Pesticides; Data Requirement for Conventional Chemicals, 12277-12353 [05-4466]
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Federal Register / Vol. 70, No. 47 / Friday, March 11, 2005 / Proposed Rules
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Parts 152 and 158
[OPP–2004–0387; FRL–6811–2]
RIN 2070–AC12
Pesticides; Data Requirement for
Conventional Chemicals
Environmental Protection
Agency (EPA).
ACTION: Proposed rule.
AGENCY:
SUMMARY: EPA proposes to update and
revise its data requirements for the
registration of conventional pesticide
products. These data requirements and
those already codified in part 158 of
title 40 of the Code of Federal
Regulations (CFR), are intended to
provide EPA with data and other
information necessary for the
registration of a conventional pesticide
chemical. Since the data requirements
in part 158 were first codified in 1984,
information needed to support the
registration of a pesticide chemical has
evolved as the general scientific
understanding of the potential hazards
posed by pesticides has grown. Over the
years, updated data requirements were
developed by EPA using a process that
involved public participation and
extensive involvement by the scientific
community, including peer review by
the FIFRA Scientific Advisory Panel
(SAP). Most of the data requirements
contained in this proposal have been
applied on a case-by-case basis to
support individual applications, or
imposed via Data Call-In (DCI) on all
registrants of similar products. Although
the data requirements imposed have
progressed as scientific understanding
and concerns have evolved, the codified
data requirements have not been
updated to keep pace. This proposal
involves changes to the codified data
requirements that pertain to product
chemistry, toxicology, residue
chemistry, applicator exposure, postapplication exposure, nontarget
terrestrial and aquatic organisms,
nontarget plant protection, and
environmental fate. Coupled with
updating data requirements, EPA
proposes to add a few new studies,
reformat the requirements, and revise its
general procedures and policies
associated with data submission. By
codifying existing data requirements
which are currently applied on a caseby-case basis, the pesticide industry,
along with other partners in the
regulated community, attain a better
understanding and are better prepared
for the pesticide registration process.
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This proposed rule does not apply to the
data requirements for the registration of
antimicrobial pesticide products; inert
ingredients for pesticide products; spray
drift, product performance (efficacy); or
biochemical, and microbial pesticides.
DATES: Comments must be received on
or before June 9, 2005.
ADDRESSES: Submit your comments,
identified by Docket ID No. OPP–2004–
0387, by one of the following methods:
• Federal eRulemaking Portal. https://
www.regulations.gov. Follow the on-line
instructions for submitting comments.
• Agency Web Site. https://
www.epa.gov/edocket. EDOCKET, EPA’s
electronic public docket and comment
system, is EPA’s preferred method for
receiving comments. Follow the on-line
instructions for submitting comments.
• E-mail. opp-docket@epa.gov.
• Mail. Public Information and
Records Integrity Branch (PIRIB)
(7502C), Office of Pesticide Programs
(OPP), Environmental Protection
Agency, 1200 Pennsylvania Ave., NW.,
Washington, DC 20460–0001.
• Hand Delivery. Public Information
and Records Integrity Branch (PIRIB),
Office of Pesticide Programs (OPP),
Environmental Protection Agency, Rm.
119, Crystal Mall #2, 1801 S. Bell St.,
Arlington, VA. Such deliveries are only
accepted during the Docket’s normal
hours of operation, and special
arrangements should be made for
deliveries of boxed information.
Instructions. Direct your comments to
Docket ID No. OPP–2004–0387. EPA’s
policy is that all comments received
will be included in the public docket
without change and may be made
available online at https://www.epa.gov/
edocket, including any personal
information provided, unless the
comment includes information claimed
to be Confidential Business Information
(CBI) or other information whose
disclosure is restricted by statute. Do
not submit information that you
consider to be CBI or otherwise
protected through EDOCKET,
regulations.gov, or e-mail. The EPA
EDOCKET and the federal
regulations.gov websites are
‘‘anonymous access ’’ systems, which
means EPA will not know your identity
or contact information unless you
provide it in the body of your comment.
If you send an e-mail comment directly
to EPA without going through
EDOCKET or regulations.gov, your email address will be automatically
captured and included as part of the
comment that is placed in the public
docket and made available on the
Internet. If you submit an electronic
comment, EPA recommends that you
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include your name and other contact
information in the body of your
comment and with any disk or CD-ROM
you submit. If EPA cannot read your
comment due to technical difficulties
and cannot contact you for clarification,
EPA may not be able to consider your
comment. Electronic files should avoid
the use of special characters, any form
of encryption, and be free of any defects
or viruses. For additional information
about EPA’s public docket visit
EDOCKET on-line or see the Federal
Register of May 31, 2002 (67 FR 38102).
For additional instructions on
submitting comments, go to Unit I.B. of
the SUPPLEMENTARY INFORMATION section
of this document.
Docket. All documents in the docket
are listed in the EDOCKET index at
https://www.epa.gov/edocket. Although
listed in the index, some information is
not publicly available, i.e., CBI or other
information whose disclosure is
restricted by statute. Certain other
material, such as copyrighted material,
is not placed on the Internet and will be
publicly available only in hard copy
form. Publicly available docket
materials are available either
electronically in EDOCKET or in hard
copy at the Public Information and
Records Integrity Branch (PIRIB), Rm.
119, Crystal Mall #2, 1801 S. Bell St.,
Arlington, VA. This docket facility is
open from 8:30 a.m. to 4 p.m., Monday
through Friday, excluding legal
holidays. The docket telephone number
is (703) 305–5805.
FOR FURTHER INFORMATION CONTACT: Vera
Au, Field and External Affairs Division
(FEAD), Office of Pesticide Programs,
Mailcode: 7506C, Environmental
Protection Agency, 1200 Pennsylvania
Ave. NW., Washington, DC 20460;
telephone number: (703) 308–9069: fax
number: 703–305–5884; e-mail address:
au.vera@epa.gov.
SUPPLEMENTARY INFORMATION:
I. General Information
A. Does this Action Apply to Me?
You may be affected by this action if
you are a producer or registrant of a
pesticide product, including
agricultural, residential, and industrial
pesticides, but not including
antimicrobial, biochemical or microbial
pesticides, or inert ingredients in
pesticide products. This proposal also
may affect any person or company who
might petition the Agency for new
tolerances, hold a pesticide registration
with existing tolerances, or any person
or company who is interested in
obtaining or retaining a tolerance in the
absence of a registration, that is, an
import tolerance. This latter group may
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include pesticide manufacturers or
formulators, importers of food, grower
groups, or any person or company who
seeks a tolerance. Potentially affected
entities may include, but are not limited
to:
Chemical Producers (NAICS 32532),
e.g., pesticide manufacturers or
formulators of pesticide products,
importers or any person or company
who seeks to register a pesticide or to
obtain a tolerance for a pesticide.
This listing is not intended to be
exhaustive, but rather provides a guide
for readers regarding entities likely to be
affected by this action. Other types of
entities not listed above could also be
affected. The North American Industrial
Classification System (NAICS) codes
have been provided to assist you and
others in determining whether this
action might apply to certain entities. If
you have any questions regarding the
applicability of this action to a
particular entity, please consult the
appropriate Branch Chief in the
Registration Division of the Office of
Pesticide Programs at 703–305–5447.
B. What Should I Consider as I Prepare
My Comments for EPA?
1. Submitting CBI. Do not submit this
information to EPA through EDOCKET,
regulations.gov or e-mail. Clearly mark
the part or all of the information that
you claim to be CBI. For CBI
information in a disk or CD ROM that
you mail to EPA, mark the outside of the
disk or CD ROM as CBI and then
identify electronically within the disk or
CD ROM the specific information that is
claimed as CBI. In addition to one
complete version of the comment that
includes information claimed as CBI, a
copy of the comment that does not
contain the information claimed as CBI
must be submitted for inclusion in the
public docket. Information so marked
will not be disclosed except in
accordance with procedures set forth in
40 CFR part 2.
2. Tips for Preparing Your Comments.
When submitting comments, remember
to:
• Identify the rulemaking by docket
number and other identifying
information (subject heading, Federal
Register date and page number).
• Follow directions - The agency may
ask you to respond to specific questions
or organize comments by referencing a
Code of Federal Regulations (CFR) part
or section number.
• Explain why you agree or disagree;
suggest alternatives and substitute
language for your requested changes.
• Describe any assumptions and
provide any technical information and/
or data that you used.
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• If you estimate potential costs or
burdens, explain how you arrived at
your estimate in sufficient detail to
allow for it to be reproduced.
• Provide specific examples to
illustrate your concerns, and suggest
alternatives.
• Explain your views as clearly as
possible, avoiding the use of profanity
or personal threats.
• Make sure to submit your
comments by the comment period
deadline identified.
II. Organization of Preamble
This preamble is organized according
to the outline in this unit.
I. General Information
II. Organization of Preamble
III. Statutory Authorities and Regulatory
Framework
IV. Background
V. Purpose and Scope of this Proposal
VI. Overview of Proposed Changes
VII. General Provisions of Part 158 (subpart
A)
VIII. How to Use the Data Tables (subpart B)
IX. Product Chemistry Data Requirements
(subpart D)
X. Terrestrial and Aquatic Nontarget
Organisms Data Requirements (subpart E)
XI. Toxicology Data Requirements (subpart F)
XII. Nontarget Plant Protection Data
Requirements (subpart J)
XIII. Post-Application Exposure Data
Requirements (subpart K)
XIV. Environmental Fate Data Requirements
(subpart N)
XV. Residue Chemistry Data Requirements
(subpart O)
XVI. Applicator Exposure Data Requirements
(subpart U)
XVII. Data Requirements Not Affected by this
Proposal
XVIII. Peer Review
XIX. International Harmonization of Data
Requirements
XX. Research Involving Human Subjects
XXI. ILSI Work on New Toxicity Paradigm
XXII. Animal Welfare Concerns
XXIII. Summary of Changes Being Proposed
XXIV. Public Comments Sought
XXV. References
XXVI. FIFRA Review Requirements
XXVII. Statutory and Executive Order
Reviews
III. Statutory Authorities and
Regulatory Framework
EPA is authorized to regulate
pesticides under two federal statutes.
The Federal Insecticide, Fungicide and
Rodenticide Act (FIFRA) regulates the
sale, distribution, and use of pesticide
products through a licensing
(registration) scheme. The Federal Food,
Drug and Cosmetic Act (FFDCA), among
other things, regulates the safety of
pesticide residues in food and feed.
Both FIFRA and FFDCA were amended
in 1996 by the Food Quality Protection
Act (FQPA) to strengthen the
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protections offered, with particular
emphasis on protection of children.
This action is issued under the
authority of secs. 3, 4, 5, 10, 12, and 25
of FIFRA (7 U.S.C. 136–136y) and sec.
408 of FFDCA (21 U.S.C. 346a). The
data required for a registration,
reregistration, experimental use permit,
or tolerance are listed in 40 CFR part
158.
A. FIFRA
Under FIFRA, every pesticide product
must be registered (or specifically
exempted from registration under
FIFRA sec. 25(b)) with EPA before it
may be sold or distributed in the United
States. To obtain a registration, an
applicant or registrant must demonstrate
to the Agency’s satisfaction that, among
other things, the pesticide product,
when used in accordance with
widespread and commonly recognized
practice, will not cause ‘‘unreasonable
adverse effects’’ to humans or the
environment. This safety determination,
as defined in the statute, requires the
Agency to consider the risk of the use
of the pesticide and weigh this against
its benefit. EPA must determine that the
safety standard contained in FIFRA is
met before granting a federal pesticide
registration.
1. Registration. Section 3 of FIFRA
contains the requirements for
registration. Specifically, FIFRA sec.
3(c)(2) provides EPA broad authority,
before and after registration, to require
scientific testing and submission of the
resulting data to the Agency by
registrants and applicants of pesticide
products. An applicant for registration
must furnish EPA with substantial
amounts of data on the pesticide, its
composition, toxicity, potential human
exposure, environmental properties and
ecological effects, as well as information
on its efficacy in certain cases. Although
the data requirements are imposed
primarily as a part of initial registration,
EPA is authorized under FIFRA sec.
3(c)(2)(B) to require a registrant to
develop and submit additional data to
maintain a registration. This post
registration data call-in authority
recognizes that the scientific
underpinnings of risk assessment
change, and is another means by which
EPA may keep data for use in risk
assessment current with evolving
science.
2. Reregistration. FIFRA sec. 4
requires that EPA reregister each
pesticide product first registered before
November 1984. This date was chosen
based upon the fact that pesticides
registered since 1984 were subject to the
part 158 requirements of the 1984
regulation. Additional data for older
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pesticides were called in where gaps in
the scientific data base occurred. The
Agency has largely used its data call-in
authority to require on a case-by-case
basis the submission of most of the data
requirements contained in this proposal.
3. Experimental use permits. Subject
to some exceptions, FIFRA sec. 5
requires persons seeking experimental
use of pesticides under field conditions
to obtain an experimental use permit
(EUP). An EUP allows limited use of a
pesticide for specified experimental and
data collection purposes intended to
support future registration of the
pesticide. Because an EUP is for limited
use under controlled conditions, the
data needed to support issuance of the
permit are correspondingly less than
those required for full registration. For
example, when performing crop field
trials, a registrant may opt to destroy the
treated crop rather than generate the
needed residue chemistry data to
establish a temporary tolerance. The
regulations governing the issuance of
EUPs are found in 40 CFR part 172.
B. FFDCA
FFDCA mandates EPA to determine
that the level of pesticide chemical
residues in food and feed will be safe for
human consumption. An applicant must
petition the Agency for a tolerance
(maximum residue level) for a pesticide
that is to be used in or around food or
feed commodities, or could otherwise
come in contact with food or feed. The
safety standard set under FFDCA sec.
408(b) and (c) defines safe as ‘‘a
reasonable certainty that no harm ’’ will
result from exposures to pesticide
chemical residues. In making this
determination, EPA is directed to
consider aggregate risks from multiple
sources of pesticide exposure, including
anticipated food, drinking water, and
other non-occupational exposures for
which there is reliable information.
Under FFDCA sec. 408(b)(2)(C), EPA
must make a separate finding of safety
for infants and children. In addition,
EPA must take into account a variety of
other factors, enumerated in sec.
408(b)(2)(D), including the cumulative
risks associated with pesticides having
a common mechanism of toxicity. The
combination of aggregate and
cumulative exposure increases the
nature and scope of EPA’s risk
assessment, and potentially the types
and amounts of data needed to
determine that the FFDCA safety
standard is met.
1. Establishing tolerances. Under
FFDCA sec. 408, EPA is authorized to
establish tolerances for pesticide
residues in food and feed, or to exempt
a pesticide from the requirement of a
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tolerance, if warranted. In this
preamble, references to tolerances
include exemptions from tolerance
since the standards and procedures for
both are the same. As previously
mentioned, in 1996, FQPA modified
FFDCA to establish a single healthbased standard for tolerance-setting and
enhanced the risk assessment process to
more clearly focus on pesticide risks to
children. The new safety standard
applies to tolerances in a number of
regulatory situations, including:
• Permanent tolerances that support
registration under FIFRA;
• Tolerances for imported products
which are established to allow
importation of pesticide-treated
commodities, but for which no U.S.
registration is sought;
• Time-limited tolerances which are
established for FIFRA sec. 18 emergency
exemptions; and
• Temporary tolerances established
for experimental use permits under
FIFRA sec. 5.
2. Reassessing tolerances. Under
FFDCA sec. 408(q), EPA must reassess
each tolerance established before
August 3, 1996, on a prescribed 10–year
schedule. The Agency has reassessed
many tolerances under its reregistration
program. Numerous regulatory
decisions have been made based upon
available data and information required
by the existing data requirements, and
supplemented by additional data
provided by registrants through data
call-ins or voluntary submissions.
C. Linking FIFRA and FFDCA Safety
Standards
Unless EPA is able to establish or
maintain a needed tolerance or
exemption under FFDCA, a pesticide
cannot be registered under FIFRA for a
food/feed use. FQPA created a specific
linkage (FIFRA sec. 2(bb)) between the
‘‘unreasonable adverse effects’’ finding
under FIFRA and the determination of
pesticide residue safety of ‘‘reasonable
certainty of no harm’’ under FFDCA. In
essence, a pesticide that is inconsistent
with, or does not meet, the FFDCA sec.
408 safety standard poses an
unreasonable adverse effect that
precludes new or continued registration.
Thus, both FIFRA and FFDCA standards
must be met for pesticides intended to
be registered in the United States for
food or feed uses.
Given this linkage between
registration and tolerances, it makes
sense for EPA to define data
requirements for both purposes: the data
required to support a determination of
‘‘reasonable certainty of no harm’’ under
FFDCA are an integral part of the data
needed for an ‘‘unreasonable adverse
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effects’’ determination under FIFRA.
Consequently, when promulgated, these
proposed data requirements would
encompass the basic data requirements
for both registration and tolerancesetting determinations. EPA will retain
its authority to require additional data
on a case-by-case basis.
IV. Background
A. Why does EPA Require Data for
Pesticide Registrations?
Under the FFDCA and the FIFRA,
anyone seeking to register a pesticide
product is required to provide
information to EPA that demonstrates
their products can be used without
posing unreasonable risk to human
health and the environment, and for
food uses, that there is a reasonable
certainty that no harm will result from
exposures to the residues of their
pesticide product. As appropriate for
the particular pesticide product, EPA
uses the information provided to
evaluate the pesticide for a wide range
of adverse human health effects, from
eye and skin irritation to cancer and
birth defects, and to assess how the
pesticide affects animal and plant
species, non-target insect species, and
what happens to the pesticide in soil,
water, and air.
B. What are the Data Requirements?
First promulgated in 1984, the data
requirements in 40 CFR part 158 outline
the kinds of data and related
information typically needed to register
a pesticide. The data requirements are
organized by major pesticide type (e.g.,
conventional, antimicrobial,
biochemical/microbial, etc.), scientific
discipline (e.g., toxicology, etc.), and
major use site (e.g., outdoor vs. indoor).
Part 158 also outlines the associated
procedures for submitting the data,
requesting a waiver from a
requirements, and other associated
procedures. Since there is much variety
in pesticide chemistry, exposure, and
hazard, part 158 is designed to be
flexible. Table notes to each data
requirement explain under what
conditions data are typically needed.
The Agency also recognizes, however,
that due to the particular nature and risk
of some pesticides, registrants may seek
to obtain data waivers or may suggest
alternative approaches to satisfying
requirements. Over the years since 1984,
other data requirements have been
implemented on a case-by-case basis.
The determination of what data or
information is needed is based on a
scientifically rigorous process that
includes peer review by the FIFRA
Scientific Advisory Panel (SAP), as well
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as a public review and comment
process.
In essence, the data requirements
identify the questions that the registrant
will need to answer regarding the safety
of a pesticide product before the Agency
can register it. The data requirements
address both components of a risk
assessment, i.e., what hazards does the
pesticide present, and what level of
exposure. The answer to one question
may inform the kind of information
needed in others. For example, a
pesticide that is persistent and
toxicologically potent may require more
extensive exposure data to help
establish a safe level of exposure. If
there is negligible exposure then there
may be generally less need for extensive
hazard data since any conceivable risk
would be low.
1. The establishment of standardized
data requirements. Until 1984, data
requirements were based on
longstanding requirements initially put
in place when pesticides were regulated
by the U.S. Department of Agriculture
(USDA) and the Food and Drug
Administration (FDA). However,
because virtually all of EPA’s decisions
relating to the registration of pesticides
or the establishment of tolerances
depend on Agency evaluation of
scientific studies, EPA has throughout
the years developed standardized data
requirements and test guidelines, and
established evaluation procedures and
peer review processes to ensure the
quality and consistency of scientific
studies.
The current provisions in part 158
were originally promulgated in October,
1984. Prior to this, data requirements for
the registration of pesticides were
contained in a variety of guidance
documents, not in regulatory form. Part
158 was intended to be a concise
presentation of what data were required
and under what circumstances. Once
codified, part 158 specified standard
hazard and exposure studies required
for registration and tolerance setting and
also identified conditions under which
more specialized studies might be
required. Guidelines, i.e., instructions
and test methods on how to perform a
study, had meanwhile been issued as a
series of Pesticide Assessment
Guidelines. These documents, updated
in 1996, describe acceptable protocols,
test conditions, and data reporting
guidelines to ensure that EPA’s
regulatory decisions are based on sound
scientific data.
2. Relationship between the
harmonized test guidelines and part 158
requirements. EPA has established a
unified library for test guidelines issued
by the Office of Prevention, Pesticides
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and Toxic Substances (OPPTS) for use
in testing chemical substances to
develop data for submission to EPA
under the Toxic Substances Control Act
(TSCA), FFDCA or FIFRA. This unified
library of test guidelines represents an
Agency effort that began in 1991 to
harmonize the test guidelines within
OPPTS, as well as to harmonize the
OPPTS test guidelines with those of the
Organization for Economic Cooperation
and Development (OECD) of the
European Community. The process for
developing and amending these test
guidelines includes several
opportunities for public participation
and the extensive involvement of the
scientific community, including peer
review by the FIFRA SAP and the
Science Advisory Board (SAB) and
other expert scientific organizations.
The purpose for harmonizing these
guidelines into a single set of OPPTS
guidelines is to minimize variations
among the testing procedures that must
be performed to meet the Agency’s data
requirements under FIFRA and TSCA.
The guidelines themselves do not
impose mandatory requirements.
Instead, they present recognized
standards for conducting acceptable
tests, guidance on evaluating and
reporting data, definition of terms, and
suggested study protocols. As such,
pesticide registrants may use a nonguideline protocol to generate the data
required by part 158. Typically the
registrant will use the available
guideline, in which case the study
protocol would simply cite the relevant
guideline. If the registrant deviates from
these guidelines, or is asked to provide
data where there isn’t yet a final
guideline available, the registrant will
discuss the variation with EPA and will
explain and justify the methods chosen
in the study protocol. Non-guideline
protocols are accepted, provided that
the study protocol meets the purpose of
the test standards specified in the
guidelines, and provides data of suitable
quality and completeness as typified by
the protocols cited in the guidelines.
More information about the unified
library and these guidelines is available
at https://www.epa.gov/opptsfrs/home/
guidelin.htm.
C. Why Have the Data Needs Changed
Since 1984?
1. 1988 FIFRA amendments. In 1988,
FIFRA was amended to ensure that
older pesticides met the scientific
standards of the day. Among other
things, the amendments provided for
the acceleration of the reregistration
program by establishing statutory
deadlines and new procedures. The
1988 changes to FIFRA are important
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because it was during this effort that
EPA recognized that some of the 1984
data requirements were becoming out of
date. The Agency then used the
reregistration process to focus on
needed changes.
2. The National Academy of Sciences
1993 Report. With increasing emphasis
on protecting children’s health, EPA
began to examine its data requirements
relative to evaluating the potential risks
from pesticides to sensitive
subpopulations. The Agency sought the
advice of the National Academy of
Sciences’ National Research Council
(NRC) to assess its risk assessment
methodologies and to provide
additional information on the extent to
which children may be at risk given
emerging scientific information and
technologies. In their 1993 report
entitled, ‘‘Pesticides in the Diets of
Infants and Children,’’ (Ref. 1) NRC
offered recommendations for further
protecting infants and children from
pesticides in their diet. The NRC called
for the Agency to require more data and
adopt better risk assessment
methodologies. For example, the
Council called for increased testing in
the area of immune function,
neurodevelopmental and reproductive
testing, and neurotoxicity testing. NRC
also suggested adding a thyroid screen
to existing subchronic and chronic
toxicity tests and additional tests on
age-related physiological changes and
pharmacokinetics in immature animals.
At the time the 1993 report was
released, EPA had already begun work
on many of the recommendations to
improve the quality of its risk
assessments. New testing guidelines and
protocols were developed. Since then,
many of the testing requirements
recommended by the NRC have been
incorporated into the Agency’s standard
evaluation requirements and practices.
In addition, in line with the Council’s
recommendations and the FIFRA
Scientific Advisory Panel’s (SAP)
advice, EPA recently expanded its
neurotoxicity and developmental
neurotoxicity study requirements. These
updated requirements are contained in
this proposal.
3. The Food Quality Protection Act of
1996 (FQPA). Passage of FQPA in 1996
reformed our nation’s pesticide and
food safety laws, resulting in changes in
EPA’s approach to protecting human
health from risks associated with
pesticide use. As mentioned, FQPA
modified both FIFRA and FFDCA and
established a single health-based
standard for food-use pesticides and
added protections for infants and
children.
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Throughout the 1990s, EPA has been
continually working on improving data
requirements. Under FFDCA, as
amended by FQPA, EPA must reassess
all existing pesticide tolerances and
exemptions against the expanded and
more rigorous safety standard.
Beginning in 1994, and increasingly
since the enactment of FQPA, EPA has
changed aspects of its data requirements
and risk assessment process to improve
its ability to assess exposure more
accurately and to strengthen its
understanding of the potential pesticide
risk to children. As mentioned, risk
assessments must now consider data
relating to aggregate exposure (exposure
to pesticides from food, drinking water,
and non-occupational routes such as
home and garden uses) and cumulative
risk (effects from exposures to multiple
pesticides that share a common
mechanism of toxicity). These measures
necessitate collection of additional data
on drinking water and non-occupational
and residential exposure.
V. Purpose and Scope of this Proposal
A. What is the Scope of this Proposal?
This proposal applies only to
conventional pesticides. In general, a
conventional pesticide is considered as
a synthetic chemical or a natural
substance with a toxic mode of action.
It is applicable to both manufacturinguse and end-use products. It does not
include data requirements for
antimicrobial, biochemical or microbial
pesticides; inert ingredients; or changes
to existing spray drift or product
performance (efficacy) data
requirements for conventional
chemicals.
B. Why is EPA Proposing these
Revisions?
EPA has a number of objectives in
proposing this regulation to update and
revise the data requirements in 40 CFR
part 158. First, this proposal will update
the requirements in part 158 to reflect
changes that have occurred over time
and which are generally applied
already.
Second, this proposal will provide
clarity on the data requirements
themselves, with data requirements
reformatted to promote efficiency in
registration decision processes. Third,
information developed in fulfilling
these data requirements will improve
the scientific basis supporting
increasingly complex risk management
decisions.
1. Updating the 1984 requirements.
Although most of the specific
requirements in part 158 have not
changed since the data requirements
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were first published in 1984, there is
information that is out-of date or may be
unclear. The underlying science has
advanced (e.g., NAS in 1993 suggested
changes to better protect children). The
Agency’s legislative mandate has been
broadened to address new concerns. For
example, given the stricter mandates
imposed by the 1988 FIFRA
amendments (emphasis on exposure to
population subgroups) and the 1996
FQPA amendments to FIFRA and
FFDCA, EPA finds that it is more
frequently requesting certain data, and
the Agency believes it should detail
more specifically the conditions under
which these tests will be required. Thus
the proposed change entails both new
tests and broadened requirements for
some current tests.
This regulation will reflect the
changes in data requirement practices
that have evolved through practice since
the 1984 data requirement rule was
promulgated and address data needed to
meet requirements created by statutory
amendments to FIFRA and FFDCA. In
addition, the rule will eliminate
redundant data submission
requirements.
EPA’s underlying principle in
development of this regulation is to
strike an appropriate balance between
the need for adequate data to make
informed risk management decisions
while minimizing the data collection
burden.
Until this proposal is promulgated,
the Agency will continue to use existing
authority in 40 CFR part 158, to obtain
these data on a case-by-case basis
should they be necessary to support a
registration.
2. Reorganizing part 158 to improve
usability. EPA proposes to reorganize
and reformat part 158 subpart A
(General Provisions), and subpart B
(How to Use Data Tables), and
reorganize and renumber subpart D
(Data Requirement Tables) into several
individual subparts (see Table 1 in Unit
VI). Each subpart would contain the
data requirement tables for an
individual scientific discipline and
references to correlate with the Pesticide
Assessment Guidelines. The Agency
also proposes to remove from the
regulations the current Appendix A, (a
compendium of pesticide use sites and
use categories), and create a separate
Pesticide Use Index Guidance
Document. Since the information
contained in Appendix A only serves as
reference material and is not being
stated as a requirement, EPA believes
that a guidance document format is
easier to keep current and therefore
better serves the regulated community.
The information will be placed on
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EPA’s website and made available to the
public.
3. Improving the scientific basis for
pesticide registration decisions. In
general, the information developed as a
result of the revisions, if finalized as
proposed today, is expected to increase
scientific understanding of the health
and environmental effects of pesticides
to which individuals and the
environment may be exposed. The
revised requirements are expected to
improve the scientific basis for the
Agency’s regulatory decisions about the
human health and environmental risks
of pesticide products. The improved
scientific basis is also expected to
benefit a wide range of parties,
including consumers and the general
public, workers, scientists, industry,
governments, public health officials,
and the medical community, as well as
foreign parties. Discussed in more detail
in the document entitled ‘‘Economic
Analysis of the Proposed Change in Data
Requirements Rule for Conventional
Pesticides,’’ which is available in the
public docket for this rulemaking, the
following briefly highlights the various
ways the improved data is expected to
be used:
i. Better informed regulatory decisions
allow preservation of important
pesticide uses. The proposed revisions
enable the Agency to make better
informed regulatory decisions based on
more complete data about the potential
risks of pesticides. For example, the
proposed changes better target needed
data that take into account human and
wildlife toxicological end points or
routes of exposure not now adequately
covered. The proposed rule would also
require better information about the
potential for pesticides to cause
immunotoxic or developmental
neurotoxic effects. This information is
expected to be valuable in assuring that
pesticide residues in food or from other
sources are safe for children as well as
other consumers. These studies would
allow the Agency to assess aggregated
and cumulative risks to consumers, with
special emphasis on children. The
proposal also includes exposure data
tailored specifically to address pesticide
handlers is crucial in assessing their risk
and thus adequately protecting their
health.
ii. More refined exposure assessments
mean clearing understanding of real
risks. EPA’s current application and
post-application exposure data base is
not comprehensive, especially regarding
exposures to pesticides in some
agricultural or nonagricultural settings.
The new data that would be collected
under this proposal would allow the
Agency to conduct improved exposure
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assessments for residential sites and for
bystanders in other settings. This will
benefit farmers and other workers by
allowing EPA to make better informed
regulatory decisions that are neither too
stringent nor too lenient.
iii. Clarity and transparency to
regulated community means savings.
The enhanced clarity and transparency
of the information presented in part 158
should enhance the ability of industry
to avoid wasted time and effort.
Registrants may save time and money by
understanding when studies are needed.
This should allow products to enter the
market earlier, thus increasing profits.
The addition of some data requirements
is likely to further communicate to
domestic and world-wide marketplaces
that pesticide products and items
treated with them are safer, thus
enhancing the reputation of American
agricultural products and registered
pesticides as tools for public health, etc.
iv. Enhanced international
harmonization means less duplication.
Data generated as a result of the revised
requirements in part 158 would
generally be sufficient for the needs of
the OECD countries because EPA has
harmonized the FIFRA test guidelines
with those OECD. As a result,
assessments of pesticides that are
developed using data under the revised
part 158 can be shared worldwide,
allowing companies to avoid
duplicative efforts to meet the
requirements of other countries where
the company may also manufacture and
sell certain pesticides. This should lead
to cost savings for companies that
operate in the international market.
However, since EPA continues to
allow applicants to submit and use their
own study protocols to generate data
that they subsequently submit to EPA,
and there are differences in the mandate
and authorities between EPA and OECD
countries, the data submitted to EPA
under part 158 would be expected to
satisfy OECD standards under most
circumstances, but perhaps not in all
cases.
v. Better informed users means
informed risk-reduction choices. Better
regulatory decisions resulting from the
proposed changes should also mean that
the label will provide better information
on the use of the pesticide. A pesticide
label is the user’s direction for using
pesticides safely and effectively. It
contains important information about
where to use, or not use, the product,
health and safety information that
should be read and understood before
using a pesticide product, and how to
dispose of that product. This benefits
users by enhancing their ability to
obtain pesticide products appropriate to
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their needs, and to use and dispose of
products in a manner that is safe and
environmentally sound. Farmers (as
well as other applicators) may benefit
from label information based on the data
submitted to the extent it helps inform
their decisions about whether or how to
use particular pesticides to avoid
potential exposure to people or the
environment from residues on treated
crops or through off-site movement.
vi. EPA information assists other
communities in assessing pesticide
risks. Scientific, environmental, and
health communities find pesticide
toxicity information useful to respond to
a variety of needs. For example, medical
professionals are concerned about the
health of patients exposed to pesticides;
poison control centers make use of and
distribute information on toxicity and
treatment associated with poisoning;
and scientists use toxicity information
to characterize the effects of pesticides
and to assess risks of pesticide
exposure. Similarly those responsible
for protection of non-target wildlife
need reliable information about
pesticides and assurance that pesticides
do not pose an unreasonable threat. The
proposed changes will help the
scientific, environmental, and health
communities by increasing the breadth,
quality, and reliability of Agency
regulatory decisions by improving their
scientific underpinnings. In turn, the
companies will be able to improve their
ability to make appropriate decisions
and take useful actions.
C. How Will this Proposal Affect
Existing Registrations?
This proposal concerns prospective
data requirements for future
registrations of pesticides. That is, these
proposed data requirements would
apply to all new registrations of
pesticides after the rule is finalized. The
Agency does not intend to apply these
requirements retrospectively to all
existing pesticide registrations. While
the intended future applicability of this
proposed rule is to new applications,
the Agency may find it necessary to callin some data on certain existing
registrations, as warranted by emerging
risks of concern on particular pesticides
or as a result of possible future
programmatic changes and priorities on
existing pesticides.
VI. Overview of Proposed Changes
conventional pesticides. Future
proposals will address data
requirements for antimicrobial
pesticides, biochemical and microbial
pesticides, inert ingredients in pesticide
products, and product performance data
requirements.
B. Organizational changes
Part 158 is currently divided into four
subparts:
• Subpart A, General Provisions
• Subpart B, How to Use Data Tables
• Subpart C, Product Chemistry Data
Requirements
• Subpart D, Data Requirements
Tables
EPA proposes to reorganize part 158
to more closely correspond with the
Office of Prevention, Pesticides, and
Toxic Substances (OPPTS) Harmonized
Guidelines, primarily by creating a
series of new subparts to replace subpart
D. Each subpart will address an
individual scientific discipline or data
type. In this preamble, EPA will refer to
the proposed new subpart and section
designations when discussing the data
requirements. Table 1 below provides a
cross-reference between the current and
proposed new subparts. Future new
subparts are included for information.
TABLE 1.—PART 158: PROPOSED
CHANGE TO SUBPART DESIGNATIONS
Current Regulation
and Title
Proposed Regulation and Title
Subpart A: 158.20
General Provisions
Subpart A: 158.1
General Provisions
Subpart B: 158.100
How to Use Data
Tables
Subpart B: 158.100
How to Use Data
Tables
Subpart C: 158.150
Product Chemistry
Subpart D: 158.300
Product Chemistry
Subpart D: 158.240
Residue Chemistry
Subpart O:
158.1200 Residue
Chemistry
Subpart D: 158.290
Environmental
Fate
Subpart N: 158.1100
Environmental
Fate
Subpart D: 158.340
Toxicology
Subpart F: 158.500
Toxicology
Subpart D: 158.390
Reentry Protection
Subpart K: 158.800
Post-application
Exposure
Subpart D: 158.440
Spray Drift
Subpart R: 158.1400
Spray Drift
A. Phased approach
This proposal is the first in a series of
revisions aimed at comprehensively
updating EPA’s pesticide data
requirements. The data requirements
discussed in this proposal pertain to
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TABLE 1.—PART 158: PROPOSED understanding of the potential hazards
CHANGE TO SUBPART DESIGNA- posed by pesticides has grown. Most of
the data requirements contained in this
TIONS—Continued
Current Regulation
and Title
Proposed Regulation and Title
Subpart D: 158.490
Wildlife and
Aquatic Organisms
Subpart D: 158.590
Nontarget Insects
Subpart E: 158.400
Terrestrial and
Aquatic Nontarget
Organisms
Subpart D: 158.540
Plant Protection
Subpart J: 158.700
Plant Protection
Subpart D: 158.640
Product Performance
Subpart G: 158.600
Product Performance
Subpart D: 158.690
Biochemical Pesticides
Subpart L: 158.900
Biochemical Pesticides
Subpart D: 158.740
Microbial Pesticides
Subpart M:
158.1000 Microbial Pesticides
Subpart P: 158.1300
Pesticide Management and Disposal (Reserved)
Subpart U: 158.1500
Applicator Exposure
Subpart V: 158.1600
Inert Ingredients
(Reserved)
Subpart W:
158.1700
Antimicrobials
Further, EPA proposes to remove the
current Appendix A, which contains a
compendium of pesticide use sites and
use categories to help determine data
requirements. This will be separately
issued and maintained as a guidance
document.
C. ‘‘New Requirement’’ Vs.‘‘Newly
Codified Requirement.’’
FIFRA is a licensing statute, under
which regulatory decisions on the
registrability of an individual product is
based upon data specific to the product
and its uses. EPA is authorized to
require the submission of data that it
needs to make the registration decision
in the context of any individual
application for registration, amended
registration or reregistration. EPA may
also impose a data requirement after
registration in order to maintain the
registration, using specific Data Call-In
(DCI) authority of FIFRA sec. 3(c)(2)(B).
Since 1984, when part 158 was first
promulgated, EPA’s data requirements
have evolved as the general scientific
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new proposal have been applied on a
case-by-case basis to support individual
applications, or imposed via a DCI on
all registrants of similar products. Thus
EPA’s actual data requirements have
progressed as scientific understanding
and concerns have evolved, but part 158
data requirements have not been
updated to keep pace.
The result of this regulatory lag is that
EPA regards many data requirements in
today’s proposal to be ‘‘newly codified
requirements,’’ routinely applied in
practice on a case-by-case basis but
simply not codified in the CFR.
However, because they have not been
codified, they are considered to be ‘‘new
requirements’’ never before imposed on
the regulated industry. For the purposes
of this proposal, EPA has evaluated the
costs and burdens of all proposed
requirements, whether ‘‘new’’ or ‘‘newly
codified ’’ against the data requirements
as originally promulgated in 1984,
termed ‘‘existing requirements.’’ Many
of these studies can be categorized as
rarely to infrequently required.
In this preamble, EPA is proposing
new and revised data requirements that
encompass all three categories of
requirements:
1. EPA is proposing ‘‘new
requirements,’’ never before imposed on
any registrant.
2. EPA is proposing ‘‘newly codified
requirements,’’ which have been
applied on a case-by-case basis, but are
not in the CFR.
3. EPA is proposing revisions to
‘‘existing requirements.’’
D. Types of Revisions Being Proposed
Part 158 is a massive and complex set
of tables that describe pesticide data
requirements. Each data requirement is
currently established and its scope and
applicability defined according to a
number of parameters. Having
comprehensively evaluated its data
requirement parameters, EPA is
proposing changes in all areas of data
requirements. Some of these changes are
clarifications or housekeeping changes
without cost or burden, others have the
effect of increasing or decreasing the
burden of the data requirement. The
types of changes may be broadly
categorized as follows:
1. Substantive changes—i. Addition of
a requirement. This encompasses both
‘‘new requirements’’ and ‘‘newly
codified requirements.’’ For example,
EPA is proposing a ‘‘new requirement’’
for immunotoxicity testing. On the other
hand, data requirements for applicator
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exposure (subpart U) are entirely
‘‘newly codified.‘‘
ii. Elimination of a requirement,
sometimes with substitution of a new
requirement. For example, EPA is
wholly eliminating the requirement for
seed germination testing. By contrast,
the existing requirement for a battery of
mutagenicity studies is being eliminated
in favor of a specific set of mutagenicity
studies.
iii. A change to the number or type of
species that must be tested. For
example, EPA proposes to require acute
avian toxicity testing on an additional
passerine species in some instances.
EPA also proposes to require that
certain toxicity studies be conducted
routinely with two species instead of
one.
iv. A change in the conditionality of
the test requirement. For example, EPA
is proposing to change a number of
requirements from conditionally
required to fully required, or vice versa.
In some cases, this change is a minor
change in the actual frequency (and
burden) of the requirement. In other
cases, the change may represent a
substantive increase in frequency of
requirement.
v. A change to the use patterns to
which a data requirement applies. As
described elsewhere, EPA proposed to
increase the number of use pattern
descriptors from 9 to 15. In some cases,
EPA proposes to extend requirements
currently limited to food uses to
nonfood uses, e.g., prenatal
developmental toxicity studies. A
second example would be a proposed
expansion of certain studies into
greenhouse and indoor use patterns, for
example, avian oral toxicity
requirements.
vi. A change to the test substance to
be used. Typical test substances include
the technical grade of active ingredient
(TGAI), the manufacturing-use product,
the end-use product, and a ‘‘typical
product.’’ For example, EPA proposes to
require primary eye and primary dermal
irritation, and dermal sensitization
testing using the TGAI in addition to the
end-use product.
vii. A clarification in the notes
describing the test. For example, EPA is
proposing in a test note that analytical
methods for residue chemistry and
environmental fate be validated by an
independent laboratory.
2. Technical changes having no
substantive effect—i. Relocation of a
requirement. For example, EPA
proposes to move the magnitude of
residues in rotational crops data
requirement from environmental fate
requirements to residue chemistry
requirements.
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ii. A change to the title of a data
requirement. For example, EPA
proposes to rename the ‘‘teratogenicity’’
data requirement to ‘‘prenatal
developmental toxicity’’ to more
accurately reflect the nature of the
study.
iii. Subdividing an existing
requirement to create two separate
entries. For example, EPA proposes to
separately list the storage stability
requirement for residue samples. This
requirement is currently included in the
plant and animal metabolism data
requirement. A change of this nature is
intended to highlight an aspect of a test
requirement for the regulated
community.
iv. Merging two data requirements
into a single requirement. For example,
EPA proposes to merge the terrestrial
field dissipation study with the longterm field dissipation study because
both studies provide similar
information.
Each data requirement for which a
revision is proposed is discussed in
detail in subsequent units of this
preamble. Readers are referred to the
table in Unit XXIII. for a line-by-line
listing of every current and proposed
data requirement and the types of
changes proposed. If no change is
proposed, the table contains a notation
to that effect.
VII. General Provisions of Part 158
(Subpart A)
A. General
Subpart A serves as an introduction to
the data requirements in part 158. As
proposed, current material has been
substantially revised to be more concise
and easier to understand. EPA has
eliminated much of the redundancy in
current subpart A and streamlined the
remaining material. Unless otherwise
superseded by part 174, the regulations
of this part apply to plant-incorporated
protectants.
1. New material. New content has
been added to subpart A. Specifically,
EPA has added new § 158.3 containing
definitions relevant to part 158 as a
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whole. In this proposal, EPA has
referred to statutory definitions in
FIFRA and FFDCA, and has included
only a single new definition, that of
‘‘applicant.’’ This definition is intended
to provide an inclusive term that covers
all persons who submit data to the
Agency for any purpose, including
applicants for registration,
reregistration, or experimental use
permit under FIFRA, petitioners for
tolerance or exemption under FFDCA,
and registrants who are required to
submit data to maintain registration.
The term ‘‘applicant’’ is proposed to be
used for all such persons. The definition
is drawn from the definition of
‘‘application for research or marketing
permit,’’ in 40 CFR 160.3, which also
relates to data development. EPA
requests comment on whether
additional definitions are needed.
2. Disposition of current subpart A
material. The following sections of
current subpart A are proposed to be
deleted or substantially revised. The
following Table 2 explains each section.
TABLE 2.—DISPOSITION OF CURRENT SUBPART A MATERIAL
Section
Title
Disposition
158.20
Overview
Paragraph (a) deleted
Paragraph (b). Content contained in proposed § 158.1, Purpose and Scope.
Paragraph (c) deleted.
158.25
Applicability of data requirements
Deleted as redundant or unnecessary. Applicability of this part to various regulatory actions is contained in proposed § 158.5
158.30
Timing of the imposition of data requirements
Deleted as unnecessary and not relevant. This section addresses approval of
registration actions, which is properly covered in part 152, and is not relevant to data requirements.
158.32
Format of data submissions.
Retained and revised. Discussed in Unit VII.B.
158.33
Procedures for claims of confidentiality
of data.
Retained and revised. Discussed in Unit VII.C.
158.34
Flagging of studies for potential adverse effects.
Retained. Criteria revised.
158.35
Flexibility of the data requirements
Deleted as redundant. Mainly contains cross-references to similar material
elsewhere in part 158.
158.40
Consultation with the Agency.
Deleted. Consultation with the Agency is encouraged in several sections of
proposed part 158.
158.45
Waivers
Retained and revised. Discussed in Unit VII.E.
158.50
Formulator’s exemption
Information to be relocated to 40 CFR 152.85, which covers the formulator’s
exemption.
158.55
Agricultural vs. Non-agricultural pesticides
Deleted as unnecessary. Material is covered in individual subparts of proposal, which are organized by agricultural and no-agricultural use patterns.
158.60
Minor uses
Deleted as unnecessary. Definitions and minor use policies are largely governed by statutory mandates and priorities, not regulatory policies.
158.65
Biochemical and microbial pesticides
Deleted. Material will be considered for inclusion in future revisions of biochemical and microbial data requirements.
158.70
Acceptable protocols
Revised.
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TABLE 2.—DISPOSITION OF CURRENT SUBPART A MATERIAL—Continued
Section
Title
Disposition
158.75
Requirements for additional data
Paragraph (a) retained. Paragraph (b) deleted as unnecessary. This material
is covered by paragraph (a).
158.80
Acceptability of data
Paragraph (a) moved to § 158.70(a) - now refers to ‘‘cited.’’ Paragraph (b) deleted. Paragraph (c) retained. Paragraph (d) revised.
158.85
Revision of data requirements and
guidelines
Deleted as unnecessary. Guideline references are contained in tables in each
subpart.
B. Format of Data Submissions
EPA proposes to reorganize for clarity
the data submission requirements of
§ 152.32. EPA would eliminate
descriptions of EPA assignment of MRID
numbers, as this internal action does not
bear upon applicant requirements.
Applicants would continue to format
data submissions in support of
regulatory actions according to current
Agency procedures. The proposed rule
makes clear that administrative nondata elements of a submission (forms,
labels, and correspondence) are not
subject to formatting requirements.
The Agency also proposes to
eliminate specific media and copy
requirements from the regulatory text
because these requirements are subject
to change as the Agency implements
new strategies to reduce the paperwork
burden on data submitters and to
simplify the submission process. The
Agency intends to provide updated
guidance in a new PR Notice that will
supersede PR Notice 86–5. EPA has a
web page that provides guidance for
both paper and electronic data
submission.
After a series of pilots EPA has
developed a standard for electronic
submission of data using Adobe Acrobat
Portable Document Format and related
tools for pesticide data submitters to
create electronic versions of documents.
Extensive guidance has been developed
and posted on the EPA web page
dedicated to electronic
submissions(https://www.epa.gov/
oppfead1/edsgoals.htm). As experience
is gained, and in consultation with
stakeholders, EPA intends to refine its
guidance.
Registrants should note that
regulations in part 159 concerning
FIFRA sec. 6(a)(2) submissions require
that such data be formatted according to
the requirements of this section.
C. Confidential Business Information
EPA proposes to clarify its policies on
confidentiality claims asserted by
submitters and on the release of
information by the Agency. Section
158.33 discusses information that may
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be claimed as confidential and the
procedures for asserting such a claim. It
also discusses information that may be
released by EPA, and circumstances
under which such information can be
released. Any release of information by
EPA would be in accordance with
FIFRA sec. 10, FFDCA sec. 408, and
EPA regulations under the Freedom of
Information Act (5 U.S.C. 552) found in
40 CFR part 2. The revisions to
procedures for asserting confidentiality
claims would not apply to data
submitted to the Agency before the date
of promulgation of this rule. Further
regulatory provisions regarding
confidentiality can be found at 40 CFR
part 2.
1. Confidentiality of 408 information.
EPA also proposes to implement the
revised confidentiality provisions in
FFDCA sec. 408(i). Prior to the changes
made in FFDCA by FQPA in 1996,
confidentiality of information submitted
in support of a tolerance or exemption
was governed by old sec. 408(f), which
made all such information confidential
until publication of a regulation
establishing a tolerance or exemption
(unless the submitter explicitly waived
confidential protection). This section
was replaced in 1996 by current sec.
408(i), which provides in part, ‘‘Data
and information that are or have been
submitted to the Administrator under
this section or sec. 348 of this title in
support of a tolerance or an exemption
from a tolerance shall be entitled to
confidential treatment for reasons of
business confidentiality and to
exclusive use and data compensation to
the same extent provided by secs 3 and
10 of the Federal Insecticide, Fungicide,
and Rodenticide Act.’’ EPA has never
formally interpreted the meaning of sec.
408(i) with respect to confidential
information.
The likely intent of Congress was to
accord information submitted in
support of a tolerance or exemption the
same confidentiality protections that
apply to data submitted under FIFRA,
especially considering the extent to
which FIFRA and FFDCA were
intertwined more closely by FQPA.
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Treating information submitted under
the two statutes identically means that
they are subject to the same protections
(e.g., restrictions on disclosure of entire
studies to multinational corporations in
accordance with FIFRA sec. 10(g)) and
the same disclosure requirements (e.g.,
mandatory public availability of safety
and efficacy information in accordance
with FIFRA 10(d)(1)). In fact, this
discussion may be largely academic,
because EPA expects that nearly all data
submitted under part 158 in support of
a tolerance or exemption will also be
information submitted under FIFRA.
The only exception would pertain to
import tolerances or exemptions for
pesticides that are not used in the
United States, submissions which are
uncommon. All references in this
preamble to FIFRA sec. 10 are therefore
intended to apply equally to
information submitted pursuant to
FFDCA 408.
2. Safety and efficacy information.
Information pertaining to the safety and
efficacy of registered pesticides must in
most cases be made available to the
public. The existing provisions in 40
CFR 158.33 regarding the confidentiality
of safety and efficacy information have
in some cases been unclear to registrants
and applicants, resulting in confusion
regarding what information is claimed
as confidential. EPA seeks to clarify
these provisions, and to clear up some
long-standing misconceptions as to the
eligibility of inert ingredient and
process information for confidential
treatment.
FIFRA sec. 10(d)(1) provides that
‘‘information concerning the objectives,
methodology, results, or significance of
any test or experiment performed on or
with a registered or previously
registered pesticide or its separate
ingredients, impurities, or degradation
products, and any information
concerning the effects of such pesticide
on any organism or the behavior of such
pesticide in the environment, including,
but not limited to, data on safety to fish
and wildlife, humans and other
mammals, plants, animals, and soil, and
studies on persistence, translocation
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and fate in the environment, and
metabolism’’ must be made available to
the public. EPA considers metabolites to
be a form of ‘‘degradation product’’
within the meaning of sec. 10(d)(1).
Excepted from that mandatory
disclosure requirement is certain
information pertaining to manufacturing
and quality control processes and to
inert ingredients, which is given
qualified protection under FIFRA secs.
10(d)(1)(A), (B), or (C). This exception
has been frequently misinterpreted to
mean that all such information is made
categorically confidential by sec.
10(d)(1). In fact, as decided by the
District Court for the District of
Columbia in NCAP v. Browner, 941
F.Supp. 197, 201 (D.D.C. 1996), the
statute makes information subject to
FIFRA sections 10(d)(1)(A), (B), or (C)
neither categorically confidential nor
categorically public. Instead, the
information may be entitled to
confidential treatment, but only if it
meets the requirements of sec. 10(b)
(generally, trade secrets and information
whose disclosure is likely to cause
substantial harm to the competitive
position of the submitter).
EPA believes that, with the exception
of information pertaining to a pesticide
that has never been registered, all
information submitted in accordance
with part 158 (including information
submitted in connection with an
application for a tolerance or
exemption) constitutes safety and
efficacy information subject to sec.
10(d)(1). All of the information subject
to part 158 concerns ‘‘the effects of such
pesticide on any organism or the
behavior of such pesticide in the
environment.’’ This includes not only
studies regarding hazard and fate, but
also information such as product
chemistry, which is collected by the
Agency for the very purpose of
determining the effects of the pesticide
on organisms and its behavior in the
environment.
In addition to providing submitters
with an opportunity to designate
information as subject to one of the
exceptions in FIFRA secs. 10(d)(1)(A),
(B), or (C) (a feature also contained in
the current version of § 158.33), EPA
proposes to include a provision that all
information that has not been so
designated and that pertains to a
registered or previously registered
pesticide be deemed non-confidential
by operation of law, without further
notice to the submitter (subject to the
requirements of sec. 10(g) regarding
disclosure to multinational entities).
This provision would not apply to
information that was submitted prior to
May 4, 1988, the effective date of the
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current regulation contained in § 158.33,
and thus the first time that claims under
sec. 10 (d)(1)(A), (B), or (C) were
required to be identified.
3. Information pertaining to
unregistered pesticides. Although safety
and efficacy information (which by
definition pertains only to registered or
previously registered pesticides) is
made publicly available by statute, if the
information pertains to unregistered
pesticides (including both applications
for new active ingredients and import
tolerances for pesticides used only
outside the United States) it is not
subject to the same mandatory
disclosure requirement. Such
information may be entitled to
confidential treatment if it meets the
requirements of sec. 10(b). In practice,
EPA believes that information relating
to the effects of unregistered pesticides
that is not within one of the exceptions
in FIFRA sec. 10(d)(1)(A), (B), or (C) will
seldom meet this test. Much of the
information in studies is valuable only
to the extent that it can be used for
registration/tolerance purposes, and
protection from unauthorized
submission or citation of a study by
persons other than the submitter is
provided by the FIFRA and FFDCA data
compensation provisions and by FIFRA
sec. 10(g). Moreover, because such
information becomes publicly available
once the pesticide is registered,
competitors will eventually be able to
get access to the information. Thus,
confidentiality should normally be
appropriate only when disclosure of the
information prior to registration would
give competitors an advance look at
information that they could use to their
advantage.
At the same time, the period prior to
registration is of special importance for
public participation in the registration
process. Under FIFRA sec. 3(c)(4), EPA
publishes a Federal Register notice
announcing receipt of an application for
registration of a product involving a
new active ingredient or changed use
pattern, and gives the public an
opportunity to comment on the
application. Implicit in the opportunity
to comment is the availability of
sufficient information to evaluate the
risks and benefits of the product.
Although requests for pre-registration
information may be made under the
Freedom of Information Act, the amount
of time involved in contacting the
submitter to clarify claims, obtaining
substantiation of the confidentiality
claim, and making a final determination
on the claim make it very difficult for
the public to get access to important
information on a timely basis.
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Because of the possibility that some
pre-registration information may be
legitimately confidential, EPA does not
believe that it can categorically
determine all such information to be
non-confidential. The provisions in this
proposal requiring the submitter to
specify which information is claimed as
confidential will simplify access to
information not so claimed, but EPA is
soliciting comment on other
mechanisms to facilitate public access
to pre-registration information.
4. Confidentiality claims for plantincorporated protectant information.
Part 174 was incorporated into 40 CFR
effective September 17, 2001. The
regulations in part 158 apply to plantincorporated protectants unless
otherwise superseded by part 174. In
addition to complying with the
requirements of § 158.33, any
confidentiality claims for information
subject to 40 CFR part 174 (plantincorporated protectants) must be
substantiated at the time of submission
as described in § 174.9.
5. Disclosure of data to multinational
entities. Also included is a proposed
provision governing the release of data
to foreign or multinational pesticide
companies. Under sec. 10(g) of FIFRA,
EPA requires that any person requesting
information from the Agency affirm that
he or she is not an ‘‘entity engaged in
the production, sale, or distribution of
pesticides in countries other than the
United States or in addition to the
United States’’ and that the information
will not be disclosed to such an entity.
The requirement for such an affirmation
applies to all data received by the
Agency under FIFRA (and FFDCA) and
is not limited to confidential business
information.
In Class Determinations 3–85 (50 FR
48833, November 27, 1985) and 1–99
(64 FR 70019, December 15, 1999) EPA
elucidated the criteria for determining
whether information and documents
derived from studies or reports
submitted to the agency are subject to
the restrictions of FIFRA sec. 10(g). In
order to be outside the scope of sec.
10(g), documents must not (1) ‘‘contain
or consist of any complete unpublished
report submitted to EPA ’’ or (2)
‘‘contain or consist of excerpts or
restatements of any such report which
reveal the full methodology and
complete results of the study, test, or
experiment, and all explanatory
information necessary to understand the
methodology or interpret the results.’’
(50 FR 48834). Although the application
of these class determinations is limited
to data reviews created by the Agency
(3–85) and information regarding
unreasonable adverse effects of
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pesticides on the environment
submitted in connection with sec.
6(a)(2) of FIFRA (1–99), the rationale
behind the class determinations applies
to all data which meet the criteria
quoted in this paragraph. In order to
facilitate the timely release to the public
of important safety and efficacy
information beyond that contained in
data reviews and 6(a)(2) notices, EPA is
proposing to codify these
determinations with respect to all
information submitted in accordance
with part 158.
6. Release to state and foreign
governments with consent. EPA also is
including in this proposal a provision to
facilitate the release and exchange of
information with State and foreign
regulatory agencies. In an effort to
promote harmonization and to conserve
resources through work share programs,
the exchange of data often is beneficial
and desirable. Applicants would have
the option of signing a statement
authorizing the Agency to release
information contained in their
documents for such purposes. Although
most governments provide protection
for confidential information, EPA
cannot guarantee how a particular
government would treat specific
information disclosed to it.
Consequently, the submitter should be
aware of any risk involved before
granting consent to disclosure.
However, EPA would not view
disclosure to a government that
protected confidential information as
otherwise waiving confidential
treatment for the information.
D. Flagging Criteria
EPA proposes to revise the flagging
requirements of § 158.34, established in
1985, without changing the substance of
the requirement. Currently, applicants
for registration and amended
registration, and submitters of data
under FIFRA sec. 3(c)(2)(B) are required
to flag certain toxicology studies that
show results potentially indicating an
adverse effect. EPA proposes to make
minor revisions to update and clarify
the criteria to encompass the new types
of toxicology studies being proposed
today. Specifically, EPA proposes to:
1. Reduce the number of study criteria
from 11 to 7 by combining certain
studies under one criterion. The new
criteria would eliminate distinctions
between subchronic and chronic studies
in most cases.
2. Combine reproductive, prenatal
developmental toxicity and
developmental neurotoxicity studies
under one criterion to better focus on
effects on children and infants.
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3. Consolidate the criteria that address
the No-Observed-Adverse-Effect Levels
(NOAEL) into a single criterion covering
all studies from which NOAELs are
derived. In so doing, EPA would change
references to cholinesterase inhibition
to ‘‘acute toxicity.’’ This change
acknowledges that NOAELs are now
derived for a number of acute toxicity
effects, not just cholinesterase
inhibition. In a similar vein, EPA would
eliminate the specific ‘‘less than 10X’’
and ‘‘less than 100X’’ triggers for
NOAEL study flagging in favor of a more
general description of ‘‘less than the
current NOAEL.’’ Both of these changes
could result in more studies being
flagged.
4. Update the guidelines references,
and terminology, e.g., teratogenicity
studies are now called prenatal
developmental toxicity studies; the ADI
is now referred to as the RfD. EPA
believes that these revisions to the
criteria will simplify the application of
the criteria by submitters, even though
additional studies may be required to be
flagged.
E. Waivers
EPA proposes to reformat its waiver
process, currently contained in § 158.45,
but to retain its provisions. This
proposal retains the flexibility of the
current provisions for applicants to
request, and EPA to evaluate, the need
for data on a case-by-case basis
depending on individual chemicals and
use patterns. One of the benefits of
updating part 158 as proposed today is
that the improvements in clarity and
transparency of the data requirements
will greatly assist both the Agency and
applicants in addressing data waivers.
1. Waiver requests submitted as part
of an application for registration.
Waiver requests submitted in
conjunction with an application for
registration, amended registration,
experimental use permit, or petition for
tolerance are considered in the context,
and in the same time frame, as the
application is considered, based upon
the application review period in FIFRA
sec. 33. The review periods currently
range from 90 days for minor
amendments to as much as 3 years for
new chemical applications.
Consideration of waiver requests (and
there may be multiple requests in a
single application) is done by Agency
scientists when the application is
reviewed scientifically.
2. Waiver requests submitted in
response to Data Call-Ins for studies
that are required in part 158. In the case
of DCIs for data requirements that are
contained in part 158, EPA believes that
it will be able to make waiver decisions
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in a reasonably prompt timeframe since
the need for the data has been
established, the criteria upon which the
data are required (use pattern, exposure
pattern, chemical characteristics, etc.)
have been elaborated, and the
conditionalities associated with its
imposition have been carefully
considered in the development of this
proposal. In other words, much of the
evaluative process associated with a
data waiver has already been done.
Thus EPA will be able to judge an
adequately supported waiver request
against these existing factors to
determine whether a waiver can be
granted.
Moreover, the improved transparency
of the requirements and conditions in
new part 158 means that an applicant
will be able to ascertain with reasonable
certainty the likelihood that EPA would
consider favorably a waiver request.
EPA believes that improved clarity will
also reduce the number of frivolous,
inappropriate, or ill-supported waiver
requests. Thus, EPA believes it will be
able to respond in a reasonable period
of time to a waiver request. If EPA
requires a lengthy period to reach a
decision on a waiver request which is
denied, the Agency will generally
consider time extensions to
accommodate legitimate and reasonable
registrant needs, whether to define
acceptable protocols, evaluate
alternative tests that might satisfy the
Agency’s requirements, or allow for
consideration of laboratory capacity.
F. Minor Uses
Current § 158.60 outlines a number of
non-regulatory policies EPA adopted to
limit the economic impact of data
requirements on minor use products
while ensuring that the Agency had
adequate data to assess the potential
risks and benefits of these pesticides.
Because minor use policies by
themselves are somewhat fluid and
subject to change periodically, EPA
proposes to remove § 158.60. EPA,
however, remains committed to the
minor use program by imposing the
mandates contained in FIFRA that relate
to minor uses, such as extending
exclusive use of minor use data,
granting minor use waivers, and
expediting minor use registrations. The
Agency believes that tiered testing,
outlined elsewhere in this proposal,
coupled with its waiver policy in
§ 158.45 and priority review status, limit
the economic burden for all pesticides
by ensuring that registrants are required
to develop only those studies that are
essential for an appropriate safety
evaluation.
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VIII. How to Use the Data Tables
(Subpart B)
EPA proposes to revise subpart B to
update use patterns and clarify the steps
needed to determine the appropriate
data requirements from the tables in
subparts, D, E, F, J, K, N, O, and U.
Pesticide use patterns that are used to
determine required testing have been
revised for all of the data requirements
tables to reflect the expanded use
patterns contained in this proposal (see
below).
A. Expanded Use Patterns
EPA proposes to subdivide the
current 9 major use patterns listed in
Appendix A of part 158 to 15 to more
fully address nonagricultural uses. The
revised use patterns would be terrestrial
food crop, terrestrial feed crop, and
terrestrial nonfood crop; aquatic food
crop, aquatic nonfood crop, aquatic
nonfood outdoor use and aquatic
nonfood industrial use; greenhouse food
crop and greenhouse nonfood crop;
forestry; residential outdoor; indoor
food; indoor nonfood; indoor medical;
and indoor residential use. As
mentioned above, the Agency proposes
to remove the Pesticide Use Index
(Appendix A) from the regulations
because it is not a requirement. Instead,
the Index will become a separate
guidance document and placed on
EPA’s website and made available to the
public. A guidance document would be
easier to update and would provide the
regulated community with the most
current information.
B. Clarifying How to Use the Data
Tables
Subpart B would contain a step-wise
process to assist the applicant in
determining the data needed to support
its particular product. As with current
practice, the actual data and studies
required may be modified on an
individual basis to fully characterize the
use and properties of specific pesticide
products under review. While EPA is
attempting to assist the applicant in this
subpart, it is important to emphasize
that it is the applicant’s obligation
under FIFRA to demonstrate that an
individual product meets the standard
under FIFRA and/or FFDCA.
Accordingly, applicants are encouraged
to consult with the Agency on the
appropriate data requirements as
proposed here as they relate to their
specific product prior to and during the
registration process.
EPA is continuing its current system
of identifying the applicability of data
requirements in the data tables. Because
of the variety of chemicals and use
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patterns, and because EPA must retain
flexibility to tailor data requirements to
its needs, it uses only qualitative
descriptors in the tables. These are used
for convenience to make the table
format feasible, but serve only as a
general indication of the applicability of
a data requirement. In all cases, the test
notes referred to in the table must be
consulted to determine the actual
applicability of the data requirement.
The table descriptors NR (not
required), R (required), and CR
(conditionally required) can be viewed
as markers along a spectrum of the
likelihood that the data requirement
applies. The use of R does not
necessarily indicate that a study is
always required, but that it is more
likely to be required than not. The use
of CR means a study is less likely to be
required. Although only an
approximation, if percentages were to be
assigned, R could be viewed as
representing the range of 50% to 100%
and CR the range up to 50%. EPA
welcomes comment on ways to
characterize the data requirements that
would better serve applicant needs.
EPA is continuing its longstanding
system of identifying test substances in
the tables. The standard descriptors of
test substance are the following:
1. The technical grade of active
ingredient (TGAI), used when
evaluating the inherent toxicity or
chemical characteristics of a pesticide.
2. The manufacturing use product
(MP), used in certain product chemistry
tests, usually for labeling purposes.
3. The pure active ingredient (PAI),
used in certain product chemistry tests
requiring extremely basic chemical
properties or manufacturing process
information.
4. The pure active ingredient,
radioactive (PAIRA), used primarily in
residue chemistry studies when
residues at very low levels (ppm) must
be quantified in plant or animal tissue.
5. The end-use product (EP), used as
the test substance when the Agency
wants to refine its hazard or chemical
profile based on actual concentrations,
or needs to determine the impact of
added inert ingredients on the hazard or
chemical profile.
6. The typical end-use product (TEP),
used as a representative product in tests
that might otherwise require duplicative
testing of a number of EPs.
Where changes in the test substance
are proposed, such changes are
described in the discussion of each
proposed revision. EPA welcomes
comment on its test substances and how
the Agency uses them in a testing
regimen. Such comments should be
made in the context of the specific data
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requirement for which changes are
proposed.
C. Identifying Data for Experimental Use
Permits (EUPs)
Finally, the Agency is requesting
comment on the best way to identify
data requirements for EUPS. Some
people believe that the brackets
indicating what data requirements also
apply to EUPs in the current data tables
complicate the tables with extraneous
symbols and codes. In an effort to make
the data tables simpler and easier for an
applicant to understand, one suggestion
is to separate the EUP data requirements
from the main data tables and make
them a stand-alone table. Revised EUP
data requirements could be housed in
40 CFR part 158 (data requirements) or
in part 172 (EUP requirements). As part
of this proposal, EUP data requirements
for each discipline have been identified
either in the regulatory text
accompanying the data table or, as
brackets, within the body of the table,
itself. In general, the Agency proposes to
retain the existing data requirements for
EUPs with a few minor changes in the
areas of environmental fate and
ecological effects. The Agency is
soliciting opinions on this approach or
other approaches that may prove more
efficient and useful to the applicant. If
an alternative approach is accepted, the
Agency may in the final rule, reformat
the regulatory text or data tables.
D. Test Guidelines
The guidelines for the environmental
fate series are currently being updated
and where applicable, harmonized with
the guidelines established by the OECD.
Therefore, the Agency is showing the
current guideline numbers in the
preamble, regulatory text, and tables. If,
before the final rule has been
promulgated, these guidelines have
been issued, EPA will insert the new
guideline numbers in the Final Rule.
E. Purposes of the Registration Data
Requirements
The Agency proposes to retain the
material currently in § 158.202 Purposes
of the registration data requirements in
subpart D, Data Requirements Tables.
Since a series of new subparts will
replace subpart D, this material will be
moved to subpart B.
IX. Product Chemistry Data
Requirements (Subpart D)
A. General
The Agency uses product chemistry
information to determine whether
impurities of toxicological or
environmental concern are present in
pesticides and formulated products.
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Product chemistry data requirements are
comprised of product identity and
composition data along with the
physical and chemical characteristics of
a pesticides, plus any intentionally
added ingredients and impurities in the
final pesticide product. Included in this
subpart are the specific, detailed
requirements for product identity and
chemical analysis. The Agency is
proposing two additional data
requirements and other minor revisions
that would clarify the applicability of
existing requirements. For example, the
Agency proposes to revise the definition
of an active ingredient and end-use
product to include nitrogen stabilizers,
which were added to the definition of
‘‘pesticide’’ in 1996.
The Agency proposes to list entries in
the data requirements table for product
identification, composition, analysis,
and certification of limits requirements.
These requirements are currently
contained in § § 158.155 through
158.180, and are proposed to be retained
unchanged as new § § 158.320 through
158.355. Inclusion in the table for
product chemistry is for the
convenience of applicants--the
requirements themselves are not
affected by including them in the table.
The test notes refer applicants to the
subsequent section that discuss the
requirements in detail.
The Agency’s current policy as
described in Pesticide Registration
Notice 98–1 (January 12, 1998) allows
applicants and registrants to submit a
summary of the physical and chemical
properties of non-integrated pesticide
products, EPA Form 8570–36, rather
than submit the studies upon which
these data are based. The selfcertification statement (EPA Form 8570–
37) must be signed and dated by the
applicant certifying that the submitted
information was conducted in full
compliance with the regulations
(Attachment 2 to PR notice 98–1). The
PR notice applies to applications for
registration of manufacturing-use and
end-use products of all pesticide
products produced by a non-integrated
formulation system.
B. Proposed Product Chemistry Data
Requirements
1. Newly imposed data requirements.
None.
2. Newly codified data requirements—
i. UV/visible light absorption. The
Agency proposes to add a requirement
for data on the ultraviolet (UV)/visible
light absorption in the 200–800
nanometers wavelength range (guideline
830.7050) as part of the basic data in the
characterization and identification of a
compound. This information will be
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used in conjunction with the
photodegradation in water study
(§ 158.1100) to determine if
photodegradation is a possible route of
dissipation in the environment. In order
for a pesticide to undergo direct
photolysis in the environment, it must
absorb energy in the wavelength range
emitted by sunlight. While the UV/
visible light absorption spectrum will
indicate whether or not the chemical
absorbs in this range and hence may
potentially photodegrade, it does not
actually measure the photodegradation
rate or identify photodegradates.
Accordingly, test note 2 for the
photodegradation study states that the
photodegradation in water study will
not be required when the electronic
absorption spectra, measured at pHs 5,
7, and 9, of the chemical and its
hydrolytic products, if any, show no
absorption or tailing between 290 and
800 nm.
ii. Particle size, fiber length, and
diameter distribution. The Agency
proposes to add the conditional
requirements for data on particle size,
fiber length, and diameter distribution
(guideline 830.7520). This study would
be conditionally required for water
insoluble test substances (<10-6 g/l) and
fibrous test substances with diameter
≥0.1 µm. Data from this study are
needed in the environmental fate
assessment to estimate potential
chemical drift to nontarget areas.
3. Revised data requirements—i.
Stability to temperatures, metals, and
metal ions. The Agency proposes to
change the requirement for stability data
(guideline 830.6313) from ‘‘required’’ to
‘‘conditionally required.’’Data on the
stability to metals and metal ions is
required only if the active ingredient is
expected to come in contact with either
material during storage. This proposed
change does not alter the nature of the
requirement.
ii. Explodability. The Agency
proposes to change the requirement for
explodability data (guideline 830.6316)
from ‘‘required’’ to ‘‘conditionally
required.’’ Since pesticides do not
typically fall under this category, these
data are only required for products that
are potentially explosive. This proposed
change does not alter the nature of the
requirement.
iii. Partition coefficient (n-octanol/
water). The Agency proposes to change
the requirement from ‘‘conditionally
required’’ to ‘‘required’’ (guidelines
830.7550, 830.7560, and 830.7570). The
Agency is requiring this study because
the majority of currently registered
pesticides are organic non-ionic
chemicals that are not expected to
significantly hydrolyze or solubilize in
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water. In the event a chemical fully
hydrolyzes or is completely soluble in
water, this data requirement would be
waived. This proposed change does not
alter the nature of the requirement nor
the conditions under which it is
imposed.
iv. Density, dissociation constant, and
vapor pressure. The Agency proposes to
add test notes for the data requirements
for density/relative density/bulk density
(guideline 830.7300), dissociation
constant (guideline 830.7370), and
vapor pressure (guideline 830.7950) to
better identify when these study
requirements are applicable. These
proposed minor changes do not expand
the product chemistry requirement.
Instead, they clarify the requirements by
specifying which physical states or
chemical forms the requirements apply.
X. Terrestrial and Aquatic Nontarget
Organisms Data Requirements (Subpart
E)
A. General
The Agency uses a tiered system of
ecological effects testing to assess the
potential risks of pesticides to aquatic
and terrestrial vertebrates, invertebrates,
and plants. These tests include studies
arranged in a hierarchy from basic
laboratory tests to applied field tests.
The results of each tier are evaluated to
determine the potential impacts on fish,
wildlife and other nontarget organisms,
and to indicate whether further
laboratory and/or field studies are
needed. These data requirements
provide the Agency with ecological
effects information, which, in turn,
allows the Agency to determine if
precautionary statements concerning
toxicity or potential adverse effects to
nontarget organisms are necessary.
Higher tiered studies may be required
when basic toxicity data and predicted
exposure levels or environmental
conditions suggest the potential for
adverse effects. Field data are used to
examine acute and chronic adverse
effects on captive or monitored
populations under natural or nearnatural environments. Such studies are
required only when the potential for
adverse effects is high, based on the
results of lower tier studies, or to
confirm the need for mitigation
measures. In some cases, the results of
field studies may give rise to the need
for further testing.
B. Proposed Requirements
The Agency is proposing two
additional data requirements as well as
other minor revisions that would clarify
the existing data requirements. In some
cases, the proposal is to change the
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existing test requirement from
‘‘conditionally required’’ to ‘‘required ’’
or ‘‘not required.’’ The data
requirements for nontarget insects,
formerly in § 158.590, would be moved
under this proposal to subpart E to
consolidate the data requirements for
nontarget organisms. Other changes
include changes in test substance,
conditions under which the test is
required, and clarification of test notes.
In addition, as discussed in more
detail in this section, the Agency
proposes to require an additional test
species for the avian oral toxicity study,
because current data requirements may
not adequately characterize the risks
that pesticides pose to songbirds. The
Agency also proposes to conditionally
require sediment testing to better assess
the effects of sediment bound pesticide
residues in aquatic environments. The
Agency is proposing to require
independent laboratory validation of
environmental chemistry methods for
terrestrial and aquatic field testing.
Finally, the Agency is proposing to
eliminate the requirement for avian
dietary testing for indoor and
greenhouse uses, and to simplify the test
notes for these requirements. The
Agency invites comments on all aspects
of these data requirements.
1. Newly imposed data requirements.
None.
2. Newly codified data requirements.
The Agency proposes to add testing of
aquatic organisms exposed to treated
sediment to better assess the effects of
sediment bound pesticide residues in
aquatic environments. Environmental
risk estimates should be based on
exposure data from the water column,
sediment, and pore water (the water
occupying space between sediment or
soil particles), however, with the
exception of field studies, the current
data requirements are limited to water
column exposures. The effects of
sediment bound pesticides (or their
degradates) on aquatic environments
cannot be accurately assessed from
bioassays on compounds suspended in
the water column alone. For example,
lipophilic or hydrophobic chemicals
can dissipate from the water column,
but may remain in the aquatic
environment adsorbed to sediment.
Sediment bound pesticides may differ
significantly from pesticides in solution,
showing different physical, chemical,
and biological properties, chemical
partitioning, bioavailability,
concentrations in interstitial or pore
water, exposure from sediment
ingestion and possible manifestations of
food chain effects. By serving as a
potential pesticide sink, exposure to
these compounds may lead to
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significant environmental risk to a wide
variety of fish and aquatic invertebrates
which live and feed at the bottom of a
lake or stream. Sediment toxicity testing
is needed to assess the bioavailability of
a sediment bound compound and to
characterize the possible impact to
sediment dwelling organisms. The
Agency does not believe these studies
will be commonly required.
EPA’s Contaminated Sediment
Management Strategy (USEPA 1998)
(Ref. 3) has been recently developed to
provide a more unified approach to
testing and risk assessment of aquatic
species which inhabit and feed in the
benthic environment. Testing would
consist of whole sediment (spiked) tests;
testing can also consist of chronic whole
sediment toxicity tests and/or sampling
for residues and biological monitoring
of pesticides in the sediment after
exposure. EPA has developed test
protocols for chronic whole sediment
tests of invertebrates. Test guidelines
will be developed from these protocols.
Protocols for further tests (e.g., acute
pore water tests) and for vertebrate
species are under consideration.
Registrants are urged to meet with the
Agency prior to development of their
own protocols.
i. Whole sediment: acute toxicity to
invertebrates, freshwater and marine.
The Agency is proposing to
conditionally require data for acute
invertebrate sediment testing
(guidelines 850.1735 and 850.1740) for
terrestrial uses, aquatic food and
nonfood outdoor uses, and forestry uses.
This study would be required when the
soil partition coefficient (Kd) is ≥ 50 mg/
L, indicating the ability to absorb to
sediment, and if the half-life of the
pesticide in the sediment is ≤ 10 days
in either the aerobic soil or aquatic
metabolism studies. Registrants would
need to consult with the Agency on
appropriate test protocols.
ii. Whole sediment: chronic toxicity to
invertebrates. The Agency proposes to
conditionally require this study for the
same use patterns as the above sediment
toxicity tests. The study would be
triggered when the estimated
environmental concentration is greater
than or equal to the acute sediment
EC50/LC50 or the soil partition
coefficient (Kd) is ≥ 50 mg/L, indicating
the ability to absorb to sediment; and if
the half-life of the pesticide in the
sediment is >10 days in either the
aerobic soil or aquatic metabolism
studies. Registrants would need to
consult with the Agency on appropriate
test protocols.
3. Revised data requirements—Avian
oral toxicity. The Agency proposes to
require for certain uses, an additional
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test species for the acute avian oral
toxicity study (guideline 850.2100),
which currently recommends the use of
mallard ducks or bobwhite quail.
Testing on a passerine species (i.e.,
redwing blackbird) would be required
for outdoor uses. The Agency is
proposing to add this passerine species
because of concern in the scientific
community that data from tests with
mallards or quail may not always
adequately characterize the risks that
pesticides pose to songbirds. Recent
evaluation of the data collected over the
past 10 years indicates passerines are
more sensitive to pesticides than larger
birds such as mallards and quail (which
are currently the recommended test
species) (Ref. 2) and in 1996, the SAP
supported the need for testing on
passerines. In addition to comments on
the proposed addition of a passerine
species for the acute oral toxicity study,
the Agency requests comments on
whether this species should replace the
existing bobwhite/mallard species or
otherwise be conditional, and if so what
criteria or triggers should be used to
determine when the data should be
required.
The Agency proposes to revise and
simplify the test notes for the avian
acute toxicity test. The single current
footnote is structurally complex, so EPA
has subdivided it into 4 test notes that
are easier to understand and apply.
In addition, the Agency proposes to
conditionally require testing of the
typical end-use product (TEP) of
granular and non-granular end-use
products because the inherent toxicity
of end-use products is better defined by
testing the product. End-use products
may contain chemicals that enhance
efficacy by acting as solvents, stickers,
and wetting agents. Although these
chemicals are listed as inerts, their
individual toxicity or combination with
one another or the active ingredient
(a.i.), may be more toxic than the
technical grade of the active ingredient
(TGAI).
i. Avian dietary toxicity. In the current
regulation, the Agency requires the
subacute avian dietary toxicity study
(guideline 850.2200) for terrestrial and
aquatic (food crop and nonfood),
forestry, and domestic outdoor uses, and
conditionally requires this study for
indoor and greenhouse (food crop and
nonfood) use sites, as part of a set of 4
basic avian (acute and dietary) and
aquatic toxicity studies. The results are
used in decisions regarding
environmental hazard statements on
product labeling. Since the avian acute
oral study more accurately reflects the
inherent exposure to birds in this
scenario, the Agency is proposing to no
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longer require the avian dietary study
for indoor and greenhouse uses.
This proposal would also add as a
conditional requirement data on one
avian species for aquatic nonfood
residential uses if the acute avian oral
LD50 of the TGAI is less than or equal
to 100 mg a.i./kg. Data would be
required on a second species for this use
if the avian dietary lethal concentration
to cause mortality in 50% of the test
animals (LC50) in the first species tested
is less than or equal to 500 ppm a.i. in
the diet. The Agency is proposing to
conditionally require the second species
because the data will provide some
assurance that EPA is not basing an
assessment on a single species which
might be highly sensitive (or the
opposite) when compared to other birds.
This particular use category (aquatic
nonfood residential) is relatively smallscale, so the current regulations require
testing on only one species. However, in
the event that this test shows high
toxicity, this concern is addressed by
the conditional requirement for testing
on a second species.
ii. Wild mammal toxicity. The Agency
proposes to amend this conditional data
requirement to eliminate the
requirement for aquatic nonfood
residential uses. In splitting the current
aquatic use category, EPA is able to
tailor the requirement to those use
situations for which the data are needed
(aquatic food and nonfood uses). The
conditionality of the requirement would
be unchanged, that is, required on a
case-by-case basis depending on the
results of lower toxicology tier studies,
such as acute and subacute testing,
intended use pattern, and
environmental fate characteristics that
indicate potential exposure.
iii. Avian reproduction. Because some
pesticides are stable in the environment,
or can be stored in plant tissues that
may be used by birds as a food source,
avian reproduction testing (guideline
850.2300) is conditionally required for
pesticides to which birds are exposed
repeatedly or continuously during or
preceding the breeding season. In
addition, research has shown that even
short-term exposures to pesticides can
lead to significant adverse reproductive
effects. For example, several
organophosphorus insecticides have
been shown to significantly reduce egg
production and lead to changes in
eggshell quality within days of dietary
exposure (Refs. 4, 5 and 6). Therefore,
EPA proposes to require these studies
for terrestrial (food crop, feed crop, and
nonfood), aquatic food crop and
nonfood outdoor, forestry, and
residential outdoor uses.
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iv. Simulated or actual field testing
for mammals and birds. Current part
158 conditionally requires field testing
(guideline 850.2500) for terrestrial and
aquatic (food crop and nonfood),
forestry, and domestic outdoor uses.
The Agency proposes to expand this
conditional requirement to include
terrestrial feed crop and aquatic
nonfood outdoor uses, as well. The
requirement would be based on the
results of lower tiered studies such as
acute and subacute bird and mammal
testing, intended use pattern, and
environmental fate characteristics that
indicate potential exposure. Testing
would be required only for those
products that appear to pose significant
risks to nontarget wildlife. The Agency
is also proposing to require independent
laboratory validation of the
environmental chemistry methods used
to generate data associated with this
study.
v. Acute toxicity: freshwater fish.
Currently part 158 requires the
freshwater fish toxicity study (guideline
850.1075) for terrestrial and aquatic
(food crop and nonfood), forestry, and
domestic outdoor uses and
conditionally requires these studies for
greenhouse (food crop and nonfood) and
indoor uses.
Although indoor and greenhouse uses
usually require only one species of fish
to be tested, in some instances a second
fish species may be needed. For
example, a chemical may be shown to
be stable in the environment (i.e.,
hydrolysis study), have moderate
toxicity (1 ppm LC50 < 10 ppm) in the
acute fish toxicity study, and may be
released into the aquatic environment
through effluent discharge. In such
cases, the results of the two required
acute aquatic toxicity studies (fish and
invertebrates) may not be sufficient to
rule out greater toxicity in a second
species of fish. Testing on a second
species will provide some assurance
that EPA is not basing an assessment on
a species that is highly sensitive (or the
opposite) when compared with another
species. Therefore, in these cases, the
Agency proposes to conditionally
require a third acute study on a second
species of fish to correlate with the
results of the previous two acute aquatic
studies and to ensure that the labeling
is adequate to protect aquatic species.
The additional study increases the
likelihood that effluent criteria and
product labeling reflect the pesticide’s
risk and inherent toxicity.
vi. Acute toxicity—estuarine and
marine organisms. Acute data from
estuarine testing enables the Agency to
perform a risk assessment by comparing
the toxic concentrations with the
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estimated or monitored levels in
estuaries. The Agency proposes to
change the conditional requirement for
the acute LC50/EC50 testing (guidelines
850.1025, 850.1035, 850.1045, 850.1055,
and 850.1075) for terrestrial, aquatic
(food crop and nonfood outdoor),
residential outdoor, and forestry uses to
required testing, and change the aquatic
nonfood residential use to ‘‘not
required.’’ Generally, three out of the
five studies would be needed to satisfy
the data requirement. Registrants may
request a waiver of the study if the crop
is never associated with coastal counties
or there is a geographical restriction for
a site that would normally be of
concern.
vii. Chronic toxicity—fish early-life
stage and aquatic invertebrate life-cycle.
Currently, the Agency conditionally
requires fish early-life stage and aquatic
invertebrate life-cycle studies
(guidelines 850.1300, 850.1350, and
850.1400) for terrestrial food and
nonfood, aquatic food and nonfood,
forestry, and domestic outdoor uses.
These studies are not required for
greenhouse food and nonfood, and
indoor uses. The Agency is proposing
several revisions that would clarify the
applicability of the requirements. The
first is to list the fish early-life stage and
aquatic invertebrate life-cycle studies as
separate requirements in the data table;
then identify each test organism as a
freshwater or saltwater species.
For the freshwater fish early-life stage
and invertebrate life-cycle studies, the
Agency proposes to change the
conditional requirement for terrestrial
and aquatic (food crop and nonfood)
and forestry uses to required, and
change the aquatic nonfood residential
use to not required.
Currently, the freshwater invertebrate
life cycle and fish early life stage tests
are conditionally required for terrestrial,
aquatic (food crop and nonfood), and
forestry uses. When promulgated in
1984, one basis for the conditional
nature of the requirements was that only
one of the two tests was required,
depending on whether fish or
invertebrates were more sensitive in the
acute studies. However, when a
pesticide enters the aquatic
environment, both groups of organisms
will be exposed. Moreover, acute
sensitivity is not a reliable indicator of
chronic sensitivity, whether in the same
or a different group of organisms, so that
chronic data are needed regardless of
the results of acute testing.
The proposed change to ‘‘not
required’’ for aquatic nonfood
residential use is due to the fact that the
current ‘‘aquatic nonfood’’ use pattern is
proposed to be split into aquatic
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nonfood outdoor and aquatic nonfood
residential. As the latter represents a
much smaller use pattern, the Agency
believes that data requirements can be
reduced or eliminated for aquatic
nonfood residential uses.
In addition, the Agency proposes to
require both of these tests for all turf
uses including residential, since
exposure varies. This change is
warranted because the relative
sensitivity of fish and invertebrates can
vary widely across chemicals. Currently,
only the most sensitive of the two
organisms, either fish or aquatic
invertebrates, as determined by Tier I
acute studies, is tested. However, since
both organisms will be exposed when a
pesticide enters an aquatic environment
and the acute sensitivity of an
invertebrate may not accurately predict
the chronic sensitivity in fish and vice
versa, the Agency believes that both
species should be tested for chronic
effects. The Agency cannot make the
assumption that a chemical is not
chronically toxic at much lower
concentrations than some ratio of the
LC50 value would suggest.
viii. Aquatic organism bioavailability/
biomagnification/toxicity tests. The
Agency proposes to eliminate the
requirement for these studies for aquatic
nonfood residential or residential
outdoor uses since exposure is expected
to be minimal (i.e., insufficient
quantities to accumulate in the tissues
of aquatic organisms (guidelines
850.1710, 850.1730, and 850.1850).
ix. Simulated or actual field testing
for aquatic organisms. The Agency is
clarifying that the conditional
requirement (guideline 850.1950)
applies to turf, however these studies
would no longer be required for aquatic
nonfood residential uses since exposure
is expected to be minimal.
x. Honeybee acute contact toxicity.
EPA is proposing to require this study
(guideline 850.3020) for terrestrial (food
crop, feed crop, and nonfood), aquatic
food crop and nonfood (outdoor),
forestry, and residential outdoor uses.
This study is being added to the battery
of studies required to support outdoor
uses when honeybees are likely to be
exposed to pesticides. Previously, the
requirement was limited to outdoor use
patterns when the crop may be in bloom
and thereby be attractive to honey bees.
The change from ‘‘conditionally
required’’ to ‘‘required’’ is to address
those situations where blooming,
pollen-shedding, or nectar-producing
parts of nontarget plants adjacent to or
within the treated area may be attractive
to honey bees. Registrants may request
a waiver of the study if use practices
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significantly restrict exposure of the
pesticide to honey bees.
xi. Honeybee-toxicity of residues on
foliage. The current regulation
conditionally requires honeybee toxicity
of residues on foliage studies (guideline
850.3030) for terrestrial and aquatic
(food crop and nonfood), forestry, and
domestic outdoor uses. The study is
required when the formulation contains
one or more active ingredients having
an acute LD50 of less than 1 µg/bee. The
Agency proposes to amend the
requirement to require testing on the
TEP when the formulation contains one
or more active ingredients having an
acute LD50 of <11 µg/bee, as determined
in the acute contact study, and the use
pattern indicates that honey bees may
be exposed. The proposed data
requirements rule (48 FR 53192) which
was published in 1982, listed the correct
value of <11 µg/bee for the honeybee
study.
xii. Field testing for pollinators. The
Agency proposes to include terrestrial
(feed crop) and aquatic nonfood (aquatic
outdoor and residential) uses where
honeybees are likely to be exposed to
pesticides as a conditional requirement
(guideline 850.3040).
C. Data Requirements Specific to
Endangered Species Assessments and
Determinations
Over the last several years, the
Agency has been requiring, on a caseby-case basis for certain pesticides, data
demonstrating specific geographic
location(s) of threatened and
endangered species (listed species),
which can then be compared with areas
of potential pesticide use. These data
have been required when EPA
determined that the estimated
environmental concentration of the
pesticide when applied according to the
labeling appears to exceed the Agency’s
numeric concern levels for listed
species. The specific species for which
location information was needed, has
been determined on a case-by-case basis
based upon the use pattern of the
pesticide and the sites on which it may
be used. These special data are currently
not required by part 158, and have only
been requested on a few occasions;
however, the Agency anticipates that
they may be requested in the future in
connection with other registration and
reregistration actions. In response to a
Data Call-In notice for data on the
location of all listed species, an industry
task force is working to develop a
database that may partly fulfill Agency
needs, i.e., geographic locations where
potentially affected species are thought
to occur. Access to the task force data
by other registrants who may be
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required to provide such data in the
future would be made available through
appropriate data sharing mechanisms.
Although the anticipated expanded
burden on registrants is not large since
it does not entail experimental or
laboratory procedures, it is nevertheless
not likely to be inconsequential.
Consequently, the Agency is requesting
comment on its utility and
appropriateness.
In addition, through discussions
about methods to evaluate the potential
risks of pesticides to listed species, EPA
and the Fish and Wildlife Service and
the National Marine Fisheries Service
(jointly referred to as the Services)
identified several aspects of EPA’s
current approach for which there is
some scientific uncertainty. While the
Services agreed that EPA was using the
best available scientific and commercial
information to assess risks to listed
species, the Services and EPA also
agreed that where uncertainties existed,
further research and investigation might
help to develop improved risk
assessment approaches. The Agency
recognizes that such research also could
lead, in the long run, to additional data
requirements for registration.
Accordingly, the Agency seeks input on
research areas that may be necessary to
effectively characterize potential risks to
listed endangered species from pesticide
use. These include research to address
the following types of uncertainties:
• Product use information by
geographic location below the state and
county levels
• Toxicity data and environmental
fate measurements/exposure model
predictions with end use products
• Toxicity data from surrogate species
that quantify dose-response
relationships for effects relevant to
critical life stages of endangered species
• Measured or estimated values of
physiological, biochemical, and
morphological characteristics of
endangered species and surrogate
species to refine chemical-specific
interspecies toxicity extrapolations
• Toxicity, exposure, uptake and
elimination data to better determine any
differences in interspecies sensitivity of
non-target and endangered plant species
exposed to herbicides
• Toxicity data to characterize
potential effects to freshwater mussels
• Toxicity data to characterize
potential effects to reptiles and
amphibians.
The Agency seeks comment on:
1. The relative value of each of these
research areas in better refining
assessments of potential risks to listed
species.
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2. Input on specific research
directions in these areas, including
methodologies, protocols etc., that
would be appropriate and useful in
assessing the potential risks to listed
species.
3. Other types of research that would
be of value in refining potential risks of
a pesticide to a listed species.
4. The extent to which potential
research areas reflect uncertainties that
apply to pesticides generically; to
chemical stressors generically, or to
types of pesticides or chemicals
stressors.
XI. Toxicology Data Requirements
(Subpart F)
A. General
Toxicology studies are required by the
Agency to assess the hazard of the
pesticide to humans and domestic
animals. These hazard data, when
combined with exposure data, form the
basis for the human risk assessment.
Generally, using animals as a surrogate
for humans, tests are carried out by the
oral, dermal or inhalation route
depending on the pesticide’s pattern of
use and physical form. The duration of
the toxicity study approximates the
estimated duration of human exposure,
while considering species differences in
maturational milestones and overall life
span. Typical exposures may be ‘‘acute’’
(single dose), ‘‘subchronic’’
(intermediate), or ‘‘chronic’’ (long-term).
If a pesticide is used on food and
requires a tolerance, the dietary
exposure may be over a lifetime, or a
significant portion of a lifetime, and
thus chronic/cancer and multigeneration reproductive studies would
be required. Studies would be required
to assess the hazard during a potentially
susceptible stage of life, e.g., prenatal
developmental studies and
developmental neurotoxicity studies,
and to measure end points not always
observed in the basic toxicity test
battery, e.g., acute and subchronic
neurotoxicity studies.
In addition, EPA’s Risk Assessment
Guidelines set forth principles and
procedures to guide EPA scientists in
the conduct of Agency risk assessments,
and to inform Agency decision makers
and the public about these procedures.
The guidelines emphasize that risk
assessments will be conducted on a
case-by-case basis, giving full
consideration to all relevant scientific
information. This case-by-case approach
means that Agency experts review the
scientific information on each agent and
use the most scientifically appropriate
interpretation to assess risk. The
guidelines also stress that this
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information will be fully presented in
Agency risk assessment documents, and
that Agency scientists will identify the
strengths and weaknesses of each
assessment by describing uncertainties,
assumptions, and limitations, as well as
the scientific basis and rationale for
each assessment.
This proposal includes the
requirements for pesticides retained
from the current 40 CFR 158.340 as well
as proposed revisions that have been
peer reviewed by the SAP. The basic
data set proposed here includes toxicity
studies needed to support high exposure
pesticides, such as food use pesticides.
1. Acute studies (oral, dermal, and
inhalation toxicity tests, eye and skin
irritation tests and dermal sensitization)
2. Subchronic (90–day) feeding
studies in rodents and nonrodents
3. Chronic feeding studies in rodents
and nonrodents
4. Cancer studies in two species of
rodents (rat and mouse preferred)
5. Prenatal developmental toxicity
studies in rodents and nonrodents (rat
and rabbit preferred)
6. Two-generation reproduction study
in rodents (rat preferred)
7. General metabolism study in
rodents
8. Mutagenicity battery
9. Acute and subchronic neurotoxicity
studies in rats
10. Immunotoxicity study in rodents
11. Developmental neurotoxicity
study in rodents
B. Approach
1. Options for generating data. A
required sequence of toxicological
testing for new pesticides is not
specified by the Agency. Rather, most
decisions regarding the order of testing
are left up to the individual registrant,
based upon the understanding that there
are many factors that could affect the
testing progression. It is recommended,
however, that the development of
pharmacokinetic information, including
data relevant to developing systems, be
initiated early in the testing process in
order to aid in the appropriate design of
the studies and the interpretation of
toxicological findings in adult and
immature (developing) animals.
Generally, data requirements will
proceed from single to multiple
exposures, from shorter to longer
duration, and from simpler to more
complex. Different studies may be
conducted simultaneously and various
studies may be done in combination as
well (an approach encouraged by the
Agency to optimize resources and
reduce the number of animals used in
testing). Knowledge gained from results
of earlier studies should be used to
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design subsequent study protocols in
order to attain the greatest confidence in
the results of the higher-order studies.
For instance, conducting the subchronic
(90–day) feeding study prior to the twogeneration reproduction study would
provide information on target organs
that may be affected and that need to be
specifically evaluated in the twogeneration reproduction study.
2. Options for submitting nonfood use
data. In proposed § 158.510 for nonfood
uses of pesticides, EPA proposes to
implement two approaches for
complying with the toxicology data
requirements. The first option, which
parallels the testing scheme in the
current regulations, would allow
registrants and applicants to submit a
set of acute, subchronic, chronic, and
other toxicological studies on the active
ingredient, with the specific makeup of
the set of study requirements being
based upon anticipated human exposure
to the pesticide, as determined by the
Agency. The makeup of the set of
studies required for non-food use
chemicals will be determined by the
Agency based on the use pattern and
expected exposure scenarios for the
chemical. The following two examples
illustrate the Agency’s approaches:
i. A fairly volatile pesticide is used in
the home where long-term exposure by
both inhalation and dermal routes are
expected. In this case, the toxicity
studies required would be similar to
that for a food-use chemical.
ii. In another example, a termite
control pesticide is buried in the lawn
near the house. There is very little
exposure to anyone including the
applicator. In this case, only Tier 1 data
would be needed. In general, the level
of toxicity studies will be determined by
the magnitude, frequency and duration
of the estimated human exposure.
If hazards are identified based upon
review of these studies, the Agency
would decide what types of actual
human exposure data (i.e., applicator
and post-application studies) also
would be required to evaluate risk.
The second option would allow
registrants and applicants of nonfood
use pesticides to submit both
toxicological studies and human
exposure data simultaneously. For this
option, toxicological data would be
submitted under a tiered system.
Agency review of the first-tier
toxicological studies and the
simultaneously submitted exposure data
then would determine the need, for
second- or third-tier toxicological
studies. This option would permit
flexibility in study requirements based
on the identification and
characterization of adverse treatment-
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related toxicological effects and doseresponse information, and estimates of
potential human exposure. Additional
second- or third-tier studies would be
required on a case-by-case basis.
Under this second option, the
required first-tier studies would consist
of: Acute studies, a subchronic 90–day
dermal study or a subchronic 90–day
inhalation study, an acute and
subchronic neurotoxicity screening
battery in the rat, prenatal
developmental toxicity studies in two
species, two-generation reproduction
study in rodents (rat preferred),
immunotoxicity study in rodents, and a
full initial battery of mutagenicity
studies. The conditionally required
second-tier studies would include both
subchronic 90–day feeding studies, and
sometimes a dermal penetration study.
Depending on the results of completed
studies, conditionally required third-tier
studies would include both Chronic
Feeding studies, both carcinogenicity
studies, a reproduction study, and a
metabolism study. In addition,
depending upon the results in the initial
neurotoxicity and mutagenicity
batteries, further neurotoxicity or
mutagenicity testing may be required to
address possible identified risk
concerns.
C. Proposed Toxicology Data
Requirements
EPA’s proposed toxicology data
requirements encompass studies
expected to improve the Agency’s
understanding of the potential pesticide
hazard to humans, including
subpopulations such as infants and
children. The proposed table in this
subpart contains the toxicology data
requirements EPA would rely on to
identify potential hazards to humans
and domestic animals for all
conventional pesticides. These include
acute, subchronic and chronic toxicity
studies, as well as carcinogenicity,
prenatal developmental toxicity,
reproductive toxicity, mutagenicity,
neurotoxicity and other specialized
studies.
EPA recognizes that toxicology testing
represents a large economic burden on
registrants and incorporates the use of
test animals. Consequently, the Agency
works with industry, the scientific
community, and advocates, to ensure
that data requirements are imposed only
when needed to make a sound scientific
safety finding required under the law.
Because of this concern, the Agency has
adopted guidelines whereby several
toxicological endpoints may be derived
from one study and has instituted other
avenues for combining studies. The
Agency also recognizes that, in general,
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lower exposure uses often correlate with
lower risk. Consequently, the Agency
has adopted an approach that tends to
levy more extensive data requirements
on high exposure uses like food uses. It
is also reflected in the tiering system for
data submissions for nonfood uses and
in the layout of the data tables.
1. Newly imposed data
requirements—Immunotoxicity. The
Agency proposes to require
immunotoxicity testing for all
pesticides. Immunotoxicity testing is
necessary to evaluate the potential of a
chemical to produce adverse effects on
the immune system. Immune system
suppression has been associated with
increased incidences of infections and
neoplasia. In 1993, the National
Research Council reviewed the
technical literature and found that some
pesticides are immunosuppressive
(NRC, 1993). Because of the potential for
pesticides to adversely impact the
immune system, the EPA has developed
a test guideline (870.7800) for
immunotoxicity. The immunotoxicity
test guideline was reviewed and
endorsed by the FIFRA Science
Advisory Panel and EPA’s Science
Advisory Board in 1996, and published
in 1998 as part of the Office of
Prevention, Pesticides and Toxic
Substances’ harmonized test guidelines.
Because the immune system is highly
complex, studies not specifically
conducted to assess immunotoxic
endpoints are inadequate to characterize
a pesticide’s potential immunotoxicity,
even if some tissues subject to
immunotoxic insult are examined.
While data from hematology, lymphoid
organ weights, and histopathology of
routine chronic or subchronic toxicity
studies may offer useful information on
potential immunotoxic effects, these
endpoints alone are insufficient to
predict immunotoxicity (Refs. 7 and 8).
Therefore, the Agency is proposing to
require functional immunotoxicity
testing along with the data from
endpoints in other studies to predict the
potential risk of pesticides on the
immune system more accurately. The
Agency invites public comment on all
aspects of its proposed data requirement
for functional immunotoxicity.
2. Newly codified data requirements—
i. prenatal developmental toxicity. The
Agency proposes to change the name of
this requirement from ‘‘Teratogenicity’’
to ‘‘Prenatal Developmental Toxicity’’ to
correspond with the name of the
guideline (870.3700). An information
based approach to testing is preferred
which utilizes the best available
knowledge on the chemical to develop
a study protocol and testing strategy.
Currently, both studies are required for
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food use pesticides, but for nonfood
uses, only one prenatal developmental
toxicity study is required, and the
results of that study may trigger the
conditional requirement for a second
species. However, the response to
developmental insult in one species is
not necessarily the same in another
species. The pharmaceutical
thalidomide, which produces severe
malformations in rabbits (and humans)
but not rats following in utero exposure,
is a classic example of this speciesrelated difference in response.
Additionally, the dose at which
maternal or prenatal developmental
toxicity is observed may not be the same
across species, and the severity of the
response in dams or fetuses may also
differ. Consequently, there is a concern
that the current testing paradigm for
non-food use pesticides may not
adequately characterize potential
hazards to pregnant women and their
fetuses. Given that the prenatal
developmental toxicity study is used
extensively to establish endpoints and
doses for acute, short-term, and
intermediate-term risk assessment, EPA
believes it necessary to require studies
in two species for all nonfood
pesticides.
The Agency encourages registrants
consider the use of combined study
protocols in satisfying this requirement.
A prenatal developmental toxicity study
segment could be added to a twogeneration reproduction study in
rodents (guideline 870.3800). This can
be accomplished by utilizing a second
mating of the parental animals of either
generation. The dams would undergo
cesarean section at one day prior to
expected delivery and a separate
evaluation would proceed as specified
in guideline 870.3700. By combining
protocols in this manner, a single study
would satisfy the requirement for both
prenatal developmental and
reproductive toxicity in the rodent.
While it is recognized that the cost of
the reproduction study would increase
somewhat due to the additional work
scope, the total cost of the combined
study would be substantially less than
that incurred by conducting the two
studies separately. Moreover, a
combined reproduction/developmental
protocol would not require the purchase
of additional animals, and would
increase the efficient utilization of the
animals being studied. The second
required prenatal developmental
toxicity study would then be performed
on the rabbit.
ii. Neurotoxicity. Neurotoxicity
studies evaluate the potential of a
substance to adversely affect the
structure and function of the adult
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nervous system. Since promulgation of
the toxicology data requirements in
1984, there has been an increasing
concern on the part of the scientific and
public health communities that some
pesticides may produce functional or
structural effects on the nervous system
that are not readily observed or
adequately characterized in standard
toxicological studies. The Agency
believes that the current set of
neurotoxicity studies are inadequate for
some chemicals in their observation of
behavioral effects and do not use
optimal methods to evaluate the
nervous tissue structure and function.
To detect and characterize these
potential effects more fully in certain
chemicals, a battery of more sensitive
testing would be required. Several
neurotoxicity studies are proposed to be
added to the already existing
neurotoxicity study requirements for all
conventional pesticide registrations.
The objective of the new acute and
subchronic battery is to evaluate the
incidence and severity of the functional
and/or behavioral effects, the level of
motor activity, and the histopathology
of the nervous system following
exposure to a pesticide.
A new adult neurotoxicity test battery
of seven studies would replace the
current adult neurotoxicity test
requirements. The current adult
neurotoxicity test battery consists of
three studies: acute delayed
neurotoxicity (hen), 90–day
neurotoxicity (hen), and 90–day
neurotoxicity (mammal). In the current
part 158, an adult acute neurotoxicity
study in mammals is not listed.
However, an adult subchronic
neurotoxicity study is required if the
acute oral, dermal, or inhalation toxicity
studies show neurotoxicity or
neuropathy. Currently, the neurotoxicity
studies can be triggered either by
statistically and/or biologically
significant findings.
Under the proposal, some of these
tests would be routinely required and
others would be conditionally required.
Two studies that would be required are
an acute and a subchronic 90–day
neurotoxicity study (guideline
870.6200) in rats. The acute study
would be required to detect possible
effects resulting from a single exposure.
The subchronic study is intended to
detect possible effects resulting from
repeated or longer-term exposures. The
requirement for a subchronic
neurotoxicity study also may be
satisfied by incorporating the required
neurotoxicity testing into the standard
90–day subchronic feeding study in rats
(guideline 870.3100). The acute and
subchronic neurotoxicity studies in
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adult rats, in addition to providing data
on the potential for neurotoxicity, also
provide a basis for comparison of the
potential for age-related differences in
impacts on the nervous system with
results from the developmental
neurotoxicity study, if needed, for the
same chemical.
A new, conditionally required, 28–
day delayed neurotoxicity study in hens
(guideline 870.6100) would be added.
The 28–day delayed neurotoxicity test
would be required if results of the acute
neurotoxicity study (guideline
870.6100) indicate significant statistical
or biological effects, or if other available
data indicate the potential for this type
of delayed neurotoxicity, as determined
by the Agency. The Summary Report of
the 1990 OECD Ad Hoc Meeting (Ref. 9)
adds:
In the assessment and evaluation of the
toxic characteristics of organophosphorus
substances, the determination of the
subchronic delayed neurotoxicity may be
carried out, usually after initial information
on delayed neurotoxicity has been obtained
by acute testing or by the demonstration of
inhibition and aging of neurotoxic esterase
and acetylcholinesterase in hen neural tissue.
The Agency believes that to evaluate
the specific type of delayed
neurotoxicity associated with some
organophosphorus esters and related
substances, a subchronic 28–day study
in hens, rather than a 90–day study,
would provide sufficient data. Thus, the
duration of the subchronic hen study
has been shortened from 90 days to 28
days. This is based on the finding that
test chemicals reach equilibrium from
both a pharmacokinetic and
pharmacodynamic perpective; that is,
the levels that cause effects, i.e.,
LOAELs and NOELs, would be stable
after 28 days of exposure. Another
reason is that the 28–day study is able
to identify effects as well as the 90–day
study in that it includes a requirement
for dosing 7 days a week, while the 90–
day study only doses 5 days per week,
allowing for some intermittent recovery.
This change was recommended by a
panel of experts at a 1990 OECD ad hoc
meeting on various issues in
neurotoxicity testing (Ref. 9). Hence, the
90–day study requirement has been
deleted from the proposed table. The
conditional testing requirement for the
acute delayed neurotoxicity study in
hens (guideline 870.6100) would be
unchanged.
The last three studies that comprise
the neurotoxicity test battery are also
new data requirements. The scheduled
controlled operant behavior, peripheral
nerve function, and sensory evoked
potential neuropathology studies would
be conditionally required if the results
of the acute and/or the subchronic
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neurotoxicity studies show adverse
effects on the central nervous system
which affect learning, memory or
performance, or adverse effects on
visual, auditory, or somatosensory
senses and/or concerns for peripheral
neuropathy. The scheduled controlled
operant behavior study (guideline
870.6500) evaluates substances that
have been observed to produce
neurotoxic signs in other studies (e.g.,
central nervous system depression or
stimulation), as well as substances with
a structural similarity to neurotoxicants
which affect learning, memory, or
performance. The peripheral nerve
function study (guideline 870.6850)
evaluates substances that have been
shown to produce peripheral
neuropathy or other neuropathological
changes in other studies, as well as
substances with a structural similarity
to those causing such effects. The
sensory evoked potential
neurophysiology study (guideline
870.6855) evaluates substances that may
affect the visual, auditory, or
somatosensory (body sensation) senses.
Substances tested include those
expected to affect these senses or to
detect changes based on data from other
studies or based on their structural
similarity to substances that do affect
these senses. The scheduled controlled
operant behavior, peripheral nerve
function, and sensory evoked potential
neurophysiology studies are being
proposed at this time to be conditionally
required, subject to the results of acute
or subchronic neurotoxicity testing or
for other reasons, such as structure
activity considerations or to more fully
characterize any neurotoxic effects seen
in the acute and subchronic studies. The
Agency believes that these three studies
will be rarely required.
iii. Developmental neurotoxicity
(DNT). The Agency is proposing that
developmental neurotoxicity testing be
conditionally required for conventional
food use and nonfood use pesticides. In
implementing this conditional
requirement, registrants are encouraged
to apply what is known about the
chemical and its toxicity to develop a
rational, science-based approach to this
testing; this is discussed in more detail
below. A DNT would be required (Ref.
10) using a weight-of-the-evidence
approach when:
1. The pesticide causes treatmentrelated neurological effects in adult
animal studies, such as:
• Clinical signs of neurotoxicity
• Neuropathology
• Functional or behavioral effects
2. The pesticide causes treatmentrelated neurological effects in
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developing animals, following pre- and/
or postnatal exposure such as:
• Nervous system malformations or
neuropathy
• Brain weight changes in offspring
• Functional or behavioral changes in
the offspring
3. The pesticide elicits a causative
association between exposures and
adverse neurological effects in human
epidemiological studies
4. The pesticide evokes a mechanism
that is associated with adverse effects on
the development of the nervous system,
such as:
• SAR relationship to known
neurotoxicants
• Altered neuroreceptor or
neurotransmitter responses
In practice, EPA evaluates each
pesticide using all available
toxicological information that might
indicate a need for a developmental
neurotoxicity study. The developmental
neurotoxicity study (guideline
870.6300) has been requested on a caseby-case basis for certain chemicals for
food use and nonfood use registrations
since the guideline was finalized in
1991. The Agency is proposing to
conditionally require developmental
neurotoxicity studies for all neurotoxic
pesticides and/or when other criteria are
met that indicated a potential for
toxicity to the developing nervous
system, based upon a weight-ofevidence evaluation of the toxicological
database.
The criteria used in this evaluation
were developed through extensive
scientific peer review, including a 1999
FIFRA SAP expert review (and public
comment) on the use of the FQPA 10X
factor in pesticide risk assessment (Ref.
11). The Panel concluded that these
criteria were reasonable and useful
indicators which would increase
concern for pre-/postnatal toxicity. EPA
proposes the (conditional) addition of
the developmental neurotoxicity study
to the toxicology testing requirements
since the two developmental toxicity
studies do not include an in-depth
assessment of the development of the
nervous system. The SAP acknowledged
that the criteria were not adequate for
identifying every potential
developmental neurotoxicant,
supporting the Agency’s concern about
the criteria’s limitations. Accordingly,
the SAP agreed with the Agency’s
approach of calling in the full range of
neurotoxicity studies, including
developmental neurotoxicity, for
existing conventional chemistry fooduse pesticides that are known
neurotoxicants, and for all new
conventional food-use pesticides.
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The prenatal developmental toxicity
study (guideline 870.3700) and the twogeneration reproduction study
(guideline 870.3800), evaluate the
potential for toxicity to offspring
following pre- and/or postnatal
exposure to a test substance. The
prenatal developmental toxicity study,
in which the maternal animals are
exposed during pregnancy, is designed
to assess fetal growth, viability, and the
presence of structural alterations (i.e.,
variations and malformations that can
be detected by careful external, visceral,
and skeletal examinations of each fetus).
The two-generation reproduction study
evaluates fetal and pup growth and
development, offspring survival, clinical
observations, reproductive system
maturation and function, and
postmortem findings (i.e., organ
weights, macro- and microscopic
pathology). The developmental
neurotoxicity study is designed to
evaluate test animals for functional and
behavioral deficiencies, as well as
structural alterations to the nervous
system, that may result from pesticide
exposure that occurs in utero and/or
during early postnatal life.
Currently, discussions on alternative
testing paradigms are underway by the
International Life Sciences Institute
(ILSI) Health and Environmental
Sciences Institute (HESI) under the
Agricultural Chemical Safety
Assessment Technical Committee. The
consensus of this effort to date (ILSI,
2001) (Ref. 12) is that toxicological
testing should move away from a rigid
guideline-based screening approach and
towards a more knowledge-based
approach such as is currently used for
pharmaceutical testing (e.g., the
International Committee on
Harmonization, 1994). The Agency is in
conceptual agreement with this
philosophy and proposes to consider
the basic precepts of such a toxicology
testing paradigm in the application of
the toxicology testing requirements that
are used to support pesticide regulatory
decisions (i.e., § 158.500).
Under this paradigm, both the
selection of studies that would be
required, as well as the design of the
tests themselves, could be influenced by
other substantive and reliable
information about the pesticide. Such
information could include toxicity and
dose-response data from other guideline
or non-guideline studies, structureactivity relationships, data on the
mechanism or mode of action of the
chemical, pharmacokinetic data, studies
that examine age-related sensitivity or
susceptibility to chemical exposure, and
information on potential or actual
exposure to humans. These data could
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be used to inform a more targeted
testing approach in the design of studies
or to support a position that the
requirement for specific toxicology tests
listed in part 158 should be waived
(under the authority described in
§ 158.45). For example, on a chemicalby-chemical basis, the design of prenatal
developmental toxicity and/or twogeneration reproductive toxicity studies
(both of which examine toxicological
effects on immature animals) could be
refined, or alternative tests that examine
appropriate functional or structural
endpoints would be considered. The
proposed HESI approach to testing
pesticides is anticipated to be published
early summer 2005. Once published, the
Agency would consider this approach
and make appropriate recommendations
following internal and external peer
review.
In the case of the developmental
neurotoxicity study, a thorough
evaluation of all available information,
including data on the pharmacokinetics
and mode of action of the pesticide (if
such data exist), could lead to different
conclusions regarding the appropriate
way to approach testing. For some
chemicals, it might be concluded that
adequate testing of the developing
nervous system would be best
accomplished with a standard
developmental neurotoxicity study
(guideline 870.6300). Refinements to the
guideline study could include, for
example, changes to the route and/or
duration of exposure (e.g., initiation of
dosing to maternal animals prior to
gestation day 6, or direct gavage
administration to pups during
lactation), the evaluation of appropriate
biomarkers of exposure or effect, the use
of more targeted functional, behavioral,
or cognitive testing in offspring, or the
histopathological and/or morphometric
evaluation of particular regions of the
central or peripheral nervous system
that are known to be affected by either
the chemical or chemical class. For
other chemicals, the information in the
toxicological data base could lead to the
conclusion that an alternative test
should be performed instead of a
guideline developmental neurotoxicity
study, alternative chemical-specific
methods could be identified as a
preferred option.
In the case of organophosphorus and
n-methyl carbamate pesticides whose
primary mode of neurotoxic action is
inhibition of acetyl cholinesterase, a
comparative cholinesterase assay could
be conducted in lieu of the DNT given
that the inhibition of cholinesterase
(ChEI) is the most sensitive effect for
these classes of chemicals. Regulation
on a threshold (or benchmark) dose for
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ChEI should be protective of
neurotoxicity. Another example of such
a testing scenario would be the use of
a comprehensive screen of functional
and structural thyroid perturbation (i.e.,
including T3, T4, and TSH levels) in
adult and young animals, for a
thyrotoxic chemical that has no other
indications of direct nervous system
toxicity. In such a case, it can be
assumed that identification of maternal
or offspring thyroid perturbations would
signal any potential alterations in
nervous system development, and that
minimal effects on the thyroid would be
detected at lower dose levels than
would result in the types of frank
functional, behavioral, or structural
alterations that can be detected in the
developmental neurotoxicity study.
Therefore, it can be presumed that
regulation of the chemical on the basis
of threshold thyroid effects would be
protective of any treatment-related
alterations in neurological development
that might potentially occur at higher
doses. Alternatively, evaluation of the
toxicology and exposure data bases for
a pesticide may lead to the conclusion
that there is no need to conduct a
developmental neurotoxicity study,
when there is reliable evidence
demonstrating the lack of potential for
neurotoxicity and/or for human
exposure.
Whenever feasible, the Agency
encourages registrants to conduct
developmental neurotoxicity studies in
combination with a two-generation
reproduction study. In addition, if
preliminary evidence indicates the need
for evaluation of structural or functional
toxicity of other organ systems in
immature animals, these could also be
examined within the context of the
reproduction study. For developmental
neurotoxicity assessment, this can be
accomplished, for example, by utilizing
the second generation (F2) offspring that
are produced in the reproduction study
to conduct the functional, behavioral,
and neuropathological testing that is
integral to the developmental
neurotoxicity protocol. A combined
reproduction/developmental
neurotoxicity protocol reduces the total
number of animals assigned to testing
(as compared to the number of animals
required when the two studies are
conducted independently), and results
in a more efficient utilization of the
animals already on test. Other benefits
of using a combined study approach for
any type of targeted functional testing in
offspring would include the evaluation
of a population of offspring with
maximized exposure duration (i.e., that
have been treated throughout pre- and
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postnatal life), greater assurance that
steady state levels of test substance in
the animals have been achieved prior to
testing, and an evaluation of effects
within the larger context of assessments
of maternal and neonatal toxicity and
offspring growth and development.
Additionally, combined studies are
likely to cost less and take less time, and
reduce inter and intra-laboratory
variability. The Agency invites public
comment on all aspects of its proposed
data requirements for developmental
neurotoxicity.
iv. Mutagenicity. A battery of
mutagenic tests is currently required to
assess the potential of the test chemical
to adversely affect the genetic material
in the cell and subsequently serve as
part of the Agency’s weight-of-theevidence approach for classifying
potential human carcinogens.
Mutagenicity data are also used to
evaluate potential heritable effects in
humans. The Agency is proposing to
change the specific types of tests to be
performed to satisfy the mutagenicity
testing requirement (Refs. 13, 14 and
15). Mutagenicity testing would no
longer be subdivided into the categories
of gene mutation, structural
chromosomal aberrations, and other
genotoxic effects, with selection from a
wide range of mutagenicity tests
allowed to satisfy these categories. A
more specific initial battery of
mutagenicity tests and relevant
information would be required to
support the registration of each
pesticide product. This initial battery
would consist of a bacterial reverse
mutation assay with Salmonella
typhimurium and Escherichia coli
(guideline 870.5100), an assay with
mammalian cells in culture (guideline
870.5300), and an in vivo cytogenetics
assay (guidelines 870.5385 or 870.5395).
The Agency has selected the bacterial
assay because it is a primary test for
detecting intrinsic mutagenicity of many
classes of biologically active chemicals.
The genetics of each test strain of
Salmonella and select strains of E coli
have been well-validated and the assay
is easy to perform, is used routinely
throughout the world, and has an
extensive data base of tested chemicals.
The mammalian cells in culture assay
will detect a wider spectrum of possible
genetic endpoints not assayed in the
bacterial test. The in vivo cytogenetics
assay provides an important
examination of the potential effect a test
compound may have on an intact
mammalian system. Data from this
study provides information on in vivo
metabolism, repair capabilities,
pharmacokinetic factors (e.g., biological
half-life, absorption, distribution,
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excretion) and target organ/tissue
effects.
Since there are many different
mutagenicity tests available besides
those in the initial battery, other types
of testing by the registrant or other
investigators may have been performed
in the course of product research and
development. In addition to the initial
battery, data from such mutagenicity
tests must be submitted to the Agency,
along with a reference list of all studies
and papers known to the applicant or
registrant concerning the mutagenicity
of the test chemical. Having this
information at the beginning of a
mutagenicity assessment will greatly
facilitate EPA’s effort to provide a more
accurate assessment of the mutagenicity
of the pesticide in question.
3. Revised data requirements—i.
Acute oral and dermal toxicity. In
addition to performing studies using the
TGAI, current requirements give the
applicant a choice of performing these
studies on the end-use product or a
diluted end-use product. However, the
Agency has determined that studies
using the end-use product (EP) provide
the most useful data and would only
require additional testing on the diluted
form if the product met the conditions
for a restricted use classification under
§ 152.170(b) or special review
consideration under § 154.7(a)(1). Hence
the Agency proposes to change the test
substance to support a registration for
an end-use product for these two studies
(guidelines 870.1100 and 870.1200) to
read ‘‘TGAI, EP, and possibly diluted
EP.’’ The Agency will notify the
applicant when additional testing using
the diluted product is required. The
Agency invites public comment on all
aspects of its proposal to modify the
current use of the TGAI to include data
from the same tests using the EP and
possibly the diluted product.
ii. Primary eye irritation, primary
dermal irritation, and dermal
sensitization. EPA proposes to modify
the existing data requirement for the EP
to include testing with the TGAI. In
order to more fully characterize the
toxicity of the active ingredient of a
pesticide, tests using the TGAI would
now be required in addition to the test
performed on the end-use product for
these three studies (guidelines 870.2400,
870.2500 and 870.2600) to support the
end-use product. Dermal and eye
irritation and dermal sensitization
testing of the TGAI have not previously
been required in the toxicology data
requirements table in § 158.340 for the
EP. These data, however, serve to
identify hazards from exposure to the
eyes, skin, and associated mucous
membranes to the active ingredient. The
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Agency considers this information
essential in accurately classifying the
eye and skin irritation and the skin
sensitization potential of the pesticide,
and in determining whether any
observed adverse effects are inherent to
the active ingredient, or caused by the
presence of other ingredients. The
Agency invites public comment on all
aspects of its proposal to modify the
current use of the end-use product to
include data from the same tests using
the TGAI.
iii. 21–day dermal and 90–day
dermal. For both food and nonfood
uses, dermal testing may be needed on
the end-use product if the product, or
any component in it, could lead to
potentially toxic effects or could
possibly increase the dermal absorption
of the active ingredient. The Agency
proposes to require a 21– to 28–day
subchronic dermal toxicity test
(guideline 870.3200) for all food use
pesticides. This test is being changed
from conditionally required to routinely
required since it is generally needed for
worker risk assessments. Analyses of
exposure information have shown that
this duration of exposure is typical for
agricultural workers in various
components of their job. Since not all
food use applications pose worker risk,
the requirement will be tailored to the
potential for worker exposure.
Dermal toxicity testing for nonfood
uses would be required if the dermal
route is the major route of exposure. In
this latter case, a 90–day study
(guideline 870.3250) is proposed to be
required, in lieu of the shorter,
subchronic study. This proposed
conditional requirement is necessary in
order to assess potential hazards
associated with dermal exposure. If the
major route of exposure for nonfood
uses is the dermal route, the 21– to 28–
day subchronic dermal toxicity test is
insufficient to identify potential
hazards.
iv. Carcinogenicity. The Agency
proposes to change the name of the
oncogenicity study to carcinogenicity
(guideline 870.4200) to correspond with
the name of the guideline. In addition,
the Agency has determined that 90–day
subchronic range-finding studies
generally are needed to select
appropriate doses for use in these
carcinogenicity studies, since cancer
studies with doses that are too low and
do not cause any adverse effects can be
rejected. These range-finding studies
have been performed routinely by most
investigators prior to the start of their
cancer studies and have been submitted
regularly to the Agency for review.
Since the carcinogenicity study requires
testing on rats and mice (which may
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differ in their response), the 90–day
range-finding studies also need to
include both species.
The Agency is proposing to formalize
this routine practice by including these
studies in the part 158 data
requirements. The requirement for the
90–day oral study (guideline 870.3100)
will be modified to include ‘‘two rodent
species- rat and mouse preferred’’. Both
rodent species would be required for
food use pesticides and conditionally
required for nonfood uses.
v. Reproduction. Under the current
toxicology data requirements, a
reproduction study (guideline 870.3800)
is required for all food use pesticides,
and conditionally required for nonfood
use pesticides based on the anticipated
level of exposure. The Agency proposes
to amend the data table and require a
reproduction study for nonfood uses,
but qualify the requirement to
emphasize that the requirement is based
on potential exposure. Data on
reproductive effects for a nonfood
pesticide would be required unless
there is no significant human exposure,
as determined by the Agency, in terms
of the frequency, magnitude, or duration
of the exposure. For example, products
such as pesticide treated fabric, diapers,
or bedding; insect repellent lotions; or
constant-release aerosols for indoor use
would require reproductive data. This
data requirement is still exposure-based
and as such will not always be
necessary.
This change is predicated on the fact
that reproductive toxicity testing
endpoints are not assessed in any of the
other required studies for the nonfood
uses, and that these other studies do not
provide adequate triggers which would
indicate the potential for reproductive
adverse effects.Multi-generation
reproductive studies provide critical
scientific information needed to
characterize potential hazard to the
human population during a number of
sensitive life stages, e.g., during in utero
fetal development, perinatal life,
adolescence, and adulthood. These
studies can be used to select endpoints
and doses for use in risk assessment and
are considered a primary data source for
reliable reference dose calculations (Ref.
16).
The need for a reproduction study in
Tier 1 is bolstered by information
developed by the Pest Management
Regulatory Agency (PMRA) of Canada.
(Ref. 17). In 1997, PMRA provided to
the Agency the results of a preliminary
study, which retrospectively evaluated
reproduction studies as they affected
risk assessment needs. The study was
presented in the context of
antimicrobial pesticides, for which a
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tiered toxicology testing scheme was
being discussed. However, the results
apply to similar tiered testing schemes
across a broader spectrum of uses, such
as what EPA is proposing for nonfood
uses.
One aspect of the PMRA study looked
to determine whether a reduced Tier 1
set of toxicology studies (consisting of
acute toxicity, subchronic toxicity,
developmental toxicity, and
mutagenicity studies, but not a
reproduction study) would adequately
identify reproductive endpoints or
concerns for risk assessment purposes.
PMRA’s results are telling with respect
to reproductive effects:
• For 67% of the evaluated chemicals
(12/18) with reproductive endpoints of
concern, the reduced Tier 1 data set
would not have predicted reproductive
effects identified in a reproduction
study
• Reproductive effects were not
limited to a particular class of pesticide
• Chemical structure was not useful
as a predictive tool (of reproductive
effects)
• Mutagenicity studies were not
helpful (in predicting reproductive
effects)
EPA believes their results support the
inclusion of reproduction studies in the
Tier 1 nonfood testing regimen.
vi. Non-rodent chronic studies. The
Agency is considering eliminating the
requirement for a 1–year dog study.
Under the current toxicology data
requirements, a 1–year non-rodent (dog)
study (guideline 83–1) is required for all
food use pesticides or for nonfood uses
if use of the pesticide product is likely
to result in repeated human exposure
over a significant portion of the human
life-span. Evidence in the published
literature suggests that the study may
not be needed. (Ref. 18) The Agency’s
impression from its reviews is
consistent with the conclusion reached
in that study. However, the Agency
possesses a large body of dog studies
submitted over the last three decades,
and believes it appropriate to conduct a
comprehensive and systematic analysis
of those studies. EPA is in the process
of conducting such an analysis and
expects to present its preliminary
analysis to the SAP in the spring of
2005. At that time, the analysis and
other supporting documents would be
made available for public review and
comment. If this review confirms that
the study is no longer needed, the
Agency would in the final rule
eliminate the requirement for the 1–year
dog study. EPA specifically seeks
comment on the possibility of
eliminating the 1–year dog study.
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D. Further Test Guideline Development
The data base to assess pre- and postnatal toxicity varies depending on the
nature of the chemical. Some chemicals
may need additional data in addition to
the core data set for an adequate
evaluation of potential hazards. The
following studies may be required on a
case-by-case basis to support the
registration of particular pesticide
products and the Agency has begun
developing test guidelines for some of
these studies. As the Agency’s
experience with these studies increases
and if the studies are imposed more
regularly, EPA may propose to include
them in future revisions to part 158.
• pharmacokinetics in fetuses and/or
young animals
• direct dosing of neonates prior to
weaning for exposure through the
maternal route
• specialized developmental
neurotoxicity of more sensitive sensory
and/or cognitive functions
• developmental immunotoxicity
• developmental carcinogenesis
• enhanced evaluation of potential
endocrine disruption.
EPA solicits public comment on the
Agency’s possible request for such data,
including the circumstances under
which such data should be required.
XII. Nontarget Plant Protection Data
Requirements (Subpart J)
A. General
Plant protection studies are used by
the Agency to evaluate the potential for
adverse pesticidal effects to nontarget
terrestrial and aquatic plant species.
Nontarget plants include crop plants
growing within the target or treated area
(such as crop plants which are growing
with weeds or plants which are hosts for
insects and disease organisms), and
those growing outside the target area
(adjacent crop plants, endangered
plants, and plants that are important to
fish and wildlife for food and cover).
Data from the plant protection studies
will be used to determine if protective
measures, such as precautionary
labeling, are needed.
Data on plant protection include
short-term acute greenhouse and
simulated or full field studies arranged
in a hierarchy from basic tests to
applied field tests. The results of each
tier of tests must be evaluated to
determine the potential of the pesticide
to cause adverse effects, and to
determine whether further testing is
required. Tier I and II studies are shortterm and relatively inexpensive. They
are required broadly to assess a
pesticide’s potential to harm plants in
the early stages of plant growth (the first
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14 to 21 days). The short-term acute
greenhouse studies provide basic
toxicity data which are used in a
deterministic risk assessment screen.
These data are used to establish acute
toxicity levels of the pesticide to the test
organisms; to compare toxicity
information with measured or estimated
pesticide residues in the environment in
order to assess potential impacts on
plants; and to indicate whether further
greenhouse and/or field studies are
needed.
If additional, more refined,
information is needed, Tier III field
studies would be triggered. Simulated
field and full field studies may be
required when basic data and
environmental conditions suggest that
the risk exceeds the Agency’s level of
concern for nontarget plants and the
information sought is necessary to
adequately refine the Agency’s
assessment of risk. Data from these
studies are used to estimate the
potential for adverse effects on plant
reproduction and survival, taking into
account the measured or estimated
residues in the environment.
B. Proposed Plant Protection Data
Requirements
EPA is not proposing major changes
to the plant protection data
requirements from those currently listed
in part 158. The proposed data
requirements are being expanded to
include use patterns where the potential
for off-target exposure via surface runoff and spray drift are likely, or for uses
that may result in discharges to the
aquatic environment. The seed
germination study would be eliminated.
In addition, the Agency is proposing
to require independent laboratory
validation of the environmental
chemistry methods for terrestrial and
aquatic field testing. Other changes
include changes in test substance,
conditions under which a test is
required or in some cases, not required,
and clarification of test notes. These
changes are not expected to increase the
burden of the existing data
requirements.
1. Newly imposed data requirements.
None.
2. Newly codified data requirements.
None.
3. Revised data requirements—i. Seed
germination. The Agency proposes to
eliminate the requirement for the seed
germination study (guideline 850.4200).
The information from this study would
be obtained from the accompanying
seedling emergence study (guideline
850.4100) which is currently required.
ii. Seedling emergence and vegetative
vigor. Currently, Tier I seedling
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emergence (guideline 850.4100) and
vegetative vigor (guideline 850.4150)
studies are required for terrestrial and
aquatic nonfood and forestry uses. Tier
II tests (guidelines 850.4225 and
850.4250) are conditionally required for
the same use patterns and are triggered
by the results of the Tier I studies. Due
to the potential for surface run-off or
spray drift, EPA proposes to expand the
seedling emergence and vegetative vigor
data requirements to terrestrial food and
feed crops, aquatic food crops, and
residential outdoor uses. These studies
would not be required for aquatic
residential uses since limited exposure
is expected from this use site.
The Agency also proposes that
seedling emergence and vegetative vigor
studies be conducted using the TEP
instead of the currently required TGAI.
The TEP that contains the highest
percentage of active ingredient, and/or
is the most commonly used, would be
required. TEP testing eliminates the
need for a separate solvent control
because the solvent is already contained
in the product formulation.
The Agency also proposes that
vegetative vigor studies with granular or
bait formulations not be required. Since
the protocol for this study requires that
the pesticide be applied directly to the
plant surface, tests using granular or bait
formulations would not be practical.
iii. Aquatic plant growth (algal and
aquatic vascular plant toxicity).
Currently the Agency requires Tier I
aquatic plant growth studies for
terrestrial and aquatic nonfood and
forestry uses, and conditionally requires
Tier II studies for these same use
patterns using five aquatic plant species
(Pseudokershneria subcapitata (green
algae), Skeletonema costatum (marine
diatom), Anabaena flos-aquae (bluegreen cyanobacteria), Navicula sp.
(freshwater diatom), and Lemna gibba
(floating vascular macrophyte))
(guidelines 850.4400 and 850.5400).
Again, due to the potential for off-target
exposure via surface run-off and spray
drift, the Agency proposes to extend this
requirement to terrestrial food and feed
crops, aquatic food crop, and residential
outdoor uses. Tier II aquatic plant
growth studies are proposed to be
conditionally required for aquatic
nonfood residential uses, using either
the TGAI of TEP.
iv. Terrestrial field and aquatic field.
The Agency is proposing to extend these
Tier III conditional requirements
(guideline 850.4300 and 850.4450,
respectively) from terrestrial and aquatic
nonfood and forestry uses to terrestrial
food and feed crop, aquatic food crop,
and residential outdoor uses when offtarget movement appears likely (e.g., use
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patterns that readily release the
pesticide into the environment). These
phytotoxicity data are needed to
evaluate the level of pesticide exposure
to non-target terrestrial and aquatic
plants and to assess the impact of
pesticides on endangered and
threatened plants. The Agency is also
proposing to require independent
laboratory validation of the
environmental chemistry methods used
to generate data associated with these
studies. Independent laboratory
validation is used to ensure the
accuracy and reproducibility of the
analytical methods that were used to
conduct field studies. For example,
independent laboratory validations have
been required for food residue methods
since 1989. EPA instituted this
requirement because analytical
protocols were often poorly written and
incomplete in terms of the descriptions
of all the necessary steps. The Agency
scientists spent excessive amounts of
time confirming that the methods
worked properly and in some cases they
could not duplicate the results of the
studies. Since the independent
laboratory validations have been
required, a higher percentage of
methods is successfully validated by
EPA scientists and less time is required
to do so. For laboratory tests, we rely on
Good Laboratory Practice Standards
(GLP) to assure the quality and integrity
of the data submitted to the Agency.
Ensuring reproducibility and quality of
studies used in EPA’s decision-making
are also key components of EPA’s
Information Quality Guidelines.
XIII. Post-application Exposure Data
Requirements (Subpart K)
A. General
While toxicology data depict the
potential hazard of a pesticide, residue
chemistry, applicator and postapplication data serve to estimate the
potential exposure to the chemical.
Residue chemistry data (subpart O)
provide EPA with dietary exposure
information, applicator (subpart U) and
post-application (subpart K) exposure
data provide exposure data from other
routes, such as dermal, inhalation, and
oral.
The post-application data
requirements are being revised because
the existing data requirements no longer
meet the needs of the Agency to protect
human health from unreasonable
adverse risks in all post-application
settings. Data to determine postapplication exposure are essential to
assess the risk to people resulting from
exposure to pesticides after they have
been applied. Results from the post-
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application residue studies assess the
presence of pesticide residues, while
exposure monitoring data are used to
determine the quantity of the pesticide
and any of its potentially harmful
degradates or metabolites to which
people may be exposed. These data, in
conjunction with appropriate toxicology
information, are used to determine
whether post-application risks are of
concern at residential and occupational
sites, and to develop, when appropriate,
post-application restrictions.
The 1984 data requirements were
developed to assess the risks to
agricultural workers and others who
must enter a treated field. The data
were, and still are, required to protect
these workers from exposures resulting
from pesticide residues remaining on
crops. Over the years, occupational
safety concerns have led to the
development of a number of state and
federal programs for agricultural worker
protection. More recently, the Agency
has become increasingly concerned
about post-application risks to persons
in occupational settings other than
conventional food, feed and fiber crop
agriculture. Additional studies and
information are needed to assess the
risks to workers in nurseries and
greenhouses, forests, golf courses,
animal facilities, and other settings
where a person may be exposed to
pesticides. Depending on the setting and
the type of application, exposure can
result from residues on foliage
(including turf grass), soil, or indoor
surfaces.
The proposed data requirements also
are being expanded to encompass
potential risks from other settings where
people may be exposed, such as golf
courses, recreation areas, schools, and
hospitals, regardless of whether they are
on the job or are simple bystanders. The
Agency has long been aware of the need
for exposure data in this area. Under
current practice, post-application
exposure data are generally required for
both occupational and residential
settings. Currently, post-application
exposure studies are required on a caseby-case basis when specific exposure
and toxicity criteria triggers have been
met. Moreover, FFDCA now mandates
that EPA perform additional scientific
analyses which have not been a routine
part of the Agency’s risk assessment
process, such as the assessment of
aggregate exposures from multiple
pathways including dietary and nondietary routes. Such exposures to
pesticides have been associated with a
significant proportion of reported
incidents in the record.
Residential use sites, for data
requirement purposes, encompass more
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than what would normally be
considered homeowner use. A
‘‘resident’’ is a member of the general
public, and ‘‘exposure’’ from a
residential use site includes postapplication exposure to anyone who, in
the course of their daily activities,
comes in contact with a pesticide after
it has been applied. Post-application
residential exposure to pesticides can
occur in a variety of indoor and outdoor
environments, and a vast number of
different human activities can occur at
these sites after the pesticides has been
applied. Data reflecting new exposure
patterns are required to determine
whether a product may be used safely
in and around homes, golf courses,
parks, recreation areas, schools,
hospitals, and public buildings.
Numerous pesticides contribute to
outdoor residential exposure including
lawn chemicals, landscaping and garden
products, rodent poison, and treated
lumber. Indoor exposures can result
from ant and roach killers, termite
treatments, pet flea and tick products,
and treated paint. While use of some
products may result in intermittent
exposures, use of others can result in
people’s exposure to the pesticide or its
residues on a daily basis. In addition to
acute or episodic exposures, chronic
exposure to pesticides used in
residential settings may be of concern.
EPA’s current post-application
exposure data base is not
comprehensive, especially regarding
exposures to pesticides in
nonagricultural settings. The new data
that would be collected under the
approach outlined in this proposal
would allow the Agency to conduct
improved exposure assessments for
residential and occupational sites. In
addition, such post-application studies
would allow the Agency to assess
aggregated and cumulative risks to
consumers, with special emphasis on
children. The Agency invites public
comment on all aspects of its proposed
data requirements for post-application
exposure.
B. Criteria for Testing
EPA proposes to revise the toxicity
and exposure criteria for postapplication exposure studies. The
Agency currently requires pesticide
post-application exposure data when it
determines that risks resulting from
post-application exposures may be a
concern in occupational or residential
settings. The criteria for requiring postapplication exposure monitoring data
would be expanded to include a wider
number of potential exposure scenarios
in both occupational and nonoccupational settings. The
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determination of whether or not a
pesticide meets these criteria would be
made by the Agency on a case-by-case
basis.
1. Toxicity criteria. In the 1984
regulations, EPA required postapplication exposure data if the
pesticide was classified as category I for
acute dermal toxicity. EPA, however, is
proposing to modify the toxicity criteria
for requiring post-application exposure
data. While the Agency remains
concerned about pesticides that are
highly toxic by the dermal route or that
cause other significant effects by the
dermal route, there is also strong
concern about other types of toxic
effects such as neurotoxicity,
developmental effects and general
systemic effects which are seen in oral
studies, but would be relevant to any
risk related to post-application
exposure.
EPA is proposing that the toxicity
criteria be based on all aspects of the
toxicity of the active ingredient. Postapplication exposure data would be
required, as determined by the Agency,
if the active ingredient meets any of the
following including:
• Evidence of potentially significant
adverse effects have been observed in
applicable toxicity studies,
• Scientifically sound
epidemiological or poisoning incident
data indicate that adverse health effects
may have resulted from post-application
exposure to the pesticide.
2. Exposure criteria. EPA proposes to
expand the exposure criteria that would
trigger post-application exposure
studies to include residential settings
and certain occupational settings both
indoors and outdoors. Specifically, EPA
is proposing the following exposure
criteria. When there is potential
exposure to humans from postapplication pesticide residues from any
media, typically, these exposures fall
into the following areas.
i. For outdoor uses:
• Occupational human postapplication exposure to pesticide
residues on plants or in soil could occur
as the result of cultivation, pruning,
harvesting, mowing or other work
related activity. Such plants include
agricultural food, feed, and fiber
commodities, forest trees, horticultural
plants in commercial greenhouses or
nurseries, and turf grass,
• Residential human post-application
exposure to pesticide residues on plants
or in soil could occur. Such plants
include turf grass, fruits, vegetables, and
ornamentals grown at sites, including,
but not limited to, homes, parks, and
recreation areas.
ii. For indoor uses:
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• Occupational human postapplication exposure to pesticide
residues could occur following the
application of the pesticide to indoor
spaces or surfaces at agricultural or
commercial sites, such as, but not
limited to, agricultural animal facilities
and industrial or manufacturing
facilities,
• Residential human post-application
exposure to pesticide residues could
occur following the application of the
pesticide to indoor spaces or surfaces at
residential sites, such as, but not limited
to, inside homes, daycare centers,
hospitals, schools, and other public
buildings.
The need for data from potential
exposure resulting from situations not
covered by these examples should be
discussed with the Agency.
C. Proposed Post-application Exposure
Data Requirements
At a minimum, residue dissipation,
exposure studies, and selected toxicity
data are needed to assess postapplication risk and determine, when
appropriate, entry restrictions. Product
use information, including registrantgenerated or other surveys on actual
use, and descriptions of human activity
information are also used to define and
refine post-application exposure and
risk estimates.
The dissipation of pesticide residues
may occur on foliage, soil, or indoor
surfaces. To determine dissipation rate,
the Agency uses, depending on the use
of the pesticide, dislodgeable foliar
residue dissipation data, turf grass
transferable residue dissipation data,
soil residue dissipation data, and/or
indoor surface residue dissipation data.
To determine the level of postapplication human exposure, EPA may
use dermal exposure, inhalation
exposure, and/or nondietary ingestion
studies. In some instances, such as
exposure to swimmers, where passive
dosimetry methods are not feasible, EPA
may require a biological monitoring
study. The Agency does not believe that
this study will be commonly required.
Certain toxicity data also are used in
conjunction with the dissipation and
exposure data. Typically, this
information is obtained through existing
toxicity data requirements (see Unit XI
of this preamble and subpart F in the
proposed regulatory text).
Post-application exposure monitoring
data are proposed to be pesticide- or
formulation-specific, however, surrogate
exposure data may be submitted, if
appropriate. In general, the studies
required for estimating post-application
exposure are dependent upon the
pesticide site and use patterns,
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potentially exposed populations,
significant exposure routes, and the
time duration over which the exposure
occurs. The employment of exposure
mitigating measures, such as packaging
or use restrictions, e.g., tamper-resistant
bait stations, may alleviate the need for
some or all of the data requirements in
subpart K. Data would be required when
any of the testing criteria is met. The
Agency does not believe that ‘‘full’’
studies will be commonly required.
Applicants are strongly encouraged to
consult with the Agency to determine
specific data requirements for their
product.
1. Newly imposed data requirements.
None.
2. Newly codified data requirements.
EPA is proposing to base its data
requirements for post-application
exposure information on two distinct
use patterns: occupational and
residential. In doing so, the Agency
proposes to expand the data
requirements for post-application
exposure data to include residential
sites, nonagricultural sites, and
agricultural sites other than
conventional food, feed and fiber crop
agriculture, which would include
greenhouses, nurseries, forests, and
animal facilities. New data requirements
include indoor surface residue
dissipation, biological monitoring data,
product use and human activity
information, nondietary ingestion
exposure, and data reporting and
calculation methodologies.
i. Indoor surface residue dissipation.
The Agency proposes to add the Indoor
Surface Residue Dissipation study
(guideline 875.2300) as a new post–
application exposure data requirement.
These data characterize the pesticide
residues found inside buildings on
surfaces such as flooring, carpets,
upholstery, counter tops, and other
treated surfaces after the pesticide has
been used. The measurement of indoor
pesticide residues is particularly
important for characterizing exposure to
subpopulations that may spend a large
portion of their time indoors, such as
children or the elderly. Such data will
be used to determine whether or not a
pesticide could be safely used in an
indoor residential or occupational
setting.
ii. Biological monitoring. Biological
monitoring data (guideline 875.2600)
measure the amount of chemical to
which a person has been internally
exposed. This is done by measuring
pesticide and/or metabolite compound
concentrations in selected human
tissues, fluids, or bodily wastes (feces
and/or urine). EPA proposes to
conditionally require biological
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monitoring studies as an alternative to
passive dosimetry techniques. The
Agency is providing this alternative
because, typically, an exposure
assessment will be performed relying on
generic passive dosimetry data, which
measures the potential dose or amount
of the chemical on skin or in the air.
However, passive dosimetry data
usually overestimate exposure, because
they only provide estimates of potential
exposure, not measurements of absorbed
dose. A biological monitoring study
performed under the same label use
conditions as the passive dosimetry
study will provide data on the actual
absorbed dose and will result in more
accurate and refined risk assessments.
Often, biological monitoring studies are
voluntarily submitted by registrants.
Again, both passive dosimetry studies
and biological monitoring studies are
always performed under real-world
conditions and are representative of
actual post application activities.
In addition, the Agency proposes to
allow registrants to submit biological
monitoring data in addition to, or in lieu
of, dermal or inhalation passive
dosimetry data provided adequate
pharmacokinetic data are available and
sufficiently understood to interpret the
results.
iii. Product use information. EPA is
proposing to require product use
information (guideline 870.2700) for
both the occupational and residential
use patterns. Product use information
will provide EPA with information
about how the pesticide is actually used
and applied. Data will include major
use sites, typical application methods,
ranges and typical values for application
rates, timing and number of applications
per season or per year, geographical
distribution of use, use surveys, postapplication entry restrictions, restrictedentry intervals, any available surveys
that provide use information, and other
use information relevant to potential
exposure following a pesticide
application. This use information will
enable the Agency to conduct more
accurate and realistic risk assessments,
thus enabling the Agency to levy
appropriate limitations on use to
mitigate potential risks.
iv. Description of human activity. In
addition to use information, the Agency
proposes a new requirement describing
the possible activities (guideline
875.2800) in which people may be
engaged after a site has been treated.
Human activities play a crucial role in
the nature and magnitude of exposure to
pesticides. These data are also useful for
evaluating potential differences in
exposures between different
subpopulations (i.e., adults and
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children), and for determining how
specific activity patterns affect exposure
levels. Data would include information
on types of human activities associated
with use of the pesticide, principal
source(s) of exposure, conditions (if
any) mitigating exposure, expected
frequency and duration of activities
(including hours per day and days per
year), description of exposed
population, typical clothing worn and
equipment used, any available surveys
that provide human activity
information, and other relevant use
data.
In many cases, product use
information coupled with the
description of human activity
information are used to help the Agency
determine the most likely route(s) of
exposure, whether through the skin,
through the lungs, or through incidental
ingestion.
v. Data reporting and calculations
information. EPA proposes to require
registrants to submit data reporting and
calculation information whenever postapplication exposure data are
submitted. Data reporting and
calculations information (guideline
875.2900) is an important component
needed to assess the validity of the
studies and the accuracy of the exposure
calculations. Minimal information that
must be submitted includes a
description of the purpose of the study
and what requirement(s) it is intended
to satisfy, a summary of the study, a
comprehensive section on materials,
methods, and calculations, a section
interpreting the scientific results of the
study, a discussion of quality assurance,
identification of the location of the raw
data, and any relevant references,
communications, and protocols.
vi. Nondietary ingestion exposure.
The Agency proposes to conditionally
require a nondietary ingestion exposure
study (guideline 875.3000) to evaluate
the potential oral exposures to humans,
particularly children, from pesticide
residues from sources other than food.
Nondietary ingestion exposure would be
expected in residential settings
following applications such as:
(1) lawns (soil that contains pesticide
residues);
(2) residential plantings (pesticidetreated foliage);
(3) outdoor surfaces (decks);
(4) indoor surfaces (pesticide-treated
paint chips);
(5) residential fabrics (clothing,
bedding, carpets);
(6) insect and rodent baits.
Nondietary ingestion may also occur
through hand-to-mouth orobject-tomouth transfer of pesticide residues
during activities performedby children
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(e.g., crawling) that put them in close
proximity with treatedsurfaces.
Studies would address such concerns
as examining behavior
patterns,monitoring the amount of soil
or residue in the rinsate from handwashing,and developing science-based
models or formulas to estimate
theinadvertent exposure. The results
from these studies will be used toassess
the risks associated with the incidental
ingestion of pesticides bychildren
following pesticide applications in
residential settings. TheAgency is
primarily concerned with nondietary
exposures immediatelyfollowing
application of the pesticide, therefore
dissipation studiesalone would not
provide the information needed to
assess risks fromnondietary ingestion
exposures. This study would not be
required foroccupational uses.
3. Revised data requirements. In
addition to newly codified test
requirements, EPA proposes to make
significant changes to the existing postapplication exposure data requirements.
The use patterns requiring testing would
be expanded from conventional food,
feed, and fiber crop agricultural use
sites to include other use sites as well.
In some cases, the test requirement
would change from ‘‘conditionally
required’’ to ‘‘required,’’ and/or the test
notes have been reworded to be clearer
and easier to understand.
i. Dislodgeable foliar residue
dissipation and turf transferable
residues. The Dislodgeable Foliar
Residue Dissipation study (guideline
875.2100) is currently conditionally
required for evaluation of postapplication conventional food, feed, and
fiber crop agricultural exposure. The
Agency proposes to expand this
requirement to include testing for
greenhouse, nursery, forest, and
residential settings and change it from
‘‘conditionally required’’ to ‘‘required’’
for all use patterns. Applicants are
encouraged to consult with the Agency
to determine their applicable data
needs. Like dislodgeable foliar residues,
turf grass transferable residues are the
amount of pesticide residues deposited
onto the leaf surface that have not been
absorbed into the leaf or dissipated from
the surface, and that can be dislodged
from the leaf surface. Turf grass
transferable residues are pesticide
residues on the surfaces of treated
lawns, sod farms, golf courses, or other
turf grass that are available for transfer
to exposed humans (e.g., golf course
workers and golfers, adults and children
at residences, reentry workers on sod
farms) when they contact the treated
turf surfaces. These additional tests are
necessary to evaluate dermal exposures
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resulting from contact with pesticidetreated plant surfaces, whether
residential or occupational.
ii. Soil residue dissipation. The
Agency proposes to also expand the Soil
Residue Dissipation study (guideline
875.2200) to include broader
agricultural (greenhouse, nursery, forest)
and residential settings. This study
would be required for occupational use
sites and conditionally required for
residential use sites. Soil residue
dissipation data are used with
toxicological endpoints of concern and
concurrent human dermal exposure
monitoring data to produce quantitative
post-application risk assessments and to
determine whether post-application
risks from contact with treated soil are
of concern at residential and
occupational sites. TBTH and methyl
parathion for use in nut tree plantations
are examples of situations in which EPA
found that these were exposures of
concern. Without this data, the Agency
would not be able to estimate exposure
in these scenarios.
iii. Dermal and inhalation exposure.
The Agency proposes to expand the data
requirements for Dermal and Inhalation
Exposure studies (guidelines 875.2400
and 875.2500) to include postapplication exposure in occupational
and residential (indoor and outdoor)
settings. Both studies would be required
instead of conditionally required for all
use patterns. Currently, EPA requires
dermal post-application exposure data
when agricultural workers are expected
to have contact with pesticide-treated
food, feed, or fiber crops growing
outdoors. The Agency proposes to
expand the data requirements to include
persons exposed to pesticide residues in
residential settings and in other
occupational settings, such as
greenhouses, nurseries, forests, golf
courses, and certain indoor
environments. The Agency needs postapplication dermal and inhalation data
in order to perform the residential risk
assessments needed to fulfill the
requirements of the Food Quality
Protection Act. In addition, the original
requirements were not broad enough to
assess risks to occupational workers in
greenhouses, nurseries, forests, golf
courses, and certain indoor
environments, where post-application
exposures may be a concern. The
Agency has imposed two major DCI’s for
dermal and inhalation exposure data for
agricultural chemicals (e.g., diazinon,
iprodione, and chlorsulfuron) and for
those applied to lawns (e.g., MCPA,
triadimefon, trichlorfon, isofenphos,
and cyfluthrin).
4. Use of surrogate data. Surrogate
data are data collected for another
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pesticide that may be applicable to the
pesticide under review. Surrogate postapplication exposure data are data
generated using comparable methods
and under similar conditions, and
where contact with the treated surfaces
is likewise similar. The assumption in
the use of surrogate data is that in many
post-application scenarios, the physical
parameters of the contact with residues
on varying surfaces (e.g., foliage, turf
grass, soil, indoor surfaces), not the
chemical properties of the pesticide
itself, are most important in determining
the level of residue transfer from treated
surfaces to people.
At this time, EPA generally is not
allowing the use of surrogate data for
any of the post-application residue data
(guidelines 875.2100, 875.2200,
875.2300, and 875.3000). EPA
encourages applicants and registrants to
generate needed exposure data using the
pesticide product for which the
registration is sought. Surrogate data
are, however, accepted under certain
circumstances for post-application
exposure monitoring. The Agency
recognizes the need to impose exposure
data requirements judiciously to avoid
unnecessary economic burdens on
applicants. Surrogate exposure data
estimations must have adequate
information to address post- application
exposure data requirements and must
contain adequate replicates of
acceptable quality data to reflect the
exposure of concern, such as the type of
plant or indoor surface and the postapplication activity. When the data meet
these criteria, the residue transfer
coefficients derived from surrogate
studies may be used to assess the
occupational and residential postapplication exposure to the pesticide.
When surrogate data, however, prove
inadequate for the Agency to estimate
likely exposures, applicants and
registrants will be required to submit
the data required in subpart K.
Surrogate data may be obtained from
several reliable sources. Some surrogate
post-application data for workers in
agricultural settings is available through
the Agricultural Reentry Task Force.
The task force has submitted to the
Agency post-application exposure data.
A database was developed that contains
transfer coefficients for various
agricultural work tasks and crops. Some
surrogate post-application data for
pesticide applications in residential
settings is available through the Outdoor
Residential Exposure Task Force. This
task force submitted data to the Agency
on post-application exposures following
the use of different types of pesticide
formulations typically found in outdoor
residential settings.
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In addition, the Agency may accept
surrogate exposure data estimations
from other agencies, such as the
National Institute of Occupational
Safety and Health (NIOSH), the
Occupational Safety and Health
Administration (OSHA), or the OECD to
satisfy post-application exposure data
requirements, if the data meet the basic
quality assurance, quality control, good
laboratory practice, and other scientific
requirements set by EPA. Moreover, if
EPA determines that industrial
standards, such as the workplace
standards set by OSHA, provide
adequate protection for a particular
pesticide use pattern exposure, data
may not be required for that use pattern.
The Agency invites public comment on
all aspects of its proposal regarding the
use of surrogate exposure data.
XIV. Environmental Fate Data
Requirements (Subpart N)
A. General
Under current part 158, EPA requires
a series of individual laboratory studies
as well as field studies to assess the
behavior and fate of a pesticide in the
environment. Controlled environmental
fate and transport laboratory studies are
used to determine the persistence,
mobility, and bioconcentration potential
of a pesticide active ingredient and its
major degradates. The studies offer
information on how, or by what
mechanism, the pesticide degrades or
dissipates, the rate at which it
degradates or dissipates, where it goes,
and what transformation products are
formed. Data from these studies are used
as inputs to exposure models. These
models estimate the expected
environmental concentrations of the
pesticide and its degradates under
various environmental and use
conditions. The laboratory studies also
help to focus field study design by
providing information on which
transformation products are likely to be
produced, and thus need to be tracked,
and the environmental media (e.g., soil,
sediment, water, air) that should be
sampled, including the depth to which
soil/sediment samples should be
collected.
A conceptual model (hypothesis) is
developed using assumptions derived
from the laboratory data. Since the
laboratory studies are controlled and
evaluate specific fate and transport
properties individually (i.e.,
degradation, metabolism, mobility, and
bioconcentration), they allow for the
development of a conceptual model that
includes only those fate processes and
degradates that are ‘‘significant’’ to the
pesticide in question. Although
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laboratory data are the foundation for
the hypothesis and the basis for the
conceptual model approach, field
studies provide the primary mechanism
for testing and refining the hypothesis
for the environmental fate and transport
of a pesticide. Field studies give sitespecific information on the fate and
transport of a pesticide and its
degradates under actual use conditions.
The field and laboratory data are
integrated to characterize the
persistence and transport of the
pesticide and its degradates in the
environment. From these data,
quantitative environmental fate and
drinking water exposure assessments
are developed. Model-estimated
environmental concentrations of the
pesticide in different media under
various pesticide application and site
scenarios are calculated. These
estimates of exposure are used in
conjunction with toxicity data to assess
whether a pesticide has the potential to
cause adverse effects on human health
and the environment, such as, wildlife,
fish, and plants, including endangered
species.
Persistence studies assess what
happens to a pesticide when it interacts
with water, soil, air, and sunlight.
Mobility studies attempt to predict the
potential of the pesticide to volatilize
into the atmosphere, move into ground
or surface waters, or bind to soil.
Bioconcentration studies evaluate the
potential to partition to aquatic biota
and the degree to which
bioconcentration can be reversed should
external exposure to the active
ingredient or degradates be reduced or
eliminated. These studies are designed
to help characterize how a pesticide
active ingredient dissipates once it is
released into the environment and to
identify the major degradates that may
result from these processes.
Degradation studies include
hydrolysis, photodegradation in water,
photodegradation in air, and
photodegradation on soil. The
hydrolysis study determines the
potential of the pesticide to degrade
from the influence of water alone.
Photodegradation studies determine the
potential to degrade in water, soil, or air
when exposed to sunlight. During these
studies, data are also collected
concerning the identity, formation and
persistence of major degradates.
Metabolism studies include aerobic
soil metabolism, anaerobic soil
metabolism, anaerobic aquatic
metabolism, and aerobic aquatic
metabolism. The soil microbial
metabolism studies determine the
persistence of the pesticide when it
interacts with soil microorganisms
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under aerobic and anaerobic conditions.
The aquatic metabolism studies produce
similar data, but are generated by
pesticide interaction with
microorganisms in a water/sediment
system. These studies also identify the
significant degradates that result from
biological degradation.
Mobility studies, which include
leaching, adsorption/desorption, and
volatility, provide information on the
mode of transport and eventual
destination of the pesticide in the
environment. Scientists can predict the
degree of pesticide mobility in soil from
data generated from leaching and
adsorption/desorption studies.
Bioconcentration studies in aquatic
organisms are used to estimate the
potential of a pesticide, under
controlled laboratory conditions, to
partition to the organisms from
respiratory and dermal exposures. These
studies also provide information on the
degree to which bioconcentration of a
pesticide or degradate can be reversed
should pesticide levels in the
surrounding aquatic environment be
reduced.
Field studies which identify the
environmental dissipation processes,
assess the transformation, transport, and
fate of a pesticide under actual use
conditions with typically applied
pesticide product at representative field
sites. These studies characterize the
relative importance of each route of
dissipation of the pesticide and its
major degradates. Data generated from
field dissipation studies can provide
more realistic estimates (albeit limited
in time and space) of the persistence
and transport of an active ingredient
and its degradates when the pesticide
product is applied under actual use
conditions.
B. Proposed Environmental Fate Data
Requirements
The Agency is proposing to revise the
environmental fate data requirements.
The Agency is proposing to expand the
applicable use pattern for the aerobic
soil metabolism, terrestrial field
dissipation, and aquatic field
dissipation studies. The ground water
monitoring study would be added as a
separate requirement in the table.
The Agency is also proposing to
require independent laboratory
validation of the environmental
chemistry methods used to generate
data associated with the dissipation
studies. Two residue studies, confined
and field rotational crops, would be
moved to the residue chemistry data
requirements (subpart O). The long-term
soil field dissipation study would be
merged with the terrestrial field
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dissipation study. The accumulation
study in irrigated crops would be
eliminated. Other changes include
conditions under which the tests are
required or in some circumstances not
required, and clarification of test notes.
1. Newly imposed data requirements-aerobic soil metabolism. The Agency is
proposing to conditionally require this
test (guideline 835.4100) for aquatic
food crop and aquatic nonfood uses in
cases where the pesticide is applied to
aquatic sites that are intermittently dry.
Such sites include, but are not limited
to cranberry bogs and rice paddies. EPA
is proposing this change because
pesticides which are applied to these
sites are more likely to follow
degradative pathways that resemble
terrestrial rather than aquatic systems.
This change was presented to the SAP
in 1994, which endorsed the change.
2. Newly codified data requirements—
i.Terrestrial field dissipation. The
Agency is clarifying that this
requirement (guideline 835.6100) also
applies to terrestrial feed crop uses, and
is proposing to conditionally require
this study for aquatic uses involving
application to aquatic sites that are
intermittently dry. Such sites include,
but are not limited to cranberry bogs
and rice paddies. This change was
endorsed by the SAP in 1994. While the
laboratory studies are designed to
address one dissipation process at a
time, terrestrial field dissipation studies
address pesticide loss as a combined
result of chemical and biological
processes (e.g., hydrolysis, photolysis,
microbial transformation) and physical
migration (e.g., volatilization, leaching,
plant uptake). Pesticide dissipation may
proceed at different rates under field
conditions and may result in formation
of degradates at levels different from
those observed in laboratory studies.
Data from these studies can reduce
potential overestimation of exposure
and risk and can confirm assumptions
of low levels of toxic degradates. Results
can be used to propose scenario-specific
effective risk mitigation. The Agency
also proposes to merge this requirement
with the long-term field dissipation
study (formerly guideline 164–5). The
current regulations specify that the longterm field dissipation study is required
for pesticides that do not readily
dissipate in soil. The field dissipation
study would be extended in duration for
pesticides that are persistent so that the
decline curves for the parent chemical
and important degradates can be fully
characterized. Since the expanded
applicability only applies to uses where
the cultural practice of the crop
includes periods where the soil is
deliberately kept covered with water
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then dried, such as in rice or
cranberries, the frequency of requesting
this study will be quite low. The Agency
is also proposing to require independent
laboratory validation of environmental
chemistry methods for this study to
ensure the accuracy and reproducibility
of the data, as previously discussed.
ii. Aquatic field dissipation. EPA
proposes to conditionally require the
aquatic field dissipation study
(guideline 835.6200) for terrestrial food
crop, feed crop, and nonfood uses. The
conditions for requiring the study
would be:
a. high persistence;
b. high mobility;
c. high potential to bioaccumulate;
d. high acute toxicity to aquatic
organisms;
e. high potential for aquatic exposure.
Factors such as environmental fate
properties, target crops and application
methods which are taken into account
when determining if the potential for
aquatic exposure is high. For example,
a persistent and mobile pesticide that is
aerially applied is more likely to runoff,
drift, and persist in surface water
compared to one that degrades rapidly
by hydrolysis and is soil incorporated.
Since the expanded applicability only
applies to uses where the cultural
practice of the crop includes periods
where the soil is deliberately kept
covered with water then dried, such as
in rice or cranberries, the frequency of
requesting this study will be quite low.
The Agency also proposes to require
independent laboratory validation for
test methods used to generate data
associated with this study to ensure the
accuracy and reproducibility of the data,
as previously discussed.
iii. Ground water monitoring. Ground
water monitoring studies are designed
to determine or confirm the potential of
a pesticide or its degradates to reach
ground water. The Agency proposes to
add a ground water monitoring study
(guideline 835.7100) as a conditional
requirement for all of the terrestrial uses
and for forestry uses. The requirement
for ground water monitoring is
conditional upon consideration of the
toxicological characteristics of the
pesticides and its potential to leach into
ground water. This study would be
triggered if the weight of the evidence
of available data indicates that the
pesticide and/or its degradates may
leach into ground water. Ground water
monitoring data may also be requested
by the Agency if the existing data base
is found to be inadequate to support
decisions that are protective of ground
water resources.
The likelihood of a pesticide to leach
to ground water is initially evaluated by
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considering the persistence and
mobility of the chemical indicated in
environmental fate laboratory studies
and the field dissipation study required
under part 158, and through use of a
screening-level simulation model. When
the potential for environmental risk is
indicated, or cannot be evaluated
definitively by this screening
assessment, monitoring is used to
evaluate the potential of a pesticide to
contaminate ground water resources.
The results of prospective ground water
monitoring studies can provide
evidence not available from laboratory
studies that natural factors cause a
pesticide to degrade without
contamination of water resources.
Alternatively, they can provide
evidence to indicate that ground water
contamination could result from use
according to the pesticide label, and
they can help to quantify the levels at
which that can occur.
In providing answers about the
potential of a pesticide to leach into
ground water and the magnitude of
contamination under the most
environmentally vulnerable and typical
use conditions, ground water
monitoring data give risk managers the
information they need to make
appropriate regulatory decisions.
Measured concentrations of pesticides
in ground water from prospective
ground water monitoring studies are
used as screening estimates of potential
drinking water exposure for human
dietary risk assessments. These studies
are also often the best tool with which
to estimate pesticide concentrations in
drinking water drawn from shallow
private wells. Monitoring of private
drinking water wells is not required
under the Safe Drinking Water Act, and
data are therefore scarce for most
pesticides.
Under certain circumstances, the
Agency also requires ground water
monitoring in specified use areas in
order to investigate the extent of ground
water contamination from previous
pesticide use. The use-specific and soilspecific data from field scale monitoring
studies also are intended to provide
verification for estimates from modeling
used to predict the impact of long-term
pesticide use on water quality in other
use areas. The results of prospective
ground water monitoring studies have
been and will be used to develop and
improve models which allow the
Agency to better evaluate the leaching
potential of pesticides when data are
scarce.
If a pesticide is determined to have a
strong potential to leach into ground
water and in doing so, poses a risk to
human health or the environment, the
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Agency intends to work with industry to
develop the appropriate risk reduction
and mitigation measures. Thus, in some
cases, ground water monitoring would
be required to confirm the effectiveness
of these mitigation actions or any other
regulatory measures and to elicit
appropriate regulatory responses that
effectively prevent pollution of ground
water resources. The Agency believes
that this study will be rarely required.
The Agency is also proposing to
require independent laboratory
validation of the environmental
chemistry methods used to generate
data associated with this study. As
previously discussed, this evaluation
will be used by the Agency reviewers to
verify the results of the data submitted.
3. Revised data requirements—i.
Hydrolysis. EPA proposes to clarify that
the requirement for this study applies to
terrestrial feed crop and aquatic
residential uses. In addition, EPA would
conditionally require hydrolysis testing
for indoor food and nonfood uses.
Hydrolysis testing (guideline 835.2120)
may be required to support products for
indoor food and nonfood uses for which
environmental exposure is likely. Such
use sites include, but are not limited to,
agricultural premises, in or around farm
buildings, barnyards, beehives, and fish
or seafood processing premises. The
proposed changes reflect concern about
the potential movement of pesticides
and their degradates into the
environment.
ii. Photodegradation in water. The
Agency is clarifying the applicability of
the photodegradation in water study
(guideline 835.2240) to reduce the
frequency of the requirement, based
upon the UV/visible absorption
spectrum data submitted as part of the
product chemistry data. (§ 158.310) The
Agency proposes to indicate in a test
note that data on photodegradation in
water would not be required in cases
where the electronic absorption spectra,
measured at pHs 5, 7, and 9 of the
chemical and its hydrolysis products, if
any, do not show absorption or tailing
between 290 and 800 nanometers. These
testing parameters were announced in
an Environmental Fate and Effects
Division Policy Note in March 1992, as
well as the 1993 Pesticide Reregistration
Rejection Rate Analysis - Environmental
Fate (EPA 738–R–93–010).
iii. Photodegradation on soil.
Currently, photodegradation on soil
studies (guideline 835.2410) are
conditionally required for terrestrial
food crop and forestry uses, with the
test note indicating that studies are not
required if the use involves application
to soils solely by injection of the
product into the soil or by incorporation
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of the product into the soil upon
application. The Agency is proposing to
change the designation of the
requirement for this study from
conditionally required for terrestrial
food crop and forestry uses to required,
expand the use patterns to include
terrestrial nonfood uses, and retain the
test note indicating when the studies
will not be required. This change
represents current practice and is in
accord with international harmonization
efforts under NAFTA.
iv. Photodegradation in air. Data from
photodegradation in air studies
(guideline 835.2370) provide
information about the potential of the
pesticide to degrade in air when it
interacts with sunlight. Because of the
potential for exposure to highly volatile
pesticides in greenhouses, residential,
and certain outdoor settings, EPA is
proposing to expand the requirement
from terrestrial food crop to terrestrial
feed crop and nonfood, greenhouse food
crop and nonfood, forestry, and
residential outdoor uses on a
conditional basis. This requirement is
based on use patterns and other
pertinent factors including but not
limited to Henry’s law constant (the
solubility of a gas is directly
proportional to the partial pressure
exerted by the gas). In combination with
volatility studies, this information is
needed to develop a profile of the
pesticide in the atmosphere. In view of
methodological difficulties with the
study, including, but not limited to,
wall effects, the test note has been
amended to recommend consultation
with the Agency before tests are
performed.
v. Anaerobic aquatic metabolism.
EPA proposes to require this study
(guideline 835.4400) for terrestrial food
crop, feed crop, and terrestrial nonfood
uses where the pesticide is likely to
move from the site of application to
nearby aquatic systems. Anaerobic
aquatic metabolism studies measure the
formation of pesticide residues in water
and hydrosoil under anaerobic or
oxygen-poor conditions. Since the
degradation or dissipation rates and
pathways of pesticides in aquatic
systems can be different from those of
terrestrial systems, soil metabolism
studies alone may not be adequate to
cover these use patterns.
vi. Aerobic aquatic metabolism. The
Agency is clarifying that this
requirement (guideline 835.4300)
applies to aquatic residential uses, and
is proposing to expand this requirement
to include terrestrial food crop, feed
crop, and nonfood, and forestry uses.
Aerobic aquatic metabolism studies
measure the formation of pesticide
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residues under aerobic or oxygen-rich
conditions in water or sediment while
the pesticide is dispersed in aquatic
environments. Since the degradation or
dissipation rates and pathways of
pesticides in aquatic systems can be
different from those of terrestrial
systems, soil metabolism studies alone
may not be adequate to cover these use
patterns.
Note also that the Agency is
reasserting that Anaerobic Soil
Metabolism studies (guideline 835.4200)
are required for terrestrial food crop,
feed crop, and terrestrial nonfood uses.
Due to a printing error, this data
requirement was inadvertently omitted
from the data tables in 1991 and
subsequent publications of the CFR.
This action would restore the data
requirement in the table. The scope and
nature of the requirement would not
change.
vii. Forestry field dissipation. EPA is
proposing to change the status of the
forestry dissipation study (guideline
835.6300) from required to
conditionally required. Forestry use
patterns are broad in scope, range from
the application of pesticides to
individual trees, to aerial applications
covering very large areas, and may
apply to tree farms or reforestation
efforts. As a result, it is difficult to
extrapolate data from tests in particular
forestry systems to other forests of
regulatory interest. Therefore, this study
would need to be tailored to address
exposures of concern for particular uses.
When the Agency determines that a
study is needed, a suggested protocol
would need to be submitted and
approved by the Agency prior to
initiation of the study. The Agency
believes that this study will be rarely
required. The Agency also proposes to
require independent laboratory
validation for test methods used to
generate data associated with this study
to ensure the accuracy and
reproducibility of the data, as
previously discussed.
viii. Accumulation in fish. EPA is
proposing minor clarifications to this
study requirement (guideline 850.1730).
As such, the revised data tables would
indicate that this conditional
requirement applies to terrestrial feed
crop and aquatic residential uses.
Further, the Agency proposes to
indicate in the test note that studies are
required unless:
a. The octanol/water partition
coefficients of the pesticide/major
degradates are less than 1,000
(indicative of a relatively low potential
for accumulation in fish),
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b. There are no potential exposures to
fish and other nontarget aquatic
organisms, or
c. The hydrolytic half-life is less than
5 days at pH 5, 7, and 9.
ix. Accumulation in aquatic nontarget
organisms. EPA is proposing to expand
the conditional requirement for a
nontarget aquatic organism
accumulation study to terrestrial food
crop, feed crop, and nonfood uses; and
aquatic food and aquatic nonfood
residential uses (guideline 850.1950).
The study would be triggered if
significant concentrations of the active
ingredient and/or its principal
degradation products are likely to occur
in aquatic environments and may
potentially accumulate in aquatic
organisms. The Agency proposes to
require this study in situations
involving direct application of the
pesticide to aquatic systems, from
various terrestrial sites where run-off or
other movement of the pesticide into
nearby aquatic systems is likely, or in
intercropping situations involving
aquatic animal species and traditional
aquatic plant crops, e.g., crayfish and
rice. The Agency believes that this study
will be rarely required.
x. Confined and field rotational crops.
Because the presence of residues in
rotational crops is primarily a dietary
risk concern, the Agency proposes to
move the data requirements for confined
and field rotational crops (guidelines
860.1850 and 860.1900) from
environmental fate data requirements to
residue chemistry data requirements
(subpart O).
xi. Accumulation studies in irrigated
crops. The Agency proposes to
eliminate the environmental fate
requirement for the accumulation
studies in irrigated crops (formerly
guideline 165– 3). Pesticide residue data
and information to address the potential
for pesticides to be present in crops
irrigated with treated water may be
obtained from the Magnitude of the
Residue in Irrigated Crops study
(guideline 860.1540) in subpart O.
XV. Residue Chemistry Data
Requirements (Subpart O)
A. General
Residue chemistry data are used by
the Agency to estimate people’s dietary
exposure to pesticide residues from
food. The residue chemistry data base is
designed to determine the composition
of the pesticide residue and how much
of that residue is present in the food
people eat. Residue chemistry studies
include those which define the nature of
the residue, i.e., metabolism studies,
and those which measure how much of
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the residue of concern is present in
food, feed, and water, i.e., magnitude of
the residue studies. Most food use
pesticides require both types of studies.
Both plant and livestock metabolism
studies are needed to determine the
breakdown of the pesticide in a living
system, that is, whether the parent
compound stays intact or is converted
into metabolites. Occasionally, the
metabolites are toxic and, as such, are
included in the analyses as a residue of
concern. Magnitude of the residue
studies, also called residue field trials,
are done for all foods, such as, fruit and
vegetable crops, processed foods, meat
and poultry products (including milk
and eggs), potable water, fish, and other
instances where food may be exposed to
pesticide treatment.
In addition to dietary risk
assessments, residue chemistry data are
used to establish pesticide tolerances
which, in turn, are used for enforcement
purposes (see Unit XV.B. below).
Therefore, methods for detecting the
presence and amount of the residue are
needed. Detection methods are used by
EPA for study validation purposes, and
by FDA, USDA, and the states for food
inspection purposes.
EPA is proposing changes to the
residue chemistry data requirements to
better estimate dietary exposure to
pesticide residues in or on food or feed,
to more accurately assess and reassess
tolerances and tolerance exemptions,
and to provide additional tools for the
enforcement of pesticide residue
tolerances to ensure that food entering
the commercial market meets the
‘‘reasonable certainty of no harm’’
standard under FFDCA. The Agency is
proposing to codify data needs that have
evolved since the 1984 regulations were
issued, and clarify and simplify existing
data requirements.
B. Tolerances
1. Residue chemistry data. Residue
chemistry data are used to assess human
dietary exposure and establish
tolerances (or tolerance exemptions) for
pesticide residues present in food and
feed. Pesticide tolerances are listed in
40 CFR part 180. Tolerances are used
primarily for enforcement purposes and
represent the maximum legal amount of
pesticide residue allowed in or on food
or animal feed in interstate commerce.
Results from data generated from crop
field trials are used to set the tolerance
for that particular crop. A tolerance or
exemption from tolerance must be
established for a pesticide to be
registered under FIFRA for uses on the
food or feed, and for food or feed
bearing pesticide residues to be
imported into the United States.
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Wherever possible, EPA tries to
harmonize its tolerances with Maximum
Residue Levels (MRLs) established by
other countries.
2. Import tolerances. In cases where a
pesticide is not registered in the United
States, interested persons may submit a
petition requesting that EPA establish a
tolerance or tolerance exemption for
residues of a pesticide in or on a
commodity to allow that treated
commodity to be legally imported.
These tolerances, called import
tolerances, can be established for any
food or feed commodity, but are usually
established for foods grown outside the
United States and its territories, such as
bananas or coffee. For new tolerances
with no accompanying U.S. registration,
part 158 will require that tolerance
petitioners provide the information and/
or data necessary to make the required
safety finding under FFDCA. While
there is generally no distinction in data
requirements between an import
tolerance and any other tolerance issued
by EPA, some important differences
occur in the way data is generated. This
usually includes residue data
representative of the pesticide’s use in
the exporting country. EPA issued
proposed guidance for registrants of
import tolerances in June 2000 (65 FR
35069). EPA expects to issue its final
guidance on import tolerances in the
near future.
C. Proposed Residue Chemistry Data
Requirements
The residue chemistry data table has
been modified to include general use
patterns that include food uses, plus the
residential outdoor use pattern. EPA is
not proposing significant changes to the
residue chemistry data requirements
from those currently listed in part 158.
Two data requirements would be added
as separate requirements in the data
table. These data (storage stability and
multiresidue methods) have been
imposed by the Agency on a case-bycase basis. The Reduction In Residue
study is now called ‘‘anticipated
residues;’’ a longstanding independent
method validation is being proposed;
and two residue studies, confined and
field rotational crops, which were
formerly environmental fate data
requirements, would be moved to the
residue chemistry data requirements.
Other changes include changes in test
substance, conditions under which the
test is required, and clarification of test
notes. These are not expected to
substantively increase the nature or
burden of the existing data requirement.
1. Newly imposed data requirements.
None.
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2. Newly codified data requirements—
i. Storage stability. The Agency
proposes to add a storage stability study
(guideline 860.1380) as an explicit
requirement to validate the Magnitude
of the Residue studies. Magnitude of the
residue studies address how levels of
pesticide residues in samples of human
foods and livestock feeds are
determined. These samples are often
stored for extended periods of time prior
to analysis. Since tolerances are based
on residues at the time of harvest (or
sample collection) and the residues may
be lost by processes such as degradation
and volatilization during storage prior to
analysis, storage stability data depicting
the presence of residues during this
period are critical to validation of the
results of the field trial studies. Such
data have been required previously as a
part of the magnitude of the residue
studies, but will now be codified as a
separate requirement in the data tables.
ii. Multiresidue methods. The Agency
also proposes to codify a multiresidue
methods study (guideline 860.1360) as a
separate requirement. Multiresidue
methodology data are currently part of
the residue analytical method
requirement. These data are important
in designing pesticide monitoring and
enforcement programs, and as such,
multiresidue methodology data is being
proposed as a separate requirement. In
food monitoring programs, it is not
practical or feasible to test for
individual pesticides. Since the residue
analytical method requirement is
intended to refer to a method that is
specific for one pesticide (sometimes
called a ‘‘single residue method’’) and
the multiresidue procedures currently
used are designed to measure as many
pesticides as possible, it is clearer to list
these as two separate data requirements.
The Agency will amend the test note to
stress that any analytical methodology
must be evaluated for its ability to
detect metabolites included in the
tolerance expression.
3. Revised data requirements—i.
Nature of the residue in livestock. Also
called an animal metabolism study, EPA
is proposing several small changes to
the Nature of the Residue in Livestock
Study (guideline 860.1300). First, the
Agency proposes to require livestock
metabolism studies whenever a
pesticide is applied to crops used for
livestock feed and would indicate this
change in the test note for this study. In
1984, livestock metabolism studies were
conditionally required and were
triggered by the presence of residues in
the livestock feed. The Agency changed
its policy in July 1989 and now
proposes to incorporate it by regulation.
The data provides essential information
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on the potential transfer and
bioconcentration of residues in meat
and milk for all pesticides applied to
feed items. Therefore, in cases where
pesticide misuse results in residues on
feed items not expected to have residues
from approved uses, the Agency will
have data from which to estimate the
potential residues in the affected animal
commodities.
The Agency is also proposing to
change the test substance for this study
from the pure active ingredient, radiolabeled (PAIRA) ‘‘and plant
metabolites’’ to the PAIRA ‘‘or plant
metabolite.’’ The test substance
‘‘metabolites’’ will be changed to
‘‘metabolite’’ to prevent dosing with
more than one compound in any one
study. This is needed because in studies
involving simultaneous dosing with
both the active ingredient and plant
metabolites, it is impossible to
determine the amount of metabolite due
to active metabolism from that
introduced through dosing.
Simultaneous dosing with the active
ingredient and any metabolites may not
produce useful results, because the
active ingredient and metabolites may
have different metabolic pathways that
cannot be differentiated. In most cases
dosing with only the parent compound
is necessary. However, in cases where
plant and animal metabolites are found
to differ, a separate study in which
livestock are dosed with a unique plant
metabolite may also be required.
The livestock metabolism study
would be required when a pesticide is
applied to livestock premises or is used
in livestock drinking water. Such
applications may result in both oral and
dermal exposure of animals to the
pesticide and, depending on the results,
may precipitate magnitude of the
residue studies to quantify the residues
in meat, milk, poultry, and eggs. Finally,
the Agency proposes to delete the
conditional requirement for the nature
of the residue in livestock study for
residential outdoor uses since livestock
are not found in this use pattern.
ii. Residue analytical methods.
Residue analytical methods are used to
validate the residue field trial studies in
plant and animal commodities and as a
means of enforcement of established
tolerances. The Agency proposes to
change the test substance for residue
analytical methods (guideline 860.1340)
from the ‘‘TGAI and metabolites’’ to the
‘‘residue of concern.’’ This will focus
the study on only those chemicals with
potential toxicity, typically the pure
active ingredient and other compounds
of concern (i.e., metabolites and
degradates), and not on the other
components of the TGAI.
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As part of this data requirement, the
Agency is also proposing to require an
independent laboratory validation of
residue analytical methods to ensure the
accuracy and reproducibility of data
used for tolerance enforcement
purposes. As previously discussed, this
policy has been in place since 1988.
iii. Magnitude of the residue in
processed food and feed. The Agency
proposes to change the test substance
for processing studies (guideline
860.1520) from an end-use product (EP)
to a ‘‘typical’’ end-use product (TEP). A
processing study is needed for only one
representative end-use product
proposed for use on a given commodity
or site. For a given active ingredient, the
Agency believes that, in general,
variations of the formulation will not
affect the behavior of the active
ingredient with respect to processing a
raw agricultural commodity bearing
residues of that chemical. This change
would codify a longstanding practice in
EPA.
iv. Magnitude of the residue in meat,
milk, poultry, and eggs. In line with the
livestock metabolism study, the Agency
proposes to change the test substance
for the meat/milk/poultry/egg study
(guideline 860.1480). Due to the
difficulties in interpreting results of
studies in which a mixture is fed, the
Agency is currently discouraging the
feeding of mixtures and is instead
requesting the feeding of isolated
compounds in livestock studies. Hence,
the test substance will be changed to
read a single plant metabolite instead of
metabolites in the plural. Provided that
plant and animal metabolites are the
same, the parent compound must be the
test substance in livestock feeding
studies. If any plant metabolite exists
that is not also an animal metabolite, a
separate feeding study may be required
involving dosing with that unique plant
metabolite. The Agency will inform the
applicant when this additional testing is
required. It is rare that this study is
requested.
Unlike the livestock metabolism
studies, however, livestock feeding
studies are generally not required when
residues are not demonstrated to be
present in the feed. The Agency
proposes to clarify that data generally
are not required when:
1. Residues are not found on feed
items or
2. Livestock metabolism studies
indicate minimal transfer of the
pesticide residue to tissues, milk or
eggs. For those pesticides which leave
non-detectable or low residues in feed
items and for which the livestock
metabolism study shows little transfer
of radioactivity to tissues, the Agency
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may be able to conclude that data on the
level of residues in livestock and their
byproducts are not necessary.
v. Magnitude of the residue in potable
water, fish, and irrigated crops. Like the
study for processed food and feed
commodities, the Agency proposes to
change the test substance from an EP to
a TEP to determine pesticide residues in
potable water, fish, and irrigated crops
(guideline 860.1400). Residue data are
needed for only one representative enduse product of each formulation type
proposed for use on a given commodity
or site. For each formulation type for a
given active ingredient, the Agency
believes that, in general, variations of
the formulation will not affect the
behavior of the active ingredient.
vi. Anticipated residues. The Agency
proposes to change the title of the
Reduction of Residue study to
Anticipated Residues. The new title
emphasizes the Agency’s intent to use,
where appropriate and feasible, data
showing the actual residues in food as
consumed, as opposed to residues in
crops at harvest. For example, market
basket surveys can be one way of
generating better dietary exposure
estimates. The Agency also proposes to
indicate in the test note that alternative
data, such as market basket surveys,
may be required.
The Agency also proposes to add a
test note to this study to address the
need for residue data on acutely toxic
pesticides in single servings of raw
agricultural commodities. Most residue
data provided to the Agency are based
on composited samples. For example,
20 apples collected from different trees
may be blended together prior to
determining the pesticide residues. This
procedure is adequate for estimating
dietary risk from pesticides whose toxic
effects arise from exposure over a long
time period; however, data on
composited samples may not be
adequate for assessing acute risk from
ingestion of single servings of a raw
agricultural commodity bearing
pesticide residues (e.g., one apple). This
proposed analysis of single serving sizes
will allow the Agency to more
accurately assess acute dietary risks.
This additional study would be required
only where commodities are consumed
in single serving amounts. Historically,
the Agency has only asked for this study
once. EPA expects that the utility of this
study would be for old chemicals with
risk concerns. However, for newer
chemicals (e.g., reduced risk chemicals)
which are the focus of these data
requirements, this requirement would
rarely be invoked.
vii. Confined and field rotational
crops. Because the presence of residues
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in rotational crops is primarily a dietary
risk concern, the Agency proposes to
move the data requirements for confined
and field rotational crops (guidelines
860.1850 and 860.1900) from an
environmental fate requirement (subpart
N) to subpart O. The Agency also
proposes to revise the test note
addressing the requirement for the Field
Rotational Crop study. Currently, a
Field Rotational Crop study is required
when significant pesticide residues are
found in the soil at the time of planting.
The use of soil residues alone to predict
crop residues does not take into account
the metabolites of chemicals in the soil
and the differing abilities of plants to
take up such residues. Since the
confined study involves the actual
measurement of residues in rotational
crops under worst-case conditions, the
Agency believes that it is more
appropriate to use the results of the
Confined Rotational Crop study as a
screen for potential residues in crops
grown under field conditions and the
footnote for the field study will be
revised to reflect this approach.
XVI. Applicator Exposure Data
Requirements (Subpart U)
A. General
Individuals who handle pesticides are
subject to potential risks stemming from
pesticide exposure. Because of this,
exposure data tailored specifically to
address pesticide handlers are crucial.
Pesticide handlers (i.e., applicators) are
persons who mix, load, apply, or
otherwise come into contact with
pesticides during the application
process. An applicator can be a
professional or a homeowner. The risks
to applicators is evaluated based upon
the results of the toxicity and human
exposure studies. Monitoring data are
used to quantify the exposure. The
proposed data requirements for
applicator exposure would allow the
Agency to conduct improved exposure
assessments for those who handle
pesticides.
The current data requirements in part
158 do not contain studies to determine
applicator exposure from pesticide use.
The Agency, however, has long been
aware of the necessity for applicator
data to assess the risks from handling
pesticides and has frequently asked for
such data. In 1987, the Agency
published guidelines for such studies.
Since that time, applicator exposure
studies have been requested when
specific exposure and toxicity criteria
triggers were met. Since EPA believes
these data are essential for fulfilling its
mandate to protect human health from
pesticide risk, including aggregated and
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cumulative risks, it is proposing to make
the applicator exposure studies a
standard part of its regulatory data
requirements.
EPA proposes to codify requirements
for application exposure data in part
158 as a new subpart U. The purpose of
codifying these data requirements is to
assist pesticide registrants and others in
determining which studies are required,
and aid them in designing and
conducting field studies that measure
potential dermal and respiratory
exposure to pesticides during handling
activities. These test requirements cover
exposure monitoring studies for people
involved in mixing, loading, and
applying pesticides; flagging during
aerial applications; and other tasks,
such as cleaning of equipment and spill
cleanup that result in direct contact
with pesticides. The requirements cover
not only agricultural applicators, but
other occupational applicators and
residential applicators as well.
B. Criteria for Testing
The Agency proposes to establish
toxicity and exposure criteria for
applicator exposure studies. These
criteria are based on the toxicity of the
active ingredient and the proposed
exposure pattern of the product.
1. Toxicity criteria. EPA proposes that
applicator exposure data be required for
occupational and residential exposures
for pesticide active ingredients that
indicate potential adverse effects from
toxicity studies, such as developmental
toxicity, carcinogenicity, neurotoxicity,
reproductive toxicity, immunotoxicity,
90–day oral toxicity, 21–day dermal
toxicity, 90–day inhalation toxicity, and
chronic feeding.
Specifically, EPA is proposing that
the toxicity criteria be based on the
toxicity of the active ingredient.
Applicator exposure monitoring data
would be required, as determined by the
Agency, if the active ingredient meets
any of the following criteria:
i. Evidence of potentially significant
adverse effects have been observed in
applicable toxicity studies. For example,
toxicity studies may indicate that the
active ingredient is a possible or likely
human carcinogen and that carcinogenic
risk can be assessed using a linear
extrapolation approach with a Q1*. Or,
toxicity studies may indicate that the
active ingredient may cause
developmental, neurotoxic,
reproductive, or immunotoxic effects or
may inhibit cholinesterase and establish
a toxicological endpoint of concern that
can be used to assess risks to applicators
and other handlers.
ii. Scientifically sound
epidemiological or poisoning incident
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data indicate that adverse health effects
may have resulted from handling of the
pesticide. For example, EPA reviews
data in the:
a. Office of Pesticide Programs
Incident Data System reports of
incidents from various sources,
including registrants, other federal and
state health and environmental agencies
and individual consumers);
b. Toxic Exposure Surveillance
System (a national data collection
system of Poison Control Center data);
c. National Pesticide Information
Center database (NPIC is a toll-free
information service supported by the
Office of Pesticide Programs that fields
calls about human and animal
incidents); and
d. California Department of Pesticide
Regulation exposure incident database.
California physicians are required, by
statute, to report to their local health
officer all occurrences of illness
suspected of being related to exposure
to pesticides. The majority of the
incidents involve workers. CDPR has
collected uniform data on suspected
pesticide poisonings since 1982.
2. Exposure criteria. EPA proposes to
establish exposure criteria that would
trigger applicator exposure studies. In
determining what studies are required,
EPA considers the product’s use
patterns, use surveys, application
methods, whether the product is for
indoor or outdoor use, whether the
exposure is expected to be occupational
or residential, the duration of the
exposure (i.e., short-term, intermediateterm, or long-term), whether sensitive
subpopulations might be exposed, and
other criteria. Applicator exposure
monitoring studies would be required if
either dermal or respiratory exposure is
likely to occur during the prescribed
use. Applicants are strongly encouraged
to consult with the Agency to determine
applicable data needs.
Specifically, EPA is proposing the
following exposure criteria. Data would
be required, as determined by the
Agency, if either of the following
conditions is met:
i. Dermal exposure is likely to occur
when used as directed on the label,
ii. Respiratory exposure is likely to
occur when used as directed on the
label.
Because these exposure scenarios are
covered under the broad categories of
occupational and residential, the table
in § 158.1520 lists only these two use
patterns.
The Agency may also require data
when exposure is likely, when the
pesticide is used in a commonly
recognized and widespread manner.
Thus, if the Agency knows that a
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particular product or class of products
is frequently used in a manner that isn’t
directed on the label, the Agency can
still require data.
C. Proposed Applicator Exposure Data
Requirements
1. Newly imposed data requirements.
None.
2. Newly codified data requirements.
EPA is proposing seven separate data
elements for applicator exposure data.
i. Dermal exposure studies. The
Agency proposes to add data
requirements for both outdoor and
indoor dermal exposure studies
(guidelines 875.1100 and 875.1200) in
order to estimate the dermal exposure to
persons directly handling pesticides.
Dermal exposures can and do occur at
levels that can cause adverse effects.
Dermal applicator exposure studies
employ passive dosimetry techniques
which estimate the amount of a
chemical impinging on the surface of
the skin. The amount of pesticide
potentially available for absorption
through the skin can be estimated by
trapping the material before it contacts
the skin or by removing the material
that has contacted the skin before it has
been absorbed.
ii Inhalation exposure studies. To
estimate occupational and residential
human post-application inhalation
exposure to pesticide residues, the
Agency proposes to add data
requirements for both outdoor and
indoor inhalation exposure studies
(guidelines 875.1300 and 875.1400).
Inhalation exposures can and do occur
at levels that can cause adverse effects.
Protocols must be submitted for
approval prior to initiation of the study.
Details for developing protocols are
available from the Agency.
iii. Biological monitoring. Data from
biological monitoring studies (guideline
875.1500) provide the Agency with
estimates of the internal dose or amount
of a pesticide in the body. EPA proposes
to allow the submission of biological
monitoring data in addition to, or in lieu
of, dermal or inhalation exposure data
provided the human pharmacokinetics
of the pesticide residue is sufficiently
understood to permit the back
calculation to determine the total
internal dose. Biological monitoring
offers the advantage of assessing the
internal dose, as opposed to the
exposure or amount of chemical coming
in contact with the surface of the skin
or available for inhalation in the lungs
as measured using passive dosimetry
techniques. Biological monitoring is
being proposed as a conditional
requirement.
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iv. Data reporting and calculations
information. EPA proposes to require
registrants to submit data reporting and
calculation information (guideline
875.1600) whenever handler exposure
data are submitted. Data reporting and
calculations information is important
because it allows EPA to assess the
quality of an applicator exposure study
and the accuracy of the exposure
calculations derived from the study.
Information that must be submitted
includes a description of the purpose of
the study and what requirement(s) it is
intended to satisfy, a summary of the
study, a comprehensive section on
materials, methods, and calculations, a
section interpreting the scientific results
of the study, a discussion of quality
assurance, identification of the location
of the raw data, and any references,
communications, and protocols relevant
to the conduct of the study.
v. Product use information. EPA is
proposing to require product use
information (guideline 875.1700) for
both the occupational and residential
use patterns. Product use information
assists EPA to more accurately assess
pesticide exposure to applicators by
describing how the pesticide is actually
used and applied in occupational and
residential settings. EPA requires this
information because differences in use
can translate to significant differences in
exposure, and thus risk. The required
information is to encompass a
description of the application of the
pesticide and include the range and
typical values for: Application rates;
amount of formulated product or active
ingredient handled per day and per year
or season; acreage or area treated per
day and per year or season; timing of
and number of treatments per year or
season for private and commercial
handlers; exposure time per activity;
types of handling equipment used,
geographical distribution of usage; any
available surveys that provide use
information, and other relevant use
data.
3. Use of surrogate data. To support
the registration of a pesticide product,
EPA encourages applicants and
registrants to generate needed exposure
data with the particular pesticide
product. However, the Agency
recognizes the need to impose exposure
data requirements judiciously to
minimize the economic burdens on
applicants, and at the same time, obtain
sufficient data and information for
exposure and risk assessments.
Therefore, whenever possible, surrogate
data will be used to assess the
occupational and residential exposure
to pesticides. Because the Agency does
not commonly require these studies and
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because surrogate data is often available,
the Agency does not expect that ‘‘full’’
studies will often be needed. However,
when surrogate data prove inadequate
for the Agency to estimate likely
exposures, applicants and registrants
would be required to submit the
additional data proposed in subpart U.
Surrogate applicator exposure data
may adequately satisfy these data
requirements under certain
circumstances. Surrogate applicator data
must be generated using comparable
methods and under similar usage
conditions as the product under review.
Surrogate exposure data estimations
must have adequate information to
address handler exposure data
requirements and must contain
adequate replicates of acceptable quality
data to reflect the specific use
prescribed by the label, including
formulation type, application
equipment, methods and rates, personal
protective equipment, engineering
controls and other pertinent use
directions or restrictions.
Surrogate data may be obtained from
several reliable sources. For many years,
the Agency has been expanding its
Pesticide Handlers Exposure Database
(PHED) which provides surrogate data
for a wide variety of handler exposure
scenarios. PHED is a generic database
containing measured exposure data for
persons involved in the handling or
application of pesticides in the field and
contains data for over 2000 monitored
exposure events. Users can select data
from each major PHED file (e.g., mixer/
loader, applicator, flagger, or mixer/
loader/applicator) and construct
exposure scenarios that are
representative of the use of the
chemical. Although the PHED database
was originally developed for the
agricultural workplace, it now contains
information that is applicable to other
pesticide use scenarios, including
residential settings. In general, PHED is
not appropriate for assessing highly
volatile or gaseous pesticides (e.g.,
fumigants). EPA, Health Canada,
pesticide registrants, and other
interested entities are participating in a
task force to update, refine, and expand
the handler exposure database.
Some surrogate data for outdoor
pesticide applications in residential
settings (occupational and residential
handlers) also is available through the
Outdoor Residential Exposure Task
Force. The Task Force has submitted
data to the Agency on mixer, loader, and
applicator exposures during use of
several types of equipment typically
found in residential settings. The
Agency may accept surrogate exposure
data estimations from NIOSH, OSHA,
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and OECD to satisfy handler exposure
data requirements, if the data meet the
basic quality assurance, quality control,
good laboratory practice, and other
scientific requirements set by EPA.
Moreover, if EPA determines that
industrial standards, such as the
workplace standards set by OSHA,
provide adequate protection under the
standard set by FIFRA for a particular
pesticide use pattern, applicator
exposure data may not be required for
that use pattern.
XVII. Data Requirements Not Affected
by this Proposal
EPA is proposing today a major
restructuring of current part 158 for
clarity and comprehensibility, but is not
proposing substantive revisions to all
portions of current part 158. Several
specific sections of part 158 may be
revised in the future, including the
following:
• Section 158.440 Spray drift data
requirements
• Section 158.640 Product
performance data requirements
• Section 158.690 Biochemical
pesticide data requirements
• Section 158.740 Microbial pesticide
data requirements
In addition, the Agency intends later
to propose other changes to current part
158, including the creation of separate
subparts to address data requirements
for the registration of antimicrobial
pesticide products and biochemical and
microbial pesticide products.
In order to accommodate the
restructuring of part 158 without
creating confusion for readers of this
proposal, EPA proposes to revise the
Table of Contents for part 158 to include
the future subpart designations for these
sections, and to add and reserve the
appropriate subparts in the revised part
158. The regulatory text of the sections
for which no change is proposed is not
reprinted in this proposal, and EPA is
not requesting comment on any aspect
of those unchanged data requirements.
If EPA does not issue these other
proposals before this proposal is issued
in final form, EPA will transfer the
contents of the current part 158 that are
not specifically addressed in this
proposal into their new subparts,
essentially unchanged. This step will be
necessary because at that time subpart D
which currently contains the sections
will be redesignated to contain only
product chemistry data requirements.
At the same time, EPA expects to
make needed technical revisions to
accommodate the new structure of part
158, without changing the substance of
the data requirements. For example,
section numbers will be assigned within
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to make this a general requirement for
all food-use pesticides.’’ (Ref. 1, p. 156).
• The report strongly encouraged
further work in the area of
developmental neurotoxicity.
‘‘Neurodevelopmental effects must be
part of the battery of end points
evaluated for toxicants.... Regulatory
development of a battery of consensus
tests will be .... necessary to ensure
XVIII. Peer Review
public confidence.’’ (Ref. 1, p. 110).
• The report suggested that the
A. National Research Council
Agency impose a requirement for
Recommendations
developmental toxicity for all classes of
In 1988, Congress directed the
pesticides registered for food uses. ‘‘A
National Academy of Sciences to study
modified reproductive/developmental
the vulnerability of infants and children toxicity study in the rat is suggested for
to dietary pesticides. The National
registration of all food-use pesticides....
Research Council was charged with
the committee recommends that this
‘‘examining scientific and policy issues
study be made a requirement for
faced by government agencies,
registration for all food-use pesticides.’’
particularly EPA, in regulating pesticide (Ref. 1, p. 155)
residues in foods consumed by infants
Other recommendations by the
and children.’’ In so doing, the NRC was Council included an in utero chronic
asked to:
toxicity/carcinogenicity test and the
• Examine the adequacy of current
inclusion of thyroid function into
risk assessment policies and methods;
existing tests. The Council also
• Assess information on the dietary
recommended a conditional
intakes of infants and children;
requirement for visual system toxicity
• Evaluate data on pesticide residues
testing, especially for cholinesterasein the food supply;
inhibiting compounds. These
• Identify toxicological issues; and
recommendations were brought to the
• Develop relevant research priorities. SAP and are discussed in Unit XVIII.B.
The Council reviewed current EPA
Other recommendations arising from the
practices and data requirements related
NRC report are still being considered for
to dietary risk assessment as well as
use on a case-by-case basis, as
testing modifications planned by the
summarized in the list of potential data
Agency. In 1993, the NRC issued a
requirements in Unit XI.D.
report (Ref. 1) entitled, ‘‘Pesticides in
B. FIFRA Science Advisory Panel
the Diets of Infants and Children.’’ The
In 1994, EPA held a 2-day meeting of
panel of experts concluded that, at that
the SAP to review the Agency’s
time, EPA approaches to data
proposed amendments to the data
requirements and risk assessments
emphasized the evaluation of the effects requirements for pesticide registrations
contained in 40 CFR part 158. The SAP
of pesticides in mature animals and, in
was asked to comment on each data
general, there was a lack of data on
requirement and identify, in their
pesticide toxicity in developing
opinion, which ones were necessary to
organisms.
fully and thoroughly evaluate the
The Council was not specifically
potential hazard of a chemical
charged with evaluating the data
compound and which ones were not
requirements as proposed today.
intrinsically useful in providing
Nonetheless, the Council made
practical scientific information. The
recommendations with respect to
revisions presented to the Panel, i.e., the
regulatory needs for data development
changes to the data requirements
that EPA is today proposing:
presented in this notice, were generally
• The report stated the need to
endorsed. Data requirements, as they
investigate the effects of pesticide
related to the application of the newly
exposure on immunotoxic responses in
mandated FFDCA safety factor, were
infants and children. ‘‘Analysis of the
also presented to the SAP in 1998 and
impact or toxicity of agricultural
1999. No new issues of a scientific
chemicals on the immune system is
nature have surfaced since these
essential. Regulatory development of a
meetings that would warrant SAP
battery of consensus tests is critical to
review. Copies of documents prepared
protect the developing immune
for the SAP and the final reports from
system.’’ (Ref. 1, p. 110).
each of the meetings can be found on
• The report supported the Agency’s
EPA’s web site at https://www.epa.gov/
proposed requirement for acute and
scipoly/sap. A copy of the 1994 final
subchronic neurotoxicity testing for
report also can be found in the public
pesticides and ‘‘encourages the agency
the new subpart; cross-references will
be updated; and footnotes will be
restructured as test notes and given
Arabic numerals, e.g., footnote (iv)
would become test note (4). EPA
believes these minor technical revisions
can be accommodated within the final
rule without specific proposal at this
time.
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docket for this rulemaking. The Panel’s
comments and conclusions are
summarized below.
1. Terrestrial and aquatic nontarget
organisms. In 1994, EPA requested
comment from the SAP on the merits of
requiring sediment and pore water
toxicity testing to its data requirements
for pesticides and whether the Agency’s
proposed tiered approach is
appropriate. The Agency also requested
comment on proposals to add additional
testing requirements. The Panel
believed that the addition of sediment
and pore water testing would provide
additional useful information and the
proposed tiered approach appeared to
provide a reasonable sequence of tests.
Further, the Panel supported the
requirement of both fish early lifestage
and invertebrate life-cycle tests for
certain aquatic and terrestrial uses and
the addition of granular and other
typical end-use products in avian oral
testing. The SAP agreed that the avian
reproduction test be expanded to
include all outdoor uses, but the test
protocol should be flexible in order to
reflect more accurately the
environmental fate of the chemical.
2. Toxicology. At the 1994 meeting,
EPA put forth the revisions to part 158
that included acute and subchronic
neurotoxicity studies, as well as
immunotoxicity studies in adults as first
tier tests. The Agency also included in
its presentation several studies
recommend by the NRC in their 1993
report. In its final report the SAP offered
comments and cited some specific
recommendations for improvement.
For the few studies the SAP did not
endorse, the Panel could not find a
significant scientific justification for the
routine use of the data. For example,
due to increased concerns about the
potential effects of pesticides on the
visual system, special visual system
testing was suggested by the NRC as a
data requirement. The Panel, however,
concluded that there was insufficient
scientific evidence to require special
visual system testing. After reviewing its
toxicology data base, at that time, for
visual effects, i.e., pathological damage
to the eye, EPA found that only five
organophosphates and one carbamate
exhibited visual effects. Cholinesteraseinhibition was considered the more
sensitive endpoint and using this as an
endpoint would be protective of the
supposed visual system effects.
Therefore, since the Agency already was
regulating these pesticides at much
lower doses than those expected to
produce adverse effects on visual
systems, it concluded that there was
already adequate protection from any
possible visual effects.
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Similarly, the SAP did not
recommend additional testing on in
utero exposure in carcinogenicity
studies, a 90–day drinking water study,
nor testing for thyroid function or other
endocrine effects in routine chronic
studies. Regarding the need to examine
the potential perinatal or postnatal
toxicity from pesticide residues in the
diets of children, the Panel did not
believe a special new study was
warranted. In each of these instances the
SAP thought it was premature to
include a data requirement in part 158
until methods have been scientifically
validated and guidelines developed, and
the data could be scientifically
evaluated to yield meaningful results.
In 1998, EPA presented the SAP an
issues paper on the use of the FQPA
safety factor to address the special
sensitivity of infants and children to
pesticides. Here the Agency presented
the Panel another, and more detailed,
discussion of the toxicology data base,
especially in regard to developmental
neurotoxicity testing criteria and
requirements. The developmental
neurotoxicity study specifically was put
in the context of the appropriateness of
a possible additional safety factor. At
that time, the SAP did not reach a
consensus on whether this study should
be routinely or conditionally required.
The issue of what is a complete and
reliable data set was brought before the
SAP again in May 1999. The majority of
the Panel supported the Agency’s
approach to applying data requirements
but advised the Agency to revisit the
first tier toxicology data base every few
years to update data requirements as
needed. The Panel also agreed with the
Agency in the need to require the
neurotoxicity battery of studies,
including developmental neurotoxicity
testing, for new conventional high
exposure, i.e., food use, pesticide
registrations.
3. Nontarget plant protection. In 1994,
EPA presented the SAP with its plant
protection data requirements. The SAP
was asked to provide specific
information or guidance on a number of
issues. The SAP supported the
elimination of the seed germination test.
In addition, the Panel recommended
changing the test substance from the
technical grade active ingredient to the
typical end-use product for terrestrial
plant studies and eliminating Tier I
testing of phytotoxins on terrestrial
plants.
4. Occupational and residential
exposure. Data requirements for
exposure assessment for both
applicators and those exposed to
pesticides post-application were
presented to the SAP in 1994. The
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Agency did not present any specific
questions on exposure assessment for
application or post-application
exposure, and, by comparison to other
subparts addressed in the response, the
SAP had relatively few comments on
data revisions for exposure monitoring
and assessment. Several areas of
clarification were advised, especially
with regard to what data would be
needed for what use patterns. It was also
suggested that the Agency work with
representatives from industry to develop
a clear set of guidelines for both
residential and occupational settings.
Working in collaboration with Health
Canada, and OECD, EPA drafted
guidelines for post-application
exposures studies. They were peerreviewed by EPA’s Office of Research
and Development, the California
Department of Pesticide Regulation,
representatives from academia, and the
American Crop Protection Association.
The Agency presented its postapplication exposure guidelines and
standard operating procedures to the
SAP in 1998 and again in 1999. In 1999,
the SAP approved and commended the
Agency for making significant strides
toward developing scenario-based
residential and non-occupational
exposure assessments that are
sufficiently conservative as to not
underestimate exposures. (Ref. 11)
5. Environmental fate. Three of the
significant changes that the Agency is
proposing for the environmental fate
data requirements, i.e., conditionally
requiring aerobic soil metabolism and
terrestrial field dissipation for aquatic
uses involving sites that are
intermittently dry, and conditionally
requiring ground water monitoring for
terrestrial and forestry use, were
presented to the SAP at the 1994
meeting. The SAP endorsed these
changes as well as the independent
laboratory validation of analytical
methods.
6. Residue chemistry. In 1994, EPA
presented the SAP with its residue
chemistry data requirements. While no
specific questions were directly posed
to the Panel, the SAP made a few
comments. The SAP endorsed the
independent laboratory validation of
analytical methods, the establishment of
a separate data requirement for
multiresidue methodology, and a
requirement for storage stability data. In
addition, the Panel supported the
Agency’s efforts to identify the
circumstances under which single
serving analyses would be needed for
acutely toxic pesticides.
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XIX. International Harmonization of
Data Requirements
EPA is working closely with other
countries toward greater uniformity in
testing, reviewing and evaluating
pesticides. The benefits of international
regulatory cooperation on pesticides are
potentially great: improved science
through greater information exchange,
and reduced regulatory and resource
burdens on national governments and
regulated parties through harmonized
pesticide registration review. Over the
last several years, substantial progress
has been made toward international
cooperation on pesticide regulatory
review. Member countries of the OECD,
including the United States, have agreed
upon harmonized guidance for the
formats of industry data submissions
(dossiers) and country data review
reports (monographs). Countries now
frequently exchange pesticide reviews
or consult with one another on key
technical aspects of a review. EPA has
worked jointly with Canada, dividing
up detailed evaluation work on a
number of pesticides. The Agency has
entered into information exchange and
comparative review arrangements on a
pilot basis with other countries, as well.
The objective of these work sharing
arrangements has been to pool scientific
knowledge and to use resources in the
most efficient way possible.
As the international regulatory
community works toward greater
harmonization on pesticide review,
attention has turned to data
requirements, how they compare from
one country to another and what can or
should be done to establish common
requirements. To the extent that data
requirements for pesticide registration
are similar, sharing reviews and
comparing evaluations is easier and
more meaningful. Establishing similar
requirements also can reduce the
resources that must be spent to conduct
testing. Requirements that differ
considerably from one country to
another can mean that registrants who
are looking to register a pesticide in
more than one country must conduct
many different studies to satisfy all the
various national requirements.
The United States and Canada have
worked together to harmonize data
requirements across all disciplines. Data
requirements and protocols for the two
countries have been carefully compared.
The data requirements proposed in this
document represent U.S. national
requirements but they reflect extensive
consultation with Canada and are
harmonized with Canada’s requirements
to a high degree. The two countries plan
to continue to work together to keep
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data requirements for all disciplines as
similar as possible.
OECD Member countries have had
discussions about harmonizing data
requirements within the OECD
community. The pesticide industry took
on the complex task of looking at data
requirement differences among Member
countries to identify areas that might
benefit from harmonization. They
presented their preliminary findings to
the OECD Working Group on Pesticides
meeting in June 2001. They reported,
consistent with the positions of
scientific reviewers in OECD Member
countries, that toxicology data
requirements are quite similar across
countries. Issues can arise sometimes,
however, because study protocols or
guidelines used to generate the studies
to meet the requirements are not always
harmonized. In other words, a particular
study requirement might be the same
from one country to the next, but the
study submitted to meet the
requirement can run into problems if
done according to a protocol that is
acceptable in one country but not
another. Overall, however, it appears
that reasonable harmonization has been
achieved for toxicology studies done
according to OECD Guidelines revised
since 1997. This does not mean that
there is no room for additional
harmonization work on toxicology data
requirements and study guidelines, but
rather that there are other testing areas
where there is much less consistency on
data requirements and study protocols
across countries.
Ecotoxicological and environmental
fate studies present a particular
challenge for harmonization. Data
requirements in these areas can differ
considerably from one country to
another depending upon how countries’
tiered approaches to data requirements
are applied. National data requirements
have to be tied to national use patterns
and environmental and ecological
conditions. A reliable environmental
hazard assessment, for example, must be
based on studies that accurately reflect
the climate, soil types and agricultural
practices of the country doing the
assessment. Because ecological and
environmental studies must be
representative of national conditions to
adequately support national risk
assessments, harmonization of data
requirements and study protocols for
these types of studies can be difficult.
Harmonization can require extensive
dialogue between scientists to
determine which data requirements can
act as common requirements.
Harmonization can also involve
protocol/guideline development or
revisions in order for the studies
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produced to meet common data
requirements to be widely accepted.
XX. Research Involving Human
Subjects
In the United States, all research with
human subjects conducted or supported
by the Federal government is governed
by a set of regulations referred to as the
Common Rule. The Common Rule
contains requirements designed to
protect human subjects of research and
to ensure that they are treated ethically.
EPA, along with 16 other federal
departments and agencies, promulgated
the Common Rule in 1991. See 40 CFR
part 26 (EPA’s Common Rule). In all of
the scientific research with human
subjects conducted or supported by
EPA, the Agency has been and remains
committed to full compliance with the
Common Rule
Both the current version of part 158
and the version of part 158 being
proposed contain requirements for the
conduct of studies that involve testing
with human participants. These studies
include: metabolism and
pharmacokinetic studies, biological
monitoring studies, human exposure
studies, and insect repellent efficacy
studies. It should be noted that neither
the current nor proposed version of the
part 158 contains a provision that
requires testing of human participants
in a study designed to identify or
quantify a toxic endpoint. If studies
required under part 158 were conducted
or supported by EPA (or another Federal
agency), they would be subject to the
Common Rule. Although the Common
Rule applies only to research conducted
or supported by Federal agencies, EPA
recognizes that many public and private
research and academic institutions and
private companies, both in the United
States and in other countries, including
non-federal U.S. and non-U.S.
governmental organizations, have their
own specific policies related to the
protection of human participants in
research.
EPA has been considering its policies
and rules regarding the conduct of
studies involving human participants by
organizations that are not part of the
Federal government and that do not
receive support from a Federal agency.
(These are referred to as ‘‘third party’’
researchers). On February 8, 2005 (70
FR 6661)(FRL–7695–4), EPA issued a
Federal Register Notice announcing that
it plans to conduct rulemaking to make
the provisions of the Common Rule, 40
CFR part 26, applicable to certain newly
conducted third-party human studies.
The Notice also indicated that EPA may
propose to adopt some or all of the
Department of Health and Human
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Services’ (DHHS) protections for
research with vulnerable populations.
The DHHS rules are contained in 45
CFR part 46, subparts B (pregnant
women, human fetuses, and neonates),
C (prisoners), and D (children) and
apply when members of these groups
are being considered as potential
participants in covered research.
XXI. ILSI Work on New Toxicity
Paradigm
The Health and Environmental
Sciences Institute (HESI)/International
Life Sciences Institute initiated a project
in 2001 titled ‘‘Developing Strategies for
Agricultural Safety Evaluation.’’ The
purpose of this project was to bring
together scientific experts from
government, academia and industry,
including the international community
to determine whether the current testing
paradigm for pesticide chemicals could
be made more efficient and accurate.
Agency scientists from EPA’s Office of
Pesticide Programs and Office of
Research and Development are involved
in this project. The HESI technical work
groups have developed a tiered
approach that takes into account the
toxicological properties and the use
pattern of the chemicals, and attempts
to minimize the number of animals
necessary to produce a thorough health
assessment of the chemicals of interest.
The HESI reports are anticipated to be
submitted for publication in the Journal
Critical Reviews and Toxicology, April
2005. The draft HESI papers can
currently be viewed in PDF format at
https://hesi.ilsi.org/publications/
pubslist.cfm?publicationid=578. Once
the reports are published (anticipated
for summer 2005), the Agency will
consider the HESI tier approach, as well
as other available proposals on
toxicology testing including the ongoing
National Academy of Sciences project
on the future of toxicology testing, to
determine what revisions to current
testing guidelines and data requirements
may be appropriate. Before considering
regulatory approaches, the Agency will
need to develop scientific position
papers concerning the new approach for
Agency internal and external review
(including review by the FIFRA Science
Advisory Panel), and public comment.
Regulatory changes will be made, as
needed, to keep the data requirements
current, as stated in proposed
§ 158.30(b).
Information on the HESI project can
be found at the following website: http:/
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/hesi.ilsi.org/index.cfm?pubentityid=55.
Information on the NAS project can be
found at the following website: https://
www4.nas.edu/webcr.nsf/
5c50571a75df494485256a95007 a091e/
f6b42dd0563b352e85256e5d0007281e.
XXII. Animal Welfare Concerns
The Agency is committed to the
development and use of alternative
approaches to animal testing. The
Agency understands many people’s
concern about the use of animals for
research and data development
purposes. EPA has received comments
concerning the use of new and revised
test methods which would reduce the
number of test animals in studies, or
refine procedures to make them less
stressful to animals. Where testing is
needed to develop scientifically
adequate data, the Agency is committed
to reducing or replacing, wherever
possible, the number of animals used for
testing by incorporating in vitro (nonanimal) test methods or other alternative
approaches that have been scientifically
validated and have received regulatory
acceptance. EPA considers these goals
and commitments to be important
considerations in developing health
effects data, consistent with the
essential need to conduct scientifically
sound chemical hazard/risk assessments
in support of the Agency’s mission.
Taking into consideration principles
of sound science and the requirements
of FIFRA to protect humans (including
sensitive subpopulations) and the
environment from unreasonable
uncertainty of no harm from pesticide
exposure, the Agency is committed to
avoiding unnecessary or duplicative
animal testing. For example, currently
EPA accepts data on the pH of a
chemical as a screen to judge whether
the chemical may be corrosive to the eye
or skin. Making this determination
avoids actual testing on animals. Many
long-term studies can be combined so
that several toxicological end-points can
be discerned from fewer studies. The
Agency already has bridging and
batching policies in place to allow the
use of acute toxicity, sensitization, or
irritation test data on products to be
used to support other products. At
EPA’s initiative, these policies have
been incorporated into the new Globally
Harmonized System for Classification
and Labeling.
The Agency plays an important role
in the Federal Interagency Committee
for the Validation of Alternative
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Methods (ICCVAM) (https://
iccvam.niehs.nih.gov/home.htm).
ICCVAM, a standing committee made
up of 15 federal agencies and
established through the National
Institute of Environmental Health
Sciences, which works to:
1. Encourage the reduction of the
number of animals used in testing.
2. Seek opportunities to replace test
methods requiring animals with
alternative test methods when
acceptable alternative methods are
available.
3. Refine existing test methods to
optimize animal use when there is no
substitute for animal testing.
ICCVAM convenes independent peer
review panels to evaluate specific
proposed test methods and has
developed consensus criteria for judging
the validation status of test methods.
Guideline 870.1100 references the use
of appropriate alternative test protocols
as a means of reducing the number of
animals used to evaluate acute effects of
chemical exposure. Yet the Agency and
the scientific community also recognize
that test guidelines are designed to be
updated and supplemented frequently.
As new tests and test batteries are
validated, the Agency presents them to
the SAP. The Agency considers the
SAP’s determination of the reliability of
the test guidelines and their
applicability to meeting its regulatory
needs under FIFRA. After SAP review,
the Agency is planning to incorporate
validated in vitro screening data for skin
corrosion to its test guidelines. As other
appropriate alternative or in vitro
methods become available, they will
continue to be added to the test
guidelines.
XXIII. Summary of Changes Being
Proposed
Table 3 contains a line-by-line listing
of every data requirement contained in
current part 158, as well as new
requirements proposed today, organized
in the order of the proposed new
subparts D through U. Columns 1 and 2
contain Pesticide Assessment Guideline
numbers and current titles, respectively.
Columns 3 and 4 contain OPPTS
Harmonized Guidelines numbers and
proposed titles, respectively. Column 5
contains an explanation of the changes
proposed for each requirement, or that
no change is proposed.
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TABLE 3.—PART 158: PROPOSED CHANGES TO DATA REQUIREMENTS1
Guideline
No.
Current requirement
Guideline No.
Proposed requirement
Change
Subpart D—Product Chemistry and Guideline No.
Product Identity and Composition
61–1
Product composition
830.1550
Product identity and composition
No changes.
61–2
Description of materials
produce the product
830.1600
Description of materials used to
produce the product
No changes.
61–2
Description of production process
830.1620
Description of production process
No changes.
61–2
Description of formulation process
830.1650
Description of formulation process
No changes.
61–2
Discussion of formulation of impurities
830.1670
Discussion of formulation of impurities
No changes.
62–1
Preliminary analysis
830.1700
Preliminary analysis
No changes.
62–2
Certified limits
830.1750
Certified limits
No changes.
62–3
Enforcement analytical method
830.1800
Enforcement analytical method
No changes.
64–1
Submittal of samples
830.1900
Submittal of samples
No changes.
used
to
Physical and Chemical Properties
63–2
Color
830.6302
Color
No changes.
63–3
Physical state
830.6303
Physical state
No changes.
63–4
Odor
830.6304
Odor
No changes.
63–5
Melting point
830.7200
Melting point/melting range
No changes.
63–6
Boiling point
830.7220
Boiling point/boiling range
No changes.
63–7
Density, bulk density, or specific gravity
830.7300
Density/relative
density
Clarified test note to better identify
when this test requirement is applicable.
63–8
Solubility
830.7840
830.7860
Water solubility
No changes.
63–9
Vapor pressure
830.7950
Vapor pressure
Clarified test note to better identify
when this test requirement is applicable.
63–10
Dissociation constant
830.7370
Dissociation constants in water
Clarified test note to better identify
when this test requirement is applicable.
63–11
Octanol/water partition coefficient
830.7550
830.7560
830.7570
Partition coefficient (n-octanol/
water)
Changed from ‘‘conditionally required’’
to ‘‘required.’’
63–12
pH
830.7000
pH
No changes.
63–13
Stability
830.6313
Stability to normal and elevated
temperatures, metals, and
metal ions
Changed from ‘‘required’’ to ‘‘conditionally required.’’
63–14
Oxidizing or reducing action
830.6314
Oxidation/reduction:
incompatability
No changes.
63–15
Flammability
830.6315
Flammability
No changes.
63–16
Explodability
830.6316
Explodability
Changed from ‘‘required’’ to ‘‘conditionally required.’’
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TABLE 3.—PART 158: PROPOSED CHANGES TO DATA REQUIREMENTS1—Continued
Guideline
No.
Current requirement
Guideline No.
Proposed requirement
Change
63–17
Storage stability
830.6317
Storage stability
No changes.
63–18
Viscosity
830.7100
Viscosity
No changes.
63–19
Miscibility
830.6319
Miscibility
No changes.
63–20
Corrosion characteristics
830.6320
Corrosion characteristics
No changes.
63–21
Dielectric breakdown voltage
830.6321
Dielectric breakdown voltage
No changes.
None
830.7050
UV/visible light absorption
Proposed requirement.
None
830.7520
Particle size, fiber length, and
diameter distribution
Proposed conditional requirement.
Subpart E—Nontarget Organisms Data Requirements
Avian and Mammalian Testing
71–1
Avian oral LD50
850.2100
Avian oral toxicity
Added testing on a second species
(passerine) for some uses. Expanded requirement to include testing with the TEP. Clarified test note
to better identify when this test requirement is applicable.
71–2
Avian dietary LC50
850.2200
Avian dietary toxicity
Changed from ‘‘conditionally required’’
to ‘‘not required’’ for greenhouse
and indoor uses. Added a conditional requirement for testing one
avian species for aquatic nonfood
residential uses. Data on a second
avian species may also be required.
71–3
Wild mammal toxicity
850.2400
Wild mammal toxicity
Clarified test note to better identify
when this test is applicable.
71–4
Avian reproduction
850.2300
Avian reproduction
Changed from ’’conditionally required’’
to ‘‘required’’ for terrestrial, aquatic
food, aquatic nonfood outdoor, forestry, and residential outdoor uses.
71–5
Simulated or actual field testing-mammals and birds
850.2500
Simulated or actual field testing
Expanded conditional requirement to
terrestrial feed and aquatic nonfood
outdoor uses. Added independent
laboratory validation of methods.
None
850.1735
850.1740
Whole sediment—acute invertebrates (freshwater and marine)
Proposed conditional requirement.
None
None
Whole sediment—chronic invertebrates (freshwater and marine)
Proposed conditional requirement.
Sediment Testing
Nontarget Insect Testing
141–1
Honey bee acute contact LD50
850.3020
Honey bee acute contact toxicity
Changed from ‘‘conditionally required’’
to ‘‘required’’ for all terrestrial,
aquatic food, aquatic nonfood outdoor, forestry, and residential outdoor uses.
141–2
Honey bee—toxicity of residues on foliage
850.3030
Honey bee—toxicity of residues
on foliage
Clarified test note.
141–4
Honey bee subacute feeding study
141–4
Honey bee subacute feeding
study
Eliminated requirement.
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TABLE 3.—PART 158: PROPOSED CHANGES TO DATA REQUIREMENTS1—Continued
Guideline
No.
Current requirement
Guideline No.
Proposed requirement
Change
850.3040
Field testing for pollinators
Expanded conditional requirement to
terrestrial feed and aquatic nonfood
(outdoor and residential) uses.
141–5
Field testing for pollinators
142–1
Acute toxicity to aquatic insect
142–1
Acute toxicity to aquatic insect
No changes.
142–1
Aquatic insect life-cycle study
142–1
Aquatic insect life-cycle study
No changes.
142–3
Simulated or actual field testing for
aquatic insects
142–3
Simulated or actual field testing
for aquatic insects
No changes.
143–1
143–2
143–3
Nontarget insect testing—predators
and parasites
143–1
143–2
143–3
Nontarget insect testing—predators and parasites
No changes.
Aquatic Organism Testing
72–1
Freshwater fish LC50
850.1075
Freshwater fish toxicity
Added conditional requirement for a
second species of fish for greenhouse and indoor uses. Added testing requirement using the TEP.
72–2
Acute LC50 freshwater invertebrates
850.1010
Acute toxicity freshwater invertebrates
No changes
72–3
Acute LC50 estuarine and marine organisms
850.1025
850.1035
850.1045
850.1055
850.1075
Acute toxicity estuarine and
marine organisms
Changed from ‘‘conditionally required’’
to ‘‘required’’ for terrestrial, aquatic
(food and nonfood outdoor), residential outdoor, and forestry uses;
changed the aquatic nonfood residential use to ‘‘not required.’’
72–4
Fish early-life stage and Aquatic invertebrate life-cycle
850.1300
Aquatic invertebrate life-cycle
(freshwater)
Changed from ‘‘conditionally required’’
to ‘‘required’’ for terrestrial, aquatic
(food and nonfood outdoor), and
forestry uses. Changed the aquatic
nonfood residential use to ‘‘not required.’’
72–4
None
850.1350
Aquatic invertebrate life-cycle
(saltwater)
Expanded the conditional requirement
to include terrestrial feed and
aquatic nonfood outdoor uses.
Changed the aquatic nonfood residential use to ‘‘not required.’’
72–4
None
850.1400
Fish early-life
water)
Changed from ‘‘conditionally required’’
to ‘‘required’’ for terrestrial, aquatic
(food and nonfood outdoor), and
forestry uses. Changed the aquatic
nonfood residential use to ‘‘not required.’’
72–4
None
850.1400
Fish early-life stage (saltwater)
Expanded the conditional requirement
to include terrestrial feed and
aquatic nonfood outdoor uses.
Changed the aquatic nonfood residential use to ‘‘not required.’’
72–5
Fish life-cycle
850.1500
Fish life-cycle
No changes.
72–6
Aquatic organism accumulation
850.1710
850.1730
850.1850
Aquatic
organisms
bioavailability/ biomagnification/toxicity tests
Changed from ‘‘conditionally required’’
to ‘‘not required’’ for aquatic
nonfood residential and residential
outdoor uses.
72–7
Simulated or actual field testing—
aquatic organisms
850.1950
Simulated or actual field testing—aquatic organisms
Changed from ‘‘conditionally required’’
to ‘‘not required’’ for aquatic
nonfood residential uses. Clarified
that the conditional requirement applies to turf use.
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TABLE 3.—PART 158: PROPOSED CHANGES TO DATA REQUIREMENTS1—Continued
Guideline
No.
Current requirement
Guideline No.
Proposed requirement
Change
Subpart F—Toxicology Data Requirements
Acute Testing
81–1
Acute oral toxicity—rat
870.1100
Acute oral toxicity—rat
Modified test substance.
81–2
Acute dermal toxicity
870.1200
Acute dermal toxicity
Modified test substance.
81–3
Acute inhalation toxicity—rat
870.1300
Acute inhalation toxicity—rat
No changes.
81–4
Primary eye irritation—rabbit
870.2400
Primary eye irritation—rabbit
Added testing using the TGAI to support end-use products.
81–5
Primary dermal irritation
870.2500
Primary dermal irritation
Added testing using the TGAI to support end-use products.
81–6
Dermal sensitization
870.2600
Dermal sensitization
Added testing using the TGAI to support end-use products.
81–7
Acute delayed neurotoxicity—hen
870.6100
Delayed neurotoxicity (acute)—
hen
No changes.
None
870.6200
Acute neurotoxicity—rat
Replaces current neurotoxicity battery.
Subchronic Testing
82–1
90–day Feeding—rodent
870.3100
90–day Feeding—rodent
Requirement modified to include 2 rodent species.
82–1
90–day Feeding—non-rodent
870.3150
90–day Feeding—non-rodent
No changes.
82–2
21–day Dermal
870.3200
21–day Dermal
Changed from ‘‘conditionally required’’
to ‘‘required’’ for all food uses. Not
required for nonfood uses.
82–3
90–day Dermal
870.3250
90–day Dermal
Changed from ‘‘conditionally required’’
to ‘‘required’’ for all nonfood uses.
82–4
90–day Inhalation—rat
870.3465
90–day inhalation—rat
No changes.
82–5
90–day Neurotoxicity—mammal
870.6200
90–day Neurotoxicity—rat
Changed from ‘‘conditionally required’’
to ‘‘required.’’
82–5
90–day Neurotoxicity—hen
870.6100
28–day Neurotoxicity—hen
Proposed conditional requirement.
Replaces 90–day neurotoxicity hen
study.
Chronic Testing
83–1
Chronic feeding—rodent and non-rodent
870.4100
Chronic feeding—rodent
non-rodent
and
No changes.
83–2
Oncogenicity—rat and mouse, preferred
870.4200
Carcinogenicity—rat
mouse, preferred
and
Changed name.
Proposed requirement
range finding studies.
toxpre-
to
perform
Developmental Toxicity and Reproduction
83–3
83–4
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870.3700
Prenatal developmental
icity—rat and rabbit,
ferred
Reproduction—2 generation
870.3800
Reproduction
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Testing required on a 2nd species for
food and nonfood uses.
Changed from ‘‘conditionally required’’
to ‘‘required’’ for nonfood uses
based on potential exposure.
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TABLE 3.—PART 158: PROPOSED CHANGES TO DATA REQUIREMENTS1—Continued
Guideline
No.
Current requirement
Guideline No.
None
Proposed requirement
Change
870.6300
Developmental neurotoxicity
Proposed conditional requirement. To
conduct
developmental
neurotoxicity testing utilizing information about the chemical and its
toxicity to develop a science—
based approach to testing.
Replaces current mutagenicity battery.
Mutagenicity Testing
84–2
Gene mutation
870.5100
Bacterial
assay
reverse
mutation
84–2
Structural chromosome aberration
870.5300
870.5375
In vitro mammalian cell assay
Replaces current mutagenicity battery.
84–4
Other genotoxic effects
870.5385
870.5395
In vivo cytogenetics
Replaces current mutagenicity battery.
Other mutagenicity studies
No changes.
Special Testing
85–1
General metabolism
870.7485
General metabolism
No changes.
85–2
Dermal penetration
870.7600
Dermal penetration
No changes.
86–1
Domestic animal safety
870.7200
Companion animal safety
No changes.
None
870.6500
Scheduled controlled operant
behavior
Replaces current neurotoxicity battery.
None
870.6850
Peripheral nerve function
Replaces current neurotoxicity battery.
None
870.6855
Neurophysiology:
evoked potentials
Replaces current neurotoxicity battery.
None
870.7800
Immunotoxicity
sensory
New requirement. Required for food
uses and nonfood uses.
Subpart J—Nontarget Plant Protection
121–1
Target area phytotoxicity
850.4025
Target area phytotoxicity
No changes.
Nontarget area phytotoxicity—Tier I
122–1
Seed germination/seedling
gence
emer-
850.4200
Seed germination
Eliminated requirement.
122–1
Seed germination/Seedling
gence
emer-
850.4100
Seedling emergence
Expanded requirement to include terrestrial food and feed, aquatic food,
and residential outdoor uses.
Changed test substance from TGAI
to TEP.
122–1
Vegetative vigor
850.4150
Vegetative vigor
Expanded requirement to include terrestrial food and feed, aquatic food,
and residential outdoor uses.
Changed test substance from TGAI
to TEP.
Eliminated requirement for data on
granular and bait formulations.
122–2
Aquatic plant growth
850.4400
850.5400
Aquatic plant growth
Expanded requirement to include terrestrial food and feed, aquatic food,
and residential outdoor uses.
850.4200
Seed germination
Eliminated requirement.
Nontarget area phytotoxicity—Tier II
123–1
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TABLE 3.—PART 158: PROPOSED CHANGES TO DATA REQUIREMENTS1—Continued
Guideline
No.
Current requirement
Guideline No.
Proposed requirement
Change
123–1
Seedling emergence
850.4225
Seedling emergence
Expanded conditional requirement to
include terrestrial food and feed,
aquatic food, and residential outdoor uses. Changed test substance
from TGAI to TEP.
123–1
Vegetative vigor
850.4250
Vegetative vigor
Expanded conditional requirement to
include terrestrial food and feed,
aquatic food, and residential outdoor uses. Changed test substance
from TGAI to TEP.
Eliminated requirement for data on
granular and bait formulations.
123–2
Aquatic plant growth
850.4400
850.5400
Aquatic plant growth
Expanded conditional requirement to
include terrestrial food and feed,
aquatic food, residential outdoor,
aquatic nonfood residential, and indoor uses.
124–1
Terrestrial field
850.4300
Terrestrial field
Expanded conditional requirement to
include terrestrial food and feed,
aquatic food, and residential outdoor uses. Added requirement for
independent method validation.
124–2
Aquatic field
850.4450
Aquatic field
Expanded conditional requirement to
include terrestrial food and feed,
aquatic food, and residential outdoor uses. Added requirement for
independent method validation.
Nontarget
area
phytotoxicity Tier III
Subpart K—Post-application Exposure
132–1
Foliar dissipation
875.2100
Dislodgeable foliar residue dissipation and turf transferable
residues
Revised testing criteria. Expanded
use sites to include testing for
greenhouses, nurseries, forests,
residential settings, and turf grass.
Changed from ‘‘conditionally required’’ to ‘‘required’’.
132–2
Soil dissipation
875.2200
Soil residue dissipation
Revised testing criteria. Expanded
use sites to include testing for
greenhouses, nurseries, forests,
and residential (conditionally required) settings.
None
875.2300
Indoor surface residue dissipation
Proposed requirement. Subject to revised testing criteria.
133–3
Dermal exposure
875.2400
Dermal exposure
Revised testing criteria. Expanded
use sites to include testing for
greenhouses, nurseries, forests,
residential settings, and turf grass.
Changed from ‘‘conditionally required’’ to ‘‘required’’.
133–4
Inhalation exposure
875.2500
Inhalation exposure
Revised testing criteria. Expanded
use sites to include testing for
greenhouses, nurseries, forests,
residential settings, golf courses,
and certain indoor environments.
Changed from ‘‘conditionally required’’ to ‘‘required.’’
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TABLE 3.—PART 158: PROPOSED CHANGES TO DATA REQUIREMENTS1—Continued
Guideline
No.
Current requirement
Guideline No.
Proposed requirement
Change
None
875.2600
Biological monitoring
Proposed conditional requirement.
Subject to revised testing criteria
None
875.2700
Product use information
Proposed requirement. Subject to revised testing criteria.
None
875.2800
Description of human activity
Proposed requirement. Subject to revised testing criteria.
None
875.2900
Data reporting and calculations
Proposed requirement. Subject to revised testing criteria.
None
875.3000
Nondietary ingestion exposure
Proposed requirement for residential
uses. Not required for occupational
uses. Subject to revised testing criteria
Subpart N–Environmental Fate
Degradation Testing
161–1
Hydrolysis
835.2120
Hydrolysis
Expanded conditional requirement to
include indoor food and nonfood,
and residential indoor uses.
161–2
Photodegradation in water
835.2240
Photodegradation in water
Clarified conditions for when study is
required.
161–3
Photodegradation on soil
835.2410
Photodegradation on soil
Changed from ‘‘conditionally required’’
to ‘‘required’’ for terrestrial food and
forestry uses. Expanded requirement to include terrestrial nonfood
uses.
161–4
Photodegradation in air
835.2370
Photodegradation in air
Expanded conditional requirement to
include all terrestrial, greenhouse,
forestry, and residential outdoor
uses.
Metabolism Testing
162–1
Aerobic soil metabolism
835.4100
Aerobic soil metabolism
New expanded conditional requirement to include aquatic uses where
the pesticide is applied to aquatic
sites that are intermittently dry.
162–2
Anaerobic soil metabolism
835.4200
Anaerobic soil metabolism
Reinserted. Erroneously omitted from
published CFR.
162–4
Aerobic aquatic metabolism
835.4300
Aerobic aquatic metabolism
Expanded requirement to include all
terrestrial and forestry uses.
162–3
Anaerobic aquatic metabolism
835.4400
Anaerobic aquatic metabolism
Expanded requirement to include all
terrestrial uses.
No changes.
Mobility Testing
163–1
Leaching and adsorption/desorption
835.1230
835.1240
Leaching
and
desorption
adsorption/
163–2
Volatility (Lab)
835.1410
Laboratory volatility
No changes.
163–3
Volatility (Field)
835.8100
Field volatility
No changes.
Dissipation Testing
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TABLE 3.—PART 158: PROPOSED CHANGES TO DATA REQUIREMENTS1—Continued
Guideline
No.
Current requirement
Guideline No.
Proposed requirement
Change
164–1
Soil
835.6100
Terrestrial field dissipation
Expanded conditional requirement to
include aquatic uses involving application to aquatic sites that are
intermittently dry. Merged with the
long-term field dissipation study.
Added independent laboratory validation of methods.
164–2
Aquatic (sediment)
835.6200
Aquatic field dissipation
Expanded conditional requirement to
include all terrestrial uses. Clarified
conditions for when study is required. Added independent laboratory validation of methods.
164–3
Forestry
835.6300
Forestry dissipation
Changed from ‘‘required’’ to ‘‘conditionally required.’’ Added independent laboratory validation of
methods.
164–4
Combination and tank mixes
835.6400
Combination and tank mixes
No changes.
164–5
Soil, long term
None
Merged with the terrestrial field dissipation study.
Accumulation Testing
165–1
Confined rotational crops
None
Moved to Subpart O—Residue Chemistry.
165–2
Field rotational crops
None
Moved to Subpart O—Residue Chemistry.
165–3
Accumulation in irrigated crops
None
Eliminated requirement.
165–4
Accumulation in fish
850.1730
Accumulation in fish
Clarified conditions for when study is
required.
165–5
Accumulation in aquatic nontarget organisms
850.1950
Accumulation in aquatic nontarget organisms
Expanded conditional requirement to
include all terrestrial uses.
None
835.7100
Ground water monitoring
Proposed conditional requirement.
Added independent laboratory validation of methods.
Subpart O—Residue Chemistry
Supporting Information
171–2
Chemical identity
860.1100
Chemical identity
No changes.
171–3
Directions for use
860.1200
Directions for use
No changes.
171–6
Proposed tolerance
860.1550
Proposed tolerance
No changes.
171–7
Reasonable grounds in support of the
petition
860.1560
Reasonable grounds in support
of the petition
No changes.
171–13
Submittal of
standards
860.1650
Submittal of analytical
erence standards
No changes.
860.1300
Nature of the residue in plants
analytical
reference
ref-
Nature of the Residue
171–4
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TABLE 3.—PART 158: PROPOSED CHANGES TO DATA REQUIREMENTS1—Continued
Guideline
No.
Proposed requirement
Change
860.1300
Nature of the residue in animals
Clarified test substance.
Expanded requirement to include:
1. Testing whenever treated crops
used for feed.
2. Cases when a pesticide is applied
to livestock premises or is used in
livestock drinking water.
Eliminated requirement for residential
outdoor use.
Residue analytical method
860.1340
Residue analytical method
Clarified test substance. Added independent laboratory validation requirement.
None
860.1360
Multiresidue method
Previously part of the residue analytical method study.
None
860.1380
Storage stability data
Previously part of the magnitude of
the residue studies.
171–4
Crop field trials
860.1500
Crop field trials
No changes.
171–4
Processed food/feed
860.1520
Processed food/feed
Clarified test substance.
171–4
Meat/milk/poultry/eggs
860.1480
Meat/milk/poultry/eggs
Clarified test substance.
Clarified conditions for when study is
required.
171–4
Potable water
860.1400
Potable water
Clarified test substance.
171–4
Fish
860.1400
Fish
Clarified test substance.
171–4
165–3
Irrigated crops
860.1400
Irrigated crops
Clarified test substance.
171–4
Food handling
860.1460
Food handling
No changes.
171–5
Reduction in Residues
Anticipated residues
Name change. Expanded requirement
to include testing on a single serving.
165–1
Confined rotational crops
860.1850
Confined rotational crops
Moved from Environmental Fate data
requirements.
165–2
Field rotational crops
860.1900
Field rotational crops
Moved from Environmental Fate data
requirements.
Modified conditions for when study is
required.
171–4
Current requirement
Nature of the residue in animals
Guideline No.
Analytical Methods
171–4
Magnitude of the Residue Testing
Subpart U—Applicator Exposure
None
Dermal outdoor exposure
Proposed requirement.
Subject to new testing criteria.
None
875.1200
875.1600
Dermal indoor exposure
Proposed requirement.
Subject to new testing criteria.
None
875.1300
875.1600
Inhalation outdoor exposure
Proposed requirement.
Subject to new testing criteria.
None
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875.1600
875.1400
875.1600
Inhalation indoor exposure
Proposed requirement.
Subject to new testing criteria.
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TABLE 3.—PART 158: PROPOSED CHANGES TO DATA REQUIREMENTS1—Continued
Guideline
No.
Current requirement
Guideline No.
Proposed requirement
Change
None
Biological monitoring
Proposed conditional requirement.
Subject to new testing criteria.
None
875.1600
Data reporting and calculations
Proposed requirement.
Subject to new testing criteria.
None
1 If
875.1500
875.1600
875.1700
Product use information
Proposed requirement.
Subject to new testing criteria.
the study requirement is not identified as a ‘‘new requirement,’’ then the change has been required on a case-by-case basis.
XXIV. Public Comments Sought
EPA invites you to provide your
views on the various options as
proposed, other approaches, the
potential impacts of the various options
(including possible unintended
consequences), and any data or
information that you would like the
Agency to consider during the
development of the final rule. In
addition, the Agency welcomes specific
comments on the following topics of
particular interest to the Agency:
1. Ensuring high quality data to meet
EPA’s mandates. These proposed
revisions to the pesticide data
requirements in part 158 are intended to
ensure that the Agency has the data
required to support a determination of
‘‘reasonable certainty of no harm’’ under
FFDCA and are an integral part of the
data needed for an ‘‘unreasonable
adverse effects’’ determination under
FIFRA. In developing this proposed
rule, EPA has evaluated its data needs
to conduct the significantly expanded
risk assessments required by new
statutory mandates. EPA believes that
this proposal describes the data needed
(and only the data needed) for this
purpose. The Agency welcomes your
specific comments on the need for,
value of, and any alternatives to, the
data requirements described in this
document to meet its mandates.
2. Ensuring a sound scientific basis
that is consistent with advances in
scientific understanding. These
proposed revisions are intended to
ensure that the data requirements in
part 158 reflect current scientific
understanding and scientific advances
since they were issued in 1984. As
discussed throughout this document,
and summarized in Unit XVIII, many of
these proposed revisions have been
presented to, and reflect the advice and
recommendations of the NRC or SAP.
Issues and related materials that are
brought by EPA to the SAP undergo a
public review and comment opportunity
before the SAP issues its report with
recommendations to the Agency. The
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Agency welcomes your comments on
the scientific basis of this proposed rule.
3. Improving the transparency and
usefulness of part 158. Many of the
revisions proposed in this document are
intended to improve the usefulness of
part 158 in identifying the specific data
requirements that could apply to a
particular pesticide application. As with
the original design of part 158 in 1984,
given the variety in pesticide chemistry,
exposure, and hazard, these revisions
are intended to retain a fair amount of
flexibility in their application, while
improving clarity and transparency to
the regulated community. In future
efforts to improve clarity and
usefulness, EPA intends to issue
separate revisions addressing
antimicrobial pesticides, biochemical
and microbial pesticides, which will
highlight data requirements that apply
to those pesticides. The Agency
welcomes your specific comments on
the Agency’s efforts in this respect as
described in this document and your
specific suggestions for further
improvements. In particular, the Agency
welcomes public comment on the
clarity of the proposed data
requirements and the relationship
between the proposed data requirements
and EPA’s statutory determinations.
4. Estimating costs and benefits. As
summarized in Unit XXVII.A., the
Agency has prepared a qualitative
assessment of the benefits of the
proposed rule, and estimates the
potential annual costs to the regulated
community of approximately $50
million more than current data
requirements as described in part 158.
The Agency believes that the costs of
the rule are justified by the benefits
from enhanced protection of human
health and the environment. The
Agency welcomes comments on its
economic analysis of the proposed rule,
as well as on its underlying assumptions
and economic data. Describe any
assumptions and provide any technical
information and/or data that you used.
If you estimate potential costs or
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burdens, explain how you arrived at
your estimate in sufficient detail to
allow for it to be reproduced. As
indicated in Unit V.B.1, EPA’s
underlying principle in developing the
proposed revisions has been to strike an
appropriate balance between the need
for adequate data to make the statutorily
mandated determinations and informed
risk management decisions, while
minimizing data collection burdens on
pesticide applicants. The Agency
welcomes your specific comments on
the Agency’s efforts described in this
document and your specific suggestions
for further improvements.
5. Enhancing international
harmonization. EPA is active in a
number of scientific harmonization and
regulatory coordination efforts through
international and regional organizations,
and directly with other countries, in
order to develop common or compatible
international approaches to pesticide
review and registration. In addition,
EPA has encouraged registrants to
coordinate data submissions in the three
NAFTA countries to facilitate joint
reviews. The Agency believes that these
proposed revisions reflect these efforts,
and welcomes your comments on this
specific point.
6. Reducing, replacing and refining
the use of animals in generating
required data. As discussed in Unit
XXII, where testing is needed to develop
scientifically adequate data, the Agency
is committed to reducing or replacing,
wherever possible, the number of
animals used for testing by
incorporating in vitro (non-animal) test
methods or other alternative approaches
that have been scientifically validated
and have received regulatory
acceptance. The Agency understands
that many people remain concerned
about the use of animals for research
and data development purposes, and
has received several requests for more
expeditious adoption of alternate
methods. The Agency plays an
important role in the Federal
interagency efforts to encourage the
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reduction of the number of animals used
in testing; seek opportunities to replace
test methods requiring animals with
alternative test methods when
acceptable alternative methods are
available; and refine existing test
methods to optimize animal use when
there is no substitute for animal testing.
Recognizing the different roles of data
requirements and test guidelines, the
Agency welcomes your specific
comments on its efforts to ensure that
the data requirements continue to
provide sufficient flexibility to allow for
the use of alternative approaches that
have been scientifically validated and
have received regulatory acceptance.
The Agency welcomes specific
recommendations on ways to reduce the
number of animals tested while still
allowing the Agency to meet its
statutory obligations.
XXV. References
The Agency has established an official
docket for this rulemaking under Docket
ID No. OPP–2004–0387. All of the
documents that have been included in
that docket are listed in the
‘‘EDOCKET’’ index available at https://
www.epa.gov/edocket. Select ‘‘Quick
Search’’ and then use the Docket ID No.
to access the index. The following is a
listing of the documents that are
specifically referenced in this proposed
rule. These documents, and other
supporting materials, are included in
the docket index. Please note that the
official docket includes the documents
located in the docket as well as the
documents that are referenced in those
documents. As indicated previously, not
all docket materials are available
electronically, but all publicly available
docket materials are available through
the Docket facility as described under
ADDRESSES.
1. National Research Council,
‘‘Pesticides in the Diets of Infants and
Children,’’ National Academy Press,
Washington, D.C., 1993.
2. Mineau et al., 2001. Pesticide Acute
Toxicity Reference Values for Birds,
Review of Environmental
Contamination and Toxicology, 170:
13–74.
3. U.S. Environmental Protection
Agency. 1998. EPA’s Contaminated
Sediment Management Strategy. EPA–
823–R–98–001. Office of Water, 4305,
Washington, D.C. https://www.epa.gov/
waterscience/cs/stratndx.html.
4. Bennett et al., Overview of Methods
for Evaluating Effects of Pesticides on
Reproduction in Birds., U.S. EPA,
Environmental Research Laboratory,
Corvalis, OR., EPA 600/3–91/048.
5. Bennet et al., 1990. Effects on the
Duration and Timing of Dietary Methyl
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Parathion Exposure on Bobwhite
Reproduction, Environmental
Toxicology and Chemistry, 9: 1473–
1480.
6. Bennett et al., 1991. Effects of
Dietary Exposure to Methyl Parathion
on Egg-laying and Incubation in
Mallards, Environmental Toxicology
and Chemistry, 10: 501–507.
7. Luster et al., 1992. Risk Assessment
in Immunotoxicology I. Sensitivity and
Predictability of Immune tests, Fundam.
Appl. Toxicol, 18: 200–210.
8. Luster et al., 1993. Risk Assessment
in Immunotoxicology II. Relationships
Between Immune and Host Resistance
Tests, Fundamental amd Applied
Toxicology, 21: 71–82.
9. USEPA (1990) 1990 OECD Ad Hoc
Meeting on Neurotoxicity Testing.
Summary Report. September 1990.
Eastern Research Group, MA.
10. Determination of the Appropriate
FQPA Safety Factor(s) in Tolerance
Assessment. Office of Pesticide
Programs, U.S. Environmental
Protection Agency, Washington D.C,
February, 2002.
11. FIFRA Scientific Advisory Panel.
SAP Report No. 99–03, May 25, 1999
FIFRA Scientific Advisory Panel
Meeting, May 25–27, 1999, held at the
Sheraton Crystal City Hotel, Arlington,
Virginia.
12. ILSI (2001) Developing strategies
for agricultural chemical safety
evaluation, a report from an April 22–
23, 2001 workshop. ILSI Health and
Environmental Sciences Institute. http:/
/hesi.ilsi.org/activities/
actslist.cfm?pubentityid
=8&pubactivityid=261 2001 draft).
13. USEPA (U.S. Environmental
Protection Agency), Pesticide
Assessment Guidelines, Subdivision F,
Hazard Evaluation: Human and
Domestic Animals, Series 84,
Mutagenicity, Addendum 9, Office of
Pesticides and Toxic Substances, EPA–
540/09–91–122, NTIS Publication No.
PB91–158394, Washington, DC, 1991.
14. K. Dearfield, A. Auletta, M.
Cimino and M. Moore, Considerations
in the U.S. Environmental Protection
Agency’s testing approach for
mutagenicity, Mutation Research 258
(1991) 259–283.
15. USEPA (U.S. Environmental
Protection Agency), Guidelines for
mutagenicity risk assessment, 51 FR
34006–34012 (1986).
16. Dourson, M.L., Knauf, L.A., and
Swartout, J.C. (1972). On Reference Dose
(RfD) and its underlying toxicity data
base. Toxicology and Industrial Health
8:171–189.
17. Health Canada, Pesticide
Management Regulatory Agency (1997)
Reproductive Toxicity Testing in
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Proposed 40 CFR part 158, Subdivision
W – Data Requirements for
Antimicrobial Pesticides. November
1997 draft. Attachment to memorandum
from Don Grant (PMRA) to Norm Cook/
Tim McMahon/Sue Makris (USEPA/
OPP), December 1, 1997.
18. Spielmann, H., and Gerbracht, U.
(2001). The use of dogs as second
species in regulatory testing of
pesticides. Part II: subacute, subchronic
and chronic studies in the dog. Archives
of Toxicology 75(1): 1–21.
19. U. S. EPA, 2004. ‘‘Economic
Analysis of the Proposed Rule Changing
Data Requirements for Conventional
Pesticides,’’ BEAD/OPP/USEPA,
Washington, DC. Document ID No.
2004–0387–00.
XXVI. FIFRA Review Requirements
In accordance with FIFRA sec. 25(a),
this proposal was submitted to the
FIFRA SAP, the Secretary of
Agriculture, and appropriate
Congressional Committees. The SAP has
waived its review of this proposal, and
no comments were received from any of
the Congressional Committees. USDA
participated fully in the OMB
interagency review process, and where
warranted, changes were made to the
proposal based upon its comments.
XXVII. Statutory and Executive Order
Reviews
A. Executive Order 12866
Under Executive Order 12866,
entitled Regulatory Planning and
Review (58 FR 51735, October 4, 1993),
the Office of Management and Budget
(OMB) determined that this proposed
rule is a ‘‘significant regulatory action’’
under sec. 3(f) of the Executive Order
because this action might raise novel
legal or policy issues or otherwise have
a potentially significant impact on
pesticide producers or registrants of
pesticide products. As a result of this
OMB determination, EPA submitted this
proposed rulemaking to OMB for review
under Executive Order 12866 and any
changes made in response to OMB
comments have been documented in the
public docket for this rulemaking as
required by sec. 6(a)(3)(E) of the
Executive Order.
EPA has prepared an economic
analysis of the potential costs associated
with this proposed action, which is
contained in a document entitled
‘‘Economic Analysis of the Proposed
Rule Changing Data Requirements for
Conventional Pesticides’’ (Ref. 19). A
copy of this Economic Analysis is
available in the public docket for this
action, and is briefly summarized here.
The cost of the proposed rule is
calculated as the estimated costs for the
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proposed changes to the existing data
requirements as currently codified in 40
CFR part 158. Since most of the data
requirements contained in this proposal
have been applied on a case-by-case
basis over the years to reflect the
evolution of scientific understanding
and concerns, the Agency further
categorizes the proposed revisions that
are not currently codified as either
newly codified (i.e., data requirements
that are not currently in part 158, but
are, in practice, required on a case-bycase basis) or expanded existing
requirements (i.e., change in frequency
with which a currently codified data
requirement would be imposed. For
example, a change from conditionallyrequired to required, or visa versa.
Another example is a change in use
pattern for an existing requirement) or
newly imposed (i.e., data requirement
have not been previously imposed).
Using the currently codified
requirements as the baseline for the
impact analysis, the total annual impact
to the pesticide industry is estimated to
be about $51 million. Of this estimated
total annual impact, about $28.9 million
per year represents the cost of new data
requirements that were imposed over
the years but were not specified in the
existing part 158, and about $21.6
million represents the cost of modified
or expanded existing data requirements
(i.e., data requirements for certain tests
and use patterns in the CFR that are
changing from conditionally required
(CR) to required (R)). As they have been
applied to an increasing number of
registrations, these data requirements
have become more regularly required
and are now being proposed. Included
in the $51 million is about $1.9 million
that is attributable to newly imposed
requirements. The costs of the newly
imposed requirements represents the
increase costs over current practices,
and therefore provide the estimated
practical impact of this proposed rule to
the pesticide industry.
To calculate the potential costs
associated with this proposal, EPA first
identified the test necessary to generate
the data required, and then gathered
information on the price that
laboratories might charge a firm to
conduct that test for the firm. We
assumed that the data required would
always need to be generated, but often
the data are already available because
the firm generated it for their own use.
In such cases, the firm would simply
need to submit those data to EPA, which
involves less burden and cost than
generating it. Some firms may have
surrogate data that could be used, while
others may qualify for a waiver. Both of
which also involve less costs than
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generating the data anew. For each test
identified, we averaged the low and
high cost estimates provided by the
various laboratories. Variations can be
related to differences in the assumptions
about the test performed (e.g., protocol,
species used), or it could simply be a
difference in the price charged by the
laboratory.
EPA then used historical data on
pesticide registration actions that
occurred over a 7 year period (1996–
2002) to identify the entities that sought
pesticide registration actions in the past.
The data required for each registration
action depends on several factors,
including the type of registration action
(e.g., registration of a new active
ingredient food use, registration of a
new active ingredient non-food use,
registration and amendments to
registrations involving a major new use);
data category or discipline (e.g.,
toxicology, residue chemistry, human
exposure), and use pattern (how the
product will be used). To estimate the
average incremental cost of each type of
registration action, the percentage of
time a particular test was required was
estimated by EPA scientists, based on
their past experience in the program and
their involvement in developing the
new data requirements.
The Agency prepared an industry
profile using the same historical data on
pesticide registration actions to identify
the companies involved in those
actions, and based it on public
information gathered about those
companies. EPA also used this industry
profile to analyze the potential impacts
of the proposed rule on small
businesses, the results of which are
summarized in Unit XXVII.C. The
incremental costs, and a more detailed
discussion of the estimating
methodology employed in the analysis
are presented in the economic impact
analysis prepared for this proposed rule
(Ref. 19).
Since the likely overall impact of this
proposal on businesses is small, the
Agency believes that a deleterious effect
on the availability of pesticides to users
is unlikely. On balance, the Agency
believes that the costs of the rule are
justified by the benefits from enhanced
protection of human health and the
environment.
The data requirements in part 158
potentially apply to new pesticides
submitted for registration, to new uses
of currently registered pesticides, and to
existing chemicals whose databases are
subject to Agency review to determine
if they continue to meet registration
standards. For these existing chemicals,
part 158 data requirements are
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potentially relevant to three review
programs.
Reregistration (mandated in 1988) and
tolerance reassessment (mandated in
1996) are well underway. Data
requirements under those programs
have largely been imposed on
registrants of existing chemicals, and
the data have been submitted. EPA
anticipates that by the time this
proposed rule is promulgated, few of the
data requirements will remain to be
imposed for existing chemicals. Only
those that are ‘‘new’’ or ‘‘newly codified
’’ (e.g., developmental neurotoxicity,
immunotoxicity, sediment testing) have
not been broadly required and may be
imposed in the future under the
reregistration or tolerance reassessment
programs. Continued data needs for
existing chemicals must be imposed
under the Agency’s Data Call-In (DCI)
program.
Should such data be needed for
reregistration or tolerance reassessment
after promulgation of this rule, EPA
anticipates that it will articulate the
specific burden and costs associated
with each DCI pursuant to the
appropriate Information Collection
Request (ICR) approvals under the
Paperwork Reduction Act (PRA). Since
the approval process for the PRA
requires that EPA characterize the
information collection burdens and
costs incurred by registrants to comply
with a DCI, a complete estimate of the
burden and costs for the DCIs will be
provided at that time. EPA believes that
the public process associated with the
PRA approval for the DCI related ICRs
is a reasonable way to account for the
data costs without double counting the
burden. Accordingly, in this proposal
EPA has not evaluated the potential
burden of the proposed data
requirements on registrants of existing
chemicals.
A third program, registration review,
mandated in 1996, requires that EPA
establish a program for the periodic
review of existing chemicals (goal is
every 15 years). Any data requirements
to be levied under that program will
also be imposed under a DCI. At this
time, EPA is developing a proposed rule
to establish procedures for this program.
An Advance Notice of Proposed
Rulemaking was published in the
Federal Register on April 26, 2000 (65
FR 24585)(FRL–6488–9).
The data requirements in this
proposed rule are expected to apply to
all chemicals subject to registration
review (i.e., all existing chemicals),
depending on the conditions expressed
in both final rules (this part 158 and the
future registration review rule). At this
time EPA has not determined how the
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registration review program will
function. Until the registration review
program is better defined, any estimates
of burden/cost will be unreliable and
highly speculative. Moreover, since the
requirements will also be imposed via
DCIs, such burdens will also be
characterized under PRA procedures
described earlier.
Accordingly, EPA intends to describe
generally the burden and costs of
potential data requirements at the time
the registration review rule is proposed,
and ultimately, to more accurately and
fully characterize the individual DCI
burden and costs during the public
process associated with PRA approval.
B. Paperwork Reduction Act (PRA)
Pursuant to the Paperwork Reduction
Act (PRA), 44 U.S.C. 3501 et seq., an
agency may not conduct or sponsor, and
a person is not required to respond to
an information collection request unless
it displays a currently valid OMB
control number. The OMB control
numbers for EPA’s regulations, after
appearing in the preamble of the final
rule, are listed in 40 CFR part 9 and 48
CFR chapter 15, and included on the
related collection instrument (e.g., form
or survey). Under the PRA, ‘‘burden’’
means the total time, effort, or financial
resources expended by persons to
generate, maintain, retain, or disclose or
provide information to or for a Federal
agency. This includes the time needed
to review instructions; develop, acquire,
install, and utilize technology and
systems for the purposes of collecting,
validating, and verifying information,
processing and maintaining
information, and disclosing and
providing information; adjust the
existing ways to comply with any
previously applicable instructions and
requirements; train personnel to be able
to respond to a collection of
information; search data sources;
complete and review the collection of
information; and transmit or otherwise
disclose the information.
EPA has determined that this
proposed rule imposes no significant
additional information collection and
paperwork burden. The information
collection activity contained in this
proposed rule, i.e., the paperwork
collection activities related to the
submission of data to EPA in order to
register a conventional pesticide
product, are already approved by OMB
under several existing ICRs.
Specifically, the program activities
which would generate a paperwork
burden under this proposal are covered
by the following ICRs:
1. The activities associated with the
establishment of a tolerance are
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currently approved under OMB Control
No. 2070–0024 (EPA ICR No. 0597);
2. The activities associated with the
application for a new or amended
registration of a pesticide are currently
approved under OMB Control No. 2070–
0060 (EPA ICR No. 0277);
3. The activities associated with the
generation of data for reregistration are
currently approved under OMB Control
No. 2070–0107 (EPA ICR No. 1504); and
4. The activities associated with the
generation of data for special review are
currently approved under OMB Control
No. 2070–0057 (EPA ICR No. 0922).
These existing ICRs cover the
paperwork activities contained in this
proposal because these activities already
occur as part of the Agency’s existing
program activities. These program
activities are an integral part of the
Agency pesticide program and the
corresponding ICRs will continue to be
regularly renewed pursuant to the PRA.
The approved burden in these ICRs
were already increased in 1996 to
accommodate the potential increased
burden related to the implementation of
the new safety standard imposed in
1996 by FQPA.
The total estimated average annual
public reporting burden currently
approved by OMB for these various
activities ranges from 8 hours to
approximately 3,000 hours per
respondent, depending on the activity
and other factors surrounding the
particular pesticide product. Additional
information about this estimate is
provided in the Economic Analysis for
this rulemaking.
Comments are requested on the
Agency’s need for this information, the
accuracy of the burden estimates, and
any suggested methods for minimizing
respondent burden, including through
the use of automated collection
techniques. The Agency is particularly
interested in receiving comment on the
estimated testing costs and burdens that
are presented in the Economic Analysis,
as well as suggestions for how the
Agency might best be able to provide
updated and more detailed estimates in
the context of the individual ICRs
during the regular renewals of those
ICRs every 3 years. Send comments to
EPA as part of your overall comments
on this proposed action in the manner
specified in Unit I.C. In the final rule,
the Agency will address any comments
received regarding the information
collection requirements contained in
this proposal.
C. Regulatory Flexibility Act
Pursuant to sec. 605(b) of the
Regulatory Flexibility Act (RFA), 5
U.S.C. 601 et seq., the Agency hereby
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certifies that this proposal will not have
a significant adverse economic impact
on a substantial number of small
entities. This determination is based on
the Agency’s economic analysis
performed for this rulemaking, which is
summarized in Unit XXVII.A., and a
copy of which is available in the public
docket for this rulemaking. The
following is a brief summary of the
factual basis for this certification.
As part of the economic analysis
prepared for this rulemaking, EPA used
historical data to prepare an industry
profile of potentially impacted entities
prepared for the economic analysis for
this rulemaking, EPA determined that
this proposed rule is not expected to
impact any small not-for-profit
organizations or small governmental
jurisdictions. As such, the small entity
impact analysis prepared as part of the
economic analysis evaluated potentially
impacted businesses that could be
considered small businesses as defined
by the Small Business Administration,
which uses the maximum number of
employees or sales for businesses in
each industry sector, as that sector is
defined by NAICS. For example, entities
defined as Pesticide and Other
Agricultural Chemical Manufacturing
(325320) are considered to be a small
business if they employ 500 or fewer
people.
Although, as illustrated by the
industry profile, the conventional
pesticide industry is primarily
composed of large, multi-national
corporations, EPA used historical data
to evaluate potential impacts on small
firms that could be subject to the
proposed requirements.
To determine the universe of small
entities that could be subject to the
proposed requirements, the Agency
used workforce data to determine the
size for 565 firms for which financial
data had been gathered for the economic
analysis. Based on that data, EPA
determined that 449 qualified as small
businesses using the SBA definition.
Using the resulting ratio of 79%, the
Agency estimated that out of the total
1804 firms in the pesticide industry,
approximately 1434 firms might qualify
as small and could make up the
universe of small entities that could be
subject to the proposed requirements.
EPA then used historical data to
estimate the number of small entities
potentially impacted, and the extent of
that potential impact. EPA used
workforce data gathered on 120 firms
identified as impacted by the proposal
using historical data to determine the
size of 97 firms. Based on that data, we
determined that 49 firms of the 97 firms
(51%) qualified as small businesses.
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Data was unavailable for 23 firms, but
using the same ratio (51%), EPA
estimated that a total of 61 small firms
could be potentially impacted by the
proposal. Out of the universe of 1434
small firms that could be subject to the
proposed requirements, or out of the 61
small firms potentially impacted, only
35 small firms are expected to
experience a cost increase representing
1% or more of gross sales, of which only
23 small firms are expected to
experience a cost increase representing
3% or more of gross sales. Given these
estimated impacts on small businesses,
EPA has concluded that the proposed
revisions will not have a significant
adverse economic impact on a
substantial number of small entities.
EPA is particularly interested in
receiving comment from small
businesses as to the benefits, costs and
impacts of this proposed rule. Any
comments regarding the estimated
potential small entity economic impacts
that this proposed regulatory action may
impose on small entities should be
submitted to the Agency in the manner
specified in Unit I.
D. Unfunded Mandates Reform Act
Under Title II of the Unfunded
Mandates Reform Act of 1995 (UMRA)
(Public Law 104–4), EPA has
determined that this action does not
contain a Federal mandate that may
result in expenditures of $100 million or
more for State, local, and tribal
governments, in the aggregate, or the
private sector in any one year. As
described in Unit XXVII.A., the annual
costs associated with this action are
estimated to total $51 million. This cost
represents the incremental cost to
applicant and registrants attributed to
the additional or modified data
requirements contained in this proposal.
In addition, since State, local, and tribal
governments are rarely a pesticide
applicant or registrant, the proposed
rule is not expected to significantly or
uniquely affect small governments.
Accordingly, this action is not subject to
the requirements of secs. 202 and 205 of
UMRA.
E. Executive Order 13132
Pursuant to Executive Order 13132,
entitled Federalism (64 FR 43255,
August 10, 1999), EPA has determined
that this proposed rule does not have
‘‘federalism implications,’’ because it
will not have substantial direct effects
on the states, on the relationship
between the national government and
the states, or on the distribution of
power and responsibilities among the
various levels of government, as
specified in the Order. As indicated
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above, instances where a state is a
registrant are extremely rare. Therefore,
this proposed rule may seldom affect a
state government. Thus, Executive
Order 13132 does not apply to this
proposed rule. In the spirit of the Order,
and consistent with EPA policy to
promote communications between the
Agency and State and local
governments, EPA specifically solicits
comment on this proposed rule from
State and local officials.
H. Executive Order 13211
F. Executive Order 13175
Section 12(d) of the National
Technology Transfer and Advancement
Act of 1995 (NTTAA), 15 U.S.C. 272
note) directs EPA to use voluntary
consensus standards in its regulatory
activities unless to do so would be
inconsistent with applicable law or
impractical. Voluntary consensus
standards are technical standards (e.g.,
materials specifications, test methods,
sampling procedures, etc.) that are
developed or adopted by voluntary
consensus standards bodies. NTTAA
directs EPA to provide Congress,
through OMB, explanations when the
Agency decides not to use available and
applicable voluntary consensus
standards. This regulation proposes the
types of data to be required to support
conventional pesticide registration but
does not propose to require specific
methods or standards to generate those
data. Therefore, this proposed
regulation does not impose any
technical standards that would require
Agency consideration of voluntary
consensus standards. The Agency
invites comment on its conclusion
regarding the applicability of voluntary
consensus standards to this rulemaking.
As required by Executive Order
13175, entitled Consultation and
Coordination with Indian Tribal
Governments (65 FR 67249, November
6, 2000), EPA has determined that this
proposed rule does not have tribal
implications because it will not have
substantial direct effects on tribal
governments, on the relationship
between the Federal government and
the Indian tribes, or on the distribution
of power and responsibilities between
the Federal government and Indian
tribes, as specified in the Order. As
indicated above, at present, no tribal
governments hold, or have applied for,
a pesticide registration. Thus, Executive
Order 13175 does not apply to this
proposed rule. In the spirit of the Order,
and consistent with EPA policy to
promote communications between the
Agency and State and local
governments, EPA specifically solicits
comment on this proposed rule from
tribal officials.
G. Executive Order 13045
Executive Order 13045, entitled
Protection of Children from
Environmental Health Risks and Safety
Risks (62 FR 19885, April 23, 1997) does
not apply to this proposed rule because
this action is not designated as an
‘‘economically significant’’ regulatory
action as defined by Executive Order
12866 (see Unit XXVII.A.). Further, this
proposal does not establish an
environmental standard that is intended
to have a negatively disproportionate
effect on children. To the contrary, this
action will provide added protection for
children from pesticide risk. The
proposed data requirements are
intended to address risks that, if not
addressed, could have a
disproportionate negative impact on
children. EPA will use the data and
information obtained by this proposed
rule to carry out its mandate under
FFDCA to give special attention to the
risks of pesticides to sensitive
subpopulations, especially infants and
children.
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This rule is not subject to Executive
Order 13211, entitled Actions
concerning Regulations that
Significantly Affect Energy Supply,
Distribution, or Use (66 FR 28355, May
22, 2001) because it is not likely to have
any significant adverse effect on the
supply, distribution, or use of energy.
I. National Technology Transfer and
Advancement Act
J. Executive Order 12898
This proposed rule does not have an
adverse impact on the environmental
and health conditions in low-income
and minority communities. Therefore,
under Executive Order 12898, entitled
Federal Actions to Address
Environmental Justice in Minority
Populations and Low-Income
Populations (59 FR 7629, February 16,
1994), the Agency has not considered
environmental justice-related issues.
Although not directly impacting
environmental justice-related concerns,
the collection of the information
contained in this proposed rule will
enable the Agency to protect human
health and the environment by being
better able to prioritize chemical
substances of concern.
List of Subjects in 40 CFR Parts 152 and
158
Administrative practice and
procedure, Agricultural commodities,
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Pesticides and pests, Reporting and
recordkeeping requirements.
Dated: February 28, 2005.
Stephen L. Johnson,
Acting Administrator.
Therefore, it is proposed that chapter
I of title 40 of the Code of Federal
Regulations be amended as follows:
PART 152—[AMENDED]
1. In part 152:
a. The authority citation continues to
read as follows:
Authority: 7 U.S.C. 136–136y. Subpart U is
also issued under 31 U.S.C. 9701.
b. In § 152.50, by amending paragraph
(f)(1) by revising the reference ‘‘FIFRA
sec. 3(c)(1)(D)’’ to read ‘‘FIFRA sec.
3(c)(1)(F),’’ and by revising paragraph
(f)(2) to read as follows:
§ 152.50
Contents of application.
*
*
*
*
*
(f) * * *
(2) An applicant must furnish any
data specified in part 158 of this chapter
that are required by the Agency to
determine that the product meets the
registration standard of FIFRA sec.
3(c)(5) or 3(c)(7), as applicable, and
FIFRA sec. 10. An applicant may
request a waiver of any data
requirement by following the
procedures in § 158.45 of this chapter.
Each study must comply with:
(i) Section 158.32 of this chapter, with
respect to format of submission.
(ii) Section 158.33 of this chapter,
with respect to studies for which a
claim of trade secret or confidential
business information is made.
(iii) Section 158.34 of this chapter,
with respect to flagging for potential
adverse effects.
(iv) Section 160.12 of this chapter,
with respect to a statement whether
studies were conducted in accordance
with Good Laboratory Practices of part
160.
*
*
*
*
*
PART 158—[AMENDED]
2. In part 158:
a. By revising the authority citation to
read as follows:
Authority: 7 U.S.C. 136–136y; 21 U.S.C.
346a.
b. By revising the table of contents for
part 158 to read as follows:
Subpart A—General Provisions
Sec.
158.1 Purpose and scope.
158.3 Definitions.
158.5 Applicability.
158.30 Flexibility.
158.32 Format of data submissions.
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158.33 Confidential data.
158.34 Flagging of studies for potential
adverse effects.
158.45 Waivers.
158.70 Satisfying data requirements.
158.75 Requirements for additional data.
158.80 Use of other data.
Subpart B—How to Use Data Tables
158.100 Pesticide use categories.
158.110 Required and conditionally
required data.
158.120 Determining data requirements.
158.130 Purposes of the registration data
requirements.
Subpart P—Pesticide Management and
Disposal
158.1300 [Reserved]
Subpart R—Spray Drift
158.1410 Spray drift data requirements.
Subpart U—Applicator Exposure
158.1500 General requirements.
158.1510 Criteria for testing.
158.1520 Applicator exposure data
requirements table.
Subpart V—Inert Ingredients
158.1600 [Reserved]
Subpart W—Antimicrobial Pesticides
158.1700 [Reserved]
Subpart C [Reserved]
Subpart D—Product Chemistry
158.300 Definitions.
158.310 Product chemistry data
requirements table.
158.320 Product identity and composition.
158.325 Description of materials used to
produce the product.
158.330 Description of production process.
158.335 Description of formulation process.
158.340 Discussion of formation of
impurities.
158.345 Preliminary analysis.
158.350 Certified limits.
158.355 Enforcement analytical method.
c. By revising subpart A to read as
follows:
Subpart A—General Provisions
§ 158.1
Purpose and scope.
158.800 General requirements.
158.810 Criteria for testing.
158.820 Post-application exposure data
requirements table.
(a)Purpose. The purpose of this part is
to specify the kinds of data and
information EPA requires in order to
make regulatory judgements under
FIFRA secs. 3, 4, and 5 about the risks
and benefits of pesticide products.
Further, this part specifies the data and
information needed to determine the
safety of pesticide chemical residues
under FFDCA sec. 408.
(b) Scope. (1) This part describes the
minimum data and information EPA
typically requires to support an
application for pesticide registration or
amendment; support the reregistration
of a pesticide product; or establish or
maintain a tolerance or exemption from
the requirement of a tolerance for a
pesticide chemical residue.
(2) This part establishes general
policies and procedures associated with
the submission of data in support of a
pesticide regulatory action.
(3) This part does not include study
protocols, methodology, or standards for
conducting or reporting test results; nor
does this part describe how the Agency
uses or evaluates the data and
information in its risk assessment and
risk management decisions, or the
regulatory determinations that may be
based upon the data.
Subpart L—Biochemical Pesticides
§ 158.3
158.910 Biochemical pesticide data
requirements.
All terms defined in sec. 2 of the
Federal Insecticide, Fungicide, and
Rodenticide Act apply to this part and
are used with the meaning given in the
Act. Applicable terms from the Federal
Food, Drug, and Cosmetic Act also
apply to this part. Individual subparts
may contain definitions that pertain
solely to that subpart. The following
additional terms apply to this part:
Applicant means any person or entity
that applies to the Agency for:
(1) An application for registration,
amended registration, or reregistration
Subpart E—Terrestrial and Aquatic
Nontarget Organisms
158.400 Terrestrial and aquatic nontarget
organisms data requirements table.
Subpart F—Toxicology
158.500 Toxicology data requirements
table.
158.510 Tiered testing options for nonfood
pesticides.
Subpart G—Product Performance
158.610 Product performance data
requirements.
Subparts H–I [Reserved]
Subpart J—Nontarget Plant Protection
158.700 Nontarget plant protection data
requirements table.
Subpart K—Post-application Exposure
Subpart M—Microbial Pesticides
158.1010 Microbial pesticide data
requirements.
Subpart N—Environmental Fate
158.1100 Environmental fate data
requirements table.
Subpart O—Residue Chemistry
158.1200 Definitions.
158.1210 Residue chemistry data
requirements table.
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of a pesticide product under FIFRA
secs. 3, 4 or 24(c).
(2) An application for an experimental
use permit under FIFRA sec. 5.
(3) An application for an exemption
under FIFRA sec. 18.
(4) A petition or other request for
establishment or modification of a
tolerance, for an exemption for the need
for a tolerance, or for other clearance
under FFDCA sec. 408.
(5) A submission of data in response
to a notice issued by EPA under FIFRA
sec. 3(c)(2)(B).
(6) Any other application, petition, or
submission sent to EPA intended to
persuade EPA to grant, modify, or leave
unmodified a registration or other
approval required as a condition of sale
or distribution of a pesticide.
(7) For the purposes of this part, an
applicant includes a registrant.
Registration includes a new
registration, amended registration and
reregistration, unless stated otherwise.
§ 158.5
Applicability.
(a) This subpart describes the data
that are required to support the
registration of each pesticide product.
The information specified in this part
must be submitted with each
application for new or amended
registration or for reregistration, if it has
not been submitted previously or if the
previously submitted information is not
complete and accurate.
(b) The requirements of this part
apply to the following applicants:
(1) Any person who submits an
application for a new or amended
registration in accordance with FIFRA
sec. 3.
(2) Any person who submits an
application for an experimental use
permit in accordance with FIFRA sec. 5.
(3) Any person who petitions the
Agency to establish, modify, or revoke
a tolerance or exemption from a
tolerance in accordance with FFDCA
sec. 408.
(4) Any person who submits data or
information to support the continuation
of a registration in accordance with
FIFRA sec. 3 or 4.
§ 158.30
Flexibility.
(a) FIFRA provides EPA flexibility to
require, or not require, data and
information for the purposes of making
regulatory judgements for pesticide
products. EPA maintains its authority to
tailor data needs to individual pesticide
chemicals. The actual data required may
be modified on an individual basis to
fully characterize the use and
properties, characteristics, or effects of
specific pesticide products under
review. The Agency encourages each
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applicant to consult with EPA to discuss
the data requirements particular to its
product prior to and during the
registration process.
(b) The Agency cautions applicants
that the data routinely required in this
part may not be sufficient to permit EPA
to evaluate the potential of the product
to cause unreasonable adverse effects to
man or the environment. EPA may
require the submission of additional
data or information beyond that
specified in this part if such data or
information are needed to appropriately
evaluate a pesticide product.
(c) This part will be updated as
needed to reflect evolving program
needs and advances in science.
§ 158.32
Format of data submissions.
(a) General. (1) The requirements of
this section apply to any data submitted
or cited to EPA in support of any new,
pending, or existing regulatory action
under FIFRA or FFDCA, including, but
not limited to:
(i) Registration, amended registration
or reregistration.
(ii) Experimental use permit.
(iii) Data Call-in.
(iv) Establishment, modification or
revocation of a tolerance or exemption.
(v) Submission of adverse effects
information under FIFRA sec. 6(a)(2).
(2) The requirements of this section
do not apply to administrative materials
accompanying a data submission,
including forms, labeling, and
correspondence.
(b) Transmittal document. Each
submission in support of a regulatory
action must be accompanied by a
transmittal document, which includes:
(1) Identity of the submitter.
(2) The transmittal date.
(3) Identification of the regulatory
action with which the submission is
associated, e.g., the registration or
petition number.
(4) A list of the individual documents
included in the submission.
(c) Individual documents. Unless
otherwise specified by the Agency, each
submission must be in the form of
individual documents or studies.
Previously submitted documents should
not be resubmitted unless specifically
requested by the Agency, but should be
cited with adequate information to
identify the previously submitted
document. Each study or document
should include the following:
(1) A title page including the
following information:
(i) The title of the study, including
identification of the substance(s) tested
and the test name or data requirement
addressed.
(ii) The author(s) of the study.
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(iii) The date the study was
completed.
(iv) If the study was performed in a
laboratory, the name and address of the
laboratory, project numbers or other
identifying codes.
(v) If the study is a commentary on or
supplement to another previously
submitted study, full identification of
the other study with which it should be
associated in review.
(vi) If the study is a reprint of a
published document, all relevant facts
of publication, such as the journal title,
volume, issue, inclusive page numbers,
and date of publication.
(2) The appropriate statement(s)
regarding any data confidentiality
claims as described in § 158.33.
(3) A statement of compliance or noncompliance with respect to Good
Laboratory Practice Standards as
required by 40 CFR 160.12, if
applicable.
(4) A complete and accurate English
translation must be included for any
information that is not in English.
(5) A flagging statement as prescribed
by § 158.34, if applicable.
§ 158.33
Confidential data.
(a) Definitions. For the purposes of
this section:
(1) Registered or previously registered
pesticide means any pesticide
containing an active ingredient
contained in a product that is, or has
ever been, an active ingredient in a
product registered under sec. 3 of
FIFRA. A registered pesticide that is the
subject of an application for a new use
falls within the category of ‘‘registered
or previously registered pesticide.’’
(2) Safety and efficacy information
means information concerning the
objectives, methodology, results, or
significance of any test or experiment
performed on or with a registered or
previously registered pesticide or its
separate ingredients, impurities, or
degradation products, and any
information concerning the effects of
such pesticide on any organism or the
behavior of such pesticide in the
environment, including, but not limited
to, data on safety to fish and wildlife,
humans and other mammals, plants,
animals, and soil, and studies on
persistence, translocation and fate in the
environment, and metabolism.
(b) Applicability. (1) This section
applies to information submitted
pursuant to this part. It supplements the
general confidentiality procedures in 40
CFR part 2, subpart B, including FIFRA
confidentiality procedures at 40 CFR
2.307. To the extent that provisions in
this section conflict with those in 40
CFR part 2, subpart B, the provisions in
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this section take precedence. The
provisions of 40 CFR 2.308 do not apply
to information to which this section
applies. In addition to complying with
the requirements of this section, any
confidentiality claims for information
subject to 40 CFR part 174 (plantincorporated protectants) must be
substantiated at the time of submission
as described in § 174.9 of this chapter.
(2) FFDCA sec. 408(i) protects
confidential information submitted in
connection with an application for a
tolerance or exemption to the same
extent as FIFRA sec. 10. References in
this section to FIFRA sec. 10 are deemed
to apply equally to information
submitted pursuant to FFDCA sec. 408,
pursuant to the authority in sec. 408(i).
(c) Method of asserting business
confidentiality claims—(1) Claim
required. Information to which this
section applies (and which is submitted
on or after the effective date of this
regulation) will be deemed as not
subject to a confidentiality claim unless
a claim for that information is made in
accordance with the procedures
specified in this paragraph. Information
not subject to a confidentiality claim
may be made available to the public
without further notice, subject to the
requirements of FIFRA sec. 10(g).
(2) Statement required. Upon
submission to EPA, each document
must be accompanied by a signed and
dated document containing one of the
following statements:
(i) Statement 1.
No claim of confidentiality, on any basis
whatsoever, is made for any information
contained in this document. I acknowledge
that information not designated as within the
scope of FIFRA sec. 10(d)(1)(A), (B), or
(C)and which pertains to a registered or
previously registered pesticide is not entitled
to confidential treatment and may be released
to the public, subject to the provisions
regarding disclosure to multinational entities
under FIFRAsec. 10(g).
(ii) Statement 2.
Information claimed as confidential has
been removed to aconfidential attachment.
No claims or markings on the document
or any attachments, other than these
statements and attachments submitted
per in accordance with paragraph (c)(3)
of this section, will be recognized as
asserting a claim of confidentiality. The
format of data submissions is set forth
in § 158.32.
(3) Confidential attachment. (i) All
information claimed as confidential
must be submitted in a separate
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confidential attachment to the
document and cross referenced to the
specific location in the document from
which it was removed. The confidential
attachment must have its own title page
and be paginated separately from the
non-confidential document.
(ii) All information in the confidential
attachment that consists of (or whose
disclosure would in turn disclose)
manufacturing or quality control
processes must be individually
identified in the confidential attachment
as a claim for information within the
scope of FIFRA sec. 10(d)(1)(A).
(iii) All information in the
confidential attachment that consists of
(or whose disclosure would in turn
disclose) the details of any methods for
testing, detecting, or measuring the
quantity of any deliberately added inert
ingredient of a pesticide, must be
individually identified in the
confidential attachment as a claim for
information within the scope of FIFRA
sec. 10(d)(1)(B).
(iv) All information in the
confidential attachment that consists of
(or whose disclosure would in turn
disclose) the identity or percentage
quantity of any deliberately added inert
ingredient of a pesticide must be
individually identified in the
confidential attachment as a claim for
information within the scope of FIFRA
sec. 10(d)(1)(C).
(v) Information in the confidential
attachment that is designated in
accordance with paragraphs (c)(3)(ii) (iv) of this section must be on a separate
page from information that is not so
designated.
(4) Voluntary release of information to
States and foreign governments.
Submitters are encouraged to include
with the statement required under
paragraph (c)(2) of this section the
following additional statement to allow
EPA to share information with State and
foreign governments:
I authorize the Environmental Protection
Agency to release any information contained
in this document to State or foreign
governments, without relinquishing
proprietary rights or any confidentiality
claims asserted above.
EPA will not consider such a statement
to be a waiver of confidentiality or
proprietary claims for the information.
(d) Release of information. (1) Safety
and efficacy information that was
submitted to EPA on or after May 4,
1988 and that has not been designated
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by the submitter as FIFRA sec.
10(d)(1)(A), (B), or (C) information in
accordance with the applicable
requirements of this section is not
entitled to confidential treatment and
may be disclosed to the public without
further notice to the submitter, in
accordance with paragraph (d)(2) of this
section. Safety and efficacy information
which has been designated by the
submitter as FIFRA sec. 10(d)(1) (A), (B),
or (C) information is entitled to
confidential treatment only to the extent
provided by FIFRA sec. 10(b), this
section, and 40 CFR 2.208.
(2) Information that is not entitled to
be protected as confidential in
accordance with FIFRA sec. 10(b), this
section and with EPA confidentiality
regulations at 40 CFR part 2, subpart B,
may be released to the public without
the affirmation of non-multinational
status provided under FIFRA sec. 10(g),
provided that the information does not
contain or consist of any complete
unpublished report submitted to EPA,
or excerpts or restatements of any such
report which reveal the full
methodology and complete results of
the study, test, or experiment, and all
explanatory information necessary to
understand the methodology or
interpret the results.
(3) Information designated as
releasable to state or foreign
governments in accordance with
paragraph (c)(4) of this section may be
released to such a government without
further notice to the submitter. EPA will
inform the State or foreign government
of any of the confidentiality claims
associated with the information.
§ 158.34 Flagging of studies for potential
adverse effects.
(a) Any applicant who submits a
study of a type listed in paragraph (b)
of this section must submit with the
study a statement in accordance with
paragraph (c) of this section.
(b) The following table indicates the
study types and the criteria to be
applied to each. Column 1 lists the
study types by name. Column 2 lists the
associated Pesticide Assessment
Guideline number. Column 3 lists the
criteria applicable to each type of study.
Column 4 lists the reporting code to be
included in the statement specified in
paragraph (c) of this section when any
criterion is met or exceeded.
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TABLE—FLAGGING CRITERIA
Study Type(s)
Guideline No.
Criteria: Treated animals show any of the following:
Criteria No.
Carcinogenicity or combined carcinogenicity/
chronic feeding study
870.4200,
870.3100,
870.3150
An incidence of neoplasms in males or females which increases
with dose (positive trend p≤ 0.05); or
1
A statistically significant (pairwise p≤ 0.05) increase of any type of
neoplasm in any test group, males or females at any dose
level, compared to concurrent control animals of the same sex;
or
2
An increase in any type of uncommon or rare neoplasms in any
test group, males or females animals at any dose level, compared to concurrent controls of the same sex; or
3
A decrease in the time to development of any type of neoplasms
in any test group, males or females at any dose level, compared to concurrent controls of the same sex.
4
Prenatal developmental toxicity
Reproduction and fertility
Developmental neurotoxicity
870.3700
870.3800
870.6300
When compared to concurrent controls, treated offspring show a
dose-related increase in malformations, pre- or post-natal
deaths, or persistent functional or behavioral changes on a litter
basis in the absence of significant maternal toxicity at the same
dose level.
5
Neurotoxicity
870.6100
870.6200
When compared to concurrent controls, treated animals show a
statistically
or
biologically
significant
increase
in
neuropathological lesions or persistent functional or behavioral
changes.
6
Chronic feeding
Carcinogenicity
Reproduction and fertility
Prenatal developmental toxicity
Developmental neurotoxicity
Acute or 90–day neurotoxicity
870.4100
870.4200
870.3800
870.3700
870.6300
870.6200
The no observed adverse effect level (NOAEL) from one of these
studies is less than the NOAEL currently used by the Agency
as the basis for either the acute or chronic reference dose.
7
(c) Identification of studies. For each
study of a type identified in paragraph
(b) of this section, the applicant (or
registrant in the case of information
submitted under FIFRA sec. 3(c)(2)(B))
shall include the appropriate one of the
following two statements, together with
the signature of the authorized
representative of the company, and the
date of signature:
1. Statement 1.
inappropriate, either because it would
not be possible to generate the required
data or because the data would not be
useful in the Agency’s evaluation of the
risks or benefits of the product. The
Agency will waive data requirements it
finds are inappropriate, but will ensure
that sufficient data are available to make
the determinations required by the
applicable statutory standards.
(b)(1) Applicants are encouraged to
discuss the request with the Agency
before developing and submitting
supporting data, information, or other
materials.
(2) All waiver requests must be
submitted to the Agency in writing. The
request must clearly identify the data
requirement(s) for which a waiver is
sought along with an explanation and
supporting rationale why the applicant
believes the data requirement should be
waived. In addition, the applicant must
describe any unsuccessful attempts to
generate the required data, furnish any
other information which the
applicant(s) believes would support the
request, and when appropriate, suggest
alternative means of obtaining data to
address the concern which underlies the
data requirement.
I have applied the criteria of 40 CFR 158.34
for flagging studies for potential adverse
effects to the results of the attached study.
This study neither meets nor exceeds any of
the applicable criteria.‘‘
2. Statement 2.
I have applied the criteria of 40 CFR 158.34
for flagging studies for potential adverse
effects to the results of the attached study.
This study meets or exceeds the criteria
numbered [insert all applicable reporting
codes].
§ 158.45
Waivers.
(a) The data requirements specified in
this part as applicable to a category of
products will not always be appropriate
for every product in that category. Some
products may have unusual physical,
chemical, or biological properties or
atypical use patterns which would make
particular data requirements
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(c) The Agency will review each
waiver request and subsequently inform
the applicant in writing of its decision.
If the decision could apply to more than
the requested product, the Agency, in its
discretion, may choose to send a notice
to all registrants or publish a notice in
the Federal Register announcing the
decision. An Agency decision denying a
written request to waive a data
requirement is a final Agency action.
§ 158.70
Satisfying data requirements.
(a) General policy. The Agency will
determine whether the data submitted
or cited to fulfill the data requirements
specified in this part are acceptable.
This determination will be based on the
design and conduct of the experiment
from which the data were derived, and
an evaluation of whether the data fulfill
the purpose(s) of the data requirement.
In evaluating experimental design, the
Agency will consider whether generally
accepted methods were used, sufficient
numbers of measurements were made to
achieve statistical reliability, and
sufficient controls were built into all
phases of the experiment. The Agency
will evaluate the conduct of each
experiment in terms of whether the
study was conducted in conformance
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with the design, good laboratory
practices were observed, and results
were reproducible. The Agency will not
reject data merely because they were
derived from studies which, when
initiated were in accordance with an
Agency-recommended protocol, even if
the Agency subsequently recommends a
different protocol, as long as the data
fulfill the purposes of the requirements
as described in this paragraph.
(b) Good laboratory practices.
Applicants must adhere to the good
laboratory practice (GLP) standards
described in 40 CFR part 160 when
conducting studies to support the
registration, amended registration or
reregistration of a pesticide product.
Applicants must also adhere to GLP
standards when conducting a study in
support of a waiver request of any data
requirement which is within the scope
of the GLP requirements.
(c) Agency guidelines. EPA has
published Pesticide Assessment
Guidelines that contain standards for
conducting acceptable tests, guidance
on the evaluation and reporting of data,
definition of terms, and suggested study
protocols. Copies of the Pesticide
Assessment Guidelines may be obtained
through the National Service Center for
Environmental Publications (NSCEP), or
by visiting the agency’s website at
www.epa.gov/pesticides. EPA
publications can be ordered online
(www.epa.gov/ncepihom/nepishom), or
by telephone at 1–800–490–9198.
(d) Study protocols—(1) General. Any
appropriate protocol may be used to
generate the data required by this part,
provided that it meets the purpose of
the test standards specified in the
pesticide assessment guidelines, and
provides data of suitable quality and
completeness as typified by the
protocols cited in the guidelines.
Applicants should use the test
procedure which is most suitable for
evaluation of the particular ingredient,
mixture, or product. Accordingly,
failure to follow a suggested protocol
will not invalidate a test if another
appropriate methodology is used.
(2) Organization for Economic
Cooperation and Development (OECD)
protocols. Tests conducted in
accordance with the requirements and
recommendations of the applicable
OECD protocols can be used to develop
data necessary to meet the requirements
specified in this part. Applicants should
note, however, that certain of the OECD
recommended test standards, such as
test duration and selection of test
species, are less restrictive than those
recommended by EPA. Therefore, when
using OECD protocols, care should be
taken to observe the test standards in a
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manner such that the data generated by
the study will satisfy the requirements
of this part.
(e) Combining studies. Certain
toxicology studies may be combined to
satisfy data requirements. For example,
carcinogenicity studies in rats may be
combined with the rat chronic toxicity
study. Combining appropriate studies
may be expected to reduce usage of test
animals as well as reduce the cost of
studies. EPA encourages this practice by
including standards for acceptable
combined tests in the Pesticide
Assessment Guidelines. Registrants and
applicants are encouraged to consider
combining other tests when practical
and likely to produce scientifically
acceptable results. Registrants and
applicants, however, must consult with
the EPA before initiating combined
studies.
§ 158.75
Requirements for additional data.
The data routinely required by this
part may not be sufficient to permit EPA
to evaluate every pesticide product. If
the information required under this part
is not sufficient to evaluate the potential
of the product to cause unreasonable
adverse effects on man or the
environment, additional data
requirements will be imposed. However,
EPA expects that the information
required by this part will be adequate in
most cases for an assessment of the
properties of the pesticide.
§ 158.80
Use of other data.
(a) Data developed in foreign
countries. With certain exceptions,
laboratory and field study data
developed outside the United States
may be submitted in support of a
pesticide registration. Data generated in
a foreign country which the Agency will
not consider include, but are not limited
to, data from tests which involved field
test sites or a test material, such as a
native soil, plant, or animal, that is not
characteristic of the United States.
Applicants submitting foreign data must
take steps to assure that U.S. materials
are used, or be prepared to supply data
or information to demonstrate the lack
of substantial or relevant differences
between the selected material or test site
and the U.S. material or test site. Once
submitted, the Agency will determine
whether or not the data meet the data
requirements.
(b) Data generated for other purposes.
Data developed for purposes other than
satisfaction of FIFRA data requirements,
such as monitoring studies, may also
satisfy data requirements in this part.
Consultation with the Agency should be
arranged if applicants are unsure about
suitability of such data.
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d. By revising subpart B to read as
follows:
Subpart B—How to Use the Data
Tables
§ 158.100
Pesticide use categories.
(a) General use categories. There are
six broad use categories used in the data
tables. The six broad categories include
terrestrial outdoor uses, aquatic outdoor
uses, greenhouse uses, forestry uses,
residential outdoor uses, and indoor
uses of all types. The 6 broad use
categories are further subdivided into 15
general use categories which are the
basis for data requirements established
by use pattern. Within the data tables,
general use categories have been
combined into single columns when the
data requirements are the same for the
combined uses. If there are no data
requirements for a specific use, the
column for that use is not included in
the table. The 15 general use pattern
groups used in the data table in this part
are:
(1) Terrestrial food crop use.
(2) Terrestrial feed crop use.
(3) Terrestrial nonfood crop use.
(4) Aquatic food crop use.
(5) Aquatic nonfood residential use.
(6) Aquatic nonfood outdoor use.
(7) Aquatic nonfood industrial use.
(8) Greenhouse food crop use.
(9) Greenhouse nonfood crop use.
(10) Forestry use.
(11) Residential outdoor use.
(12) Residential indoor use.
(13) Indoor food use.
(14) Indoor nonfood use.
(15) Indoor medical use.
(b) Use pattern index. The Use Pattern
Index is a comprehensive list of specific
pesticide use patterns. The use index is
alphabetized separately by site for all
agricultural and all nonagricultural
uses. The Use Pattern Index associates
each pesticide use pattern with one or
more of the 15 general use categories. It
should be used in conjunction with the
data tables to determine the
applicability of data requirements to
specific uses. The Pesticide Use Pattern
Index, which will be updated
periodically, is available from the
Agency or may be obtained from the
Agency’s website at https://
www.epa.gov/pesticides.
(c) Applicants unsure of the correct
use category for their particular product
should consult the Agency.
§ 158.110 Required and conditionally
required data.
Some data and information specified
in this part are required (R) for the
evaluation of some or all types of
products. However, other data and
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information specified as conditionally
required (CR) are required only if the
product’s pattern of use, results of other
tests, or other pertinent factors meet the
criteria specified in those sections.
(a) Data designated as ‘‘required’’ (R)
for products with a given use pattern are
required by EPA to evaluate the risks or
benefits of a product having that use
pattern. Further clarification of the
applicability of the data requirement
often is located in the test notes
accompanying the table.
(b) Data designated as ‘‘conditionally
required’’ (CR) for products with a given
use pattern are required by EPA to
evaluate the risks or benefits of a
product having that use pattern if the
product meets the conditions specified
in the notes accompanying the
requirement. The determination of
whether the data must be submitted is
based on the product’s use pattern,
physical or chemical properties,
expected exposure of nontarget
organisms, and/or results of previous
testing (for example, tier testing).
Applicants must evaluate each
applicable test note for the conditions
and criteria to be considered in
determining whether conditionally
required data must be submitted.
§ 158.120
Determining data requirements.
As with current practice, the actual
data and studies required may be
modified on an individual basis to fully
characterize the use and properties of
specific pesticide products under
review. While EPA is attempting to
assist the applicant in this subpart, it is
important to emphasize that it is the
applicant’s obligation under FIFRA to
demonstrate that an individual product
meets the standard under FIFRA and/or
FFDCA. Accordingly, applicants are
encouraged to consult with the Agency
on the appropriate data requirements as
set forth here as they relate to their
specific product prior to and during the
registration process.
(a) Finding the appropriate data table.
(1) Pesticide data requirements for
conventional chemical active
ingredients and related substances are
presented in subparts D, E, F, G, J, K, N,
O, and U of this part in the form of a
series of data tables, each addressing a
particular scientific discipline or data
topic. Data requirements for
biochemical and microbial pest control
agents are contained and are described
separately within subparts L and M of
this part, respectively.
(2) Key to table notations. R =
required data; CR = conditionally
required data; NR = Not required; MP =
manufacturing-use product; EP = enduse product; TEP = typical end-use
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product; TGAI = technical grade of the
active ingredient; PAI = ‘‘pure’’ active
ingredient; PAIRA = ‘‘pure’’ active
ingredient, radiolabeled; Choice =
choice of several test substances
depending on studies required. Brackets
indicate which data requirements also
apply to experimental use permits
(EUPS).
(b) Identifying required studies. To
determine the specific kinds of data
needed to support the registration use of
each pesticide product, the applicant
should:
(1) Refer to the applicable subpart(s)
of this part. These subparts describe the
data requirements including data tables
for each subject area.
(2) Select the general use pattern(s)
that best covers the use pattern(s)
specified on the pesticide product label
as explained in § 158.100. All applicable
use patterns must be included.
(3) Proceed down the appropriate
general use pattern column in the table
and note which tests are required (R),
conditionally required (CR), or not
required (NR). Required and
conditionally required studies are
described in § 158.110.
(4) Review the notes for each
requirement to determine its
applicability to the specific product
proposed for registration.
(5)(i) Proceed down the Test
substance columns and determine the
appropriate test substance needed for
that study. For toxicology studies, if the
data are intended to support a
manufacturing-use product, use the first
column. If the data are intended to
support an end-use product, use the
information listed in the second
column.
(ii) The test substances columns
specify which substance is to be
subjected to testing. Applicants should
note that the substance that should be
used when performing the study may or
may not be the product itself. For
example, the data from a certain study
may be required to support the
registration of an end-use product, but
the test substance column may state that
the particular test shall be performed
using the technical grade of the active
ingredient(s) in the end-use product.
(iii) Manufacturing-use products (MP)
and end-use products (EP) containing a
single active ingredient and no
intentionally added inert ingredients are
considered identical in composition to
each other, and to the technical grade of
the active ingredient (TGAI) from which
they were derived. Therefore, the data
from a test conducted using any one of
these as the test substance is also
suitable to meet the requirement (if any)
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for the same test to be conducted using
either of the other substances.
(6) Refer to the Pesticide Assessment
Guideline reference number for each
study located in the last column. See
§ 158.70(c) for information pertaining to
the guidelines and how to obtain copies.
§ 158.130 Purposes of the registration data
requirements.
(a) General. The data requirements for
registration are intended to generate
data and information necessary to
address concerns pertaining to the
identity, composition, potential adverse
effects and environmental fate of each
pesticide.
(b) [Reserved].
(c) Residue chemistry. (1) Residue
chemistry data are used by the Agency
to estimate the exposure of the general
population to pesticide residues in food
and for setting and enforcing tolerances
for pesticide residues in food or feed.
(2) Information on the chemical
identity and composition of the
pesticide product, the amounts,
frequency and time of the pesticide
application, and results of test on the
amount of residues remaining on or in
the treated food or feed, are needed to
support a finding as to the magnitude
and identity of residues which result in
food or animal feed as a consequence of
a proposed pesticide usage.
(3) Residue chemistry data are also
needed to support the adequacy of one
or more methods for the enforcement of
the tolerance, and to support practicable
methods for removing residues that
exceed any proposed tolerance.
(d) Environmental fate—(1) General.
The data generated by environmental
fate studies are used to: assess the
toxicity to man through exposure of
humans to pesticide residues remaining
after application, either upon reentering
treated areas or from consuming
inadvertantly-contaminated food; assess
the presence of widely distributed and
persistent pesticides in the environment
which may result in loss of usable land,
surface water, ground water, and
wildlife resources; and, assess the
potential environmental exposure of
other nontarget organisms, such as fish
and wildlife, to pesticides. Another
specific purpose of the environmental
fate data requirements is to help
applicants and the Agency estimate
expected environmental concentrations
of pesticides in specific habitats where
threatened or endangered species or
other wildlife populations at risk are
found.
(2) Degradation studies. The data from
hydrolysis and photolysis studies are
used to determine the rate of pesticide
degradation and to identify pesticides
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that may adversely affect nontarget
organisms.
(3) Metabolism studies. Data
generated from aerobic and anaerobic
metabolism studies are used to
determine the nature and availability of
pesticides to rotational crops and to aid
in the evaluation of the persistence of a
pesticide.
(4) Mobility studies. These data
requirements pertain to leaching,
adsorption/desorption, and volatility of
pesticides. They provide information on
the mode of transport and eventual
destination of the pesticide in the
environment. This information is used
to assess potential environmental
hazards related to: contamination of
human and animal food; loss of usable
land and water resources to man
through contamination of water
(including ground water); and habitat
loss of wildlife resulting from pesticide
residue movement or transport in the
environment.
(5) Dissipation studies. The data
generated from dissipation studies are
used to assess potential environmental
hazards (under actual field use
conditions) related to: reentry into
treated areas; hazards from residues in
rotational crops and other food sources;
and the loss of land as well as surface
and ground water resources.
(6) Accumulation studies.
Accumulation studies indicate pesticide
residue levels in food supplies that
originate from wild sources or from
rotational crops. Rotational crop studies
are necessary to establish realistic crop
rotation restrictions and to determine if
tolerances may be needed for residues
on rotational crops. Data from irrigated
crop studies are used to determine the
amount of pesticide residues that could
be taken up by representative crops
irrigated with water containing
pesticide residues. These studies allow
the Agency to establish label restrictions
regarding application of pesticides on
sites where the residues can be taken up
by irrigated crops. These data also
provide information that aids the
Agency in establishing any
corresponding tolerances that would be
needed for residues on such crops. Data
from pesticides accumulation studies in
fish are used to establish label
restrictions to prevent applications in
certain sites so that there will be
minimal residues entering edible fish or
shell fish. These residue data are also
used to determine if a tolerance or
action level is needed for residues in
aquatic animals eaten by humans.
(e) Hazards to humans and domestic
animals. Data required to assess hazards
to humans and domestic animals are
derived from a variety of acute,
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subchronic and chronic toxicity tests,
and tests to assess mutagenicity and
pesticide metabolism.
(1) Acute studies. Determination of
acute oral, dermal and inhalation
toxicity is usually the initial step in the
assessment and evaluation of the toxic
characteristics of a pesticide. These data
provide information on health hazards
likely to arise soon after, and as a result
of, short-term exposure. Data from acute
studies serve as a basis for classification
and precautionary labeling. For
example, acute toxicity data are used to
calculate farmworker reentry intervals
and to develop precautionary label
statements pertaining to protective
clothing requirements for applicators.
They also provide information used in
establishing the appropriate dose levels
in subchronic and other studies; provide
initial information on the mode of toxic
action(s) of a substance; and determine
the need for child resistant packaging.
Information derived from primary eye
and primary dermal irritation studies
serves to identify possible hazards from
exposure of the eyes, associated mucous
membranes and skin.
(2) Subchronic studies. Subchronic
tests provide information on health
hazards that may arise from repeated
exposures over a limited period of time.
They provide information on target
organs and accumulation potential. The
resulting data are also useful in
selecting dose levels for chronic studies
and for establishing safety criteria for
human exposure. These tests are not
capable of detecting those effects that
have a long latency period for
expression (e.g., carcinogenicity).
(3) Chronic studies. Chronic toxicity
(usually conducted by feeding the test
substance to the test species) studies are
intended to determine the effects of a
substance in a mammalian species
following prolonged and repeated
exposure. Under the conditions of this
test, effects which have a long latency
period or are cumulative should be
detected. The purpose of long-term
oncogenicity studies is to observe test
animals over most of their life span for
the development of neoplastic lesions
during or after exposure to various
doses of a test substance by an
appropriate route of administration.
(4) Developmental toxicity and
reproduction studies. The
developmental toxicity study is
designed to determine the potential of
the test substance to induce structural
and/or other abnormalities to the fetus
as the result of exposure of the mother
during pregnancy. Two-generation
reproduction testing is designed to
provide information concerning the
general effects of a test substance on
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gonadal function, estrus cycles, mating
behavior, conception, parturition,
lactation, weaning, and the growth and
development of the offspring. The study
may also provide information about the
effects of the test substance on neonatal
morbidity, mortality, and preliminary
data on teratogenesis and serve as a
guide for subsequent tests.
(5) Mutagenicity studies. For each test
substance a battery of tests are required
to assess potential to affect the
mammalian cell’s genetic components.
The objectives underlying the selection
of a battery of tests for mutagenicity
assessment are:
(i) To detect, with sensitive assay
methods, the capacity of a chemical to
alter genetic material in cells.
(ii) To determine the relevance of
these mutagenic changes to mammals.
(iii) When mutagenic potential is
demonstrated, to incorporate these
findings in the assessment of heritable
effects, oncogenicity, and possibly,
other health effects.
(6) Metabolism studies. Data from
studies on the absorption, distribution,
excretion, and metabolism of a pesticide
aid in the valuation of test results from
other toxicity studies and in the
extrapolation of data from animals to
man. The main purpose of metabolism
studies is to produce data which
increase the Agency’s understanding of
the behavior of the chemical in its
consideration of the human exposure
anticipated from intended uses of the
pesticide.
(f) Applicator and post-application
exposure. Data are used to evaluate
exposures to persons in occupational
and non-occupational settings,
including agricultural, residential,
commercial, institutional and
recreational sites. Data include oral,
dermal and inhalation exposure data,
post-application residue data, postapplication monitoring data, use
information, and human activity
information. These data, together with
toxicology data, are used to determine
whether application or post-application
risks are of concern, and, where
appropriate, to develop post-application
restrictions such as reentry restrictions.
(g) Pesticide spray drift evaluation.
Data required to evaluate pesticide
spray drift are derived from studies of
droplet size spectrum and spray drift
field evaluations. These data contribute
to the development of the overall
exposure estimate and, along with data
on toxicity for humans, fish and
wildlife, or plants, are used to assess the
potential hazard of pesticides to these
organisms. A purpose common to all
these tests is to provide data which will
be used to determine the need for (and
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appropriate wording for) precautionary
labeling to minimize the potential
adverse effect to nontarget organisms.
(h) Hazards to nontarget organisms—
(1) General. The information required to
assess hazards to nontarget organisms
are derived from tests to determine
pesticidal effects on birds, mammals,
fish, terrestrial and aquatic invertebrates
and plants. These tests include shortterm acute, subacute, reproduction,
simulated field, and full field studies
arranged in a hierarchial or tier system
which progresses from the basic
laboratory tests to the applied field tests.
The results of each tier of test must be
evaluated to determine the potential of
the pesticide to cause adverse effects,
and to determine whether further testing
is required. A purpose common to all
data requirements is to provide data
which determines the need for (and
appropriate wording for) precautionary
label statements to minimize the
potential adverse effects to nontarget
organisms.
(2) Short-term studies. The short-term
acute and subchronic laboratory studies
provide basic toxicity information
which serves as a starting point for the
hazard assessment. These data are used:
to establish acute toxicity levels of the
active ingredient to the test organisms;
to compare toxicity information with
measured or estimated pesticide
residues in the environment in order to
assess potential impacts on fish, wildlife
and other nontarget organisms; and to
indicate whether further laboratory and/
or field studies are needed.
(3) Long-term and field studies.
Additional studies (i.e., avian, fish, and
invertebrate reproduction, lifecycle
studies and plant field studies) may be
required when basic data and
environmental conditions suggest
possible problems. Data from these
studies are used to: estimate the
potential for chronic effects, taking into
account the measured or estimated
residues in the environment; and to
determine if additional field or
laboratory data are necessary to further
evaluate hazards. Simulated field and/or
field data are used to examine acute and
chronic adverse effects on captive or
monitored fish and wildlife populations
under natural or near-natural
environments. Such studies are required
only when predictions as to possible
adverse effects in less extensive studies
cannot be made, or when the potential
for adverse effects is high.
(i) Product performance.
Requirements to develop data on
product performance provide a
mechanism to ensure that pesticide
products will control the pests listed on
the label and that unnecessary pesticide
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exposure to the environment will not
occur as a result of the use of ineffective
products. Specific performance
standards are used to validate the
efficacy data in the public health areas,
including disinfectants used to control
microorganisms infectious to man in
any area of the inanimate environment
and those pesticides used to control
vertebrates (such as rodents, birds, bats
and skunks) that may directly or
indirectly transmit diseases to humans.
Subpart C [Removed and Reserved]
e. By removing and reserving subpart
C.
f. By revising subpart D to read as
follows:
Subpart D—Product Chemistry
§ 158.300
Definitions.
The following terms are defined for
the purposes of this subpart:
Active ingredient means any
substance (or group of structurally
similar substances, if specified by the
Agency) that will prevent, destroy, repel
or mitigate any pest, or that functions as
a plant regulator, desiccant, defoliant, or
nitrogen stabilizer, within the meaning
of FIFRA sec. 2(b).
End-use product means a pesticide
product whose labeling: (1) Includes
directions for use of the product (as
distributed or sold, or after combination
by the user with other substances) for
controlling pests or defoliating,
desiccating or regulating growth of
plants, or as a nitrogen stabilizer, and
(2) does not state that the product may
be used to manufacture or formulate
other pesticide products.
Formulation means: (1) The process of
mixing, blending, or dilution of one or
more active ingredients with one or
more other active or inert ingredients,
without an intended chemical reaction,
to obtain a manufacturing-use product
or an end-use product, or (2) the
repackaging of any registered product.
Impurity means any substance (or
group of structurally similar substances
if specified by the Agency), in a
pesticide product other than an active
ingredient or an inert ingredient,
including unreacted starting materials,
side reaction products, contaminants,
and degradation products.
Impurity associated with an active
ingredient means: (1) Any impurity
present in the technical grade of active
ingredient; and (2) any impurity which
forms in the pesticide product through
reactions between the active ingredient
and any other component of the product
or packaging of the product.
Inert ingredient means any substance
(or group of structurally similar
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substances if designated by the Agency),
other than the active ingredient, which
is intentionally included in a pesticide
product.
Integrated system means a process for
producing a pesticide product that: (1)
Contains any active ingredient derived
from a source that is not an EPAregistered product; or (2) contains any
active ingredient that was produced or
acquired in a manner that does not
permit its inspection by the Agency
under FIFRA sec. 9(a) prior to its use in
the process.
Manufacturing-use product means
any pesticide product other than an
end-use product. A product may consist
of the technical grade of active
ingredient only, or may contain inert
ingredients, such as stabilizers or
solvents.
Nominal concentration means the
amount of an ingredient which is
expected to be present in a typical
sample of a pesticide product at the
time the product is produced, expressed
as a percentage by weight.
Starting material means a substance
used to synthesize or purify a technical
grade of active ingredient (or the
practical equivalent of the technical
grade ingredient if the technical grade
cannot be isolated) by chemical
reaction.
Technical grade of active ingredient
means a material containing an active
ingredient: (1) Which contains no inert
ingredient, other than one used for
purification of the active ingredient; and
(2) which is produced on a commercial
or pilot plant production scale (whether
or not it is ever held for sale).
§ 158.310 Product chemistry data
requirements table.
(a) General. (1) Sections 158.100
through 158.130 describe how to use
this table to determine the product
chemistry data requirements for a
particular pesticide product. Notes that
apply to an individual test and include
specific conditions, qualifications, or
exceptions to the designated test are
listed in paragraph (f) of the section.
(2) Depending on the results of the
required product chemistry studies,
appropriate use restrictions, labeling
requirements, or special packaging
requirements may be imposed.
(3) All product chemistry data, as
described in this section, are required to
be submitted to support a request for an
experimental use permit.
(b) Use patterns. Product chemistry
data are required for all pesticide
products and are not use specific.
(c) Test substance. Data requirements
that list only the manufacturing-use
product as the test substance apply to
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products containing solely the technical
grade of the active ingredient and
manufacturing-use products to which
other ingredients have been
intentionally added.
(d) Key. R=Required;
CR=Conditionally required;
MP=Manufacturing-use product;
NR=Not required; EP=End-use product;
TGAI=Technical grade of the active
ingredient; PAI=Pure active ingredient.
(e) Table. The following table shows
the data requirements for product
chemistry. The table notes are shown in
paragraph (f) of this section.
PRODUCT CHEMISTRY DATA REQUIREMENTS
Use Pattern
Guideline Number
Test substance to support
Data Requirement
All
MP
EP
Test Note
No.
Product Identity and Composition
830.1550
Product identity and composition
R
MP
EP
1
830.1600
Description of materials used to produce the product
R
MP
EP
2
830.1620
Description of production process
R
MP
EP
3
830.1650
Description of formulation process
R
MP
EP
4
830.1670
Discussion of formulation of impurities
R
MP, and possibly
TGAI
EP, and possibly
TGAI
5
830.1700
Preliminary analysis
CR
MP, and possibly
TGAI
EP, and possibly
TGAI
6, 9, 10
830.1750
Certified limits
R
MP
EP
7
830.1800
Enforcement analytical method
R
MP
EP
8
830.1900
Submittal of samples
CR
MP, PAI and TGAI
EP, PAI, TGAI
9, 11
Physical and Chemical Properties.
830.6302
Color
R
MP and TGAI
TGAI
9
830.6303
Physical state
R
MP and TGAI
EP and TGAI
9
830.6304
Odor
R
MP and TGAI
TGAI
9
830.6313
Stability to normal and elevated temperatures, metals, and metal ions
R
TGAI
TGAI
9, 12
830.6314
Oxidation/reduction: chemical incompatability
CR
MP
EP
13
830.6315
Flammability
CR
MP
EP
14
830.6316
Explodability
CR
MP
EP
15
830.6317
Storage stability
R
MP
EP
830.6319
Miscibility
CR
MP
EP
830.6320
Corrosion characteristics
R
MP
EP
830.6321
Dielectric breakdown voltage
CR
NR
EP
830.7000
pH
CR
MP and TGAI
EP and TGAI
830.7050
UV/visible light absorption
R
TGAI
TGAI
830.7100
Viscosity
CR
MP
EP
830.7200
Melting point/melting range
R
TGAI or PAI
TGAI or PAI
9, 20
830.7220
Boiling point/boiling range
R
TGAI or PAI
TGAI or PA
9, 21
830.7300
Density/relative density/bulk density
R
MP and TGAI
EP and TGAI
9, 22
830.7370
Dissociation constants in water
R
TGAI or PAI
TGAI or PAI
9, 23
830.7520
Particle size, fiber length, and diameter distribution
CR
TGAI or PAI
TGAI or PAI
24
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12337
PRODUCT CHEMISTRY DATA REQUIREMENTS—Continued
Use Pattern
Guideline Number
Test substance to support
Data Requirement
All
MP
EP
Test Note
No.
830.7550
830.7560
830.7570
Partition coefficient (n-octanol/water)
CR
TGAI or PAI
TGAI or PAI
25
830.7840
830.7860
Water solubility
R
TGAI or PAI
TGAI or PAI
9
830.7950
Vapor pressure
R
TGAI or PAI
TGAI or PAI
9, 26
(f) Test notes. The following test notes
are applicable to the product chemistry
data requirements in the table to
paragrpah (e) of this section:
1. Data must be provided in accordance
with § 158.320.
2. Data must be provided in accordance
with § 158.325.
3. Data must be provided in accordance
with § 158.330.
4. Data must be provided in accordance
with § 158.335.
5. Data must be provided in accordance
with § 158.340.
6. Data must be provided in accordance
with § 158.345.
7. Data must be provided in accordance
with § 158.350.
8. Data must be provided in accordance
with § 158.355.
9. If the TGAI cannot be isolated, data are
required on the practical equivalent of the
TGAI.
10. Data are required if the product is
produced by an integrated system.
11. Basic manufacturers are required to
provide the Agency with a sample of each
TGAI used to formulate a product produced
by an integrated system when the new TGAI
is first used as a formulating ingredient in
products registered under FIFRA. A sample
of the active ingredient (PAI) suitable for use
as an analytical standard is also required at
this time. Samples of end-use products
produced by an integrated system must be
submitted on a case-by-case basis.
12. Data on the stability to metals and
metal ions is required only if the active
ingredient is expected to come in contact
with either material during storage.
13. Required when the product contains an
oxidizing or reducing agent.
14. Required when the product contains
combustible liquids.
15. Required when the product is
potentially explosive.
16. Required when the product is an
emulsifiable liquid and is to be diluted with
petroleum solvent.
17. Required when the EP is a liquid and
is to be used around electrical equipment.
18. Required when the test substance is
soluble or dispersible in water.
19. Required when the product is a liquid.
20. Required when the TGAI is solid at
room temperature.
21. Required when the TGAI is liquid at
room temperature.
22. True density or specific density are
required for all test substances. Data on bulk
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density is required for MPs that are solid at
room temperature.
23. Required when the test substance
contains an acid or base functionality
(organic or inorganic) or an alcoholic
functionality (organic).
24. Required for water insoluble test
substances (<10-6 g/l) and fibrous test
substances with diameter ≥0.1 µm.
25. Required for all organic chemicals
unless they dissociate in water or are
partially or completely soluble in water.
26. Not required for salts.
§ 158.320 Product identity and
composition.
Information on the composition of the
pesticide product must be furnished.
The information required by paragraphs
(a), (b), and (f) of this section must be
provided for each product. In addition,
if the product contains is produced by
an integrated system, the information on
impurities required by paragraphs (c)
and (d) of this section must be provided.
(a) Active ingredient. The following
information is required for each active
ingredient in the product:
(1) If the source of any active
ingredient in the product is an EPAregistered product:
(i) The chemical and common name
(if any) of the active ingredient, as listed
on the source product.
(ii) The nominal concentration of the
active ingredient in the product, based
upon the nominal concentration of
active ingredient in the source product.
(iii) Upper and lower certified limits
of the active ingredient in the product,
in accordance with § 158.350.
(2) If the source of any active
ingredient in the product is not an EPAregistered product:
(i) The chemical name according to
Chemical Abstracts Society (CAS)
nomenclature, the CAS Registry
Number, and any common names.
(ii) The molecular, structural, and
empirical formulae and the molecular
weight or weight range.
(iii) The nominal concentration.
(iv) Upper and lower certified limits
of the active ingredient in accordance
with § 158.350.
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(v) The purpose of the ingredient in
the formulation.
(b) Inert ingredients. The following
information is required for each inert
ingredient (if any) in the product:
(1) The chemical name of the
ingredient according to Chemical
Abstracts Society nomenclature, the
CAS Registry Number, and any common
names (if known). If the chemical
identity or chemical composition of an
ingredient is not known to the applicant
because it is proprietary or trade secret
information, the applicant must ensure
that the supplier or producer of the
ingredient submits to the Agency (or has
on file with the Agency) information on
the identity or chemical composition of
the ingredient. Generally, it is not
required that an applicant know the
identity of each ingredient in a mixture
that he uses in his product. However, in
certain circumstances, the Agency may
require that the applicant know the
identity of a specific ingredient in such
a mixture. If the Agency requires
specific knowledge of an ingredient, it
will notify the applicant in writing.
(2) The nominal concentration in the
product.
(3) Upper and lower certified limits in
accordance with § 158.350.
(4) The purpose of the ingredient in
the formulation.
(c) Impurities of toxicological
significance associated with the active
ingredient. For each impurity associated
with the active ingredient that is
determined by EPA to be toxicologically
significant, the following information is
required:
(1) Identification of the ingredient as
an impurity.
(2) The chemical name of the
impurity.
(3) The nominal concentration of the
impurity in the product.
(4) A certified upper limit, in
accordance with § 158.350.
(d) Other impurities associated with
the active ingredient. For each other
impurity associated with an active
ingredient that was found to be present
in any sample at a level ≥0.1 percent by
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weight of the technical grade active
ingredient the following information is
required:
(1) Identification of the ingredient as
an impurity.
(2) The chemical name of the
impurity.
(3) The nominal concentration of the
impurity in the final product.
(e) Impurities associated with an inert
ingredient. [Reserved]
(f) Ingredients that cannot be
characterized. If the identity of any
ingredient or impurity cannot be
specified as a discrete chemical
substance (such as mixtures that cannot
be characterized or isomer mixtures),
the applicant must provide sufficient
information to enable EPA to identify its
source and qualitative composition.
§ 158.325 Description of materials used to
produce the product.
The following information must be
submitted on the materials used to
produce the product:
(a) Products not produced by an
integrated system. (1) For each active
ingredient that is derived from an EPAregistered product:
(i) The name of the EPA-registered
product.
(ii) The EPA registration number of
that product.
(2) For each inert ingredient:
(i) Each brand name, trade name,
common name, or other commercial
designation of the ingredient.
(ii) All information that the applicant
knows (or that is reasonably available to
him) concerning the composition (and,
if requested by the Agency, chemical
and physical properties) of the
ingredient, including a copy of technical
specifications, data sheets, or other
documents describing the ingredient.
(iii) If requested by the Agency, the
name and address of the producer of the
ingredient or, if that information is not
known to the applicant, the name and
address of the supplier of the ingredient.
(b) Products produced by an
integrated system. (1) The information
required by paragraph (a)(1) of this
section concerning each active
ingredient that is derived from an EPAregistered product (if any).
(2) The following information
concerning each active ingredient that is
not derived from an EPA-registered
product:
(i) The name and address of the
producer of the ingredient (if different
from the applicant).
(ii) Information about each starting
material used to produce the active
ingredient, as follows:
(A) Each brand name, trade name, or
other commercial designation of the
starting material.
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(B) The name and address of the
person who produces the starting
material or, if that information is not
known to the applicant, the name and
address of each person who supplies the
starting material.
(C) All information that the applicant
knows (or that is reasonably available to
him), concerning the composition (and
if requested by the Agency, chemical or
physical properties) of the starting
material, including a copy of all
technical specifications, data sheets, or
other documents describing it.
(3) The information required by
paragraph (a)(2) of this section
concerning each inert ingredient.
(c) Additional information. On a caseby-case basis, the Agency may require
additional information on substances
used in the production of the product.
§ 158.330
process.
Description of production
If the product is produced by an
integrated system, the applicant must
submit information on the production
(reaction) processes used to produce the
active ingredients in the product. The
applicant must also submit information
about the formulation process, in
accordance with § 158.335.
(a) Information must be submitted for
the current production process for each
active ingredient that is not derived
from an EPA-registered product. If the
production process is not continuous (a
single reaction process form starting
materials to active ingredient), but is
accomplished in stages or by different
producers, the information must be
provided for each such production
process.
(b) The following information must be
provided for each process resulting in a
separately isolated substance:
(1) The name and address of the
producer who uses the process, if not
the same as the applicant.
(2) A general characterization of the
process (e.g., whether it is a batch or
continuous process).
(3) A flow chart of the chemical
equations of each intended reaction
occurring at each step of the process,
and of the duration of each step and of
the entire process.
(4) The identity of the materials used
to produce the product, their relative
amounts, and the order in which they
are added.
(5) A description of the equipment
used that may influence the
composition of the substance produced.
(6) A description of the conditions
(e.g., temperature, pressure, pH,
humidity) that are controlled during
each step of the process to affect the
composition of the substance produced,
and the limits that are maintained.
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(7) A description of any purification
procedures (including procedures to
recover or recycle starting materials,
intermediates or the substance
produced).
(8) A description of the procedures
used to assure consistent composition of
the substance produced, e.g., calibration
of equipment, sampling regimens,
analytical methods, and other quality
control methods.
§ 158.335
process.
Description of formulation
The applicant must provide
information on the formulation process
of the product (unless the product
consists solely of a technical grade of
active ingredient) as required by the
following sections:
(a) Section 158.330(b)(2), pertaining to
characterization of the process.
(b) Section 158.330(b)(4), pertaining
to ingredients used in the process.
(c) Section 158.330(b)(5), pertaining to
process equipment.
(d) Section 158.330(b)(6), pertaining
to the conditions of the process.
(e) Section 158.330(b)(8), pertaining to
quality control measures.
§ 158.340 Discussion of formation of
impurities.
The applicant must provide a
discussion of the impurities that may be
present in the product, and why they
may be present. The discussion should
be based on established chemical theory
and on what the applicant knows about
the starting materials, technical grade of
active ingredient, inert ingredients, and
production or formulation process. If
the applicant has reason to believe that
an impurity that EPA would consider
toxicologically significant may be
present, the discussion must include an
expanded discussion of the possible
formation of the impurity and the
amounts at which it might be present.
The impurities which must also be
discussed are the following, as
applicable:
(a) Technical grade active ingredients
and products produced by an integrated
system. (1) Each impurity associated
with the active ingredient which was
found to be present in any analysis of
the product conducted by or for the
applicant.
(2) Each other impurity which the
registrant or applicant has reason to
believe may be present in his product at
any time before use at a level ≥0.1
percent (1,000 ppm) by weight of the
technical grade of the active ingredient,
based on what he knows about the
following:
(i) The composition (or composition
range) of each starting material used to
produce his product.
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(ii) The impurities which the
applicant knows are present (or believes
are likely to be present) in the starting
materials, and the known or presumed
level (or range of levels) of these
impurities.
(iii) The intended reactions and side
reactions which may occur in the
production of the product, and the
relative amounts of byproduct
impurities produced by such reactions.
(iv) The possible degradation of the
ingredients in the product after its
production but prior to its use.
(v) Post-production reactions between
the ingredients in the product.
(vi) The possible migration of
components of packaging materials into
the pesticide.
(vii) The possible carryover of
contaminants from use of production
equipment previously used to produce
other products or substances.
(viii) The process control, purification
and quality control measures used to
produce the product.
(b) Products not produced by an
integrated system. Each impurity
associated with the active ingredient
which the applicant has reason to
believe may be present in the product at
any time before use at a level ≥0.1
percent (1,000 ppm) by weight of the
product based on what he knows about
the following:
(1) The possible carryover of
impurities present in any registered
product which serves as the source of
any of the product’s active ingredients.
The identity and level of impurities in
the registered source need not be
discussed or quantified unless known to
the formulator.
(2) The possible carryover of
impurities present in the inert
ingredients in the product.
(3) Possible reactions occurring
during the formulation of the product
between any of its active ingredients,
between the active ingredients and inert
ingredients, or between the active
ingredient and the production
equipment.
(4) Post-production reactions between
any of the product’s active ingredients
and any other component of the product
or its packaging.
(5) Possible migration of packaging
materials into the product.
(6) Possible contaminants resulting
from earlier use of equipment to
produce other products.
(c) Expanded discussion. On a caseby-case basis, the Agency may require
an expanded discussion of information
of impurities:
(1) From other possible chemical
reactions.
(2) Involving other ingredients.
(3) At additional points in the
production or formulation process.
§ 158.345
Preliminary analysis.
(a) If the product is produced by an
integrated system, the applicant must
provide a preliminary analysis of each
technical grade of active ingredient
contained in the product to identify all
impurities present at 0. 1 percent or
greater of the technical grade of the
active ingredient. The preliminary
analysis should be conducted at the
point in the production process after
which no further chemical reactions
designed to produce or purify the
substances are intended.
(b) Based on the preliminary analysis,
a statement of the composition of the
technical grade of the active ingredient
must be provided. If the technical grade
of the active ingredient cannot be
isolated, a statement of the composition
of the practical equivalent of the
12339
technical grade of the active ingredient
must be submitted.
§ 158.350
Certified limits.
The applicant must propose certified
limits for the ingredients in the product.
Certified limits become legally binding
limits upon approval of the application.
Certified limits will apply to the
product from the date of production to
date of use, unless the product label
bears a statement prohibiting use after a
certain date, in which case the certified
limits will apply only until that date.
(a) Ingredients for which certified
limits are required. Certified limits are
required on the following ingredients of
a pesticide product:
(1) An upper and lower limit for each
active ingredient.
(2) An upper and lower limit for each
inert ingredient.
(3) If the product is a technical grade
of active ingredient or is produced by an
integrated system, an upper limit for
each impurity of toxicological
significance associated with the active
ingredient and found to be present in
any sample of the product.
(4) On a case-by-case basis, certified
limits for other ingredients or impurities
as specified by EPA.
(b) EPA determination of standard
certified limits for active and inert
ingredients. (1) Unless the applicant
proposes different limits as provided in
paragraph (c) of this section, the upper
and lower certified limits for active and
inert ingredients will be determined by
EPA. EPA will calculate the certified
limits on the basis of the nominal
concentration of the ingredient in the
product, according to the table in
paragraph (b)(2) of this section.
(2) Table of standard certified limits.
STANDARD CERTIFIED LIMITS
If the nominal concentration (N) for the ingredient and percentage by weight for the ingredient is:
The certified limits for that ingredient will be as follows:
Upper Limit
Lower Limit
N ≤1.0%
N + 10%N
N - 10%N
1.0% ≤N ≤20.0%
N + 5%N
N - 5%N
20.0%≤N≤100.0%
N + 3%N
N - 3%N
(c) Applicant proposed limits. (1) The
applicant may propose a certified limit
for an active or inert ingredient that
differs from the standard certified limit
calculated according to paragraph (b)(2)
of this section.
(2) If certified limits are required for
impurities, the applicants must propose
a certified limit. The standard certified
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limits may not be used for such
substances.
(3) Certified limits should:
(i) Be based on a consideration of the
variability of the concentration of the
ingredient in the product when good
manufacturing practices and normal
quality control procedures are used.
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(ii) Allow for all sources of variability
likely to be encountered in the
production process.
(iii) Take into account the stability of
the ingredient in the product and the
possible formation of impurities
between production and sale or
distribution.
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(4) The applicant may include an
explanation of the basis of his proposed
certified limits, including how the
certified limits were arrived at (e.g.,
sample analysis, quantitative estimate
based on production process), and its
accuracy and precision. This will be
particularly useful if the range of the
certified limit for an active or inert
ingredient is greater than the standard
certified limits.
(d) Special cases. If the Agency finds
unacceptable any certified limit (either
standard, or applicant proposed), the
Agency will inform the registrant or
applicant of its determination and will
provide supporting reasons. The Agency
may also recommend alternative limits
to the applicant. The Agency may
require, on a case-by-case basis, any or
all of the following:
(1) More precise limits.
(2) More thorough explanation of how
the certified limits were determined.
(3) A narrower range between the
upper and lower certified limits than
that proposed.
(e) Certification statement. The
applicant must certify the accuracy of
the information presented, and that the
certified limits of the ingredients will be
maintained. The following statement,
signed by the authorized representative
of the company, is acceptable:
I hereby certify that, for purposes of FIFRA
sec. 12(a)(1)(C), the description of the
composition of [insert product name], EPA
Reg. No. [insert registration number], refers to
the composition set forth on the Statement of
Formula and supporting materials. This
description includes the representations that:
(1) No ingredient will be present in the
product in an amount greater than the upper
certified limit or in an amount less than the
lower certified limit (if required) specified for
that ingredient in a currently approved
Statement of Formula (or as calculated by the
Agency); and (2) If the Agency requires that
the source of supply of an ingredient be
specified, that all quantities of such
ingredient will be obtained from the source
specified in the Statement of Formula.
§ 158.355
Enforcement analytical method.
An analytical method suitable for
enforcement purposes must be provided
for each active ingredient in the product
and for each other ingredient or
impurity that the Agency determines to
be toxicologically significant.
g. By adding subpart E to read as
follows:
Subpart E—Terrestrial and Aquatic
Nontarget Organisms
§ 158.400 Terrestrial and aquatic nontarget
organisms data requirements table.
(a) General. Sections 158.100 through
158.130 describe how to use this table
to determine the terrestrial and aquatic
nontarget data requirements for a
particular pesticide product. Notes that
apply to an individual test including
specific conditions, qualifications, or
exceptions to the designated test are
listed in paragraph (e) of this section.
(b) Use patterns. (1) The terrestrial use
pattern includes products classified
under the general use patterns of
terrestrial food crop, terrestrial feed
crop, and terrestrial nonfood crop. The
greenhouse use pattern includes
products classified under the general
use patterns of greenhouse food crop
and greenhouse nonfood crop. The
indoor use pattern includes products
classified under the general use patterns
of indoor food, and indoor nonfood use.
(2) Data are also required for the
general use patterns of aquatic food
crop, aquatic nonfood residential,
aquatic nonfood outdoor, forestry and
residential outdoor use.
(3) In general, for all outdoor end-use
products including turf, the following
studies are required: two avian oral
LD50, two avian dietary LC50, two avian
reproduction studies, two freshwater
fish LC50, one freshwater invertebrate
EC50, one honeybee acute contact LD50,
one freshwater fish early-life stage, one
freshwater invertebrate life-cycle, and
three estuarine acute LC50/EC50 studies
- fish, oyster, and mysid. All other
outdoor residential uses, i.e., gardens
and ornamental will not usually require
the freshwater fish early-life stage, the
freshwater invertebrate life-cycle, and
the acute estuarine tests.
(c) Key: R=Required;
CR=Conditionally required; NR=Not
required; []=Required or conditionally
required for an experimental use permit;
TGAI=Technical grade of the active
ingredient; TEP=Typical end-use
product; PAI=Pure active ingredient;
Commas between the test substances
(i.e., TGAI, TEP) indicate that data may
be required on the TGAI or the TEP
depending on the conditions set forth in
the test note.
(d) Table. The following table shows
the data requirements for nontarget
terrestrial and aquatic organism. The
table notes are shown in paragraph (e)
of this section.
TERRESTRIAL AND AQUATIC NONTARGET ORGANISM DATA REQUIREMENTS
Use Pattern
Aquatic
Guideline
Number
Data Requirement
Terrestrial
Forestry
Nonfood
Food
Outdoor
Residential
Outdoor
Greenhouse
Indoor
Residential
Test
substance
Test Note No.
Avian and Mammalian Testing
850.2100
Avian oral toxicity
[R]
[R]
[R]
R
[R]
[R]
CR
CR
TGAI,
TEP
1, 2, 3, 4
850.2200
Avian dietary toxicity
[R]
[R]
[R]
CR
[R]
[R]
NR
NR
TGAI
1, 3, 5, 6
850.2400
Wild mammal toxicity
CR
CR
CR
NR
CR
CR
NR
NR
TGAI
7
850.2300
Avian reproduction
R
R
R
NR
R
R
NR
NR
TGAI
1, 5
850.2500
Simulated or actual
field testing
CR
CR
CR
NR
CR
CR
NR
NR
TEP
8, 9
Aquatic Organisms Testing
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TERRESTRIAL AND AQUATIC NONTARGET ORGANISM DATA REQUIREMENTS—Continued
Use Pattern
Aquatic
Guideline
Number
Data Requirement
Terrestrial
Forestry
Nonfood
Food
Outdoor
Residential
Outdoor
Greenhouse
Indoor
Residential
Test
substance
Test Note No.
850.1075
Freshwater fish toxicity
[R]
[R]
[R]
R
[R]
R
CR
CR
TGAI,
TEP
1, 2, 10, 11
850.1010
Acute toxicity freshwater invertebrates
[R]
[R]
[R]
R
[R]
R
CR
CR
TGAI,
TEP
1, 2, 11, 12
850.1025
850.1035
850.1045
850.1055
850.1075
Acute toxicity estuarine and marine
organisms
R
R
R
NR
R
R
NR
NR
TGAI,
TEP
1, 11, 13, 14
850.1300
Aquatic invertebrate
life-cycle (freshwater)
R
[R]
[R]
NR
[R]
CR
NR
NR
TGAI
1, 12, 14
850.1350
Aquatic invertebrate
life-cycle (saltwater)
CR
CR
CR
NR
CR
CR
NR
NR
TGAI
14, 16, 17
850.1400
Fish early-life stage
(freshwater)
R
[R]
[R]
NR
[R]
CR
NR
NR
TGAI
1, 14, 15
850.1400
Fish early-life stage
(saltwater)
CR
CR
CR
NR
CR
CR
NR
NR
TGAI
14, 17, 18
850.1500
Fish life-cycle
CR
CR
CR
NR
CR
CR
NR
NR
TGAI
19, 20
850.1710
850.1730
850.1850
Aquatic organisms
bioavailability,
biomagnification,
toxicity
CR
CR
CR
NR
CR
NR
NR
NR
TGAI,
PAI,
degradate
21
850.1950
Simulated or actual
field testing for
aquatic organisms
CR
CR
CR
NR
CR
CR
NR
NR
TEP
9, 22
Sediment Testing
850.1735
Whole sediment:
acute freshwater
invertebrates
CR
CR
CR
NR
CR
NR
NR
NR
TGAI
23
850.1740
Whole sediment:
acute marine invertebrates
CR
CR
CR
NR
CR
NR
NR
NR
TGAI
23
--
Whole sediment:
chronic invertebrates freshwater
and marine
CR
CR
CR
NR
CR
NR
NR
NR
TGAI
24
Insect Pollinator Testing
850.3020
Honey bee acute
contact toxicity
[R]
[R]
[R]
NR
[R]
R
NR
NR
TGAI
1
850.3030
Honey bee toxicity
of residues on foliage
CR
CR
CR
NR
CR
CR
NR
NR
TEP
25
850.3040
Field testing for pollinators
CR
CR
CR
CR
CR
CR
NR
NR
TEP
26
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TERRESTRIAL AND AQUATIC NONTARGET ORGANISM DATA REQUIREMENTS—Continued
Use Pattern
Aquatic
Guideline
Number
Data Requirement
Terrestrial
Forestry
Nonfood
Food
Outdoor
Residential
Outdoor
Greenhouse
Residential
Test Note No.
Indoor
Test
substance
Nontarget Insect Testing
142–1
Acute toxicity to
aquatic insects
--
--
--
--
--
--
--
--
TGAI
27
142–1
Aquatic insect lifecycle
--
--
--
--
--
--
--
--
TEP
27
142–3
Simulated or actual
field testing for
aquatic insects
--
--
--
--
--
--
--
--
TEP
27
143–1
143–2
143–3
Predators and
parasites
--
--
--
--
--
--
--
--
TEP
27
(e) Test notes. The following test
notes apply to terrestrial and aquatic
nontarget organisms data requirements
in the table to paragraph (d) of this
section:
1. Data using the TGAI are required to
support all outdoor end-use product uses
including, but not limited to turf. Data are
generally not required to support end-use
products in the form of a gas, a highly
volatile liquid, a highly reactive solid, or a
highly corrosive material.
2. For greenhouse and indoor end-use
products, data using the TGAI are required to
support manufacturing-use products to be
reformulated into these same end-use
products or to support end-use products
when there is no registered manufacturinguse product. Avian acute oral not required
for liquid formulations for greenhouse and
indoor uses. Study not required if there is no
potential for environmental exposure.
3. Data using the TEP are conditionally
required based on the results of the avian
acute oral (TGAI) and avian subacute dietary
tests, intended use pattern, and
environmental fate characteristics that
indicate potential exposure.
4. Data are preferred on redwing blackbird
(Agelaius phoneiceus) and either mallard or
bobwhite quail for terrestrial, aquatic,
forestry, and residential outdoor uses. Data
are preferred on mallard or bobwhite quail
for indoor and greenhouse uses.
5. Data are preferred on mallard and
bobwhite quail.
6. For aquatic nonfood residential uses,
data are required to support liquid and solid
formulated products on one species if the
avian oral LD50 of the TGAI is less than or
equal to 100 mg a.i./kg. Data on a second
species are required if the avian dietary LC50
in the first species tested is less than or equal
to 500 ppm a.i. in the diet.
7. Tests are required based on the results
of lower tier toxicology studies, such as the
acute and subacute testing, intended use
pattern, and environmental fate
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characteristics that indicate potential
exposure.
8. Tests are required based on the results
of lower tier studies such as acute, subacute
or reproduction bird and mammal testing,
intended use pattern, and environmental fate
characteristics that indicate potential
exposure.
9. Environmental chemistry methods used
to generate data associated with this study
must include results of a successful
confirmatory method trial by an independent
laboratory. Test standards and procedures for
independent laboratory validation are
available as addenda to the guideline for this
test requirement.
10. Data are preferred on rainbow trout and
bluegill for terrestrial, aquatic, forestry, and
residential outdoor uses. For indoor and
greenhouse uses, testing with only one of
either fish species is required. Generally, a
second species will not be required for
indoor and greenhouse use if the selected
species LC50 is 1 ppm or less. However, if the
TGAI is stable in the hydrolysis study, and
the LC50 value of the first fish tested is
between 1 ppm and 10 ppm, then testing
with both species is required.
11. Freshwater fish LC50 (the most sensitive
of the species tested) using the TGAI,
freshwater invertebrate EC50 (preferably
Daphnia), and acute LC50/EC50 estuarine and
marine organisms studies using the EP or
TEP are required for any product which
meets any of the following conditions:
i. The end-use pesticide will be introduced
directly into an aquatic environment (e.g.,
aquatic herbicides and mosquito larvicides)
when used as directed.
ii. The maximum expected environmental
concentration (MEEC) or the estimated
environmental concentration in the aquatic
environment is equal to or greater than onehalf the LC50 or EC50 of the TGAI when the
EP is used as directed.
iii. An ingredient in the end-use
formulation other than the active ingredient
is expected to enhance the toxicity of the
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active ingredient or to cause toxicity to
aquatic organisms.
12. Data are preferred on Daphnia magna.
13. Data are preferred on eastern oyster
(Crassostrea virginica) and oppossum shrimp
(America mysis) formerly (Mysidopsis bahia)
and silver side (Menidia sp. )
14. Data are generally not required for
other, non-turf, outdoor residential uses, i.e.,
gardens and ornamentals.
15. Data are preferred on rainbow trout. If
fathead minnow (Pimephales promelus) is
used, a 96 hour LC50 on that species must
also be provided.
16. Data are preferred on oppossum shrimp
(America mysis) formerly (Mysidopsis bahia).
17. Data are required on estuarine species
if the product is:
i. Intended for direct application to the
estuarine or marine environment.
ii. Expected to enter this environment in
significant concentrations because of its
expected use or mobility patterns.
iii. If the acute LC50 or EC50< 1 mg/l.
iv. If the estimated environmental
concentration in water is equal to or greater
than 0.01 of the acute EC50 or LC50 and any
of the following conditions exist:
A. Studies of other organisms indicate the
reproductive physiology of fish and/or
invertebrates may be affected.
B. Physicochemical properties indicate
bioaccumulation of the pesticide.
C. The pesticide is persistent in water (e.g.,
half-life in water greater than 4 days).
18. Data are preferred on sheepshead
minnow (Cypinodon variegatus).
19. Data are required on estuarine species
if the product is intended for direct
application to the estuarine or marine
environment, or the product is expected to
enter this environment in significant
concentrations because of its expected use or
mobility patterns.
20. Data are required if the end-use product
is intended to be applied directly to water,
or is expected to be transported to water from
the intended use site, and when any of the
following conditions apply:
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i. If the estimated environmental
concentration [See Hazard Evaluation
Division Standard Evaluation Procedure
Ecological Risk Assessment (EPA–540/09–
86–167)] is greater than or equal to 0.1 of the
no-observed-effect level in the fish early lifestage or invertebrate life-cycle test;
ii. If studies of other organisms indicate
that the reproductive physiology of fish may
be affected.
21. Required based on the results of fish or
aquatic nontarget organism accumulation
studies (guidelines 850.1730 and 850.1950).
22. Tests are required based on the results
of lower tier studies such as acute and
chronic aquatic organism testing, intended
use pattern, and environmental fate
characteristics that indicate significant
potential exposure.
23. Testing is required if the soil partition
coefficient (Kd) is equal to or greater than 50
and the half-life of the pesticide in the
sediment is equal to or less than 10 days in
either the aerobic soil or aquatic metabolism
studies. Registrants should consult with the
Agency on appropriate test protocols.
24. Testing is required if:
i. The estimated environmental
concentration is equal to or greater than the
acute sediment EC50/LC50.
ii. The soil partition coefficient (Kd) is
equal to or greater than 50.
(iii) The half-life of the pesticide in the
sediment is greater than 10 days in either the
aerobic soil or aquatic metabolism studies.
Registrants should consult with the Agency
on appropriate test protocols.
25. Data required only when the
formulation contains one or more active
ingredients having an acute LD50 of <11 µg/
bee as determined in the honey bee acute
contact study (guideline 850.3020) and the
use pattern(s) indicate(s) that honey bees may
be exposed to the pesticide.
26. Required if any of the following
conditions are met:
i. Data from other sources (Experimental
Use Permit program, university research,
registrant submittals, etc.) indicate potential
adverse effects on colonies, especially effects
other than acute mortality (reproductive,
behavioral, etc.);
ii. Data from residual toxicity studies
indicate extended residual toxicity.
iii. Data derived from studies with
arthropods other than bees that indicate
potential chronic, reproductive, or behavioral
effects.
27. This requirement is reserved pending
further evaluation by EPA to determine what
and when data should be required, and to
develop appropriate test methods.
h. By adding subpart F to read as
follows:
Subpart F—Toxicology
§ 158.500
table.
Toxicology data requirements
(a) General. Sections 158.100 through
158.130 describe how to use this table
to determine the toxicology data
requirements for a particular pesticide
product. Notes that apply to an
individual test and include specific
conditions, qualifications, or exceptions
to the designated test are listed in
paragraph (e) of this section.
(b) Use patterns. (1) Food use patterns
include products classified under the
general use patterns of terrestrial food
crop use, terrestrial feed crop use,
aquatic food crop use, greenhouse food
crop use, and indoor food use.
(2) Nonfood use patterns include
products classified under the general
use patterns of terrestrial nonfood crop
use, aquatic nonfood crop use, aquatic
nonfood outdoor use, greenhouse
nonfood crop use, forestry use,
residential outdoor use, indoor nonfood
use, and indoor residential use.
(c) Key. R=Required;
CR=Conditionally required; NR=Not
required; []=Required or conditionally
required for an experimental use permit;
MP=Manufacturing-use product;
EP=End-use product; TGAI=Technical
grade of the active ingredient; PAI=Pure
active ingredient; PAIRA=Pure active
ingredient radio-labeled; Choice=Choice
of several test substances depending on
study required.
(d) Table.The following table shows
the toxicology data requirements. The
table notes are shown in paragraph (e)
of this section.
TABLE—TOXICOLOGY DATA REQUIREMENTS
Use Pattern
Guideline Number
Test substance to support
Test Note
No.
Data Requirements
Food
Nonfood
MP
EP
Acute Testing
870.1100
Acute oral toxicity—rat
[R]
[R]
MP and
TGAI
TGAI, EP,
and possibly diluted EP
1, 2
870.1200
Acute dermal toxicity
[R]
[R]
MP and
TGAI
TGAI, EP,
and possibly diluted EP
1, 2, 3
870.1300
Acute inhalation toxicity - rat
[R]
[R]
MP and
TGAI
TGAI and
EP
4
870.2400
Primary eye irritation - rabbit
[R]
[R]
MP
TGAI and
EP
3
870.2500
Primary dermal irritation
[R]
[R]
MP
TGAI and
EP
1, 3
870.2600
Dermal sensitization
[R]
[R]
MP
TGAI and
EP
3, 5
870.6100
Delayed neurotoxicity (acute) - hen
[CR]
[CR]
TGAI
TGAI
6
870.6200
Acute neurotoxicity - rat
R
R
TGAI
TGAI
7
[R]
CR
TGAI
TGAI
8, 9
Subchronic Testing
870.3100
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TABLE—TOXICOLOGY DATA REQUIREMENTS—Continued
Use Pattern
Guideline Number
Test substance to support
Test Note
No.
Data Requirements
Food
Nonfood
MP
EP
870.3150
90–day Oral - non-rodent
[R]
CR
TGAI
TGAI
8
870.3200
21/28–day Dermal
R
NR
TGAI
TGAI and
EP
10, 11
870.3250
90–day Dermal
CR
R
TGAI
TGAI and
EP
11, 12
870.3465
90–day Inhalation - rat
CR
CR
TGAI
TGAI
13, 14
870.6100
28–day Delayed neurotoxicity-hen
CR
CR
TGAI
TGAI
15
870.6200
90–day Neurotoxicity - rat
R
R
TGAI
TGAI
7, 16
870.4100
Chronic oral - rodent and non-rodent
[R]
CR
TGAI
TGAI
17, 18, 19
870.4200
Carcinogenicity - two rodent species - rat and
mouse preferred
R
CR
TGAI
TGAI
9, 17, 18, 19,
20, 21
Chronic Testing
Developmental Toxicity and Reproduction
870.3700
Prenatal Developmental toxicity - rat and rabbit, preferred
[R]
R
TGAI
TGAI
22, 23, 24,
25, 26
870.3800
Reproduction
[R]
R
TGAI
TGAI
26, 27, 28
870.6300
Developmental neurotoxicity
CR
CR
TGAI
TGAI
26, 27, 28
Mutagenicity Testing
870.5100
870.5300
870.5375
Bacterial reverse mutation assay
In vitro mammalian cell assay
[R]
[R]
R
R
TGAI
TGAI
TGAI
TGAI
29
29, 30
870.5385
870.5395
In vivo cytogenetics
[R]
R
TGAI
TGAI
29, 31
870.7485
Metabolism and pharmacokinetics
R
CR
PAI or
PAIRA
PAI or
PAIRA
32
870.7200
Companion animal safety
CR
CR
--
Choice
33
870.7600
Dermal penetration
CR
CR
Choice
Choice
34
870.6500
Scheduled controlled operant behavior
CR
CR
TGAI
TGAI
35
870.6850
Peripheral nerve function
CR
CR
TGAI
TGAI
35
870.6855
Neurophysiology: sensory evoked potentials
CR
CR
TGAI
TGAI
35
870.7800
Immunotoxicity
R
R
TGAI
TGAI
Special Testing
(e) Test notes. The following test
notes are applicable to toxicological
data requirements in paragraph (d) of
this section:
1. Not required if test material is a gas or
a highly volatile liquid.
2. Diluted EP testing is required to support
the end product registration if results using
the EP meet the criteria for restricted use
classification under § 152.170(b) or special
review consideration under § 154.7(a)(1).
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3. Not required if test material is corrosive
to skin or has a pH of less than 2 or greater
than 11.5.
4. Required if the product consists of, or
under conditions of use will result in, a
respirable material (e.g., gas, vapor, aerosol,
or particulate).
5. Required if repeated dermal exposure is
likely to occur under conditions of use.
6. Required if the test material is an
organophosphorus substance, which includes
uncharged organophosphorus esters,
thioesters, or anhydrides of
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organophosphoric, organophosphonic, or
organophosphoramidic acids, or of related
phosphorothioic, phosponothioic, or
phosphorothioamidic acids, or is structurally
related to other substances that may cause
the delayed neurotoxicity sometimes seen in
this class of chemicals.
7. Additional measurements such as
cholinesterase activity for certain pesticides,
e.g., organophosphates and some carbamates,
will also be required. The route of exposure
must correspond with the primary route of
exposure.
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8. Required in rat for nonfood use
pesticides if oral exposure could occur, such
as through drinking water.
9. A 90–day range-finding study in both
rats and mice is required to determine dose
levels if carcinogenicity studies are required.
If the mouse carcinogenicity study is not
required, the 90–day mouse subchronic study
is likewise not required.
10. Required for agricultural uses or if
repeated human dermal exposure may occur.
Not required if an acceptable 90–day dermal
toxicity study is performed and submitted.
11. EP testing is required if the product, or
any component of it, may increase dermal
absorption of the active ingredient(s) as
determined by testing using the TGAI, or
increase toxic or pharmacologic effects.
12. Required for food uses if either of the
following criteria is met:
i. The use pattern is such that the dermal
route would be the primary route of
exposure.
ii. The active ingredient is known or
expected to be metabolized differently by the
dermal route of exposure than by the oral
route, and a metabolite is the toxic moiety.
13. Required if there is the likelihood of
significant repeated inhalation exposure to
the pesticide as a gas, vapor, or aerosol.
14. Based on estimates of the magnitude
and duration of human exposure, studies of
shorter duration, e.g., 21– or 28–days, may be
sufficient to satisfy this requirement.
Registrants should consult with the Agency
to determine whether studies of shorter
duration would meet this requirement.
15. Required if results of acute
neurotoxicity study (guideline 870.6100)
indicate significant statistical or biological
effects, or if other available data indicate the
potential for this type of delayed
neurotoxicity, as determined by the Agency.
16. All 90–day subchronic studies in rats
can be designed to simultaneously fulfill the
requirements of the 90–day neurotoxicity
study using separate groups of animals for
testing. Although the subchronic guidelines
include the measurement of neurological
endpoints, they do not meet the requirement
of the 90–day neurotoxicity study (guideline
870.6200).
17. Required if either of the following are
met:
i. The use of the pesticide is likely to result
in repeated human exposure over a
considerable portion of the human lifespan,
as determined by the Agency.
ii. The use requires a tolerance or an
exemption from the requirement of a
tolerance be established.
18. Based on the results of the acute and
subchronic neurotoxicity studies, or other
available data, a combined chronic toxicity
and neurotoxicity study may be required.
19. Studies which are designed to
simultaneously fulfill the requirements of
both the chronic oral and carcinogenicity
studies (i.e., a combined study under
guideline 870.4300) may be conducted.
Minimum acceptable study durations are:
i. Chronic rodent feeding study (food use)
- 24 months.
ii. Chronic rodent feeding study (nonfood
use) - 12 months.
iii. Chronic nonrodent feeding study - 12
months.
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iv. Mouse carcinogenicity study - 18
months.
v. Rat carcinogenicity study - 24 months.
20. Required if any of the following, as
determined by the Agency, are met:
i. The use of the pesticide is likely to result
in significant human exposure over a
considerable portion of the human life span
which is significant in terms of either time,
duration, or magnitude of exposure.
ii. The use requires a tolerance or an
exemption from the requirement of a
tolerance be established.
iii. The active ingredient, metabolite,
degradate, or impurity (A) is structurally
related to a recognized carcinogen, (B) causes
mutagenic effects as demonstrated by in vitro
or in vivo testing, or (C) produces a
morphologic effect in any organ (e.g.,
hyperplasia, metaplasia) in subchronic
studies that may lead to a neoplastic change.
21. If this study is modified or waived, a
subchronic 90–day oral study (guideline
870.3100) conducted in the same species may
be required.
22. Testing in two species is required for
all uses.
23. Unless the chemical or physical
properties of the test substance, or the pattern
of exposure, suggest a more appropriate route
of exposure, the oral route, by oral
intubation, is preferred.
24. Additional testing by other routes may
be required if the pesticide is determined to
be a prenatal developmental toxicant after
oral dosing.
25. May be combined with the twogeneration reproduction study in rodents
(870.3800) by utilizing a second mating of the
parental animals in either generation. The
dams are to undergo a cesarean section at one
day prior to expected delivery date and
evaluated separately as specified in guideline
870.3700.
26. An information-based approach to
testing is preferred, which utilizes the best
available knowledge on the chemical (hazard,
pharmacokinetic, or mechanistic data) to
determine whether a standard guideline
study, an enhanced guideline study, or an
alternative study should be conducted to
assess potential hazard to the developing
animal, or in some cases to support a waiver
for such testing. Registrants should submit
any alternative proposed testing protocols
and supporting scientific rationale to the
Agency prior to study initiation.
27. A DNT would be required using a
weight-of-the-evidence approach when:
i. The pesticide causes treatment-related
neurological effects in adult animal studies
(i.e, clinical signs of neurotoxicity,
neuropathology, functional or behavioral
effects).
ii. The pesticide causes treatment-related
neurological effects in developing animals,
following pre- and/or postnatal exposure
(i.e., nervous system malformations or
neuropathy, brain weight changes in
offspring, functional or behavioral changes in
the offspring).
iii. The pesticide elicits a causative
association between exposures and adverse
neurological effects in human
epidemiological studies.
iv. The pesticide evokes a mechanism that
is associated with adverse effects on the
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12345
development of the nervous system (i.e., SAR
relationship to known neurotoxicants, altered
neuroreceptor or neurotransmitter
responses).
28. The use of a combined study that
utilizes the two-generation reproduction
study in rodents (870.3800) as a basic
protocol for the addition of other endpoints
or functional assessments in the immature
animal is encouraged.
29. At a minimum, an initial battery of
mutagenicity tests with possible confirmatory
testing is required. Other relevant
mutagenicity tests that may have been
performed, plus a complete reference list
must also be submitted.
30. Choice of assay using either:
i. Mouse lymphoma L5178Y cells,
thymidine kinase (tk) gene locus, maximizing
assay conditions for small colony expression
or detection.
ii. Chinese hamster ovary (CHO) or Chinese
hamster lung fibroblast (V79) cells,
hypoxanthine-guanine phosphoribosyl
transferase (hgprt) gene locus, accompanied
by an appropriate in vitro test for
clastogenicity.
ii.) CHO cells strains AS52, xanthineguanine phosphoribosyl transferase (xprt)
gene locus.
31. Choice of assays. Assays using rodent
bone marrow, using either metaphase
analysis (aberrations), or micronucleus assay
are preferred.
32. Required when chronic or
carcinogenicity studies are required. May be
required if significant adverse effects are seen
in available toxicology studies and these
effects can be further elucidated by
metabolism studies.
33. May be required if the product’s use
will result in exposure to domestic animals
through, but not limited to, direct application
or consumption of treated feed.
34. Required if toxic effects are identified
in the oral or inhalation study. A risk
assessment assuming that dermal absorption
is equal to oral absorption must be performed
to determine if the study is required, and to
identify the doses and duration of exposure
for which dermal absorption is to be
quantified.
35. May be required based on adverse
effects seen in the acute or subchronic
neurotoxicity screening studies, or other
studies, or if the test substance is structurally
related to a chemical known to cause effects
best assessed by these studies.
§ 158.510 Tiered testing options for
nonfood pesticides.
For nonfood use pesticides only,
applicants have two options for
generating and submitting required
toxicology (§ 158.500) and human
exposure (§ 158.820, § 158.1110, and
§ 158.1420) studies. The options in this
paragraph do not apply to pesticides
used in or on food. Applicants are to
select one of the following:
(a) Acute, subchronic, chronic, and
other toxicological studies on the active
ingredient must be submitted together.
The specific makeup of the set of
toxicology study requirements is based
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on the anticipated exposure to the
pesticide as determined by the Agency.
If hazards are identified based upon
review of these studies, specific
exposure data will be required to
evaluate risk.
(b) Certain toxicological and exposure
studies must be submitted
simultaneously with the toxicology data
submitted in a tiered system. Exposure
data must be submitted along with first
tier toxicology data. The requirement for
additional second and third level
toxicology testing will be determined by
the Agency based on the results of the
first tiered studies.
(1) The required first-tier toxicology
studies consist of:
(i) Battery of acute studies (guidelines
870.1100 - 870.2600)
(ii) A subchronic 90–day dermal
study (guideline 870.3250) or a
subchronic 90–day inhalation study
(guideline 870.3465)
(iii) An acute and subchronic
neurotoxicity screening battery in the
rat (guidelines 870.6100 and 870.6200);
a developmental neurotoxicity study in
the rat (guideline 870.6300)
(iv) Prenatal developmental toxicity
studies in both the rat and rabbit
(guideline 870.3700).
(v) Reproduction and fertility studies
in rats (guideline 870.3800)
(vi) Battery of mutagenicity studies
(guideline 870.5100 - 870.5395)
(vii) Immunotoxicity study (guideline
870.7800)
(2) The conditionally required
second-tier studies include:
(i) Subchronic 90–day feeding studies
in both the rodent and nonrodent
(guidelines 870.3100 and 870.3150)
(ii) Dermal penetration study
(guideline 870.7600)
(3) The conditionally required thirdtier studies include:
(i) Chronic feeding studies in both the
rodent and nonrodent (guideline
870.4100)
(ii) Carcinogenicity (guidelines
870.4200)
(iii) Metabolism study (guideline
870.7485)
(iv) Additional mutagenicity testing
(no guideline number)
Subpart G—Product Performance
i. By adding subpart G entitled
‘‘Product Performance’’.
§ 158.610
[Redesignated from § 158.640]
j. By redesignating § 158.640 as
§ 158.610 and adding redesignated
§ 158.610 to subpart G.
Subparts H-I [Reserved]
k. By adding and reserving subparts H
and I.
l. By adding subpart J to read as
follows:
Subpart J—Nontarget Plant Protection
§ 158.700 Nontarget plant protection data
requirements Table.
(a) General. Sections 158.100 through
158.130 describe how to use this table
to determine the nontarget plant data
requirements for a particular pesticide
product. Notes that apply to an
individual test include specific
conditions, qualifications, or exceptions
to the designated test are listed in
paragraph (e) of this section.
(b) Use patterns. (1) The terrestrial use
pattern includes products classified
under the general use patterns of
terrestrial food crop, terrestrial feed
crop, and terrestrial nonfood. The
aquatic use pattern includes the general
use patterns of aquatic food crop,
aquatic nonfood residential, and aquatic
nonfood outdoors.
(2) Data are also required for the
general use patterns of forestry use and
residential outdoor use.
(c) Key. R=Required;
CR=Conditionally required; NR=Not
required; TGAI=Technical grade of the
active ingredient; TEP=Typical end-use
product.
(d) Table. The following table shows
the nontarget plant protection data
requirements. The table notes are shown
in paragraph (e) of this section.
TABLE—NONTARGET PLANT PROTECTION DATA REQUIREMENTS
Use Pattern
Guideline Number
Forestry
and Residential Outdoor
Data Requirement
Terrestrial
Aquatic
Test substance
Test Note
No.
Nontarget Area Phytotoxicity - Tier I
850.4100
Seedling emergence
R
R
R
TEP
1, 2, 3
850.4150
Vegetative vigor
R
R
R
TEP
1, 2
850.4400
850.5400
Aquatic plant growth (algal and aquatic vascular
plant toxicity)
R
R
R
TEP or TGAI
1, 2
Nontarget Area Phytotoxicity - Tier II
850.4225
Seedling emergence
CR
CR
CR
TEP
1, 3, 4, 5
850.4250
Vegetative vigor
CR
CR
CR
TEP
1, 4, 5
850.4400
850.5400
Aquatic plant growth (algal and aquatic vascular
plant toxicity)
CR
CR
CR
TEP or TGAI
1, 4, 6
Nontarget Area Phytotoxicity - Tier III
850.4300
Terrestrial field
CR
CR
CR
TEP
1, 7, 8
850.4450
Aquatic field
CR
CR
CR
TEP
1, 8
CR
CR
CR
TEP
1, 7, 9
Target Area Phytotoxicity
850.4025
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(e) Test notes. The following test
notes apply to the table in paragraph (d)
of this section.
1. Not required for contained pesticide
treatments such as bait boxes and pheromone
traps unless adverse effects reports are
received by the Agency.
2. Required for all outdoor pesticide uses
except for known phytotoxicants (such as
herbicides, desiccants, defoliants).
3. Generally not required for granular
formulations. May be requested on a case-bycase basis.
4. Required for known phytotoxicants such
as herbicides, desiccants, defoliants, and
plant growth regulators.
5. Required if a terrestrial species exhibits
a 25 percent or greater detrimental effect in
Tier I.
6. Required if an aquatic species exhibits
a 50 percent or greater detrimental effect in
Tier I.
7. Not required for aquatic residential uses.
8. Environmental chemistry methods used
to generate data must include results of a
successful confirmatory method trial by an
independent laboratory.
9. Tests are required based on the results
of lower tier phytotoxicity studies, adverse
incident reports, intended use pattern, and
environmental fate characteristics that
indicate potential exposure.
m. By adding subpart K to read as
follows:
Subpart K—Post-application Exposure
§ 158.800
General requirements.
(a) Certain measures taken to reduce
or mitigate exposure may affect the need
for data. Where label, formulation, or
packaging and use restrictions, e.g.,
child-resistant bait stations, are
expected to significantly decrease or
eliminate exposure, these data
requirements may not be required.
(b) If EPA determines that industrial
standards, such as the workplace
standards set by Occupational Safety
and Health Administration, provide
adequate protection for a particular
pesticide use pattern, post-application
exposure data may not be required for
that use pattern. Applicants should
consult with the Agency on appropriate
testing before the initiation of studies.
(c) The Agency may accept surrogate
exposure data from other sources to
satisfy post-application exposure data
requirements if the data meet the basic
quality assurance, quality control, good
laboratory practice, and other scientific
needs of EPA. In order to be acceptable,
among other things, the Agency must
find that the surrogate exposure data
have adequate information to address
post-application exposure data
requirements and contain adequate
replicates of acceptable quality data to
reflect the specific use prescribed on the
label and the post-application activity of
concern, including formulation type,
application methods and rates, type of
activity, and other pertinent
information. The Agency will consider
using such surrogate data for evaluating
human exposure on a case-by-case basis.
§ 158.810
Criteria for testing
Exposure data described in
§ 158.820(d) are required based upon
toxicity and exposure criteria. Data are
required if a product meets, as
determined by the Agency, either or
both of the toxicity criteria in paragraph
(a) of this section and either or both of
the exposure criteria in paragraph (b) of
this section.
(a) Toxicity criteria. (1) Evidence of
potentially significant adverse health
effects have been observed in any
applicable toxicity studies.
(2) Scientifically sound
epidemiological or poisoning incident
data indicate that adverse health effects
may have resulted from post-application
exposure to the pesticide.
(b) Exposure criteria. When there is
potential exposure to humans from postapplication pesticide residues from any
media, typically, these exposures fall
into the following areas.
(1) For outdoor uses. (i) Occupational
human post-application exposure to
pesticide residues on plants or in soil
could occur as the result of cultivation,
pruning, harvesting, mowing or other
work related activity. Such plants
include agricultural food, feed, and fiber
commodities, forest trees, ornamental
plants, and turf grass.
(ii) Residential human postapplication exposure to pesticide
residues on plants or in soil could
occur. Such plants may include turf
grass, fruits, vegetables, and
ornamentals grown at sites, including,
but not limited to, homes, parks, and
recreation areas.
(2) For indoor uses. (i) Occupational
human post-application exposure to
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pesticide residues could occur following
the application of the pesticide to
indoor spaces or surfaces at agricultural
or commercial sites, such as, but not
limited to, agricultural animal facilities
and industrial or manufacturing
facilities.
(ii) Residential human postapplication exposure to pesticide
residues could occur following the
application of the pesticide to indoor
spaces or surfaces at residential sites,
such as, but not limited to, inside
homes, daycare centers, hospitals,
schools, and other public buildings.
The need for data from potential
exposure resulting from situations not
covered by these examples should be
discussed with the Agency.
§ 158.820 Post-application exposure data
requirements table
(a) General. Sections 158.100 through
158.130 describe how to use this table
to determine the post-application data
requirements for a particular pesticide
product. Notes that apply to an
individual test and include specific
conditions, qualifications, or exceptions
to the designated test are listed in
paragraph (e) of this section.
(b) Use patterns. (1) Occupational use
patterns include products classified
under the general use patterns of
terrestrial food crop, terrestrial feed
crop, terrestrial nonfood use, aquatic
food crop, aquatic nonfood use, aquatic
nonfood outdoor, aquatic nonfood
industrial, forestry, greenhouse food,
greenhouse nonfood, indoor food, and
indoor nonfood. Occupational use
patterns also include commercial (‘‘for
hire’’) applications to residential
outdoor and indoor sites.
(2) Residential use patterns include
residential outdoor use and indoor
residential use. These use patterns are
limited to nonoccupational,i.e.,
nonprofessional, pesticide applications.
(c) Key. R=Required;
CR=Conditionally required; NR=Not
required; TEP=Typical End-use product.
(d) Table. The data requirements
listed in the following table pertain to
pesticide products that meet the testing
criteria outlined in § 158.810. The table
notes are shown in paragraph (e) of this
section.
POST-APPLICATION EXPOSURE DATA REQUIREMENTS
Use Pattern
Guideline Number
875.2100
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R
Dislodgeable foliar residue and turf transferable residues
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Residential
R
Test Note No.
TEP
Occupational
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POST-APPLICATION EXPOSURE DATA REQUIREMENTS—Continued
Use Pattern
Guideline Number
Data Requirement
Test Substance
Occupational
Test Note No.
Residential
875.2200
Soil residue dissipation
R
CR
TEP
1, 2, 6, 7
875.2300
Indoor surface residue dissipation
R
R
TEP
1, 2, 8, 9
875.2400
Dermal exposure
R
R
TEP
1, 2, 10, 11, 12
875.2500
Inhalation exposure
R
R
TEP
1, 10, 11, 12
875.2600
Biological monitoring
CR
CR
TEP
1, 12, 13
875.2700
Product use information
R
R
TEP
--
875.2800
Description of human activity
R
R
TEP
--
875.2900
Data reporting and calculations
R
R
TEP
14
875.3000
Nondietary ingestion exposure
NR
R
TEP
1, 11, 15
(e) Test notes. The following test
notes apply to the data requirements in
the table to paragraph (d) of this section:
1. Protocols must be submitted for
approval prior to the initiation of the study.
Details for developing protocols are available
from the Agency.
2. Bridging applicable residue dissipation
data to dermal exposure data is required.
3. Turf grass transferable residue
dissipation data are required when pesticides
are applied to turf grass. Dislodgeable foliar
residue dissipation data are required when
pesticides are applied to the foliage of plants
other than turf grass.
4. Data are required for occupational sites,
if (i) there are uses on turf grass or other plant
foliage, and (ii) the human activity data
indicate that workers are likely to have postapplication dermal contact with treated
foliage while participating in typical
activities.
5. Data are required for residential sites if
there are uses on turf grass or other plant
foliage.
6. Data are required for occupational sites,
if (i) there are outdoor or greenhouse uses to
or around soil or other planting media, and
(ii) the human activity data indicate that
workers are likely to have post-application
dermal contact with treated soil or planting
media while participating in typical
activities.
7. Data are required for residential sites if
the pesticide is applied to or around soil or
other planting media both outdoors and
indoors, e.g., residential greenhouse or
houseplant uses.
8. Data are required for occupational sites
if the pesticide is applied to or around on
non-plant surfaces, e.g., flooring or
countertops, and if the human activity data
indicate that workers are likely to have postapplication dermal contact with treated
indoor surfaces while participating in typical
activities.
9. Data are required for residential sites if
the pesticide is applied to or around nonplant surfaces, e.g., flooring and countertops.
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10. Data are required for occupational sites
if the human activity data indicate that
workers are likely to have post-application
exposures while participating in typical
activities.
11. Data are required for residential sites if
post-application exposures are likely.
12. Biological monitoring data may be
submitted in addition to, or in lieu of, dermal
and inhalation exposure data provided the
human pharmocokinetics of the pesticide
and/or metabolite/analog compounds (i.e.,
whichever method is selected as an indicator
of body burden or internal dose) allow for a
back-calculation to the total internal dose.
13. Data are required when passive
dosimetry techniques are not applicable for
a particular exposure scenario, such as a
swimmer exposure to pesticides.
14. Data reporting and calculations are
required when any post-application exposure
monitoring data are submitted.
15. The selection of a sampling method
will depend on the nondietary pathway(s) of
interest. Data must be generated to consider
all potential pathways of nondietary
ingestion exposure that are applicable (e.g.,
soil ingestion, hand-to-mouth transfer, and
object-to-mouth transfer of surface residues).
Subpart L—Biochemical Pesticides
n. By adding subpart L entitled
‘‘Biochemical Pesticides.’’
§ 158.910
[Redesignated from § 158.690]
o. By redesignating § 158.690 as
§ 158.910 and adding § 158.910 to
subpart L.
Subpart M—Microbial Pesticides
p. By adding subpart M entitled
‘‘Microbial Pesticides.’’
§ 158.1010
[Redesignated from 158.740]
q. By redesignating § 158.740 as
§ 158.1010 and adding redesignated
§ 158.1010 to subpart M.
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r. By adding subpart N to read as
follows:
Subpart N—Environmental Fate
§ 158.1100 Environmental Fate Data
Requirements Table.
(a) General. Sections 158.100 through
158.130 describe how to use this table
to determine the environmental fate
data requirements for a particular
pesticide product. Notes that apply to
an individual test including specific
conditions, qualifications, or exceptions
to the designated test are listed in
paragraph (e) of this section.
(b) Use patterns. (1) The terrestrial use
pattern includes products classified
under the general use patterns of
terrestrial food crop, terrestrial feed
crop, and terrestrial nonfood. The
aquatic use pattern includes the general
use patterns of aquatic food crop,
aquatic nonfood residential, and aquatic
nonfood outdoors. The greenhouse use
pattern includes both food and nonfood
uses. The indoor use pattern includes
food, nonfood, and residential indoor
uses.
(2) Data are also required for the
general use patterns of forestry use and
residential outdoor use.
(c) Key. R=Required;
CR=Conditionally required; NR=Not
required; []=Required or conditionally
required for an experimental use permit;
TGAI=Technical grade of the active
ingredient; TEP=Typical end-use
product; PAIRA=Pure active ingredient
radio-labeled.
(d) Table.The following table list the
data requirements that pertain to
environmental fate. The table notes are
shown in paragraph (e) of this section.
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ENVIRONMENTAL FATE DATA REQUIREMENTS
Use pattern
Guideline Number
Data requirement
Terrestrial
Greenhouse
Aquatic
Indoor
Forestry
Residential Outdoors
Test substance
Test
Note No.
Degradation Studies—Laboratory
835.2120
Hydrolysis
[R]
[R]
[R]
CR
[R]
[R]
TGAI or
PAIRA
1
835.2240
Photodegradation in water
R
R
NR
NR
R
NR
TGAI or
PAIRA
2
835.2410
Photodegradation on soil
R
NR
NR
NR
R
NR
TGAI or
PAIRA
3
835.2370
Photodegradation in air
CR
NR
CR
NR
CR
CR
TGAI or
PAIRA
4
Metabolism Studies - Laboratory
835.4100
Aerobic soil
[R]
CR
R
NR
[R]
R
TGAI or
PAIRA
5
835.4200
Anaerobic soil
R
NR
NR
NR
NR
NR
TGAI or
PAIRA
--
835.4300
Aerobic aquatic
R
[R]
NR
NR
R
NR
TGAI or
PAIRA
--
835.4400
Anaerobic aquatic
R
R
NR
NR
R
NR
TGAI or
PAIRA
--
835.1230
835.1240
Leaching and adsorption/
desorption
[R]
R
R
NR
[R]
R
TGAI or
PAIRA
--
835.1410
Volatility - laboratory
CR
NR
CR
NR
NR
NR
TEP
4
835.8100
Volatility - field
CR
NR
CR
NR
NR
NR
TEP
--
Mobility Studies
Dissipation Studies - Field
835.6100
Terrestrial
R
CR
NR
NR
NR
R
TEP
5, 6
835.6200
Aquatic (sediment)
CR
R
NR
NR
NR
NR
TEP
6, 7
835.6300
Forestry
NR
NR
NR
NR
CR
NR
TEP
6, 8
835.6400
Combination and tank mixes
CR
CR
NR
NR
NR
NR
TEP
9
Accumulation Studies
850.1730
Fish
[CR]
[CR]
NR
NR
[CR]
NR
TGAI or
PAIRA
10
850.1950
Aquatic nontarget organisms
CR
CR
NR
NR
CR
NR
TEP
11
CR
NR
NR
NR
CR
NR
TEP
6, 8, 12
Ground Water Monitoring
835.7100
Ground water monitoring
(e) Test notes. The following test
notes apply to the data requirements in
the table to paragraph (d) of this section.
1. Study is required for indoor uses in
cases where environmental exposure is likely
to occur. Such sites include, but are not
limited to, agricultural premises, in or
around farm buildings, barnyards, and
beehives.
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2. Not required when the electronic
absorption spectra, measured at pHs 5, 7, and
9, of the chemical and its hydrolytic
products, if any, show no absorption or
tailing between 290 and 800 nm.
3. Not required when the chemical is to be
applied only by soil injection or is
incorporated in the soil.
4. Requirement based on use patterns and
other pertinent factors including, but not
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limited to, Henry’s Law Constant. In view of
methodological difficulties with the study of
photodegradation in air, prior consultation
with the Agency regarding the protocol is
recommended before the test is performed.
5. Required for aquatic food and nonfood
crop uses for aquatic sites that are
intermittently dry. Such sites include, but are
not limited to cranberry bogs and rice
paddies.
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6. Environmental chemistry methods used
to generate data associated with this study
must include results of a successful
confirmatory method trial by an independent
laboratory. The environmental chemistry
methods must include a statement of no data
confidentiality claims, i.e., non-CBI. Test
standards and procedures for independent
laboratory validation are available as
addenda to the guideline for this test
requirement.
7. Requirement for terrestrial uses is based
on potential for aquatic exposure and if
pesticide residues have the potential for
persistence, mobility, nontarget aquatic
toxicity or bioaccumulation. Not required for
aquatic residential uses.
8. Agency approval of a protocol is
necessary prior to initiation of the study.
9. Requirement based on use patterns and
other environmental factors that indicate
potential exposure.
10. Not required when the octanol/water
partition coefficients of the pesticide and its
major degradates are less than 1,000; or there
are no potential exposures to fish and other
nontarget aquatic organisms; or the
hydrolytic half-life is less than 5 days at pH
5, 7, and 9.
11. Required if significant concentrations
of the active ingredient and/or its principal
degradation products are likely to occur in
aquatic environments and may accumulate in
aquatic organisms.
12. Required if the weight of evidence
indicates that the pesticide and/or its
degradates is likely to leach to ground water,
taking into account other factors such as the
toxicity of the chemicals(s), available
monitoring data, and the vulnerability of
ground water resources in the pesticide use
area.
s. Subpart O is added to read as
follows:
Subpart O—Residue Chemistry
§ 158.1200
Definitions.
The following terms are defined for
the purposes of this subpart:
Livestock, for the purposes of this
section, includes all domestic animals
that are bred for human consumption,
including, but not limited to, cattle,
swine, sheep, and poultry.
Plant or animal metabolite means a
pesticide chemical residue that is the
result of biological breakdown of the
parent pesticide within the plant or
animal.
Residue of concern means the parent
pesticidal compound and its
metabolites, degradates, and impurities
of toxicological concern.
Tolerance, for the purposes of this
section, includes the establishment of a
new tolerance or tolerance exemption,
or amended tolerance or tolerance
exemption.
§ 158.1210 Residue chemistry data
requirements table.
(a) General. (1) Sections 158.100
through 158.130 describe how to use
this table to determine the residue
chemistry data requirements for a
particular pesticide product. Notes that
apply to an individual test and include
specific conditions, qualifications, or
exceptions to the designated test are
listed in paragraph (e) of this section.
(2) All residue chemistry data
requirements, as described in this
section, are required for an experimental
use permit.
(b) Use patterns. (1) Data are required
or conditionally required for all
pesticides used in or on food and for
residential outdoor uses where food
crops are grown. Food use patterns
include products classified under the
general use patterns of terrestrial food
crop use, terrestrial feed crop use,
aquatic food crop use, greenhouse food
crop use, and indoor food use.
(2) Data may be required for nonfood
uses if pesticide residues may occur in
food or feed as a result of the use. Data
requirements for these nonfood uses
will be determined on a case-by-case
basis. For example, most products used
in or near kitchens require residue data
for risk assessment purposes even
though tolerances may not be necessary
in all cases. Food uses in general require
a more extensive database to
characterize the extent of the exposure,
whereas nonfood uses which are of
shorter duration, may require fewer
studies. Uses include products
classified under the general use patterns
of terrestrial nonfood crop use, aquatic
nonfood crop use, aquatic nonfood
outdoor use, greenhouse nonfood crop
use, forestry use, indoor nonfood use,
and indoor residential use.
(c) Key. R=Required;
CR=Conditionally required; NR=Not
required; TGAI=Technical grade of the
active ingredient; PAI=Pure active
ingredient; PAIRA=Pure active
ingredient radio-labeled; Residue of
concern= the active ingredient and its
metabolites, degradates, and impurities
of toxicological concern; TEP=Typical
end-use product.
(d) Table. The following table list the
data requirements for residue chemistry
related to food uses. The table notes are
shown in paragraph (e) of this section.
TABLE—RESIDUE CHEMISTRY DATA REQUIREMENTS FOR FOOD USES
Use Pattern
Guideline Number
Data Requirement
Terrestrial Food
or Feed
Greenhouse
Food
Aquatic
Food
Indoor
Food
Residential Outdoor
Test substance
Test
Note No.
Supporting Information
860.1100
Chemical identity
R
R
R
R
R
TGAI
--
860.1200
Directions for use
R
R
R
R
R
--
--
860.1550
Proposed tolerance
R
R
R
CR
NR
--
1
860.1560
Reasonable grounds in support of petition
R
R
R
CR
NR
--
1
860.1650
Submittal of analytical reference standards
R
R
R
CR
NR
PAI and
residue
of concern
1, 2
Nature of the residue in
plants
R
R
R
CR
CR
PAIRA
3, 4
Nature of the residue
860.1300
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TABLE—RESIDUE CHEMISTRY DATA REQUIREMENTS FOR FOOD USES—Continued
Use Pattern
Guideline Number
Data Requirement
Terrestrial Food
or Feed
Greenhouse
Food
Aquatic
Food
Indoor
Food
Residential Outdoor
Test substance
Test
Note No.
860.1300
Nature of the residue in livestock
CR
CR
CR
CR
NR
PAIRA or
radiolabeled
plant
metabolite
1, 5, 6
860.1850
Confined rotational crops
CR
CR
NR
NR
NR
PAIRA
7
860.1340
Residue analytical methods
R
R
R
CR
CR
Residue of
concern
1, 3, 8,
9, 10
860.1360
Multiresidue method
R
R
R
CR
NR
Residue of
concern
1, 11
860.1380
Storage stability
R
R
R
CR
CR
TEP or
residue
of concern
1, 3, 10,
12
860.1500
Crop field trials
R
R
R
CR
CR
TEP
3, 10, 14
860.1520
Processed food or feed
CR
CR
CR
CR
NR
TEP
1, 15
860.1480
Meat/milk/poultry/eggs
CR
CR
CR
CR
NR
TGAI or
plant
metabolite
1, 16, 17,
18
860.1400
Potable water
NR
R
NR
NR
NR
TEP
19
860.1400
Fish
NR
R
NR
NR
NR
TEP
5
860.1400
Irrigated crops
NR
CR
NR
NR
NR
TEP
20
860.1460
Food handling
NR
NR
NR
CR
NR
TEP
1, 21
860.1540
Anticipated residues
CR
CR
CR
CR
NR
Residue of
concern
1, 13, 22
860.1900
Field rotational crops
CR
CR
NR
NR
NR
TEP
23
Analytical methods
Magnitude of the residue
(e) Test notes. The following test
notes apply to the data requirements in
the table to paragraph (d) of this section.
1. Required if indoor use could result in
pesticide residues in or on food or feed.
2. Material safety data sheets must
accompany standards as specified by OSHA
in 29 CFR 1910.1200.
3. Required for residential outdoor use on
food crops if home gardens are to be treated
or the home garden use is different from the
agricultural use pattern on which the
tolerance is established.
4. Required for indoor uses where the
pesticide is applied directly to food, in order
to determine metabolites and/or degradates.
Not required when only indirect contact with
food would occur (e.g., crack and crevice
treatments).
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5. Data for fish are required for all
pesticides applied directly to water
inhabited, or will be inhabited, by fish that
may be caught or harvested for human
consumption.
6. Required when a pesticide is to be
applied directly to livestock, to livestock
premises, to livestock drinking water, or to
crops used for livestock feed. If results from
the plant metabolism study show differing
metabolites in plants from those found in
animals, an additional livestock metabolism
study involving dosing with the plant
metabolite(s) may also be required.
7. Required when it is reasonably
foreseeable that a food or feed crop could be
subsequently planted on the site of the
pesticide application.
8. A residue analytical method suitable for
enforcement purposes is required whenever
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a numeric tolerance (including temporary
and time-limited tolerance) is proposed, and
may be required for a tolerance exemption.
9. New analytical methods to be used for
enforcement purposes must include results
from an independent laboratory validation.
10. A residue method, storage stability
data, and crop field trials are required for the
nonfood crop tobacco (green, freshly
harvested). Depending on the level of
residues found on the green tobacco,
additional data may be required on cured/
dried tobacco and pyrolysis products
(guideline 860.1000).
11. Data are required to determine whether
FDA/USDA multiresidue methodology
would detect and identify the pesticides and
any metabolites.
12. Data are required for any magnitude of
the residue study unless analytical samples
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are stored frozen for 30 days or less, and the
active ingredient is not known to be volatile
or labile.
13. Studies using single serving samples of
a raw agricultural commodity may be needed
for acutely toxic pesticides and/or their
metabolites. These residue studies must be
conducted using a statistical design accepted
by the Agency.
14. Required for indoor uses which are
direct postharvest treatments of raw
agricultural commodities (e.g., fungicidal
waxes or stored grain fumigants).
15. Data on the nature and level of residues
in processed food/feed are required if
residues could potentially concentrate on
processing thus requiring the establishment
of a separate tolerance higher than that of the
raw agricultural commodity. Studies,
however, may be waived if it can be
demonstrated that residues do not
concentrate on processing.
16. Required when the pesticide use is a
direct application to livestock.
17. Data are required if pesticide residues
are present in or on livestock feed items.
These studies, however, may be waived by
the Agency in cases where the residue levels
are low or the animal metabolism studies
indicate negligible transfer of the pesticide
and/or metabolite(s) to tissues, milk, and
eggs.
18. If results from the plant metabolism
study show differing metabolites in plants
from those found in animals, an additional
livestock feeding study involving dosing with
the plant metabolite(s) may also be required.
19. Data are required whenever a pesticide
may be applied directly to water, unless it
can be demonstrated that the treated water
would not be available for human or
livestock consumption.
20. Data are required when a pesticide is
to be applied directly to water that could be
used for irrigation or to irrigation facilities
such as irrigation ditches.
21. Data are required whenever a pesticide
may be used in a food handling or feed
handling establishment.
22. Required when residues at the
tolerance level may result in a risk of
concern. These data may include washing,
cooking, processing or degradation studies as
well as market basket surveys for a more
precise residue determination.
23. Required if pesticide or metabolite
residues of toxicological concern are found in
crops at the appropriate plant back intervals
from a confined rotational crop study
(guideline 860.1850).
Subpart P—Pesticide Management and
Disposal
t. By adding subpart P consisting of
§ 158.1300 which is reserved.
Subpart R—Spray Drift
u. By adding subpart R entitled
‘‘Spray Drift.’’
§ 158.1410
[Redesignated from 158.440]
v. By redesignating § 158.440 as
§ 158.1410 and adding redesignated
§ 158.1410 to subpart R.
w. Subpart U is added to read as
follows:
Subpart U—Applicator Exposure
§ 158.1500
General requirements.
(a) If EPA determines that industrial
standards, such as the workplace
standards set by OSHA, provide
adequate protection from risk under
FIFRA for a particular pesticide use
pattern, exposure data may not be
required for that use pattern. Applicants
should consult with the Agency on
appropriate testing prior to the initiation
of studies.
(b) The Agency may accept surrogate
exposure data estimations from other
sources to satisfy applicator exposure
data requirements if the data meet the
basic quality assurance, quality control,
good laboratory practice, and other
scientific requirements set by EPA. In
order to be acceptable, the Agency must
find that the surrogate exposure data
estimations have adequate information
to address applicator exposure data
requirements and contain adequate
replicates of acceptable quality data to
reflect the specific use prescribed on the
label and the applicator activity of
concern, including formulation type,
application methods and rates, type of
activity, and other pertinent
information. The Agency will consider
using such surrogate data for evaluating
human exposure on a case-by-case basis.
§ 158.1510
Criteria for testing.
Applicator exposure data are required
based on toxicity and exposure criteria.
Data are required if a product meets, as
determined by the Agency, at least one
of the toxicity criteria in paragraph (a)
of this section and either of the
exposure criteria in paragraph (b) of this
section.
(a) Toxicity criteria. (1) Evidence of
potentially significant adverse effects
have been observed in any applicable
toxicity studies.
(2) Scientifically sound
epidemiological or poisoning incident
data indicate that adverse health effects
may have resulted from handling of the
pesticide.
(b) Exposure criteria. (1) Dermal
exposure may occur during the
prescribed use.
(2) Respiratory exposure may occur
during the prescribed use.
§ 158.1520 Applicator exposure data
requirements table.
(a) General. Sections 158.100 through
158.130 describe how to use this table
to determine the application data
monitoring data requirements for a
particular pesticide product. Notes that
apply to an individual test and include
specific conditions, qualifications, or
exceptions to the designated test are
listed in paragraph (e) of this section.
(b) Use patterns. (1) Occupational use
patterns include products classified
under the general use patterns of
terrestrial food crop, terrestrial feed
crop, terrestrial nonfood use, aquatic
food crop, aquatic nonfood use, aquatic
nonfood outdoor, aquatic nonfood
industrial, forestry, greenhouse food,
greenhouse nonfood, indoor food use,
indoor nonfood use, and indoor medical
use. Occupational use patterns also
include commercial (‘‘for hire’’)
applications to residential outdoor and
indoor sites.
(2) Residential use patterns include
residential outdoor use and indoor
residential use. These use patterns are
limited to nonoccupational,i.e.,
nonprofessional, pesticide applications.
(c) Key. R=Required;
CR=Conditionally required;
TEP=Typical end-use product.
(d) Table. The data requirements
listed pertain to pesticide products that
meet the testing criteria outlined in
§ 158.1510. The table notes are shown in
paragraph (e) of this section.
APPLICATOR EXPOSURE DATA REQUIREMENTS
Use pattern
Guideline Number
Data requirement
Test substance
Occupational
Test Note No.
Residential
875.1100
Dermal outdoor exposure
R
R
TEP
1, 2, 3, 4
875.1200
Dermal indoor exposure
R
R
TEP
1, 2, 5, 6
875.1300
Inhalation outdoor exposure
R
R
TEP
1, 2, 3, 4
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Agencies
[Federal Register Volume 70, Number 47 (Friday, March 11, 2005)]
[Proposed Rules]
[Pages 12277-12353]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 05-4466]
[[Page 12276]]
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Part II
Environmental Protection Agency
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40 CFR Parts 152 and 158
Pesticides; Data Requirement for Conventional Chemicals; Proposed Rule
Federal Register / Vol. 70, No. 47 / Friday, March 11, 2005 /
Proposed Rules
[[Page 12277]]
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ENVIRONMENTAL PROTECTION AGENCY
40 CFR Parts 152 and 158
[OPP-2004-0387; FRL-6811-2]
RIN 2070-AC12
Pesticides; Data Requirement for Conventional Chemicals
AGENCY: Environmental Protection Agency (EPA).
ACTION: Proposed rule.
-----------------------------------------------------------------------
SUMMARY: EPA proposes to update and revise its data requirements for
the registration of conventional pesticide products. These data
requirements and those already codified in part 158 of title 40 of the
Code of Federal Regulations (CFR), are intended to provide EPA with
data and other information necessary for the registration of a
conventional pesticide chemical. Since the data requirements in part
158 were first codified in 1984, information needed to support the
registration of a pesticide chemical has evolved as the general
scientific understanding of the potential hazards posed by pesticides
has grown. Over the years, updated data requirements were developed by
EPA using a process that involved public participation and extensive
involvement by the scientific community, including peer review by the
FIFRA Scientific Advisory Panel (SAP). Most of the data requirements
contained in this proposal have been applied on a case-by-case basis to
support individual applications, or imposed via Data Call-In (DCI) on
all registrants of similar products. Although the data requirements
imposed have progressed as scientific understanding and concerns have
evolved, the codified data requirements have not been updated to keep
pace. This proposal involves changes to the codified data requirements
that pertain to product chemistry, toxicology, residue chemistry,
applicator exposure, post-application exposure, nontarget terrestrial
and aquatic organisms, nontarget plant protection, and environmental
fate. Coupled with updating data requirements, EPA proposes to add a
few new studies, reformat the requirements, and revise its general
procedures and policies associated with data submission. By codifying
existing data requirements which are currently applied on a case-by-
case basis, the pesticide industry, along with other partners in the
regulated community, attain a better understanding and are better
prepared for the pesticide registration process. This proposed rule
does not apply to the data requirements for the registration of
antimicrobial pesticide products; inert ingredients for pesticide
products; spray drift, product performance (efficacy); or biochemical,
and microbial pesticides.
DATES: Comments must be received on or before June 9, 2005.
ADDRESSES: Submit your comments, identified by Docket ID No. OPP-2004-
0387, by one of the following methods:
Federal eRulemaking Portal. https://www.regulations.gov.
Follow the on-line instructions for submitting comments.
Agency Web Site. https://www.epa.gov/edocket. EDOCKET,
EPA's electronic public docket and comment system, is EPA's preferred
method for receiving comments. Follow the on-line instructions for
submitting comments.
E-mail. opp-docket@epa.gov.
Mail. Public Information and Records Integrity Branch
(PIRIB) (7502C), Office of Pesticide Programs (OPP), Environmental
Protection Agency, 1200 Pennsylvania Ave., NW., Washington, DC 20460-
0001.
Hand Delivery. Public Information and Records Integrity
Branch (PIRIB), Office of Pesticide Programs (OPP), Environmental
Protection Agency, Rm. 119, Crystal Mall 2, 1801 S. Bell St.,
Arlington, VA. Such deliveries are only accepted during the Docket's
normal hours of operation, and special arrangements should be made for
deliveries of boxed information.
Instructions. Direct your comments to Docket ID No. OPP-2004-0387.
EPA's policy is that all comments received will be included in the
public docket without change and may be made available online at http:/
/www.epa.gov/edocket, including any personal information provided,
unless the comment includes information claimed to be Confidential
Business Information (CBI) or other information whose disclosure is
restricted by statute. Do not submit information that you consider to
be CBI or otherwise protected through EDOCKET, regulations.gov, or e-
mail. The EPA EDOCKET and the federal regulations.gov websites are
``anonymous access '' systems, which means EPA will not know your
identity or contact information unless you provide it in the body of
your comment. If you send an e-mail comment directly to EPA without
going through EDOCKET or regulations.gov, your e-mail address will be
automatically captured and included as part of the comment that is
placed in the public docket and made available on the Internet. If you
submit an electronic comment, EPA recommends that you include your name
and other contact information in the body of your comment and with any
disk or CD-ROM you submit. If EPA cannot read your comment due to
technical difficulties and cannot contact you for clarification, EPA
may not be able to consider your comment. Electronic files should avoid
the use of special characters, any form of encryption, and be free of
any defects or viruses. For additional information about EPA's public
docket visit EDOCKET on-line or see the Federal Register of May 31,
2002 (67 FR 38102). For additional instructions on submitting comments,
go to Unit I.B. of the SUPPLEMENTARY INFORMATION section of this
document.
Docket. All documents in the docket are listed in the EDOCKET index
at https://www.epa.gov/edocket. Although listed in the index, some
information is not publicly available, i.e., CBI or other information
whose disclosure is restricted by statute. Certain other material, such
as copyrighted material, is not placed on the Internet and will be
publicly available only in hard copy form. Publicly available docket
materials are available either electronically in EDOCKET or in hard
copy at the Public Information and Records Integrity Branch (PIRIB),
Rm. 119, Crystal Mall 2, 1801 S. Bell St., Arlington, VA. This
docket facility is open from 8:30 a.m. to 4 p.m., Monday through
Friday, excluding legal holidays. The docket telephone number is (703)
305-5805.
FOR FURTHER INFORMATION CONTACT: Vera Au, Field and External Affairs
Division (FEAD), Office of Pesticide Programs, Mailcode: 7506C,
Environmental Protection Agency, 1200 Pennsylvania Ave. NW.,
Washington, DC 20460; telephone number: (703) 308-9069: fax number:
703-305-5884; e-mail address: au.vera@epa.gov.
SUPPLEMENTARY INFORMATION:
I. General Information
A. Does this Action Apply to Me?
You may be affected by this action if you are a producer or
registrant of a pesticide product, including agricultural, residential,
and industrial pesticides, but not including antimicrobial, biochemical
or microbial pesticides, or inert ingredients in pesticide products.
This proposal also may affect any person or company who might petition
the Agency for new tolerances, hold a pesticide registration with
existing tolerances, or any person or company who is interested in
obtaining or retaining a tolerance in the absence of a registration,
that is, an import tolerance. This latter group may
[[Page 12278]]
include pesticide manufacturers or formulators, importers of food,
grower groups, or any person or company who seeks a tolerance.
Potentially affected entities may include, but are not limited to:
Chemical Producers (NAICS 32532), e.g., pesticide manufacturers or
formulators of pesticide products, importers or any person or company
who seeks to register a pesticide or to obtain a tolerance for a
pesticide.
This listing is not intended to be exhaustive, but rather provides
a guide for readers regarding entities likely to be affected by this
action. Other types of entities not listed above could also be
affected. The North American Industrial Classification System (NAICS)
codes have been provided to assist you and others in determining
whether this action might apply to certain entities. If you have any
questions regarding the applicability of this action to a particular
entity, please consult the appropriate Branch Chief in the Registration
Division of the Office of Pesticide Programs at 703-305-5447.
B. What Should I Consider as I Prepare My Comments for EPA?
1. Submitting CBI. Do not submit this information to EPA through
EDOCKET, regulations.gov or e-mail. Clearly mark the part or all of the
information that you claim to be CBI. For CBI information in a disk or
CD ROM that you mail to EPA, mark the outside of the disk or CD ROM as
CBI and then identify electronically within the disk or CD ROM the
specific information that is claimed as CBI. In addition to one
complete version of the comment that includes information claimed as
CBI, a copy of the comment that does not contain the information
claimed as CBI must be submitted for inclusion in the public docket.
Information so marked will not be disclosed except in accordance with
procedures set forth in 40 CFR part 2.
2. Tips for Preparing Your Comments. When submitting comments,
remember to:
Identify the rulemaking by docket number and other
identifying information (subject heading, Federal Register date and
page number).
Follow directions - The agency may ask you to respond to
specific questions or organize comments by referencing a Code of
Federal Regulations (CFR) part or section number.
Explain why you agree or disagree; suggest alternatives
and substitute language for your requested changes.
Describe any assumptions and provide any technical
information and/or data that you used.
If you estimate potential costs or burdens, explain how
you arrived at your estimate in sufficient detail to allow for it to be
reproduced.
Provide specific examples to illustrate your concerns, and
suggest alternatives.
Explain your views as clearly as possible, avoiding the
use of profanity or personal threats.
Make sure to submit your comments by the comment period
deadline identified.
II. Organization of Preamble
This preamble is organized according to the outline in this unit.
I. General Information
II. Organization of Preamble
III. Statutory Authorities and Regulatory Framework
IV. Background
V. Purpose and Scope of this Proposal
VI. Overview of Proposed Changes
VII. General Provisions of Part 158 (subpart A)
VIII. How to Use the Data Tables (subpart B)
IX. Product Chemistry Data Requirements (subpart D)
X. Terrestrial and Aquatic Nontarget Organisms Data Requirements
(subpart E)
XI. Toxicology Data Requirements (subpart F)
XII. Nontarget Plant Protection Data Requirements (subpart J)
XIII. Post-Application Exposure Data Requirements (subpart K)
XIV. Environmental Fate Data Requirements (subpart N)
XV. Residue Chemistry Data Requirements (subpart O)
XVI. Applicator Exposure Data Requirements (subpart U)
XVII. Data Requirements Not Affected by this Proposal
XVIII. Peer Review
XIX. International Harmonization of Data Requirements
XX. Research Involving Human Subjects
XXI. ILSI Work on New Toxicity Paradigm
XXII. Animal Welfare Concerns
XXIII. Summary of Changes Being Proposed
XXIV. Public Comments Sought
XXV. References
XXVI. FIFRA Review Requirements
XXVII. Statutory and Executive Order Reviews
III. Statutory Authorities and Regulatory Framework
EPA is authorized to regulate pesticides under two federal
statutes. The Federal Insecticide, Fungicide and Rodenticide Act
(FIFRA) regulates the sale, distribution, and use of pesticide products
through a licensing (registration) scheme. The Federal Food, Drug and
Cosmetic Act (FFDCA), among other things, regulates the safety of
pesticide residues in food and feed. Both FIFRA and FFDCA were amended
in 1996 by the Food Quality Protection Act (FQPA) to strengthen the
protections offered, with particular emphasis on protection of
children.
This action is issued under the authority of secs. 3, 4, 5, 10, 12,
and 25 of FIFRA (7 U.S.C. 136-136y) and sec. 408 of FFDCA (21 U.S.C.
346a). The data required for a registration, reregistration,
experimental use permit, or tolerance are listed in 40 CFR part 158.
A. FIFRA
Under FIFRA, every pesticide product must be registered (or
specifically exempted from registration under FIFRA sec. 25(b)) with
EPA before it may be sold or distributed in the United States. To
obtain a registration, an applicant or registrant must demonstrate to
the Agency's satisfaction that, among other things, the pesticide
product, when used in accordance with widespread and commonly
recognized practice, will not cause ``unreasonable adverse effects'' to
humans or the environment. This safety determination, as defined in the
statute, requires the Agency to consider the risk of the use of the
pesticide and weigh this against its benefit. EPA must determine that
the safety standard contained in FIFRA is met before granting a federal
pesticide registration.
1. Registration. Section 3 of FIFRA contains the requirements for
registration. Specifically, FIFRA sec. 3(c)(2) provides EPA broad
authority, before and after registration, to require scientific testing
and submission of the resulting data to the Agency by registrants and
applicants of pesticide products. An applicant for registration must
furnish EPA with substantial amounts of data on the pesticide, its
composition, toxicity, potential human exposure, environmental
properties and ecological effects, as well as information on its
efficacy in certain cases. Although the data requirements are imposed
primarily as a part of initial registration, EPA is authorized under
FIFRA sec. 3(c)(2)(B) to require a registrant to develop and submit
additional data to maintain a registration. This post registration data
call-in authority recognizes that the scientific underpinnings of risk
assessment change, and is another means by which EPA may keep data for
use in risk assessment current with evolving science.
2. Reregistration. FIFRA sec. 4 requires that EPA reregister each
pesticide product first registered before November 1984. This date was
chosen based upon the fact that pesticides registered since 1984 were
subject to the part 158 requirements of the 1984 regulation. Additional
data for older
[[Page 12279]]
pesticides were called in where gaps in the scientific data base
occurred. The Agency has largely used its data call-in authority to
require on a case-by-case basis the submission of most of the data
requirements contained in this proposal.
3. Experimental use permits. Subject to some exceptions, FIFRA sec.
5 requires persons seeking experimental use of pesticides under field
conditions to obtain an experimental use permit (EUP). An EUP allows
limited use of a pesticide for specified experimental and data
collection purposes intended to support future registration of the
pesticide. Because an EUP is for limited use under controlled
conditions, the data needed to support issuance of the permit are
correspondingly less than those required for full registration. For
example, when performing crop field trials, a registrant may opt to
destroy the treated crop rather than generate the needed residue
chemistry data to establish a temporary tolerance. The regulations
governing the issuance of EUPs are found in 40 CFR part 172.
B. FFDCA
FFDCA mandates EPA to determine that the level of pesticide
chemical residues in food and feed will be safe for human consumption.
An applicant must petition the Agency for a tolerance (maximum residue
level) for a pesticide that is to be used in or around food or feed
commodities, or could otherwise come in contact with food or feed. The
safety standard set under FFDCA sec. 408(b) and (c) defines safe as ``a
reasonable certainty that no harm '' will result from exposures to
pesticide chemical residues. In making this determination, EPA is
directed to consider aggregate risks from multiple sources of pesticide
exposure, including anticipated food, drinking water, and other non-
occupational exposures for which there is reliable information. Under
FFDCA sec. 408(b)(2)(C), EPA must make a separate finding of safety for
infants and children. In addition, EPA must take into account a variety
of other factors, enumerated in sec. 408(b)(2)(D), including the
cumulative risks associated with pesticides having a common mechanism
of toxicity. The combination of aggregate and cumulative exposure
increases the nature and scope of EPA's risk assessment, and
potentially the types and amounts of data needed to determine that the
FFDCA safety standard is met.
1. Establishing tolerances. Under FFDCA sec. 408, EPA is authorized
to establish tolerances for pesticide residues in food and feed, or to
exempt a pesticide from the requirement of a tolerance, if warranted.
In this preamble, references to tolerances include exemptions from
tolerance since the standards and procedures for both are the same. As
previously mentioned, in 1996, FQPA modified FFDCA to establish a
single health-based standard for tolerance-setting and enhanced the
risk assessment process to more clearly focus on pesticide risks to
children. The new safety standard applies to tolerances in a number of
regulatory situations, including:
Permanent tolerances that support registration under
FIFRA;
Tolerances for imported products which are established to
allow importation of pesticide-treated commodities, but for which no
U.S. registration is sought;
Time-limited tolerances which are established for FIFRA
sec. 18 emergency exemptions; and
Temporary tolerances established for experimental use
permits under FIFRA sec. 5.
2. Reassessing tolerances. Under FFDCA sec. 408(q), EPA must
reassess each tolerance established before August 3, 1996, on a
prescribed 10-year schedule. The Agency has reassessed many tolerances
under its reregistration program. Numerous regulatory decisions have
been made based upon available data and information required by the
existing data requirements, and supplemented by additional data
provided by registrants through data call-ins or voluntary submissions.
C. Linking FIFRA and FFDCA Safety Standards
Unless EPA is able to establish or maintain a needed tolerance or
exemption under FFDCA, a pesticide cannot be registered under FIFRA for
a food/feed use. FQPA created a specific linkage (FIFRA sec. 2(bb))
between the ``unreasonable adverse effects'' finding under FIFRA and
the determination of pesticide residue safety of ``reasonable certainty
of no harm'' under FFDCA. In essence, a pesticide that is inconsistent
with, or does not meet, the FFDCA sec. 408 safety standard poses an
unreasonable adverse effect that precludes new or continued
registration. Thus, both FIFRA and FFDCA standards must be met for
pesticides intended to be registered in the United States for food or
feed uses.
Given this linkage between registration and tolerances, it makes
sense for EPA to define data requirements for both purposes: the data
required to support a determination of ``reasonable certainty of no
harm'' under FFDCA are an integral part of the data needed for an
``unreasonable adverse effects'' determination under FIFRA.
Consequently, when promulgated, these proposed data requirements would
encompass the basic data requirements for both registration and
tolerance-setting determinations. EPA will retain its authority to
require additional data on a case-by-case basis.
IV. Background
A. Why does EPA Require Data for Pesticide Registrations?
Under the FFDCA and the FIFRA, anyone seeking to register a
pesticide product is required to provide information to EPA that
demonstrates their products can be used without posing unreasonable
risk to human health and the environment, and for food uses, that there
is a reasonable certainty that no harm will result from exposures to
the residues of their pesticide product. As appropriate for the
particular pesticide product, EPA uses the information provided to
evaluate the pesticide for a wide range of adverse human health
effects, from eye and skin irritation to cancer and birth defects, and
to assess how the pesticide affects animal and plant species, non-
target insect species, and what happens to the pesticide in soil,
water, and air.
B. What are the Data Requirements?
First promulgated in 1984, the data requirements in 40 CFR part 158
outline the kinds of data and related information typically needed to
register a pesticide. The data requirements are organized by major
pesticide type (e.g., conventional, antimicrobial, biochemical/
microbial, etc.), scientific discipline (e.g., toxicology, etc.), and
major use site (e.g., outdoor vs. indoor). Part 158 also outlines the
associated procedures for submitting the data, requesting a waiver from
a requirements, and other associated procedures. Since there is much
variety in pesticide chemistry, exposure, and hazard, part 158 is
designed to be flexible. Table notes to each data requirement explain
under what conditions data are typically needed. The Agency also
recognizes, however, that due to the particular nature and risk of some
pesticides, registrants may seek to obtain data waivers or may suggest
alternative approaches to satisfying requirements. Over the years since
1984, other data requirements have been implemented on a case-by-case
basis. The determination of what data or information is needed is based
on a scientifically rigorous process that includes peer review by the
FIFRA Scientific Advisory Panel (SAP), as well
[[Page 12280]]
as a public review and comment process.
In essence, the data requirements identify the questions that the
registrant will need to answer regarding the safety of a pesticide
product before the Agency can register it. The data requirements
address both components of a risk assessment, i.e., what hazards does
the pesticide present, and what level of exposure. The answer to one
question may inform the kind of information needed in others. For
example, a pesticide that is persistent and toxicologically potent may
require more extensive exposure data to help establish a safe level of
exposure. If there is negligible exposure then there may be generally
less need for extensive hazard data since any conceivable risk would be
low.
1. The establishment of standardized data requirements. Until 1984,
data requirements were based on longstanding requirements initially put
in place when pesticides were regulated by the U.S. Department of
Agriculture (USDA) and the Food and Drug Administration (FDA). However,
because virtually all of EPA's decisions relating to the registration
of pesticides or the establishment of tolerances depend on Agency
evaluation of scientific studies, EPA has throughout the years
developed standardized data requirements and test guidelines, and
established evaluation procedures and peer review processes to ensure
the quality and consistency of scientific studies.
The current provisions in part 158 were originally promulgated in
October, 1984. Prior to this, data requirements for the registration of
pesticides were contained in a variety of guidance documents, not in
regulatory form. Part 158 was intended to be a concise presentation of
what data were required and under what circumstances. Once codified,
part 158 specified standard hazard and exposure studies required for
registration and tolerance setting and also identified conditions under
which more specialized studies might be required. Guidelines, i.e.,
instructions and test methods on how to perform a study, had meanwhile
been issued as a series of Pesticide Assessment Guidelines. These
documents, updated in 1996, describe acceptable protocols, test
conditions, and data reporting guidelines to ensure that EPA's
regulatory decisions are based on sound scientific data.
2. Relationship between the harmonized test guidelines and part 158
requirements. EPA has established a unified library for test guidelines
issued by the Office of Prevention, Pesticides and Toxic Substances
(OPPTS) for use in testing chemical substances to develop data for
submission to EPA under the Toxic Substances Control Act (TSCA), FFDCA
or FIFRA. This unified library of test guidelines represents an Agency
effort that began in 1991 to harmonize the test guidelines within
OPPTS, as well as to harmonize the OPPTS test guidelines with those of
the Organization for Economic Cooperation and Development (OECD) of the
European Community. The process for developing and amending these test
guidelines includes several opportunities for public participation and
the extensive involvement of the scientific community, including peer
review by the FIFRA SAP and the Science Advisory Board (SAB) and other
expert scientific organizations.
The purpose for harmonizing these guidelines into a single set of
OPPTS guidelines is to minimize variations among the testing procedures
that must be performed to meet the Agency's data requirements under
FIFRA and TSCA. The guidelines themselves do not impose mandatory
requirements. Instead, they present recognized standards for conducting
acceptable tests, guidance on evaluating and reporting data, definition
of terms, and suggested study protocols. As such, pesticide registrants
may use a non-guideline protocol to generate the data required by part
158. Typically the registrant will use the available guideline, in
which case the study protocol would simply cite the relevant guideline.
If the registrant deviates from these guidelines, or is asked to
provide data where there isn't yet a final guideline available, the
registrant will discuss the variation with EPA and will explain and
justify the methods chosen in the study protocol. Non-guideline
protocols are accepted, provided that the study protocol meets the
purpose of the test standards specified in the guidelines, and provides
data of suitable quality and completeness as typified by the protocols
cited in the guidelines. More information about the unified library and
these guidelines is available at https://www.epa.gov/opptsfrs/home/
guidelin.htm.
C. Why Have the Data Needs Changed Since 1984?
1. 1988 FIFRA amendments. In 1988, FIFRA was amended to ensure that
older pesticides met the scientific standards of the day. Among other
things, the amendments provided for the acceleration of the
reregistration program by establishing statutory deadlines and new
procedures. The 1988 changes to FIFRA are important because it was
during this effort that EPA recognized that some of the 1984 data
requirements were becoming out of date. The Agency then used the
reregistration process to focus on needed changes.
2. The National Academy of Sciences 1993 Report. With increasing
emphasis on protecting children's health, EPA began to examine its data
requirements relative to evaluating the potential risks from pesticides
to sensitive subpopulations. The Agency sought the advice of the
National Academy of Sciences' National Research Council (NRC) to assess
its risk assessment methodologies and to provide additional information
on the extent to which children may be at risk given emerging
scientific information and technologies. In their 1993 report entitled,
``Pesticides in the Diets of Infants and Children,'' (Ref. 1) NRC
offered recommendations for further protecting infants and children
from pesticides in their diet. The NRC called for the Agency to require
more data and adopt better risk assessment methodologies. For example,
the Council called for increased testing in the area of immune
function, neurodevelopmental and reproductive testing, and
neurotoxicity testing. NRC also suggested adding a thyroid screen to
existing subchronic and chronic toxicity tests and additional tests on
age-related physiological changes and pharmacokinetics in immature
animals.
At the time the 1993 report was released, EPA had already begun
work on many of the recommendations to improve the quality of its risk
assessments. New testing guidelines and protocols were developed. Since
then, many of the testing requirements recommended by the NRC have been
incorporated into the Agency's standard evaluation requirements and
practices. In addition, in line with the Council's recommendations and
the FIFRA Scientific Advisory Panel's (SAP) advice, EPA recently
expanded its neurotoxicity and developmental neurotoxicity study
requirements. These updated requirements are contained in this
proposal.
3. The Food Quality Protection Act of 1996 (FQPA). Passage of FQPA
in 1996 reformed our nation's pesticide and food safety laws, resulting
in changes in EPA's approach to protecting human health from risks
associated with pesticide use. As mentioned, FQPA modified both FIFRA
and FFDCA and established a single health-based standard for food-use
pesticides and added protections for infants and children.
[[Page 12281]]
Throughout the 1990s, EPA has been continually working on improving
data requirements. Under FFDCA, as amended by FQPA, EPA must reassess
all existing pesticide tolerances and exemptions against the expanded
and more rigorous safety standard. Beginning in 1994, and increasingly
since the enactment of FQPA, EPA has changed aspects of its data
requirements and risk assessment process to improve its ability to
assess exposure more accurately and to strengthen its understanding of
the potential pesticide risk to children. As mentioned, risk
assessments must now consider data relating to aggregate exposure
(exposure to pesticides from food, drinking water, and non-occupational
routes such as home and garden uses) and cumulative risk (effects from
exposures to multiple pesticides that share a common mechanism of
toxicity). These measures necessitate collection of additional data on
drinking water and non-occupational and residential exposure.
V. Purpose and Scope of this Proposal
A. What is the Scope of this Proposal?
This proposal applies only to conventional pesticides. In general,
a conventional pesticide is considered as a synthetic chemical or a
natural substance with a toxic mode of action. It is applicable to both
manufacturing-use and end-use products. It does not include data
requirements for antimicrobial, biochemical or microbial pesticides;
inert ingredients; or changes to existing spray drift or product
performance (efficacy) data requirements for conventional chemicals.
B. Why is EPA Proposing these Revisions?
EPA has a number of objectives in proposing this regulation to
update and revise the data requirements in 40 CFR part 158. First, this
proposal will update the requirements in part 158 to reflect changes
that have occurred over time and which are generally applied already.
Second, this proposal will provide clarity on the data requirements
themselves, with data requirements reformatted to promote efficiency in
registration decision processes. Third, information developed in
fulfilling these data requirements will improve the scientific basis
supporting increasingly complex risk management decisions.
1. Updating the 1984 requirements. Although most of the specific
requirements in part 158 have not changed since the data requirements
were first published in 1984, there is information that is out-of date
or may be unclear. The underlying science has advanced (e.g., NAS in
1993 suggested changes to better protect children). The Agency's
legislative mandate has been broadened to address new concerns. For
example, given the stricter mandates imposed by the 1988 FIFRA
amendments (emphasis on exposure to population subgroups) and the 1996
FQPA amendments to FIFRA and FFDCA, EPA finds that it is more
frequently requesting certain data, and the Agency believes it should
detail more specifically the conditions under which these tests will be
required. Thus the proposed change entails both new tests and broadened
requirements for some current tests.
This regulation will reflect the changes in data requirement
practices that have evolved through practice since the 1984 data
requirement rule was promulgated and address data needed to meet
requirements created by statutory amendments to FIFRA and FFDCA. In
addition, the rule will eliminate redundant data submission
requirements.
EPA's underlying principle in development of this regulation is to
strike an appropriate balance between the need for adequate data to
make informed risk management decisions while minimizing the data
collection burden.
Until this proposal is promulgated, the Agency will continue to use
existing authority in 40 CFR part 158, to obtain these data on a case-
by-case basis should they be necessary to support a registration.
2. Reorganizing part 158 to improve usability. EPA proposes to
reorganize and reformat part 158 subpart A (General Provisions), and
subpart B (How to Use Data Tables), and reorganize and renumber subpart
D (Data Requirement Tables) into several individual subparts (see Table
1 in Unit VI). Each subpart would contain the data requirement tables
for an individual scientific discipline and references to correlate
with the Pesticide Assessment Guidelines. The Agency also proposes to
remove from the regulations the current Appendix A, (a compendium of
pesticide use sites and use categories), and create a separate
Pesticide Use Index Guidance Document. Since the information contained
in Appendix A only serves as reference material and is not being stated
as a requirement, EPA believes that a guidance document format is
easier to keep current and therefore better serves the regulated
community. The information will be placed on EPA's website and made
available to the public.
3. Improving the scientific basis for pesticide registration
decisions. In general, the information developed as a result of the
revisions, if finalized as proposed today, is expected to increase
scientific understanding of the health and environmental effects of
pesticides to which individuals and the environment may be exposed. The
revised requirements are expected to improve the scientific basis for
the Agency's regulatory decisions about the human health and
environmental risks of pesticide products. The improved scientific
basis is also expected to benefit a wide range of parties, including
consumers and the general public, workers, scientists, industry,
governments, public health officials, and the medical community, as
well as foreign parties. Discussed in more detail in the document
entitled ``Economic Analysis of the Proposed Change in Data
Requirements Rule for Conventional Pesticides,'' which is available in
the public docket for this rulemaking, the following briefly highlights
the various ways the improved data is expected to be used:
i. Better informed regulatory decisions allow preservation of
important pesticide uses. The proposed revisions enable the Agency to
make better informed regulatory decisions based on more complete data
about the potential risks of pesticides. For example, the proposed
changes better target needed data that take into account human and
wildlife toxicological end points or routes of exposure not now
adequately covered. The proposed rule would also require better
information about the potential for pesticides to cause immunotoxic or
developmental neurotoxic effects. This information is expected to be
valuable in assuring that pesticide residues in food or from other
sources are safe for children as well as other consumers. These studies
would allow the Agency to assess aggregated and cumulative risks to
consumers, with special emphasis on children. The proposal also
includes exposure data tailored specifically to address pesticide
handlers is crucial in assessing their risk and thus adequately
protecting their health.
ii. More refined exposure assessments mean clearing understanding
of real risks. EPA's current application and post-application exposure
data base is not comprehensive, especially regarding exposures to
pesticides in some agricultural or nonagricultural settings. The new
data that would be collected under this proposal would allow the Agency
to conduct improved exposure
[[Page 12282]]
assessments for residential sites and for bystanders in other settings.
This will benefit farmers and other workers by allowing EPA to make
better informed regulatory decisions that are neither too stringent nor
too lenient.
iii. Clarity and transparency to regulated community means savings.
The enhanced clarity and transparency of the information presented in
part 158 should enhance the ability of industry to avoid wasted time
and effort. Registrants may save time and money by understanding when
studies are needed. This should allow products to enter the market
earlier, thus increasing profits. The addition of some data
requirements is likely to further communicate to domestic and world-
wide marketplaces that pesticide products and items treated with them
are safer, thus enhancing the reputation of American agricultural
products and registered pesticides as tools for public health, etc.
iv. Enhanced international harmonization means less duplication.
Data generated as a result of the revised requirements in part 158
would generally be sufficient for the needs of the OECD countries
because EPA has harmonized the FIFRA test guidelines with those OECD.
As a result, assessments of pesticides that are developed using data
under the revised part 158 can be shared worldwide, allowing companies
to avoid duplicative efforts to meet the requirements of other
countries where the company may also manufacture and sell certain
pesticides. This should lead to cost savings for companies that operate
in the international market.
However, since EPA continues to allow applicants to submit and use
their own study protocols to generate data that they subsequently
submit to EPA, and there are differences in the mandate and authorities
between EPA and OECD countries, the data submitted to EPA under part
158 would be expected to satisfy OECD standards under most
circumstances, but perhaps not in all cases.
v. Better informed users means informed risk-reduction choices.
Better regulatory decisions resulting from the proposed changes should
also mean that the label will provide better information on the use of
the pesticide. A pesticide label is the user's direction for using
pesticides safely and effectively. It contains important information
about where to use, or not use, the product, health and safety
information that should be read and understood before using a pesticide
product, and how to dispose of that product. This benefits users by
enhancing their ability to obtain pesticide products appropriate to
their needs, and to use and dispose of products in a manner that is
safe and environmentally sound. Farmers (as well as other applicators)
may benefit from label information based on the data submitted to the
extent it helps inform their decisions about whether or how to use
particular pesticides to avoid potential exposure to people or the
environment from residues on treated crops or through off-site
movement.
vi. EPA information assists other communities in assessing
pesticide risks. Scientific, environmental, and health communities find
pesticide toxicity information useful to respond to a variety of needs.
For example, medical professionals are concerned about the health of
patients exposed to pesticides; poison control centers make use of and
distribute information on toxicity and treatment associated with
poisoning; and scientists use toxicity information to characterize the
effects of pesticides and to assess risks of pesticide exposure.
Similarly those responsible for protection of non-target wildlife need
reliable information about pesticides and assurance that pesticides do
not pose an unreasonable threat. The proposed changes will help the
scientific, environmental, and health communities by increasing the
breadth, quality, and reliability of Agency regulatory decisions by
improving their scientific underpinnings. In turn, the companies will
be able to improve their ability to make appropriate decisions and take
useful actions.
C. How Will this Proposal Affect Existing Registrations?
This proposal concerns prospective data requirements for future
registrations of pesticides. That is, these proposed data requirements
would apply to all new registrations of pesticides after the rule is
finalized. The Agency does not intend to apply these requirements
retrospectively to all existing pesticide registrations. While the
intended future applicability of this proposed rule is to new
applications, the Agency may find it necessary to call-in some data on
certain existing registrations, as warranted by emerging risks of
concern on particular pesticides or as a result of possible future
programmatic changes and priorities on existing pesticides.
VI. Overview of Proposed Changes
A. Phased approach
This proposal is the first in a series of revisions aimed at
comprehensively updating EPA's pesticide data requirements. The data
requirements discussed in this proposal pertain to conventional
pesticides. Future proposals will address data requirements for
antimicrobial pesticides, biochemical and microbial pesticides, inert
ingredients in pesticide products, and product performance data
requirements.
B. Organizational changes
Part 158 is currently divided into four subparts:
Subpart A, General Provisions
Subpart B, How to Use Data Tables
Subpart C, Product Chemistry Data Requirements
Subpart D, Data Requirements Tables
EPA proposes to reorganize part 158 to more closely correspond with
the Office of Prevention, Pesticides, and Toxic Substances (OPPTS)
Harmonized Guidelines, primarily by creating a series of new subparts
to replace subpart D. Each subpart will address an individual
scientific discipline or data type. In this preamble, EPA will refer to
the proposed new subpart and section designations when discussing the
data requirements. Table 1 below provides a cross-reference between the
current and proposed new subparts. Future new subparts are included for
information.
Table 1.--Part 158: Proposed Change to Subpart Designations
------------------------------------------------------------------------
Proposed Regulation and
Current Regulation and Title Title
------------------------------------------------------------------------
Subpart A: 158.20 General Provisions Subpart A: 158.1 General
Provisions
-------------------------------------------
Subpart B: 158.100 How to Use Data Tables Subpart B: 158.100 How to
Use Data Tables
-------------------------------------------
Subpart C: 158.150 Product Chemistry Subpart D: 158.300 Product
Chemistry
-------------------------------------------
Subpart D: 158.240 Residue Chemistry Subpart O: 158.1200 Residue
Chemistry
-------------------------------------------
Subpart D: 158.290 Environmental Fate Subpart N: 158.1100
Environmental Fate
-------------------------------------------
Subpart D: 158.340 Toxicology Subpart F: 158.500
Toxicology
-------------------------------------------
Subpart D: 158.390 Reentry Protection Subpart K: 158.800 Post-
application Exposure
-------------------------------------------
Subpart D: 158.440 Spray Drift Subpart R: 158.1400 Spray
Drift
-------------------------------------------
[[Page 12283]]
Subpart D: 158.490 Wildlife and Aquatic Subpart E: 158.400
Organisms Terrestrial and Aquatic
Nontarget Organisms
Subpart D: 158.590 Nontarget Insects
-------------------------------------------
Subpart D: 158.540 Plant Protection Subpart J: 158.700 Plant
Protection
-------------------------------------------
Subpart D: 158.640 Product Performance Subpart G: 158.600 Product
Performance
-------------------------------------------
Subpart D: 158.690 Biochemical Pesticides Subpart L: 158.900
Biochemical Pesticides
-------------------------------------------
Subpart D: 158.740 Microbial Pesticides Subpart M: 158.1000
Microbial Pesticides
-------------------------------------------
Subpart P: 158.1300
Pesticide Management and
Disposal (Reserved)
Subpart U: 158.1500
Applicator Exposure
Subpart V: 158.1600 Inert
Ingredients (Reserved)
Subpart W: 158.1700
Antimicrobials
------------------------------------------------------------------------
Further, EPA proposes to remove the current Appendix A, which
contains a compendium of pesticide use sites and use categories to help
determine data requirements. This will be separately issued and
maintained as a guidance document.
C. ``New Requirement'' Vs.``Newly Codified Requirement.''
FIFRA is a licensing statute, under which regulatory decisions on
the registrability of an individual product is based upon data specific
to the product and its uses. EPA is authorized to require the
submission of data that it needs to make the registration decision in
the context of any individual application for registration, amended
registration or reregistration. EPA may also impose a data requirement
after registration in order to maintain the registration, using
specific Data Call-In (DCI) authority of FIFRA sec. 3(c)(2)(B).
Since 1984, when part 158 was first promulgated, EPA's data
requirements have evolved as the general scientific understanding of
the potential hazards posed by pesticides has grown. Most of the data
requirements contained in this new proposal have been applied on a
case-by-case basis to support individual applications, or imposed via a
DCI on all registrants of similar products. Thus EPA's actual data
requirements have progressed as scientific understanding and concerns
have evolved, but part 158 data requirements have not been updated to
keep pace.
The result of this regulatory lag is that EPA regards many data
requirements in today's proposal to be ``newly codified requirements,''
routinely applied in practice on a case-by-case basis but simply not
codified in the CFR. However, because they have not been codified, they
are considered to be ``new requirements'' never before imposed on the
regulated industry. For the purposes of this proposal, EPA has
evaluated the costs and burdens of all proposed requirements, whether
``new'' or ``newly codified '' against the data requirements as
originally promulgated in 1984, termed `` existing requirements.'' Many
of these studies can be categorized as rarely to infrequently required.
In this preamble, EPA is proposing new and revised data
requirements that encompass all three categories of requirements:
1. EPA is proposing ``new requirements,'' never before imposed on
any registrant.
2. EPA is proposing ``newly codified requirements,'' which have
been applied on a case-by-case basis, but are not in the CFR.
3. EPA is proposing revisions to ``existing requirements.''
D. Types of Revisions Being Proposed
Part 158 is a massive and complex set of tables that describe
pesticide data requirements. Each data requirement is currently
established and its scope and applicability defined according to a
number of parameters. Having comprehensively evaluated its data
requirement parameters, EPA is proposing changes in all areas of data
requirements. Some of these changes are clarifications or housekeeping
changes without cost or burden, others have the effect of increasing or
decreasing the burden of the data requirement. The types of changes may
be broadly categorized as follows:
1. Substantive changes--i. Addition of a requirement. This
encompasses both ``new requirements'' and ``newly codified
requirements.'' For example, EPA is proposing a ``new requirement'' for
immunotoxicity testing. On the other hand, data requirements for
applicator exposure (subpart U) are entirely ``newly codified.``
ii. Elimination of a requirement, sometimes with substitution of a
new requirement. For example, EPA is wholly eliminating the requirement
for seed germination testing. By contrast, the existing requirement for
a battery of mutagenicity studies is being eliminated in favor of a
specific set of mutagenicity studies.
iii. A change to the number or type of species that must be tested.
For example, EPA proposes to require acute avian toxicity testing on an
additional passerine species in some instances. EPA also proposes to
require that certain toxicity studies be conducted routinely with two
species instead of one.
iv. A change in the conditionality of the test requirement. For
example, EPA is proposing to change a number of requirements from
conditionally required to fully required, or vice versa. In some cases,
this change is a minor change in the actual frequency (and burden) of
the requirement. In other cases, the change may represent a substantive
increase in frequency of requirement.
v. A change to the use patterns to which a data requirement
applies. As described elsewhere, EPA proposed to increase the number of
use pattern descriptors from 9 to 15. In some cases, EPA proposes to
extend requirements currently limited to food uses to nonfood uses,
e.g., prenatal developmental toxicity studies. A second example would
be a proposed expansion of certain studies into greenhouse and indoor
use patterns, for example, avian oral toxicity requirements.
vi. A change to the test substance to be used. Typical test
substances include the technical grade of active ingredient (TGAI), the
manufacturing-use product, the end-use product, and a ``typical
product.'' For example, EPA proposes to require primary eye and primary
dermal irritation, and dermal sensitization testing using the TGAI in
addition to the end-use product.
vii. A clarification in the notes describing the test. For example,
EPA is proposing in a test note that analytical methods for residue
chemistry and environmental fate be validated by an independent
laboratory.
2. Technical changes having no substantive effect--i. Relocation of
a requirement. For example, EPA proposes to move the magnitude of
residues in rotational crops data requirement from environmental fate
requirements to residue chemistry requirements.
[[Page 12284]]
ii. A change to the title of a data requirement. For example, EPA
proposes to rename the ``teratogenicity'' data requirement to
``prenatal developmental toxicity'' to more accurately reflect the
nature of the study.
iii. Subdividing an existing requirement to create two separate
entries. For example, EPA proposes to separately list the storage
stability requirement for residue samples. This requirement is
currently included in the plant and animal metabolism data requirement.
A change of this nature is intended to highlight an aspect of a test
requirement for the regulated community.
iv. Merging two data requirements into a single requirement. For
example, EPA proposes to merge the terrestrial field dissipation study
with the long-term field dissipation study because both studies provide
similar information.
Each data requirement for which a revision is proposed is discussed
in detail in subsequent units of this preamble. Readers are referred to
the table in Unit XXIII. for a line-by-line listing of every current
and proposed data requirement and the types of changes proposed. If no
change is proposed, the table contains a notation to that effect.
VII. General Provisions of Part 158 (Subpart A)
A. General
Subpart A serves as an introduction to the data requirements in
part 158. As proposed, current material has been substantially revised
to be more concise and easier to understand. EPA has eliminated much of
the redundancy in current subpart A and streamlined the remaining
material. Unless otherwise superseded by part 174, the regulations of
this part apply to plant-incorporated protectants.
1. New material. New content has been added to subpart A.
Specifically, EPA has added new Sec. 158.3 containing definitions
relevant to part 158 as a whole. In this proposal, EPA has referred to
statutory definitions in FIFRA and FFDCA, and has included only a
single new definition, that of ``applicant.'' This definition is
intended to provide an inclusive term that covers all persons who
submit data to the Agency for any purpose, including applicants for
registration, reregistration, or experimental use permit under FIFRA,
petitioners for tolerance or exemption under FFDCA, and registrants who
are required to submit data to maintain registration. The term
``applicant'' is proposed to be used for all such persons. The
definition is drawn from the definition of ``application for research
or marketing permit,'' in 40 CFR 160.3, which also relates to data
development. EPA requests comment on whether additional definitions are
needed.
2. Disposition of current subpart A material. The following
sections of current subpart A are proposed to be deleted or
substantially revised. The following Table 2 explains each section.
Table 2.--Disposition of Current Subpart A Material
------------------------------------------------------------------------
Section Title Disposition
------------------------------------------------------------------------
158.20 Overview Paragraph (a) deleted
Paragraph (b).
Content contained in
proposed Sec.
158.1, Purpose and
Scope.
Paragraph (c)
deleted.
-------------------------------
158.25 Applicability of Deleted as redundant
data or unnecessary.
requirements Applicability of
this part to various
regulatory actions
is contained in
proposed Sec.
158.5
-------------------------------
158.30 Timing of the Deleted as
imposition of unnecessary and not
data relevant. This
requirements section addresses
approval of
registration
actions, which is
properly covered in
part 152, and is not
relevant to data
requirements.
-------------------------------
158.32 Format of data Retained and revised.
submissions. Discussed in Unit
VII.B.
-------------------------------
158.33 Procedures for Retained and revised.
claims of Discussed in Unit
confidentiality VII.C.
of data.
-------------------------------
158.34 Flagging of Retained. Criteria
studies for revised.
potential
adverse effects.
-------------------------------
158.35 Flexibility of Deleted as redundant.
the data Mainly contains
requirements cross-references to
similar material
elsewhere in part
158.
-------------------------------
158.40 Consultation with Deleted. Consultation
the Agency. with the Agency is
encouraged in
several sections of
proposed part 158.
-------------------------------
158.45 Waivers Retained and revised.
Discussed in Unit
VII.E.
-------------------------------
158.50 Formulator's Information to be
exemption relocated to 40 CFR
152.85, which covers
the formulator's
exemption.
-------------------------------
158.55 Agricultural vs. Deleted as
Non-agricultural unnecessary.
pesticides Material is covered
in individual
subparts of
proposal, which are
organized by
agricultural and no-
agricultural use
patterns.
-------------------------------
158.60 Minor uses Deleted as
unnecessary.
Definitions and
minor use policies
are largely governed
by statutory
mandates and
priorities, not
regulatory policies.
-------------------------------
158.65 Biochemical and Deleted. Material
microbial will be considered
pesticides for inclusion in
future revisions of
biochemical and
microbial data
requirements.
-------------------------------
158.70 Acceptable Revised.
protocols
-------------------------------
[[Page 12285]]
158.75 Requirements for Paragraph (a)
additional data retained. Paragraph
(b) deleted as
unnecessary. This
material is covered
by paragraph (a).
-------------------------------
158.80 Acceptability of Paragraph (a) moved
data to Sec. 158.70(a)
now refers to
``cited.'' Paragraph
(b) deleted.
Paragraph (c)
retained. Paragraph
(d) revised.
-------------------------------
158.85 Revision of data Deleted as
requirements and unnecessary.
guidelines Guideline references
are contained in
tables in each
subpart.
------------------------------------------------------------------------
B. Format of Data Submissions
EPA proposes to reorganize for clarity the data submission
requirements of Sec. 152.32. EPA would eliminate descriptions of EPA
assignment of MRID numbers, as this internal action does not bear upon
applicant requirements. Applicants would continue to format data
submissions in support of regulatory actions according to current
Agency procedures. The proposed rule makes clear that administrative
non-data elements of a submission (forms, labels, and correspondence)
are not subject to formatting requirements.
The Agency also proposes to eliminate specific media and copy
requirements from the regulatory text because these requirements are
subject to change as the Agency implements new strategies to reduce the
paperwork burden on data submitters and to simplify the submission
process. The Agency intends to provide updated guidance in a new PR
Notice that will supersede PR Notice 86-5. EPA has a web page that
provides guidance for both paper and electronic data submission.
After a series of pilots EPA has developed a standard for
electronic submission of data using Adobe Acrobat Portable Document
Format and related tools for pesticide data submitters to create
electronic versions of documents. Extensive guidance has been developed
and posted on the EPA web page dedicated to electronic
submissions(https://www.epa.gov/oppfead1/edsgoals.htm). As experience is
gained, and in consultation with stakeholders, EPA intends to ref