Imidacloprid; Pesticide Tolerances for Emergency Exemptions, 59268-59276 [05-20209]
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59268
Federal Register / Vol. 70, No. 196 / Wednesday, October 12, 2005 / Rules and Regulations
Manager, Seattle ACO, to make those
findings. For a repair method to be approved,
the approval must meet the certification basis
of the airplane, and the approval must
specifically reference this AD.
Certain Actions Constitute Compliance With
AD 98–11–03 R1
(e) Accomplishment of the inspections
specified in paragraph (c) of this AD is
terminating action for the inspections
required by AD 98–11–03 R1 that pertain to
SSI F–11B of Boeing Document D6–48040–1,
Boeing 727 SSID, Revision H, dated June
1994, for the areas specified in paragraph (c)
of this AD only. Accomplishment of the
actions required by paragraph (c) of this AD
does not terminate the inspections required
by AD 98–11–03 R1 for the remaining areas
of SSI F–11B and does not terminate the
remaining requirements of AD 98–11–03 R1.
No Reporting Required
(f) Although the service bulletin referenced
in this AD specifies to provide certain
information to the manufacturer, this AD
does not include that requirement.
Alternative Methods of Compliance
(g)(1) In accordance with 14 CFR 39.19, the
Manager, Seattle ACO, is authorized to
approve alternative methods of compliance
(AMOCs) for this AD.
(2) Before using any AMOC approved in
accordance with § 39.19 on any airplane to
which the AMOC applies, notify the
appropriate principal inspector in the FAA
Flight Standards Certificate Holding District
Office.
Incorporation by Reference
(h) Unless otherwise specified in this AD,
the actions must be done in accordance with
Boeing Alert Service Bulletin 727–53A0229,
dated March 24, 2005. This incorporation by
reference was approved by the Director of the
Federal Register in accordance with 5 U.S.C.
552(a) and 1 CFR part 51. To get copies of
this service information, contact Boeing
Commercial Airplanes, P.O. Box 3707,
Seattle, Washington 98124–2207. To inspect
copies of this service information, go to the
FAA, Transport Airplane Directorate, 1601
Lind Avenue, SW., Renton, Washington; or to
the National Archives and Records
Administration (NARA). For information on
the availability of this material at the NARA,
call (202) 741–6030, or go to https://
www.archives.gov/federal_register/
code_of_federal_regulations/
ibr_locations.html.
Effective Date
(i) This amendment becomes effective on
November 16, 2005.
Issued in Renton, Washington, on
September 29, 2005.
Ali Bahrami,
Manager, Transport Airplane Directorate,
Aircraft Certification Service.
[FR Doc. 05–20075 Filed 10–11–05; 8:45 am]
BILLING CODE 4910–13–P
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40 CFR Part 180
DC 20460–0001; telephone
number:(703) 308–9367; e-mail address:
Sec-18-Mailbox@epa.gov.
SUPPLEMENTARY INFORMATION:
[OPP–2005–0260; FRL–7738–8]
I. General Information
Imidacloprid; Pesticide Tolerances for
Emergency Exemptions
A. Does this Action Apply to Me?
ENVIRONMENTAL PROTECTION
AGENCY
Environmental Protection
Agency (EPA).
ACTION: Final rule.
AGENCY:
SUMMARY: This regulation establishes a
time-limited tolerance for the combined
residues of imidacloprid, (1-[6-chloro-3pyridinyl) methyl]-N-nitro-2imidazolidinimine) and its metabolites
containing the 6-chloropyridinyl
moiety, all expressed as parent in or on
pomegranates. This action is in response
to EPA’s granting of an emergency
exemption under section 18 of the
Federal Insecticide, Fungicide, and
Rodenticide Act (FIFRA) authorizing
use of the pesticide on pomegranates.
This regulation establishes a maximum
permissible level for residues of
imidacloprid in this food commodity.
The tolerance will expire and is revoked
on December 31, 2008.
DATES: This regulation is effective
October 12, 2005. Objections and
requests for hearings must be received
on or before December 12, 2005.
ADDRESSES: To submit a written
objection or hearing request follow the
detailed instructions as provided in
Unit VII. of the SUPPLEMENTARY
INFORMATION. EPA has established a
docket for this action under docket
identification (ID) number OPP–2005–
0260. 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:
Andrew Ertman, Registration Division
(7505C), Office of Pesticide Programs,
Environmental Protection Agency, 1200
Pennsylvania Ave., NW., Washington,
PO 00000
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You may be potentially affected by
this action if you are an agricultural
producer, food manufacturer, or
pesticide manufacturer. Potentially
affected entities may include, but are
not limited to:
• Crop production (NAICS code 111)
• Animal production (NAICS code
112)
• Food manufacturing (NAICS code
311)
• Pesticide manufacturing (NAICS
code 32532)
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 in this unit 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, consult
the person listed under FOR FURTHER
INFORMATION CONTACT.
B. How Can I Access Electronic Copies
of this Document and Other Related
Information?
In addition to using EDOCKET (https://
www.epa.gov/edocket/), you may access
this Federal Register document
electronically through the EPA Internet
under the ‘‘Federal Register’’ listings at
https://www.epa.gov/fedrgstr/. A
frequently updated electronic version of
40 CFR part 180 is available on E-CFR
Beta Site Two at https://
www.gpoaccess.gov/ecfr/.
II. Background and Statutory Findings
EPA, on its own initiative, in
accordance with sections 408(e) and 408
(l)(6) of the Federal Food, Drug, and
Cosmetic Act (FFDCA), 21 U.S.C. 346a,
is establishing a tolerance for the
combined residues of imidacloprid, (1[6-chloro-3-pyridinyl) methyl]-N-nitro2-imidazolidinimine) and its
metabolites containing the 6chloropyridinyl moiety, all expressed as
parent in or on pomegranates at 0.20
parts per million (ppm). This tolerance
will expire and is revoked on December
31, 2008. EPA will publish a document
in the Federal Register to remove the
revoked tolerance from the Code of
Federal Regulations.
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Section 408(l)(6) of the FFDCA
requires EPA to establish a time-limited
tolerance or exemption from the
requirement for a tolerance for pesticide
chemical residues in food that will
result from the use of a pesticide under
an emergency exemption granted by
EPA under section 18 of FIFRA. Such
tolerances can be established without
providing notice or period for public
comment. EPA does not intend for its
actions on section 18 related tolerances
to set binding precedents for the
application of section 408 of the FFDCA
and the new safety standard to other
tolerances and exemptions. Section
408(e) of the FFDCA allows EPA to
establish a tolerance or an exemption
from the requirement of a tolerance on
its own initiative, i.e., without having
received any petition from an outside
party.
Section 408(b)(2)(A)(i) of the FFDCA
allows EPA to establish a tolerance (the
legal limit for a pesticide chemical
residue in or on a food) only if EPA
determines that the tolerance is ‘‘safe.’’
Section 408(b)(2)(A)(ii) of the FFDCA
defines ‘‘safe’’ to mean that ‘‘there is a
reasonable certainty that no harm will
result from aggregate exposure to the
pesticide chemical residue, including
all anticipated dietary exposures and all
other exposures for which there is
reliable information.’’ This includes
exposure through drinking water and in
residential settings, but does not include
occupational exposure. Section
408(b)(2)(C) of the FFDCA requires EPA
to give special consideration to
exposure of infants and children to the
pesticide chemical residue in
establishing a tolerance and to ‘‘ensure
that there is a reasonable certainty that
no harm will result to infants and
children from aggregate exposure to the
pesticide chemical residue. . . .’’
Section 18 of the FIFRA authorizes
EPA to exempt any Federal or State
agency from any provision of FIFRA, if
EPA determines that ‘‘emergency
conditions exist which require such
exemption.’’ This provision was not
amended by the Food Quality Protection
Act of 1996 (FQPA). EPA has
established regulations governing such
emergency exemptions in 40 CFR part
166.
III. Emergency Exemption for
Imidacloprid on Pomegranates and
FFDCA Tolerances
The State of California requested the
use of imidacloprid on pomegranates to
control whiteflies. The applicant stated
that uncontrolled whitefly populations
cause significant problems for
producers. Immature life stages exude
honeydew on the trees and developing
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fruit, which contribute to the
development of molds (which mar the
surface of the pomegranates) and also
contribute to the sunburning of the fruit.
Since the introduction of the pest on
pomegranates, cull rates went from 15–
30% to 40–50%. This increase in cull
rates is forcing growers and shippers to
move fruit from the fresh market to the
juice market, which in turn is causing
significant economic damage. EPA has
authorized under FIFRA section 18 the
use of imidacloprid on pomegranates for
control of whiteflies in California. After
having reviewed the submission, EPA
concurs that emergency conditions exist
for this State.
As part of its assessment of this
emergency exemption, EPA assessed the
potential risks presented by residues of
imidacloprid in or on pomegranates. In
doing so, EPA considered the safety
standard in section 408(b)(2) of the
FFDCA, and EPA decided that the
necessary tolerance under section
408(l)(6) of the FFDCA would be
consistent with the safety standard and
with FIFRA section 18. Consistent with
the need to move quickly on the
emergency exemption in order to
address an urgent non-routine situation
and to ensure that the resulting food is
safe and lawful, EPA is issuing this
tolerance without notice and
opportunity for public comment as
provided in section 408(l)(6) of the
FFDCA. Although this tolerance will
expire and is revoked on December 31,
2008, under section 408(l)(5) of the
FFDCA, residues of the pesticide not in
excess of the amounts specified in the
tolerance remaining in or on
pomegranates after that date will not be
unlawful, provided the pesticide is
applied in a manner that was lawful
under FIFRA, and the residues do not
exceed a level that was authorized by
this tolerance at the time of that
application. EPA will take action to
revoke this tolerance earlier if any
experience with, scientific data on, or
other relevant information on this
pesticide indicate that the residues are
not safe.
Because this tolerance is being
approved under emergency conditions,
EPA has not made any decisions about
whether imidacloprid meets EPA’s
registration requirements for use on
pomegranates or whether a permanent
tolerance for this use would be
appropriate. Under these circumstances,
EPA does not believe that this tolerance
serves as a basis for registration of
imidacloprid by a State for special local
needs under FIFRA section 24(c). Nor
does this tolerance serve as the basis for
any State other than California to use
this pesticide on this crop under section
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18 of FIFRA without following all
provisions of EPA’s regulations
implementing FIFRA section 18 as
identified in 40 CFR part 166. For
additional information regarding the
emergency exemption for imidacloprid,
contact the Agency’s Registration
Division at the address provided under
FOR FURTHER INFORMATION CONTACT.
IV. Aggregate Risk Assessment and
Determination of Safety
EPA performs a number of analyses to
determine the risks from aggregate
exposure to pesticide residues. For
further discussion of the regulatory
requirements of section 408 of the
FFDCA and a complete description of
the risk assessment process, see the final
rule on Bifenthrin Pesticide Tolerances
in the Federal Register of November 26,
1997 (62 FR 62961) FRL–5754–7).
Consistent with section 408(b)(2)(D)
of the FFDCA , EPA has reviewed the
available scientific data and other
relevant information in support of this
action. EPA has sufficient data to assess
the hazards of imidacloprid and to make
a determination on aggregate exposure,
consistent with section 408(b)(2) of the
FFDCA, for a time-limited tolerance for
the combined residues of imidacloprid,
(1-[6-chloro-3-pyridinyl) methyl]-Nnitro-2-imidazolidinimine) and its
metabolites containing the 6chloropyridinyl moiety, all expressed as
parent in or on pomegranates at 0.20
ppm. EPA’s assessment of the dietary
exposures and risks associated with
establishing the tolerance follows.
A. Toxicological Endpoints
The dose at which no adverse effects
are observed (the NOAEL) from the
toxicology study identified as
appropriate for use in risk assessment is
used to estimate the toxicological
endpoint. However, the lowest dose at
which adverse effects of concern are
identified (the LOAEL) is sometimes
used for risk assessment if NOAEL was
achieved in the toxicology study
selected. An uncertainty factor (UF) is
applied to reflect uncertainties inherent
in the extrapolation from laboratory
animal data to humans and in the
variations in sensitivity among members
of the human population as well as
other unknowns. An UF of 100 is
routinely used, 10X to account for
interspecies differences and 10X for
intraspecies differences.
For dietary risk assessment (other
than cancer) the Agency uses the UF to
calculate an acute or chronic reference
dose (aRfD or cRfD) where the RfD is
equal to the NOAEL divided by the
appropriate UF (RfD = NOAEL/UF).
Where an additional safety factor is
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retained due to concerns unique to the
FQPA, this additional factor is applied
to the RfD by dividing the RfD by such
additional factor. The acute or chronic
Population Adjusted Dose (aPAD or
cPAD) is a modification of the RfD to
accommodate this type of FQPA safty
factor (SF).
For non-dietary risk assessments
(other than cancer) the UF is used to
determine the level of concern (LOC).
For example, when 100 is the
appropriate UF (10X to account for
interspecies differences and 10X for
intraspecies differences) the LOC is 100.
To estimate risk, a ratio of the NOAEL
to exposures (margin of exposure (MOE)
= NOAEL/exposure) is calculated and
compared to the LOC.
The linear default risk methodology
(Q*) is the primary method currently
used by the Agency to quantify
carcinogenic risk. The Q* approach
assumes that any amount of exposure
will lead to some degree of cancer risk.
A Q* is calculated and used to estimate
risk which represents a probability of
occurrence of additional cancer cases
(e.g., risk is expressed as 1 x106 or one
in a million). Under certain specific
circumstances, MOE calculations will
be used for the carcinogenic risk
assessment. In this non-linear approach,
a ‘‘point of departure’’ is identified
below which carcinogenic effects are
not expected. The point of departure is
typically a NOAEL based on an
endpoint related to cancer effects
though it may be a different value
derived from the dose response curve.
To estimate risk, a ratio of the point of
departure to exposure (MOEcancer = point
of departure/exposures) is calculated. A
summary of the toxicological endpoints
for imidacloprid used for human risk
assessment is shown in the following
Table 1:
TABLE 1.—SUMMARY OF TOXICOLOGICAL DOSE AND ENDPOINTS FOR IMIDACLOPRID FOR USE IN HUMAN RISK
ASSESSMENT
Exposure Scenario
Dose Used in Risk Assessment, UF
*Special FQPA SF and
Level of Concern for Risk
Assessment
Study and Toxicological Effects
Acute dietary all populations
LOAEL = 42 mg/kg/day
UF = 300
ARfD = 0.14 mg/kg
FQPA SF = 1X
aPAD = acute RfD
FQPA SF = 0.14 mg/kg
Acute neurotoxicity - rat
LOAEL = 42 mg/kg, based upon the decrease in
motor and locomotor activities observed in females
Chronic dietary all populations
NOAEL= 5.7 mg/kg/day
UF = 100
Chronic RfD = 0.057 mg/
kg/day
FQPA SF = 1X
cPAD = chr RfD
FQPA SF = 0.057 mg/kg/
day
Combined chronic tox/carcinogenicity - rat
LOAEL = 16.9 mg/kg/day, based upon increased incidence of mineralized particles in thyroid colloid in
males
Short-term oral (1–30
days)
Oral study NOAEL= 10
mg/kg/day
LOC for MOE = 100
Developmental toxicity - rat
Maternal LOAEL = 30 mg/kg/day, based upon decreased body weight gain and corrected body
weight gain
Short-term dermal (1–30
days)
Oral study NOAEL= 10
mg/kg/day (dermal absorption rate = 7.2%)
LOC for MOE = 100
Developmental toxicity - rat
Maternal LOAEL = 30 mg/kg/day, based upon decreased body weight gain and corrected body
weight gain
Short-term inhalation (1–
30 days)
Oral study NOAEL = 10
mg/kg/day (inhalation
absorption rate = 100%)
LOC for MOE = 100
Developmental toxicity - rat
Maternal LOAEL = 30 mg/kg/day, based upon decreased body weight gain and corrected body
weight gain
Cancer (oral, dermal, inhalation)
Group E
Not applicable
No evidence of carcinogenicity in rats and mice
1 UF = uncertainty factor, FQPA SF = Special FQPA safety factor, NOAEL = no observed adverse effect level, LOAEL = lowest observed adverse effect level, PAD = population adjusted dose (a = acute, c = chronic) RfD = reference dose, MOE = margin of exposure, LOC = level of
concern
B. Exposure Assessment
1. Dietary exposure from food and
feed uses. Tolerances have been
established (40 CFR 180.472) for the
combined residues of imidacloprid, in
or on a variety of raw agricultural
commodities. Meat, milk, poultry and
egg tolerances have also been
established for the combined residues of
imidacloprid. Risk assessments were
conducted by EPA to assess dietary
exposures from imidacloprid in food as
follows:
i. Acute exposure. Acute dietary risk
assessments are performed for a fooduse pesticide if a toxicological study has
indicated the possibility of an effect of
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concern occurring as a result of a 1-day
or single exposure. The Dietary
Exposure Evaluation Model (DEEMTM)
analysis evaluated the individual food
consumption as reported by
respondents in the U.S. Department of
Agriculture (USDA) 1994–1996 and
1998 nationwide Continuing Surveys of
Food Intake by Individuals (CSFII) and
accumulated exposure to the chemical
for each commodity. The following
assumptions were made for the acute
exposure assessments: A Tier 1,
deterministic acute dietary exposure
assessment was conducted using
tolerance-level residues, 100% percent
crop treated (PCT) information for
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registered and proposed commodities;
and modified DEEMTM (version 2.0)
processing factors for some commodities
based on guideline processing studies.
EPA estimated exposure based on the
95th percentile value from this
deterministic exposure assessment.
ii. Chronic exposure. In conducting
this chronic dietary risk assessment the
DEEMTM analysis evaluated the
individual food consumption as
reported by respondents in the USDA
1994–1996 and 1998 nationwide CSFII
and accumulated exposure to the
chemical for each commodity. The
following assumptions were made for
the chronic exposure assessments: A
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Tier 2 partially refined, deterministic
assessment using tolerance-level residue
and average weighted PCT information
and modified DEEMTM (version 2.0)
processing factors for some commodities
based on guideline processing studies.
iii. Cancer. A quantitative cancer
aggregate risk assessment was not
performed because imidacloprid is not
carcinogenic.
iv. Anticipated residue and PCT
information. Section 408(b)(2)(F) of the
FFDCA states that the Agency may use
data on the actual percent of food
treated for assessing chronic dietary risk
only if the Agency can make the
following findings: Condition 1, that the
data used are reliable and provide a
valid basis to show what percentage of
the food derived from such crop is
likely to contain such pesticide residue;
Condition 2, that the exposure estimate
does not underestimate exposure for any
significant subpopulation group; and
Condition 3, if data are available on
pesticide use and food consumption in
a particular area, the exposure estimate
does not understate exposure for the
population in such area. In addition, the
Agency must provide for periodic
evaluation of any estimates used. To
provide for the periodic evaluation of
the estimate of PCT as required by
section 408(b)(2)(F) of the FFDCA, EPA
may require registrants to submit data
on PCT.
The Agency used PCT information as
follows: For the chronic assessment,
average weighted PCT information was
used for the following commodities:
Apple 34%; brussels sprouts 56%;
broccoli 35%; cabbage 14%; cantaloupe
31%; cauliflower 52%; collards 10%;
corn, field 1%; cotton 3%; cucumber
2%; eggplant 36%; grapefruit 3%; grape
32%; mustard greens16%; honeydew
26%; kale 30%; lemon 1%; lettuce, head
49%; lime 5%; orange 1%; pear 16%;
pepper 62%; pumpkin 7%; spinach
15%; squash 7%; sugarbeet 1%;
tangerine 9%; tomato 9%; watermelon
6%; wheat 1%. A default value of 1%
was used for all commodities which
were-reported as having <1 CT.
The Agency believes that the three
conditions listed above have been met.
With respect to Condition 1, PCT
estimates are derived from Federal and
private market survey data, which are
reliable and have a valid basis. EPA uses
a weighted average PCT for chronic
dietary exposure estimates. This
weighted average PCT figure is derived
by averaging State-level data for a
period of up to 10–years, and weighting
for the more robust and recent data. A
weighted average of the PCT reasonably
represents a person’s dietary exposure
over a lifetime, and is unlikely to
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underestimate exposure to an individual
because of the fact that pesticide use
patterns (both regionally and nationally)
tend to change continuously over time,
such that an individual is unlikely to be
exposed to more than the average PCT
over a lifetime. For acute dietary
exposure estimates, EPA uses an
estimated maximum PCT. The exposure
estimates resulting from this approach
reasonably represent the highest levels
to which an individual could be
exposed, and are unlikely to
underestimate an individual’s acute
dietary exposure. The Agency is
reasonably certain that the percentage of
the food treated is not likely to be an
underestimation. As to Conditions 2 and
3, regional consumption information
and consumption information for
significant subpopulations is taken into
account through EPA’s computer-based
model for evaluating the exposure of
significant subpopulations including
several regional groups. Use of this
consumption information in EPA’s risk
assessment process ensures that EPA’s
exposure estimate does not understate
exposure for any significant
subpopulation group and allows the
Agency to be reasonably certain that no
regional population is exposed to
residue levels higher than those
estimated by the Agency. Other than the
data available through national food
consumption surveys, EPA does not
have available information on the
regional consumption of food to which
imidacloprid may be applied in a
particular area.
2. Dietary exposure from drinking
water. The Agency lacks sufficient
monitoring exposure data to complete a
comprehensive dietary exposure
analysis and risk assessment for
imidacloprid in drinking water. Because
the Agency does not have
comprehensive monitoring data,
drinking water concentration estimates
are made by reliance on simulation or
modeling taking into account data on
the physical characteristics of
imidacloprid.
The Agency uses the First Index
Reservoir Screening Tool (FIRST) or the
Pesticide Root Zone/Exposure Analysis
Modeling System (PRZM/EXAMS) to
produce estimates of pesticide
concentrations in an index reservoir.
The Screening Concentration in Ground
Water (SCI-GROW) model is used to
predict pesticide concentrations in
shallow ground water. For a screeninglevel assessment for surface water EPA
will generally use FIRST (a Tier 1
model) before using PRZM/EXAMS (a
Tier 2 model). The FIRST model is a
subset of the PRZM/EXAMS model that
uses a specific high-end runoff scenario
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for pesticides. While both FIRST and
PRZM/EXAMS incorporate an index
reservoir environment, the PRZM/
EXAMS model includes a PC area factor
as an adjustment to account for the
maximum percent crop coverage within
a watershed or drainage basin.
None of these models include
consideration of the impact processing
(mixing, dilution, or treatment) of raw
water for distribution as drinking water
would likely have on the removal of
pesticides from the source water. The
primary use of these models by the
Agency at this stage is to provide a
coarse screen for sorting out pesticides
for which it is highly unlikely that
drinking water concentrations would
ever exceed human health levels of
concern.
Since the models used are considered
to be screening tools in the risk
assessment process, the Agency does
not use estimated environmental
concentrations (EECs) from these
models to quantify drinking water
exposure and risk as a %RfD or %PAD.
Instead drinking water levels of
comparison (DWLOCs) are calculated
and used as a point of comparison
against the model estimates of a
pesticide’s concentration in water.
DWLOCs are theoretical upper limits on
a pesticide’s concentration in drinking
water in light of total aggregate exposure
to a pesticide in food, and from
residential uses. Since DWLOCs address
total aggregate exposure to imidacloprid
they are further discussed in the
aggregate risk sections below.
Based on the FIRST and SCI-GROW
models the EECs of imidacloprid for
acute exposures are estimated to be
36.04 parts per billion (ppb) for surface
water and 2.09 ppb for ground water.
The EECs for chronic exposures are
estimated to be 17.24 ppb for surface
water and 2.09 ppb for ground water.
3. From non-dietary exposure. The
term ‘‘residential exposure’’ is used in
this document to refer to nonoccupational, non-dietary exposure
(e.g., for lawn and garden pest control,
indoor pest control, termiticides, and
flea and tick control on pets).
Imidacloprid is currently registered
for use on the following residential nondietary sites: Granular products for
application to lawns and ornamental
plants; ready-to-use spray for
application to flowers, shrubs and house
plants; plant spikes for application to
indoor and outdoor residential potted
plants; ready-to-use potting medium for
indoor and outdoor plant containers;
liquid concentrate for application to
lawns, trees, shrubs and flowers; readyto-use liquid for directed spot
application to cats and dogs. In
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addition, there are numerous registered
products intended for use by
commercial applicators to residential
sites. These include gel baits for
cockroach control; products intended
for commercial ornamental, lawn and
turf pest control; products for ant
control; and products used as
preservatives for wood products,
building materials, textiles and plastics.
As these products are intended for use
by commercial applicators only, they
are not be addressed in terms of
residential pesticide handler. The risk
assessment was conducted using the
following residential exposure
assumptions: EPA has determined that
residential handlers are likely to be
exposed to imidacloprid residues via
dermal and inhalation routes during
handling, mixing, loading, and applying
activities. Based on the current use
patterns, EPA expects duration of
exposure to be short-term (1–30 days).
EPA does not expect imidacloprid to
result in residential exposure durations
that would result in intermediate-term
or long-term exposure.
The scenarios likely to result in adult
dermal and/or inhalation residential
handler exposures are as follows:
-Dermal and inhalation exposure from
using a granular push-type spreader.
-Dermal exposure from using potted
plant spikes.
-Dermal exposure from using a plant
potting medium.
-Dermal and inhalation exposure from
using a garden hose-end sprayer (dermal
and inhalation exposure from using a
RTU trigger pump spray is expected to
be negligible).
-Dermal and inhalation exposure from
using a water can/bucket for soil drench
applications.
-Dermal exposure from using pet spoton.
EPA has also determined that there is
potential for short-term (1 to 30 days),
post-application exposure to adults and
children/toddlers from the many
residential uses of imidacloprid. Due to
residential application practices and the
half-lives observed in the turf
transferable residue study, intermediateterm and long-term post-application
exposures are not expected. The
scenarios likely to result in dermal
(adult and child/toddler), and incidental
non-dietary (child/toddler) short-term
post-application exposures are as
follows:
-Toddler oral hand-to-mouth exposure
from contacting treated turf.
-Toddler incidental oral ingestion of
granules.
-Toddler incidental oral ingestion of
pesticide-treated soil.
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-Toddler incidental oral exposure
from contacting treated pet.
-Toddler dermal exposure from
contacting treated turf.
-Toddler dermal exposure from
hugging treated pet/contacting treated
pet.
-Adult dermal exposure from
contacting treated turf.
-Adult golfer dermal exposure from
contacting treated turf.
-Adolescent golfer dermal exposure
from contacting treated turf.
-Adult dermal exposure from
contacting treated pet
4. Cumulative effects from substances
with a common mechanism of toxicity.
Section 408(b)(2)(D)(v) of the FFDCA
requires that, when considering whether
to establish, modify, or revoke a
tolerance, the Agency consider
‘‘available information’’ concerning the
cumulative effects of a particular
pesticide’s residues and ‘‘other
substances that have a common
mechanism of toxicity.’’
Unlike other pesticides for which EPA
has followed a cumulative risk approach
based on a common mechanism of
toxicity, EPA has not made a common
mechanism of toxicity finding as to
imidacloprid and any other substances
and imidacloprid does not appear to
produce a toxic metabolite produced by
other substances. For the purposes of
this tolerance action, therefore, EPA has
not assumed that imidacloprid has a
common mechanism of toxicity with
other substances. For information
regarding EPA’s efforts to determine
which chemicals have a common
mechanism of toxicity and to evaluate
the cumulative effects of such
chemicals, see the policy statements
released by EPA’s Office of Pesticide
Programs concerning common
mechanism determinations and
procedures for cumulating effects from
substances found to have a common
mechanism on EPA’s website at https://
www.epa.gov/pesticides/cumulative/.
C. Safety Factor for Infants and Children
1. In general. Section 408 of the
FFDCA provides that EPA shall apply
an additional tenfold margin of safety
for infants and children in the case of
threshold effects to account for prenatal
and postnatal toxicity and the
completeness of the data base on
toxicity and exposure unless EPA
determines that a different margin of
safety (MOS) will be safe for infants and
children. MOSs are incorporated into
EPA risk assessments either directly
through use of a MOE analysis or
through using UF (safety) in calculating
a dose level that poses no appreciable
risk to humans.
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2. Prenatal and postnatal sensitivity.
There is no quantitative or qualitative
evidence of increased susceptibility of
rat and rabbit fetuses to in utero
exposure in developmental studies.
There is no quantitative or qualitative
evidence of increased susceptibility of
rat offspring in the multi-generation
reproduction study. There is evidence of
increased qualitative susceptibility in
the rat developmental neurotoxicity
study, but the concern is low since:
i. The effects in pups are wellcharacterized with a clear NOAEL.
ii. The pup effects occur in the
presence of maternal toxicity with the
same NOAEL for effects in pups and
dams, and
iii. The doses and endpoints selected
for regulatory purposes are protective of
the pup effects noted at higher doses in
the developmental neurotoxicity study.
Therefore, there are no residual
uncertainties for prenatal/postnatal
toxicity in this study.
3. Conclusion. There is a complete
toxicity data base for imidacloprid and
exposure data are complete or are
estimated based on data that reasonably
accounts for potential exposures. EPA
determined that the 10X SF to protect
infants and children should be reduced
to 1X for the following reasons:
-The toxicological database is
complete for FQPA assessment.
-The acute dietary food exposure
assessment utilizes existing and
proposed tolerance level residues and
100% CT information for all
commodities. By using these screeninglevel assessments, actual exposures/
risks will not be underestimated.
-The chronic dietary food exposure
assessment utilizes existing and
proposed tolerance level residues and
PCT data verified by the Agency for
several existing uses. For all proposed
uses, 100% CT is assumed. The chronic
assessment is somewhat refined and
based on reliable data and will not
underestimate exposure/risk.
-The dietary drinking water
assessment utilizes water concentration
values generated by model and
associated modeling parameters which
are designed to provide conservative,
health protective, high-end estimates of
water concentrations which will not
likely be exceeded.
-The residential handler assessment is
based upon the residential standard
operating procedures (SOPs) in
conjunction with chemical-specific
study data in some cases and the
Pesticide Handlers Exposure Database
(PHED) unit exposures in other cases.
The majority of the residential postapplication assessment is based upon
chemical-specific turf transferrable
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residue data or other chemical-specific
post-application exposure study data.
The chemical-specific study data as well
as the surrogate study data used are
reliable and also are not expected to
underestimate risk to adults as well as
to children. In a few cases where
chemical-specific data were not
available, the SOPs were used alone.
The residential SOPs are based upon
reasonable worst-case assumptions and
are not expected to underestimate risk.
These assessments of exposure are not
likely to underestimate the resulting
estimates of risk from exposure to
imidacloprid.
D. Aggregate Risks and Determination of
Safety
To estimate total aggregate exposure
to a pesticide from food, drinking water,
and residential uses, the Agency
calculates DWLOCs which are used as a
point of comparison against the model
estimates of a pesticide’s concentration
in water (EECs). DWLOC values are not
regulatory standards for drinking water.
DWLOCs are theoretical upper limits on
a pesticide’s concentration in drinking
water in light of total aggregate exposure
to a pesticide in food and residential
uses. In calculating a DWLOC, the
Agency determines how much of the
acceptable exposure (i.e., the PAD) is
available for exposure through drinking
water e.g., allowable chronic water
exposure milligrams/kilogram/ day (mg/
kg/day) = cPAD - (average food +
chronic non-dietary, non-occupational
exposure). This allowable exposure
through drinking water is used to
calculate a DWLOC.
A DWLOC will vary depending on the
toxic endpoint, drinking water
consumption, and body weights. Default
body weights and consumption values
as used by the U.S. EPA Office of Water
are used to calculate DWLOCs: 2 liter
(L)/70 kg (adult male), 2L/60 kg (adult
female), and 1L/10 kg (child). Default
body weights and drinking water
consumption values vary on an
individual basis. This variation will be
taken into account in more refined
screening-level and quantitative
drinking water exposure assessments.
Different populations will have different
DWLOCs. Generally, a DWLOC is
calculated for each type of risk
assessment used: Acute, short-term,
intermediate-term, chronic, and cancer.
When EECs for surface water and
ground water are less than the
calculated DWLOCs, EPA concludes
with reasonable certainty that exposures
to imidacloprid in drinking water (when
considered along with other sources of
exposure for which EPA has reliable
59273
data) would not result in unacceptable
levels of aggregate human health risk at
this time. Because EPA considers the
aggregate risk resulting from multiple
exposure pathways associated with a
pesticide’s uses, levels of comparison in
drinking water may vary as those uses
change. If new uses are added in the
future, EPA will reassess the potential
impacts of imidacloprid on drinking
water as a part of the aggregate risk
assessment process.
1. Acute risk. Using the exposure
assumptions discussed in this unit for
acute exposure, the acute dietary
exposure from food to imidacloprid will
occupy 26% of the aPAD for the U.S.
population, 17% of the aPAD for
females 13 to 49 years, 57% of the aPAD
for infants <1 year old and 66% of the
aPAD for children 1–2 years. In
addition, despite the potential for acute
dietary exposure to imidacloprid in
drinking water, after calculating
DWLOCs and comparing them to
conservative model estimated
environmental concentrations of
imidacloprid in surface water and
ground water, EPA does not expect the
aggregate exposure to exceed 100% of
the aPAD, as shown in the following
Table 2:
TABLE 2.—AGGREGATE RISK ASSESSMENT FOR ACUTE EXPOSURE TO IMIDACLOPRID
aPAD (mg/
kg)
Population Subgroup
Surface
Water EEC
(ppb)
%aPAD
(Food)
Ground
Water EEC
(ppb)
Acute
DWLOC
(ppb)
U.S. population
0.14
26
36.04
2.09
3600
Females (13–49 years)
0.14
17
36.04
2.09
3500
Infants (1 year)
0.14
57
36.04
2.09
600
Children (1–2 years)
0.14
66
36.04
2.09
470
2. Chronic risk. Using the exposure
assumptions described in this unit for
chronic exposure, EPA has concluded
that exposure to imidacloprid from food
will utilize 12% of the cPAD for the
U.S. population, 29% of the cPAD for
infants <1 year and 38% of the cPAD for
them to the EECs for surface water and
ground water, EPA does not expect the
aggregate exposure to exceed 100% of
the cPAD, as shown in the following
Table 3:
children 1–2 years. Based the use
pattern, chronic residential exposure to
residues of imidacloprid is not
expected. In addition, there is potential
for chronic dietary exposure to
imidacloprid in drinking water. After
calculating DWLOCs and comparing
TABLE 3.—AGGREGATE RISK ASSESSMENT FOR CHRONIC (NON-CANCER) EXPOSURE TO IMIDACLOPRID
cPAD mg/
kg/day
Population Subgroup
%cPAD
(Food)
Surface
Water EEC
(ppb)
Ground
Water EEC
(ppb)
Chronic
DWLOC
(ppb)
U.S. population
0.057
12
17.24
2.09
1800
Infants (1 year)
0.057
29
17.24
2.09
400
Children (1–2 years)
0.057
38
17.24
2.09
350
Females (13–49 years)
0.057
10
17.24
2.09
1600
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3. Short-term risk. The short-term
aggregate risk assessment estimates risks
likely to result from 1 to 30 day
exposure to imidacloprid residues from
food, drinking water, and residential
pesticide uses. High-end estimates of
the residential exposure are used in the
short-term assessment, and average
values are used for food and drinking
water exposures.
DWLOCs were calculated and compared
to the EECs for chronic exposure of
imidacloprid in ground water and
surface water. After calculating
DWLOCs and comparing them to the
EECs for surface water and ground
water, EPA does not expect short-term
aggregate exposure to exceed the
Agency’s level of concern, as shown in
the following Table 4:
Using the exposure assumptions
described in this unit for short-term
exposures, EPA has concluded that food
and residential exposures aggregated
result in aggregate MOEs of 310 for the
U.S. population, and 170 for children 1–
2 years. These aggregate MOEs do not
exceed the Agency’s level of concern for
aggregate exposure to food and
residential uses. In addition, short-term
TABLE 4.—AGGREGATE RISK ASSESSMENT FOR SHORT-TERM EXPOSURE TO IMIDACLOPRID
Aggregate
MOE (Food
+ Residential)
Population Subgroup
Surface
Water EEC
(ppb)
Aggregate
LOC
Ground
Water EEC
(ppb)
Short-Term
DWLOC
(ppb)
U.S. population
310
100
17.24
2.09
2400
Children (1–2 years old)
170
100
17.24
2.09
400
4. Intermediate-term risk.
Intermediate-term aggregate exposure
takes into account non-dietary, nonoccupational exposure plus chronic
exposure to food and water (considered
to be a background exposure level).
An intermediate-term aggregate risk
assessment was not performed because,
based on the current use patterns, the
Agency does not expect residential
exposure durations that would result in
intermediate-term exposures.
5. Aggregate cancer risk for U.S.
population. There is no evidence of
carcinogenicity to humans based on
carcinogenicity studies in male and
female rats and mice. The Agency
concludes that pesticidal uses of
imidacloprid are not likely to pose a
cancer risk to humans.
6. Determination of safety. Based on
these risk assessments, EPA concludes
that there is a reasonable certainty that
no harm will result to the general
population, and to infants and children
from aggregate exposure to imidacloprid
residues.
V. Other Considerations
A. Analytical Enforcement Methodology
Adequate enforcement methodology
(example—gas chromatography) is
available to enforce the tolerance
expression. The method may be
requested from: Chief, Analytical
Chemistry Branch, Environmental
Science Center, 701 Mapes Rd., Ft.
Meade, MD 20755–5350; telephone
number: (410) 305–2905; e-mail address:
residuemethods@epa.gov.
B. International Residue Limits
There are no CODEX, Canadian, or
Mexican Maximum Residue Limits for
imidacloprid on pomegranates.
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VI. Conclusion
Therefore, the tolerance is established
for the combined residues of
imidacloprid, (1-[6-chloro-3-pyridinyl)
methyl]-N-nitro-2-imidazolidinimine)
and its metabolites containing the 6chloropyridinyl moiety, all expressed as
parent, in or on pomegrantes at 0.20
ppm.
VII. Objections and Hearing Requests
Under section 408(g) of the FFDCA, as
amended by the FQPA, any person may
file an objection to any aspect of this
regulation and may also request a
hearing on those objections. EPA’s
procedural regulations which govern the
submission of objections and requests
for hearings appear in 40 CFR part 178.
Although the procedures in those
regulations require some modification to
reflect the amendments made to the
FFDCA by the FQPA, EPA will continue
to use those procedures, with
appropriate adjustments, until the
necessary modifications can be made.
The new section 408(g) of the FFDCA
provides essentially the same process
for persons to ‘‘object’’ to a regulation
for an exemption from the requirement
of a tolerance issued by EPA under new
section 408(d) of the FFDCA, as was
provided in the old sections 408 and
409 of the FFDCA. However, the period
for filing objections is now 60 days,
rather than 30 days.
A. What Do I Need to Do to File an
Objection or Request a Hearing?
You must file your objection or
request a hearing on this regulation in
accordance with the instructions
provided in this unit and in 40 CFR part
178. To ensure proper receipt by EPA,
you must identify docket ID number
OPP–2005–0260 in the subject line on
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the first page of your submission. All
requests must be in writing, and must be
mailed or delivered to the Hearing Clerk
on or before December 12, 2005.
1. Filing the request. Your objection
must specify the specific provisions in
the regulation that you object to, and the
grounds for the objections (40 CFR
178.25). If a hearing is requested, the
objections must include a statement of
the factual issue(s) on which a hearing
is requested, the requestor’s contentions
on such issues, and a summary of any
evidence relied upon by the objector (40
CFR 178.27). Information submitted in
connection with an objection or hearing
request may be claimed confidential by
marking any part or all of that
information as CBI. Information so
marked will not be disclosed except in
accordance with procedures set forth in
40 CFR part 2. A copy of the
information that does not contain CBI
must be submitted for inclusion in the
public record. Information not marked
confidential may be disclosed publicly
by EPA without prior notice.
Mail your written request to: Office of
the Hearing Clerk (1900L),
Environmental Protection Agency, 1200
Pennsylvania Ave., NW., Washington,
DC 20460–0001. You may also deliver
your request to the Office of the Hearing
Clerk in Suite 350, 1099 14th St., NW.,
Washington, DC 20005. The Office of
the Hearing Clerk is open from 8 a.m.
to 4 p.m., Monday through Friday,
excluding legal holidays. The telephone
number for the Office of the Hearing
Clerk is (202) 564–6255.
2. Copies for the Docket. In addition
to filing an objection or hearing request
with the Hearing Clerk as described in
Unit VII.A., you should also send a copy
of your request to the PIRIB for its
inclusion in the official record that is
described in ADDRESSES. Mail your
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copies, identified by the docket ID
number OPP–2005–0260, to: Public
Information and Records Integrity
Branch, Information Resources and
Services Division (7502C), Office of
Pesticide Programs, Environmental
Protection Agency, 1200 Pennsylvania
Ave., NW., Washington, DC 20460–
0001. In person or by courier, bring a
copy to the location of the PIRIB
described in ADDRESSES. You may also
send an electronic copy of your request
via e-mail to: opp-docket@epa.gov.
Please use an ASCII file format and
avoid the use of special characters and
any form of encryption. Copies of
electronic objections and hearing
requests will also be accepted on disks
in WordPerfect 6.1/8.0 or ASCII file
format. Do not include any CBI in your
electronic copy. You may also submit an
electronic copy of your request at many
Federal Depository Libraries.
B. When Will the Agency Grant a
Request for a Hearing?
A request for a hearing will be granted
if the Administrator determines that the
material submitted shows the following:
There is a genuine and substantial issue
of fact; there is a reasonable possibility
that available evidence identified by the
requestor would, if established resolve
one or more of such issues in favor of
the requestor, taking into account
uncontested claims or facts to the
contrary; and resolution of the factual
issue(s) in the manner sought by the
requestor would be adequate to justify
the action requested (40 CFR 178.32).
VIII. Statutory and Executive Order
Reviews
This final rule establishes a timelimited [tolerance] under section 408 of
the FFDCA. The Office of Management
and Budget (OMB) has exempted these
types of actions from review under
Executive Order 12866, entitled
Regulatory Planning and Review (58 FR
51735, October 4, 1993). Because this
rule has been exempted from review
under Executive Order 12866 due to its
lack of significance, this rule is not
subject to Executive Order 13211,
Actions Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use (66 FR 28355, May
22, 2001). This final rule does not
contain any information collections
subject to OMB approval under the
Paperwork Reduction Act (PRA), 44
U.S.C. 3501 et seq., or impose any
enforceable duty or contain any
unfunded mandate as described under
Title II of the Unfunded Mandates
Reform Act of 1995 (UMRA) (Public
Law 104–4). Nor does it require any
special considerations under Executive
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Order 12898, entitled Federal Actions to
Address Environmental Justice in
Minority Populations and Low-Income
Populations (59 FR 7629, February 16,
1994); or OMB review or any Agency
action under Executive Order 13045,
entitled Protection of Children from
Environmental Health Risks and Safety
Risks (62 FR 19885, April 23, 1997).
This action does not involve any
technical standards that would require
Agency consideration of voluntary
consensus standards pursuant to section
12(d) of the National Technology
Transfer and Advancement Act of 1995
(NTTAA), Public Law 104–113, section
12(d) (15 U.S.C. 272 note). Since
tolerances and exemptions that are
established on the basis of a FIFRA
section 18 exemption under section 408
of the FFDCA, such as the tolerance in
this final rule, do not require the
issuance of a proposed rule, the
requirements of the Regulatory
Flexibility Act (RFA) (5 U.S.C. 601 et
seq.) do not apply. In addition, the
Agency has determined that this action
will not have a substantial direct effect
on 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
Executive Order 13132, entitled
Federalism (64 FR 43255, August 10,
1999). Executive Order 13132 requires
EPA to develop an accountable process
to ensure ‘‘meaningful and timely input
by State and local officials in the
development of regulatory policies that
have federalism implications.’’ ‘‘Policies
that have federalism implications’’ is
defined in the Executive Order to
include regulations that 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.’’ This final rule
directly regulates growers, food
processors, food handlers, and food
retailers, not States. This action does not
alter the relationships or distribution of
power and responsibilities established
by Congress in the preemption
provisions of section 408(n)(4) of the
FFDCA. For these same reasons, the
Agency has determined that this rule
does not have any ‘‘tribal implications’’
as described in Executive Order 13175,
entitled Consultation and Coordination
with Indian Tribal Governments (65 FR
67249, November 6, 2000). Executive
Order 13175, requires EPA to develop
an accountable process to ensure
‘‘meaningful and timely input by tribal
officials in the development of
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59275
regulatory policies that have tribal
implications.’’ ‘‘Policies that have tribal
implications’’ is defined in the
Executive Order to include regulations
that have ‘‘substantial direct effects on
one or more Indian tribes, 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.’’ This
rule will not have substantial direct
effects on tribal governments, on the
relationship between the Federal
Government and Indian tribes, or on the
distribution of power and
responsibilities between the Federal
Government and Indian tribes, as
specified in Executive Order 13175.
Thus, Executive Order 13175 does not
apply to this rule.
IX. Congressional Review Act
The Congressional Review Act, 5
U.S.C. 801 et seq., as added by the Small
Business Regulatory Enforcement
Fairness Act of 1996, generally provides
that before a rule may take effect, the
agency promulgating the rule must
submit a rule report, which includes a
copy of the rule, to each House of the
Congress and to the Comptroller General
of the United States. EPA will submit a
report containing this rule and other
required information to the U.S. Senate,
the U.S. House of Representatives, and
the Comptroller General of the United
States prior to publication of this final
rule in the Federal Register. This final
rule is not a ‘‘major rule’’ as defined by
5 U.S.C. 804(2).
List of Subjects in 40 CFR Part 180
Environmental protection,
Administrative practice and procedure,
Agricultural commodities, Pesticides
and pests, Reporting and record keeping
requirements.
Dated: September 27, 2005.
Donald R. Stubbs,
Acting Director, Registration Division, Office
of Pesticide Programs.
Therefore, 40 CFR chapter I is
amended as follows:
I
PART 180—[AMENDED]
1. The authority citation for part 180
continues to read as follows:
I
Authority: 21 U.S.C. 321(q), 346a and 371.
2. Section 180.472 is amended by
alphabetically adding the following
commodity to the table in paragraph (b)
to read as follows:
I
§ 180.472 Imidacloprid; tolerances for
residues.
*
*
*
(b) * * *
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Commodity
Parts per million
*
*
*
*
*
Pomegranate ...............................................................................................................................................
*
*
*
*
*
[FR Doc. 05–20209 Filed 10–11–05; 8:45 am]
BILLING CODE 6560–50–S
FEDERAL COMMUNICATIONS
COMMISSION
47 CFR Parts 5, 25, and 97
[IB Docket No. 02–54; FCC 04–130]
Mitigation of Orbital Debris
Federal Communications
Commission.
ACTION: Final rule; announcement of
effective date.
AGENCY:
SUMMARY: Pursuant to the Paperwork
Reduction Act of 1995, Public Law 104–
13, the Federal Communications
Commission received Office of
Management and Budget (OMB)
approval for the collection of orbital
debris mitigation plans under 47 CFR
5.63(e), 25.114(d)(14), and 97.207(g) of
the Commission’s rules. Mitigation of
Orbital Debris, IB Docket No. 02–54,
OMB Control Number 3060–1013. An
agency may not conduct or sponsor and
a person is not required to respond to
a collection of information unless it
displays a currently valid control
number.
DATES: Effective October 19, 2005.
FOR FURTHER INFORMATION CONTACT:
Stephen Duall, Attorney Advisor,
Satellite Division, International Bureau,
at (202) 418–1103, or via the Internet at
Stephen.Duall@fcc.gov.
SUPPLEMENTARY INFORMATION: The
Federal Communications Commission
has received OMB approval for the
disclosures of orbital debris mitigation
plans under 47 CFR 5.63(e),
25.114(d)(14), and 97.207(g) of the
Commission’s rules that were adopted
in Mitigation of Orbital Debris, IB
Docket No. 02–54, 69 FR 54581
(September 9, 2004). These rules require
a satellite system operator requesting
FCC space station authorization, or an
entity requesting a Commission ruling
for access to a non-U.S.-licensed space
station under the Commission’s satellite
market access procedures, to submit an
orbital debris mitigation plan to the
Commission regarding spacecraft design
and operation in connection with its
request under parts 5, 25, and 97 of the
Commission’s rules. Through this
VerDate Aug<31>2005
16:47 Oct 11, 2005
Jkt 208001
document, the Commission confirms
that it received OMB approval on April
13, 2005, OMB Control No. 3060–1013,
and announces that the effective date of
47 CFR 5.63(e), 25.114(d)(14), and
97.207(g) is October 19, 2005.
Pursuant to the Paperwork Reduction
Act of 1995, Public Law 104–13, an
agency may not conduct or sponsor a
collection of information unless it
displays a currently valid control
number. Notwithstanding any other
provisions of law, no person shall be
subject to any penalty for failing to
comply with a collection of information
subject to the Paperwork Reduction Act
that does not display a valid control
number. Questions concerning the OMB
control number and expiration dates
should be directed to Judith B. Herman
at 202–418–0214, 445 12th Street, SW.,
Washington, DC 20554, or via the
Internet at Judith-B.Herman@fcc.gov.
OMB Control No.: 3060–1013.
OMB Approval Date: 4/13/2005.
Expiration Date: 4/30/2008.
Title: Mitigation of Orbital Debris.
Form No.: N/A.
Estimated Annual Burden: 53
responses; 159 annual burden hours.
Needs and Uses: The Commission is
revising this information collection to
reflect the new and/or modified
information collection requirements that
resulted from the Second Report and
Order, ‘‘In the Matter of Mitigation of
Orbital Debris.’’ This Second Report and
Order was released by the Commission
on June 21, 2004. The Commission
amended parts 5, 25, and 97 of the
Commission’s rules by adopting new
rules concerning mitigation of orbital
debris. Orbital debris consists of
artificial objects orbiting the earth that
are not functional spacecraft. Adoption
of these rules will help preserve the
United States’ continued affordable
access to space, the continued provision
of reliable U.S. space-based services—
including communications and remote
sensing satellite services for U.S.
commercial, government, and homeland
security purposes—as well as the
continued safety of persons and
property in space and on the surface of
the earth. Under the rules as amended
today, a satellite system operator
requesting FCC space station
authorization, or an entity requesting a
Commission ruling for access to a nonU.S.-licensed space station under the
FCC’s satellite market access
PO 00000
Frm 00068
Fmt 4700
Sfmt 4700
Expiration/revocation date
0.20
12/31/08
procedures, must submit an orbital
debris mitigation plan to the
Commission regarding spacecraft design
and operation in connection with its
request. This Second Report and Order
provides guidance for the preparation of
such plans. Adoption of these rules will
further the domestic policy objective of
the United States to minimize the
creation of orbital debris and is
consistent with international policies
and initiatives to achieve this goal. The
information collection requirements
accounted for in this collection are
necessary to mitigate the potential
harmful effects of orbital debris
accumulation. Without such
information collection requirements, the
growth in the orbital debris may limit
the usefulness of space for
communications and other uses in the
future by raising the costs and lowering
the reliability of space-based systems.
Federal Communications Commission.
Marlene H. Dortch,
Secretary.
[FR Doc. 05–20446 Filed 10–11–05; 8:45 am]
BILLING CODE 6712–01–P
FEDERAL COMMUNICATIONS
COMMISSION
47 CFR Part 25
[IB Docket 02–54; FCC 04–130]
Mitigation of Orbital Debris
Federal Communications
Commission.
ACTION: Final rule.
AGENCY:
SUMMARY: Pursuant to the Paperwork
Reduction Act of 1995, Public Law 104–
13, the Federal Communications
Commission received Office of
Management and Budget (OMB)
approval for the collection of orbital
debris mitigation plans under 47 CFR
25.114(d)(14) of the Commission’s rules.
Mitigation of Orbital Debris, IB Docket
No. 02–54, OMB Control Number 3060–
1013. By this document, we announce
the revision or removal of redundant
existing rules requiring the submission
of orbital debris plans on a servicespecific basis that are contained in 47
CFR 25.143(b)(1), 25.145(c)(3),
25.146(i)(4), and 25.217(d).
DATES: Effective October 19, 2005.
E:\FR\FM\12OCR1.SGM
12OCR1
Agencies
[Federal Register Volume 70, Number 196 (Wednesday, October 12, 2005)]
[Rules and Regulations]
[Pages 59268-59276]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 05-20209]
=======================================================================
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 180
[OPP-2005-0260; FRL-7738-8]
Imidacloprid; Pesticide Tolerances for Emergency Exemptions
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: This regulation establishes a time-limited tolerance for the
combined residues of imidacloprid, (1-[6-chloro-3-pyridinyl) methyl]-N-
nitro-2-imidazolidinimine) and its metabolites containing the 6-
chloropyridinyl moiety, all expressed as parent in or on pomegranates.
This action is in response to EPA's granting of an emergency exemption
under section 18 of the Federal Insecticide, Fungicide, and Rodenticide
Act (FIFRA) authorizing use of the pesticide on pomegranates. This
regulation establishes a maximum permissible level for residues of
imidacloprid in this food commodity. The tolerance will expire and is
revoked on December 31, 2008.
DATES: This regulation is effective October 12, 2005. Objections and
requests for hearings must be received on or before December 12, 2005.
ADDRESSES: To submit a written objection or hearing request follow the
detailed instructions as provided in Unit VII. of the SUPPLEMENTARY
INFORMATION. EPA has established a docket for this action under docket
identification (ID) number OPP-2005-0260. 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: Andrew Ertman, Registration Division
(7505C), Office of Pesticide Programs, Environmental Protection Agency,
1200 Pennsylvania Ave., NW., Washington, DC 20460-0001; telephone
number:(703) 308-9367; e-mail address: Sec-18-Mailbox@epa.gov.
SUPPLEMENTARY INFORMATION:
I. General Information
A. Does this Action Apply to Me?
You may be potentially affected by this action if you are an
agricultural producer, food manufacturer, or pesticide manufacturer.
Potentially affected entities may include, but are not limited to:
Crop production (NAICS code 111)
Animal production (NAICS code 112)
Food manufacturing (NAICS code 311)
Pesticide manufacturing (NAICS code 32532)
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 in this unit 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, consult the person listed under FOR FURTHER INFORMATION
CONTACT.
B. How Can I Access Electronic Copies of this Document and Other
Related Information?
In addition to using EDOCKET (https://www.epa.gov/edocket/), you may
access this Federal Register document electronically through the EPA
Internet under the ``Federal Register'' listings at https://www.epa.gov/
fedrgstr/. A frequently updated electronic version of 40 CFR part 180
is available on E-CFR Beta Site Two at https://www.gpoaccess.gov/ecfr/.
II. Background and Statutory Findings
EPA, on its own initiative, in accordance with sections 408(e) and
408 (l)(6) of the Federal Food, Drug, and Cosmetic Act (FFDCA), 21
U.S.C. 346a, is establishing a tolerance for the combined residues of
imidacloprid, (1-[6-chloro-3-pyridinyl) methyl]-N-nitro-2-
imidazolidinimine) and its metabolites containing the 6-chloropyridinyl
moiety, all expressed as parent in or on pomegranates at 0.20 parts per
million (ppm). This tolerance will expire and is revoked on December
31, 2008. EPA will publish a document in the Federal Register to remove
the revoked tolerance from the Code of Federal Regulations.
[[Page 59269]]
Section 408(l)(6) of the FFDCA requires EPA to establish a time-
limited tolerance or exemption from the requirement for a tolerance for
pesticide chemical residues in food that will result from the use of a
pesticide under an emergency exemption granted by EPA under section 18
of FIFRA. Such tolerances can be established without providing notice
or period for public comment. EPA does not intend for its actions on
section 18 related tolerances to set binding precedents for the
application of section 408 of the FFDCA and the new safety standard to
other tolerances and exemptions. Section 408(e) of the FFDCA allows EPA
to establish a tolerance or an exemption from the requirement of a
tolerance on its own initiative, i.e., without having received any
petition from an outside party.
Section 408(b)(2)(A)(i) of the FFDCA allows EPA to establish a
tolerance (the legal limit for a pesticide chemical residue in or on a
food) only if EPA determines that the tolerance is ``safe.'' Section
408(b)(2)(A)(ii) of the FFDCA defines ``safe'' to mean that ``there is
a reasonable certainty that no harm will result from aggregate exposure
to the pesticide chemical residue, including all anticipated dietary
exposures and all other exposures for which there is reliable
information.'' This includes exposure through drinking water and in
residential settings, but does not include occupational exposure.
Section 408(b)(2)(C) of the FFDCA requires EPA to give special
consideration to exposure of infants and children to the pesticide
chemical residue in establishing a tolerance and to ``ensure that there
is a reasonable certainty that no harm will result to infants and
children from aggregate exposure to the pesticide chemical residue. . .
.''
Section 18 of the FIFRA authorizes EPA to exempt any Federal or
State agency from any provision of FIFRA, if EPA determines that
``emergency conditions exist which require such exemption.'' This
provision was not amended by the Food Quality Protection Act of 1996
(FQPA). EPA has established regulations governing such emergency
exemptions in 40 CFR part 166.
III. Emergency Exemption for Imidacloprid on Pomegranates and FFDCA
Tolerances
The State of California requested the use of imidacloprid on
pomegranates to control whiteflies. The applicant stated that
uncontrolled whitefly populations cause significant problems for
producers. Immature life stages exude honeydew on the trees and
developing fruit, which contribute to the development of molds (which
mar the surface of the pomegranates) and also contribute to the
sunburning of the fruit. Since the introduction of the pest on
pomegranates, cull rates went from 15-30% to 40-50%. This increase in
cull rates is forcing growers and shippers to move fruit from the fresh
market to the juice market, which in turn is causing significant
economic damage. EPA has authorized under FIFRA section 18 the use of
imidacloprid on pomegranates for control of whiteflies in California.
After having reviewed the submission, EPA concurs that emergency
conditions exist for this State.
As part of its assessment of this emergency exemption, EPA assessed
the potential risks presented by residues of imidacloprid in or on
pomegranates. In doing so, EPA considered the safety standard in
section 408(b)(2) of the FFDCA, and EPA decided that the necessary
tolerance under section 408(l)(6) of the FFDCA would be consistent with
the safety standard and with FIFRA section 18. Consistent with the need
to move quickly on the emergency exemption in order to address an
urgent non-routine situation and to ensure that the resulting food is
safe and lawful, EPA is issuing this tolerance without notice and
opportunity for public comment as provided in section 408(l)(6) of the
FFDCA. Although this tolerance will expire and is revoked on December
31, 2008, under section 408(l)(5) of the FFDCA, residues of the
pesticide not in excess of the amounts specified in the tolerance
remaining in or on pomegranates after that date will not be unlawful,
provided the pesticide is applied in a manner that was lawful under
FIFRA, and the residues do not exceed a level that was authorized by
this tolerance at the time of that application. EPA will take action to
revoke this tolerance earlier if any experience with, scientific data
on, or other relevant information on this pesticide indicate that the
residues are not safe.
Because this tolerance is being approved under emergency
conditions, EPA has not made any decisions about whether imidacloprid
meets EPA's registration requirements for use on pomegranates or
whether a permanent tolerance for this use would be appropriate. Under
these circumstances, EPA does not believe that this tolerance serves as
a basis for registration of imidacloprid by a State for special local
needs under FIFRA section 24(c). Nor does this tolerance serve as the
basis for any State other than California to use this pesticide on this
crop under section 18 of FIFRA without following all provisions of
EPA's regulations implementing FIFRA section 18 as identified in 40 CFR
part 166. For additional information regarding the emergency exemption
for imidacloprid, contact the Agency's Registration Division at the
address provided under FOR FURTHER INFORMATION CONTACT.
IV. Aggregate Risk Assessment and Determination of Safety
EPA performs a number of analyses to determine the risks from
aggregate exposure to pesticide residues. For further discussion of the
regulatory requirements of section 408 of the FFDCA and a complete
description of the risk assessment process, see the final rule on
Bifenthrin Pesticide Tolerances in the Federal Register of November 26,
1997 (62 FR 62961) FRL-5754-7).
Consistent with section 408(b)(2)(D) of the FFDCA , EPA has
reviewed the available scientific data and other relevant information
in support of this action. EPA has sufficient data to assess the
hazards of imidacloprid and to make a determination on aggregate
exposure, consistent with section 408(b)(2) of the FFDCA, for a time-
limited tolerance for the combined residues of imidacloprid, (1-[6-
chloro-3-pyridinyl) methyl]-N-nitro-2-imidazolidinimine) and its
metabolites containing the 6-chloropyridinyl moiety, all expressed as
parent in or on pomegranates at 0.20 ppm. EPA's assessment of the
dietary exposures and risks associated with establishing the tolerance
follows.
A. Toxicological Endpoints
The dose at which no adverse effects are observed (the NOAEL) from
the toxicology study identified as appropriate for use in risk
assessment is used to estimate the toxicological endpoint. However, the
lowest dose at which adverse effects of concern are identified (the
LOAEL) is sometimes used for risk assessment if NOAEL was achieved in
the toxicology study selected. An uncertainty factor (UF) is applied to
reflect uncertainties inherent in the extrapolation from laboratory
animal data to humans and in the variations in sensitivity among
members of the human population as well as other unknowns. An UF of 100
is routinely used, 10X to account for interspecies differences and 10X
for intraspecies differences.
For dietary risk assessment (other than cancer) the Agency uses the
UF to calculate an acute or chronic reference dose (aRfD or cRfD) where
the RfD is equal to the NOAEL divided by the appropriate UF (RfD =
NOAEL/UF). Where an additional safety factor is
[[Page 59270]]
retained due to concerns unique to the FQPA, this additional factor is
applied to the RfD by dividing the RfD by such additional factor. The
acute or chronic Population Adjusted Dose (aPAD or cPAD) is a
modification of the RfD to accommodate this type of FQPA safty factor
(SF).
For non-dietary risk assessments (other than cancer) the UF is used
to determine the level of concern (LOC). For example, when 100 is the
appropriate UF (10X to account for interspecies differences and 10X for
intraspecies differences) the LOC is 100. To estimate risk, a ratio of
the NOAEL to exposures (margin of exposure (MOE) = NOAEL/exposure) is
calculated and compared to the LOC.
The linear default risk methodology (Q*) is the primary method
currently used by the Agency to quantify carcinogenic risk. The Q*
approach assumes that any amount of exposure will lead to some degree
of cancer risk. A Q* is calculated and used to estimate risk which
represents a probability of occurrence of additional cancer cases
(e.g., risk is expressed as 1 x106 or one in a million).
Under certain specific circumstances, MOE calculations will be used for
the carcinogenic risk assessment. In this non-linear approach, a
``point of departure'' is identified below which carcinogenic effects
are not expected. The point of departure is typically a NOAEL based on
an endpoint related to cancer effects though it may be a different
value derived from the dose response curve. To estimate risk, a ratio
of the point of departure to exposure (MOEcancer = point of
departure/exposures) is calculated. A summary of the toxicological
endpoints for imidacloprid used for human risk assessment is shown in
the following Table 1:
Table 1.--Summary of Toxicological Dose and Endpoints for Imidacloprid for Use in Human Risk Assessment
----------------------------------------------------------------------------------------------------------------
*Special FQPA SF and
Exposure Scenario Dose Used in Risk Level of Concern for Study and Toxicological
Assessment, UF Risk Assessment Effects
----------------------------------------------------------------------------------------------------------------
Acute dietary all populations LOAEL = 42 mg/kg/day FQPA SF = 1X Acute neurotoxicity -
UF = 300............... aPAD = acute RfD....... rat
ARfD = 0.14 mg/kg...... FQPA SF = 0.14 mg/kg... LOAEL = 42 mg/kg, based
upon the decrease in
motor and locomotor
activities observed in
females
----------------------------------------------------------------------------------------------------------------
Chronic dietary all populations NOAEL= 5.7 mg/kg/day FQPA SF = 1X Combined chronic tox/
UF = 100............... cPAD = chr RfD......... carcinogenicity - rat
Chronic RfD = 0.057 mg/ FQPA SF = 0.057 mg/kg/ LOAEL = 16.9 mg/kg/day,
kg/day. day. based upon increased
incidence of
mineralized particles
in thyroid colloid in
males
----------------------------------------------------------------------------------------------------------------
Short-term oral (1-30 days) Oral study NOAEL= 10 mg/ LOC for MOE = 100 Developmental toxicity
kg/day rat
Maternal LOAEL = 30 mg/
kg/day, based upon
decreased body weight
gain and corrected
body weight gain
----------------------------------------------------------------------------------------------------------------
Short-term dermal (1-30 days) Oral study NOAEL= 10 mg/ LOC for MOE = 100 Developmental toxicity
kg/day (dermal rat
absorption rate = Maternal LOAEL = 30 mg/
7.2%) kg/day, based upon
decreased body weight
gain and corrected
body weight gain
----------------------------------------------------------------------------------------------------------------
Short-term inhalation (1-30 days) Oral study NOAEL = 10 LOC for MOE = 100 Developmental toxicity
mg/kg/day (inhalation rat
absorption rate = Maternal LOAEL = 30 mg/
100%) kg/day, based upon
decreased body weight
gain and corrected
body weight gain
----------------------------------------------------------------------------------------------------------------
Cancer (oral, dermal, inhalation) Group E Not applicable No evidence of
carcinogenicity in
rats and mice
----------------------------------------------------------------------------------------------------------------
1 UF = uncertainty factor, FQPA SF = Special FQPA safety factor, NOAEL = no observed adverse effect level, LOAEL
= lowest observed adverse effect level, PAD = population adjusted dose (a = acute, c = chronic) RfD =
reference dose, MOE = margin of exposure, LOC = level of concern
B. Exposure Assessment
1. Dietary exposure from food and feed uses. Tolerances have been
established (40 CFR 180.472) for the combined residues of imidacloprid,
in or on a variety of raw agricultural commodities. Meat, milk, poultry
and egg tolerances have also been established for the combined residues
of imidacloprid. Risk assessments were conducted by EPA to assess
dietary exposures from imidacloprid in food as follows:
i. Acute exposure. Acute dietary risk assessments are performed for
a food-use pesticide if a toxicological study has indicated the
possibility of an effect of concern occurring as a result of a 1-day or
single exposure. The Dietary Exposure Evaluation Model
(DEEMTM) analysis evaluated the individual food consumption
as reported by respondents in the U.S. Department of Agriculture (USDA)
1994-1996 and 1998 nationwide Continuing Surveys of Food Intake by
Individuals (CSFII) and accumulated exposure to the chemical for each
commodity. The following assumptions were made for the acute exposure
assessments: A Tier 1, deterministic acute dietary exposure assessment
was conducted using tolerance-level residues, 100% percent crop treated
(PCT) information for registered and proposed commodities; and modified
DEEMTM (version 2.0) processing factors for some commodities
based on guideline processing studies. EPA estimated exposure based on
the 95th percentile value from this deterministic exposure
assessment.
ii. Chronic exposure. In conducting this chronic dietary risk
assessment the DEEMTM analysis evaluated the individual food
consumption as reported by respondents in the USDA 1994-1996 and 1998
nationwide CSFII and accumulated exposure to the chemical for each
commodity. The following assumptions were made for the chronic exposure
assessments: A
[[Page 59271]]
Tier 2 partially refined, deterministic assessment using tolerance-
level residue and average weighted PCT information and modified
DEEMTM (version 2.0) processing factors for some commodities
based on guideline processing studies.
iii. Cancer. A quantitative cancer aggregate risk assessment was
not performed because imidacloprid is not carcinogenic.
iv. Anticipated residue and PCT information. Section 408(b)(2)(F)
of the FFDCA states that the Agency may use data on the actual percent
of food treated for assessing chronic dietary risk only if the Agency
can make the following findings: Condition 1, that the data used are
reliable and provide a valid basis to show what percentage of the food
derived from such crop is likely to contain such pesticide residue;
Condition 2, that the exposure estimate does not underestimate exposure
for any significant subpopulation group; and Condition 3, if data are
available on pesticide use and food consumption in a particular area,
the exposure estimate does not understate exposure for the population
in such area. In addition, the Agency must provide for periodic
evaluation of any estimates used. To provide for the periodic
evaluation of the estimate of PCT as required by section 408(b)(2)(F)
of the FFDCA, EPA may require registrants to submit data on PCT.
The Agency used PCT information as follows: For the chronic
assessment, average weighted PCT information was used for the following
commodities: Apple 34%; brussels sprouts 56%; broccoli 35%; cabbage
14%; cantaloupe 31%; cauliflower 52%; collards 10%; corn, field 1%;
cotton 3%; cucumber 2%; eggplant 36%; grapefruit 3%; grape 32%; mustard
greens16%; honeydew 26%; kale 30%; lemon 1%; lettuce, head 49%; lime
5%; orange 1%; pear 16%; pepper 62%; pumpkin 7%; spinach 15%; squash
7%; sugarbeet 1%; tangerine 9%; tomato 9%; watermelon 6%; wheat 1%. A
default value of 1% was used for all commodities which were-reported as
having <1 CT.
The Agency believes that the three conditions listed above have
been met. With respect to Condition 1, PCT estimates are derived from
Federal and private market survey data, which are reliable and have a
valid basis. EPA uses a weighted average PCT for chronic dietary
exposure estimates. This weighted average PCT figure is derived by
averaging State-level data for a period of up to 10-years, and
weighting for the more robust and recent data. A weighted average of
the PCT reasonably represents a person's dietary exposure over a
lifetime, and is unlikely to underestimate exposure to an individual
because of the fact that pesticide use patterns (both regionally and
nationally) tend to change continuously over time, such that an
individual is unlikely to be exposed to more than the average PCT over
a lifetime. For acute dietary exposure estimates, EPA uses an estimated
maximum PCT. The exposure estimates resulting from this approach
reasonably represent the highest levels to which an individual could be
exposed, and are unlikely to underestimate an individual's acute
dietary exposure. The Agency is reasonably certain that the percentage
of the food treated is not likely to be an underestimation. As to
Conditions 2 and 3, regional consumption information and consumption
information for significant subpopulations is taken into account
through EPA's computer-based model for evaluating the exposure of
significant subpopulations including several regional groups. Use of
this consumption information in EPA's risk assessment process ensures
that EPA's exposure estimate does not understate exposure for any
significant subpopulation group and allows the Agency to be reasonably
certain that no regional population is exposed to residue levels higher
than those estimated by the Agency. Other than the data available
through national food consumption surveys, EPA does not have available
information on the regional consumption of food to which imidacloprid
may be applied in a particular area.
2. Dietary exposure from drinking water. The Agency lacks
sufficient monitoring exposure data to complete a comprehensive dietary
exposure analysis and risk assessment for imidacloprid in drinking
water. Because the Agency does not have comprehensive monitoring data,
drinking water concentration estimates are made by reliance on
simulation or modeling taking into account data on the physical
characteristics of imidacloprid.
The Agency uses the First Index Reservoir Screening Tool (FIRST) or
the Pesticide Root Zone/Exposure Analysis Modeling System (PRZM/EXAMS)
to produce estimates of pesticide concentrations in an index reservoir.
The Screening Concentration in Ground Water (SCI-GROW) model is used to
predict pesticide concentrations in shallow ground water. For a
screening-level assessment for surface water EPA will generally use
FIRST (a Tier 1 model) before using PRZM/EXAMS (a Tier 2 model). The
FIRST model is a subset of the PRZM/EXAMS model that uses a specific
high-end runoff scenario for pesticides. While both FIRST and PRZM/
EXAMS incorporate an index reservoir environment, the PRZM/EXAMS model
includes a PC area factor as an adjustment to account for the maximum
percent crop coverage within a watershed or drainage basin.
None of these models include consideration of the impact processing
(mixing, dilution, or treatment) of raw water for distribution as
drinking water would likely have on the removal of pesticides from the
source water. The primary use of these models by the Agency at this
stage is to provide a coarse screen for sorting out pesticides for
which it is highly unlikely that drinking water concentrations would
ever exceed human health levels of concern.
Since the models used are considered to be screening tools in the
risk assessment process, the Agency does not use estimated
environmental concentrations (EECs) from these models to quantify
drinking water exposure and risk as a %RfD or %PAD. Instead drinking
water levels of comparison (DWLOCs) are calculated and used as a point
of comparison against the model estimates of a pesticide's
concentration in water. DWLOCs are theoretical upper limits on a
pesticide's concentration in drinking water in light of total aggregate
exposure to a pesticide in food, and from residential uses. Since
DWLOCs address total aggregate exposure to imidacloprid they are
further discussed in the aggregate risk sections below.
Based on the FIRST and SCI-GROW models the EECs of imidacloprid for
acute exposures are estimated to be 36.04 parts per billion (ppb) for
surface water and 2.09 ppb for ground water. The EECs for chronic
exposures are estimated to be 17.24 ppb for surface water and 2.09 ppb
for ground water.
3. From non-dietary exposure. The term ``residential exposure'' is
used in this document to refer to non-occupational, non-dietary
exposure (e.g., for lawn and garden pest control, indoor pest control,
termiticides, and flea and tick control on pets).
Imidacloprid is currently registered for use on the following
residential non-dietary sites: Granular products for application to
lawns and ornamental plants; ready-to-use spray for application to
flowers, shrubs and house plants; plant spikes for application to
indoor and outdoor residential potted plants; ready-to-use potting
medium for indoor and outdoor plant containers; liquid concentrate for
application to lawns, trees, shrubs and flowers; ready-to-use liquid
for directed spot application to cats and dogs. In
[[Page 59272]]
addition, there are numerous registered products intended for use by
commercial applicators to residential sites. These include gel baits
for cockroach control; products intended for commercial ornamental,
lawn and turf pest control; products for ant control; and products used
as preservatives for wood products, building materials, textiles and
plastics.
As these products are intended for use by commercial applicators
only, they are not be addressed in terms of residential pesticide
handler. The risk assessment was conducted using the following
residential exposure assumptions: EPA has determined that residential
handlers are likely to be exposed to imidacloprid residues via dermal
and inhalation routes during handling, mixing, loading, and applying
activities. Based on the current use patterns, EPA expects duration of
exposure to be short-term (1-30 days). EPA does not expect imidacloprid
to result in residential exposure durations that would result in
intermediate-term or long-term exposure.
The scenarios likely to result in adult dermal and/or inhalation
residential handler exposures are as follows:
-Dermal and inhalation exposure from using a granular push-type
spreader.
-Dermal exposure from using potted plant spikes.
-Dermal exposure from using a plant potting medium.
-Dermal and inhalation exposure from using a garden hose-end
sprayer (dermal and inhalation exposure from using a RTU trigger pump
spray is expected to be negligible).
-Dermal and inhalation exposure from using a water can/bucket for
soil drench applications.
-Dermal exposure from using pet spot-on.
EPA has also determined that there is potential for short-term (1
to 30 days), post-application exposure to adults and children/toddlers
from the many residential uses of imidacloprid. Due to residential
application practices and the half-lives observed in the turf
transferable residue study, intermediate-term and long-term post-
application exposures are not expected. The scenarios likely to result
in dermal (adult and child/toddler), and incidental non-dietary (child/
toddler) short-term post-application exposures are as follows:
-Toddler oral hand-to-mouth exposure from contacting treated turf.
-Toddler incidental oral ingestion of granules.
-Toddler incidental oral ingestion of pesticide-treated soil.
-Toddler incidental oral exposure from contacting treated pet.
-Toddler dermal exposure from contacting treated turf.
-Toddler dermal exposure from hugging treated pet/contacting
treated pet.
-Adult dermal exposure from contacting treated turf.
-Adult golfer dermal exposure from contacting treated turf.
-Adolescent golfer dermal exposure from contacting treated turf.
-Adult dermal exposure from contacting treated pet
4. Cumulative effects from substances with a common mechanism of
toxicity. Section 408(b)(2)(D)(v) of the FFDCA requires that, when
considering whether to establish, modify, or revoke a tolerance, the
Agency consider ``available information'' concerning the cumulative
effects of a particular pesticide's residues and ``other substances
that have a common mechanism of toxicity.''
Unlike other pesticides for which EPA has followed a cumulative
risk approach based on a common mechanism of toxicity, EPA has not made
a common mechanism of toxicity finding as to imidacloprid and any other
substances and imidacloprid does not appear to produce a toxic
metabolite produced by other substances. For the purposes of this
tolerance action, therefore, EPA has not assumed that imidacloprid has
a common mechanism of toxicity with other substances. For information
regarding EPA's efforts to determine which chemicals have a common
mechanism of toxicity and to evaluate the cumulative effects of such
chemicals, see the policy statements released by EPA's Office of
Pesticide Programs concerning common mechanism determinations and
procedures for cumulating effects from substances found to have a
common mechanism on EPA's website at https://www.epa.gov/pesticides/
cumulative/.
C. Safety Factor for Infants and Children
1. In general. Section 408 of the FFDCA provides that EPA shall
apply an additional tenfold margin of safety for infants and children
in the case of threshold effects to account for prenatal and postnatal
toxicity and the completeness of the data base on toxicity and exposure
unless EPA determines that a different margin of safety (MOS) will be
safe for infants and children. MOSs are incorporated into EPA risk
assessments either directly through use of a MOE analysis or through
using UF (safety) in calculating a dose level that poses no appreciable
risk to humans.
2. Prenatal and postnatal sensitivity. There is no quantitative or
qualitative evidence of increased susceptibility of rat and rabbit
fetuses to in utero exposure in developmental studies. There is no
quantitative or qualitative evidence of increased susceptibility of rat
offspring in the multi-generation reproduction study. There is evidence
of increased qualitative susceptibility in the rat developmental
neurotoxicity study, but the concern is low since:
i. The effects in pups are well-characterized with a clear NOAEL.
ii. The pup effects occur in the presence of maternal toxicity with
the same NOAEL for effects in pups and dams, and
iii. The doses and endpoints selected for regulatory purposes are
protective of the pup effects noted at higher doses in the
developmental neurotoxicity study. Therefore, there are no residual
uncertainties for prenatal/postnatal toxicity in this study.
3. Conclusion. There is a complete toxicity data base for
imidacloprid and exposure data are complete or are estimated based on
data that reasonably accounts for potential exposures. EPA determined
that the 10X SF to protect infants and children should be reduced to 1X
for the following reasons:
-The toxicological database is complete for FQPA assessment.
-The acute dietary food exposure assessment utilizes existing and
proposed tolerance level residues and 100% CT information for all
commodities. By using these screening-level assessments, actual
exposures/risks will not be underestimated.
-The chronic dietary food exposure assessment utilizes existing and
proposed tolerance level residues and PCT data verified by the Agency
for several existing uses. For all proposed uses, 100% CT is assumed.
The chronic assessment is somewhat refined and based on reliable data
and will not underestimate exposure/risk.
-The dietary drinking water assessment utilizes water concentration
values generated by model and associated modeling parameters which are
designed to provide conservative, health protective, high-end estimates
of water concentrations which will not likely be exceeded.
-The residential handler assessment is based upon the residential
standard operating procedures (SOPs) in conjunction with chemical-
specific study data in some cases and the Pesticide Handlers Exposure
Database (PHED) unit exposures in other cases. The majority of the
residential post-application assessment is based upon chemical-specific
turf transferrable
[[Page 59273]]
residue data or other chemical-specific post-application exposure study
data. The chemical-specific study data as well as the surrogate study
data used are reliable and also are not expected to underestimate risk
to adults as well as to children. In a few cases where chemical-
specific data were not available, the SOPs were used alone. The
residential SOPs are based upon reasonable worst-case assumptions and
are not expected to underestimate risk. These assessments of exposure
are not likely to underestimate the resulting estimates of risk from
exposure to imidacloprid.
D. Aggregate Risks and Determination of Safety
To estimate total aggregate exposure to a pesticide from food,
drinking water, and residential uses, the Agency calculates DWLOCs
which are used as a point of comparison against the model estimates of
a pesticide's concentration in water (EECs). DWLOC values are not
regulatory standards for drinking water. DWLOCs are theoretical upper
limits on a pesticide's concentration in drinking water in light of
total aggregate exposure to a pesticide in food and residential uses.
In calculating a DWLOC, the Agency determines how much of the
acceptable exposure (i.e., the PAD) is available for exposure through
drinking water e.g., allowable chronic water exposure milligrams/
kilogram/ day (mg/kg/day) = cPAD - (average food + chronic non-dietary,
non-occupational exposure). This allowable exposure through drinking
water is used to calculate a DWLOC.
A DWLOC will vary depending on the toxic endpoint, drinking water
consumption, and body weights. Default body weights and consumption
values as used by the U.S. EPA Office of Water are used to calculate
DWLOCs: 2 liter (L)/70 kg (adult male), 2L/60 kg (adult female), and
1L/10 kg (child). Default body weights and drinking water consumption
values vary on an individual basis. This variation will be taken into
account in more refined screening-level and quantitative drinking water
exposure assessments. Different populations will have different DWLOCs.
Generally, a DWLOC is calculated for each type of risk assessment used:
Acute, short-term, intermediate-term, chronic, and cancer.
When EECs for surface water and ground water are less than the
calculated DWLOCs, EPA concludes with reasonable certainty that
exposures to imidacloprid in drinking water (when considered along with
other sources of exposure for which EPA has reliable data) would not
result in unacceptable levels of aggregate human health risk at this
time. Because EPA considers the aggregate risk resulting from multiple
exposure pathways associated with a pesticide's uses, levels of
comparison in drinking water may vary as those uses change. If new uses
are added in the future, EPA will reassess the potential impacts of
imidacloprid on drinking water as a part of the aggregate risk
assessment process.
1. Acute risk. Using the exposure assumptions discussed in this
unit for acute exposure, the acute dietary exposure from food to
imidacloprid will occupy 26% of the aPAD for the U.S. population, 17%
of the aPAD for females 13 to 49 years, 57% of the aPAD for infants <1
year old and 66% of the aPAD for children 1-2 years. In addition,
despite the potential for acute dietary exposure to imidacloprid in
drinking water, after calculating DWLOCs and comparing them to
conservative model estimated environmental concentrations of
imidacloprid in surface water and ground water, EPA does not expect the
aggregate exposure to exceed 100% of the aPAD, as shown in the
following Table 2:
Table 2.--Aggregate Risk Assessment for Acute Exposure to Imidacloprid
----------------------------------------------------------------------------------------------------------------
Surface Ground
Population Subgroup aPAD (mg/ %aPAD Water EEC Water EEC Acute DWLOC
kg) (Food) (ppb) (ppb) (ppb)
----------------------------------------------------------------------------------------------------------------
U.S. population 0.14 26 36.04 2.09 3600
----------------------------------------------------------------------------------------------------------------
Females (13-49 years) 0.14 17 36.04 2.09 3500
----------------------------------------------------------------------------------------------------------------
Infants (1 year) 0.14 57 36.04 2.09 600
----------------------------------------------------------------------------------------------------------------
Children (1-2 years) 0.14 66 36.04 2.09 470
----------------------------------------------------------------------------------------------------------------
2. Chronic risk. Using the exposure assumptions described in this
unit for chronic exposure, EPA has concluded that exposure to
imidacloprid from food will utilize 12% of the cPAD for the U.S.
population, 29% of the cPAD for infants <1 year and 38% of the cPAD for
children 1-2 years. Based the use pattern, chronic residential exposure
to residues of imidacloprid is not expected. In addition, there is
potential for chronic dietary exposure to imidacloprid in drinking
water. After calculating DWLOCs and comparing them to the EECs for
surface water and ground water, EPA does not expect the aggregate
exposure to exceed 100% of the cPAD, as shown in the following Table 3:
Table 3.--Aggregate Risk Assessment for Chronic (Non-Cancer) Exposure to Imidacloprid
----------------------------------------------------------------------------------------------------------------
Surface Ground
Population Subgroup cPAD mg/kg/ %cPAD Water EEC Water EEC Chronic
day (Food) (ppb) (ppb) DWLOC (ppb)
----------------------------------------------------------------------------------------------------------------
U.S. population 0.057 12 17.24 2.09 1800
----------------------------------------------------------------------------------------------------------------
Infants (1 year) 0.057 29 17.24 2.09 400
----------------------------------------------------------------------------------------------------------------
Children (1-2 years) 0.057 38 17.24 2.09 350
----------------------------------------------------------------------------------------------------------------
Females (13-49 years) 0.057 10 17.24 2.09 1600
----------------------------------------------------------------------------------------------------------------
[[Page 59274]]
3. Short-term risk. The short-term aggregate risk assessment
estimates risks likely to result from 1 to 30 day exposure to
imidacloprid residues from food, drinking water, and residential
pesticide uses. High-end estimates of the residential exposure are used
in the short-term assessment, and average values are used for food and
drinking water exposures.
Using the exposure assumptions described in this unit for short-
term exposures, EPA has concluded that food and residential exposures
aggregated result in aggregate MOEs of 310 for the U.S. population, and
170 for children 1-2 years. These aggregate MOEs do not exceed the
Agency's level of concern for aggregate exposure to food and
residential uses. In addition, short-term DWLOCs were calculated and
compared to the EECs for chronic exposure of imidacloprid in ground
water and surface water. After calculating DWLOCs and comparing them to
the EECs for surface water and ground water, EPA does not expect short-
term aggregate exposure to exceed the Agency's level of concern, as
shown in the following Table 4:
Table 4.--Aggregate Risk Assessment for Short-Term Exposure to Imidacloprid
----------------------------------------------------------------------------------------------------------------
Aggregate Surface Ground
Population Subgroup MOE (Food + Aggregate Water EEC Water EEC Short-Term
Residential) LOC (ppb) (ppb) DWLOC (ppb)
----------------------------------------------------------------------------------------------------------------
U.S. population 310 100 17.24 2.09 2400
----------------------------------------------------------------------------------------------------------------
Children (1-2 years old) 170 100 17.24 2.09 400
----------------------------------------------------------------------------------------------------------------
4. Intermediate-term risk. Intermediate-term aggregate exposure
takes into account non-dietary, non-occupational exposure plus chronic
exposure to food and water (considered to be a background exposure
level).
An intermediate-term aggregate risk assessment was not performed
because, based on the current use patterns, the Agency does not expect
residential exposure durations that would result in intermediate-term
exposures.
5. Aggregate cancer risk for U.S. population. There is no evidence
of carcinogenicity to humans based on carcinogenicity studies in male
and female rats and mice. The Agency concludes that pesticidal uses of
imidacloprid are not likely to pose a cancer risk to humans.
6. Determination of safety. Based on these risk assessments, EPA
concludes that there is a reasonable certainty that no harm will result
to the general population, and to infants and children from aggregate
exposure to imidacloprid residues.
V. Other Considerations
A. Analytical Enforcement Methodology
Adequate enforcement methodology (example--gas chromatography) is
available to enforce the tolerance expression. The method may be
requested from: Chief, Analytical Chemistry Branch, Environmental
Science Center, 701 Mapes Rd., Ft. Meade, MD 20755-5350; telephone
number: (410) 305-2905; e-mail address: residuemethods@epa.gov.
B. International Residue Limits
There are no CODEX, Canadian, or Mexican Maximum Residue Limits for
imidacloprid on pomegranates.
VI. Conclusion
Therefore, the tolerance is established for the combined residues
of imidacloprid, (1-[6-chloro-3-pyridinyl) methyl]-N-nitro-2-
imidazolidinimine) and its metabolites containing the 6-chloropyridinyl
moiety, all expressed as parent, in or on pomegrantes at 0.20 ppm.
VII. Objections and Hearing Requests
Under section 408(g) of the FFDCA, as amended by the FQPA, any
person may file an objection to any aspect of this regulation and may
also request a hearing on those objections. EPA's procedural
regulations which govern the submission of objections and requests for
hearings appear in 40 CFR part 178. Although the procedures in those
regulations require some modification to reflect the amendments made to
the FFDCA by the FQPA, EPA will continue to use those procedures, with
appropriate adjustments, until the necessary modifications can be made.
The new section 408(g) of the FFDCA provides essentially the same
process for persons to ``object'' to a regulation for an exemption from
the requirement of a tolerance issued by EPA under new section 408(d)
of the FFDCA, as was provided in the old sections 408 and 409 of the
FFDCA. However, the period for filing objections is now 60 days, rather
than 30 days.
A. What Do I Need to Do to File an Objection or Request a Hearing?
You must file your objection or request a hearing on this
regulation in accordance with the instructions provided in this unit
and in 40 CFR part 178. To ensure proper receipt by EPA, you must
identify docket ID number OPP-2005-0260 in the subject line on the
first page of your submission. All requests must be in writing, and
must be mailed or delivered to the Hearing Clerk on or before December
12, 2005.
1. Filing the request. Your objection must specify the specific
provisions in the regulation that you object to, and the grounds for
the objections (40 CFR 178.25). If a hearing is requested, the
objections must include a statement of the factual issue(s) on which a
hearing is requested, the requestor's contentions on such issues, and a
summary of any evidence relied upon by the objector (40 CFR 178.27).
Information submitted in connection with an objection or hearing
request may be claimed confidential by marking any part or all of that
information as CBI. Information so marked will not be disclosed except
in accordance with procedures set forth in 40 CFR part 2. A copy of the
information that does not contain CBI must be submitted for inclusion
in the public record. Information not marked confidential may be
disclosed publicly by EPA without prior notice.
Mail your written request to: Office of the Hearing Clerk (1900L),
Environmental Protection Agency, 1200 Pennsylvania Ave., NW.,
Washington, DC 20460-0001. You may also deliver your request to the
Office of the Hearing Clerk in Suite 350, 1099 14th St., NW.,
Washington, DC 20005. The Office of the Hearing Clerk is open from 8
a.m. to 4 p.m., Monday through Friday, excluding legal holidays. The
telephone number for the Office of the Hearing Clerk is (202) 564-6255.
2. Copies for the Docket. In addition to filing an objection or
hearing request with the Hearing Clerk as described in Unit VII.A., you
should also send a copy of your request to the PIRIB for its inclusion
in the official record that is described in ADDRESSES. Mail your
[[Page 59275]]
copies, identified by the docket ID number OPP-2005-0260, to: Public
Information and Records Integrity Branch, Information Resources and
Services Division (7502C), Office of Pesticide Programs, Environmental
Protection Agency, 1200 Pennsylvania Ave., NW., Washington, DC 20460-
0001. In person or by courier, bring a copy to the location of the
PIRIB described in ADDRESSES. You may also send an electronic copy of
your request via e-mail to: opp-docket@epa.gov. Please use an ASCII
file format and avoid the use of special characters and any form of
encryption. Copies of electronic objections and hearing requests will
also be accepted on disks in WordPerfect 6.1/8.0 or ASCII file format.
Do not include any CBI in your electronic copy. You may also submit an
electronic copy of your request at many Federal Depository Libraries.
B. When Will the Agency Grant a Request for a Hearing?
A request for a hearing will be granted if the Administrator
determines that the material submitted shows the following: There is a
genuine and substantial issue of fact; there is a reasonable
possibility that available evidence identified by the requestor would,
if established resolve one or more of such issues in favor of the
requestor, taking into account uncontested claims or facts to the
contrary; and resolution of the factual issue(s) in the manner sought
by the requestor would be adequate to justify the action requested (40
CFR 178.32).
VIII. Statutory and Executive Order Reviews
This final rule establishes a time-limited [tolerance] under
section 408 of the FFDCA. The Office of Management and Budget (OMB) has
exempted these types of actions from review under Executive Order
12866, entitled Regulatory Planning and Review (58 FR 51735, October 4,
1993). Because this rule has been exempted from review under Executive
Order 12866 due to its lack of significance, this rule is not subject
to Executive Order 13211, Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use (66 FR 28355,
May 22, 2001). This final rule does not contain any information
collections subject to OMB approval under the Paperwork Reduction Act
(PRA), 44 U.S.C. 3501 et seq., or impose any enforceable duty or
contain any unfunded mandate as described under Title II of the
Unfunded Mandates Reform Act of 1995 (UMRA) (Public Law 104-4). Nor
does it require any special considerations under Executive Order 12898,
entitled Federal Actions to Address Environmental Justice in Minority
Populations and Low-Income Populations (59 FR 7629, February 16, 1994);
or OMB review or any Agency action under Executive Order 13045,
entitled Protection of Children from Environmental Health Risks and
Safety Risks (62 FR 19885, April 23, 1997). This action does not
involve any technical standards that would require Agency consideration
of voluntary consensus standards pursuant to section 12(d) of the
National Technology Transfer and Advancement Act of 1995 (NTTAA),
Public Law 104-113, section 12(d) (15 U.S.C. 272 note). Since
tolerances and exemptions that are established on the basis of a FIFRA
section 18 exemption under section 408 of the FFDCA, such as the
tolerance in this final rule, do not require the issuance of a proposed
rule, the requirements of the Regulatory Flexibility Act (RFA) (5
U.S.C. 601 et seq.) do not apply. In addition, the Agency has
determined that this action will not have a substantial direct effect
on 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 Executive Order 13132,
entitled Federalism (64 FR 43255, August 10, 1999). Executive Order
13132 requires EPA to develop an accountable process to ensure
``meaningful and timely input by State and local officials in the
development of regulatory policies that have federalism implications.''
``Policies that have federalism implications'' is defined in the
Executive Order to include regulations that 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.'' This final
rule directly regulates growers, food processors, food handlers, and
food retailers, not States. This action does not alter the
relationships or distribution of power and responsibilities established
by Congress in the preemption provisions of section 408(n)(4) of the
FFDCA. For these same reasons, the Agency has determined that this rule
does not have any ``tribal implications'' as described in Executive
Order 13175, entitled Consultation and Coordination with Indian Tribal
Governments (65 FR 67249, November 6, 2000). Executive Order 13175,
requires EPA to develop an accountable process to ensure ``meaningful
and timely input by tribal officials in the development of regulatory
policies that have tribal implications.'' ``Policies that have tribal
implications'' is defined in the Executive Order to include regulations
that have ``substantial direct effects on one or more Indian tribes, 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.'' This rule will not have
substantial direct effects on tribal governments, on the relationship
between the Federal Government and Indian tribes, or on the
distribution of power and responsibilities between the Federal
Government and Indian tribes, as specified in Executive Order 13175.
Thus, Executive Order 13175 does not apply to this rule.
IX. Congressional Review Act
The Congressional Review Act, 5 U.S.C. 801 et seq., as added by the
Small Business Regulatory Enforcement Fairness Act of 1996, generally
provides that before a rule may take effect, the agency promulgating
the rule must submit a rule report, which includes a copy of the rule,
to each House of the Congress and to the Comptroller General of the
United States. EPA will submit a report containing this rule and other
required information to the U.S. Senate, the U.S. House of
Representatives, and the Comptroller General of the United States prior
to publication of this final rule in the Federal Register. This final
rule is not a ``major rule'' as defined by 5 U.S.C. 804(2).
List of Subjects in 40 CFR Part 180
Environmental protection, Administrative practice and procedure,
Agricultural commodities, Pesticides and pests, Reporting and record
keeping requirements.
Dated: September 27, 2005.
Donald R. Stubbs,
Acting Director, Registration Division, Office of Pesticide Programs.
0
Therefore, 40 CFR chapter I is amended as follows:
PART 180--[AMENDED]
0
1. The authority citation for part 180 continues to read as follows:
Authority: 21 U.S.C. 321(q), 346a and 371.
0
2. Section 180.472 is amended by alphabetically adding the following
commodity to the table in paragraph (b) to read as follows:
Sec. 180.472 Imidacloprid; tolerances for residues.
* * * * *
(b) * * *
[[Page 59276]]
------------------------------------------------------------------------
Expiration/
Commodity Parts per million revocation date
------------------------------------------------------------------------
* * * * *
Pomegranate....................... 0.20 12/31/08
------------------------------------------------------------------------
* * * * *
[FR Doc. 05-20209 Filed 10-11-05; 8:45 am]
BILLING CODE 6560-50-S