                   should be finished within two months of
                   issuance of these Guidelines. These
                   constituencies should be matched to
                   specific air quality issues and other
                   transportation impacts according to
                   timing and geographic considerations.
                   As new interests are identified they
                   should be encouraged jo participate in
                   the planning process. Information and
                   involvement techniques should be
                   targeted at particular interests at key
                   points in the process to  make better use
                   of scare public participation resources.
                     3. Outreach. Citizens  and elected
                   officials can productively participate in
                   the process only if they  receive timely,
                   accurate and understandable
                   information well in advance of key
                   decisionmaking. An extensive,
                   continuing public education and
                   information—i.e.. outreach—effort
                   should be directed at these groups.
                     This outreach program should cover:
                   Clean  Air Act requirements: the
                   relationship of air quality, public health
                   and TCM's: benefits, costs and other
                   impacts of control measures (including
                   social, economic, energy, environmental,
                   mobility, etc.); timetables for proposed
                   actions; lay summaries of lengthy or
                   technical documents: and importantly,
                   guidance on how and when to
                   effectively participate in the process.
                     Various outreach method can be
                   employed to enhance public awareness,
                   understanding and involvement. These
                   methods include: press releases, radio
                   arid television programs, public service
                   announcements, news conferences,
                   speakers' bureaus, educational
                   television, school curricula, information
                   campaigns for particular TCMs,
                   pamphlets, fact sheets, newsletters,
                   roadway notices, town and
                   neighborhood workshops, newspaper
                   advertisements, slide shows and films,
                   demonstration program  (e.g., financial
                   incentives for earpools,  transit fare
                   reductions, free emission tests, flexitime
                   etc.), public opinion polls, sub-area
                   public participation coordinators, etc.
                   These  guidelines are not intended to
 provide detailed information on each of
 these methods. The methods have been
 adequately covered in special courses
 and in the literature published by DOT
 in an extensive compendium: Effective
 Citizen Participation in Transportation
 Planning. Volumes 1 and II. 1979). EPA
 and DOT can provide further
 information on this material and other
 references.
  Outreach activities should be
 conducted  well in advance of key
 decision points and precede the use of
 interaction techniques. Information
 should be distributed in a timely fashion
 to affected and interested groups and
 individuals. A comprehensive mailing
 list should  be maintained and updated
 by the lead planning agency as new
 issues and  interest groups  surface.
 Additionally the lead planning agency
 should provide central locations whore
 relevant information is available for
 public review.
  4. Interaction. Outreach  activities are
 intended to inform the public whereas
 interaction activities channel this
 awareness and interest into exchanges
 among the public, elected offrcials and
 agencies on issues, measures, impacts,
 etc. Public hearings and agency
 meetings with ad hoc or permanent
 citi2en advisory bodies have
 traditionally been used to obtain public
 comment on plans and projects.  While
 these can be effective techniques, many
 others (including many listed above in
 section E.3) can be employed to achieve
 the communication necessary for
 agreement on reasonably available
 measures and plan implementation (e.g.,
 use of an ombudsman or citizen
 advocate, citizen delphi panels,
 telephone hotlines, special meetings
 with affected interests, etc.)
  Section 110 of the Act requires
 "reasonable notice and public hearings"
 prior to adoption and submittal of the
 SIP. Section 172(b)(9) requires
 nonattainment plans to: "evidence
 public, local government, and State
 legislative involvement and consultation
 in accordance with section 174 and
 include (A) an identification and
 analysis of. . . plan effects and
 alternatives considered by the State.
 and (B) a summary of the public
 comment on such analysis".
  Where an ad hoc or permanent
 citizens advisory body (reflecting a
 range of-affected community interests) is
 used, it should contribute to the
development of, and function in, the
public participation program (See the
June 1978 June EPA-DOT Planning
Guidelines, p. 16). Such bodies should
also participate in the development and
analysis of alternative transportation
control measures, (Section IIWE the June

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                     Federali Register / Vol.  45. No. 122 /Monday. June 23.  1980 /Notices^
                                                                       42027
 1978 Guidelines) and at key miles tones
 noted below.
   Existing procedures and groups
 should be used where possible.
 However, the lead planning agency in
 consultation with a representative group
 of interests or a citizen advisory body
 must demonstrate that existing
 techniques allow those affected,
 including genera! citizens, to effectively
 participate in the process.
   The public should be informed,
 allowed to comment and receive
 responses on major issues prior to
 significant agency actions. At least 45
 days should be allowed for outreach
 and interaction activities prior to major
 decisions.
   Effective public participation
 throughout the SIP-transportation
 revision process requires that key
 decision points and activities be defined
 at the outset. A description of these
 must be included in all Section 175 work
 programs as a basis for grant award or
 for the continued receipt of section 175
 funds. The following are the minimum
 points at which input should be sought
 and considered in a timely fashion prior
 to decisionmaking. (Each area may
 identify additional key points):
   a. development "and adoption of the
 overall section 175 work program for
 inclusion in the DOT unified planning
 work program (UPWP);
  b. development and adoption of a
 public information and involvement
 program, including specific tasks in the
 section 175 work program (as part of a.);
  c. initial identification of
 transportation control measures (TCMs)
 and packages of TCMs for possible
 inclusion in  the 1982, SIP;
  d. evaluation framework for the
 assessment of TCMs and packages of
 TCMs for the 1982 SIP;
  e. identification and assessment of the
 social, economic, environmental, energy,
 community, health, minority, mobility
 etc., impacts of measures or packages of
 measures (as required by the June 1978
 EPA-DOT Planning Guidelines);
  f. adoption of proposed or final
 packages of TCMs for inclusion in the
 1982 SIP (including the determination of
 the mix of stationary source and
 transportation controls);
  g. removal of any TCM from a
previously approved plan;
  h. rejection of any TCM as "not
reasonably available;"
  i. conformity determination of
programs and projects with approved
SIPs by MPOs receiving Section 175
funds;
  j. demonstration phase or trial
application of adopted TCMs prior to
final decision on full, permanent
implementation.
   5. Responsiveness. In addition to
 providing clear procedures and
 mechanisms for public input the
 responsible agency should assure that
 this input is made known and
 understood by decisionmakers and
 considered in agency decisions and
 actions. For example, the agency should
 provide within a reasonable time,
 explicit responses to formal
 recommendations or significant issues
 raised by interested or affected
 constituents. This could include
 responses to: requests formore
 information or explanations of technical
 issues, suggested changes to a proposed
 or adopted program (e.g., section 175
 work program, UPWP. TIP) and
 questions on rejection of public
 proposals. The responsible agency
 should also respond to  requests for
 information by the general public and
 consider their concerns throughout the
 process.
   Semi-annual progress reports to EPA
 (see section G) should include a
 summary record of major issues raised
 by the public covering the receipt,
 consideration, and disposition of these
 issues. Agencies should distribute and
 discuss the summary record with
 commenters and interested constituents
 at appropriate meetings. The summary
 record should be made  available for
 general public review at convenient
 locations.
  6. Evaluation. The effectiveness of the
 public participation program should be
 evaluated periodically by the lead
 planning agency in consultation with
 other responsible agencies and affected
 community interests in  order to identify
 shortcomings and make improvements.
 Program effectiveness can be measured
 by determining whether public
 participation objectives (defined in the
 section 175 work program) have been
 met and by applying performance
 criteria, developed by lead and olher
 responsible agencies in consultation
 with affected community interests (See
 Section H). EPA will monitor and
 evaluate the participation program and
 will work with lead planning agencies
 and the public to make improvements.
  7. Financial Resources. The
 responsible agencies should allocate
 sufficient financial resources to provide
 for informed and effective public
participation in the SIP-transportation
revision process. Section 175 grantees
 and subgrantees are encouraged to work
 closely with existing citizens' and
interest groups, building upon their
contacts and expertise wherever
possible. Agencies conducting related
air quality and transportation public
 participation activities should
 coordinate their resources.
   While SlP-transportation revision
 public participation activities should be
 funded from multiple sources, EPA
 believes an adequate public
 participation program—including the
 vital element of local elected official
 consultation—may require from 10 to
 30% of an area's total section 175 funds.
 Additionally EPA strongly encourages
 the pass-through of section 175  funds to
 a broad base of affected constituencies
 to achieve better understanding of. and
 effective participation in, the planning
 process. (The June 1978 EPA-DOT
 Planning Guidelines note that the basic
 element of any information and
 consultation program should be
 conducted by the agencies or interest
 groups best equipped to carry out the
 tasks effectively.)
   The scope and intensity of the public
 participation program should be scaled
 to the severity of the air quality
 problem, the number and types  of
 interests affected, and the level  of
 awareness, understanding and
 involvement of the public needed to
 develop and implement  an attainment-
 plan.

 F. Work Program For Public
 Information/In vehement
   Eligible applicants for section 175
 funds must submit a program  for public
 information/involvement that covers the
 elements and meets the objectives of
 these Guidelines. The work program
 should detail key milestones and link
 the technical study portion of the
 process to the information and
 consultation portion. The relationship
 and scheduling of major tasks should be
 noted (e.g., public input to the
 development and analysis of
 alternatives). Work program tasks
 should be incorporated into the area's
 UPWP and implementation should be
 tracked and substantiated in progress
 reports (section G).
  The work program should be prepared
 and implemented by the lead planning
 agency in consultation with other state,
 regional and local agencies and the
 public interest groups most capable of
 carrying out the public information and
 involvement tasks. As noted in section
 E.7 the work program should provide for
 contracts with citizens' organizations
 and public interest groups to carry out
 public information and involvement
 tasks  where such Work can be
 effectively carried out by such groups.
  The work program should describe all
public information and involvement
 tasks  to be undertaken In development
and implementation of the
 transportation portion of the 1982 SIP

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                     Federal Register /  VoL 45. No. 122 / Monday,  June 23. 1980  /  NoHces
submitta! and should (in accordance
with Section E above):
  1. State the goals and objectives of the
public participation program in the SIP-
tran sport a lion revision process. These
should be developed by the lead
planning agency in consultation with a
body reflecting the interested^and
affected constituencies of the'public
(See sections B. D, and E.I and Hj;
  2. Outline the SIP-transportation
revision process and decisionrnaking
structure and identify opportunities for
public input (section E.I and E.3);
  Identify and update, as necessary,
affected interests,  their issues of
concern, potential  impacts of
transportation control measures on each
interest, tuning and geographic coverage
of measures, sic. {section D. E2 and Gj;
  4. Identify key milestones and
decision points  in the SIP-transporlation
revision process, particularly regarding
I ho analysts, adoption and
implementation of TCMs (section E.4)
and identify specific techniques to
inform and involve the interested and
affected segments of the public at these
key points {section E.3 and 4);
  S. Describe procedures and
mechanisms to seek, consider and
respond to the views of the general
public and affected interest in
decisionrnaking (section E.3.  E.4 and
E.5);
  & Describe the role, responsibilities
and composition of a citizens' advisory
group (or groups) reflecting the affected
interest to be consulted on SfP-
transDortation revision decisions
throughout the process (sections D and
E.4);
  7. Describe a public education and
iaformalion strategy for producing
understandable, timely and readily
accessible information targeted at
affected interests, the general public and
elected officials at  key points in the
process (sections E.3 and E.4):
  8. Describe how  feedback on the
effectiveness of the overall public
information and involvement program
will be obtained, used and reported on
by the lead planning agency, include
evaluation criteria  on ihe effectiveness
of the public participation program
(section E.5. E.6. G and H);
  9. Identify funding sources and
commit resources needed to carry out a
effective program (section E.7). Identify
at least one staff member from the lead
planning agency or other responsible
agcMicies  to serve as prime public
participation coordinator and
information contact:
  10. Describe procedures to coordinate
activities of agencies and groups
conducting SIP public participation
activities (section 1);
   11. Describe section 175 agreements
for pass-through funding to citizens' or
public interest groups (section E.7 and
F).
G. Progress Reports
   Implementation of the public
participation work program should be
tracked and substantiated. The lead
planning agency must submit an
assessment of public information and
involvement tasks conducted during  the
preceding six-month period as part of its
section 175 progress report to EPA. This
assessment should neither be
voluminous not a substitute for the more
effective mechanism of direct staff
contact for demonstrating and
determining progress. It should at a
minimum, however:
  1. Briefly summarize and evaluate
work accomplished in conducting public
participation activities included in the
lead planning  agency's work program.
particularly noting those tasks
supported by section ITS funds;
  2. Briefly summarize major issues
raised by the public and the agency's
response to those issues;1
  3. Identify significant emerging issues
and previously unidentified but
potentially affected interests who need
to be  informed and involved, if any and;
  4. Briefly describe public information
and involvement activities to be carried
out over the next reporting period,
according to upcoming key milestones,
identified interests, and crucial issues.
  The semi-annual assessments should
be provided to EPA, to the general
public in a timely well-publicized
manner in convenient locations, and  to
interested and affected constituencies
through direct  distribution.

H. Performance Evaluation
  The effectiveness of a public
participation program is ultimately
demonstrated  by widespread public
understanding of the problem and a
consensus by responsible interests to
implement the most reasonable
solutions. The  public participation
program should be periodically
evaluated and refined.
  These Guidelines require the lead
planning agency, in consultation with
other responsible  agencies and interest
groups, to define the goals, objectives
and evaluation criteria of the public
participation program at the outset of
the process. Each  lead agency—in
  1 Examples of documentation that could be
siimmnrizod anA referenced include: recorded
minulwi of public hearings and advisory group
merlinys. summaries of public workshop sessions.
correspondence wilh citizens and special inJeres!
groups, information and media materials, public
comment logs: elc.
 consultation with other responsible
 agencies and interest groups—should
 use and report on these objectives -and
 criteria as the basis for periodically
 assessing the effectiveness of its
 program. In managing the section 175
 gram program EPA will use—and
 suggests that the lead agencies use—the
 following criteria or questions to
 evaluate performance. This evaluation
 should be conducted  semi-annually or
 more frequently if necessary.
   1. Have dear goals, objectives and
 evaluation criteria of the public
 participation program been defined? To
 what degree are tliey being met?
   2. Have all potentially affected aad
 interested segments of the public been
 identified and contacted regarding their
 role and concerns in the SIP revision
 process?
   3. Has timely information and data
 been provided to affected interests to
 allow intelligent comment on the issues
 and alternative measures?
   4. Have their concerns been
 communicated to and understood by the
 lead planning agency's staff and
 decisionmakers? Have the staff and
 decisionmakers responded to these
 concerns?
   5. Has this exchange ted to a  better
 understanding of the problem, the
 issues, and alternatives solutions? Has i1
 helped lead planning agencies to resolve
 conflicts with affected interests and
 reach agreement in  a  timely fashion on
 clear courses of action to attain and
 maintain the NAAQSs?
   6. Has there been an appropriate
 commitment of manpower and financial
 resources to the  public participation
 program? Has technical and financial
 assistance to citizen groups and/or
 citizen advisory  bodies been provided?
   7. Have the media and other
 information techniques been used
 effectively, resulting in greater public
 understanding of air quality problems
 and possible solutions?
   8. Have section 175 and  other funds
 been adequate—and used effectively—
 to educate, inform and involve the
 public and local elected officials?
 /. Provisions For Coordination
   Agencies  conducting air quality-
 related public participation programs
 are encouraged to coordinate efforts and
 combine resources to  decrease the costs
 and increase the effectiveness of their
 efforts. Hearings and other meetings
 should be held jointly for more than  one
 purposes or program under the Act
 where possible.
   Public participation activities funded
under section 105 (air grants to State
 and local-air pollution control agencies),
 section 175 (urban air quality planning

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                      Federal  Register /  Vol. 45, No. 122  /.Monday. June 23. I960  / Notices               42029
grants to organizations of local elected
officials) and with DOT planning funds
should be coordinated. Where States
and lead agencies conduct
complementary public information and
involvement efforts, the coordinated use
of staff and resources as well as joint
presentation of complex environmental,
transportation, and public health issues
is encouraged.2
  The responsible agencies should also
consider integrating air quality public
participation programs, where
appropriate, with other public
participation activities in related areas
(e.g., energy conservation, water quality,
transportation, etc.)
  Dated: May 1.1980.
David G. Hawkins,
Assistant Administrator for Air, Noise and
Radiation, Environmental Protection Agency.
  Dated: April 29,1980.
William B. Johnston,
Assistant Secretory for Policy and
Internationa! Affairs, Department of
Transportation.
|FR Doc 80-18646 Filed 6-20-80. 8:45 am)
BILLING CODE 6560-OI-M

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                                       COPY                    PN  175-80-04-23-006


                                    APR 23,  1980
SUBJECT:  Implementation of Executive Order 12185, Conservation
          of Petroleum and Natural Gas

FROM:     David G. Hawkins, Assistant Administrator
            for Air, Noise, and Radiation  (ANR-443)  [Original signed by]

TO:       Air and Hazardous Materials Division Directors, Regions
          I-X

BACKGROUND

     On December 17, 1979 President Carter signed Executive Order
12185, a copy of which is attached, encouraging the additional
conservation of petroleum and natural gas by recipients of
federal financial assistance.  An interagency effort coordinated
by White House staff was initiated to implement the order.

     On February 7, 1980 the Environmental Protection Agency
(EPA) and other federal agencies published in the Federal
Register (45 FR 8534) a list of federal assistance programs that
may offer opportunities for energy conservation.   Since that time
the White House coordinators have requested the identification of
changes in regulations and other actions to assure that the
assistance programs do contribute to energy conservation.  These
changes in regulations and other actions will  be announced in the
Federal Register in May 1980.

ENERGY CONSERVATION FROM EPA ASSISTANCE PROGRAMS

     The EPA response to the White House indicated that
administrative actions can be used to assure that energy
conservation is adequately considered by recipients of section
175 and 105 grants and that no changes in regulations are
necessary.   The actions that were identified for the two grant
programs are described below.

     I urge each of you to consider these and  other actions that
will  result in energy conservation when you negotiate grants with
state and local  governments.   I know that several  regional
offices have already identified energy conservation initiatives

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                                       -2-
in response to the March 13, 1980 memorandum from the
Administrator and Deputy Administrator.  If you have any
questions about the actions listed below, please -call Jerry
Kurtzweg at 755-0570.

SECTION 105 CONTROL AGENCY CRAFTS

     The annual EPA operating guidance already identifies a
number of energy related activities including:

     -  vehicle inspection and maintenance programs
     -  fuel conversions
     -  permitting of energy facilities

EPA headquarters staff will evaluate the portion of the agency
guidance setting priorities for section 105 grants to determine
whether any revised or supplementary guidance is necessary to
implement Executive Order 12185.  Any additional guidance
result from the evaluation will be sent to regional offices by
mid-May 1980.

     Energy conservation considerations will be incorporated in
the requirements for future state implementation plan revisions.
Additional emphasis will be placed on the requirement of section
172(b)(9) of the Clean Air Act for identification and analysis of
energy and other effects of plan revisions.

SECTION 175 URBAN AIR QUALITY PLANNING GRANTS

     Identification of the energy implications of air quality
plan elements was explicitly identified in the March 63 1980
Federal Register notice of funds availability as an activity
eligible for funding.  Regional offices should assure that the
work programs prepared by grant applicants adequately provide for
energy assessments.  Energy assessments should receive high
priority in allocating any discretionary funds that regional
offices may have.

Attachment

cc:  Ed Tuerk
     Walt Barber
     Steve Kuhrtz
     Chris Palmer
     Bob Fuhrman
     Air Branch Chiefs

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       UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                         WASHINGTON. O.C.  20460
                           JAN  15 ^80               PN  175-80-01-15-005
                                                            OPP1CS OP
                                                      AIR, NOISE. AND 5AOIATICN
SUBJECT:  Reconciliation of Population Prcjections in Revised
          State Implementation Plans

FRCM:     David Q. Hawkins, Assistant Administrator
            for Air, Noise, and Radiation (ANR-443)

TO:       Regional Administrators,  Regions I-X
     Among the criteria  included  in the Administrator's February
24, 1978 memorandum  for  approving 1979 state isiplementaticn plan
(SI?) revisions was  the  requirement that the growth rates en which
the plan is based be consistent with the growth rates used in
other federally administered planning programs.   Consistency among
the growth rates used  in programs for which the Environmental
Protection Agency (EPA)  is responsible is particularly essential.

     Responses to a  recent telephone survey indicate that seme
regional offices have  not compared the pcpulaticn projecticns on
which 1979 SIP revisions are bas^d with the population projections
used in water quality  management  or wastewater treatment facility
plans for the same area.  As a result, EPA. may be approving SIPs,
208 plans, and facility  plans  based en different population
projections.

     The SIP population  projecticns may also differ from those new
being submitted by states in response to the requirements of the
cost-effectiveness analysis guidelines published in September
1978.  These requirements include:

     9  State pcpulaticn projecticns must be consistent with
        projections  prepared for  EPA by the Bureau of Economic
        Analysis or  the  ^Regional  Administrator must approve a
        variance*

     0  States must  disaggregate-  pcpulaticn projections ancng
        designated 208 areas and  other substate  areas.   Air
        quality planning agencies  must be consulted in the
        disaggregation.  The deadline for submitting these
        projecticns  to EPA was October 1,  1979.

     0  208 projections  prepared  prior to June 26,  1978 may
        continue to  be used unless  the projecticns  exceed the
        state disaggregaticn for  the  area by more  than 10 percent.
        Where the 208 projection  exceeds  the 10 percent allowance,
        the 208 agency must lower its  projection and  submit the
        revised projection for stats  and  SPA approval.

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     0  Projections  for 208 and ether substate areas most be
        further disaggregated  among  wastawater treatment facility
        planning areas.

     Projections developed according to the cost-effectiveness
guidelines should ultimately be the  basis for all air and water
quality plans  that SPA approves.  Although the projections en
which the 1979 SIP sufcmittals  are based should have been
consistent with the  projections being used in water quality
management and facility plans, those projections have new been or
scon will be superseded by projections developed under the
cost-effectiveness guidelines.

     In an October 18, 1978 menccandum, Tom Jorling, former
Assistant Administrator for Water and Waste Management,  and I
indicated that the population  projections resulting from the
application of the cost-effectiveness guidelines should  be used in
preparing the SIP revisions due in 1982.   You are requested to
notify those states  that are granted extensions for attaining the
standards for ozone  and carbon monoxide that EPA. will require the
use of projections consistent  with those developed under the
cost-effectiveness guidelines  as  a condition for approval of their
1982, SIP revision.

     Earlier this month Chris  Beck and I requested an examination
of the population projections  used in the 1979 SIP revisions.
If you find in these examinations that a different population
projection was used  in the 1979 SIP  revision than wasr
submitted in response to the cost-effectiveness- guidelines, then
you should request that the state reconcile the projections within
the next 5-12 months.  Mechanisms such as section 105 and 175 air
quality planning grant conditions and state-SPA agreements should
be used to help bring the population projections into agreement.
Reconciling population projections is identified as an eligible
activity for funding in the Federal  Register notice that I signed
recently announcing  the second 525 million of section 175 funds.
Peconciling population projections is also included among the
first priority group of regional objectives/activities in the
draft Agency- guidance for FT 1981.

     In seme- instances, reconciliation of population projections
may result in 1979 SI? revision that provided for attainment in
1982 no longer being adequate  to meet, that deadline..  If you find
that the control measures in a SI? are inadequate to attain the
standards in 1982 due to a revised population projection, then the
governor should be notified to revise the SIP.

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                                                  PN  175-79-02-12-004

 UNITED STATES  ENVIRONMENTAL PROTECTION AGENCY
                   WASHINGTON, D.C.  20460

                       FEE 12, 1979
                                                      OFFICE OF
                                                AIR, NOISE. AND RADIATION
                           COPY

SUBJECT:  Regional Office Assistance in Expediting Headquarters
          Review of Section 175 Grant Applications

FROM:     Gary C.  Hawthorn, Chief       [original signed by]
          Transportation Policy Branch

THRU:     John 0.  Hidinger, Director
          Office of Transportation and Land
          Use Policy

MEMO TO: Air & Hazardous Materials Division
         Directors, Regions I-X
         Air & Hazardous Materials Branch
         Chiefs, Regions I-X
         Transportation Contacts, Regions I-X.

     1.  Background:  The DOT-ERA Interagency Agreement of
November 3, 1978 (see Appendix B of December 26, 1978 Federal
Register (FR) notice on Urban Air Quality Planning Grants) defines
the respective roles of EPA and UMTA in administering section  175
funds.  This memorandum does not modify the roles of EPA and UMTA
Regional Offices as  provided for in the Interagency Agreement.
Rather, this memorandum provides additional, clarifying information
on the specific roles of EPA and UMTA headquarters in the section 175
grants management  process.

     2.  UMTA's planning grant procedures require that all section
175 planning grants and work programs for large cities (with over one
million population) be reviewed by UMTA headquarters and signed by
the UMTA Administrator.  This required review by UMTA headquarters
can add approximately two to three weeks to the total time for grant
processing and approval.   In carrying out OTLUP's program responsi-
bilities, the Transportation Policy Branch will participate in — and
work to expedite -- this headquarters review.  My staff will review
the proposed scope of work and budget to insure conformity with the
current UPWP, the  EPA-DOT Transportation-Air Quality Planning
Guidelines, and the EPA-DOT Federal Register on Urban Air Quality
Planning.

     3.  EPA and UMTA Regional Offices can help expedite
headquarters' review by insuring that secition 175 grant applications
provide the information required in the December 26,  1978 FR notice.

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Lead agencies should be strongly encouraged to prepare the grant
application with the FR notice in hand.  The most expeditious
headquarters' review can be conducted when:

          (1)  The application explicitly provides information for
               each item required in section H, "Application
               Procedures."

          (2)  The eligible priority activities in section F are
               explicitly discussed and described in the UPHP (upon
               which the grant application is based) - Generally,  the
               initial grant falls into one of two categories:

                    (a)  where the initial grant application is for  a
                         multiple year work program of activities
                         leading to an approvable SIP, section  F
                         activities to be conducted during the  first
                         year should be described and costed in some
                         detail.   The remaining section F activities
                         to be undertaken in subsequent years should
                         be generally described and roughly costed.
                         Activities listed in section F that are
                         omitted in the application and those
                         included in the application but not con-
                         contained in section F should be discussed
                         in more detail.

                    (b)  where the initial grant is primarily for
                         development of a multiple year work program,
                         each section F activity need not be
                         discussed and described.   However, in  this
                         situation the second grant for a multiple
                         year work program of activities should
                         contain a discussion and description of each
                         section F measure as described in (a)
                         above.

Headquarters' review will  be lengthened considerably when this
required information is either missing or difficult to find.

     4.   When necessary, headquarters may also review work programs
and grant applications for smaller cities (with population less than
1,000,000) to insure conformity  with the UPWP, the EPA/DOT
Transportation/Air Quality Planning Guidelines, and the EPA/DOT
Federal  Register on Urban  Air Quality Planning.

     5.   Questions on this memorandum should be directed to either
Gary Hawthorn or Len Fleckenstein (755-0603).

cc:  David Hawkins
     Ed  Tuerk
     Walt Barber
     Steve Kuhrtz
     Jim Getzewich

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                                              PN 175-79-01-26-003

  UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                    WASHINGTON. D.C.  20460
                                                       OFFICE OF
                                                 AIR, NOISE, AND RADIATION
SUBJECT::   Public Involvement: ut the Air Quality-
           Transportation. Planning: Broceaa—Existing.
FROM:
MEMO TO:
John 0. Hidingerr Director,
Office of Transportation, and Land
Uses Policy

Air and Hazardous? Materials Division
Directors', Regions I-X
     Recently? we? requested that: each Region, designate a.
representative to a work, group? tec adviser OTLOP in producing: further*
guidance: om requirements foe public involvement: in the air
quality-transportation: planning; process'.  By now the designee*
should! have- received, notifications of the first: meeting- of thia-
groupv  Realistically a*  final product: front this* effort: cannot be?
expected; fbxr  several, months*^

     To: the interim* existing language? and intent contained in the
I9-7T (Heart Air Act  Amaodmentat outlining: State? and: metropolitan.
planning; organization: responsibilitie* for assuring: effective public
involvement should  be followed^.   This* memorandums serves- to summarize
and> underscore.-  the>  importance of" existing1 language in. light of
forthcoming: 3IF submission^, and Section: 17? grant applications..

Section: 175 Air* Quality  Planning- Grants-

     The* recent Federal  Register- notice/ of" December 26,  1978*
announced  eh& availability of urban- air quality planning, grants
under: section,-175- off th& Clean? Air Actv  The; notice indicated thac
additional guidancer detailing:, public participation requirements
applicable to section  175 grantees  waai being considered but would
not be completed  until mid-1979.  When, the  guidance is  completed by
the worfc. group (and produced  in  conjunction with the. Department

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of Transportation) compliance with  it  will be a condition for
subsequent approvals  for  all section 175 grantees.   Prior to
completion of the guidance, the  initial section 175 grants will be
conditioned upon compliance with the public information-
participation section, contained  in  the air quality-transportation
planning- process guidelines, of June, 1978 (see below).

     It should, be? reiterated that. both. DOT and 2PA. emphasize the
importance of: establishing; a> continuing, integrated process, ta carry
out: thes requireiamtss- o£ the Actr> In many areas* a significant
portions of the* available  sections 175 funds (perhaps* 10-30 percent)
cam be expected, to bet devoted-, to public, and. local, elected official
involvement,, am activity  identified, as a critical, eligible funding;
item*.  It i» essential, that: the: grant applicants not simp 17 discuss>
what: participation: activities are- desirable but detail havr- these-
groups are to be effectively informed and involved throughout all
phases* of* the planning process-,,

Air- Quality Transportation: Planning Process guidelines:

     The* joint: EPAHDOT guidelines* call for a commitment by the?
responsible agencies; to> am open,, yet integrated, process extensively
involving the? public, aes. well aw State  and local officials; in: the
expeditious development,  evaluation-, selection; and implementation! of
at comprehensive;- set ofZ reasonably- available: transportation, control
measures? Cas> necessary) ..   Public information: and invo-lvement, like:
the: planning; process* itself^ must be continuous^ and not a> one-time
occurrence^  It should: not dissipate nor- be allowed to wane- after
that initial public, hearings on.  the  January 1, 1979  SIP submission^

     That planning: process* guidelines specifically indicate; that ait
acceptable; public information: and involvement process should include
the*- following; Tirini.Tinmt; elements r

     1_  an; inventory of;  agency  programs and specific activities;
intended to inform and involve  the  public; and local elected
officials;

     2-  am inventory of?  special interest groups and important local
citizen*' groups* to be informed, and involvedr

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     3.  an assessment  of Che agencies'  programs and working
relationships with the  public, done- by an objective group  (this
should be done jointly  by the agency and a representative  group  of
public interests) focusing: upon: Cher quality of the-agency'a outreach
effort:,, its. responsiveness; to public, concerns, and its> effectiveness*
in? public involvement;:  amt

     4-.  the: development of; as program plait to-- correct: inadequacies*
andi deficiencies!, int the area* of public information? and:
consultation-
     In the: area, of public information: the program plan: should:
target: appropriate!! inforaiatioa Ccr affectedi agencies: and: interest:
groups* on:

          a.  the  magnitude of: the air- quality problem: and health
              impacts;

          bv  the*  inventory and assessment; of program* and. groups*
              involved;

          c_  the*  rationale* and stepst ins the planning; process^ andi

          iw  the*  transportation control measure* being* considered;
              including; their: costs and benefits:* etc-)..

Eas the; area: of- public- consultation, the guidelines state* that:
aechanisms*  should  ber developed and implemented: to* allow* the;  public
and: elected: officials? to> participate int all phases? of the integrated
planning; process including: Che* development and analysis-, of
alternative? transportation: improvements-.  Where; this  is-- not
occurring; the- guidelines1 recommended several way* in,  which adequate
representation? cant occurs

     The planning  process* guidelines* also? urge thac existing:
procedures  for public participation; ins the air quality
transportation! planning; process* be used; whenever- such procedures
achieve the objectives* of: adequate* and; effective public and  local
elected official involvement..  The exact: details of- the- public
information, and  consultation: program^ should be determined under  the
aegis- of the  designated: lead- planning agency by responsible  State,
regional and  local agencies ixr consultation with the  appropriate
citizens-' groups:.   The basic elements* of any program*  should  be
conducted by  the agency or group- most; capable to effectively carry
out the information and involvement tasks.

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SIP Transportation-Related Checklist

      On October 17, 1978; Assistant Administrator David Hawkins
transmitted a. checklist of requirements  to  be- used in the review of
the transportation- portions, o£ the; 1977  SIP submissions (September 21,.
1978) .   la the courser of SIB review* and.  approval Che affected
agencies)1  responsesr to* the* checklist: items*  noted below should be-
scrutinized: care-fully tot help determine  the> actual, integrity of the?
Statret' s» and: HBO'st public: information* andi participation: efforts.  Thet.
an',nimm» elements) and. requirements* discussed; above? should: be- covered inc.
the? following; items (as. numbered! ia thet  checklist) r

      5-  agency tasks* and responsibilities

      9*.   public and* local elected, official,  consultation:
          andi information: process;

    10..  financial and manpower resource needs;

    11.   SIP public hearing: and; resolution  of public concerns;.

    12..   progress* reporting! *n<£

    17 >  analysis* afj social economic,, environmental, impacts',, etc.

     Deficiencies* andv inadequacies^ should, be: noted, and. addressed.
before  the SIP canr bar approved.  A SIP submission or a, section 175
grant: applications which, only discusses? public involvement mechanisms:
without: evidencing; adequate? pub-lie,  local government: and State
legislative? involvement and. consultation; should: be considered
inadequate..

Coordination-, of SPA Activities*.

     Regional. Air Programs* and. Public Awareness* Offices are: urged  to?
coordinate- their- efforts* uc encouraging,   assisting; and evaluating
effectives public education: and. involvement:  in. planning, and.
implementations ofr ther- required, reasonably available  transportation-
control measuresv  OTLDP plans; to have: products from Che work: group-
disseminated, and; utilized' by both; OPA and. Air Programs! in their
activitie».   I. would like to stress? that we need  & concerted  effort
if we? are: to  avoid, the- pitfalls* o£ our earlier transportation
control planning!; efforts..

     Should you have comments or questions!  regarding  the public
involvement work  group  please contact BOJL Hbuck  alt 7TS 755-0853.

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cc:   Public Awareness Division Directors,
       Regions I-X
     Air Branch Chiefs, Regions I-X
     Fobliir Involvement Work; Group Members
     David 
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   \   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
   ?                     WASHINGTON. C.C. '20460
   *                                                 PN 175-78-10-10-002

                                                            OFFICE OF
                           ~ __                      AIR ANO WAS™ MANAGEMENT
                           OCi  10 1S78
SUBJECT:  Use of Uniform Population Projections in Air and Water
          Quality Planning

FROM:     David G. Hawkins,  Assistant Administrator ' n 7$^
            for Air, Noiserfand Radiation (ANR-443)
                  ^f    ]
          Thomas q, ;Tar«±ng7~Ass£stant Administrator
            for Water and Waste Management (WH-556)

TO:       Regional Administrators


    There have been a number of attempts in the past several years ta
encourage the use of the same population projections by air and vatar
quality planning programs encompassing the same substate arsas.   Despite
these attempts, different projections are still used in some areas.   In
addition, some of these projections appear unsupportable when compared
with state and national trends.

    On September 27, 1978, the Environmental Protection Agency (SPA)
published, as final regulations for the construction grants program,
guidelines for determining che population projections Co be used for
water quality programs.  Our two offices have agreed that the projections
determined using the guidelines should also be. used for air quality
programs.

    Briefly, the guidelines provide chat state projections must
coincide with projections developed for EPA by the Bureau of
Economic Analysis  (3EA).  States, in coordination with local govern-
ments, oust also disaggregate state totals among designated 208
areas, standard metropolitan statistical areas not included in
208 areas, and other appropriate substata units.

    Provisions are included in che guidelines fcr departures free the
state totals determined by 3EA and the subsequent substace
disaggregatioas.  Both che state totals and the disaggregations
aust be approved by Regional Administrators prior to
October 1, 1979.

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    One of the problems in. using population projections determined
according to the construction grants guidelines in air quality
programs is che seed for agreed upon substate projections in
early 1979.  We recognize that it will generally not be possible
to use the projections in. the air quality plan submittals due from
the states by January 1979.  However, many areas with violations
of photochemical osidant or carbon monoxide standards will be
requesting extensions for attaining the standards and will be
preparing a second submittal, due by July 1, 1982.  The analyses
on which the second round plan submissions will be based should
be initiated early in 1979 and be completed by July 1980.

    la. order that population projections, agreed upon by state and
local governments and acceptable to EPA, be available for use in
the air quality analyses initiated in early 1979, we request that
regional, offices urge states to give priority in determining substata
disaggragations to metropolitan areas requiring extensions for attaining
standards for photochemical oxidants and carbon monoxide.
By—giving priority to these areasr state and local governments should
be able to agree upon population projections in sufficient tine to
enable use of the projections in the air quality analyses.

     Other federal agencies are currently considering the use of
EPA's population disaggregation approach in federally sponsored
planning programs.  Thus, these procedures nay be used by chese
other programs as well.  We believe that EPA has an opportunity to
exercise a leadership role in the use of population projections
consistent among programs and urge your attention to this matter.

cc:  Barbara Blum

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o"°	
         UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                        WASHINGTON. D.C.  20460
                                                  PN 175-78-08-01-001

                                                     OFFICE OF
                                                AIR, NOISE, AND RADIATION
                        AUG   1  1978
   SUBJECT:  Determination of Emission  Reduction.
            Responsibilities

   FROM:     David  G.  Hawkins, Assistant Administrator-
               for  Air and Waste Management             j \ \

   TO:       Regional  Administrators,
            Regions I-X

       One  of  the  most important  changes  in the Clean Air
   Act  Amendments of 1977 is the emphasis  on the sharing of
   decisions on air pollution control programs among State
   and  local Governments.  An important test of how well
   this aspect  of intergovernmental  coordination, will work
   is the  determination of responsibilities in achieving the
   emission  reduction  necessary to attain  the national
   ambient air  quality standards.

       In past efforts towards developing Stats Implementation
   Plans,  the determination of emission reduction responsibilities
   has  been  a source of controversy.  In some cases States
   attempted to require local agencies  to  make up a large
   shortfall in the needed emission  reductions entirely through
   transportation control measures without examining whether
   other measures,  such as more stringent  emission limitations
   for  stationary sources might make up some of this shortfall.
   This created a "do  nothing" backlash on the part of local
   transportation agencies.

       A  potential, for the  same  sort of State requirements and
   local responses  exists  in the  current round of SIP revisions.
   I recommend  that you convey to  State and local officials
   the  need  to  establish a process of negotiation for the
   allocation of emission  reduction  responsibilities among the
   participants in  the SIP process.   This  process should be
   structured so that  neither, the. State dictates the magnitude
   of the  emissions reductions to  the local governments, nor~
   the  designated organization of  local elected officials
   simply  announces that emissions from the transportation sector
   can  be  only  reduced by  a  certain  amount.  Rather, the division
   of responsibility should  be a  negotiated orocess.

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     A key .element, in this process" is the review and. consent
by the designated. Local agency on the entire SIP submittal.
Such review is consistent with the intent of section 121 of
the Amendments and the regulations proposed by the Agency
in the May 18, 1978, Federal Register to implement that
section.

     The decision on the split in emission reduction
responsibilities will require periodic update.  The first
estimate made for the SIP submittal in January 1979 will
necessarily be rough.  However, efforts should be made to
improve the estimate as the analysis of packages of
transportation control alternatives oroceeds.  Additional
information on the effects of both stationary and mobile
source controls will enable better decision making.  A
firmer division of emission reduction responsibilities should
be made in July 1980 when the analysis of alternatives is
completed.

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                   SUBJECT  INDEX
ADOITIVITY  FACTOR
   PN172-78-08-16-005

ADMINISTRATOR'S MEMO
   PN110-78-02-24-QC2

ALABAMA PObER
   PN165-79-Q7-03-OQ3

ATTAINMENT  DATE POLICY
   PN110-80-07-15-C38

BACT
   PN165-78-12-22-C01
   PN165-79-01-1C-002

BUBBLE EQUIVALENCY  DEMO
   PN110-80-08-K-042

BUBBLE POLICY
   PN110-8G-02-25-027
   PN11P-80-03-12-031
   PN110-80-08-U-042

BUBBLE POLICY  111D
   PN11C-80-08-08-CK1

CARBON MON  CONT STRAT  DEMO
   PN172-79-02-21-013

CARBON MONOXIDE SIPS
   PN110-78-10-11-OD9

COATING FABRIC  CTG
   PN110-80-08-04-0*0

COATING PAPER  CTG
   PN110-80-08-04-04G

COATINGS AUTO  MANUFACTURING
   PN110-8G-07-31-Q39

COATINGS VOC
   PN172-8Q-09-03-03Q

COMPLIANCE  SCHEDULES  VOC
   PN172-78-11-03-011
CONDITIONAL APPROVALS
   PN110-79-07-02-017
   PN110-79-08-27-019
   PN110-79-12-11-024
   PN110-80-03-04-029

CONT STRAT  DEMO
   PN110-78-05-16-n05

CONT STRAT  DEMO  CO
   PN172-79-02-Z1-013

CONT STRAT  DEMO  GENERAL
   PNl26-78-03-t6-001

CONT STRAT  DEMO  OXIDANT
   PN172-78-03-10-002
   PN172-79-92-21-013

CTG AUTO MANUFACTURING  INDUSTRY
   PN11Q-80-07-31-039

CTG PRESUMPTIVE  PACT
   PN172-78-02-C2-001

CTGS
   PN11Q-79-09-17-02Q
   PN110-80-08-0*-0*0
   PN172-78-06-16-027
   PN172-80-D7-02-029

CUTBACK ASPHALT
   PN110-79-12-11-C24
   PN172-79-03-06-OU
   PN172-79-10-OA-021

DATA RQ'TS  OXIDANT
   PN172-79-11-U-D22
   PN172-80-01-17-024

DEGREASER COLD  CLEANER
   PN172-80-07-02-029

DEGREASER REGULATIONS
   PN172-79-12-12-023
   PN172-80-07-02-029

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DEPARTMENT OF TRANSPORTATION  US
   PN175-79-02-12-003
   PN175-8G-06-23-006
   PN176-80-06-12-C02

DESIGN VALUE OXIDANT
   PN172-78-08-16-OP5

DESIGN VALUES
   PN107-79-C6-12-OQ4

DESIGNATION COMMENT PERIOD
   PN1G7-78-03-24-OQ1

DESIGNATION CRITERIA
   PN110-7&-10-11-OQ9

DISPERSION DEP  CONT SYST
   PN4G6-78-04-2S-CQ1

EIGHTEEN: MONTH  EXTENSION
   PN110-79-08-23-019

EMISSION INVENTORIES
   PN11Q-7S-1Q-11-009

EMISSION MIX
   PNl75-7fc-08-CM-001

EMULSIFIED ASPHALT
   PN172-8G-01-23-025

ENERGY CONSERVATION
   PN175-80-CK-23-OC5

ENFORCEABILITY  OF PERMITS
   PN172-79-05-25-010

FUEL  SHORTAGES  ANALYSIS
   PN124-78-07-31-001

FUGITIVE DUST
   PN110-77-08-16-OC1
   PN110-78-10-11-009
   PN110-79-02-15-013
GRAPHIC ARTS CTG
   P.M10-80-08-04-n40

INHALABLE PART REGS
   PN110-78-09-11-008

INSPEC MAINT GENERAL
   PNl1G-78-07-17-n07
   PM10-79-02-21-OU

INSPEC MAINT GEO COVERAGE
   PN11Q-78-07-17-n07
   PN110-79-02-21-OU

INSPEC MAINT SCHEDULE
   PN11C-78-07-17-007
INTERNATIONAL POLLUTION
   PNl15-78-01-31-/:Q1
   PN1 1 5-78-C3-20-002

INTERSTATE EQUITY
   PNl26-78-03-16-nu1
   PN126-78-D7-26-002
   PN126-80-06-G8-003

LEAD EMISSIONS AUTOMOBILE
   PN11C-78-12-21-012
   PN110-79-C7-16-018

LEAD MONITORING
   PN110-79-11-21-C23

LEAD SIP ATTAINMENT  DATE
   PN110-80-06-12-C36

LEAD SIP CONTENT
   PN110-79-C6-U-C16

LEAD SOURCE ASSESSMENTS
   PN110-78-12-21-011

MALFUNCTION REGULATIONS
   PN110-80-OA-18-034

-------
METHYL CHLORIDE
   PN172-79-05-2I-Q15

METHYL CHLOROFORM REGULATIONS
   PN172-78-08-24-006

METHYLENE CHLORIDE
   PN172-79-35-21-015

MODELING BUBBLE
   PN110-8G-08-U-042

MODELING OXIDANT
   PN172-78-03-10-002
   PN172-79-11-U-022

MONITORING REGULATIONS
   PN110-79-1Q-02-022

MPO
   PN176-80-06-12-002

NAAQS REVISION
   PN110-7&-Q9-11-008

NEW SOURCE REVIEy
   PN110-77-08-16-001
   PN110-80-04-U-033

NEW SOURCES LEAD
   PN110-8G-04-08-Q32

NONTR ADITIONAL TSP  CONT
   PN110-80-02-27-028

NSPS
   PN110-80-02-25-027
   PN165-79-D1-10-002

OFFSETS EMFORCEABILITY
OFFSETS EXTERNAL
   PN110-80-OA-U-033

OFFSETS GENERAL
   PN110-78-10-11-009
   PN110-80-03-10-030
OFFSETS INTERNAL
   PN110-80-04-14-P33
   PN129-78-07-Q3-002

OFFSETS WAIVER
   PN129-77-1Q-26-001

OXIDANT CONT STRAT DEMO
   PN172-78-03-1P-002
   PN172-79-02-21-013

OXIDANT RURAL
   PN110-78-1C-11-009

OXIDANT SIPS
   PN110-78-10-11-009
   PN172-79-02-2.1-013
   PN172-79-05-21-015
   PN172-80-01-17-024
   PN172-80-07-01-028

PARTICULATE MATTER RACT
   PN110-78-06-29-006
   PN110-79-02-15-013
   PN110-80-02-01-026

PAY RQ'TS MAINTENANCE
   PN406-78-04-28-001

PERMIT ENFORCEABILITY
   PN172-79-05-25-016

PLAN RQ'TS, SECTION 111(0)
   PN11G-78-03-24-C03

POPULATION PROJECTIONS
   PN175-78-10-10-002
   PN175-8Q-01-15-004

POWEP PLANTS
   PN165-79-D1-10-002

POWER PLANTS COAL FIRED
   PN165-78-12-22-001

PRESUMED COMPLIANCE
   PN126-78-03-16-001

-------
PSD
   PN11>78-10-11-009


                  005
PSD APPLICABILITY
   PN165-8C-02-26
PSD PERMITS
   PN165-79-07-03-003
   PN165-8C-02-08-004

PUBLIC COMMENT
   PN11C-79-07-02-Q17
   PN11Q-79-09-17-02Q

PUBLIC HEARINGS
   PN110-79-12-11-Q24

PUBLIC PARTICIPATION
   PN110-79-10-02-022
   PN172-78-11-01-010
   PN175-8C-06-23-006

RACT PARTICULATE MATTER
   PN110-77-08-16-001
   PN11Q-78-06-29-Q06
   PN110-79-02-15-Q13
   PN110-80-02-01-026

RACT REGULATIONS
   PN110-78-10-11-009

REDESI6NATION CRITERIA
   PN107-78-10-18-C03
   PN107-79-06-12-OCK
   PN107-79-12-07-005
   PN11D-79-12-11-024
   PN110-79-12-28-025

REDESIGNATION PROCEDURES
   PN107-78-10-10-002

REGIONAL CONSISTENCY
   PN110-78-06-29-006
   PN126-78-03-16-001
RFP Ra'TS
   PNl71-79-05-18-?01

RURAL FUGITIVE  DUST
   PNT/J 0-79-02-15-01 3

SANCTIONS  FUNDING
   PN176-79-06-08-001

SANCTIONS  GROWTH
   PN176-79-06-08-001

SANCTIONS  INTERNATIONAL
   PN115-78-03-20-OQ2

SECONDARY  STANDARDS
   PN110-78-10-11-C09
   PN11G-79-09-21-021
   PN110-80-03-10-030

SECTION 111(0)  PLAN RQ'TS
   PN110-78-D3-24-003

SIP CRITERIA  MEMO
   PN110-78-02-24-002

SIP FORMAT
                                             PN110-80-09-25-rA3
                                             PN172-80-C7-01-028

                                          SIP GENERAL  PREAMBLE
                                             PN110-79-04-Q4-015
                                             PN110-79-07-02-017

                                          SIP REGULATORY  CONTINUITY
                                             PN172-78-09-11-007
                                             PN172-79-01-16-D12

                                          SIP RELAXATION
                                             PN110-79-12-28-D25
                                             PN110-80-06-12-035

                                          SIP REVI£W  TIME
                                             P-N 1-10-80-03-04-029
RFP
   PN110-78-10-11-009
   PN110-78-12-18-010

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SOLVENT CLEANING
   PN110-7S-10-11-009

SOLVENT EXEMPTIONS
   PN172-79-05-21-015

SOLVENT METAL CLEANING
   PN172-79-06-20-018

SOLVENT REACTIVITY
   PN172-79-05-25-017

SOURCE IMPACTS
   PN11C-79-12-28-025
   PN115-78-01-31-001

STACK HEIGHTS
   PM10-80-07-U-037

STAGE I CONTROLS
   PN110-79-12-11-024

START-UP/SHUTDOWN REGS
   PN110-80-CK-1&-034

STATE/LOCAL CONSULTATION
   PN172-76-11-01-01Q

STATIONARY VOC SOURCES
   PN172-7&-02-02-001

SULFUR DIOXIDE REVISIONS
   PN110-80-Q6-12-035

TANK TRUCKS GASOLINE
   PN172-78-06-16-027

TRANSPORT VALUES OXIDANT
   PN172-76-08-04-OQ4
   PN172-76-08-16-005
   PN172-78-10-26-009

TRANSPORTATION GRANTS
   PN175-79-02-12-003

TRANSPORTATION PLANNING
   PN172-78-Q6-U-026
TRANSPORTATION PLANS
   PN175-80-06-23-006
   PN176-80-06-12-002

UHTA
   PNl75-79-02-12-n03
   PN175-80-06-23-006

UNCLASSIFIED AREAS
   PN107-78-10-18-003

UNION ELECTRIC
   PN126-78-07-26-002

VARIANCE
   PN126-78-07-26-002

VOC COMPLIANCE SCHEDULES
   PN172-78-11-03-011

VOC COMPOUNDS
   PN172-79-05-25-Q17

VOC EMISSIONS INVENTORY
   PN172-78-03-10-002

VOC RACT
   PN110-79-09-17-D20
   PN129-78-07-C3-002
   PN172-78-08-2A-006
   PN172-79-08-21-019
   PN172-80-09-03-030

VOC RACT AUTOMOTIVE COATINGS
   PN172-78-10-06-008

voc RACT CRITERIA
   PN172-78-06-30-003
   PN172-78-08-OA-OOA

VOC RACT SCHEDULE
   PN172-79-08-22-020

VOC REGULATIONS
   PN172-79-03-06-PU

VOC SOURCES
   PN107-78-10-18-Q03

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                                                  O)





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Section 176: Limitations on Certain Federal

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Section 406: Savings Provision; Effective Dates
                                                   I
                                                   33
                                                   Ct>
                                                   (A

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Section 176: Limitations on Certain Federal Assistance
PN176-79-06-08-001
     IMPACT OF  CLEAN  AIR ACT NONATTAINWENT  SANCTIONS

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             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
\  Xl/. 3                     WASHINGTON, D.C.  20460
                                                             PN-176-79-06-08-001
                                   ..         «O7O                OFFICE OF
                                  JUN   O '^'9          AIR, NOISE. AND RADIATION


   SUBJECT:   Impact of Clean Air Act Nonattainment Sanctions

   FROM:      David G. Hawkins, Assistant Administrator"^*^
                for Air, Noise and Radiation (ANR443)   ^

   MEMO TO:   Regional Administrator, Regions I-X

        There is substantial concern and confusion over what will happen to
   new construction on July 1, 1979,  if States have not by then satisfied
   the State  Implementation Plan (SIP) requirements of Part D of Title I of
   the Clean  Air Act.  Regional Administrators should take action to inform
   the States and the concerned public that, although very few State plans
   will have  been approved by July 1, construction of major air pollution
   sources will not stop as of that date.   In addition, there will be no
   immediate  curtailment of State program grants or other Federal funds.
   In fact, I do not expect major disruptions of industrial or State
   activities where States are making reasonable and expeditious efforts
   toward submitting an approvable State Implementation Plan revision.

        This  memorandum sets forth Agency policy and procedures regarding
   the July 1,  1979 sanctions.  Three main  topics are addressed:
   Construction Prohibitions (permit processing, sources affected and geo-
   graphic applicability); SIP Approvals (area specific approval, conditional
   approval,  and area redesignation); and Federal Funding Sanctions (dis-
   cretionary aspects).

   Summary

        The imposition of the Clean Air Act sanctions depends on whether by
   July 1, 1979, a State has an approved State Implementation Plan that
   meets  the  requirements of Part D of the  Act.  The first step in this SIP
   approval process involves State development and submission of a State
   plan.  The EPA Regional Office then evaluates the submitted plan and
   publishes  in the Federal Register a proposal for final action on the
   State  plan.  This starts a 30-to-60-day  period for public comment.
   After  reviewing the comments, the EPA Administrator will take final
   action.  Final action will consist of one or a combination of the following
   actions:   approval of the nonattainment  plan as a whole, approval of the
   plan for specific areas, conditional approval of the plan, disapproval
   of the plan as a whole, or disapproval for specific areas.  Most States
   will not have  final approvals on July 1.  However, although the areas
   subject to sanctions are defined based on their status on July 1, the
   impact of  the  sanctions in those areas is not immediate.

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     The Act establishes two kinds of sanctions—new major source
construction sanctions and funding sanctions for Federal  programs and
facilities.  The construction prohibition sanction becomes applicable on
July 1, and remains in effect until  a final  Federal  Register notice is
issued approving or conditionally approving  the SIP for the area in
question.  The construction prohibition applies only to permits applied
for after June 30, 1979.  Because a  typical  permit requires approximately
three months for processing, it is unlikely  that this sanction would
have any impact until September or October 1979.  Also, although the
administrative process for Federal funding sanctions must begin on
July 1 for the Section 176 transportation and air pollution control
related funds, actual withholding will  not occur for at least
two to four months after July 1.  Any discretionary withholding of
sewage treatment construction funds  under Section 316 will not occur for
at least the same length of time.

Construction Prohibitions

     The Clean Air Act's prohibition against construction applies to a
major new or modified source for which a complete permit  application is
submitted to the permit review agency after  June 30, 1979.  Therefore,
any complete permit application postmarked or received on or before
June 30, 1979 will not be subject to any construction prohibition.*  The
permit review agency may process all such permit applications received
on or before June 30, 1979.  No source which receives such a permit and
which commences on a program of continuous construction will be subject
to the construction sanction.

     After June 30, 1979, sources may continue to submit  New Source
Review permit applications to the permit review agency.  The submission
of a permit application will enable  the review agency to  process the
permit so that administrative time is not lost while a State npnattainment
plan is being reviewed.  Because the administrative time  for reviewing a
major source can take three months or longer, in many cases, we expect
to have SIPs approved by the time the major source permit would itself
be ready for approval.  If any State intends to issue a permit to a
source to which the construction prohibition applies, the permit must
contain a condition which prohibits  construction until SIP approval is
obtained.  For a source to be able to construct as soon as a SIP is
approved, the permit conditions would have to be consistent with the
requirements that are eventually approved in the SIP.

     The EPA Regional Offices will continue to process and issue PSD
permits (under 40 CFR 52.21, Regulations for the Prevention of Significant
Deterioration of Air Quality) even while awaiting receipt or approval of
nonattainment SIP revisions.  A PSD permit is required whenever a major
  When an applicant can show a reasonable and good faith effort to
  submit all information necessary for permit issuance, the permitting
  authority may consider a substantially complete permit application
  as adequate to avoid the prohibition against construction.

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source, (defined for PSD purposes at 40 CFR 52.21(b)), impacts an area
with air quality better than NAAQS.  This affects sources both inside
and outside designated nonattainment areas.  When a PSD source will  be
subject to the Part D prohibition against construction the EPA-issued
PSD permit will be conditional.  A permit condition will be included
which will make the following statement:

     This source will significantly impact a nonattainment problem
     in an area currently designated as violating the National
     Ambient Air Quality Standard for 	, and for which
     the Clean Air Act currently prohibits construction of this
     source until a State submits and receives approval of a
     State Implementation Plan which meets the requirements of
     Part D of the Act.  This permit is issued conditional on
     your receipt of an appropriate State permit issued pursuant
     to regulations approved by the Administrator as meeting
     the requirements of Part D of the Clean Air Act.  Source
     construction is prohibited until the State Implementation
     Plan is approved by the Administrator as meeting such
     requirements for the nonattainment area that this source
     will impact.  You will be notified by mail when the necessary
     State regulations have been approved.

     The construction prohibition applies only to major sources as
defined in Section 302 of the Act.  Smaller sources are not affected.
Furthermore, the construction prohibition applies only to a source that
would be a major source or major modification for the specific pollutant
for.which the area was designated as a nonattainment area and for which
the plan remains inadequate.  For instance, a new plant which is a major
source of particulate matter only and which proposes to construct in a
designated sulfur dioxide nonattainment area is not affected by the
construction prohibition.

     The construction prohibition affects any major new or modified
source that would cause or contribute to a National Ambient Air Quality
Standard violation in the designated nonattainment area within the State
in which the source proposes to locate.  EPA believes that this prohibition
applies, as a matter of law, to sources whose permits are applied for
after June 30, 1979.  The Administrator is expected to publish a ruling
to this effect in the Federal Register in the near future.  A major
source that would cause a new NAAQS violation outside of a designated
nonattainment area or that would significantly contribute to a NAAQS
violation only in another State is subject to the Offset Interpretative
Ruling of January 15, 1979  (44 FR 3274) but is not subject to a construction
prohibition.

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     The Agency intends to propose, in the Federal  Register, that
the Part D prohibition on construction should apply equally for sources
outside designated nonattainment areas as it applies to a major source
locating inside a designated nonattainment area.  EPA will  also propose
that only sources with a significant impact on a violation be subject
to the construction prohibition.  A source will generally be considered
to contribute significantly to a NAAQS violation if its modeled impacts
exceed the significance levels found in the Offset  Interpretative Ruling
of January 16, 1979 (44 FR 3274, at 3283).  However, any major source of
a designated nonattainment pollutant that proposes  to locate at a site
already violating NAAQS within the designated nonattainment area is
presumed to contribute significantly to the violation without regard to
modeled impacts.  The rule would be proposed to apply to a new or modified
source if the permit application for the source is  submitted after
June 30, 1979.  The construction prohibition would  apply to any major
source outside a designated nonattainment area if the source would
significantly contribute to a NAAQS violation within a designated non-
attainment area.

State Implementation Plan Approvals

     Source specific and area specific impacts of the Part D sanctions
are discussed above.  This next section addresses Federal Register
actions that alleviate sanction imposition:  area specific SIP
approvals, conditional SIP approvals, and nonattainment area redesig-
nations.  First, however, a summary of relevant Federal Register actions
is appropriate.

     A list of nonattainment areas was published March 3, 1978 in the
Federal Register (43 FR 8962).  A number of modifications have been
made or proposed for changes to the initial listing.  SIP approvability
guidance was published in the Federal Register on May 19, 1978 (43 FR
21673) and February 9, 1979 (44 FR 831TJ7Th¥ General Preamble for
proposed rulemaking on the approval of plan revisions for nonattainment
areas was published April 4, 1979 (44 FR 20372).

     Once a State plan for a designated nonattainment area is approved
as meeting Part D requirements, the construction or funding sanctions
that would or may have taken effect after June 30,  1979 no longer apply.
The Agency will approve SIP revisions for any portion of the State or
nonattainment area where the revisions meet the requirements of
Part D of the Act.  Thus, a State plan submission for several desig-
nated nonattainment areas may be approved while plan development or

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approval may still be underway for other areas.  This would in effect be
an area specific approval  of the SIP, as revisions for other areas would
remain necessary.  Sanctions would only affect those areas for which the
plan remains inadequate.   Thus,  if there are three designated SO-?
nonattainment areas and SIP revisions are approved for two, the Part D
sanctions apply only with regard to the remaining nonattainment area.

     Where appropriate, the Agency intends to grant conditional approvals
of SIP revisions.  A SIP containing minor deficiencies will be approved
on the condition that the State submit corrections by a specified date.
A conditional approval would not result in sanctions unless the State
failed to submit corrections by the specified date, or unless the corrections
were ultimately determined to be inadequate. However, proposing in the
Federal Register to conditionally approve a SIP does not act to alleviate
Part D sanctions.  The required imposition of Part D sanctions ends only
with final SIP approval or conditional approval.  Conditional approval
will not be granted without strong assurance by the appropriate State
officials that the deficiences will be corrected.  The form of this
assurance may vary from State to State, but it must nevertheless represent
a commitment on the part of the State.  A conditional approval will
require specific schedules for correcting deficiences.

     Another mechanism that would act to alleviate the Part D sanctions
is that of revising a previous designation of nonattainment.  In developing
a SIP revision for a designated nonattainment area, the State may
determine that the existing designation is inappropriate. If this
occurs, the State may submit to EPA a revised designation with supporting
material.  Until EPA finds the revised designation acceptable and
promulgates it, the July 1 deadline for approval of a SIP revision
satisfying Part D, and the attendant sanctions, will continue to apply.
However, the SIP submittal may simply demonstrate that the standard is
attained and that no additional  emission reductions or preconstruction
review requirements need to be included in the SIP.  Also, a source is
exempt if in fact it would not cause or contribute to a violation,
regardless of the applicable designation.


Federal Funding Sanctions

     Air pollution control program grants, Federal highway funds, and
wastewater treatment facility grants do not immediately stop as of
July 1, 1979, where nonattainment SIP revisions have not been approved.
Required and authorized restrictions on grants and funds where SIPs are
inadequate are found in Sections 176(a) and 316 of the Act.

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     Federal funding limitations required by Section 176(a) will  only be
applied if the EPA finds after July 1, 1979, that the Governor has_not
submitted, or is not making reasonable efforts to submit, a SIP which
considers each of the elements required by Section 172 of the Act.  The
EPA is authorized to make the same finding with respect to the 1982  SIP
revisions required in areas that cannot attain National Ambient Air
Quality Standards by 1982.  In cases where a finding is made by EPA,
project approvals and grants authorized by Title 23 (Highways), United
States Code, and the Clean Air Act must be withheld from air quality
control regions where transportation control measures are needed to
attain NAAQS.  An exception to this Federal assistance limitation is
that safety, mass transit, and transportation improvement projects
related to air quality attainment or maintenance may be approved and
funded.

     EPA and the Department of Transportation (DOT) are preparing a
Federal Register notice proposing policy and procedures for applying
Federal assistance limitations in Section 176(a).  Public comment will
be invited and considered in finalizing the policy.  EPA will propose to
make case-by-case determinations of good faith efforts based on the
State's efforts to submit a SIP satisfying pertinent guidance issued by
EPA.  Negotiations with affected State and local agencies will precede
any decision to apply funding limitations.  EPA intends to propose
initial Section 176(a) findings between September 1 and October 31,  1979
in the Federal Register and invite public comment prior to promulgating
a final list of affected areas.  However, the funding limitations would
be effective on the date of publication of the proposed list.  Removal
of funding limitations will also be done through Federal Register
publication and an opportunity for public comment will be provided prior
to final action.

     Section 316 of the Act provides that the Administrator may condition,
restrict or withhold EPA grants for the construction of sewage treatment
works in any area where a SIP has not been approved or where the SIP
does not account for the direct or indirect emissions from the treatment
works.  Unlike the new source construction prohibition, the implementation
of any action pursuant to Section 316 is not mandatory on July 1, but is
at the discretion of the Administrator.  EPA is preparing a Federal
Register notice inviting public comment on the development of an administrative
mechanism to implement the provisions of Section 316.  The interim
policy for the implementation of Section 316, while revisions to existing
construction grant regulations are being completed, will be proposed in
July.  Further guidance on this matter will be forthcoming in the next
several weeks.

     Any decision to stop grant funding under any provision of the Act
will be made only after coordination among the Regional Office, Headquarters,
and affected State and local agencies.

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Federal Register Notice

     In order to assure thorough dissemination of Agency policy and
procedures regarding the requirements and impacts of Part D of the Act,
I am having this memorandum published in the Federal  Register.

cc:  The Administrator
     M. Durning
     J. Bernstein
     W. Barber
     Director, Air & Hazardous Materials Division, Regions IX

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CO
o
Q.

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Section 406: Savings Provision; Effective Dates
PK406-78-04-28-001
     MAINTENANCE  OF  PAY REQUIREMENTS

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                UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
     i 8 APR 1973
                                                                 PN-406-78-04-28-001
    Maintenance  of Pay Requirements         _
                                 -"?   .-'V-'cl
    Richard  G.  Rhoads , Director/'-' •'-"  •
    Control  Programs  Development  Division

    Director, Air and  Hazardous Materials  Division,  Regions  I,  III-X
T0:  Director, Environmental  Programs Division,  Region II

         This memo addresses the  tine  schedule  for States  to submit SIP revisions
    addressing maintenance  of pay requirements  as set forth  in  §  110(a)(6)  of the
    Clean Air Act, as  amended.  Section 406 of  the Act  indicates  that  unless
    otherwise provided, each SIP  must  incorporate new requirements within  one
    year of the passage of  the  Act,  or within nine months  of the  date  when  EPA
    promulgates  applicable  regulations in  40  CFR Part 51.  Since  we do not
    intend to promulgate regulations in Part  51, SIP revisions, where  appropriate,
    will be due in August,  197S--one year  from  the passage of  the Act.

         Maintenance  of pay requirements anply  only  to  SIPs  for which  compliance
    with the M/V.QS's  depends on the use of supplemental,  intermittent  or  other
    dispersion-dependent control  systems.   Furthermore, the  August  due date
    applies to those  applicable SIPs wlv'ch already  contain dispersion-dependent
    control  systems.   States that are  planning  to submit  provisions  for such
    control  systems as a SIP revision  should  concurrently  provide for  the main-
    tenance of pay requirements.

         States should be encouraged to meet  the August submittal date as required
    by the Act; however, some States may decide to withhold  maintenance of pay
    requirements until the 1979 SIP revisions are submitted.  While we do not
    encourage this delay, it would probably not be  prudent to  disapprove  a
    State plan if we  have been assured that an  adequate regulation  will be
    incorporated in a SIP revision by  January,  1979.

         You may wish to provide  States with  a  copy  of the following model
    regulation:

              Ncri-ferrous smelter owners or operators shall  not
         temporarily  reduce the pay of any employee  by  reason  of
         the use of supplemental  or intermittent or other dispersion-
         dependent control systems for the purpose  of meeting  the
         requi renients of orders under  section 113(d) or section
         119 of the Clean Air Act, as  amended.

    cc:  Branch Chiefs, Reaions I-X
  1320 4 iRrv. ] 761

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                  SUBJECT  INDEX
AD0ITIVIT* FACTOR
   PN172-76-08-16-005

ADMINISTRATOR'S MEMO
   PN110-78-02-24-Q02

ALABAMA POUEK
   PN165-79-07-03-003

BACT
   PN165-78-12-22-001
   PN165-79-01-TO-002

BUBBLE POLICY
   PN110-80-02-25-027
   PN110-80-03-12-031

CARBON WON CONT STRAT DEMO
   PN172-79-02-21-013

CARBON MONOXIDE SlPS
   PN110-78-10-11-009

COMPLIANCE SCHEDULES VOC
   PN172-78-11-03-011

CONDITIONAL APPROVALS
   PN110-79-07-02-017
   PN110-79-08-23-019
   PN110-79-12-11-024
   PN110-80-03-04-029

CONT STRAT DEMO
   PN110-78-05-16-005

CONT STRAT DEMO CO
   PN172-79-02-21-013

CONT STRAT DEMO GENERAL
   PN126-78-03-16-001

CONT STRAT DEMO OXIDANT
   PN172-78-03-10-002
   PN172-79-02-21-013

CT6 PRESUMPTIVE 8ACT
   PN172-78-02-02-001
CTG'S
   PN110-79-09-17-020

CUTBACK ASPHALT
   PWl10-79-12-1t-024
   PN 72-79-03-06-014
   PHt 72-79-10-04-021

DATA RQ'TS OXIDANT
   PM172-79-11-14-022
   PW172-80-01-17-024

DEGREASER REGULATIONS
   PN172-79-12-12-023

DESIGN VALUE OXIDANT
   PN172-78-08-16-005

DESIGN VALUES
   PN107-79-06-12-004

DESIGNATION COMMENT PERIOD
   PN107-78-03-24-001

DESIGNATION CRITERIA
   PN110-78-10-H-009

DISPERSION DEP CONT SVST
   PN406-78-04-28-D01

EIGHTEEN MONTH EXTENSION
   PN110-79-08-23-019

EMISSION INVENTORIES
   PNl10-r8-10-11-009

EMULSIFIED ASPHALT
   PN172-80-01-23-025

ENFORCEABILITV OF PERMITS
   PN172-79-05-25-016

FUEL SHORTAGES ANALYSIS
   PN124-78-07-31-P01

FUGITIVE DUST
   PN110-77-08-16-001
   PN110-78-10-11-009
   PN110-79-02-15-013

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1NHALABLE PART R£6S
   PN110-78-09-11-008

INSPEC SAINT GENERAL
   PN110-78-07-17-OG7
   PN110-79-02-21-OU

INSPEC MAIN! GEO COVERAGE
   PN110-78-07-17-007
   PN110-79-02-21-014

INSPEC WA1NT SCHEDULE
   PN110-78-07-17-007
   PNf 10-79-02-21-014

INTERNATIONAL POLLUTION
   PN115-78-01-31-001
   PW115-78-03-20-002

INTERSTATE EQUITY
   PN126-78-03-U-001
   PN12A-78-07-26-002
   PW126-80-06-08-003

LEAD EMISSIONS AUTOMOBILE
   PW110-78-12-21-01Z
   PN110-79-07-16-018
LEAD
   PW110-79-11-21-023

LEAD SIP CONTENT
   PW110-79-06-U-016

LEAD SOURCE ASSESSMENTS
   PN110-78-12-21-011

MALFUNCTION REGULATIONS
   PN110-80-CH-18-034

METHYL CHLORIDE
   PN172-79-05-21-015

METHYL CHLOROFORM REGULATIONS
   PN172-78-08-24-006
METHVLEWE CHLORIDE
   PN172-79-05-21-015

MODELING OMIDANT
   PK172-78-03-10-002
   PW172-79-11-U-022

MONITORING REGULATIONS
   PN110-79-10-02-022

NAAOS REVISION
   PN110-78-09-11-008

NEW SOURCE REVIEW
   PN110-77-08-16-001
   PN110-80-04-H-033

MEW SOURCES LEAD
   PN110-80-04-08-032

NONTRADITIONAL TSP CONT
   PN110-80-02-27-028

NSPS
   PN110-80-02-25-027
   PN165-79-01-10-002

OFFSETS ENFORCEABILITY
   PN110-80-04-K-033

OFFSETS EXTERNAL
   PW110-80-04-U-033

OFFSETS GENERAL
   PN11Q-78-10-11-009
   PN110-80-03-10-030

OFFSETS INTERNAL
   PN110-80-04-14-033
   PN129-78-07-03-002

OFFSETS WAIVER
   PN129-77-10-26-001

OX10ANT CONT STRAT DEMO
   PN172-78-03-10-002
   PN172-79-02-21-013

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OKIDANT RURAL
   PN11Q-78-10-11-009

OXIDANT SIPS
   PN1 1 0-78-1 0-11 -009
   PN172-79-P2-21-Q13
   PN172-79-05-21-015
   PN172-80-01-17-024

PARTICULATE MATTER  RACT
   PN1 10-78-06-29-006
   PN110-79-02-15-013
   PN110-8Q-02-01-026

PA* RQ'TS MAINTENANCE
   PN406-78-04-28-001

PERMIT ENFQRCEABILITt
   PN172-79-05-25-016

PLAN RQ'TS, SECTION  111(0)
   PN110-78-03-24-003

POWER PLANTS
   PN165-79-01 -10-002
      PLANTS COAL  FIRED
PRESUMED COMPLIANCE
   PN126-78-03-16-001

PSO
   PN110-78-10-11-009

PSD APPLICABILITY
   PN165-80-02-26-005

PSD PERMITS
   PN165-79-07-Q3-003
   PN 16 5-8 0-0 2 -08 -00*

PUBLIC COMMENT
   PN110-79-07-02-017
   PN110-79-09-17-020
PUBLIC HEARINGS
   PN110-79-12-11-024

PUBLIC PARTICIPATION
   PN110-79-10-02-022
   PN172-78-11-01-010

RACT PARTICULATE MATTER
   PHI10-77-08-16-001
   PN110-78-06-29-006
   PN110-79-02-15-013
   PN11 0-8 0-02-01-026

RACT REGULATIONS
   PN110-78-10-11-009

REOESI6NAT10N CRITERIA
   PN107-78-10-18-003
   PN107-79-06-12-004
   PN107-79-I2-Q7-005
   PN110-79-12-11-024
   PN110-79-12-28-025

REDESI6NATION PROCEDURES
   PN107-78-10-10-002

REGIONAL CONSISTENCY
   PN110-78-06-29-006
   PN126-78-03-16-001

RFP
   PN110-78-10-11-009
   PN110-78-12-18-010

flFP RO'TS
   PN171-79-05-18-001

RURAL FUGITIVE OUST
   PN110-79-02-15-013

SANCTIONS FUNDING
   PN176-79-06-08-001

SANCTIONS 6ROUTH
   PN176-79-06-08-001

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SANCTIONS INTERNATIONAL
   PN115-78-03-20-002

SECONDARY STANDARDS
   PN110-78-10-11-009
   PN110-79-09-21-021
   PN110-80-03-1Q-030

SECTION 111CD) PLAN RO'TS
   PN110-78-03-24-003

SIP CRITERIA MEMO
   PN110-78-02-24-002

SIP FORMAT
   PN110-78-03-24-004

SIP GENERAL PREAMBLE
   PN110-79-04-04-015
   PN110-79-07-Q2-017

SIP REGULATORY CONTINUITY
   PNl72-7a-09-11-007
   PN172-79-01-16-012

SIP RELAXATION
   PN110-79-12-28-02S

SIP REVIEW TIME
   PN110-80-03-04-029

SOLVENT CLEANING
   PN110-78-10-11-009

SOLVENT EXEMPTIONS
   PN172-79-05-21-015

SOLVENT METAL CLEANING
   PN172-79-06-20-018

SOLVENT REACTIVITY
   PN172-79-05-25-017

SOURCE IMPACTS
   PN110-79-12-28-025
   PN115-78-01-31-001
STAGE I CONTROLS
   PN110-79-12-11-024

START*UP/SHUTDOUN REGS
   PNtlO-80-04-18-034

STATE/LOCAL CONSULTATION
   PN172-78-11-01-010

STATIONARY VOC SOURCES
   PN172-78-02-02-001

TRANSPORT VALUES OXIDANT
   PN172-78-08-04-OOA
   PN172-78-08-16-005
   PN172-78-10-26-009

UNCLASSIFIED AREAS
   PN107-78-10-18-003

UNION ELECTRIC
   PN126-78-07-26-002

VARIANCE
   PN126-78-07-26-002

tfOC COMPLIANCE SCHEDULES
   PN172-78-11-03-011

VOC COMPOUNDS
   PN172-79-05-25-017

VOC EMISSIONS INVENTORY
   PN172-78-03-10-002

VOC RACT
   PN110-79-09-17-020
   PN129-78-07-03-002
   PN172-78-08-24-006
   PN172-79-08-21-019

VOC RACT AUTOMOTIVE COATINGS
   PN172-78-10-06-008

VOC RACT CRITERIA
   PN172-78-06-30-003
   PN172-78-08-OA-OOA

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WQC FACT SCHEDULE
   PPO7?-79-08 -22-020

voc REGULATIONS
   PN172-79-03-06-OU

VOC SOURCES
   PN107-78-10-18-003

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