&EPA
United States      Office of Radiation and EPA 402-B-00-001
Environmental Protection Indoor Air       August 2000
Agency
              Radiation
              Protection
              at  EPA

              The First 30 Years
                       ...Protecting People and the Environment

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                     TABLE OF CONTENTS
                                                                         age
INTRODUCTION                                                           i


AUTHORITIES AND RESPONSIBILITIES                                       3

The Formation of EPA: Reorganization Plan No. 3	3
      Functions Transferred to EPA	3
      EPA's Radiation Protection Responsibilities 	4
           Functions Transferred from FtEW-BRH	4
           Functions Transferred from AEC  	4
           Functions Transferred from FRC	5

New Radiation Protection Authorities                                           5

Radiation Protection at Other Federal Agencies  	6

Summary	6


PROGRAM ACTIVITIES                                                     7

Federal Guidance                                                           7
      Presidential Federal Guidance	8
           Underground Mining of Uranium Ore	8
           Diagnostic X-Rays	8
           Occupational Exposure 	10
           Exposure of the General Public	11
      Federal Guidance Reports 	11
      NAS Reports 	13

Nuclear Fuel Cycle Standards and Regulations                                   14
      The Uranium Fuel Cycle 	14
      Uranium and Thorium Mill Tailings	17
      Low-Level Wastes	19
           Ocean Disposal 	19
           Land Disposal  	20
           Low-Activity Mixed Wastes  	21

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       Spent Nuclear Fuel, High-Level, and Transuranic Wastes  	22
             Spent Nuclear Fuel, High-Level and Transuranic Radioactive Wastes
             Management and Disposal	23
             Deep Geologic Repositories	25
                   Waste Isolation Pilot Plant	26
                   Yucca Mountain, Nevada	28

Environmental Standards	30
       Drinking Water  	30
             Radionuclides Other than Radon	30
             Radon	32
       Hazardous Air Pollutants	33
       Technologically Enhanced Naturally Occurring Radioactive Materials  	35
             Environmental Regulations	36
             Indoor Radon Exposure in Florida	39
       Cleanup Rule	40
       Superfund Program 	42

Emergency Response	45
       Radiological Emergency Response  	45
             Three Mile Island - Emergency Response at the Cross Roads  	45
             Radiological Emergency Response Plan	46
             Chernobyl - An International Incident	47
             Lost and Abandoned Radiation Sources 	48
       Radiological Emergency Preparedness  	48
             Protective Action Guides	48
             Working with International Organizations  	49
             Counterterrorism  	50
       Environmental Radiation Ambient Monitoring System  	51

APPENDICES

Appendix A:  Statutory Authorities, Executive Orders, and Other Reference Documents  .... 53
Appendix B:  Federal Agency Radiation Responsibilities	61
Appendix C:  Acronyms	63
Appendix D:  Organizational History	67
Appendix E:  References 	69
                                          11

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                      ACKNOWLEDGMENTS
This report was prepared by Jacolyn Dziuban in EPA's Office of Radiation and Indoor Air (ORIA)
within EPA's Office of Air and Radiation. Numerous EPA staff contributed to this report.  ORIA
thanks the following ORIA staff members who contributed to this report: Marcia Carpentier, Mary
Clark, Raymond Clark, Jim Cumberland, Mark Doehnert, Gene Durman, Jonathan Edwards, Betsy
Forinash, Ann Gile, Bonnie Gitlin, Ben Hull, Miles Kahn, John Karhnak, Deborah Kopsick, Mary
Kruger,  Ritchey  Lyman, Cheryl Malina, Scott Monroe,  Chris Nelson, Neal Nelson, Dennis
O'Connor, Jerry  Puskin, Julie Rosenberg, Renelle Rae, Lowell Ralston, Loren  Setlow, Glenna
Shields,  Sharon White, Kung Wei-Yeh, and Anthony Wolbarst. In addition, thank you to Richard
Graham and Milt Lammering of EPA Region 8 for contributing to this report. Thank you also to the
following staff from EPA laboratories who contributed to this report: Greg Dempsey (R&IENL),
Rhonda Sears (NAREL), Edwin Sensintaffar (NAREL), and Mike Smith (NAREL). Contributions
were also made by Al Colli and Joe Logsdon, former EPA employees.

ORIA appreciates the substantial contributions made by: Allan Richardson (former EPA employee)
to the Nuclear Standards and Regulations chapter and the Federal Guidance section; Jim Gruhlke
to the Low-Level Waste section; Ken Czyscinski to the Yucca Mountain section; Anita Schmidt to
the Radon in Drinking Water section; W. Craig Conklin to the Emergency Response chapter; and
Keith Matthews (OGC) for the time and valuable insights he provided during the development of
this document.

ORIA recognizes the valuable contributions made by TechLaw under U. S. EPA Contract No. 68-D5-
0174.

This report was prepared with the support of SciComm, Inc. under U.S. EPA Contract No. 68-D7-
0062.
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               IV

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                              INTRODUCTION
This report describes key accomplishments and program activities during the first thirty years of the
U.S. Environmental Protection Agency's (EPA) involvement in radiation protection. It is limited
however to activities carried out by the current Radiation Protection Division l (RPD) of the Office
of Radiation and Indoor Air (ORIA) within the Office of Air and Radiation (OAR) and its earlier
organizational formulations.   This report provides the context for EPA's key actions and the
practical impact of these actions. It does not provide an in-depth policy or scientific discussion;
rather, it is intended to introduce Agency staff and other interested parties to historical information
on this topic.

The Agency's involvement in radiation protection has both a legal and historical foundation. To
better understand the origin of EPA's radiation protection activities, the first part of this  report,
Authorities and Responsibilities, describes the historical basis.  It begins with a description of the
ongoing radiation protection activities transferred to EPA when it was established in 1970, and
continues with information on the statutes that have been enacted over the past 30 years that provide
additional radiation protection authorities and responsibilities to EPA.  The second part of this report,
Program Activities,  provides information on key EPA radiation protection activities carried out in
response to these responsibilities, and highlights significant precedents for radiation protection
established by these activities.
1 Both ORIA (and RPD) have been reorganized several times, resulting in many different program names and
acronyms. To avoid confusion, this report recognizes all radiation protection work as having been done under RPD
auspices.

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        AUTHORITIES AND RESPONSIBILITIES
This  section  reviews  the  environmental
protection  authorities and  responsibilities
transferred to EPA when it was established in
1970, provides information on the statutes that
have been enacted over the past 30 years, and
the  radiation protection responsibilities  of
other Federal agencies.


The Formation of EPA:

Reorganization Plan No. 3

EPA was formed at the direction of President
Nixon  under Reorganization Plan No.  3,
which became law on December 2, 1970. The
White House Press Release, dated July 9,
1970, described  the need to form EPA  as
follows:

   As  concern with the condition of our
   physical environment has intensified, it
   has become increasingly clear that we
   need  to know  more about the   total
   environment - land, water and air. It also
   has become increasingly clear that only by
   reorganizing our federal efforts can we
   develop  that knowledge,  and effectively
   ensure the protection, development and
   enhancement of the total  environment
   itself.

   The   Government's  environmentally-
   related activities have grown up piece-
   meal over the years. The time has come to
   organize   them  rationally   and
   systematically.  As a major step in this
   direction, I am transmitting  today two
   reorganization plans: one to establish an
   Environmental Protection Agency and one
   to establish  within  the  Department  of
   Commerce,  a  National  Oceanic  and
   A tmospheric Administration. [ 1 ]

Reorganization Plan No. 3 consolidated the
environmental protection functions of several
departments  and  agencies  into the newly
formed EPA.  EPA was generally provided
research, monitoring, standard setting, and
enforcement authorities  for each category of
pollutant. However, the transfer of radiation
protection responsibilities to EPA was more
limited than that of other pollutants, in that the
authority   for  enforcement  of  radiation
standards was retained by the Atomic Energy
Commission  (AEC).  EPA would later gain
enforcement  authority for the regulation of
some  radioactive  materials under certain
environmental statutes.

Functions Transferred to EPA

Selected functions performed by the following
Federal agencies and their components were
transferred to the newly formed EPA under
Reorganization Plan No. 3:

Department of the Interior (DOT)
   •  Federal Water Quality Administration
      (FWQA)
   •  Research on the effects of pesticides on
      fish  and wildlife

Department of Health, Education and Welfare
(HEW)
   •  National Air Pollution Control Admin-
      istration (NAPCA)
   •  Bureau of Solid  Waste Management
      (BSWM)
   •  Bureau of Water Hygiene (BWH)
   •  Bureau of Radiological Health (BRH)

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   •  Pesticide research tolerance setting

Department of Agriculture (USD A)
   •  Pesticide registration under the Federal
      Insecticide, Fungicide, andRodenticide
      Act (FIFRA)

Executive Office of the President
   •  Federal Radiation Council (FRC)
   •  Atomic Energy Commission (AEC)
      environmental radiation standard setting
   •  Council on Environmental Quality (CEQ)
      research on ecological systems  [2]

EPA's Radiation Protection
Responsibilities

Prior to the formation of EPA, radiation
protection  standard  setting  and guidance
development authorities  were  housed  in
different organizations within the Executive
Office of the President and various Federal
agencies in the executive branch. In  forming
EPA, the authors of Reorganization Plan No.
3  created  a  new national  approach  for
protecting the general public from the harmful
exposure to radiation.  Two key radiation
protection functions would now be housed in
a  single  agency  -  the  promulgation  of
generally applicable environmental standards
to limit man-made radioactive materials in the
environment, and the development of national
radiation protection guidance for Federal and
State agencies to follow in the development of
their  radiation  protection  programs   and
regulations. Along with these responsibilities,
EPA  was provided extensive research  and
surveillance  capabilities  to  support  the
development  of  national  guidance   and
standards, as well as the authority to provide
technical assistance to the States.
This section discusses both the legal and the
historical foundation of the radiation protec-
tion  functions  transferred to EPA.   The
authors of Reorganization Plan No. 3 explic-
itly stated that the term "functions" referred to
an organization's statutory authority as well as
its "duties, responsibilities, and activities." [3]

Functions Transferred from HEW-BRH
Several functions vested  in the Bureau  of
Radiological Health under the Public Health
Service Act (PHSA) were transferred to EPA,
including  a  broad authority  to  conduct  or
promote research, investigations, experiments,
demonstrations,  and studies relating to the
causes, diagnoses, treatments, control, and
prevention of  diseases.    EPA  also  was
transferred BRH's  "primary responsibility
within the executive branch for the collection,
analysis, and interpretation of data on environ-
mental radiation levels"  along with  three
laboratories.  The functions transferred  to
EPA  from  BRH  include  the  following:
development of Protective Action Guides;
routine and special surveillance; monitoring,
research, and  development;  environmental
impact analysis and evaluation; and adminis-
trative and service support, including training.
[4]

Under Reorganization Plan  No.  3,  BRH
retained the responsibility to regulate radiation
from  consumer  products and certain  non-
regulatory functions pertaining to medical and
occupational exposures to  radiation.   BRH
also retained the research, technical assistance,
and training related to these responsibilities. [2]

Functions Transferred from AEC
Under Reorganization Plan No. 3, EPA was
transferred the functions of the Atomic Energy
Commission,   administered   through  its
Division of Radiation Protect on Standards "to

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the extent  that such  functions consist  of
establishing   generally  applicable
environmental standards for the protection of
the general  environment from  radioactive
material." [2] Under the AEA, these standards
were defined as "limits on radiation exposures
or levels, or concentrations  or quantities  of
radioactive material, in the general environ-
ment outside the boundaries of locations under
the control  of persons possessing or using
radioactive material." [2]  The AEC (and later
the Nuclear Regulatory Commission) retained
the  responsibility  for  implementing  and
enforcing these standards. This AEC author-
ity applies only to exposures resulting from
radionuclides from the nuclear  fuel cycle.

Functions Transferred from FRC
In 1959, the Federal Radiation Council (FRC)
was  established by  Executive Order (EO)
10831 and was given the authority under the
Atomic Energy Act (AEA) to develop Federal
guidance. Soon after,  Congress provided  an
identical statutory basis for the FRC. Reorga-
nization Plan No. 3 abolished the FRC and  its
functions and authorities  were  transferred to
EPA.   This included the  FRC's primary
function to "advise the President with respect
to radiation matters directly  or indirectly
affecting health,  including guidance  for  all
Federal  agencies in  the  formulation   of
radiation standards and in the  establishment
and  execution of programs of cooperation
with States." [2,5]


New Radiation

Protection Authorities

Subsequent to  the formation of EPA, Con-
gress enacted several new statutes providing
EPA with the authority to regulate hazardous
materials in specific environmental  media.
Through the enactment of these new statutes,
most notably the Clean Air Act (CAA); the
Safe Drinking Water Act (SOWA); and the
Comprehensive   Environmental  Response,
Compensation, and Liability Act (CERCLA),
the scope of EPA's radiological protection
authorities expanded.  EPA became responsi-
ble for regulating both chemical and certain
radiological hazards under the same legislative
requirements.  As a result of these changes,
EPA was faced  with the challenge of estab-
lishing standards and regulations for radiation
that were  consistent with its standards and
regulations for chemical carcinogens.2  (See
Appendix A  "Statutory Authorities"  for a
summary of statutes providing authorities for
EPA's radiation protection activities.)


Radiation  Protection at

Other Federal Agencies

Several Federal  agencies have  significant
radiation protection responsibilities, including
EPA, the Department of Energy (DOE), the
Nuclear Regulatory Commission (NRC), the
Department of Defense (DoD), the Depart-
ment of Health and Human Services (DHHS),
the Department of Labor (DOL), the Depart-
ment  of Transportation (DOT),   and  the
Federal Emergency  Management Agency
(FEMA). The overall responsibilities of these
organizations are described in Appendix B.
2 For an extended analysis of EPA's resolution of the
conflicts between the Agency's regulatory policies
for chemicals and historical radiation protection
policy, see "Regulation of Radiological and Chemical
Carcinogens: Current Steps Toward Risk
Harmonization." [6]

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Summary
Reorganization Plan No. 3 provided EPA with
considerable authorities  and responsibilities
for the development of the Agency's radiation
protection program. For the first time,  the
national radiation protection guidance setting
authority  and the environmental  standard
setting authority were housed  in  a single
agency.   The authorities transferred to EPA
from the FRC, when combined with those of
the BRH, gave EPA wide-ranging authority to
promote, conduct, or contract for any research
to  provide  needed  radiation  protection
information.

In addition, EPA was transferred authority under
the PHSA to provide technical assistance to the
States  and other  Federal  agencies having
radiation protection programs, and to provide
emergency assistance  in responding to radio-
logical emergencies.

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                      PROGRAM ACTIVITIES
This  section  discusses  EPA's  radiation
protection activities from 1970 to 2000 within
the following four program areas:

Federal Guidance describes Presidential and
Federal  radiation  protection  guidance  and
supporting EPA technical reports.

Nuclear  Fuel  Cycle   Standards  and
Regulations  describes  EPA's  regulatory
program developed under the authority of the
AEA  and related  statutes. These  standards
generally apply to source, special nuclear, or
byproduct material as defined by the AEA of
1954,  as amended.

Environmental Standards describes media-
specific  (e.g.  air,  water, etc.)  standards
developed under a variety of environmental
statutes  that apply  to  both  chemical  and
radioactive contaminants.

Emergency  Response  describes  technical
support  and  guidance developed in compli-
ance with the FEMA regulations.

Each of these program areas are discussed in
detail  below. First  an initial  background
paragraph is provided  giving the general
context for EPA's actions, then the discussion
of each program area contains following sub-
sections:

Legislative Authority describes the author-
izing statute and statutory purpose.

Internal/External Triggers describes the reason
for RPD's action.

EPA  Actions describes RPD's  actions to
address the problem.

Impact of EPA Actions describes how RPD' s
actions affected other Federal agencies, other
program areas within EPA, and the inter-
national radiation protection community.


Federal Guidance

                  The authority to develop
                  Federal  guidance was
                  one of the primary radia-
                  tion protection authori-
                  ties  transferred to EPA
                  when it was formed in
                  1970.   The purpose of
this guidance is to provide a common frame-
work for all Federal agencies  to follow to
ensure that  the regulation of exposure to
radiation  is  carried out in an  adequately
protective and consistent manner. It is used by
Federal agencies as the basis for developing
and  implementing their own  regulatory
standards.  There are two kinds of  Federal
guidance publications:

   •  Presidential  Federal   Guidance
      provides   principles  and   basic
      standards for Federal and State radia-
      tion protection programs.  This guid-
      ance  is developed by EPA and ap-
      proved by the President.

   •  Federal Guidance provides  current
      scientific and technical information for
      radiation dose and risk  assessment.
      This  guidance is issued by EPA to
      support the implementation of  Federal
      and State radiation protection programs.

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From 1960 to 1970, the FRC issued three
Presidential Federal guidance documents and
eight Federal  guidance reports.   These
documents, for the first time, provided broad
guidance to Federal agencies for protection of
the general public from  radiation, and  for
workers exposed to radiation in the work-
place.

Since 1970, EPA has developed four Presi-
dential Federal guidance documents. Two of
these replaced guidance developed by the FRC
for workers,  one  provided  guidance   for
medical uses of radiation  -  an area  not
previously addressed by  Federal guidance -
and the last provided guidance for the general
population  and is still  awaiting final action.
EPA has developed five Federal guidance
reports,  including one multi-agency report,
and sponsored seven studies by the National
Academy  of Sciences  (NAS) under  this
authority.  These reports  are discussed in the
following subsections.

Presidential Federal Guidance

Underground Mining of Uranium Ore

Legislative Authority
The  AEA and  Reorganization Plan No. 3
provide  EPA the authority to "...advise the
President with respect to radiation matters
directly  or  indirectly   affecting  health,
including guidance for all Federal agencies in
the formulation of radiation  standards and in
the establishment and execution of programs
of cooperation  with  States." [2]   EPA  is
authorized  to consult with  the National
Academy of Sciences, the National Council on
Radiation Protection and Measurements, and
other  experts  in   carrying  out   this
responsibility.
Internal/External Triggers
In the 1960s, the FRC noted an increase in
lung cancer  among underground  uranium
miners  in  the  U.S.  associated  with the
inhalation of radioactive materials.  The FRC
conducted a study of the problem, and in 1967
reported  the  results in Federal  Guidance
Report No. 8, Guidance for the Control of
Radiation Hazards in Uranium Mining. [7]
Based  on  that  study,  in  1969  the  FRC
proposed   recommendations   for  miners,
including   a  threefold  reduction in  the
maximum annual radiation exposure to radon
and  its  decay  products   for miners  in
underground uranium mines.

EPA Actions
After an  extensive review  of  available
scientific and epidemiological information on
radiation induced lung cancer, EPA concluded
that the recommendations of the FRC should
not be  modified. On July  9,  1971,  EPA
finalized  the   guidance,   recommending
standards for the protection of underground
uranium miners.  [8] EPA's primary objective
was to protect miners from radiation induced
lung  cancer.    In  recommending  these
standards, EPA considered the protection of
the health  of  uranium miners,  technical
feasibility  of  achieving various  levels  of
exposure, and the economic  impact

Impact of EPA Actions
This was the first time occupational standards
were recommended  for Federal agencies to
incorporate into their regulations that limited
the exposures  of uranium  miners to the
harmful exposures to radiation.

Diagnostic X-Rays

Legislative  Authority
See above.

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Internal/External Triggers
Although the beneficial uses of diagnostic x-
rays were well recognized, by the 1960s there
was a  growing  concern  among medical
practitioners, medical physicists,  and other
scientists concerned with radiation protection
that medical  uses  of ionizing radiation
represented a significant and growing source
of exposure for the U.S. population. Medical
exposures to radiation were not controlled by
guidance, regulation,  or law. [9]

In 1970, at the request of the FRC, the NAS
initiated a study on the health  effects of
exposure to  low levels of radiation.  (Later
that year, the responsibilities  of the FRC,
including the sponsorship of this study, were
transferred to EPA.)    In their  1972  report,
The Effects on Populations of Exposure to
Low Levels of Ionizing Radiation, the NAS
noted that  "...medical diagnostic radiology
accounts for at least  90% of the total man-
made radiation  dose  to  which  the U.S.
population is  exposed."   The Committee
recommended that medical radiation exposure
be  reduced by limiting its use  to clinically
indicated procedures, using efficient exposure
techniques and optimal operation of radiation
equipment. [10]

EPA Actions
To address these recommendations, on July 5,
1974, EPA formed an Interagency Working
Group on Medical Radiation.  The Working
Group issued two reports for public comment,
and on  January  18,  1977,  EPA  published
proposed recommendations. [11] As a part of
this process,  EPA  also  entered  into a
Memorandum of Understanding (MOU) with
the Department  of Health,  Education and
Welfare (HEW) defining the responsibilities
of the two agencies for the development of
Federal  guidance on medical uses of radiation.
This MOU provided that either agency could
develop   recommendations,   with  EPA
primarily responsible for broad guidance and
HEW primarily responsible for implementing
guidance.  However, EPA was responsible for
the final  review of all  Federal  guidance.
Consistent with this  agreement,  EPA and
HEW developed its final recommendations on
Radiation Protection  Guidance to Federal
Agencies for Diagnostic XRays, approved by
President Carter and published in the Federal
Register on February 1, 1978. [9]

Impact of EPA Actions
The 1978  guidance was the first to provide a
framework for the development of radiation
protection programs for diagnostic uses of x-
rays in medicine. It introduced into Federal
guidance the concepts of:

    •   Medical x-ray studies should only be
       conducted   to   obtain  diagnostic
       information (i.e., studies were for the
       benefit of the patient, and not under-
       taken for other purposes);

    •   Routine screening exams should be
       limited to those that  have a demon-
       strated beneficial yield compared to
       the radiation risk;

    •   Exams  of pregnant  or  potentially
       pregnant patients  should  consider
       possible fetal exposure;

    •   Operators of diagnostic equipment
       should meet or exceed requirements of
       established  credentialing  organiza-
       tions; and

    •   Specified standard x-ray exams should
       satisfy maximum numerical exposure
       criteria.

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This  guidance  provided  the  basis  for
subsequent legislation that gave HEW both
the authority  and the  charge to develop
regulations  to  implement  most  of  these
recommendations.

Occupational Exposure

Legislative Authority
See above (page 8).

Internal/External Triggers
Occupational exposure to ionizing radiation in
the United States is governed by regulations
established by a wide variety of Federal and
State agencies.  To assure uniform protection
of  workers,  the  framework  for   these
regulations is set out in Federal guidance.

In 1974, EPA  began an evaluation  of the
magnitude and extent of worker exposure to
radiation in the United States. EPA published
reports in  1980 and again in 1984 providing
comprehensive  reviews of the numbers and
exposures of workers for the years 1960 to
1980, with projections  to  the year  1985.
These reports demonstrated that the number of
workers   exposed  to  ionizing  radiation
increased significantly since Federal radiation
protection guidance for occupational exposure
was first issued in 1960, and was continuing to
increase.  The average exposure of workers,
however, was decreasing. The mean annual
dose to potentially exposed workers decreased
by a factor of two between 1960 and 1985. [12]

EPA Actions
EPA began its review of radiation protection
guidance for workers by establishing a Federal
interagency committee.  Final recommenda-
tions for increased protect on of U.S. workers,
Radiation Protection Guidance to Federal
Agencies for Occupational Exposure., were
approved by President Reagan and published
on  January  27,  1987.  [13]  This guidance
replaced the Federal guidance  signed by
President Eisenhower and published by the
FRC in  1960.

Impact of EPA Actions
EPA's new Federal guidance for occupational
exposure made a number of major changes in
the protection of workers, including:

    •   Reducing the annual limit from 12
       rem to 5 rem;

    •   Replacing   the   "critical  organ"
       approach to  radiation limits  (that
       limited only  the  dose to the  most
       exposed organ) with limits based on
       the sum of risks to all exposed organs
       through   the  introduction of the
       "effective  dose  equivalent"  as the
       relevant dose quantity;

    •   Requiring   summing  internal   and
       external doses in assessing confor-
       mance with dose limits;

    •   Introducing the use of the "committed
       dose" to account for future exposure
       from radionuclides  retained in the
       body;

    •   Limiting exposure of the fetus through
       lowered limits, on both a monthly and
       an annual basis, for declared pregnant
       workers,  and requiring that this be
       achieved  in  a  non-discriminatory
       manner;

    •   Requiring application of the "as low as
       reasonably  achievable"   (ALARA)
       principle  to collective,  as well as
       individual, doses;
                                           10

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   •   Requiring education of workers on the
       risks from radiation, and that workers
       be given access to annual records of
       their exposure and dose commitments;
       and

   •   Introducing the concept of "adminis-
       trative control levels" below the limits
       for  use in  the  great  majority of
       situations involving radiation exposure
       that do not warrant use of the full
       exposure limits.

These  recommendations  have  been imple-
mented by  essentially all Federal and  State
agencies.

Exposure of the General Public

Legislative  Authority
See above (page 8).

Internal/External Triggers
In  1960,   the   FRC   issued   its   first
recommendations, which established limits for
exposure of the public, and included an annual
limit of 500 mrem to the whole body and a 5
rem limit over 30 years to the gonads. During
the years following EPA's creation in 1970,
the Agency decided to concentrate its energies
on establishing more protective limits for the
most important specific kinds of exposure
sources, such as the nuclear power industry
and sources of emissions to air, rather than on
revising the 1960 FRC general guidance on
limits for members of the public. All of these
environmental radiation standards, as well as
the corresponding risk levels involved in the
Agency's standards for other pollutants, were
much lower than the 1960 FRC limits.  In
addition, new reviews of radiation risks by the
NAS   found  that  radiation  risks  were
significantly higher than had been assumed by
the FRC in 1960.  By 1986, it had become
apparent that the  old  FRC  limits  were
anachronisms that should be addressed.

EPA Actions
In 1986, EPA began a long series of meetings
with the eleven Federal agencies that have
responsibilities for controlling exposure of the
public,  and with  representatives of  State
radiation control  programs.   By 1993, in
cooperation  with  these  agencies  and the
States, EPA developed draft recommendations
for new Federal guidance to replace the old
1960  FRC guidance  for members of the
public.  EPA  proposed  Federal Radiation
Protection  Guidance for Exposure of the
General Public in 1994. [14]  The proposed
guidance  contained the following  major
changes: it reduced the former limits to a
single limit of 1 mSv/y, and limited its use to
that of a cap on the sum of exposure from all
man-made sources of exposure; it introduced
the use  of source-related limits (e.g., those
already  established under the environmental
statutes) as the primary  basis  for control of
exposure; and it  replaced use of dose to
critical organs with effective dose and the use
of committed dose.

During  the period  following publication of
these  recommendations, EPA  conducted
extensive negotiations but  was unable to
resolve the outstanding issues.

Federal Guidance Reports

Legislative Authority
See above (page 8).

Internal/External Triggers
To implement radiation  protection guidance
on standards and regulations for radionuclides
and for sources of x-ray and gamma external
                                          11

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radiation, it is necessary to relate dose and risk
to quantities of radioactivity in the environ-
ment through various exposure pathways, and
to the intensity of external radiation sources.
Prior to EPA's formation, there were only a
few incomplete sources of Federally approved
technical  information  available  for  these
purposes.

EPA Actions
Since the mid-1980s, EPA has published five
Federal guidance  reports on  a variety  of
technical matters to provide Federal and State
agencies dose and risk information for use in
the development and implementation of their
radiation protection programs.

Federal Guidance Technical Report No. 9,
Radiation Protection Guidance for Diagnostic
X Rays. This report, prepared in cooperation
with an Interagency Working  Group on
Medical Radiation, provides the basis for the
Radiation Protection  Guidance to Federal
Agencies for Diagnostic XRays. [15]

Federal Guidance Technical Report No. 10,
The Radioactivity Concentration Guides. This
report  presents  numerical values  for the
concentrations of radioactivity in  air and
water,  corresponding to the limiting annual
doses recommended for workers in  1960. [16]

Federal Guidance Technical Report No. 11,
Limiting Values of Radionuclide Intake and
Air  Concentration and Dose Conversion
Factors for  Inhalation, Submersion, and
Ingestion.    This  report  provides derived
guides (limiting values) of radionuclide intake
and  air concentration for control of occupa-
tional exposure that are consistent  with 1987
Federal radiation protection guidance.  The
derived  guides   serve  as  the   basis  for
regulations  setting upper  bounds on  the
inhalation and ingestion of, and submersion
in,  radioactive  materials in the workplace.
The report also includes tables of exposure-to-
dose conversion factors for general  use in
assessing average individual committed doses
in any population that is adequately character-
ized by Reference Man. Thi s report supercedes
Federal Guidance Report No. 10. [17]

Federal Guidance Technical Report No. 12,
External Exposure to Radionuclides  in Air,
Water, and Soil. This report provides tables
of exposure-to-dose  conversion factors for
external exposure to photons and electrons
emitted by radionuclides in air, water, and
soil.  It is intended  to  be  a companion to
Federal Guidance Report No. 11 (see above).
The dose coefficients for exposure to external
radiation are intended for the use of Federal
agencies in calculating the dose equivalent to
organs and tissues of the body. Dose  coeffi-
cients for air submersion in Report No.  12
update those given in Report No. 11. [18]

Federal Guidance Technical Report No. 13,
Cancer Risk Coefficients for Environmental
Exposure  to Radionuclides.   This  report
provides, for the first time, comprehensive
tables  of  health risks due to  ingestion,
inhalation,  external exposure, or submersion
for over 800 different radionuclides.  It uses
nationally  accepted  biokinetic  models  to
incorporate age-, gender-, and organ-specific
intakes and risks to determine lifetime cancer
risks. [19]

Impact of EPA Actions
Federal  Guidance Technical Report No. 11,
Limiting Values of Radionuclide Intake and
Air  Concentration  and Dose  Conversion
Factors for  Inhalation, Submersion,  and
Ingestion,   has been  adopted by Federal
agencies and the States as the standard source
                                           12

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for calculating radiation doses from radio-
nuclides in the human body.

Federal Guidance Technical Report No. 12,
External Exposure to Radionuclides in Air,
Water, and Soil, is used by Federal and State
agencies and others as the standard source for
exposure-to-dose   conversion  factors  for
external exposure of human  from  radiation
and radionuclides in air, water, and soil.

Federal Guidance Technical Report No. 13,
Cancer Risk Coefficients for Environmental
Exposure  to  Radionuclides   is   used by
Federal and State organizations to assess risks
from   exposure to radionuclides in a wide
variety of applications.   These range from
environmental  impact analyses of specific
sites to the general analyses that support
rulemaking.

NAS Reports

In support of all Federal and  State  radiation
protection activities, EPA has sponsored seven
major  reviews of  radiation  risks  by  the
National   Academy  of  Sciences-National
Research Council (NAS-NRC) during the past
30 years under its Federal guidance authority.
Most of these studies have been carried out by
the NAS-NRC  Committee on the Biological
Effects of Ionizing Radiation (BEIR). Four of
these reviews, the BEIR Reports I, II, V, and
the in-progress BEIR YE Report, address low
level effects of radiation in general, and two of
these reviews,  BEIR IV and VI,  deal  with
more specialized risk assessments for alpha-
emitting   radionuclides   and  for  radon,
respectively.  BEIR  n addressed the use of
cost/benefit  analysis   in  radiation  risk
management. [10,20,21,22,23, 24]

Taken together, the NAS BEIR reports are the
United   States'   most  authoritative  and
comprehensive source of reliable information
and opinion on the health effects of exposure
to radiation.
                                           13

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Nuclear Fuel Cycle

Standards and

Regulations

Prior  to  the formation of EPA, radiation
protection activities for the nuclear industry
were primarily the responsibility of the AEC.
The  AEC  was  charged,  under  the  1954
amendments of the AEA, to both promote
peaceful uses of nuclear energy and regulate
the nuclear industry.   With the passage of
time,  the dual  role of the AEC as  both
regulator and advocate of the use  of atomic
energy came into question.

In 1970, under Reorganization Plan No. 3, the
responsibility to develop Federal guidance and
establish  generally applicable environmental
standards  for  radioactive  materials   was
transferred  from the  AEC  to  the  EPA;
however, AEC  retained its responsibilities to
simultaneously  promote and regulate the
nuclear industry.  The controversy surround-
ing this dual role reached its height  during the
Arab  oil  embargo and the energy crisis of
1973-74.  Additional  factors included the
growth of the nuclear industry; an increasingly
active anti-nuclear movement;  and growing
concern among citizens groups,   Congress,
and   scientists  about  the  perceived
environmental threat from reliance on nuclear
energy. In 1974, Congress passed the Energy
Reorganization Act (ERA), which abolished
the   AEC  and  split   its  remaining
responsibilities among  two new entities: the
Nuclear Regulatory Commission (NRC) and
the Energy, Research and Development Ad-
ministration (ERDA). The AEC's authority to
regulate civilian nuclear power operations was
transferred to the NRC, and AEC's responsi-
bilities for producing nuclear weapons and
promoting peaceful uses of atomic energy
were transferred to ERDA, which became
DOE in 1977.

Under  the AEA and subsequently enacted
nuclear  statutes,  EPA   developed   a
comprehensive set of  standards  addressing
environmental issues for all  phases of the
uranium  fuel  cycle,  including:  uranium
milling; chemical conversion; fuel fabrication
and reprocessing; power plant  operations;
waste management, storage, and disposal; and
site cleanup  for milling operations. These
standards apply to exposures due to releases of
radioactive   material   into   the  accessible
environment. Implementing agencies (primar-
ily EPA,  NRC, and DOE) incorporate them
into  their site-specific or  facility-specific
regulations, which promotes consistency in
radiation  protection.

Under the WIPP Land Withdrawal Act (WIPP
LWA), EPA developed a facility-specific
regulation for the Waste Isolation Pilot Plant
(WIPP) that certifies the facility to open and
accept  transuranic radioactive waste.   The
Agency  also proposed  a  facility-specific
standard for Yucca Mountain.

The Uranium Fuel Cycle
(40 CFR Part 190)
                 From  the late  1950s
                 through the early 1970s,
                 nuclear  power  emerged
                 as a significant source of
                 energy  for the United
                 States.    By the   late
                 1960s,   it   became
                 apparent,  to  both  the
public  and the Federal  government, that the
growing industry supporting nuclear power -
the production,  management, and use  of
uranium fuel - could pose a significant risk to
                                         14

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the environment and public health. In 1970,
seventeen  nuclear  power  plants  were  in
operation, forty- nine were under construction,
and  an additional  forty-eight were in the
planning stage. These 114 plants were to be
located in  twenty-nine States  and were
expected to provide over 85 million kilowatts
of electric  generating capacity.   The AEC
estimated nuclear power would generate 150
million kilowatts by 1980  and one billion
kilowatts by the year 2000.  These expecta-
tions have not been met, however, and today
there are only about 100 commercial nuclear
power plants in operation.

Legislative Authority
The AEA provides EPA the broad authority to
develop generally applicable environmental
radiation standards. [25]

Internal/External Triggers
As the technology to generate electricity using
nuclear energy became more sophisticated
and widespread, concern over potential public
health  and   environmental  impacts   of
radioactive materials  also  increased.  The
fission of nuclear fuel  was a fairly recent
discovery, and as a consequence the health
and  environmental implications were only
beginning to be understood.  At the time this
standard  was   developed,   environmental
contamination resulting from  the  nuclear
power industry was minimal.  Therefore, the
opportunity and  the  challenge  existed  to
manage future growth  of this industry in a
preventive,  rather  than  remedial,  context,
which is the best situation for environmental
protection.

EPA Actions
On  August  13,  1973,   EPA developed
proposed standards for nuclear power plants
that set separate exposure and release limits
for the three classes  of facilities  in  the
uranium  fuel cycle:  fuel supply operations
(e.g.,  uranium  mills, chemical processing,
isotopic enrichment, and fuel  fabrication),
light   water  reactor   plants,  and  fuel
reprocessing plants.  The AEC challenged
EPA's legal authority to set these standards,
arguing that standards for separate classes of
facilities  in the fuel cycle  encroached  on
AEC's authority to license and regulate such
facilities individually, and that such standards
were not "generally applicable" standards.

This dispute was referred to President Nixon,
who asked the Office  of Management and
Budget (OMB) to further clarify the responsi-
bilities of the EPA and AEC.  The decision
was defined in a memorandum  from Roy L.
Ash, Director of the  Office of Management
and Budget, dated December 7, 1973. [26]
Although  OMB supported AEC's position
against separate standards  for classes  of
facilities within a given industry, it confirmed
that EPA  could  set   different  generally
applicable environmental standards for broad
classes of activities, such as the uranium fuel
cycle, taken as a whole.

Based on this OMB decision, EPA revised its
approach  and in 1975  proposed standards
applicable to normal  operations of the entire
uranium fuel cycle. This approach included
four basic considerations: the total radiation
dose to populations; the maximum dose to
individuals;  the  risk  of  health   effects
attributable  to  these doses,  including  the
future risks arising from the release of long-
lived radionuclides to the environment; and
the effectiveness and costs of the technology
available to mitigate these risks. [27]

On January  13, 1977, the uranium fuel cycle
standard was promulgated at 40 CFR Part 190.
                                           15

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This two-part standard, entitled Environmen-
tal Radiation Protection for Nuclear Power
Operations, sets generally applicable environ-
mental limits for the entire uranium fuel cycle.
The first part limits individual exposures from
planned discharges of radioactive materials,
and the  second part addresses population
exposure  and  buildup  of  environmental
burdens  by limiting discharges of certain
long-lived radionuclides. [28] These were the
first U.S. radiation standards to be based on
explicit estimates  of the associated health
risks,  and  contain provisions that limit the
total impact on health in populations.  The
latter  provisions,  which required severely
limiting  emissions  of  certain  long-lived
radionuclides, were based on the calculation
of a new radiation protection quantity, the
"environmental  dose  commitment."  [29]
Calculation of population dose commitments
has since become a standard  part of risk
assessments for environmental impact state-
ments,   rulemakings,  and  international
assessments of radiation doses, such as those
prepared by  the United Nations Scientific
Committee  on  the Effects  of  Atomic
Radiation (UNSCEAR).

The uranium fuel  cycle standard does not
apply to mining operations, transportation of
radioactive  material,  or  waste  disposal
operations.   These  activities  are regulated
under subsequent standards. Nuclear power
generation   from  recycled  plutonium  or
thorium  was excluded  from  this standard
because  sufficient   operating   data   and
experience  with fuel cycles utilizing these
fuels were  not available at the time.  These
activities are also regulated under subsequent
standards.

Impact of EPA Actions
The uranium fuel  cycle standards  had the
following critical impacts on the regulation of
radiological contamination:

       These were the first  U.S.  radiation
       standards  to be based on explicit
       estimates of individual health risks,
       and to contain provisions that limit the
       total impact on health in populations.
       They  address  both  discharges  of
       radioactive  materials  into   the
       environment and the accumulation of
       long-lived   materials   by  limiting
       discharges   of  certain  long-lived
       radionuclides.

   •   The standards  set  a  precedent for
       setting limits that take into account
       both individual exposures and general
       population exposures.

   •   These standards set generally applica-
       ble environmental limits for the entire
       uranium fuel cycle, applicable to areas
       outside the boundaries of those facili-
       ties.

   •   NRC   later   selected  the   same
       individual exposure levels  for  their
       low-level waste requirements (10 CFR
       Part 61).

   •   The i ssuance of the Ash Memorandum
       in 1973 clearly defined the roles of
       both EPA and the AEC in the regula-
       tion of nuclear fuel facilities.  The
       directive set the future direction of
       RPD rulemaking.
                                           16

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Uranium and Thorium Mill
Tailings
(40 CFR Parts 192 and 61)

                 In the 1940s, the U.S. gov-
                 ernment began to purchase
                 uranium for defense pur-
                 poses.    To   meet  the
                 demand,    the uranium
                 milling industry began to
           1      generate large quantities
of uranium mill tailings, the waste byproduct
of  the  extraction of  uranium  from  ore
("yellowcake  production"). This sand-like
material, produced predominantly in the West,
was stored in surface impoundments (piles)
amounting to thousands of tons of waste and
covering up hundreds of acres of land.

Historically, uranium mill tailings were not
covered under the AEA since  they were not
considered to  be hazardous.   They were,
however,  highly   contaminated   with
radionuclides, particularly  radium-226, and
heavy metals such as arsenic,  molybdenum,
and selenium.

With the passage of Uranium Mill Tailings
Radiation Control Act (UMTRCA), uranium
and thorium mill tailings were for the first
time subject to regulation under the AEA.

Legislative Authority
Section  275 of  the AEA, as amended  by
Section  206 of UMTRCA (1978), directed
EPA to set generally applicable  health and
environmental   standards  to  govern  the
stabilization, restoration, disposal, and control
of effluents and emissions at both active and
inactive mill tailings sites. [30]

The Clean Air Act Amendments (CAAA) of
1979  gave EPA  the  authority  to  develop
National Emission Standards for Hazardous
Air  Pollutants  (NESHAPs),   including
radionuclides.

Internal/External Triggers
Prior to the 1970s, uranium mill  tailings had
been removed from storage piles and used in
construction and soil conditioning. During the
late 1970s, the lack of controls over uranium
mill tailings piles  was identified as a major
health risk, particularly in the West. Elevated
levels  of indoor  radon gas and gamma
radiation were found in western communities
where housing developers had used uranium
mill tailings for fill material, road construction
aggregate, and other purposes. The associated
long-term health risks to families living in
these  homes (termed "vicinity  properties")
were high enough to warrant cleanup actions.

The source of the  radiation exposure hazard
from tailings piles lasts for tens of thousands
of years.   Some of the non-radioactive toxic
chemicals persist indefinitely, along with their
potential  to contaminate groundwater.  The
tailings, therefore, posed both an immediate
threat to human health and a very long-term
threat of  extensive environmental  contam-
ination if allowed to disperse through human
misuse or by natural forces.

To address these problems, Congress passed
UMTRCA. EPA initially developed standards
for the regulation of uranium and thorium mill
tailings under UMTRCA. Subsequently, EPA
developed additional standards for the regula-
tion  of mill tailings to meet the statutory
requirements of the CAAA. Ultimately, EPA
amended the UMTRCA standards to incorpo-
rate these additional limitations  required by
the CAA.  (See Hazardous  Air Pollutants
section on page  33)
                                          17

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EPA Actions
On January 5, 1983, EPA issued 40 CFRPart
192, Standards for Remedial Actions at Inac-
tive Uranium Processing Sites  (the Title  I
sites).   These standards were developed to
govern the stabilization and cleanup of ura-
nium mill tailings at the twenty-four inactive
sites designated under Section 102(a)(l) of
UMTRCA and at associated vicinity proper-
ties. [32]

On October 7, 1983, EPA issued Environ-
mental Standards for Uranium and Thorium
Mill Tailings at Licensed Commercial Pro-
cessing Sites (the Title U sites). This standard
governs the stabilization and control of by-
product materials (primarily mill tailings) at
commercial uranium and thorium processing
sites licensed by the NRC or the States under
Title II of UMTRCA.   The standards  for
disposal require stabilization of the tailings
and separate ground water limits. [33]

Standards  for both  Title I and Title U sites
were subsequently challenged in the Tenth
Circuit Court of Appeals by  several parties.
The Court upheld all  aspects of the rules,
except the ground  water provisions of the
Title I  regulations.

On September 24, 1987, EPA proposed new
standards  to replace those that had been re-
manded.  [34] On January 11,  1995,  EPA
issued  final ground water standards for the
Title I sites. [35] These ground water stan-
dards were essentially identical to existing
RCRA requirements but with a precedent-
setting new provision - the regulation, for the
first time,  permitted the use  of institutional
controls under specified conditions to meet the
ground  water criteria.   This resulted in a
reduction in the cost of compliance by a factor
of two, at  no increase in risk to health.
The  Title I and  U standards address both
cleanup and disposal. The disposal standards
deal with the long-term control of radium and
hazardous chemicals in uranium and thorium
tailings piles. In light of the long half-life of
radium (1,600 years),  EPA's  primary objec-
tive for the disposal standards was to isolate
and stabilize the piles to prevent the release of
radon, misuse  of tailings  by humans,  and
dispersal by  natural forces for  the  longest
feasible period of time,  which the Agency
decided was 1,000 years, or at a minimum 200
years. The standards generally limit emissions
of radon from the piles to a lifetime individual
risk of 1Q-4.

A distinguishing  characteristic of these  dis-
posal standards is that they apply to the perfor-
mance of the disposal facility for an unprece-
dented time period of 1,000  years.  Active
institutional controls are to be implemented in
perpetuity to  ensure the disposal facilities
continue to perform as designed.

In 1989, EPA promulgated additional stan-
dards, under the authority of the CAAA, at 40
CFR Part 61 Subpart T for inactive Title I and
II uranium mill tailings sites,  and at Subpart
W for operational Title U uranium mill tail-
ings  sites.  Issues that  these  standards ad-
dressed that the UMTRCA  standards did not
include are: establishing compliance schedules
to ensure a timely closure of the tailings piles;
ensuring the standard would be met within a
reasonable  period  of  time;  and  requiring
monitoring to verify initial  compliance with
the radon flux standard.

After promulgating Subpart T, EPA received
petitions for reconsideration from NRC  and
the industry, arguing that there was an overlap
between EPA's UMTRCA regulations  and
Subpart T of the radionuclide NESHAP. [36]
                                            18

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EPA worked closely with these stakeholders
to resolve the issues. In October 1991, EPA,
NRC, and the relevant NRC Agreement States
entered into a MOU to resolve the deficiencies
in compliance with EPA's Title IIUMTRCA
standards that had led to the promulgation of
Subpart T. As a result, in 1993 EPA amended
the UMTRCA standards and NRC amended
their implementing regulations to address the
above  deficiencies.  Subsequently, EPA re-
scinded Subpart T. [37,38]

Impact of EPA Actions
UMTRCA and the uranium and thorium mill
tailings standards set important precedents:

   •   These standards provided the basis for
       DOE's  program  for  protection  of
       human health and the environment at
       inactive uranium mill tailings sites and
       vicinity properties.  There are twenty-
       four inactive uranium sites designated
       as Title I sites. [39]  To date, tailings
       stabilization has been completed at all
       twenty-four  sites, and ground water
       restoration is underway.

   •   These standards also  provided  the
       basis  for  NRC's     program  for
       protection of human health  and the
       environment at operating sites licensed
       by NRC or Agreement States. There
       are   twenty-seven   operating  sites
       designated as Title II sites. [40]  To
       date, four are  still considered to be
       operational,  and the remainder are in
       some stage of closure.

   •   This  was the  first EPA  regulatory
       program to establish standards appli-
       cable for more than a few decades -
       in this case for 1,000 years.
   •   It was the first regulatory program to
       set ground water standards for radio-
       nuclides.

   •   It was the first regulatory program to
       permit the use of institutional controls
       to limit the costs of remediating con-
       taminated groundwater.

Low-Level  Wastes

LLW is defined as radioactive material that is
not HLW,  spent nuclear fuel (SNF), trans-
uranic (TRU) waste, or byproduct material as
defined in section 112(2) of the AEA of 1954.
It is  also radioactive material that the NRC,
consistent with  existing law,  classifies  as
LLW.  [41]  LLW is comprised of a large
volume of radioactive wastes produced by a
variety of different processes including  the
nuclear fuel cycle, medical orbiotechnological
research, the production of radioactive chemi-
cals, the manufacture of commercial products,
and government military operations. Radio-
active waste resulting from the operations,
decontamination,  and decommissioning  of
fuel cycle facilities is also classified as LLW.
LLW varies widely in the hazard it poses.
This section discusses both ocean disposal and
land disposal, as well as the disposal of mixed
waste.

Ocean Disposal (40 CFR Part 220)
                 In the 1950s and 1960s,
                 the United States disposed
                 of some LLW in the deep
                 ocean.  At the  time, this
                 activity, while not specifi-
                 cally  regulated,  was   an
                 accepted method for man-
aging low-level radioactive waste.
                                           19

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Legislative Authority
The Marine Protect!on, Research, and Sanctu-
aries Act of 1972 (MPRSA) authorizes EPA
to issue permits and promulgate  regulations
for disposing of materials into the territorial
waters of the United States, when it will not
degrade or endanger human health, welfare,
ecological systems, the marine environment,
or the economy. It specifically prohibits ocean
disposal  of HLW.  Any request for  ocean
disposal of LLW requires a permit that must
be approved by both houses of Congress. [42]

EPA Actions
EPA undertook a series of studies to  deter-
mine  the impact of ocean  dumping  on the
marine environment. Based on these studies,
EPA  issued a proposal in  1973 specifying
conditions for permits for ocean  disposal of
LLW.  The final rule for such permits was
issued on January 11, 1977. [43]  To date, no
applications for this type of permit have been
submitted to EPA.

Impact of EPA Actions
With  the severe national  and international
restrictions placed on ocean disposal, com-
mercial generators and EPA accelerated the
search for acceptable radioactive waste dis-
posal  alternatives. Ocean disposal of LLW
has effectively stopped.

Land Disposal
                   In  the 1950s and  early
                   1960s,   most   of  the
                   nation's LLW, generated
                   at both commercial and
                   Federal facilities,  was
                   buried  at Federal dis-
                   posal  facilities.  When
                   the Federal government
closed its disposal facilities to commercial
LLW, several private disposal facilities were
constructed.  By 1970, six private facilities
were  accepting  LLW  from  commercial
sources.   These facilities  were located in
Hanford,  Washington; West  Valley, New
York;  Maxey  Flats,  Kentucky;  Barnwell,
South Carolina; Sheffield, Illinois; andBeatty,
Nevada. By the end of the decade, three of the
facilities were closed - Sheffield was filled to
capacity, and West Valley and  Maxi Flats
were closed due to containment problems. All
three of these sites  caused extensive environ-
mental contamination requiring cleanup.  In
1986, Maxi Flats was listed on Superfund's
National Priorities List (NPL).  By the  late
1970s, all  commercial LLW in the  United
States was being disposed of in the remaining
three facilities - in Nevada, South Carolina,
and Washington.   The closure of three  dis-
posal  facilities and the slow development of
new disposal capacity caused a significant
increase in the volume of stored LLW. This
waste is frequently being  stored at sites away
from the generation or disposal facility.

By 1992, the Nevada site closed permanently.
There remained only  a  few facilities  that
accepted LLW - Barnwell in South Carolina,
the commercial disposal facility in Hanford,
Washington, and a new facility, Envirocare, in
Utah.  [45]

Legislative Authority
The Atomic  Energy Act of  1954 provides
EPA  broad authority to develop generally
applicable environmental  radiation standards.

The Low-Level Radioactive Waste Policy Act
of 1980 (LLRWPA),  as  amended, required
each State to be responsible for providing
disposal capacity for commercial LLW gener-
ated within its borders by January 1, 1986. It
also encouraged States to  form regional com-
pacts to develop new disposal facilities.  By
                                           20

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1984, it became evident that no new disposal
facilities would be opened before the deadline.
The  LLRWPA was amended  in  1985 to
provide States more time to develop facilities,
and  to  provide  incentives  for  volume
reduction  of LLW.  [44]     To  date, ten
interstate  compacts have  been developed,
covering 44 States, to build new disposal
facilities;  however,  none of these facilities
have been licensed to accept waste. [45]

Internal/External Triggers
During  the  late  1980s,  the governors of
Nevada,  South Carolina,  and  Washington
urged Congress  to take action to  improve
packaging requirements for  LLW  and to
relieve their States of the burden of providing
LLW disposal for the entire United States.
When Congress did not respond, both Nevada
and  Washington temporarily  closed  their
disposal   facilities,   and  South  Carolina
significantly reduced the amount of waste it
would accept.   This was the  catalyst for
enactment of the LLRWPA in 1980.

EPA Actions
In 1988, EPA developed a proposed rule for
the management, storage, and disposal of
LLW  for both commercial  and Federal
facilities.  This rule encountered significant
opposition during the OMB review due to
interagency concerns over the ground water
protection standards, and  OMB suspended
review. The rule languished until 1993 when
EPA initiated the development of standards to
regulate the cleanup of Federal facilities (see
Cleanup Rule on page 40). The cleanup effort
would generate large volumes of LLW.

In 1994, EPA developed a LLW pre-proposal
that included individual protection limits for
management and storage of the waste, and
individual protection limits and ground water
protection requirements for waste disposal.
This pre-proposal was consistent with EPA's
ground water protection policy which  says
that, "maximum contaminant limits (MCLs)
under the Safe Drinking Water Act (shall be
used) as 'reference points' for water resource
protection efforts when the groundwater in
question is a source of drinking water."

In November  1994, the LLW pre-proposal
was circulated for review  and comment on
major policy issues prior  to beginning the
formal  rulemaking  process.  One  major
concern identified during the public comment
period was that a new LLW  standard for
commercial waste would  further delay the
development  of the  new State compact
disposal sites. It was also noted that large
amounts of LLW were  anticipated from the
cleanup of DOE sites. To ensure the standard
would not be disruptive to States, in 1995,
EPA limited the applicability of the rule to
Federal  facilities.    In  1996, when  EPA
withdrew the  Cleanup  Rule, it  effectively
halted the development of the LLW regulation
as well.

Impact of EPA Actions
There is no generally applicable standard for
the management and disposal of LLW.

Low-Activity Mixed Wastes
                    Low-Activity  Mixed
                     Waste   (LAMW) is
              I  /\ produced   commer-
              -C-—* cially  at  industrial,
                \    medical, and  nuclear
                     power   facilities.
There are several thousand cubic meters of
this  mixed  waste held  in  storage, and the
amount is increasing each year.  This waste is
being stored,  indefinitely in many cases, by
small commercial  generators  because the
                                          21

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current regulatory framework severely limits
disposal options.

EPA is working with NRC to develop a mixed
waste rule for the management, storage, and
disposal  of commercially generated LLW
mixed with RCRA hazardous waste. Disposal
alternatives are being evaluated for mixed
waste minimally contaminated with radio-
nuclides. This rule will propose a more eco-
nomic and efficient regulatory framework for
the  disposal  of  commercially  generated
LAMW that is protective of human health and
the environment.

Legislative Authority
The AEA provides EPA broad authority to
develop generally applicable environmental
radiation standards.

RCRA gives EPA  the authority to regulate
hazardous waste from "cradle-to-grave." The
definition of hazardous waste under RCRA
specifically excludes source, special nuclear,
or byproduct  material  as defined by  the
AEA. [47]

Internal/External Triggers
The  regulation of commercially generated
LAMW  is both complex  and  expensive.
LAMW is comprised of both hazardous and
radioactive wastes.  For a waste to be consid-
ered hazardous it must be specifically listed as
a hazardous waste by EPA or exhibit one or
more of the characteristics of hazardous waste
- ignitability, corrosivity, reactivity, and/or
toxicity. [46]  The hazardous chemical com-
ponent is regulated by EPA under RCRA and
the LLW component is regulated  by NRC
under the AEA. Management and storage
costs are high and disposal options are limited.
EPA Actions
In August 1995, EPA and NRC published the
Draft Joint Guidance on the Storage of Mixed
Low-Level Radioactive and Hazardous Waste.
[48] This guidance describes the applicable
regulatory requirements under  both RCRA
and the AEA, the procedures that are generally
acceptable  to  both NRC  and EPA, and
resolves issues of concern which have been
identified to the agencies by licensees and
generators.

On November 19, 1999, EPA proposed a rule
to provide  increased flexibility to facilities
that  manage low-level  mixed  waste and
naturally   occurring   and/or   accelerator
produced radioactive material (NARM) mixed
with hazardous waste.  The proposal aims to
reduce dual regulation of LAMW, which is
subject to RCRA and  AEA.   This rule is
designed to lower cost and reduce the paper-
work burden while improving or maintaining
protection of human health (including worker
exposure to radiation) and the environment.
[49]

Impact of EPA Actions
EPA intends, by rule, to increase disposal
options and reduce disposal costs for mixed
waste   minimally  contaminated  with
radionuclides.   EPA intends that improved,
affordable access to approved disposal facili-
ties will induce the thousands of generators
currently storing mixed waste to dispose of it
in ways  that  are  more  protective human
health. [50]

Spent Nuclear Fuel, High-Level,
and Transuranic Wastes

EPA has the responsibility to establish general
environmental standards for SNF, HLW, and
TRU, and to develop regulations at specific
                                          22

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waste disposal sites (e.g, the WIPP repository
and the proposed Yucca Mountain repository).

SNF is produced by the fission of nuclear fuel
in nuclear reactors.  Although little commer-
cially generated SNF has been reprocessed in
the United States, SNF from nuclear weapons
production reactors was routinely reprocessed
to recover unfis si oned uranium and plutonium
for use in weapons  programs.  Most of this
spent fuel is currently being stored in water
pools at the reactor sites where it is produced.

FILW is defined by the Nuclear Waste Policy
Act of 1992 (NWPA) as "the highly radioac-
tive material resulting from the reprocessing
of spent nuclear fuel, including liquid waste
produced  directly in reprocessing and any
solid material derived from such liquid waste
that  contains fission products in sufficient
concentrations; and  other highly radioactive
material that the Commission, consistent with
existing law,  determines  by  rule requires
permanent isolation." [41] FILW is a mixed
waste containing  radionuclides that remain
radioactive for thousands of years, as well as
highly corrosive components, organics, and
heavy metals that are regulated under RCRA.
Since the  1940s and 1950s, FILW has been
stored in various  liquid and solid forms in
underground tanks at the Hanford Reserva-
tion, Richland, Washington; Idaho National
Engineering and Environmental Laboratory,
Idaho Falls, Idaho; and  Savannah River Site,
Aiken, South Carolina.

Most TRU wastes  are contaminated  items
(e.g., rags, equipment, and organic and inor-
ganic sludges) resulting from nuclear weapons
production, dismantling, and cleanup.  The
radioactive components are radionuclides with
an atomic number greater than 92, and are
created during nuclear fission - primarily iso-
topes of plutonium and americium.  TRU is
often mixed with hazardous chemicals.  Until
1970, TRU was disposed of along with low-
level waste by shallow land burial at Federal
reservations.   In  1970, the AEC issued  a
directive that TRU could no  longer be dis-
posed of by shallow land burial.  Since then,
TRU wastes have  been stored at Federal
facilities in Colorado, Idaho, Nevada, New
Mexico, Ohio, South Carolina, Tennessee, and
Washington. Currently, WIPP, located in New
Mexico,  is accepting defense-related  TRU
waste for disposal (see WIPP section on page
26)

Spent Nuclear Fuel, High-Level and
Transuranic Radioactive Wastes
Management and Disposal
(40 CFR Part 191)
              This generally applicable stan-
              dard provides  limits for the
              release of radionuclides into
              the accessible environment for
              management and disposal of
              spent nuclear fuel, high-level
waste, and transuranic radioactive waste.  It
applies to most such wastes generated by both
commercial activities  regulated by the  NRC,
and defense activities under the jurisdiction of
DOE (see Yucca Mountain, on  page 28, for
the exception).

Legislative Authority
The AEA provides EPA broad authority to
develop generally  applicable  environmental
radiation standards.

The NWPA directed EPA to utilize its exist-
ing authority, pursuant to the  AEA, to "pro-
mulgate generally applicable standards for the
protection of the general environment from
offsite releases from radioactive materials.. .in
repositories"  by January 7,  1984. [41]
                                           23

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The Waste Isolation Pilot Plant Land With-
drawal Act (WIPP LWA) reinstated most of
the disposal standards issued by the Agency in
1985  and  remanded  in 1987  (see  WIPP
section on page 26). It also exempted Yucca
Mountain from the 40 CFRPart  191 disposal
standard. [51]

Internal/External Triggers
In 1976, OMB established an interagency task
force  on commercial wastes to define  the
responsibility of each Federal agency involved
in HLW management. The EPA was tasked
with  establishing general   environmental
standards governing waste disposal activities.

Presidents Ford,  Carter, and Reagan were
committed to the development of a permanent
storage facility for HLW.   Presidents Ford
and Carter directed EPA to develop general
environmental standards governing releases
from nuclear waste facilities to the biosphere,
including  a numerical  limit on  long-term
radiation releases outside the boundary of the
repository. In 1982, as the study of this issue
progressed, President Reagan recommended
the development  of temporary  storage and
long-term monitored  retrievable facilities to
manage these wastes until a permanent reposi-
tory becomes available.

EPA Actions
In 1978, as a first step in response to President
Ford's directive,  EPA published a proposed
Federal  guidance,  Criteria for  Radioactive
Waste, intended as generic guidance for stor-
age and disposal of all forms of radioactive
wastes. [52] EPA withdrew the proposal in
1981  because  the many different types  of
radioactive wastes made this generic approach
to disposal impractical. [53]

On September 19, 1985, EPA promulgated
generally applicable environmental standards
for the management and disposal of HLW,
SNF,  and TRU wastes.  The management
standards limit the radiation exposure of the
public from the management and storage of
these  wastes  prior  to disposal  at waste
management and disposal facilities regulated
by the NRC. They also limit waste emplace-
ment and storage operations at DOE disposal
facilities that are not regulated by the NRC.

The primary disposal standards are the long-
term  containment requirements that limit
projected  releases  of  radioactivity to  the
accessible environment for 10,000 years after
disposal.   The disposal standard also estab-
lishes six qualitative assurance requirements
(e.g., multiple barriers - both engineered and
natural to better isolate the wastes, and insti-
tutional controls) to  provide additional cer-
tainty that the containment requirements will
be met. In addition, the disposal standards set
limits on exposures to individual members of
the public, and separate ground water protec-
tion requirements for 1,000 years after dis-
posal. [54,55]

In  1986,  several  States and environmental
groups petitioned for  review  of  the  rule
because the individual protection requirements
were modeled for 1,000 years,  whereas  the
containment requirements were  modeled for
10,000 years. Additionally, they claimed the
rule was not consistent with the underground
injection  requirements of  SDWA.  In July
1987, the Court  of  Appeals  remanded  the
individual protection requirements (§191.15),
the ground water protection  requirements
(§191.18), and the rest of 40 CFR Partl91.
[56]

The government requested reinstatement of all
unchallenged sections.  In September  1987,
                                           24

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the court reinstated  the  management  and
storage standards but left the entirety of the
disposal standards in remand.

On October 30, 1992, the WIPP LWA  was
enacted. The law reinstated all of the disposal
standards issued by the Agency in 1985  that
had been remanded by the court  in 1987
except the individual and ground water  pro-
tection requirements which were the basis of
the remand.

On December 20, 1993, EPA issued revised
individual and ground water protection stan-
dards at 40 CFR Part 191. The time frame for
applicability  of  the individual  protection
standards was increased to 10,000 years, and
the whole body/specific organ  dose limits
were updated, based on more recent methodol-
ogy3,  in terms of an annual committed effec-
tive dose.  The revised ground water stan-
dards require  compliance with  the  SDWA
MCLs for 10,000 years. [57,58]

Impact of EPA Actions
EPA has set containment,  individual protec-
tion,  and ground water standards for SNF,
HLW, and TRU to protect current and future
populations and the environment for at least
10,000  years after disposal.  These require-
ments are complimented by six qualitative
assurance requirements designed to provide
confidence that the standards  will be  met
3EPA revised the risk assessment methodology used
in the final rule to be consistent with Federal
Guidance Report No. 11, Limiting Values of
Radionuclide Intake and Air Concentration and Dose
Conversion Factors for Inhalation, Submersion, and
Ingestion.  The limit for doses to individuals of 25
mrem/yr to the whole body or 75 mrem/yr to any
organ, in the 1985 rule, was replaced with an annual
limit of 15 mrem/yr committed effective dose, in the
1993 final rule. [17]
given the substantial uncertainties inherent in
predictions  of systems  performance  over
10,000 years.

The promulgation of 40 CFR Part 191 set the
stage for one of EPA's most prominent regula-
tory programs for radioactive waste disposal -
the WIPP, constructed by DOE and regulated
by EPA, for disposal of TRU waste from DOE
sites.

This  standard extended  the precedent first
established by the uranium and thorium mill
tailings regulations for standards  requiring
design performance far into the future - in this
case, for 10,000 years.

Deep Geologic Repositories
Since the mid to late  1940s, the Federal gov-
ernment has assumed ultimate responsibility
for the management and  disposal of defense
generated radioactive wastes. The AEC began
conducting research as  far back as the mid to
late 1940s on processes to stabilize high-level
liquid wastes. With the support from the NAS,
the AEC evaluated the feasibility of different
disposal media, including geologic repositori-
es for  long-term  disposal of  radioactive
wastes. The 1957 NAS report recommended
naturally  occurring   salt  formations  as
promising disposal media for disposal of these
wastes. [59]

From 1965 to 1970, the AEC tested an aban-
doned salt mine in Lyons, Kansas to deter-
mine the safety and feasibility of handling and
storing radioactive waste in such a facility. By
1970 the AEC believed they had adequately
demonstrated  the  safety  of the mine  and
announced its preliminary selection  for the
establishment of a national radioactive waste
repository.     However,   growing  public
opposition and concerns  that nearby drilling
                                           25

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had compromised the geologic integrity of the
mine prompted  the AEC to withdraw this
selection and pursue other options.

At this time, the AEC also requested the NAS
to again evaluate the feasibility of disposing of
radioactive waste in salt formations, and to
advise them  on  long-range  management of
radioactive waste. In the 1970 report, Disposal
of Solid Radioactive Wastes in Bedded Salt
Deposits,  the  NAS  concluded  that  salt
formations are  satisfactory for long-range
disposal of radioactive waste since they are
generally located in geologically stable areas.
The  salt beds indicate an absence of flowing
fresh water that  would have dissolved them.
Salt  is relatively easy to mine,  and salt will
eventually "creep" and fill in mined areas and
further seal the radioactive waste. [60] Plans
for the  development of the  WTPP  for  long-
term storage of TRU waste, followed in the
next two decades.

Waste Isolation  Pilot Plant
(40 CFR Part 194)
                 Once the decision to estab-
                 lish a repository in  Lyons,
                 Kansas, was rejected, the
                 U.S.  Geological  Survey
                 continued to conduct stud-
                 ies to identify a  new site.
                 In 1975, at  the  invitation
                 of local officials,   a salt
formation east of Carlsbad, New Mexico, was
explored.  By 1979, DOE completed the initial
environmental studies of the site, and in 1980,
Congress  authorized construction  of the
WIPP.

WIPP is DOE's  geologic repository for TRU
wastes. It is located on 10,240 acres of land in
a salt deposit 2,150 feet below the surface.  It
was  developed  to  store  TRU and  mixed
wastes that are currently being  stored  on
Federal reservations across the United States.

Legislative Authority
The Department of Energy National Security
and Military Applications of Nuclear Energy
Authorization Act of 1979 provided the autho-
rization for the  development of the WIPP.
This repository was to be developed to "dem-
onstrate the safe disposal of radioactive wastes
resulting from  the defense  activities  and
programs of the United States." The Act also
specified that only certain amounts and types
of defense-generated TRU could be disposed
of at the WIPP. [63]

The 1982 NWPA also supported the use of
mined geologic repositories for the safe stor-
age and/or disposal of radioactive waste, and
established formal procedures to evaluate and
select sites for geologic repositories. Based on
the criteria defined in the NWPA, DOE se-
lected the WIPP as the first potential  deep
geologic repository. The NWPA also required
EPA to develop generally applicable environ-
mental standards for  off-site releases  from
radioactive material in repositories. [41]

The 1992 WIPP LWA effected a legislative
withdrawal of the land surrounding WIPP for
purposes of developing and building a TRU
waste repository, and required EPA to finalize
the generally applicable disposal standards at
40 CFR Part 191, establish a process to certify
that the WIPP facility was technically ade-
quate  to meet the disposal standards estab-
lished at 40 CFR Part 191, and reevaluate the
WIPP every five years to determine whether it
should be recertified. [51]

Internal/External Triggers
In 1982, DOI initially withdrew the  land
surrounding the WIPP for an eight year period
                                           26

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for the purpose of performing initial site and
design characterization activities.  In 1983,
DOT issued a second eight-year administrative
land  withdrawal   for   the  purpose  of
construction of the WIPP.  The 1983 with-
drawal provided that the withdrawn area was
not authorized for use for burial or storage of
any radioactive  materials.   In 1991, DOT
modified the 1983 withdrawal to permit DOE
to conduct a "test phase" involving placement
of TRU waste in the WIPP, and extending the
term of the withdrawal through  1997.  DOI's
extension  was found unlawful by  a U.S.
District Court. [61] The  Court's order was
upheld on appeal. [62] Congress subsequently
effected a legislative withdrawal of this land in
perpetuity in the WIPP LWA. [51]

EPA Actions
As directed by WIPP LWA, EPA finalized the
generally applicable standards for the disposal
of spent nuclear fuel, transuranic,  and high-
level radioactive wastes.  These regulations
limit the amount of radioactive material that
may escape from a disposal  facility and pro-
tect individuals and ground water resources
from dangerous levels of radioactive contami-
nation (see 40 CFR Part 191 on page 23).

Next, EPA developed criteria to implement
and interpret these generic  radioactive dis-
posal  standards specifically for  the WIPP. In
1996, EPA promulgated the "Criteria for the
Certification and Re-certification of the Waste
Isolation  Pilot Plant's (WIPP) Compliance
with the 40 CFR Part 191 Disposal Regula-
tions"  at  40  CFR Part  194.   This rule
described the information DOE must submit
in any certification application and clarifies
the basis on which EPA's WIPP compliance
determination would be made. [64]

As a companion to this rule, EPA developed
the Compliance Application Guidance (C AG)
to "assist DOE with the preparation of any
Compliance Certification Application (CCA)
for the WIPP and, in turn, to assist in EPA's
review of the CCA for  completeness and
generally  to  enhance  the  readability  and
accessibility of the CCA for EPA and public
scrutiny." [65]  The criteria were challenged
in the  Court  of Appeals for the District of
Columbia and upheld in their entirety on June
6, 1997.

DOE studied the WIPP site for a decade. The
Department   conducted   field   studies,
laboratory tests, and computer modeling to
gain a clearer understanding of the WIPP's
ability to  isolate  waste.   In 1996,  DOE
submitted   a  Compliance  Certification
Application (CCA) for WIPP to  EPA. After
a careful review of the CCA, supplementary
materials, and additional information, on May
13, 1998, EPA certified that the WIPP likely
will comply with 40  CFR Part 191 as well as
other relevant environmental and public health
and safety regulations.  [66]

Since TRU may be either a radioactive waste
or a mixed radioactive and chemical waste,
DOE was required to obtain a RCRA Permit
(40 CFR Parts 264 and 270) for disposal of
hazardous wastes from the New Mexico
Environment Department (NMED). NMED
granted a Hazardous Waste Facility Permit for
the WIPP in October 1999, specifying the
conditions under which DOE may dispose of
mixed radioactive and chemical waste in the
WIPP. The WIPP received its first shipment
of TRU radioactive waste  in March 1999.
EPA  will continue  to regulate the WIPP,
through inspections, recertification, and other
actions, through the operational phase (i.e., as
long as DOE is  emplacing  waste in the
repository - about 35-40 years).
                                          27

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RADIOACTIVE
  MATERIALS
Impact of EPA Actions
The WIPP is both the nation's and the world's
first facility certified for the deep geological
disposal of TRU waste.

The  WIPP  provides  a long-term disposal
facility for TRU waste that  is temporarily
stored at Federal facilities.  Most of the waste
proposed for disposal  at the  WIPP will  be
generated in the future as nuclear weapons are
disassembled.

Yucca Mountain, Nevada
(40 CFR Part 197)
                   In 1980, DOE performed
                   an analysis  of disposal
                   alternatives  for  spent
                   nuclear fuel and high-
                   level waste.  This study
                   evaluated possible dis-
posal options, including ejection into space,
elimination   by  transmutation   to  other
elements, disposal in polar ice sheets, engi-
neered disposal in a deep geologic repository,
and burial in the ocean floor.   Disposal in a
deep geologic repository was determined to be
the safest option.

Legislative Authority
The  NWPA  of 1982  provides  DOE  the
responsibility of siting, building,  and operat-
ing a deep geologic repository for the disposal
of HLW and SNF. It directs EPA to "by rule
promulgate generally applicable standards for
protection of the general environment from
offsite releases  of radioactive material  in
repositories."  NRC is required to license
DOE to operate a repository that meets EPA's
standards and all other relevant requirements.
[41]

In 1987, Congress enacted the NWPAA that
directed DOE to consider Yucca Mountain as
the primary site for the first HLW and SNF
repository in the United States and to phase
out activities at other potential sites. [69]

The WIPP LWA of 1992 reinstated most of
EPA's generally applicable disposal standards
at 40 CFR Part 191, and exempted Yucca
Mountain from those disposal standards. [51]

The Energy  Policy Act of 1992  (EnPA)
directed EPA to "promulgate, by rule, public
health and safety standards for protection of
the public  from releases from  radioactive
materials stored or disposed of in the reposi-
tory at the Yucca Mountain site." EPA was
required to  contract with NAS to conduct a
study and  make  recommendations on  the
suitability of Yucca Mountain as a disposal
site. EPA's standards were to be "based upon
and consistent with the findings and recom-
mendations of the NAS," and "shall prescribe
the maximum annual effective dose equivalent
of individual members of the public." [70]

Internal/External Triggers
A process for the selection  of potential sites
for disposal of HLW and SNF was established
in the 1982 Nuclear Waste Policy Act. DOE
was given the responsibility for conducting
the siting process.  The first steps were to
identify potentially acceptable sites and de-
velop general guidelines  for siting reposito-
ries. In February 1983, DOE identified nine
sites in six States as potentially acceptable for
the first deep  geologic  repository.  Yucca
Mountain was one of those sites. [67]  After
further  consideration  and environmental
assessment, DOE determined that three sites,
Yucca  Mountain,  Nevada;  Deaf   Smith
County, Texas; and Hanford, Washington,
were suitable for development as repositories.
[68]
                                        28

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The 1987 Nuclear Waste Policy Act Amend-
ments (NWPAA) directed DOE to study only
one candidate site, Yucca Mountain, Nevada,
as the primary location for the first HLW and
SNF deep geologic repository in the United
States. It is located about 100 miles northwest
of Las Vegas on Federally owned land on the
western edge of the DOE's Nevada Test Site.

EPA is  responsible for developing site-spe-
cific radiation protection standards and DOE
is responsible for the construction, manage-
ment, and  operation of the facility.  Since
about 90% of the waste proposed for disposal
is commercially generated, with the remainder
coming from  defense  programs,  NRC  is
responsible for implementing the EPA stan-
dard.

EPA Actions
To better understand the technical aspects  of
Yucca Mountain,  EPA  conducted extensive
information gathering activities and analyses.
These activities included contracting with the
NAS Committee on Radioactive Waste Man-
agement to conduct the study and make rec-
ommendations on the  suitability of Yucca
Mountain as a disposal site, as required by the
EnPA.  The NAS completed the study and
published  the report,   Technical Bases for
Yucca Mountain  Standards.  [71]    EPA
solicited comments on this report from stake-
holders  and the  scientific community, had
technical discussions with NRC and DOE and
its scientists, and worked with the President's
Office of Science and Technology Policy.  In
addition, other Federal agencies' actions, other
countries'  regulations,  and  guidance from
national and international organizations were
considered. Based on the NAS report and the
information  received from the public, EPA
proposed "Environmental Radiation Protec-
tion Standards for Yucca Mountain, Nevada"
on August 27, 1999. [72,73]

Impact of EPA Actions
If approved,  Yucca  Mountain will be the
nation's first deep geological disposal facility
for the permanent disposal of HLW and SNF.
                                          29

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Environmental Standards

An important activity of the national radiation
protection program has been the development
of national  standards  and  regulations to
protect the general public from exposure to
radiation in the environment.   The environ-
mental  statutes discussed below  apply to
both chemical and radioactive contaminants.

Drinking Water
(40 CFR Part 141)
                   Through  the  1960s,
                   both surface water and
                   groundwater had gener-
                   ally  degraded  to  the
                   point  that  drinking
                   water quality was be-
                   coming compromised in
                   the United States - par-
ticularly in heavily populated urban areas. In
1960, the FRC, for the first time, established
drinking   water   guidelines  for  selected
radionuclides, including Ra-226,1-131, Sr-90,
and Sr-89.  The U.S. Public Health Service
(PHS) established drinking water standards
for these  same radionuclides in 1962.  In
1976,  EPA revised  these  standards  and
developed drinking water standards for a host
of other radionuclides under the authority of
the Safe Drinking  Water Act (SOWA).
Through   SDWA,  Congress  intended  to
improve the quality  of drinking water and
throughout the United States and prevent its
further contamination.

Radionuclides Other than Radon

Legislative Authority
The Public Health Service Act, as amended in
1974  by SDWA, required EPA to establish
primary drinking water standards for contami-
nants in  public water systems.  EPA was
directed to set protective limits on drinking
water contaminants that water systems can
achieve using the best available technology;
set water-testing schedules and methods that
water systems  must follow;  and establish
acceptable  techniques for treating contami-
nated water. [75]

SDWA, as amended in  1986, declared the
1976 interim standards to be  final National
Primary   Drinking  Water   Regulations
(NPDWRs), required EPA to  set Maximum
Contaminant Level  Goals (MCLGs)  and
MCLs4,  and  directed  EPA  to  develop
procedures to assure drinking water supplies
dependably  comply  with  the  MCLs.  The
standards  were to be promulgated  for  83
contaminants,   including  two  additional
radionuclides, uranium and radon, which may
cause adverse health effects in humans and are
known to occur in public water systems.

SDWA, as amended in 1996, directed EPA to
withdraw the proposed MCL for radon due to
a controversy over the cost-benefit basis for
the proposed standard; required the NAS to
conduct a  formal  study of the  issue;  and
required assurance that any revised drinking
water standards will maintain or  increase
public health protection.  These amendments
also  provide for a cost-benefit  analysis when
publishing  a proposal  for new NPDWRs
pursuant to SDWA section 1412(b)(6).
4 MCLGs are non-enforceable health based goals, set
where no anticipated health effects would occur, with
an ample margin of safety. For known carcinogens,
the MCLG is set at zero, the assumption is that any
exposure could present a cancer risk. MCLs are
legally enforceable standards set as close to the
MCLGs as possible, considering cost and technical
feasibility.
                                          30

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Internal/External Triggers
Although radium may occasionally be found
in surface water due to man's activities, it is
usually found in groundwater where it is the
result of geological conditions. In contrast to
radium, man-made radioactivity is ubiquitous
in surface  water  because of fallout radio-
activity from nuclear weapons testing.   In
some localities radioactivity in surface  or
groundwater may be increased by small re-
leases from nuclear facilities, hospitals, and
scientific and industrial users of radioactive
materials. EPA recognizes that, for both man-
made and naturally occurring radioactivity, a
wide range of both controllable and uncontrol-
lable sources can influence the concentrations
of radioactivity in water served by  public
water systems. Regulation of these contami-
nants under the authority of SDWA provides
protection of human health from the harmful
effects of exposure to radiation in drinking
water. [74]

EPA Actions
In 1976, EPA established National Interim
Primary  Drinking   Water  Regulations
(NIPDWRs) that included interim limits for
the following categories of radionuclides:
radium-226 and radium-228 combined  at 5
pCi/1, gross alpha emitters at 15 pCi/1, and all
beta particles and photon emitters (referred to
as "man-made" radionuclides) at a total dose
equivalent  of 4 mrem/yr to  any organ or the
whole  body.   Standards for  uranium  and
radium were not developed at this time since
the Agency did not have sufficient health and
occurrence data to establish standards. [76]

The NIPDWRs became final NPDWRs under
the 1986 amendments to SDWA.

In 1986, EPA also published  an Advanced
Notice of Proposed Rulemaking (ANPRM)
requesting  additional   information  and
comments on  radionuclide contaminants  in
drinking water.

In 1991, EPA proposed a revision to the 1986
NPDWRs,  including separate MCLs for
radium-226 and radium-228; new standards
for radon-222 and  uranium;  and  revised
standards  for the gross alpha emitters and
beta and photon emitters. The proposed limit
for uranium was based on toxicity to the
kidney as well as consideration of the cancer
risk it poses.   This proposed regulation also
included monitoring,  reporting, and public
notification requirements. [77]

In 1996, the U.S.  District Court for the Dis-
trict of Oregon issued an order that directed
EPA, by November 2000, to either finalize the
1991 proposed radiation standards;  state its
reasons for not taking final  action; or develop
revised  standards. The Court  also directed
EPA to establish a final standard for uranium
by November 2000.

In 1999, EPA released Cancer Risk Coeffi-
cients  for  Environmental  Exposure   to
Radionuclides., providing dose and risk data
for each radionuclide based on updated scien-
tific data.  These values have  been used  to
update the MCLs promulgated in 1986.  In
April 2000, EPA proposed revised NPDWRs
which would  result in the same or greater
level of human health protection. [78]

Impact of EPA Actions
These drinking water standards replace those
set by the PHS in 1962, setting legal limits on
the levels of  radionuclide contaminants  in
drinking water. The MCLGs reflect the level
that is protective of human health; the MCLs
reflect  the level  that water  systems  can
achieve using current technology. These rules
                                           31

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set water-testing schedules and methods, and
list acceptable techniques for treating contami-
nated water.

As described in Protecting  the  Nation's
Groundwater: EPA 's Strategy for the 1990s:
The Final Report of the EPA Ground-Water
Task Force., EPA will use MCLs as reference
points when the groundwater in question is a
potential source of drinking water. [81]

Radon

Legislative Authority
See above (page 30).

Internal/External Triggers
National and international scientific organiza-
tions have concluded that radon causes lung
cancer in humans.  According to the NAS,
breathing indoor radon in homes is estimated
to cause about 15,000 to 22,000 lung cancer
deaths each year in the United States. [22]
That makes radon in indoor air the  second
leading cause of lung cancer in the  United
States after cigarette smoking. In most cases,
radon in  soil under homes is the biggest
source of exposure and radon from tap water
is a small source of radon in indoor air,
generally contributing about 1-2 percent of the
total radon exposure from indoor air.  In a
second  report in 1999, Risk Assessment  of
Radon in Drinking Water, the NAS estimated
that lung cancer accounts for about 89 percent
of the fatal cancers resulting from exposure to
radon released from water into indoor air. The
remaining fatal  cancers,  primarily stomach
cancer,  result from  ingestion of radon  in
water. [79]  Based on this report and other
updated  information, EPA  estimates that
uncontrolled levels of radon in public drinking
water supplies cause 168 fatal cancers each
year in the United States.
EPA Actions
In November 1999, EPA proposed new regu-
lations to protect people from  exposure to
radon. The proposed regulations will provide
the States  flexibility  in how to limit  the
public's exposure to radon by focusing their
efforts on the greatest public health risks from
radon  -  those  in indoor  air -  while also
reducing the highest  risks  from radon in
drinking water.  SDWA provides a unique
framework for a multi-media approach,  and is
intended to promote a more cost-effective way
to reduce the greatest  risks from radon. The
proposed rule applies to all community water
systems  (CWSs) that use groundwater or
mixed ground and surface waters. [80]

The multi-media approach is based in part on
the goals, program strategies, experience,  and
successes of existing national and State pro-
grams working to achieve indoor radon risk
reduction through  voluntary  public action.
Given the  much greater potential for risk
reduction in indoor air,  EPA expects that
greater overall risk reduction will result from
this proposal than  from an  approach that
solely addresses radon  in community drinking
water supplies.

Impact of EPA Actions
Once  finalized, this  rule would limit  the
public's exposure to radon by reducing the
greatest public health risks from radon - those
in air  - while also reducing the greatest risks
from radon in water.

The proposed radon in drinking water rule is
one of EPA's  first multi-media  rules,  and
presents a unique multi-media risk manage-
ment approach.
                                           32

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Hazardous Air Pollutants
                Radionuclides are emitted
                into the air   from many
                sources, including nuclear
                power  plants,    facilities
                relating to the nuclear fuel
                cycle,    national  defense
                facilities,  research  and
development laboratories, medical facilities,
industrial  users, some mining and milling
operations, and fossil fuel combustion plants.
The  CAAA  of 1977, for the  first time,
provided EPA the specific authority to limit
radionuclide emissions to the air.
Legislative Authority
Section 122 of the CAA Amendments of 1977
directed EPA to review all relevant informa-
tion  and  determine  whether emissions of
radioactive pollutants will cause or contribute
to air pollution that may reasonably by antici-
pated to endanger public health.  Section 112
of the  CAA required EPA  to  publish and
periodically revise a list of HAPs  that cause or
contribute to  an increase  in  mortality or
serious  illness  and  to  which  no national
ambient air  quality standard apply.   Under
Section 112(b), EPA was directed to publish
regulations establishing NESHAPs for each
listed HAP.   The EPA  was  required to
"establish such standards at the  level that in
his judgement provides an ample margin of
safety to protect public health." [82]

Internal/External Triggers
On   December  27,  1979,  EPA   added
radionuclides to  the list of HAPs under the
CAA. [31 ] Among the radionuclides included
were those defined by the AEA as source
material,  special nuclear material,  and  by-
product materials as  well  as TENORM. In
accordance with the requirements of Sections
122 and  112 of the CAA,  EPA found that
exposure to radionuclides increases the risk of
human cancer and genetic damage. Also, the
Agency found  that emission data indicate
radionuclides  are  released  into  air  from
thousands  of  sources.    Based  on  this
information, EPA concluded that emissions of
radionuclides may reasonably be anticipated
to  endanger  public   health,  and   that
radionuclides  constitute  HAPs within  the
meaning of the CAA.

EPA Actions
In  1983, EPA proposed  NESHAPs  for
elemental phosphorus plants, DOE facilities,
NRC-licensed facilities and non-DOE Federal
facilities, and underground uranium mines.
Simultaneously, the Agency proposed deci-
sions  not to  regulate coal-fired boilers,  the
phosphate industry, other extraction  indus-
tries,  uranium fuel cycle facilities, uranium
mill  tailings,  high-level  radioactive  waste
facilities, and low-energy accelerators.  [83]
These standards  were  finalized  in  1985.
[84,85] A new standard for uranium mill sites
was promulgated in 1986. [86]

Vinyl Chloride Decision
In July 1987, the U.S. Court of Appeals for
the District of Columbia remanded the vinyl
chloride NESHAP.   The Court found that
costs  and technological feasibility had been
improperly considered in setting the standard.
According to Section  112 of the CAA,  the
Administrator is first  required to make a
determination based exclusively on risk to
health.   In  light  of  that  decision,  EPA
concluded the radiological NESHAPs should
be reconsidered. The Court agreed, and on
December 8, 1987, granted EPA's motion for
a voluntary remand.

The  Court,  in the vinyl  chloride decision,
                                           33

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established a two-step process to establish a
safe level under Section 112 of the Act. First,
it said, "the Agency must determine the level
of emissions considered 'safe or acceptable,'
without regard to control costs." Second, the
Agency must achieve an ample  "margin of
safety" - considering  both cost and tech-
nology. This approach was first expressed in
the NESHAP for benzene, and became known
as the "benzene policy."

For the  first  step, to determine  "safe  or
acceptable," the Agency compared risks from
many  different  sources,  evaluated   risks
accepted in other Agency programs (e.g.,
Superfund and drinking water), and accepted
public comments.   EPA  also  considered
several measures of risk including individual
exposure, population exposure, numbers of
people in various risk ranges, and non-fatal
health effects.    EPA defined  "safe  or
acceptable" as:

    •   An individual lifetime risk of no great-
       er than approximately 1 in 10,000 of
       contracting fatal cancer;

    •   The majority of people within 80 km
       of the  facility  at a less than  1  in
       1,000,000 lifetime risk; and

    •   A  small  total  estimated  number of
       cases of death or disease.

The second step, an "ample margin of safely,"
involves establishing the actual level of public
protection.  It must be at least as protective as
the level determined to be "safe" in step one.
EPA defined the factors to  be considered in
setting an "ample margin of safety" to be:

    •   Costs and economic impacts of con-
       trols,
    •   Technological feasibility,

    •   Uncertainties, and

    •   Any other relevant factors.

All subsequent radionuclide NESHAPs have
been promulgated through this process. These
individual and population risk criteria (10"4
and  10"6  lifetime risk)  correspond to  the
bounds of acceptable risk employed for all
carcinogens, chemical or radioactive, by the
Agency in its drinking water, Superfund, and
CAA programs.

Radionuclide NESHAPs
On December  15,  1989,  EPA  published
NESHAPs for  eight  radionuclide  source
categories, covering  an estimated 6,300
sources.   The  revised   rules were  more
prescriptive, based primarily on the decision-
making framework  outlined in  the vinyl
chloride decision and the  benzene  policy.
They included radionuclide emissions other
than radon  from DOE facilities;  NRC-
licensees  and non-DOE Federal facilities;
elemental phosphorus plants; radon emissions
from  underground  uranium  mines;  DOE
facilities;  phosphogypsum  stacks;  inactive
uranium mill tailings facilities; and operating
mill tailings facilities. [36]

Legal Actions
Eleven  parties,  primarily representing  the
regulated  community, sued EPA during the
development  of the radionuclide NESHAPs
promulgated in 1989. Several  environmental
organizations sued EPA over the level it chose
as a benchmark for acceptable risk.

The  NRC and the National Institutes  of
Health (NIH) petitioned for reconsideration of
the NESHAP for NRC-licensed facilities, on
                                           34

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the basis that this regulation duplicated NRC' s
regulatory program. However, NRC did not
have data from these facilities to verify the
emissions, and did not constrain emissions
below the EPA limit.  Between 1992  and
1996, EPA evaluated the NRC  program at
thousands of facilities.   Based on the data
collected,  EPA concluded that radionuclide
emissions from NRC- and Agreement State-
licensees did  not exceed the 10 mrem/yr
standard established in the NESHAP.  NRC
issued a "constraint rule" that required licens-
ees to maintain emissions below that standard.
EPA found that NRC's regulatory program
protects the public health to a safe level with
an ample margin of safety and the NESHAP
regulating air emissions from NRC-licensees
was rescinded on December 30, 1996. [87]

EPA was also petitioned by The Fertilizer
Institute (TFI), Consolidated  Minerals,  Inc.
(CMI), and U.S. Gypsum Co. (USG) to recon-
sider  the  portion of  the  NESHAP  for
phosphogypsum that required disposal into
stacks or mines, thereby preventing any alter-
native uses of the material.  EPA received
more  information  on the proposed uses of
phosphogypsum and on June 3, 1992, revised
the rule to provide for limited uses for both
agriculture, research and development, and other
alternative uses on a case-by-case basis. [88]

EPA was petitioned by the NRC and industry
stating that  the operating  uranium  mills
NESHAP overlapped EPA's  uranium fuel
cycle standard at 40 CFRPart 192, resulting in
duplicative, burdensome regulations.  EPA
amended 40 CFR Part 192 to incorporate the
additional  requirements  defined  in  the
NESHAP,  the  NRC   incorporated  the
additional requirements into its regulations,
and this NESHAP was withdrawn (see the
Uranium and Thorium Mill Tailings section
on page 17). [37]

Impact of EPA Actions
These NESHAP standards limited releases of
radionuclides from  a variety of sources,
protecting people and the environment from
the harmful effects of  ionizing radiation,
including an increased risk of human cancer
and genetic damage.

Radionuclides in air were regulated for the
first time under a legislative  authority other
than that provided by the AEA.  This meant
that States and localities  could set standards
more  stringent than the  NRC standards;
citizens could sue the government to provide
and enforce standards; and policies for devel-
opment of standards for radioactive materials
could be established consistent with standards
for the regulation of chemicals.

The  vinyl  chloride  decision provided  the
decision-making framework for the NESHAPs
independent of, yet consistent with, the risk
management  approach  adopted  by many
EPA's programs.

Technologically  Enhanced
Naturally Occurring
Radioactive Materials

                Over  the past 20 years,
                EPA and other Federal and
                State agencies, industries,
                and  other  organizations
                have identified an array of
                naturally  occurring
                materials that, because of
human activity, may present a radiation hazard
to people  and the environment.   These
materials are known as  technologically en-
hanced   naturally   occurring  radioactive
                                          35

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materials, or TENORM.5  In general terms,
TENORM  is   material   containing
radionuclides that are present  naturally  in
rocks, soils, water, and minerals and that have
become concentrated and/or exposed to the
accessible environment as a result of human
activities such as manufacturing, water treat-
ment, or mining operations. The NAS defines
TENORM  as   "any  naturally  occurring
material not subject to regulation under the
Atomic  Energy  Act  whose  radionuclide
concentrations  or  potential   for  human
exposure have been increased above levels
encountered in  the natural state by human
activities." [89]  Much TENORM contains
only trace amounts of radiation and is part of
our everyday landscape.   Some TENORM,
however, contains very high concentrations of
radionuclides  that  can   produce  harmful
exposure levels.  EPA is concerned  about
TENORM because  of  this potential  for
harmful  exposure  to   humans  and the
environment.

The radionuclide radium-226, a decay product
of uranium and thorium with a radiation decay
half-life of 1,600 years, is commonly found in
TENORM materials  and wastes and is the
principal source of radiation doses to humans
from natural surroundings. While normally
occurring in soils of the United States  at
concentrations ranging from  less than 1  to
slightly more than 4 picocuries per  gram
(pCi/g, where picocuries  are a measure  of
radiation content in a material),  Radium-226
in  TENORM   materials  can occur  in
concentrations  ranging from undetectable
5  Before 1998, the term used for these materials was
"Naturally Occurring Radioactive Materials"
(NORM). Based on more current industry and
regulatory practice, the term "TENORM" now is
considered more appropriate. TENORM is used
throughout this report.
amounts to as  much as several hundred
thousand pCi/g.  In comparison, EPA  has
issued  guidance  that   recommends  that
radioactively contaminated soils  should be
cleaned up so remnant radium concentrations
are 5 pCi/g or less. This level would provide
for a reasonably reduced risk from long term
exposure.   [90,91]     Total   amounts   of
TENORM  wastes produced in the United
States annually may be in excess of 1 billion
tons.

Environmental Regulations

Legislative Authority
The CAA provides EPA the authority to set
NESHAPs at 40 CFR Part 61. This authority
applies to any TENORM sources specified by
EPA  that engage in  activities resulting in
emissions of a hazardous air pollutant into
ambient air. [82]

The SDWA provides EPA the authority to set
standards  for radioactivity  in community
drinking water systems at 40 CFR Part 141.
This authority applies to all TENORM; the
principal concern is radium, but may also
include  uranium. [75]

The  CWA provides EPA the  authority to
protect the waters of the United States (e.g.,
rivers, lakes, and wetlands) from pollution.
The   CWA  is  implemented  through  the
National Pollutant  Discharge  Elimination
System  (NPDES).  This system requires all
pollutant discharges to the waters  of the
United States to comply with certain pollutant
discharge  criteria.   EPA  has  the authority
under  the  CWA  to  regulate  non-AEA
radioactive materials (e.g., TENORM). [95]

CERCLA provides broad Federal authority to
respond directly to  releases  or threatened
                                           36

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releases of hazardous substances that may
endanger public health or the environment,
and to assure permanent cleanup of contami-
nated sites listed on the NPL. Radionuclides
are considered  hazardous substances under
CERCLA by virtue of their listing as HAPs
under the CAA, and are treated the same as
any   other  carcinogen   under   Superfund
regulations.  Although  CERCLA excludes
source, byproduct, or special nuclear materials
from the definition of "release," TENORM is
subject to CERCLA. [96]

RCRA applies to active and future facilities,
and provides EPA the authority to regulate
hazardous  wastes from   "cradle-to-grave,"
including  minimization,  generation,  trans-
portation,  treatment,  storage, and disposal.
RCRA   exempts solid   waste, including
TENORM  produced,  from  the  extraction,
beneficiation,  and processing of ores  and
minerals (Bevill exclusion) and oilfield wastes
from  regulation  as  hazardous wastes.
Additionally,  source,  special  nuclear,  or
byproduct material as defined by the AEA of
1954 as amended, are exempt. [47]

Internal/External Triggers
In  1978  and   1983,  the  Conference  of
Radiation   Control   Program   Directors
(CRCPD) published  reports titled Natural
Radioactivity   Contamination   Problems,
Numbers 1 and 2, providing recommendatio-
ns for the protection of public health from
exposure to TENORM. These reports recom-
mended that EPA  study the risk assessment
and management of TENORM. [92,93]

The  issue was  further highlighted  by the
following two events:

   •   In 1986, significant levels of radioac-
       tivity were found at the Street facility
       in Mississippi. This facility removed
       scale  and  residue  from  salvaged
       oilfield equipment for Chevron and
       Shell  Oil  Co6.    Street  and  its
       employees filed a suit against Chevron
       alleging personal injury and property
       damage resulting from the company's
       "failures   to   conduct  reasonable
       inspections  of the equipment and to
       warn the employees of the associated
       dangers." The Federal  District Court
       found Chevron liable for damages to
       workers at the facility. [94]

   •   Following the discovery of TENORM
       at  the Street  facility,  playground
       equipment and fences were found to
       be contaminated with TENORM at a
       number of locations in Mississippi and
       Louisiana. This equipment was made
       from oilfield  equipment donated by
       the industry. [94]

Finally, as  directed  by  Congress,    EPA
contracted with the NAS for a comprehensive
review of guidance and regulations, developed
by regulatory and advisory organizations, for
indoor radon and other sources of TENORM.
The 1999 NAS study found Federal and State
organizations used the same  scientific and
technical information as the basis for their risk
estimates.  The  differences  in  individual
organizations numerical  guidelines, which
may vary significantly, were  attributed to
different risk management  strategies  and
organizational missions. [89]

EPA Actions
EPA initiated studies in the 1970s to assess
the risk to human health and the environment
from industrial releases of TENORM.  EPA
                                                Shell settled its claims prior to trial.
                                          37

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began with an evaluation of mining, milling,
and smelting operations since they processed
large quantities of ore, and there was little
information about how these activities release
radioactive emissions.  EPA continued the
evaluation  of   other  NORM  producing
industries,  and  developed  the  following
regulations under CAA, SOW A, CWA, and
CERCLA to control exposures to these low
levels of radiation.

Clean Air Act
In 1989, EPA promulgated the NESHAPs for
radionuclides including four  standards for
releases of TENORM from both surface and
underground mines as well as the production
of phosphoric acid as follows:

Elemental Phosphorus Facilities - To gain a
better understanding of TENORM releases,
EPA conducted extensive radiological surveys
of  airborne  releases   at  three  elemental
phosphorus plants: FMC Thermal Processing
Plant, Pocatello, Idaho; Stauffer Elemental
Phosphorus Plant, Silver Bow, Montana; and
Monsanto  Company  Plant,  Columbia,
Tennessee. The significant releases of radio-
nuclides for this industry were polonium-210
and lead-210 that were volatilized by the high
temperatures in the calciner stacks.  [97] Al-
though significant amounts of radium were
contained in the slag,  the  radon emanation
rate was  very low since  the radium  was
encapsulated. However, the gamma exposure
was found to be fifteen times that of back-
ground. [98,99]   The  NESHAP  standard,
promulgated in 1989, regulates polonium-210
emissions from elemental phosphorus plants.
[36] No separate standard was promulgated
for lead-210 since control of polonium ensures
control of lead as well.  Gamma radiation is
not regulated since it is not considered a HAP
under the CAA.
Phosphogypsum Stacks - Phosphogypsum is
the primary byproduct generated from the wet-
acid process of producing phosphoric acid. To
protect human and environmental health, the
EPA  required   the  placement   of
phosphogypsum wastes in isolated "stacks" or
piles.   There   are  about  sixty-three
phosphogypsum stacks in the United States,
ranging in size from 2 to almost 300 hectares,
and from 3 to about 60 meters high. After an
extensive study, EPA  found that the radon
released from the stacks present low levels of
risk to millions of people.  Subsequently, a
NESHAP  standard was  promulgated  to
regulate   radon   emissions   from
phosphogypsum stacks. [34]

Surface Uranium Mines  - Until the early
1960s, uranium was commonly mined in open
pit mines from ore deposits near the surface.
During this process, the topsoil (overburden)
is  piled on land beside the pit and saved for
reclamation. The large  surface area created by
the pit and overburden, both of which contain
elevated levels of radium, allowed higher than
normal radon emissions to be released into the
atmosphere.  In 1988, EPA  surveyed two
active mines in Texas  and Wyoming and 25
inactive  mines  in Arizona,  New Mexico,
Colorado,  South   Dakota,  Texas,   and
Wyoming and determined health risk to be
very low.  Since these mines were already
regulated  by  State  and   Federal  mine
reclamation laws and there was no reason to
believe that new mines would be constructed
since the  industry was   depressed, EPA
decided not to set  a  NESHAP regulating
emissions from surface mines. [36]

Underground  Uranium  Mines  -  EPA
conducted  a  site-by-site  assessment  of
operating or operable  underground uranium
mines, and found that the risk to  nearby
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individuals  from  exposure to  the  radon
emissions from mine vents, in some cases,
may be relatively high. The 1989 NESHAP
regulates radon emissions from underground
uranium mines. [83]

Safe Drinking Water Act
Water used for municipal  purposes  comes
from lakes, streams, reservoirs, and aquifers
that contain  varying amounts of naturally
occurring  radionuclides.   This   water  is
generally treated to ensure its safety.  The
sludge generated from the treatment process
may contain  elevated levels of  TENORM.
EPA has  developed  a  draft  document,
Suggested  Guidelines  for  Disposal  of
Drinking Water Treatment Wastes Containing
Radioactivity, to provide assistance to drink-
ing water treatment facilities for the disposal
of wastes resulting  from  the  treatment  of
drinking water.  These guidelines are intended
to fill the gaps in State regulations for disposal
of TENORM wastes. [99]

Clean Water Act
CWA  provides EPA the  authority  to set
standards for liquid discharges of TENORM
from mines  or mills.  In  1982, EPA set
standards for releases from the production of
uranium, radium, and vanadium into surface
waters.  These  limits are  based on  "best
available control technology." [100]

Comprehensive Environmental Response.
Compensation, and Liability Act
CERCLA addresses  TENORM  within the
same risk management scheme as chemicals
(see Superfund Program  on page 42).

Diffuse Norm Scoping Document
In the mid-1980s  to the  mid-1990s, EPA
began developing a report to characterize and
evaluate the potential risks from  TENORM
generated from a variety of common activities.
The  draft report, NORM Waste Character-
ization,  presented  a  preliminary   risk
assessment, NORM waste characterization,
and generic risk assessment information for
generation, handling, disposal, and use in each
of the identified NORM sectors. This report
also  summarized  the  literature for several
major industrial sectors that produce NORM,
including industries  EPA has  previously
evaluated (discussed  above) as well as  the
following industries:   metal  mining  and
processing other than  uranium, oil and gas
production and processing, and geothermal
energy production.   In  1999, the  Agency
decided to concentrate its efforts on issuing
technical reports on one sector at a time.

Impact of EPA Actions
EPA has developed regulations, under several
different  environmental   laws,   limiting
TENORM releases  to air  and water, and
establishing cleanup goals for  contaminated
soil.  The implementation of these regulations
has protected  people  and  the environment
from the harmful effects of ionizing radiation.

Indoor Radon Exposure in Florida
In 1975, approximately 83 percent of U.S.
phosphate rock was mined in Florida, with the
remainder in Tennessee and several western
States. Uranium and radium-226 are present
in the phosphate ore and the overburden. The
presence of radium-226 and its decay products
is a potential source of gamma  exposure, but
of greater concern is exposure to radon gas.
[102]

Legislative Authority
See above (page 30).

EPA Actions
In 1975,  EPA initiated  a  pilot  study to
                                           39

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examine the radiological impact of living in
structures built on reclaimed phosphate land.
The field investigations identified high levels
of radon in some structures built on reclaimed
phosphate land in Florida  when  compared
with structures built  on  unmined land.  In
September 1975, EPA informed the Governor
of Florida that the Agency had found elevated
radon decay product levels in  these homes,
noting that  the primary  health  concern is
increased risk of lung cancer to the occupants.
The EPA recommended that "as  a  prudent
interim  measure the start of construction of
new buildings on  land   reclaimed  from
phosphate  mining  area  be  discouraged."
Florida  requested a follow-up  investigation
and guidance from EPA. [102]

In 1978, the Florida Department of Health and
Rehabilitative Services (HRS) issued  the
results of an additional study of indoor radon
and gamma radiation levels in houses located
in  phosphate  mining  areas;  this  report
confirmed the earlier results reported by the
EPA.

EPA conducted a more comprehensive study,
and in February 1979 published the results in
Indoor Radiation Exposure Due to Radium-
226 in Florida Phosphate Lands. This report
provided an estimate of the radiation levels in
existing structures,  an evaluation of cost-
effectiveness of controls, an evaluation of the
social  and  economic  impact  of potential
radiation protection controls, and a delineation
of the  alternatives  available  for radiation
protection to minimize adverse risk to the
public. [103]  Governor Bob Graham directed
HRS  to appoint  a  task  force  to further
investigate the issue and recommend policies
to address the health risks of people living on
reclaimed phosphate land.
Impact of EPA Actions
The  three above-mentioned studies,  which
examined the radiological impacts of living in
structures built on reclaimed phosphate land,
led to the  promulgation of a new Florida
statute, which effectively changed the  way
mined land is managed in the State. [103]

These were among the first studies to be
conducted to evaluate the impact of living in
structures built  on reclaimed land, and  they
launched the U.S. program to identify and
limit  exposure  of the U.S.  population to
indoor radon.

The numerical level recommended for radon
in this study became the national action level
that is still in effect today (albeit expressed in
different units).  [102]

Cleanup Rule

                    By   1990,   it   was
                    evident   that  the
                    Federal   government
                    needed more and  con-
                    sistent  guidance  for
                    cleaning up radioac-
                    tively  contaminated
                    sites.  Although clean-
up activity was ongoing in all environmental
media (e.g. soil, groundwater, air)  by several
different Federal agencies, progress was slow
due to public concerns, technical complexity,
and the lack of consistent regulations.

Legislative Authority
The  Atomic Energy Act provides EPA the
broad authority to develop generally applica-
ble environmental radiation  standards. [1]

CERCLA authorizes EPA to take  corrective
action whenever a site has been listed on the
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National Priorities List (NPL). [96] This can
occur due to contamination by any hazardous
substance, including radionuclides.

Internal/External Triggers
In the early 1990s, Senator John Glenn (D-
Ohio) held a series of hearings that high-
lighted problems experienced by EPA, DOE,
DoD, and NRC at sites contaminated with
radiation.  As an outcome, in late 1991, EPA
began to develop a "Cleanup Rule" to reduce
the uncertainty  associated  with  determining
the  cleanup level needed  to protect human
health and the  environment.    DOE was
committed to  the  rule's development  and
provided funds  to EPA to  cover the cost of
development. This approach held the promise
of  providing a precedent for  interagency
cooperation.

In March 1992, the Administrator of EPA and
the  Chairman  of NRC  signed  a  MOU,
"Guiding  Principles   of   EPA/NRC
Cooperation and Decisionmaking." The goal
of this MOU was to define the division of
responsibilities  and to  foster  cooperation
between the organizations  in fulfilling their
responsibilities to ensure protection of human
health and the environment. Principles in the
MOU included  conformance with the radia-
tion protection  responsibilities set  out in
Reorganization  Plan No.  3,  and avoiding
unnecessary,   duplicative,   or  piecemeal
regulatory requirements for NRC-licensees. It
was envisioned that this MOU would expedite
the development of the Cleanup Rule.

EPA Actions
In 1993, EPA developed the Issues Paper on
Radiation   Site   Cleanup Regulations.,  and
made it available for public comment. [104]
During  this period, EPA sought input from
individuals actively involved in environmental
and   radioactive  materials  management
through the establishment of a subcommittee
under  the  National  Advisory Council  on
Environmental   Policy   and  Technology
(NACEPT) that met several times in 1993 and
1994. During the last NACEPT meeting, EPA
released an early draft of the proposed rule for
public comment.  [59]  In addition,  EPA
requested  comments from the EPA Science
Advisory Board (SAB) concerning approaches
for developing and implementing the standard.

The goals  of the draft proposed rule were to:
provide clear,  consistent, and  protective
health-based  cleanup  standards;  promote
beneficial  land  uses;  facilitate  consistent
radiation site cleanup; be implementable; and
promote innovative technologies. It was to be
applicable  to  all  sites contaminated  with
radioactive material subject to the AEA and to
sites covered under the authority of CERCLA,
including the land  and structures at Federal
facilities,  Superfund sites, and  NRC-  and
Agreement  State-licensees.     The   draft
proposed rule  assumed the property would
ultimately be   released to the  public.  It
specified an individual protection limit of 15
mrem/yr ground water standards based on the
SDWA MCLs, and provided flexibility with
respect to land use.

During the  OMB   review,  there   was
disagreementbetweentheFederal agencies on
both  the   proposed  level  of  individual
protection and  the  use of MCLs for ground
water protection.   In December 1996,  EPA
withdrew the proposed rule.

Impact of EPA Actions
NRC,  DOE,  and EPA  each  continued
development  of  separate regulations  or
guidance for their own agencies to follow in
cleaning up sites contaminated with radioac-
                                          41

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tive materials.

On August 22,  1997, EPA issued an OSWER
Directive Establishment of Cleanup Levels for
CERCLA Sites with Radioactive Contamina-
tion. This directive clarified cleanup criteria
for radiation consistent with the criteria for
hazardous chemicals. [105]

On February  12,   1998,  EPA  issued  an
OSWER Directive,  Use of Soil Cleanup
Criteria in 40 CFR Part 192 as Remediation
Goals for CERCLA Sites.   This directive
addresses the use of the soil cleanup criteria in
40 CFR Part  192 when  setting remediation
goals  at CERCLA sites contaminated with
radioactive materials. [106]

Superfund Program

                    The Superfund pro-
                    gram applies to con-
                    taminated sites listed
                    on the NPL based on
                    criteria for the degree
                    of hazard they pose
                    under  provisions  of
the National Contingency Plan (NCP). Fifty-
five of these are Federal sites, most of which
are associated with  past  DOE  weapons
operations. These DOE sites comprise over
98% of the total volume of soils contaminated
with man-made radioactive materials in the
United States. [107]

The  Radiation Protection Division (RPD)
works closely with the Superfund Program to
ensure  that  radioactive  contaminants  at
Superfund sites are addressed in a protective
manner.  RPD assists in two primary areas:
site-specific support,  such as site monitoring
programs, analysis and interpretation of site
data, and work on emergency removal actions;
and program-wide efforts such as develop-
ment  of  technical and  policy  guidance,
technology reviews, and training in assessing
and addressing radiological hazards.

Legislative Authority
CERCLA provides  EPA  broad  Federal
authority to  respond directly to releases or
threatened releases of hazardous substances
that  may endanger  public  health  or the
environment, and to assure permanent cleanup
of contaminated  sites listed  on the NPL.
CERCLA excludes source,  byproduct,  or
special nuclear material from the definition of
"release."7 [96]

Internal/External Triggers
Radionuclides  are  considered  hazardous
substances under CERCLA by virtue of their
listing  as HAPs under the CAA,  and are
treated the same as any other carcinogen under
Superfund  regulations.  The  majority  of
radioactively contaminated sites (i.e., those
administered by DOE) were listed on the NPL
in the  years immediately  following  1989,
when Congress mandated that DOE enter into
cleanup agreements with EPA and the States
under CERCLA.

EPA Actions

Guidance Development
In 1988-1989, EPA developed Section 7 of
Superfund's  Hazard Ranking  System Rule,
which  is  the schematic  for  "ranking"  or
placing sites on the NPL. This rule, finalized
on March 8,  1990, provided guidance for the
consistent scoring of sites contaminated with
radiation. [108]
7  See 42 USC 9601(22) for definition of
"release."
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In the late  1980s  and early  1990s,  RPD
collaborated with Superfund in the develop-
ment of a series of documents collectively
entitled  Risk  Assessment  Guidance for
Superfund (RAGS). [ 109,110,111 ]  RAGS
provide guidance to evaluate risks to human
health and the environment from exposure to
radioactive  and nonradioactive  hazardous
substances  at CERCLA sites.  It provides
guidelines  for  assessing  baseline   risks,
developing preliminary remediation goals, and
evaluating risks for remedial action alterna-
tives.

RPD also developed the Radiation Exposure
and  Risk Assessment Manual: Risk Assess-
ment Using Radionuclide  Slope Factors
(RERAM),   which   provides  detailed
documentation  of the methodology used by
EPA to develop health risk assessments. [112]
These slope  factors are incorporated into the
Health Effects Assessment Summary Tables
(HEAST) and  are used to estimate excess
cancer  risks  associated  with  radiation
exposure at Superfund sites. [113] RERAM
was developed as a supplement to the RAGS.

When the Cleanup Rule effort stalled, RPD
continued to  work with  the  Superfund
program to incorporate  guidance for cleanup
of  radioactive   materials  into  Superfund
gui dance. Thi s effort 1 ed to the devel opment
of the 1997 OSWER Directive Establishment
of Cleanup Levels for CERCLA Sites with
Radioactive   Contamination.  [105]    This
guidance reaffirms  that protective cleanup
criteria  for   radioactive  contamination at
CERCLA sites  are the  same as those for all
other carcinogens,  and  specifies that 15
mrem/y satisfies these criteria.

The    Superfund  Soil  Screening   Level
Guidance (SSLG), developed by OSWER in
1996, provides a methodology for evaluating
the  risk  at  Superfund  sites.  [106]  This
evaluation considers the concentration of the
hazardous contaminants present, and guidance
on the number and location of samples to be
taken to determine if cleanup is needed.

In 1998, EPA issued the directive titled Use
of Soil Cleanup Criteria in 40 CFR Part 192
as Remediation Goals for CERCLA  Sites.
[106] It addressed the use of the soil cleanup
criteria in 40 CFR Part 192 as an ARAR at
Superfund sites.

The Multi-Agency Radiation Survey and Site
Investigation Manual (MARSSEVI), issued in
1997, is a multi-agency consensus document
that was developed to provide a single Federal
basis for designing protocols to investigate,
characterize,   and  remediate  radioactive
contamination in the environment. It provides
information on how to plan, conduct, evaluate,
and  document environmental  radiological
surveys of surface soil and building surfaces
for demonstrating  compliance with regula-
tions. [114]

On-Site Support
RPD's radiation laboratories, the National Air
and   Radiation  Environmental  Laboratory
(NAREL) in Montgomery,  Alabama and the
Radiation  and  Indoor Environments National
Laboratory (RI&ENL) in Las Vegas, Nevada
provide on-site support for site assessment and
characterization. The laboratories' unique fleet
of mobile radiological laboratories and support
vehicles provide sample collection, analyses, and
comprehensive cleanup support activities. The
labs  provide assistance  to the Superfund and
RCRA programs, DOE, and DoD.

Impact of EPA Actions
Risks associated with exposure to chemical
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and   radioactive  contamination  have
traditionally been  evaluated and managed
using different methods and risk management
criteria.  RPD's work with the  Superfund
program has helped to develop a consistent
national  approach to  the  remediation  of
chemical and radioactive contamination. This
work  helped  ensure   that  radioactive
contamination  is  addressed   early   and
consistently in the Superfund process.

The MARSSEVI manual provides, for the first
time, a uniform approach to assessment and
verification   for   all   Federal   site
decontamination  and  cleanup   activities
regardless of the cleanup level desired.
                                          44

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Emergency Response

Working closely with its partners in other
Federal  agencies as well as State and local
governments, ORIA is prepared to respond to
radiological emergencies including accidents
at  nuclear  power  plants,   transportation
accidents, and  deliberate  acts  of nuclear
terrorism.   In  the  event  of a  nuclear
emergency, EPA employs  specially trained
Regional, Headquarters, and Laboratory staff,
sophisticated equipment, and mobile and fixed
laboratories to provide crucial scientific and
technical  support   to  State  and  local
governments, and other Federal agencies.

EPA's two  radiological laboratories,   the
Radiation and Indoor Environments National
Laboratory (R&IENL) in Las Vegas, Nevada
and the National Air and Radiation Environ-
mental Laboratory (NAREL) in Montgomery,
Alabama, provide the majority of the EPA
personnel and  field and  lab  equipment in
support  of a Federal response to a nuclear
emergency.  The lab's unique fleet of mobile
radiological laboratories and support vehicles
provide  the capability for on-site sample
collection,  analyses,  and  comprehensive
cleanup  support.

Legislative Authority
The  AEA provides  EPA  the authority to
"advise the President with respect to radiation
matters, directly or indirectly affecting health,
including guidance for all Federal agencies in
the formulation of radiation standards and in
the establishment and executions of programs
of cooperation with the states."

The  Public  Health  Service  Act (PHSA)
provides EPA:  the  primary  responsibility
within the executive branch for the collection,
analysis,   and  interpretation  of  data  on
environmental radiation levels; the authority
to develop protective action guides; conduct
routine   and   special  surveillance   and
monitoring; and to provide technical assistance
to the States in  responding to  an emergency
affecting public health.

CERCLA  provides EPA  a broad Federal
authority to respond directly  to releases or
threatened releases of hazardous substances,
including  radionuclides  that may  endanger
public health or the environment.  CERCLA
does not  apply to  radiological  accidents
indemnified by  the Price Anderson Amend-
ments to the AEA (i.e., commercial nuclear
facilities).  DoD is the lead for any response at
a DoD facility.

The Clean Water Act (Section 311) provides
EPA the authority  similar to CERCLA, but
specific to navigable waterways.

Radiological Emergency
Response
                This   section  discusses
                EPA's role in responding
                to radiological emergen-
                cies,  including those  at
                nuclear power plants  as
                well as lost or abandoned
                sources.
Three Mile Island - Emergency Response at
the Cross Roads
On March 28,  1979, a series of mechanical,
electrical, and human failures led to a partial
meltdown of the reactor core of the  Three
Mile Island (TMI) nuclear power  plant in
Harrisburg, Pennsylvania, allowing a release
of radioactive coolant to  the atmosphere.
                                          45

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There were  no injuries.  This accident did
however,  identify significant coordination
issues within the different Federal and State
agencies responsible  for  responding to a
radiological emergency, and led to a complete
overhaul of the Federal emergency response
system.  (This is discussed in more detail in
the Radiological Emergency Response Plan
section.)

Legislative Authority
See above (page 45).

EPA Actions
EPA played a  significant role in response to
the accident at TMI, primarily by supporting
the  Federal  effort   to   characterize  the
radioactive releases after the accident. EPA
assumed  responsibility   for   off-site
environmental monitoring and analysis  for
nine years.    In  1988,   this  monitoring
responsibility was transferred to the State of
Pennsylvania.

Impact of EPA Actions
EPA's radiation monitoring  and assessment
activities provided the information needed to
assure the public that the release of radioactive
was minimal, and there was no threat to public
health.  EPA continued monitoring for nine
years after the accident.

Radiological Emergency Response Plan
The accident at TMI had a profound effect on
the way the Federal government responds to
radiological  emergencies.   Prior to TMI,
Federal  agencies developed individual plans
for a response to a radiological emergency.
There was no  coordinated plan or overall
organization, leading to confusion during the
response.  In the aftermath of TMI, President
Carter   created  the  Federal  Emergency
Management Agency (FEMA) to lead the
effort to reorganize the Federal  emergency
response.

Legislative Authority
On July 20,  1979,  President Carter issued
Executive Order  12148,   transferring the
Federal lead role  in  off-site radiological
emergency  planning   and  preparedness
activities from the NRC to the newly formed
FEMA. FEMA's responsibilities  encompass
activities  that   take   place  beyond  the
boundaries of the nuclear power  plant.  On-
site activities continued to  be the  respon-
sibility of the NRC.  [115]

On September  29,  1980, President Carter
issued Executive  Order  12241, directing
FEMA to develop  a National Contingency
Plan.

Internal/External Triggers
As directed  by President  Carter,  FEMA
developed aNational Contingency Plan (NCP)
called the Federal Radiological  Emergency
Response Plan (FRERP). FEMA published
the plan in November 1985, establishing an
organized, integrated  response by  Federal
agencies to peacetime radiological emergen-
cies in the  United States.    The  FRERP
specified the roles and  responsibilities of
Federal, State, and local government; required
Federal agencies to develop  agency-specific
response  plans   called  the  Radiological
Emergency Response Plans (RERPs);  and
provided for the Radiological  Emergency
Response Team (RERT), a designated special
response force as the primary mechanism to
respond to nuclear emergencies.

In March 1982,  FEMA issued   regulations
establishing  the   Federal  Radiological
Preparedness   Coordinating   Committee
(FRPCC)  to   coordinate  all  Federal
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responsibilities and to assist State and local
governments  in   radiological   emergency
planning and preparedness. [116]

There are  currently 17 Federal agencies that
have  a role  in  responding to a  nuclear
emergency;  the major players  are  FEMA,
NRC, DOE, DoD, and EPA.

EPA Actions
EPA's RERP, first published in 1986, defined
EPA's authorities, organization, responsibili-
ties,  and   capabilities  for  responding  to
radiological emergencies in the environment.
The plan was  revised in January 2000. The
current plan describes EPA's role in develop-
ing and implementing training programs for
State and local officials  on protective action
guides,  radiation  dose assessment,  and
decision making and  effective use of Agency
assets in the event of a nuclear accident. [117]

RERT  capabilities   include  conducting
environmental  monitoring,   performing
laboratory analyses, and providing advice and
guidance on measures to protect the public.
When required, the RERT may also exercise
EPA's authority under the FRERP to coordi-
nate the Federal response to  a nuclear emer-
gency.  The RERT works with other Federal
agencies and State and local  governments to
plan and  participate  in  nuclear  emergency
response  exercises.   Additionally, RERT
personnel  continually  update their  multi-
disciplinary skills  and  provide training  to
other organizations charged with responding
to nuclear emergencies.

EPA also  has  participated in the first major
Federal  radiological  exercises - Full  Field
Exercises  (FFEs)  1 and  2.  These exercises
examined  the  ability  of Federal agencies to
support a State response  to simulated nuclear
power plant accidents.

Impact of EPA Actions
EPA is prepared to respond in the event of a
radiological emergency, and provides training
and support to assist States in preparing for a
radiological emergency response.

Chernobyl - An International Incident
On April 26, 1986, unauthorized testing  of
reactor number four at the Soviet Union's
Chernobyl nuclear power station caused it to
explode and burn, emitting large quantities of
radioactive material into the environment.

Internal/External Triggers
The White House designated EPA to lead the
Federal response to this emergency.

EPA Actions
EPA began to monitor and assess radioactivity
in the United States, based in  part on daily
samples from its Environmental Radiation
Ambient  Monitoring  System  (ERAMS)
stations.  EPA's monitoring activities  first
detected radiation from the Chernobyl power
station, at ground level on the West Coast, one
week after the  accident, well  below levels
requiring protective action.

EPA also dispatched response personnel  to
Europe  to monitor  and  assess levels  of
radioactivity in the U.S. embassies.

Impact of EPA Actions
EPA's radiation monitoring and assessment
activities provided the information needed to
assure the nation that radiation levels in the
United States remained below levels requiring
protective actions.
                                           47

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Lost and Abandoned Radiation Sources

Legislative Authority
See above (page 45).

Internal/External Triggers
The FRERP was modified after the accident at
Chernobyl to include responses to  smaller
emergencies such as lost radiation sources or
lost  radioactive  material.   In  the  revised
FRERP,  EPA was  assigned Lead  Federal
Agency (LFA) for coordinating the  Federal
response to lost and abandoned radiological
materials. [118]

EPA Actions
EPA utilized its authorities under CERCLA to
respond to lost and/or abandoned radiation
sources that present an imminent danger to
public health and safety.  The  first of these
types of responses was conducted in  1989 at
the abandoned Radium Chemical Company
facility located in a light industrial  area in
New  York City.   Thousands  of curies of
radium were abandoned because the owner
did not have the financial capability to clean
up the facility. EPA successfully removed all
the hazardous and radioactive  material  and
cleaned up the facility.

EPA  responds  to  dozens  of  requests  for
assistance annually from  State and local
officials that discover radioactive material in
local   landfills  or  scrap  metal  recycling
facilities.

Impact of EPA Actions
EPA  works  closely  with the   scrap metal
industry, States, and other Federal regulatory
agencies to identify the source  of the lost or
abandoned   radioactive material,   and  to
address the  impact  on humans and   the
environment.
Radiological Emergency
Preparedness

                        Since  the   early
                        1970s,  EPA has
                        been involved in
                        numerous   radio-
                        logical  emergency
                        preparedness ac-
tivities both nationally and  internationally.
EPA has supported State preparedness and
planning for responding to nuclear incidents
through the development of  State plans and
emergency response guidance. EPA also has
participated in emergency response drills and
exercises.  The most significant activities are
briefly discussed below.

Protective Action Guides
One of EPA's most important  emergency
preparedness activities is the  development of
Protective Action Guides (PAGs). PAGs are
projected levels  of radiation at which State
and local officials should take action to pro-
tect the public from radiation exposure. They
are used by Federal, State, and local officials
with responsibility for  emergency response
planning in the event of a nuclear incident.
[119]

Legislative Authority
See above (page 45).

Internal/External Triggers
In 1975, the General Services Administration
(GSA) outlined the responsibilities of various
Federal agencies for radiological  emergency
response planning.   EPA was  given the
responsibility to establish PAGs for the levels
at which protective actions should be taken by
governmental  authorities to  minimize the
consequences of a radiological incident. [120]
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EPA Actions

Manual of Protective Action Guides and
Protective Actions for Nuclear Incidents
This manual was developed to provide State,
local, and other officials criteria to use in the
development of their State radiological emer-
gency response plans for nuclear power reac-
tors. It provided information for both evacua-
tion and sheltering of the public  during a
nuclear incident, and  included PAGs for
exposure to airborne radioactive materials.
This document recognized the need for, but
did not establish, PAGs  for exposure  from
radioactively contaminated food or water, and
radioactive material deposited on property or
equipment. [121]

In 1980, this manual was updated. PAGs for
an airborne plume were revised to apply to a
much broader range of situations.  However,
the recommendations still applied only to
nuclear power reactors.

The Manual of Protective Action Guides and
Protective Actions for Nuclear Incidents was
revised again in 1991 after extensive consulta-
tion with all affected Federal  agencies. The
new recommendations adopted lower, more
protective values, and now applied to all types
of nuclear incidents.  This guidance has been
accepted by all Federal agencies and States
and applies to all nuclear sites, both Federal
(including military) or commercial,  nation-
wide. [119]

PAGs for Accidents from Nuclear
Powered Satellites
After the 1978 crash Cosmos 954, the Soviet
nuclear powered satellite, in a remote part of
Canada, the U.S. became  concerned about
accidents with satellites containing radioactive
material. EPA began working with NASA to
develop PAGs for accidents during the launch
of nuclear powered satellites and took part in
the deployment of emergency response assets
during the launch of the Ulysses and Galileo
space craft.  Because of the potentially wide
distribution of radionuclides during an aborted
launch or reentry, this effort required consid-
erable coordination  between EPA and other
Federal, State, and local government agencies
and the international community.

Impact of EPA Actions
PAGs are used to guide decision makers in
determining the most prudent action to take in
the  event  of a radiological emergency - no
action, seek shelter,  or evacuate.

The PAGs are incorporated into all State plans
for responding to a radiological emergency at
a nuclear power plant.

EPA  was  on-site  during preparations  for
several spacecraft launches involving radioac-
tive materials, including the Cassini mission
to  Saturn  and  the Galileo  and Ulysses
missions  to  Jupiter.  In   the  event  of an
accident, EPA was prepared to respond.

Working with International Organizations

Legislative Authority
See above (page 45).

Internal/External Triggers
As a result of EPA's response to the accident
at the Chernobyl, the scope of the FRERP was
expanded to include responses to accidents in
foreign countries that may impact the  United
States. EPA was assigned LFA for coordinat-
ing the Federal response foreign radiological
emergencies.
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EPA Actions
EPA is working with the International Atomic
Energy Agency  (IAEA)  and  the  Nuclear
Energy Agency (NEA) to improve the ability
to respond  to nuclear accidents that  have
transboundary impacts. To better prepare for
such an incident, EPA has participated in the
NEA's  International  Nuclear  Emergency
Exercise (INEX)  series of exercises in  1995
and again in 1999.

EPA has organized and conducted RADEX 94
in Anchorage,  Alaska in 1994 under the
auspices  of  the  Arctic  Environmental
Protection Strategy. This international exercise
involved Russia,  Canada,  Norway,  Sweden,
Denmark, Finland, and the United States, and
examined the issues  surrounding a  nuclear
accident that had an impact on the Arctic
environment.

Impact of EPA Actions
EPA  is better prepared to coordinate  with
international organizations in the event of a
transboundary   radiological   emergency
response.

Counterterrorism

Legislative Authority
The U.S. Policy on Counter-Terrorism (PDD-
39), issued June 21,1995, established how the
United  States will  respond  to  the  use of
weapons of mass destruction by terrorists. EPA
has the responsibility to provide support to the
FBI during crisis management operations and
to FEMA during consequence  management
operations. EPA assistance may include threat
assessment,   agent  identification,   hazard
detection  and   mitigation,  environmental
monitoring, and long-term site restoration. [122]

Protection Against Unconventional Threats to
the Homeland and Americans Overseas (PDD-
62) issued May 22,  1998,  directed EPA to
provide support to FEMA for consequence
management.   EPA is further  directed to
support State and  local responders  plan for
terrorist events, coordinate activities with key
Federal partners,  and  provide  training to
emergency responders. [123]

Presidential  Decision Directive 63, Critical
Infrastructure Protection,  issued May 22,
1998, ensures the continuity and viability of the
United States' critical infrastructure. EPA, and
all other Federal departments and agencies, are
required to:  develop  a  Critical Infrastructure
Protection Plan (CIPP) to protect its critical
infrastructure;  conduct an  assessment  of
infrastructure  vulnerabilities; and develop a
plan to address all the vulnerabilities in a timely
manner.

Enduring  Constitutional  Government  and
Continuity of Government, PDD-67, issued
October 21, 1998 directs the development of
plans and capabilities to assure the continuity of
government,  at  all levels, in any  national
security situation  that  might confront the
Nation.

Internal/External Triggers
In response to  the Tokyo subway  sarin gas
attack in March 1995 and the bombing of the
Murrah Building in 1995 in Oklahoma City, the
United States government increased its efforts
to combat terrorism.

EPA Actions
Because of its role in responding to terrorist
events, EPA is working closely with the FBI
and FEMA to develop plans and procedures
that implement the instructions contained in the
Presidential   guidance   addressing  terrorist
activities. EPA has also participated in terrorist
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training exercises such Mirrored Image  in
preparation for the Atlanta Olympic Games and
Exercise TopOffwhich involved Cabinet-level
officials in an exercise for the first time.

EPA has been working with DoD to prepare for
accidents involving nuclear weapons in their
custody and has participated in exercises such
as Diagram Jump in Seattle, Display Select in
Virginia.

Impact of EPA Actions
As a result of EPA's participation in numerous
planning and  preparedness  work  groups,
training activities, exercises  and drills, and
responses to real events, the Agency is prepared
to coordinate effectively with our partners in
other Federal agencies as well as State and
local  governments to ensure a timely and
effective response to a radiological emergency
involving terrorist activities.

The  development  of PAGs  has led to a
consistent national approach to protecting both
nuclear emergency response personnel and the
general public  in  the event of  a  nuclear
incident.   PAGs are used  by all  Federal
agencies and States.

Environmental Radiation
Ambient Monitoring System

                    The   Environmental
                    Radiation   Ambient
                    Monitoring  System
                    (ERAMS) is the  na-
                    tion's   most  compre-
                    hensive  means  of  ac-
                    quiring and  analyzing
environmental radiation data. ERAMS stations
are distributed across the nation and regularly
sample the nation's air, precipitation, drinking
water, and milk.  Station  locations  provide
broad geographical  and optimal population
coverage.  All station operators are volunteers
provided mainly by State agencies, or, in some
cases, local governments.

Legislative Authority
See PHSA above (page 45).

Internal/External Triggers
Following the  1963 moratorium  on atmo-
spheric nuclear weapons testing, the focus of
many radiological environmental monitoring
systems shifted to baseline, trend analysis, and
emergency preparedness.

EPA Actions
In 1973, EPA established ERAMS by consoli-
dating various components of existing radiation
monitoring networks into one system. These
components included  the Radiation  Alert
Network, the Tritium Surveillance System, the
Interstate Carrier Drinking Water Network, and
the Pasteurized Milk Network.

ERAMS operates in either an emergency or
routine  mode.   During routine  conditions,
samples are collected and  analyzed on estab-
lished schedules, producing data that can be
used to perform baseline and trend analysis of
radioactivity in  the  environment.   During
emergency conditions, the sampling schedule is
accelerated to daily sampling and the data are
used to determine the immediate and long-term
environmental and public health impacts.

EPA compiles the ERAMS data quarterly and
publishes it in Environmental Radiation Data
(ERD) reports.

Impact of EPA Actions
During its more than twenty years of operation,
ERAMS  has   been  most   successful   in
developing  an   important   environmental
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radiation database, providing information about
weapons tests, and reporting upon significant
releases of radioactivity into the environment
such as the Chinese weapons tests of 1976 and
1977, Three  Mile Island  in  1979,  and the
Chernobyl incident in 1986. ERAMS was the
nation's principal source of comprehensive data
for those events.

Data  generated  by  ERAMS  have  been
published  in  the quarterly data-only journal
Environmental Radiation Data (ERD). Each
issue of the ERD is entered into the National
Technical  Information  Service  (NTIS)
clearinghouse.
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 Appendix A: Statutory Authorities, Executive Orders,
                  and Other Reference Documents
The  mission  of the  radiation  protection
program is  derived from numerous statutory
authorities,  Executive  Orders, Presidential
Decision Directives, and Federal plans. Some
of these documents, such as the Clean Air Act,
address radioactive emissions only as part of
the  much larger problem  of air pollution,
whereas other documents, such as the Waste
Isolation  Pilot Plant Land  Withdrawal Act,
directly address EPA's role  in the disposal of
radioactive  waste.  The radiation protection
program has evolved significantly over the last
thirty years as these  documents  have been
implemented.    EPA's radiation  protection
authorities are briefly described below.

1944 - Public Health Service Act
(42 USC 201 et seq.)

The PHSA provides EPA with the authority to
conduct monitoring of environmental radiation,
perform research on the environmental  and
human health effects of exposure to radiation,
and provide training and technical assistance to
the States. Under Reorganization Plan No. 3 of
1970, EPA was assigned  the authority of
Section 31 l(c)(l) to develop, and implement as
needed, a plan to effectively provide personnel,
equipment, medical supplies, or other Federal
resources to respond to health emergencies.

1946 - Atomic Energy Act, as amended  in
1954 (42 USC 2011 et seq.)

The  AEA  established  the Atomic  Energy
Commission (AEC) to promote the "utilization
of atomic energy for peaceful purposes to the
maximum extent consistent  with the common
defense and security and with the  health  and
safety of the public."   Under Reorganization
Plan No. 3, EPA was transferred the authority
of  the  AEC  for  "establishing  generally
applicable environmental  standards for the
protection of the general  environment  from
radioactive materials. As used herein, standards
mean limits on radiation exposures or levels,
concentrations  or quantities  of radioactive
material, in the general environment outside
the boundaries of locations under the control of
persons   possessing  or   using  radioactive
material."   EPA  also was transferred the
authority  of the  Federal Radiation Council
(FRC) under the AEA to "advise the President
with respect to radiation  matters, directly or
indirectly affecting health, including guidance
for all Federal agencies in the formulation of
radiation  standards and in the establishment
and executions of programs  of  cooperation
with the states."

1959 - EO 10831, Establishing the Federal
Radiation Council

The Federal Radiation Council  (FRC) was
issued July 24,1959, by President Eisenhower.
The FRC was composed of the Secretary of
Defense,  the Secretary of Commerce, the
Secretary of Health,  Education, and Welfare,
and the  Chairman  of the  AEC.  It was
established to  "advise  the President  with
respect  to  radiation  matters  directly  or
indirectly affecting health..." The Council was
given the authority to seek technical advice, in
respect of its functions, from any source  it
deems appropriate.  These authorities  were
transferred to EPA under Reorganization Plan
No. 3, 1970.
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1963 - Clean Air Act, as amended in 1970,
1977,1990 (42 USC 7401 et seq.)

Section 122 of the CAAA of 1977 directed
EPA to review all  relevant information and
determine whether  emissions of radioactive
pollutants into ambient air will  cause or
contribute to air pollution that may reasonably
be  anticipated to  endanger public health.
Section 112 required EPA to publish and, from
time-to-time, revise a  list  of hazardous air
pollutants (HAPS),  and to develop a program
to  promulgate,   implement,  and  enforce
emission standards for  listed pollutants.  The
Administrator   was   directed  to   establish
national emission standards "at the level in his
judgement provides an ample margin of safety
to protect public health." This gave EPA the
authority  to   develop  NESHAPs   for
radionuclides.   In  addition, the listing of
radionuclides as hazardous pollutants  meant
that the emergency response requirements of
CERCLA also applied to accidental releases of
radioactive material.

Section 103  of the CAA provides EPA broad
authority to gather information, provide grants,
to  conduct  or promote research,   and   to
coordinate and accelerate training.

1972 - Marine Protection, Research, and
Sanctuaries Act, as amended in 1977
(32 USC 1401 et seq.)

The MPRSA authorizes EPA to issue permits
and promulgate regulations for disposing of
materials  into the  territorial waters of the
United States when it will not degrade or
endanger  human  health, welfare, ecological
systems,  the  marine  environment,  or  the
economy.   It  specifically  prohibits  ocean
disposal of HLW and requires a permit for any
other ocean disposal activity. Any request for
ocean disposal of LLW requires a permit that
must be approved by both houses of Congress.
1972 - Federal Water Pollution Control
Act, as amended by the Clean Water Act
of 1977, as amended in 1987 (33 USC 1251
et seq.)

The primary obj ective of the CWA is to restore
and maintain  the  integrity  of the  nation's
waters. The CWA requires major industries to
meet performance standards to ensure pollution
control; charges States and Tribes with setting
specific water quality criteria appropriate  for
their waters and developing pollution control
programs to meet them; provides funding to
States and communities to help them meet their
clean water infrastructure needs; and protects
valuable wetlands and other aquatic habitats
through  a  permitting  process that  ensures
development and other activities are conducted
in an environmentally sound manner.  Section
311 of the  CWA provides the Administrator
with  the   authority  to initiate  and  direct
responses to any accidental releases of oil or
hazardous  substances  when   there   is  a
substantial  threat to  the public health  or
welfare. The NCP implements the emergency
response requirements of Section 311 of  the
CWA.

1974 - Safe Drinking Water Act, as
amended in 1986,1996
(43USCs/s300fetseq.)

SDWA  requires EPA  to promulgate  and
enforce primary standards for contaminants in
public water systems, including radionuclides.
Initially, EPA was to set interim regulations for
a limited group of contaminants and later revise
those  regulations and set standards  for  the
remaining   contaminants.      The   1986
amendments required EPA to develop MCLGs
and MCLs concurrently  and to  finalize  the
interim regulations.  Under this statute  EPA
may delegate program enforcement authority to
the States.
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The 1996 amendments to the SDWA directed
EPA  to: withdraw the proposed NPDWR,
including the proposed MCLG and MCL and
monitoring, reporting, and public notification
requirements for radon, due to the controversy
over the cost-benefit basis  for the proposed
standard; arrange for the NAS to conduct a
formal  study  of radon in  drinking water;
publish  a risk reduction and cost analysis for
possible radon MCLs  by  February  1999;
promulgate the radon MCLG and NPDWR for
drinking water by the year 2000; develop an
alternative MCL  for radon,  as  directed to
ensure that any revised drinking water standard
will   maintain  or  increase  public  health
protection;  and  review all drinking  water
regulations every six years.

SDWA  also provides EPA  with  emergency
response authority. Section 143 l(a) directs the
Agency  to take the necessary actions to protect
the public health  during  emergencies  that
affect public drinking water supplies.

1976 - Resource Conservation and
Recovery Act, as amended in 1984,1986
(42 USC 6901 et seq.)

RCRA  gives EPA the authority to regulate
hazardous waste from "cradle-to-grave." This
authority   includes   the  minimization,
generation, transportation, treatment, storage,
and disposal of hazardous waste. RCRA  also
set forth a framework for the management of
non-hazardous solid  wastes. RCRA focuses
only on  active and future facilities. It does not
address  abandoned or historical sites. Source,
special  nuclear,  or  byproduct material as
defined  by the AEA is specifically excluded
from RCRA.

1978 - Uranium Mill Tailings Radiation
Control Act (42 USC 2022 et seq.)

UMTRC A amended the AEA by directing EPA
to  set  generally  applicable  health   and
environmental  standards   to   govern  the
stabilization, restoration, disposal, and control
of effluents and emissions at both active and
inactive mill tailings sites.

Title I of the Act covers inactive uranium mill
tailing sites,  depository sites,  and vicinity
properties. EPA was directed to set standards
to provide  protection  consistent  with the
requirements of RCRA to the maximum extent
possible,  and  to  include ground  water
protection limits.    DOE  was  directed  to
implement these standards for the tailings piles
and the vicinity properties.  Upon completion
of site  cleanup  and  uranium mill tailings
stabilization work, NRC was directed to review
the completed actions for compliance with EPA
standards. NRC licenses the site for perpetual
care to the State or DOE.

Title n of the Act covers  operating uranium
processing sites licensed by the NRC. EPA was
directed to promulgate disposal standards in
compliance with Subtitle C of the Solid Waste
Disposal Act, as amended, to be implemented
by NRC or the Agreement States.  The 1993
Amendments to  UMTRCA further directed
EPA  to  promulgate  general  environmental
standards  for the  processing,  possession,
transfer, and disposal of uranium mill tailings.
NRC  was  required to  implement  these
standards at Title n sites.

1979 - EO 12148, Federal Emergency
Management

EO 12148 was issued on July 20,1979,  by
President Carter in response to the accident at
the Three Mile Island Nuclear Power Plant. It
assigned  FEMA  the  responsibility  for
developing a National Contingency Plan for
responding to accidents  at nuclear  power
plants. FEMA published the first version of the
FRERP in 1985.   An updated FRERP was
published on May 1, 1996.
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1980 - Low-Level Radioactive Waste
Policy Act, as amended in 1985
(42 USC 2021b et. seq.)

The LLRWPA  requires each  State to  be
responsible for providing disposal capacity for
commercial LLW generated within its borders
by January 1, 1986.  It encouraged States to
form  regional  compacts  to  develop  new
disposal  facilities.    The   LLRWPA  was
amended in 1985 to provide States more time
to develop facilities and to provide incentives
for volume reduction of LLW.

1980 - Comprehensive Environmental
Response, Compensation, and Liability
Act, as amended, 1986,1990
(42 USC 9601 et seq.)

CERCLA (commonly known as Superfund)
created a tax  on the chemical and petroleum
industries and provided broad Federal authority
to respond directly to releases or threatened
releases of hazardous substances, pollutants,
and contaminants that may  endanger public
health or the environment.  CERCLA defines
hazardous sub stances by reference to other li sts.
Since  the  CAAA  list  radionuclides  as
hazardous substances, they  are  covered  by
CERCLA.

CERCLA authorizes two kinds  of response
actions: short-term removals where actions may
be  taken to  address releases  or threatened
releases  requiring  prompt  response;   and
long-term remedial  response actions  that
permanently  and  significantly  reduce  the
dangers associated with releases or threats of
releases  of  hazardous   substances that are
serious,  but not immediately life  threatening.
Long-term remedial response actions can only
be conducted only at sites listed on EPA's NPL.

Short-term  removal   actions   (emergency
responses) may be taken at any site at which a
release or threatened release occurs.  These
response actions are conducted in accordance
with the concept of operations contained in the
NCP  (40  CFR Part 300).   Section  105 of
CERCLA requires  the development of the
NCP. CERCLA applies to radiological events
at DoD and DOE facilities, but does not apply
to releases from NRC-licensed facilities subj ect
to the requirements of the Price Anderson
Amendments (Section 170) of the AEA.

1982 - Nuclear Waste Policy Act
(42 USC 10101 et seq.)

The NWPA provides the basis for the current
national program for the disposal of SNF and
HLW. The Act established formal procedures
to  evaluate  and  select  sites for geologic
repositories,  as well as  procedures for the
interaction of State and Federal governments.
It provides a  timetable of key milestones the
Federal agencies must meet in carrying out the
program.

The  NWPA  provides   DOE  with   the
responsibility for siting, building, and operating
a deep geologic repository for the disposal of
HLW and SNF. It directs EPA to "by rule
promulgate generally applicable standards for
protection of the general environment from
offsite releases  of radioactive  material  in
repositories."  NRC is required to license DOE
to  operate a  repository  that  meets EPA's
standards and all other relevant requirements.

1985 - Federal Radiological Emergency
Response Plan, as revised in  1996

The FRERP  established  an  organized  and
integrated capability for a timely, coordinated
response by Federal agencies to assist State and
local governments as they respond to peacetime
radiological emergencies (e.g., nuclear power
plant accidents, lost radioactive sources, foreign
nuclear  accidents,   transportation accidents,
etc.).  The FRERP is an interagency agreement
that has no statutory authority of its own. Each
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signatory agency uses its own authorities when
implementing a FRERP response. TheFRERP
covers any peacetime radiological emergency
that  has  actual,  potential,   or  perceived
radiological  consequences within the United
States, its territories, possessions, or territorial
waters and that could require a response by the
Federal government. The FRERP assigns EPA
as the Lead Federal Agency (LFA) to lead and
coordinate the activities  of other Federal
agencies for foreign radiological accidents that
may have an impact on the United States and
for accidents involving radioactive material that
is not owned, licensed, or regulated by another
Federal agency.

1987 - Nuclear Waste Policy Amendments
Act (42 USC 10101 et seq.)

The NWPAA directs DOE to consider Yucca
Mountain as the primary site for  the first
geologic repository for HLW and SNF, and
prohibits DOE  from conducting site specific
activities at a second site, unless authorized by
Congress.  It also requires the Secretary of
Energy to develop a report on the need for a
second repository no later than January 1,2010.

The NWPAA also established a commission to
study the need and feasibility of a monitored
retrievable storage facility.

1988 - EO 12656, Assignment of
Emergency Preparedness Responsibilities

This Executive Order, issued  in November
1988, delineates the roles and responsibilities
of the various Federal agencies in preparing for
and   responding  to  national    security
emergencies. These roles and responsibilities
are based on the existing statutory authorities
and capabilities of the agencies.
1992 - Waste Isolation Pilot Plant Land
Withdrawal Act, as amended in 1996
(PL 102-579)

The WIPP  LWA  reinstated the  disposal
standards that were issued by the Agency in
1985  and  remanded  in  1987,  except for
§191.15 and  §191.16,  and directed EPA to
issue final disposal standards.  It also directed
that the disposal standards at 40 CFR Part 191
would not apply to any site characterized under
section 113(a) of the  NWPA (e.g., Yucca
Mountain).

This Act also provided an extensive role for
EPA  oversight of DOE activities at WIPP.
Specifically, EPA was required to: issue final
standards for disposal of spent nuclear fuel,
high-level radioactive waste, and  TRU waste
(see 40 CFR Part 191  on  page 23); develop
criteria  specifically   for  the  WIPP  that
implement the final disposal standards; certify
that the WIPP is in compliance with 40 CFR
191 if DOE satisfies the criteria; reevaluate the
WIPP every five years to determine whether it
should be recertified; and ensure that the WIPP
complies with other environmental and public
health and safely regulations every two years.

The 1996 WIPP  LWA Amendments (PL104-
201) dictated three major items.  The WIPP
LWA Amendments specified November 30,
1997 as a non-binding date for the WIPP site to
open,  pending certification by EPA that the site
meets environmental regulatory requirements;
exempted  the  WIPP  from RCRA  Land
Disposal   Requirements;   and   withdrew
requirements in the original Act that required
DOE to conduct underground tests on-site with
transuranic waste to determine whether it could
be disposed of safely.

1992 - Energy Policy Act (PL 102-186)

This act requires EPA to "promulgate standards
to ensure protection of public health from high-
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level radioactive wastes in a deep geologic
repository that might be built under  Yucca
Mountain in Nevada."  EPA is further directed
to issue these site-specific public health and
safety standards, "based upon and consistent
with the findings and recommendations of the
National Academy of Sciences..."

1992 - Federal Response Plan, as revised in
1999

The FRP outlines how the Federal government
implements the Robert T.  Stafford Disaster
Relief and Emergency Assistance Act to assist
State  and local governments when a major
disaster  or  emergency  (e.g.,   a  natural
catastrophe;     fire,   flood,  or  explosion,
regardless of cause; etc.) overwhelms their
ability to  respond effectively to  save lives;
protect public health, safety, and property; and
restore their  communities.   It describes the
policies,  planning assumptions,   concept of
operations, response and recovery actions, and
responsibilities  of  twenty-seven  Federal
departments and agencies, including the Red
Cross, that guide Federal operations following
a Presidential declaration of a major disaster or
emergency.

1994 - National Oil and Hazardous
Substances Pollution Contingency Plan
(40 CFR Part 300)

The purpose of the NCP is to  provide the
organizational structure and procedures to
prepare for and respond to discharges of oil and
releases of hazardous substances, pollutants,
and  contaminants which  may   present  an
imminent and  substantial danger to  public
health or welfare of the United States.  The
NCP   provides  for  a  national  response
organization that may be activated in response
actions and specifies the roles and responsibil-
ities of Federal, State, and local governments.
Because radionuclides are listed as hazardous
substances in the Clean Air Act, the NCP
applies to releases of radioactive material.

1995 - FDD 39, U.S. Policy on Counter-
Terrorism

President Clinton issued PDD-39 on June 21,
1995. It establishes how the United States will
respond  to  the  use  of weapons  of  mass
destruction by terrorists.   It assigns specific
preparedness and response duties to  a limited
number of Federal agencies based upon their
existing  statutory  authorities  and  response
capabilities.  The FBI is the Federal lead for the
crisis  management phase of a response to a
terrorist incident, and FEMA is the lead for
coordination  of  Federal  response  activities
during the consequence management phase of
the response. EPA has been directed to provide
support to the FBI during crisis management
operations and to FEMA during consequence
management operations. EPA assistance may
include threat assessment, consultation, agent
identification, hazard detection and reduction,
environmental monitoring,  decontamination,
and long-term site restoration (environmental
cleanup).  It may also include participation on
the   Domestic  Emergency  Support  Team
(DEST)   and   regional  response   team
deployment.   The  CTPCT coordinates  all
Agency activities involving preparing for and
responding to terrorist events.

1998 - FDD 62, Protection Against
Unconventional Threats to the Homeland
and Americans Overseas

PDD-62, issued by President Clinton on May
22, 1998,  directs  the establishment  of an
integrated program to increase the effectiveness
of the United States  in  countering terrorist
threats  and  to  prepare  to   manage  the
consequences of attacks against U.S. citizens or
infrastructure.  Lead agencies, such  as EPA,
designate a Senior Program Coordinator who
will  coordinate  this  effort with  the  U.S.
Government.  This FDD complements the
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directives contained in PDD-39. PDD-62 also
requires  each agency  to  maintain a viable
Continuity  of Operations Plan and to have a
Critical Infrastructure Protection Plan (CIPP).

1998 - FDD 63, Critical Infrastructure
Protection

PDD-63  was issued by President Clinton on
May 22, 1998, to ensure  the continuity and
viability of United States critical infrastructure.
Critical infrastructures  are those physical and
cyber-based systems essential to the minimum
operations  of the economy and government.
These systems are highly automated and inter-
connected,  and thus are vulnerable to physical
and cyber attacks. PDD-63 required EPA and
all other Federal agencies to: develop a CIPP to
protect its  critical  infrastructure; conduct an
assessment of infrastructure  vulnerabilities;
and develop a plan to address all vulnerabilities
in a timely manner.
1998 - FDD 67, Enduring Constitutional
Government and Continuity of
Government

PDD-67 was issued by President Clinton on
October 21, 1998 and directs the development
of  plans   and  capabilities  to  assure  the
continuity of government at all levels in any
national security situation that might confront
the  nation.   It  assigns specific  essential
functions to be performed by Federal agencies
based  on  existing  statutory  authorities  and
response capabilities.
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            Appendix B: Federal Agency Radiation
                               Responsibilities
                The  mission  of the U.S.
                Environmental  Protection
                Agency is to protect human
                health and to  safeguard the
                natural environment — air,
                water, and land —  upon
which life depends on both national and global
levels.   EPA's  radiation   protection
responsibilities originate from both the AEA
and related statutes, as well  as the environ-
mental statutes.  Under the authority of the
AEA  and related  statutes,   EPA develops
generally applicable environmental standards
for Federal  and  State   organizations  to
incorporate into the development  of their
regulations;   develops  regulations   that
implement these standards (e.g., Criteria for
Certification and Re-Certification of WIPP
Compliance  with  40  CFR 191 Disposal
Regulations); and is responsible for developing
guidance for  all Federal agencies  in the
formulation of radiation  standards and the
establishment and execution  of programs of
cooperation  with  the  States.    Under the
authority of the environmental statutes, EPA
develops, implements, and enforces media-
specific  regulations for both chemical and
radioactive environmental pollutants.

                  The  mission  of  the
                  Department   of  Energy
                  (DOE) is to develop and
                  implement a coordinated
                  national energy policy to
                  ensure the availability of
                  adequate energy supplies
and  to  develop  new  energy   sources for
domestic and commercial use.   In addition,
DOE   is  responsible   for  developing,
constructing, and testing nuclear weapons for
the U.S.  military; for managing low- and high-
level  radioactive wastes  generated by  past
nuclear weapons and research programs; and
for constructing and maintaining a repository
for civilian radioactive wastes  generated by
commercial nuclear reactors. DOE develops its
own standards under the authority of the AEA
(known as DOE Orders) and is responsible for
enforcing those as well as EPA regulations at
DOE facilities.
                     mission of the us
            •%. Nuclear   Regulatory
               g Commission (NRC) is to
              Ij ensure adequate protection
                of public health and safety,
                the common defense and
security, and the environment in the use of
certain radioactive materials  in the United
States. The NRC licenses commercial facilities
including nuclear power reactors;  non-power
research, test, and training reactors; fuel cycle
facilities; medical,  academic,  and industrial
uses of nuclear materials; and the transport,
storage, and disposal of nuclear materials and
waste.

Under the authority  of the AEA,  NRC  is
responsible for developing, implementing, and
enforcing  NRC  licensing  criteria,  EPA
standards and regulations, and other Federal
regulations at these facilities.

                 The  Federal  Emergency
                Management  Agency
                 (FEMA) is responsible for
                planning for and respond-
                ing to all types of disasters
                in  the  United    States,
including nuclear incidents. EPA, through its
Emergency Response Team, is one of several
agencies providing guidance and coordination
                                          61

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to the FEMA activities.

                 The Department of Health
                 and   Human   Services
                 (DHHS)  is  the  principal
                 agency for protecting  the
                 health of all Americans and
                 providing  essential human
                 services.   The Food and
Drug Administration (FDA) assures the safety
of  foods and cosmetics,   pharmaceutical s,
biological products, and medical devices. It is
responsible for setting policy for health care
and the use of radiation in the healing arts.

                 The mission of the Depart-
                 ment of Defense (DoD) is to
                 provide the military forces
                 needed to deter  war and
                 protect the security of  the
                 United  States.  DoD   is
responsible for the safe handling and storage of
nuclear weapons  and other  military uses  of
nuclear energy.

                 The Department  of Trans-
                 portation (DOT) is respon-
                 sible  for  the  coordinated
                 national   transportation
                 policy.   It proposes trans-
                 portation      legislation,
                 coordinates  transportation
issues  with other concerned agencies, and
provides technical assistance to States and
cities in  support  of transportation programs.
DOT works with Federal and State agencies to
govern the safe packaging  and  transport  of
radioactive materials.
  The  Department  of  Labor
  (DOL)  is  responsible  for
  preparing  the  American
  workforce for new and better
  jobs,  and  ensuring  the
  adequacy  of   America's
Within DOL, the Occupational
                                    Safety and Health Administration (OSHA) is
                                    responsible for protecting the health of the
                                    American workforce. It develops and enforces
                                    radiation  exposure  regulations,  protecting
                                    workers who are not expressly covered by other
                                    Federal agency regulations.
workplaces.
                               62

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                       Appendix C: Acronyms
AEA         Atomic Energy Act of 1954
AEC         Atomic Energy Commission
ALARA      As Low As Reasonably Achievable
ANPRM      Advanced Notice of Proposed Rulemaking
ARAR       Applicable, Relevant, and Appropriate Regulation
BEIR        Committee on the Biological Effects of Ionizing Radiation
BRH         Bureau of Radiological Health
BSWM       Bureau of Solid Waste Management
B WH        Bureau of Water Hygiene
CAA         Clean Air Act
CAAA       Clean Air Act Amendments
CAG         Compliance Application Guidance
CCA         Compliance Certification Application
CERCLA     Comprehensive Environmental Response, Compensation, and Liability Act
CEQ         Council on Environmental Quality
CIPP         Critical Infrastructure Protection Plan
CMI         Consolidated Minerals, Inc.
COOP       Continuity of Operations
CRCPD      Conference of Radiation Control Program Directors
CWA        Clean Water Act
CWS         Community Water Systems
DHHS       Department of Health and Human Services
DoD         Department of Defense
DOE         Department of Energy
DOI         Department of the Interior
DOL         Department of Labor
DOT         Department of Transportation
EO          Executive Order
EPA         Environmental Protection Agency
ER          Emergency Response
ERA         Energy Reorganization Act of 1974
ERAMS      Environmental Radiation Monitoring System
ERD         Environmental Radiation Data
ERDA       Energy, Research and Development Administration
FDA         Food and Drug Administration
FIFRA       Federal Insecticide, Fungicide, and Rodenticide Act
FRC         Federal Radiation Council
FEMA       Federal Emergency Management Agency
FFE         Full Field Exercises
FRERP       Federal Radiological Emergency Response Plan
FRMAC      Federal Radiological Monitoring and Assessment Center
FRP         Federal Response Plan
FRPCC       Federal Radiological Preparedness Coordinating Committee
                                        63

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FWQA       Federal Water Quality Administration
GERMON    Global Environmental Radiation Monitoring Network
GSA         General Services Administration
HAP         Hazardous Air Pollutant
HE AST      Health Effects Assessment Summary Tables
HEW        Health Education and Welfare
HLW        High-Level Waste
HRS         Florida Department of Health and Rehabilitative Services
IAEA        International Atomic Energy Agency
INEX        International Nuclear Emergency Exercise
LAMW      Low Activity Mixed Waste
LFA         Lead Federal Agency
LLRWPA    Low-Level Radioactive Waste Policy Act
LLW         Low-Level Waste
MARSSEVI   Multi-Agency Radiation Survey and Site Investigation Manual
MCL         Maximum Contaminant Level
MCLG       Maximum Contaminant Level Goal
MOU        Memorandum of Understanding
MPRSA      Marine Protection,  Research, and Sanctuaries Act of 1972
NACEPT     National Advisory  Council on Environmental Policy and Technology
NAPCA      National Air Pollution Control Administration
NAREL      National Air and Radiation Environmental Laboratory
NARM       Naturally Occurring and/or Accelerator Produced Radioactive Material
NAS         National Academy of Sciences
NASA       National Aeronautics and Space Administration
NAS-NRC    National Academy of Sciences - National Research Council
NCP         National Contingency Plan
NEA         Nuclear Energy Agency
NESHAPs    National Environmental Standards for Hazardous Air Pollutants
Nffl         National Institutes  of Health
NIPDWR     National Interim Primary Drinking Water Regulation
NORM       Naturally Occurring Radioactive Material
NPDES      National Pollutant Discharge Elimination System
NPDWR     National Primary Drinking Water Regulation
NPL         National Priorities  List
NRC         Nuclear Regulatory Commission
NRDC       National Resources Defense Council
NRS         National Response System
NSPS        New Source Performance Standards
NWPA       Nuclear Waste Policy Act
NWPAA     Nuclear Waste Policy Act Amendments
OAQPS      Office of Air Quality Planning and Standards
OAR         Office of Air and Radiation
OCRWM     Office of Civilian Radioactive Waste Management
OMB        Office of Management and Budget
ORIA        Office of Radiation and Indoor Air
                                         64

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OSWER     Office of Solid Waste and Emergency Response
PAG         Protective Action Guide
FDD         Presidential Decision Directives
PHSA        Public Health Service Act
POTWS      Publicly-Owned Treatment Works
RAGS        Risk Assessment Guidance for Super fund
RCRA       Resource Conservation and Recovery Act
RERAM     Radiation Exposure and Risk Assessment Manual: Risk Assessment Using
             Radionuclide Slope Factors
RERT        Radiological Emergency Response Team
R&IENL     Radiation and Indoor Environments National Laboratory
RPD         Radiation Protection Division
SAB         Science Advisory Board
SDWA       Safe Drinking Water Act
SNF         Spent Nuclear Fuel
S SLG        Superfund Soil Screening Level Guidance
TENORM    Technologically Enhanced Naturally Occurring Radioactive Materials
TFI          The Fertilizer Institute
TMI         Three Mile Island
TRU         Transuranic Waste
TSCA        Toxic Substances Control Act
UMTRCA    Uranium  Mill Tailings Radiation Control Act
UNSCEAR   United Nations Scientific Committee on the Effects of Atomic Radiation
USG         U.S. Gypsum Co.
USD A       Department of Agriculture
WIPP        Waste Isolation Pilot Plant
WIPP LWA   Waste Isolation Pilot Plant Land Withdrawl Act
YM          Yucca Mountain
                                         65

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               66

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Appendix D: Organizational History
      EPA
   Administrator
Assistant Administrator
over Radiation Programs
  Office Director for
 Radiation Protection
(and Predecessor Orgs.)
197O
1971
1972
1973
1974
1975
1976
1977
1978
1979
198O
1981
1982
1983
1984
1985
1986
1987
1988
1989
199O
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
William D.
Ruckleshaus
Russell E. Train
Douglas M. Costle
Ann M. Gorsuch
William D.
Ruckleshaus
Lee M. Thomas
William K. Reilly
Carol Browner
^-..
v-
\

	


	



	


	
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\
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David Dominick
Donald M. Mosiman
Robert L. Sansom
Roger Strelow
David G. Hawkins
Kathleen M. Bennett
Joseph A. Cannon
Charles L. Elkins
(Acting)
J. Craig Potter
Don R. Clay
(Acting)
William G. Rosenberg
Michael H. Shapiro
(Acting)
Mary D. Nichols
Richard D. Wilson
(Acting)
Robert Perciasepe
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Joseph A. Lieberman
William D. Rowe
William A. Mills
(Acting)
David M. Rosenbaum
Gordon Burley
(Acting)
Glen J. Sjoblom
Sheldon Meyers
Richard J. Guimond
Margo T. Oge
E. Ramona Trovato
Larry Weinstock
(Acting)
Stephen Page































                       67

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               68

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                        Appendix E: References

1.    The White House, President R. Nixon, Press Release, July 9, 1970.

2.    The White House, President R. Nixon, "Reorganization Plan No. 3 of 1970", in the Federal
     Register 35 FR 15623-15625, October 6, 1970.

3.    House of Representatives, 91 Cong., 2nd Sess. Hearings before a Committee on Government
     Operations, Hearing pp 77,  142, 1970.

4.    Health, Education and Welfare, J.A. Lieberman, Assistant Administrator for Research and
     Development, "EPA Radiation Organization", November 20, 1970.

5.    The White House, President D. Eisenhower, Executive Order 10831, August 14,  1959.

6.    O'Very, D. P., and Richardson, A.C.B., "Regulation of Radiological and Chemical
     Carcinogens: Current Steps Toward Risk Harmonization", The Environmental Law Reporter.,
     25, 10655-10670, December 1995.

7.    Federal Radiation Council, Guidance for the Control of Radiation Hazards in Uranium
     Mining, Federal Guidance Report No.  8, Staff Report,  September 1967.

8.    U.S. Environmental Protection Agency, "Underground Mining of Uranium Ore, Radiation
     Protection Guidance for Federal Agencies", in the Federal Register 36 FR 132, July 9, 1971.

9.    U.S. Environmental Protection Agency, "Radiation Protection Guidance to Federal Agencies
     for Diagnostic X Rays", in the Federal Register 43 FR 4377, February 1, 1978.

10.   National Academy of Sciences/National Research Council, The Effects on Populations of
     Exposure to Low Levels of Ionizing Radiation. (BEIR I),  1972. National Academy Press,
     Washington, D.C.

11.   U.S. Environmental Protection Agency, "Diagnostic X Rays, Radiation Protection Guidance,
     Invitation to Comment", in the Federal Register 42 FR 4884, January 26, 1977.

12.   U.S. Environmental Protection Agency, Occupational Exposure to Ionizing Radiation in the
     United States, A Comprehensive Review for the Year 1980 and a Summary of Trends for the
     Years 1960-1985, EPA-520/1-84-005, September 1984.

13.   U.S. Environmental Protection Agency, "Radiation Protection Guidance to Federal Agencies
     for Occupational Exposure," in the Federal Register 52 FR 2822, January 27, 1987.

14.   U.S. Environmental Protection Agency, "Federal Radiation Protection Guidance for
     Exposure of the General Public, Notice", in the Federal Register 59 FR 246, December 23,
     1994.

                                          69

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15.   U.S. Environmental Protection Agency, Radiation Protection Guidance for Diagnostic X
     Rays, Federal Guidance Report No. 9, EPA-520/4-76-19, October 1976.

16.   U.S. Environmental Protection Agency, The Radioactivity Concentration Guides, Federal
     Guidance Report No. 10, EPA-520/1-84-010, December 1984.

17.   U.S. Environmental Protection Agency, Limiting Values of Radionuclide Intake and Air
     Concentration and Dose Conversion Factors for Inhalation, Submersion, and Ingestion,
     Federal Guidance Report No. 11, EPA-520/1 -88-020, 1988.

18.   U. S. Environmental Protection Agency, External Exposure to Radionuclides in Air, Water,
     and Soil, Federal Guidance Report No. 12, EPA-402/R-93-081, 1993.

19.   U.S. Environmental Protection Agency, Cancer Risk Coefficients for Environmental
     Exposure to Radionuclides, Federal Guidance Report No.  13, EPA-402/R-99-001, September
     1999.

20.   National Academy of Science/National Research Council, Advisory Committee on the
     Biological Effects of Ionizing Radiations, Considerations of Health-Benefit-Cost Analysis for
     Activities Involving Ionizing Radiation Exposure and Alternatives (BEIR n), 1977. National
     Academy Press, Washington, D.C.

21.   National Academy of Sciences/National Research Council, Committee on the Biological
     Effects of Ionizing Radiations,  The Effects on Populations of Exposure to Low Levels of
     Ionizing Radiation (BEIR HI), 1980. National Academy Press, Washington, D.C.

22.   National Academy of Sciences/National Research Council, Committee on the Biological
     Effects of Ionizing Radiations, Health Risks of Radon and Other Internally Deposited Alpha-
     Emitters (BEIR IV), 1988. National Academy Press, Washington, D.C.

23.   National Academy of Sciences/National Research Council, Committee on the Biological
     Effects of Ionizing Radiations, Health Effects of Exposure to Low Levels of Ionizing
     Radiation (BEIR V), 1990. National Academy Press, Washington, D.C.

24.   National Academy of Sciences/National Research Council, Committee on the Biological
     Effects of Ionizing Radiations, Health Effects of Exposure to Radon (BEIR VT), 1999.
     National Academy Press, Washington, D.C.

25.   Atomic Energy Act, Public Law 83-703, as amended, 42 USC 2011 et seq., 1954.

26.   Executive Office of the President, Office of Management and Budget, Roy L. Ash,
     Responsibility for Setting Radiation Protection Standards (Memo), December 7, 1973.

27.   U.S. Environmental Protection Agency, "Radiation Protection for Nuclear Power Operations,
     Proposed Standards", in the Federal Register 40 FR 23420, May 29, 1975.
                                           70

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28.   U.S. Environmental Protection Agency, "40 CFR Part 190, Environmental Protection
     Standards for Nuclear Power Operations, Final Rule", in the Federal Register 42 FR 2858,
     January 13, 1977.

29.   U.S. Environmental Protection Agency, Environmental Radiation Dose Commitment: An
     Application to the Nuclear Power Industry, EPA-520/4-73-002, February 1974.

30.   Uranium Mill Tailings Radiation Control Act, Public Law 95-604, 92 Stat. 3021, 42 USC
     2022, et seq., 1994.

31.   U.S. Environmental Protection Agency, "National Emission Standards for Hazardous Air
     Pollutants; Addition of Radionuclides to List of Hazardous Air Pollutants", in the Federal
     Register 44 FR 76738, December 27, 1979.

32.   U.S. Environmental Protection Agency, "40 CFR Part 192, Standards for Remedial Actions
     at Inactive Uranium Processing Sites; Final Rule", in the Federal Register 48 FR 590,
     Januarys, 1983.

33.   U.S. Environmental Protection Agency, "40 CFR Part 192, Environmental Standards for
     Uranium and Thorium Mill Tailings at Licensed Commercial Processing Sites; Final Rule",
     in the Federal Register 48 FR 196, October 7, 1983.

34.   U.S. Environmental Protection Agency, "40 CFR Part 192, Standards for Remedial Actions
     at Inactive Uranium Processing Sites; Proposed Rule", in the Federal Register 52 FR 36001.
     September 24, 1987.

35.   U.S. Environmental Protection Agency, "40 CFR Part 192, Groundwater Standards for
     Remedial Actions at Inactive Uranium Processing Sites; Final Rule", in the Federal Register
     60FR2854, January 11, 1995.

36.   U.S. Environmental Protection Agency, "40 CFR Part 61, National Emission Standards for
     Hazardous Air Pollutants; Radionuclides; Final Rule and Notice of Reconsideration", in the
     Federal Register 54 FR 240, December 15, 1989.

37.   U.S. Environmental Protection Agency, "40 CFR Part 61, National Emissions Standards for
     Hazardous Air Pollutants; Final Rule", in the Federal Register 59 FR 36280, July 15, 1994.

38.   U.S. Environmental Protection Agency, "40 CFR Part 192, Health and Environmental
     Standards for Uranium and Thorium Mill Tailings; Final Rule", in the Federal Register 58
     FR 60340, November 15, 1993.

39.   U.S. Environmental Protection Agency, Ground-Water Protection Standards for Inactive
     Uranium Tailings Sites (40 CFR 192), EPA-520/1-88-023, March 1989.

40.   U. S. Environmental Protection Agency, Regulatory Impact Analysis of Final Environmental
     Standards for Uranium Mill Tailings at Active Sites, EPA-520/1-83-010,  September 1983.

                                          71

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41.   Nuclear Waste Policy Act of 1982, Public Law 97-425, 42 USC 10101, January 7, 1983.

42.   Marine Protection, Research, and Sanctuaries Act, 33 USC 1801 et seq., 1972.

43.   U.S. Environmental Protection Agency, "40 CFR 220, Ocean Dumping, Final Revision of
     Regulations and Criteria", in the Federal Register 42 FR 2462, January 11, 1977.

44.   Low-Level Radioactive Waste Policy Act, Public Law 96-573, as amended, 42 USC 2021b et
     seq., 1985.

45.   Low-Level Waste Forum, Summary Report Low-Level Radioactive Waste Management
     Activities in the States and Compacts., Vol. 6, No. 2, September 1998.

46.   U. S. Environmental Protection Agency, RCRA  Orientation Manual, EPA-530/R-98-004,
     May 1998.

47.   Resource Conservation and Recovery Act, Public Law 94-580, as amended, et seq., 1984.

48.   U.S. Environmental Protection Agency/U.S. Nuclear Regulatory Commission, Draft Joint
     Guidance on the Storage of Mixed Low-level Radioactive and Hazardous Waste., August
     1995.

49.   U.S. Environmental Protection Agency, "40 CFR Part 266, Storage, Ttreatment,
     Transportation, and Disposal of Mixed Waste; Proposed Rule", in the Federal Register 64
     FR 63464, November 19, 1999.

50.   Foutes, C.E., Czyscinski, K.,  Colli, A., and Gruhlke, J., Benefits of Alternate Approaches to
     the Disposal of Low-Activity Mixed Waste, 1998.

51.   Waste Isolation Pilot Plant Land Withdrawal Act, Public Law 102-579, as amended, 1992.

52.   U.S. Environmental Protection Agency, "Recommendations for Federal Guidance, Criteria
     for Radioactive Wastes", in the Federal Register 43 FR 53262, November 15, 1978.

53.   U.S. Environmental Protection Agency, "Withdrawal of Proposed Regulations Federal
     Register", in the Federal Register 46 FR 17567, March 19, 1981.

54.   U.S. Environmental Protection Agency, "40 CFR Part 191, Environmental Standards for the
     Management and Disposal of Spent Nuclear Fuel, Fligh-Level and Transuranic Radioactive
     Wastes; Final Rule", in the Federal Register 50 FR 38066, September 19, 1985.

55.   U.S. Environmental Protection Agency, "40 CFR Part 191, Environmental Standards for the
     Management and Disposal of Spent Nuclear Fuel, Fligh-Level and Transuranic Radioactive
     Wastes", in the Federal Register 47 FR 58196, December 29,  1982.

56.   NRDC vs. EPA, 824F.2d 1258 (1st Cir.  1987).

                                          72

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57.   U.S. Environmental Protection Agency, "40 CFR Part 191, Environmental Radiation
     Protection Standards for the Management and Disposal of Spent Nuclear Fuel, High-Level
     and Transuranic Radioactive Wastes", in the Federal Register 58 FR 66398, December 20,
     1993.

58.   U.S. Environmental Protection Agency, High-Level and Transuranic Radioactive Wastes -
     Background Information Document for Amendments to 40 CFR Part 191, EPA-402/R-93-
     073, November 1993.

59.   National Academy of Sciences/National Research Council, Disposal of Radioactive Wastes
     on Land, Publication 519,  1957. National Academy Press, Washington, D.C.

60.   National Academy of Sciences/ National Research Council, Committee on Radioactive
     Waste Management, Disposal of Solid Wastes in Bedded Salt Deposits, November 1970.
     National Academy Press, Washington, D.C.

61.   Memorandum Decision Granting Permanent Injunction. 783F. Supp. 633 (D.D.L.  1992).

62.   New Mexico v. Watkins, 969 F  2d 1122 (D.C. Cir. 1992).

63.   National Security and Military  Applications of Nuclear Energy Authorization Act of 1979,
     Public Law No 95-509.

64.   U.S. Environmental Protection Agency, "Criteria for the Certification and Recertification of
     the Waste Isolation Pilot Plant's Compliance with the 40 CFR Part 191 Disposal Regulations,
     Final Rule", in the Federal Register 61 FR 5224, February 9, 1996.

65.   U.S. Environmental Protection Agency, Compliance Application Guidance for 40 CFR Part
     194, EPA-402/R-95-014, March 29, 1996.

66.   U.S. Environmental Protection Agency, "40 CFR 194, Criteria for the Certification and
     Recertifi cation of the Waste Isolation Pilot Plant's Compliance with the Disposal
     Regulations: Certification Decision; Final Rule", in the Federal Register 63 FR 27354, May
     18, 1998.

67.   Department of Energy, Environmental  Assessment Overview, Yucca Mountain Site, Nevada
     Research and Development Area, DOE/RW-0079, May 1986.

68.   Department of Energy, Recommendation by the Secretary of Energy of Candidate Sites for
     Site Characterization for the First Radioactive-Waste Repository, DOE/S-0048, May 1986.

69.   Nuclear Waste Policy Amendments Act of 1987, Public Law 100-203, December 22, 1987.

70.   Energy Policy Act of 1992, Public Law 102-486, October 24,  1992.
                                          73

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71.   National Academy of Sciences/National Research Council, Committee on Technical Bases
     for Yucca Mountain Standards, Technical Bases for Yucca Mountain Standards., 1995.
     National Academy Press, Washington, D.C.

72.   U.S. Environmental Protection Agency, "40 CFR 197, Environmental Radiation Protection
     Standards for Yucca Mountain, Nevada, Propsed Rule", in the Federal Register 64 FR
     47012, 1999.

73.   U. S. Environmental Protection Agency, Draft Yucca Mountain Background Information
     Document, 1999.

74.   National Interim Primary Drinking Water Standards, EPA-270/9-76-003, 1976.

75.   Safe Drinking Water Act, 42 USC 300f et.seq.,  1974.

76.   U.S. Environmental Protection Agency, "Drinking Water Regulations Radionuclides", in the
     Federal Register 41 FR 28402, July 9, 1976.

77.   U.S. Environmental Protection Agency, "National Primary Drinking Water Regulations;
     Radionuclides; Proposed Rule", in the Federal Register 56FR33Q5Q, July 18, 1991.

78.   U.S. Environmental Protection Agency, "National Primary Drinking Water Regulations;
     Radionuclides; Notice of Data Availability; Proposed Rule", in the Federal Register 65 FR
     21575, April 21, 2000.

79.   National Academy of Sciences/National Research Council, Risk Assessment of Radon in
     Drinking Water, 1999. National Academy Press, Washington, D.C.

80.   Environmental Protection Agency, "40 CFR Parts 141 and 142, National Primary Drinking
     Water Regulations; Radon-222, Proposed Rule", in the Federal Register 64 FR 59245,
     November 2, 1999.

81.   U.S. Environmental Protection Agency, "Protecting the Nations Groundwater: EPA's
     Strategy for the 1990s", 570/9-91-011FS, July 1991.

82.   Clean Air Act, 42 USC  7401 et seq., 1970.

83.   U.S. Environmental Protection Agency, "40 CFR Part 61, National Emission  Standards for
     Hazardous Air Pollutants, Standards for Radionuclides", in the Federal Register 48 FR
     15076, April 6, 1983.

84.   U.S. Environmental Protection Agency, "40 CFR Part 61 National Emissions Standards for
     Hazardous Air Pollutants; Standards for Radionuclides, Final Rules", in the Federal Register
     50 FR 5190, February 6, 1985.
                                           74

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85.   U.S. Environmental Protection Agency, "40 CFR Part 61, National Emissions Standards for
     Hazardous Air Pollutants, Standards for Radon-222 Emissions from Underground Uranium
     Mines; Final Rule", mite Federal Register 50 FR 15386, April 17, 1985.

86.   U.S. Environmental Protection Agency, "40 CFR Part 61, National Emissions Standards for
     Hazardous Air Pollutants, Standards for Radon-222 Emissions from Licensed Uranium Mill
     Tailings; Final Rule", in the Federal Register 51 FR 34056, September 24, 1986.

87.   U.S. Environmental Protection Agency, "40 CFR Part 61, National Emissions Standards for
     Radionuclide Emissions From Facilities Licensed by the Nuclear Regulatory Commission
     and Federal Facilities not Covered by Subpart H; Final Rule", in the Federal Register 61 FR
     68971, December 30, 1996.

88.   U.S. Environmental Protection Agency, "40 CFR Part 61, National Emissions Standards for
     Hazardous Air Pollutants, National Emissions Standards for Radon Emissions from
     Phosphogypsum Stacks; Final Rule", in the Federal Register 57 FR 23305, June 3, 1992.

89.   National Academy  of Sciences/National Research Council, Evaluation of Guidelines for
     Exposures to Technologically Enhanced Naturally Occurring Radioactive Materials, 1999.
     National Academy  Press, Washington, D.C.

90.   Myrick, T., Berven, B., and Haywood, "Determination of Concentrations of Selected
     Radionuclides in Surface Soil in the U.S.," Health Physics Journal, 45(3),  631-642, 1983.

91.   U.S. Environmental Protection Agency, Memorandum on Use of Soil Cleanup Criteria in 40
     CFR Part 192 as Remediation Goals for CERCLA Sites, Signed by Stephen T. Luftig,
     Director, Office of Emergency and Remedial Response, and Larry Weinstock, Acting
     Director, Office of Radiation and Indoor Air, Directive No.  92000, 4-25, February 12, 1998.

92.   Conference of Radiation Control Program Directors, Natural Radioactivity Contamination
     Problems Report No.  1, a report of the Task Force, EPA-520/4-77-015, February 1978.

93.   Conference of Radiation Control Program Directors, Natural Radioactivity Contamination
     Problems Report No.  2, a report of the Committee, August 1981.

94.   Cox, J. R., "Naturally Occurring Radioactive Materials in the Oilfield: Changing the Norm",
     Tulane Law Review, 67, 1197, 1993.

95.   Clean Water Act, 33 USC1251 et seq., 1972.

96.   Comprehensive Environmental Response, Compensation, and Liability Act, 42 USC 9601 et
     seq., 1980.

97.   U. S. Environmental Protection Agency, Radionuclides Background Information Document
     for Final Rules Volume I, EPA-520/1-84-022-1, October 1984.
                                          75

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98.   Andrews, V.E., Emissions of Naturally Occurring Radioactivity: Stauffer Elemental
     Phosphorus Plant, EPA-520/6-82-019.

99.   Andrews, V.E., Emissions of Naturally Occurring Radioactivity: Monsanto Elemental
     Phosphorus Plant, EPA-520/6-82-021.

100.   U. S. Environmental Protection Agency,Suggested Guidelines for Disposal of Drinking
     Water Treatment Wastes Containing Radioactivity (Draft), June 1994.

101.   U.S. Environmental Protection Agency, "40 CFR Part 440, Ore Mining and Dressing Point
     Source Category; Final Rules", in the Federal Register 47 FR 54609, December 3, 1982.

102.   U. S. Environmental Protection Agency,Preliminary Findings Radon Daughter Levels in
     Structures Constructed on Reclaimed Florida Phosphate Land, Technical Note ORP/CSD-
     75-4.

103.   U.S. Environmental Protection Agency,Indoor Radiation Exposure Due to Radium-226 In
     Florida Phosphate Lands, EPA-520/4-78-013, February 1979.

104.   U.S. Environmental Protection AgencyJssues Paper on Radiation Site Cleanup Regulations,
     EPA-402-R-93-084, September 1993.

105.   U. S. Environmental Protection Agency,Establishment of Cleanup Levels for CERCLA Sites
     with Radioactive Contamination, OSWER Directive No. 9200, 4-18, August 22, 1997.

106.   U.S. Environmental Protection Agency, Use of Soil Cleanup Criteria in 40 CFR Part 192 as
     Remediation Goals for CERCLA Sites, OSWER Directive No. 9200, 4-25,  February 12,
     1998.

107.   Wolbarst, Anthony E,et al, "Extent of the National Problem of Radioactive Contamination,"
     Health Physics, 77, 247-60, 1999.

108.   U.S. Environmental Protection Agency, "Hazard Ranking System; Final Rule", in the
     Federal Register 55 FR 51532, December 14, 1990.

109.   U.S. Environmental Protection Agency,Risk Assessment Guidance for Superfund Volume I
     Human Health Evaluation Manual (Part A), Interim Final, EPA-540/1-89/002, December
     1989.

110.   U.S. Environmental Protection Agency,Risk Assessment Guidance for Superfund Volume I -
     Human Health Evaluation Manual (PartB), Development of Risk-Based Preliminary
     Remediation Goals Office of Emergency and Remedial Response, EPA-540/R-92/003,
     December 1991.
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111.   U.S. Environmental Protection Agency,Risk Assessment Guidance for Superfund Volume I -
     Human Health Evaluation Manual (Part C), Risk Evaluation of Remedial Alternatives,
     Interim. Office of Emergency and Remedial Response Directive 9285.7.QIC., 1991.

112.   U. S. Environmental Protection Agency,Radiation Exposure and Risk Assessment Manual:
     Risk Assessment Using Radionuclide Slope Factors, EPA-402/R-96-016, 1996.

113.   U.S. Environmental Protection Agency,Health Effects Summary Tables, EPA-540/R-
     95/142, PB95-921101, 1995.

114.   Environmental Protection Agency, Multi-Agency Radiation Survey and Site Investigation
     Manual (MARSSIM), EPA-402-R-97-016, December 1997.

115.   Executive Order 12148, Federal Emergency Management, July 20, 1979.

116.   Federal Emergency Management Agency, "Federal Radiological Emergency Planning and
     Preparedness", in the Federal Register 47, 10758, March 1982.

117.   U.S. Environmental Protection Agency, U.S. Environmental Protection Agency Radiological
     Emergency Response Plan, EPA-402-R-00-003, January 2000.

118.   Federal Emergency Management Agency, "Federal Radiological Emergency Response Plan
     (FRERP); Operational Plan; Notice", in the Federal Register 90, 20944, May 8, 1996.

119.   U.S. Environmental Protection Agency .Manual of Protective Action Guides and Protective
     Actions for Nuclear Incidents, EPA-400-R-92-001, October 1991.

120.   General Services Administration, "Radiological Emergencies", in theFederalRegister 40 FR
     5949, December 1975.

121.   U. S. Environmental Protection Agency jVLanual of Protective Action Guides and Protective
     Actions for Nuclear Incidents, EPA-520/1-75-001, September 1975.

122.   Presidential Decision Directive 39, US.  Policy on Counterterrorism, June 21, 1995.

123.   Presidential Decision Directive 62, Protection Against Unconventional Threats to the
     Homeland and Americans Overseas, May 22, 1998.
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