Prevention of Significant Deterioration, Nonattainment New Source Review, and New Source Performance Standards: Emissions Test for Electric Generating Units, 61081-61103 [05-20983]
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Federal Register / Vol. 70, No. 202 / Thursday, October 20, 2005 / Proposed Rules
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Parts 51 and 52
[FRL–7985–7; E-Docket ID No. OAR–2005–
0163]
RIN 2060–AN28
Prevention of Significant Deterioration,
Nonattainment New Source Review,
and New Source Performance
Standards: Emissions Test for Electric
Generating Units
Environmental Protection
Agency (EPA).
ACTION: Proposed rule.
AGENCY:
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Submit your comments,
identified by Docket ID No. OAR–2005–
0163 by one of the following methods:
• Federal eRulemaking Portal: https://
www.regulations.gov. Follow the on-line
instructions for submitting comments.
• Agency Web site: https://
www.epa.gov/edocket. EDOCKET, EPA’s
electronic public docket and comment
system, is EPA’s preferred method for
receiving comments. Follow the on-line
instructions for submitting comments.
• E-mail: a-and-rdocket@epamail.epa.gov.
• Fax: 202–566–1741.
• Mail: Attention Docket ID No.
OAR–2005–0163, U.S. Environmental
Protection Agency, EPA West (Air
Docket), 1200 Pennsylvania Avenue,
Northwest, Mail Code: 6102T,
Washington, DC 20460. In addition,
please mail a copy of your comments on
the information collection provisions to
the Office of Information and Regulatory
Affairs, Office of Management and
Budget (OMB), Attn: Desk Officer for
OMB, 725 17th Street, Northwest,
Washington, DC 20503.
• Hand Delivery: U.S. Environmental
Protection Agency, EPA West (Air
Docket), 1301 Constitution Avenue,
Northwest, Room B102, Washington, DC
20004, Attention Docket ID No. OAR–
2005–0163. Such deliveries are only
accepted during the Docket’s normal
hours of operation, and special
arrangements should be made for
deliveries of boxed information.
Instructions: Direct your comments to
Docket ID No. OAR–2005–0163. EPA’s
policy is that all comments received
will be included in the public docket
without change and may be made
available online at https://www.epa.gov/
edocket, including any personal
information provided, unless the
comment includes information claimed
to be Confidential Business Information
(CBI) or other information whose
disclosure is restricted by statute. Do
not submit information that you
consider to be CBI or otherwise
protected through EDOCKET,
regulations.gov, or e-mail. The EPA
ADDRESSES:
SUMMARY: The EPA (we) is proposing to
revise the emissions test for existing
electric generating units (EGUs) that are
subject to the regulations governing the
Prevention of Significant Deterioration
(PSD) and nonattainment major New
Source Review (NSR) programs
(collectively ‘‘NSR’’) mandated by parts
C and D of title I of the Clean Air Act
(CAA or Act). The revised emissions test
is the same as that in the New Source
Performance Standards (NSPS) program
under CAA section 111(a)(4). For
existing EGUs, we are proposing to
compare the maximum hourly
emissions achievable at that unit during
the past 5 years to the maximum hourly
emissions achievable at that unit after
the change to determine whether an
emissions increase would occur.
Alternatively, we are soliciting public
comment on a major NSR emissions test
for existing EGUs that would compare
maximum hourly emissions achieved
before a change to the maximum hourly
emissions achieved after the change. We
are also soliciting public comment on
adopting an NSR emissions test based
on mass of emissions per unit of energy
output. In addition, we are soliciting
comment on whether to revise the NSPS
regulations to include a maximum
achieved emissions test or an outputbased emissions test, either in lieu of or
in addition to the maximum achievable
hourly emissions test. Today’s proposal
would not affect new EGUs, which
would continue to be subject to major
NSR preconstruction review and to the
NSPS program. The proposed rule
would only apply prospectively to
changes at existing EGUs potentially
covered by major NSR and the NSPS
programs.
These proposed regulations interpret
CAA section 111(a)(4), in the context of
NSR and NSPS, for physical changes
and changes in the method of operation
at existing EGUs. The proposed
regulations would establish a uniform
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emissions test nationally under the
NSPS and NSR programs for existing
EGUs. The proposed regulations would
also promote the safety, reliability, and
efficiency of EGUs.
DATES: Comments. Comments must be
received on or before December 19,
2005.
Public Hearing. If anyone contacts us
requesting to speak at a public hearing
November 9, 2005, we will hold a
public hearing approximately 30 days
after publication in the Federal
Register.
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EDOCKET and the Federal
regulations.gov Web sites are
‘‘anonymous access’’ systems, which
means EPA will not know your identity
or contact information unless you
provide it in the body of your comment.
If you send an e-mail comment directly
to EPA without going through
EDOCKET or regulations.gov, your email address will be automatically
captured and included as part of the
comment that is placed in the public
docket and made available on the
Internet. If you submit an electronic
comment, EPA recommends that you
include your name and other contact
information in the body of your
comment and with any disk or CD–ROM
you submit. If EPA cannot read your
comment due to technical difficulties
and cannot contact you for clarification,
EPA may not be able to consider your
comment. Electronic files should avoid
the use of special characters, avoid any
form of encryption, and be free of any
defects or viruses. For additional
information about EPA’s public docket
visit EDOCKET on-line or see the
Federal Register of May 31, 2002 (67 FR
38102). For additional instructions on
submitting comments, go to section I..B.
of the SUPPLEMENTARY INFORMATION
section of this document.
Docket: All documents in the docket
are listed in the EDOCKET index at
https://www.epa.gov/edocket. Although
listed in the index, some information is
not publicly available, i.e., CBI or other
information whose disclosure is
restricted by statute. Certain other
material, such as copyrighted material,
is not placed on the Internet and will be
publicly available only in hard copy
form. Publicly available docket
materials are available either
electronically in EDOCKET or in hard
copy at the U.S. Environmental
Protection Agency, EPA West (Air
Docket), 1301 Constitution Avenue,
Northwest, Room B102, Washington,
DC. Attention Docket ID No. OAR–
2005–0163. The Public Reading Room is
open from 8:30 a.m. to 4:30 p.m.,
Monday through Friday, excluding legal
holidays. The telephone number for the
Public Reading Room is (202) 566–1744,
and the telephone number for the Air
Docket is (202) 566–1742.
FOR FURTHER INFORMATION CONTACT: Ms.
Janet McDonald, Information Transfer
and Program Integration Division
(C339–03), U.S. Environmental
Protection Agency, Research Triangle
Park, NC 27711, telephone number:
(919) 541–1450; fax number : (919) 541–
5509, or electronic mail at
mcdonald.janet@epa.gov.
SUPPLEMENTARY INFORMATION:
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Federal Register / Vol. 70, No. 202 / Thursday, October 20, 2005 / Proposed Rules
I. General Information
Entities potentially affected by the
subject rule for today’s action are fossilIndustry group
electricity, generate steam or cogenerate
electricity and steam.
SIC a
A. What Are the Regulated Entities?
fuel fired boilers, turbines, and internal
combustion engines, including those
that serve generators producing
NAICS b
Electric Services .........................................
Federal government ...................................
491
221121
State/local/Tribal government ....................
22112
221111, 221112, 221113, 221119, 221121, 221122.
Fossil-fuel fired electric utility steam generating units owned by the Federal government.
Fossil-fuel fired electric utility steam generating units owned by municipalities. Fossilfuel fired electric utility steam generating units in Indian country.
a Standard
b North
Industrial Classification.
American Industry Classification System.
owned and operated by Federal, State, or local government are classified according to the activity in which they are engaged.
1 Establishments
Entities potentially affected by the
subject rule for today’s action also
include State, local, and tribal
governments.
B. How Should I Submit CBI to the
Agency?
1. Submitting CBI. Do not submit this
information that you consider to be CBI
electronically through EDOCKET,
regulations.gov or e-mail. Clearly mark
the part or all of the information that
you claim to be CBI. For CBI
information in a disk or CD ROM that
you mail to EPA, mark on the CD ROM
the specific information that is claimed
as CBI. In addition to one complete
version of the comment that includes
information claimed as CBI, a copy of
the comment that does not contain the
information claimed as CBI must be
submitted for inclusion in the public
docket. Information so marked will not
be disclosed except in accordance with
procedures set forth in 40 CFR part 2.
Also, send an additional copy clearly
marked as above not only to the Air
Docket but to: Mr. Roberto Morales,
OAQPS Document Control Officer,
(C339–03), U.S. Environmental
Protection Agency, Research Triangle
Park, NC 27711, Attention Docket ID
No. OAR–2005–0163.
C. What Should I Consider as I Prepare
My Comments for EPA?
When submitting comments,
remember to:
1. Identify the rulemaking by docket
number and other identifying
information (subject heading, Federal
Register date and page number).
2. Follow directions—The agency may
ask you to respond to specific questions
or organize comments by referencing a
Code of Federal Regulations (CFR) part
or section number.
3. Explain why you agree or disagree;
suggest alternatives and substitute
language for your requested changes.
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4. Describe any assumptions and
provide any technical information and/
or data that you used.
5. If you estimate potential costs or
burdens, explain how you arrived at
your estimate in sufficient detail to
allow for it to be reproduced.
6. Provide specific examples to
illustrate your concerns, and suggest
alternatives.
7. Explain your views as clearly as
possible, avoiding the use of profanity
or personal threats.
8. Make sure to submit your
comments by the comment period
deadline identified.
D. How Can I Find Information About a
Possible Public Hearing?
People interested in presenting oral
testimony or inquiring as to whether a
hearing is to be held should contact Ms.
Chandra Kennedy, Integrated
Implementation Group, Information
Transfer and Program Integration
Division (C339–03), U.S. Environmental
Protection Agency, Research Triangle
Park, NC 27711, telephone number (919)
541–5319, at least 2 days in advance of
the public hearing. People interested in
attending the public hearing should also
contact Ms. Kennedy to verify the time,
date, and location of the hearing. The
public hearing will provide interested
parties the opportunity to present data,
views, or arguments concerning these
proposed changes.
E. How Is This Preamble Organized?
The information presented in this
preamble is organized as follows:
I. General Information
A. What Are the Regulated Entities?
B. How Should I Submit CBI Material to
the Agency?
C. What Should I Consider as I Prepare My
Comments?
D. How Can I Find Information About a
Possible Public Hearing?
E. How Is This Preamble Organized?
II. Overview
III. Background on EGU Emissions and
Requirements
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A. SO2 and NOX Requirements Before 1990
B. SO2 and NOX Requirements After 1990
C. Requirements for Pollutants Other Than
SO2 and NOX
IV. Today’s Proposed Rule
A. Background on Existing Regulations
B. What We Are Proposing
1. Test for EGUs Based on Maximum
Achievable Hourly Emissions
2. Test for EGUs Based on Maximum
Achieved Hourly Emissions
3. Emissions Test Based on Energy Output
C. Pollutants to Which the Revised
Applicability Test Applies
D. Significant Emissions Rates
E. Eliminating Netting
F. Benefits of Maximum Achievable Hourly
Emissions Test
G. Would States Be Required To Adopt the
Revised Emissions Test?
V. Statutory and Regulatory History and
Legal Rationale
A. The NSPS Program
B. The Major NSR Program
C. Legal Rationale
1. Maximum Achievable Hourly Emissions
Test
2. Maximum Achieved Hourly Emissions
Test
VI. Statutory and Executive Order Reviews
A. Executive Order 12866—Regulatory
Planning and Review
B. Paperwork Reduction Act
C. Regulatory Flexibility Act (RFA)
D. Unfunded Mandates Reform Act
E. Executive Order 13132—Federalism
F. Executive Order 13175—Consultation
and Coordination With Indian Tribal
Governments
G. Executive Order 13045—Protection of
Children From Environmental Health
Risks and Safety Risks
H. Executive Order 13211—Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
I. National Technology Transfer and
Advancement Act
II. Overview
In today’s action, we are proposing to
revise the emissions test for existing
EGUs that are subject to the regulations
in the major NSR programs mandated by
parts C and D of title I of the CAA. The
revised emissions test is the same as
that in the NSPS under CAA section
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Federal Register / Vol. 70, No. 202 / Thursday, October 20, 2005 / Proposed Rules
111. For existing EGUs, we are
proposing to compare the maximum
hourly emissions achievable at that unit
during the past 5 years to the maximum
hourly emissions achievable at that unit
after the change to determine whether
an emissions increase would occur. This
maximum achievable hourly emissions
test would apply to emissions from
existing EGUs. Today’s proposal would
not affect new EGUs, which would
continue to be subject to major NSR
preconstruction review. These proposed
regulations interpret CAA section
111(a)(4), in the context of NSR, for
physical changes and changes in the
method of operation at existing EGUs.
Alternatively, we are soliciting public
comment on a major NSR emissions test
for existing EGUs that would compare
maximum hourly emissions achieved
before a change to the maximum hourly
emissions achieved after the change.
The test based on maximum achievable
hourly emissions is our preferred test,
but we are also soliciting comment on
this test based on maximum achieved
hourly emissions.
We also request comment on adopting
an NSR emissions test based on mass of
emissions per unit of energy output,
such as lb/MW hour or nanograms per
Joule. As we discuss in more detail in
Section IV.B.3. of this preamble, an
output-based emissions test encourages
use of energy efficient EGU that displace
less efficient, more polluting units.
We also request comment on
extending the proposed emission
increase tests to the NSPS program.
Specifically, we are also soliciting
comment on whether to revise 40 CFR
60.14 to include a maximum achieved
emissions test or an output-based
emissions test, either in lieu of or in
addition to the maximum achievable
hourly emissions test in the current
regulations.
The proposed regulations would
establish a uniform emissions test
nationally under the NSPS and NSR
programs for existing EGUs. The need to
provide national consistency for EGUs
is apparent following a recent Fourth
Circuit Court of Appeals decision. On
June 15, 2005, the Fourth Circuit Court
of Appeals ruled that EPA must use a
consistent definition of the term
‘‘modification’’ for the purposes of both
the NSPS program under section 111 of
the Act and NSR program under parts C
and D of the Act. The Court further
ruled that because EPA had
promulgated NSPS regulations with a
test based on increases in a plant’s
hourly rate of emissions prior to
enactment of the PSD provision of the
statute, and the PSD regulations had to
be interpreted congruently to include
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the same hourly test.2 See United States
v. Duke Energy Corp., No. 04–1763 (4th
Cir. June 15, 2005). The Fourth Circuit
denied the United States’ petition for
rehearing concerning this decision,
although the deadline for filing a
petition for certiorari has not yet run.3
The NSPS program applies a maximum
achievable hourly emissions rate test to
determine whether a physical change or
change in the operation (physical or
operational change) results in an
emissions increase. Once the mandate is
issued in the Duke Energy case, the
NSPS test will apply in all Fourth
Circuit States, unless the NSR test in
those States’ implementation plans is
more stringent than the NSPS test. This
holding creates a potential disparity in
the way we interpret the program in
States in the Fourth Circuit compared to
States in other Circuits in the country.
By finalizing today’s proposed rule, we
would provide nationwide consistency
in how States implement the major NSR
program for EGUs and establish a test
consistent with the Fourth Circuit’s
holding in Duke Energy. We would also
make a uniform emissions test under the
NSPS and NSR programs for existing
EGUs.
We believe a uniform national
emissions test has particular merit
considering the substantial emissions
reductions from other CAA
requirements that are more efficient
than major NSR, which we describe in
Section III of this preamble.
Furthermore, the proposed regulations
allow owner/operators to make changes
that, without increasing existing
capacity, promote the safety, reliability,
and efficiency of EGUs. The current
major NSR approach discourages
sources from replacing components, and
encourages them to replace components
with inferior components or to
artificially constrain production in other
ways. This behavior does not advance
the central policy goals of the major
NSR program as applied to existing
sources. The central policy goal is not
to limit productive capacity of major
stationary sources, but rather to ensure
that they will install state-of-the-art
pollution controls at a juncture where it
otherwise makes sense to do so. We also
do not believe the outcomes produced
2 The Court allowed for the possibility that EPA
may change the test that applies through future
rulemaking. See item 0015 in E-Docket OAR–2005–
0163.
3 We continue to respectfully disagree with the
Fourth Circuit’s decision in Duke Energy (item 0015
in E-Docket OAR–2005–0163) and continue to
believe that we have the authority to define
‘‘modification’’ differently in the NSPS and NSR
programs. However, we believe that the action that
we proposed today is an appropriate exercise of our
discretion.
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by the approach we have been taking
have significant environmental benefits
compared with the approach we are
proposing today.
In the following sections of this
preamble, we provide details on the
EGU requirements and emissions,
today’s proposed rule, and the legal
basis for our proposal. We request
public comment on all aspects of
today’s proposed action. We intend to
publish a supplemental proposal in the
near future that will include proposed
regulatory language, as well as
additional data and information.
III. Background on EGU Requirements
and Emissions
In this section we describe the
regulatory history and programs
applying to EGUs. These include the
command-and-control strategies such as
NSPS and major NSR that went into
effect before 1990, as well as the more
efficient programs since 1990 that have
achieved substantial reductions in EGU
emissions.
A. SO2 and NOX Requirements Before
1990
Beginning in 1970, the CAA and our
implementing regulations have imposed
numerous requirements on sulfur
dioxide (SO2) and nitrous oxide (NOX)
emissions from utilities. In the early
regulatory history under the CAA, these
requirements were limited to the NSPS
and major NSR programs. The NSPS
program applies to EGUs and other
stationary sources of pollutants,
including SO2, NOX, particulate matter
(PM), carbon monoxide (CO), ozone,
and lead, among others. The Act
required us to develop NSPS for a
number of source categories, including
coal-fired power plants. The first NSPS
for EGUs (40 CFR part 60, subpart D)
required new units to limit SO2
emissions either by using scrubbers or
by using low sulfur coal. It required
limits on NOX emissions through the
use of low NOX burners. A new NSPS
(40 CFR part 60, subpart Da),
promulgated in 1978, tightened the
standards for SO2, requiring scrubbers
on all new units.
Federal preconstruction permitting for
EGUs and other new stationary sources
was considered in 1970, but not added
to the CAA until it was amended again
in 1977. The Federal preconstruction
program for major stationary sources is
commonly called the major NSR
program. As we discuss in further detail
in Section V.B. of this preamble, the
major NSR program required emission
limitations based on Best Available
Control Technology (BACT) and Lowest
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Achievable Emission Rate (LAER)
controls.
The NSPS and major NSR programs
imposed limitations on EGU SO2 and
NOX emissions at individual sources
based on control technology
performance. They did not set specific
limits on the total regional or national
emissions from EGUs. Neither of these
programs apply to EGUs that were
already in existence before the
regulations were effective, unless these
EGUs choose to modify. Thus, neither
program applies to all EGUs. Before
1990, however, the major NSR program
did provide States one of the few
opportunities to mitigate rising levels of
air pollution through regulation of
possible emissions increases from
existing sources. Therefore, the program
was consistent with Congress’ directive
that the major NSR program be tailored
to balance the ‘‘need for environmental
protection against the desires to
encourage economic growth.’’
B. SO2 and NOX Requirements After
1990
The 1990 Amendments to the CAA
imposed a number of new requirements
on EGUs. The Acid Rain program,
established under title IV of the 1990
CAA Amendments, requires major
reductions of SO2 and NOX emissions.
The SO2 program, which covers most
EGU in the contiguous United States,4
sets a permanent cap on the total
amount of SO2 that can be emitted by
EGUs at about one-half of the amount of
SO2 these sources emitted in 1980.
Using a market-based cap-and-trade
mechanism such as the Acid Rain SO2
program allows flexibility for individual
combustion units to select their own
methods of compliance. The program
requires NOX emission limitations for
certain coal-fired EGUs, with the
objective of achieving a 2 million ton
reduction from projected NOX emission
levels that would have been emitted in
the year 2000 without implementation
of title IV.
The Acid Rain program at 40 CFR
parts 72 through 78 comprises two
phases for SO2 and NOX. Phase I
applied primarily to the largest coal4 The Acid Rain program generally applies to all
fossil-fuel fired combustion devices that, if
commencing commercial operation before
November 15, 1990, serve on or after November 15,
1990 a generator greater than 25 MW producing
electricity for sale and that, if commencing
commercial operation on or after November 15,
1990, serve on or after November 15, 1990 any
generator producing electricity for sale. The Acid
Rain program does not apply to a small portion of
the national EGU inventory, including some
cogeneration units (many of which are natural-gas
fired), certain independent power producers, and
solid waste incineration units.
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fired electric generation sources from
1995 through 1999 for SO2 and from
1996 through 1999 for NOX. Phase II for
both pollutants began in 2000. For SO2,
it applies to thousands of combustion
units generating electricity nationwide;
for NOX it generally applies to affected
units nationwide that burned coal
during the period between 1990 and
1995. The Acid Rain program has led to
the installation of scrubbers on a
number of existing coal-fired units, as
well as significant fuel switching to
lower sulfur coals. Under the NOX
provisions of title IV, most existing coalfired units were required to install low
NOX burners.
The 1990 CAA also placed much
greater emphasis on interstate transport
of ozone and its precursors, and on
control of NOX to reduce ozone
nonattainment. This led to the
formation of several regional NOX
trading programs. In 1998, EPA
promulgated regulations, known as the
NOX SIP Call,5 that required 21 states in
the eastern United States and the
District of Columbia to reduce NOX
emissions that contributed to
nonattainment in downwind States.
EPA based the reduction requirements
on, and States implemented those
requirements through a cap-and-trade
approach targeted to EGUs. This
program has resulted in the installation
of significant amounts of selective
catalytic reduction (SCR). The first SCR
application in the U.S. on a coal-fired
boiler started operating in 1993. At the
end of 2002, 56 U.S. boilers were
operating with SCR.
By notice dated May 12, 2005 [70 FR
25162], we promulgated the Clean Air
Interstate Rule (CAIR) to reduce
interstate transport of SO2 and NOX
emissions. This rule established
statewide emission reduction
requirements for SO2 and NOX for States
in the CAIR region. The emission
reduction requirements are based on
controls that are known to be highly
cost effective for EGUs. This program
was based on extensive experience in
the Acid Rain and NOX SIP Call capand-trade programs for major sources of
SO2 and NOX.
In the CAIR, we took final action
requiring 28 States and the District of
Columbia to adopt and submit revisions
to their State Implementation Plans
(SIPs), under the requirements of CAA
section 110(a)(2)(D), that would
eliminate specified amounts of SO2 and/
or NOX emissions. In developing the
CAIR, we limited the requirements to
those 28 States because we did not find
5 See 63 FR 57356, October 27, 1998 (Item 002 in
E–Docket OAR–2005–0163).
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that emissions from other States
contribute significantly to downwind
PM2.5 or 8-hour ozone nonattainment.
Each State covered by CAIR may
independently determine which
emission sources to control, and which
control measures to adopt. Our analysis
indicates that emissions reductions from
EGUs are highly cost effective, and we
encourage States to base their CAIR SIP
programs on emissions reductions from
EGUs. States that do so may allow their
EGUs to participate in an EPAadministered cap-and-trade program as
a way to reduce the cost of compliance,
and to provide compliance flexibility.
The EPA-administered cap-and-trade
program includes fossil-fuel fired
boilers, combustion turbines, and
certain cogeneration units with
nameplate capacity of more than 25
MWe producing or supplying electricity
for sale as defined in 40 CFR 96.104 and
96.204.6 Some of these units have never
been subject to major NSR because they
commenced construction before the
effective date of the major NSR
regulations, and they have never
undertaken modifications. CAIR Units
must hold annual allowances. Each
allowance authorizes the emission of
one ton of NOX for a specified calendar
year. For SO2 allowances with vintage
in the years before 2010, each allowance
authorizes the emission of one ton of
SO2 for a calendar year. For 2010 and
beyond, each allowance authorizes the
emission of less than one ton of SO2 per
year.7 The CAIR emissions reductions
will be implemented in two phases, one
beginning in 2009 (2010 for SO2) and a
second beginning in 2015. CAIR Units
are subject to stringent monitoring,
recordkeeping, and reporting
requirements. Owner/operators must
monitor and report CAIR Unit emissions
using CEMS or other monitoring
methodologies that are as precise,
reliable, accurate, and timely according
to the requirements in 40 CFR part 75.
Source information management,
emissions data reporting, and allowance
trading occur through EPA-administered
6 The proposed test would not apply to all
cogeneration units. It would apply only to those
EGU that §§ 96.104, 96.204, and 96.304 identify. On
August 24, 2005 [70 FR 49708; see item 0029 in EDocket OAR–2005–0163], we proposed changes to
§§ 96.104 and 96.204 to exclude units (serving a
greater-than-25 MW generator) that stopped
operating before November 15, 1990 and do not
resume. In this notice, we also proposed changes to
the definition of ‘‘EGU’’ to exclude certain solid
waste incineration units.
7 For allowances of vintage years 2010–2014, each
allowance authorized the emission of half a ton of
SO2 for a calendar year. For allowances of vintage
years 2015 and beyond, each allowance authorizes
the emission of 0.35 tons of SO2 for a calendar year.
See item 0019 in E–Docket OAR–2005–0163–70 FR
25258, May 12, 2005. See also 40 CFR 96.202.
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online systems. Any source found to
have excess emissions must surrender
allowances sufficient to offset excess
emissions and surrender future
allowances equal to three times the
excess emissions.8
The CAIR will result in significant
reductions in SO2 and NOX emissions
across the region that it covers. CAIR, if
implemented through controls on EGUs,
would result in EGU emissions
reductions in the CAIR States of roughly
73 percent for SO2 and 61 percent for
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NOX from 2003 levels. The rule would
affect roughly 3,000 fossil-fuel-fired
units. As Table 1 shows, these sources
accounted for roughly 89 percent of
nationwide SO2 emissions and 79
percent of nationwide NOX emissions
from EGUs in 2003.9
TABLE 1.—EGU SO2 AND NOX EMISSIONS IN 2003 AND PERCENTAGE OF EMISSIONS IN THE CAIR AFFECTED REGION
(TONS)
SO2
CAIR region .............................................................................................................................................................
Nationwide ...............................................................................................................................................................
CAIR emissions as % nationwide ...........................................................................................................................
9,407,406
10,595,069
89%
NOX
3,222,636
4,165,026
79%
Note: Region includes States covered for the annual SO2 and NOX trading programs (Alabama, District of Columbia, Florida, Georgia, Illinois,
Indiana, Iowa, Kentucky, Louisiana, Maryland, Michigan, Minnesota, Mississippi, Missouri, New York, North Carolina, Ohio, Pennsylvania, South
Carolina, Tennessee, Texas, Virginia, West Virginia, and Wisconsin).
We estimate that the CAIR will reduce
SO2 emissions by 3.5 million tons 10 in
2010 and by 3.8 million tons in 2015.
We also estimate that it will reduce
annual NOX emissions by 1.2 million
tons in 2009 and by 1.5 million tons in
2015. (These numbers are for the 23
States and the District of Columbia that
are affected by the annual SO2 and NOX
requirements of CAIR. There are 28
States affected by CAIR, but only 23
States affected by the CAIR annual SO2
and NOX requirements. That is, five
States are only affected by the CAIR
seasonal NOX trading program
requirements.) If all the affected States
choose to achieve these reductions
through EGU controls, then EGU SO2
emissions in the affected States would
be capped at 3.6 million tons in 2010
and 2.5 million tons in 2015,11 and EGU
annual NOX emissions would be capped
at 1.5 million tons in 2009 and 1.3
million tons in 2015.
The CAIR will also improve air
quality in all areas of the eastern U.S.
We estimate that the required SO2 and
NOX emissions reductions will, by
themselves, bring into attainment 52 of
the 79 counties that are otherwise
projected to be in nonattainment for
PM2.5 in 2010, and 57 of the 74 counties
that are otherwise projected to be in
nonattainment for PM2.5 in 2015. We
further estimate that the required NOX
emissions reductions will, by
themselves, bring into attainment three
of the 40 counties that are otherwise
projected to be in nonattainment for 8hour ozone in 2010, and six of the 22
counties that are otherwise projected to
be in nonattainment for 8-hour ozone in
2015.12 In addition, the CAIR will
improve PM2.5 and 8-hour ozone air
quality in the areas that would remain
nonattainment for those two NAAQS
after implementation of the rule. The
CAIR will also reduce PM2.5 and 8-hour
ozone levels in attainment areas.
To determine the statewide emission
caps under the CAIR, we assumed the
application of highly cost-effective
control measures to EGUs and
determined the emissions reductions
that would result. Specifically, we
modeled emissions reductions using the
Integrated Planning Model (IPM) with
wet and dry desulfurization (FGD,
commonly known as scrubbers)
technologies for SO2 control and SCR
technology for NOX control on coal-fired
boilers.13 These are fully demonstrated
and available pollution control
technologies. The design and
performance levels for these
technologies were based on proven
industry experience.
We expect many EGUs to install
scrubbers and SCR to meet the
emissions reductions required under the
CAIR. As a result of the CAIR, we
project installation of scrubbers on an
additional 64 GW of existing coal-fired
generation capacity for SO2 control and
SCR on an additional 34 GW of existing
coal-fired generation capacity for NOX
control by 2015. By 2020, we expect
installation of scrubbers on an
additional 82 GW of existing coal-fired
generation capacity for SO2 control and
SCR on an additional 33 GW of existing
coal-fired generation capacity for NOX
control.14
In the western half of the U.S. and
other States where CAIR will not apply,
the Best Available Retrofit Technology
(BART) requirements of the regional
haze rule will also apply to EGUs that
may not be subject to major NSR. The
regional haze rule requires all States to
take steps in their implementation plans
to improve visibility in Class I areas. [64
FR 35714 (July 1, 1999); 70 FR 39104
(July 6, 2005)] Under the Regional Haze
program, States are to address all types
of manmade emissions contributing to
visibility impairment in Class I areas,
including those from mobile sources,
stationary sources (such as EGUs), area
sources such as residential wood
combustion and gas stations, and
prescribed fires. CAA sections
169(b)(2)(A) and (g)(7) specifically
require installation of BART for
emissions of visibility-impairing
pollutants (for example, SO2 and NOX)
from certain existing stationary sources,
including large EGUs. The CAA defines
8 For a complete description of requirements for
CAIR Units under the EPA-administered trading
program, see item 0019 in E-Docket OAR–2005–
0163–70 FR 25162.
9 See our Regulatory Impact Analysis for the CAIR
at 6–9. The RIA is available at https://www.epa.gov/
air/interstateairquality/pdfs/finaltech08.pdf. See
item 0022 in E-Docket OAR–2005–0163.
10 These data are from EPA’s most recent
Integrated Planning Model (IPM) modeling
reflecting the final CAIR as promulgated at 70 FR
25162. Please see the final CAIR rule at 70 FR
25162. (See item 0019 in E-Docket OAR–2005–
0163) for a complete description of the assumptions
related to these data.
11 The banking provisions of the cap-and-trade
program encourage sources to make significant
reductions before 2010. Such early reductions are
beneficial because they encourage greater health
benefit sooner. However, due to the use of banked
allowances, EPA does not project that these caps
will be met in 2010 and 2015.
12 See item 0019 in E-Docket OAR–2005–0163—
70 FR 25162.
13 U.S. EPA, Regulatory Impact Analysis for the
CAIR at p. 7–5. See item 0022 in E-Docket OAR–
2005–0163. Available at https://www.epa.gov/air/
interstateairquality/pdfs/finaltech08.pdf. For more
information about the highly cost effective controls
for EGUs that were used to establish the emissions
reductions under the CAIR, see also 69 FR 4612
(item 0003 in E-Docket OAR–2005–0163).
14 See CAIR RIA at 7–8 and 7–9 (item 0022 in EDocket OAR–2005–0163). The CAIR RIA is also
available at https://www.epa.gov/air/
interstateairquality/technical.html. In 1999, total
electric generating capacity was 781 GW, of which
utilities accounted for approximately 85 percent.
U.S. EPA NSR 90-Day Review Background Paper, p.
12. See item 0039 in E-Docket OAR–2005–0163.
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Federal Register / Vol. 70, No. 202 / Thursday, October 20, 2005 / Proposed Rules
a BART-eligible source as a stationary
source of air pollutants that falls within
one of 26 listed categories and that was
put into operation between August 7,
1962 and August 7, 1977, with the
potential to emit 250 tons per year of
any visibility-impairing pollutant. [CAA
section 169(b)(2)(A) and (g)(7); 40 CFR
51.301.]
We issued guidelines for
implementing BART requirements,15
including presumptive BART control
levels for emissions of SO2 and NOX
from utility boilers located at power
plants over 750 MW. Those presumptive
BART control levels are based on cost
effective controls. As explained in the
guidelines, as a general matter States
must require owners and operators of
greater than 750 MW power plants to
meet these BART emission limits. In
addition, while States are not required
to follow these guidelines for EGUs
located at power plants with a
generating capacity of less than 750
MW, based on our analysis, we believe
that States will find these same
presumptive controls to be highly cost
effective, and to result in a significant
degree of visibility improvement, for
most EGUs greater than 200 MW,
regardless of the size of the plant at
which they are located.
Regional haze is the result of air
pollutants emitted by numerous sources
over a wide geographic region. As a
result, EPA has encouraged States to
work together in developing and
implementing their air quality plans
addressing regional haze. In fact, the
States have been working together in
regional planning organizations to
develop regional plans. Moreover, we
have proposed a process by which
States may use an emissions trading
program in place of facility-by-facility
BART requirements. In these aspects,
the requirements for BART are similar
to those under the CAIR. We expect that
both the CAIR and the BART
requirements will reduce regional SO2
and NOX emissions from EGUs in a costeffective manner.
We developed three scenarios to
project the nationwide EGU SO2 and
NOX emissions reductions under BART.
Under the medium stringency scenario
(Scenario 2), we estimate that BART
controls will result in annual NOX
reductions of 585,459 tons, about a 9.6
percent reduction; and in annual SO2
reductions of 390,224 tons, about a 2.3
percent reduction, over the 2015 base
case.16 Under Scenario 2, BART is
15 See Federal Register 70 FR 39104 (July 6, 2005)
at item 0017 in E-Docket OAR–2005–0163.
16 That is, these are the reductions that are
estimated to occur under Scenario 2 in addition to
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projected to result in the installation of
scrubbers on an additional 6.2 GW of
existing coal-fired generation capacity
for SO2 control in 2015 (relative to
expected reductions from CAIR alone).
For NOX control, this BART scenario is
also projected to result in installation of
combustion control equipment on an
additional 24 GW of coal-fired
generation capacity by 2015, as well as
installation of SCR on an additional 2.4
GW on coal-fired generation capacity by
2015.
We have conducted analyses based on
emission projections and air quality
modeling showing that CAIR (as we
expect States to implement it) will
achieve greater reasonable progress
towards the national visibility goal than
would BART for affected EGUs. In our
final BART rule (70 FR 39104), we thus
promulgated regional haze rule
revisions allowing States to treat CAIR
as an in-lieu-of BART program for SO2
and NOX emissions from EGUs in CAIRaffected States, where those States
participate in the EPA-administered cap
and trade program. The criteria for
making ‘‘better than BART’’
determinations have now been codified
in the regional haze rule at 40 CFR
51.308(e)(3). We thus expect EGUs in
CAIR-affected States to be subject to
SIPs implementing CAIR SO2 and NOX
requirements rather than to BART.
We are aware that there are some
EGUs that would not be subject to the
Acid Rain program or BART, would not
be included in the CAIR program due to
their geographic location, and that also
would not be subject to major NSR
unless they choose to modify.17 First,
there is a set of EGUs that are not in
CAIR affected States, and that are
BART-eligible but may not be subject to
BART. Assuming Scenario 2, there
would be approximately 28 coal-fired
EGUs that are BART-eligible, not in the
CAIR region, and have a capacity less
than 200 MW. Smaller units such as
these generally are not base load units.
The total capacity for these 28 units is
the reductions that are estimated to occur under
CAIR. See BART RIA at 3–6—item 0004 in E-Docket
OAR–2005–0163. Regulatory Impact Analysis for
the Final Clean Air Visibility Rule or the Guidelines
for Best Available Retrofit Technology (BART)
Determinations Under the Regional Haze
Regulations. EPA–452/R–05–004. U.S.
Environmental Protection Agency, June 2005. Also,
available at: https://www.epa.gov/oar/visibility/
actions.html.
17 Major stationary sources of regulated NSR
pollutants that commenced construction on or after
August 7, 1977 are subject to requirements under
major NSR, including meeting emissions limitations
based on BACT or LAER. To be BART-eligible, an
EGU must have commenced operation between
August 7, 1962 and August 7, 1977. Thus, due to
their construction date, BART-eligible EGUs are not
subject to major NSR unless they modify.
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approximately 4 GW, less than one half
of a percent of current national capacity.
Of these 28 units, approximately 3 GW
have NOX controls and approximately 2
GW have SO2 controls. There are
approximately 47 oil or gas-fired EGUs
that are BART-eligible, not in the CAIR
region, and have a capacity less than
200 MW. The total capacity for these 47
units is approximately 5 GW, also less
than one half of a percent of national
capacity. Of these 47 units,
approximately 1 GW have NOX controls.
Of these 47 units, 41 are gas-fired. Gasfired EGU are clean burning and
generally emit very small amounts of
SO2. The main control strategy for SO2
emissions from oil-fired units is using
lower-sulfur fuel.
The second set of EGUs that may not
be subject to any control requirements
are those in the non-CAIR States that are
not subject to major NSR and are not
BART-eligible. Some EGUs that are
located in non-CAIR States and that
began operation on or before August 7,
1962 would not be BART-eligible. These
units would neither be subject to BART
nor included in regulations
implementing the CAIR program. They
would also not be subject to major NSR
unless they choose to modify. Some
may be subject to the Acid Rain
program. Our database 18 shows that
there is a total of about 2 GW of coal
capacity (less than one half of a percent
of national capacity) outside the CAIR
region that was constructed or began
operations before 1962. This capacity
represents about 25 units at about 13
plants, ranging in capacity from 38–135
MW. Smaller, older units such as these
generally are not base load units. We
estimate that these units have a
potential to emit SO2 and NOX that is
high enough that they would have been
subject to major NSR if they had been
constructed later. Of these 25 units, four
have NOX controls and six have SO2
controls. The 13 plants are
geographically dispersed.
Thus, as we explain above, there are
a small number of EGUs that may not
be required to control emissions under
any program, but they comprise a very
small portion of the national capacity
and will have a minimal impact on
emissions.19 As we note in Table 1,
18 Information received from Mikhail
Adamantiades, U.S. EPA, Clear Air Markets
Division on October 4, 2005—item 0051 in E-Docket
OAR–2005–0163.
19 We expect all State agencies to include EGUs
in their regulations implementing the CAIR rule.
We therefore believe that in CAIR-affected States,
regulations implementing the CAIR will apply to all
EGU. However, there is a possibility that a State
agency would decide not to include EGU in their
SIP regulations implementing the CAIR. We believe
this possibility to be remote.
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approximately 90 percent of nationwide
EGU SO2 emissions and approximately
80 percent of nationwide EGU NOX
emissions are from EGU in the CAIR
affected region. Furthermore, we note
that EGUs, including EGUs outside the
CAIR region, are subject to national caps
on SO2 emissions through the Acid Rain
program requirements. We therefore
believe that any EGUs that might remain
uncontrolled would have a negligible
impact on national emissions of
regulated NSR pollutants.
61087
Finally, as Table 2 below shows,
substantial reductions in SO2 and NOX
emissions are projected to occur
following the imposition of these
market-based strategies after 1990.
TABLE 2.—REDUCTION IN EGU NATIONAL ANNUAL EMISSIONS 20
[In thousands of tons per year]
1990
SO2 (Annual) ....................................................................................................................
NOX (Annual) ...................................................................................................................
2015
15,700
6,700
4,770
1,916
Emission
reduction
10,930
4,784
Percent
reduction
70
71
and that we expect to occur, due to
these programs.
These reductions in national
emissions for the utility sector are
especially significant considering that
national capacity continues to increase.
In 1990, national nameplate capacity for
EGUs was 692,935 MW, in 2002 it was
758,756 MW, and in 2015 we anticipate
it to be 776,377 MW.21
In summary, since the 1990 CAA
Amendments, additional requirements
for EGUs have applied under the Acid
Rain program and the NOX SIP Call, and
we expect significant additional
reductions as States implement the
CAIR. These regional and national
programs apply or will apply to EGUs,
regardless of when the EGUs were
constructed or began operating. More
importantly, these national or regional
trading programs set permanent caps on
SO2 and NOX emissions. Notably, the
CAIR will permanently cap SO2 and
NOX emissions in the CAIR region,
which covers approximately 80 percent
of national electric generating capacity.
We expect all of the SO2 and NOX
reductions under CAIR to come from
EGUs. Despite growth in the utility and
other sectors, these programs have
substantially reduced SO2 and NOX
emissions and even more substantial
reductions will occur as a result of the
CAIR. The BART program will further
reduce national EGU SO2 and NOX
emissions.
20 Modeled 1990 baseline emissions from John
Robbins. Reductions based on 2015 projected
emissions for EGUs greater than 25 MW, assuming
BART Scenario 2 (medium stringency scenario).
These projected reductions assume control
requirements implemented under CAIR, the Acid
Rain program, BART (Scenario 2), and State rules.
Under BART Scenario, our IPM modeling assumes
control of all EGU at least 200 MW, regardless of
the size of the plant at which the EGU is located.
See BART RIA at 7–7—item 0004 in E-Docket OAR–
2005–0163.
21 Data from EPA Office of Air and Radiation,
Clean Air Markets Division. See item 0012 in EDocket OAR–2005–0163.
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The figure below shows the national
reductions in EGU SO2 and NOX
emissions that have occurred to date,
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The Acid Rain, NOX SIP Call and
CAIR programs will require substantial
reductions in SO2 and NOX emissions
over the next decade. At the same time,
they provide substantial flexibility to
EGUs in responding to these regulatory
requirements, allowing EGUs to make
cost effective control decisions. As a
result, they serve a function similar to
that under major NSR of balancing
environmental goals and encouraging
economic growth.
As we discuss in more detail in
Section V.B. of this preamble, the
primary purpose of the major NSR
program is not to reduce emissions, but
to balance the need for environmental
protection and economic growth. That
is, the goal of major NSR is to minimize
emissions increases from new source
growth. The major NSR approach we
have been taking leads to outcomes that
have not advanced the central policy of
the major NSR program as applied to
existing sources. This is because the
program is not designed to cut back on
emissions from existing major stationary
sources through limitations on their
productive capacity, but rather to ensure
that they will install state-of-the-art
pollution controls at a juncture where it
otherwise makes sense to do so. We also
do not believe the outcomes produced
by the approach we have been taking
have significant environmental benefits
compared with the approach we are
proposing today. We do not believe that
today’s revised emissions test is
substantially different from the actualto-projected-actual test. This is
particularly true in light of the
substantial EGU emissions reductions
that other programs have achieved or
are expected to achieve. We therefore
believe that, to any extent today’s
revised emissions test would lead to
more growth in emissions than the
actual-to-projected-actual test would,
the emissions increases from that
growth would be substantially less than
the emissions reductions we expect
from the Acid Rain, NOX SIP Call, CAIR,
and BART programs.22
C. Requirements for Pollutants Other
Than SO2 and NOX
Concerning PM and lead, the
application of the major NSR program to
EGU emissions increases would be
unlikely to result in the implementation
of any additional controls. Current
BACT and LAER limits to control PM
(both PM10 and PM2.5) for EGUs are
achieved through the application of
22 In our projections of emissions changes under
the Acid Rain program, the NOX SIP Call, the CAIR,
and BART, increases in future electric generating
capacity are accounted for.
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baghouses or electrostatic precipitators
(ESPs) to individual boilers. Of the 450
coal-fired plants, the following controls
are in place to reduce PM emissions
from EGU: 79 plants have bag houses
(fabric filters), 354 plants have ESPs,
and 21 plants have both ESPs and
baghouses.23 Therefore, virtually all
coal-fired EGUs are already wellcontrolled for PM. The minimal lead
emissions from EGUs are in particulate
form, and are captured by PM controls.
For CO and VOC, the only BACT/
LAER requirements that exist for boilers
are ‘‘good combustion’’ practices. EGUs
operate under enormous economic
incentives not to waste fuel, and good
combustion practices conserve fuel.
Thus, EGUs have strong incentives to
use good combustion practices,
regardless of the major NSR regulations.
We believe that virtually all EGUs are
already implementing such practices to
control CO and VOC. Accordingly, we
do not believe that VOC or CO
emissions increases at EGU are likely or
that the application of the major NSR
program to changes made at the EGUs
would be likely to result in the
implementation of additional controls
for CO and VOC. Furthermore, even if
EGU did not have built-in incentives to
control VOC and CO emissions, we do
not believe that today’s revised
emissions test would result in emissions
increases compared to the actual-toprojected-actual test. Therefore, we
expect no air quality impacts due to CO
or VOC emissions as a result of this
proposed rule.
IV. Today’s Proposed Rule
Today, we are proposing to allow
existing EGUs to use the same
maximum achievable hourly emissions
test we apply under NSPS to determine
whether a physical change in or change
in the method of operation (physical or
operation change) results in an
emissions increase under the major NSR
program. We request public comments
on all aspects of the proposed changes.
This section also provides a brief
background on the emissions increase
test used in the NSPS and major NSR
programs, and summarizes our
proposed changes to the NSR program,
which is necessary to understand the
proposed regulations. For a fuller
discussion on the statutory and
legislative background of the major NSR
program, please see Section V.B. of
today’s preamble.
23 See information received from Kevin Culligan,
U.S. EPA Clean Air Markets Division, item 0044 in
E-Docket OAR–2005–0163.
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A. Background on Existing Regulations
Both the NSPS and major NSR
programs impose requirements on
modifications of stationary sources. Our
NSPS regulations contain a two-part
definition of modification. The first part
substantially mirrors the statutory text
found in section 111(a)(4) of the Act,
while the second elaborates upon the
first. In simplistic terms, the Act
establishes a two-step test for
determining whether an activity is a
modification. First you must determine
whether the activity qualifies as a
physical change or operational change
of a stationary source, then you must
determine whether that activity also
increases the amount of pollution
emitted by the stationary source.
You can find the regulatory text
defining ‘‘modification’’ within the
NSPS general provision regulations at
40 CFR sections 60.2 and 60.14.
Substantially mirroring CAA 111(a)(4),
§ 60.2 contains a general description of
the two components an activity must
satisfy to qualify as a modification.
Section 60.14 elaborates on the general
description contained in § 60.2 by more
precisely defining how you measure the
amount of pollution that results from an
activity, and listing activities that do not
qualify as physical or operational
changes.24
Unlike our NSPS regulations, our
major NSR regulations do not contain a
specific definition of the term
‘‘modification.’’ Instead, our regulations
define ‘‘major modification,’’ which
adds provisions for determining
whether an activity satisfies the second
component (whether there is an increase
in the amount of an air pollutant).
Specifically, the major modification
definition provides a two-step
procedure for measuring emissions
increases. Under this process, a source
looks at whether a project will result in
a significant emissions increase on an
annual basis and then whether
contemporaneous increases and
decreases will result in a significant net
emissions increase (netting) on an
annual basis.
The differences between the
definition of ‘‘modification’’ as applied
in the NSPS program and ‘‘major
modification’’ as applied in the major
NSR program illustrate some
fundamental differences in the way we
have implemented the programs to date.
24 We described the relationship between the
provisions contained in sections 60.2 and 60.14 in
a 1974 Federal Register notice in which we stated
that the regulations concerning modifications in
§ 60.14 clarify the phrase ‘‘increases the amount of
any air pollutant’’ that appears in the definition of
modification in § 60.2. 39 FR 36946, October 15,
1974—see item 0014 in E-Docket OAR–2005–0163.
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First, the NSPS program regulates all
emissions increases (that is, it regulates
any increase in the hourly emissions),
while the major NSR program exempts
emissions increases that are less than
significant (that is, it exempts emissions
increases that are less than 40 tpy).
Second, the NSPS program regulates
modifications of ‘‘affected facilities,’’
which are typically small collections of
equipment within a larger
manufacturing plant. The major NSR
program regulates modifications of
major stationary sources. Accordingly,
all the equipment within a larger
manufacturing plant is looked at
collectively. Finally, because the NSPS
regulates small collections of equipment
rather than the entire plant, increases in
one part of the plant cannot be ‘‘offset’’
with decreases at other parts of the
plant. [See Asarco, Inc. v. EPA, 578 F.2d
319 (D.C. Cir. 1978).] Conversely, major
NSR regulates changes in emissions at
the major stationary source as a whole
and allows decreases in emissions from
one part of the plant to ‘‘offset’’
increases in emissions that occur in
another part of the plant. [See Alabama
Power v. Costle, 636 F.2d 323 (D.C. Cir.
1979).] This process is known as
‘‘netting.’’
The NSPS modification provisions
apply an hourly emission rate test to
measure emissions increases resulting
from a physical or operational change.
Specifically, under the regulations,
whether there is an emissions increase
is determined by comparing the prechange baseline hourly emission rate to
the post-change hourly emission rate.
For electric utility steam generating
units (EUSGUs), the baseline hourly rate
is ‘‘the maximum hourly emissions
achievable at that unit during the 5
years prior to the change.’’ [See 40 CFR
60.14(h).] EPA has described this rate as
the rate, in the past 5 years, that the
source could achieve at its physical and
operational capacity (57 FR 32330).
Thus, this hourly rate represents the
highest rate at which the source could
actually emit during the relevant period.
The baseline hourly emissions rate for
non-EGUs is likewise based on current
maximum capacity, which is defined as
the production rate at which the source
could operate without making a capital
expenditure. [See § 60.14(e)(2).] As
provided in § 60.14 (b)(1), we measure
the emissions rate in kg/hr or lbs/hr.
Therefore, the baseline hourly emissions
for non-utilities is also based on the
highest rate at which the source could
actually emit. As we stated at 57 FR
32316 referring to the rules for nonutilities, ‘‘under current NSPS
regulations, emissions increases, for
applicability purposes, are calculated by
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comparing the hourly emission rate, at
maximum physical capacity, before and
after the physical or operational change.
That is, to determine whether a change
to an existing facility will increase the
emissions rate, the existing NSPS
regulations authorize the use of an
‘‘emissions factor analysis’’, or materials
balance, continuous monitoring, or
manual emissions test to evaluate
emissions before and after the change.’’
This characterization of the emissions
rate as based on the highest rate at
which the source could actually emit is
consistent with our previous statements
and regulations. In the preamble to the
December 23, 1971 NSPS rules, we
stated that ‘‘procedures have been
modified so that the equipment will
have to be operated at maximum
expected production rate, rather than
rated capacity, during compliance
tests.’’ (See 36 FR 24876.) The December
1971 rules specified that a change in the
method of operation did not include ‘‘an
increase in the production rate, if such
increase does not exceed the operating
design capacity of the affected facility.’’
(See 36 FR 24877.) On October 15, 1974,
we proposed to change this provision to
‘‘an increase in the production rate of an
existing facility, if that increase can be
accomplished without a major capital
expenditure’’ and to move it to
§ 60.14(e)(2).25 [See 39 FR 36946.] In
describing the reason for this change,
we specifically stated that hourly
emissions must be determined
considering what the source could
actually emit, rather than ‘‘design’’
(nameplate) capacity.
The exemption of increases in production
rate is no longer dependent upon the
‘‘operating design capacity.’’ This term is not
easily defined and for certain industries the
‘‘design capacity’’ bears little relationship to
the actual operating capacity of the facility.
Id. at 39 FR 36948.
As Congress indicated in the
legislative history for the 1977 CAA,26
25 These changes were adopted on December 16,
1975 (see 40 FR 58416) and the provisions have
remained unchanged, except to clarify that they
apply to the facility rather than to the stationary
source containing that facility.
26 The legislative history is clear that Congress
considered ‘‘potential to emit’’ and ‘‘design
capacity’’ to be equivalent terms. The House bill
defined a major stationary source as any stationary
source of air pollutant which directly emits or has
the design capacity to emit 100 tons annually of any
pollutant for which an ambient air quality standard
is promulgated. [H.R. Report 95–564, p. 172 (1977),
U.S. Code Cong. & Admin.News 1977, p. 1552.] The
House bill also stated that ‘‘major emitting facilities
proposing to construct facilities must receive State
permits. All sources with the design capacity to
emit 100 tons per year or more of any pollutant
must receive a permit.’’ [H.R. Report 95–564, p. 149
(1977), U.S. Code Cong. & Admin.News 1977, p.
1529.] The Senate amendment defined major
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design capacity is equivalent to
potential to emit. In the NSPS
regulations, neither the EGU nor the
non-EGU hourly emissions are based on
design capacity. Thus, to describe the
NSPS test as a potential-to-potential test
is inaccurate, and EPA has not asserted
that the NSPS test is a potential-topotential test. Instead, the Agency has at
times referred to ‘‘hourly potential
emissions.’’ Where we have referred to
hourly potential emissions, we have
also been clear that we are referring to
what the source is actually able to emit
at current maximum capacity. For
example, in the 1988 WEPCO
memorandum, we stated:
Pursuant to longstanding EPA
interpretations, the emission rate before and
after a physical or operational change is
evaluated at each unit by comparing the
hourly potential emissions under current
maximum capacity to emissions at maximum
capacity after the change.’’ 27
Our current major NSR regulations
measure an emissions increase at an
existing emissions unit using the
‘‘actual-to-projected-actual’’
applicability test. Under this approach,
we compare an emissions unit’s
‘‘baseline actual emissions’’ to the
emission unit’s projected actual
emissions after the change. Our current
test distinguishes how non-EUSGUs
compute an emissions unit’s baseline
actual emissions from the method used
for EUSGUs. We define baseline actual
emissions for non-EUSGUs as the
average annual emission rate calculated
from any consecutive 24-month period
in the past 10 years. For EUSGUs, the
baseline actual emissions equals the
average annual emission rate achieved
over any consecutive 24-month period
in the past 5 years unless there is
another period of time that is more
representative of normal source
emitting facility as any stationary source with an
annual potential to emit 100 tons or more of any
pollutant. The Senate bill also required permits for
major stationary sources with potential to emit over
250 tons per year. The conference committee agreed
on the provisions on major emitting facilities and
major stationary sources to be included in the
statute at 302(j) and 169(1) as follows.
The State plan must require permits for: (a) All
28 categories listed in the Senate bill if the sources
has the potential (design capacity) to emit over 100
tons per year; and (b) any other source with the
design capacity to emit more than 250 tons per year
of any air pollutant. [H.R. Report 95–564, p. 149
(1977), U.S. Code Cong. & Admin.News 1977, p.
1153].
27 Memorandum dated September 9, 1988, from
Don R. Clay, Acting Assistant Administrator for Air
& Radiation, U.S. EPA, to David A. Kee, Director,
Air and Radiation Division, U.S. EPA Region V.
Applicability of PSD and NSPS Requirements to the
WEPCO Port Washington Life Extension Project.
Available at: https://www.epa.gov/region7/programs/
artd/air/nsr/nsrmemos/wpco2.pdf. Page 9 and item
0005 in E-Docket OAR–2005–0163.
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operations. We use the same definition
of projected actual emissions for both
EUSGUs and non-EUSGUs. The rules
generally define projected actual
emissions as the maximum annual rate
of emissions at which the emissions
unit is projected to operate for the first
5 years after the emissions unit begins
operation following the change. See 40
CFR 51.166 (b)(47) and (b)(40) to
understand all aspects of the baseline
actual emissions and projected actual
emissions definitions.
B. What We Are Proposing
1. Test for EGUs Based on Maximum
Achievable Hourly Emissions
Today, we are proposing to allow
existing EGUs to use the same
maximum achievable hourly emissions
test applied in the NSPS to determine
whether a physical or operation change
results in an emissions increase under
the major NSR program. Accordingly,
the major NSR regulations would apply
at an EGU if a physical or operational
change results in any increase in the
maximum hourly emissions rate. We are
not proposing to allow EGUs to exclude
emissions increases that fall below a
particular significant emissions rate, or
to allow EGUs to use plantwide netting
to avoid NSR applicability.
We are proposing to define EGUs in
the same way that this term is defined
by the CAIR and Acid Rain regulations.
Specifically, we would define EGU as
fossil-fuel fired boilers and turbines
serving an electric generator with a
nameplate capacity greater than 25
megawatts (MW) producing electricity
for sale.28 Fossil fuel is described as
natural gas, petroleum, coal, or any form
of solid, liquid, or gaseous fuel derived
from such material. The term ‘‘fossil
fuel-fired’’ with regard to an emissions
unit means combusting fossil fuel, alone
or in combination with any amount of
other fuel or material.
This definition of EGU is broader than
the definition of EUSGU currently
found in the NSPS and NSR regulations.
The EGU definition includes
cogeneration facilities and simple cycle
gas turbines that would not qualify
under EUSGU definitions. That is, the
revised emissions test would apply to
EUSGUs, cogeneration facilities, and
simple cycle gas turbines.
28 On August 25, 2005, we proposed regulatory
language to clarify that the definition of EGU in
CAIR does not include municipal waste combustors
or solid waste incinerators, and to clarify that the
definition only covers entities that have at any time
since November 15, 1990 served an electric
generator with a nameplate capacity greater than 25
megawatts (MW) producing electricity for sale. See
70 FR 49708, item 0029 in E-Docket OAR–2005–
0163.
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To incorporate the NSPS maximum
achievable hourly emissions test into
the major NSR regulations, we are
proposing to add a definition of
modification to the major NSR
regulation that will apply to changes
affecting regulated NSR pollutant
emissions in lieu of the current
definition of major modification. We
would add the new definition to all
versions of the NSR regulations
including 40 CFR 51.165, 51.166, 52.21,
52.24, and in Appendix S of 40 CFR part
51, as well as any regulations we
finalize to implement major NSR in
Indian Country.29
We propose that this definition would
substantially mirror, but would not be
identical to, the definition of
modification contained in section 60.14
of the NSPS regulations. There are
differences between the two programs
that prevent a wholesale adoption of the
NSPS modification definition into the
major NSR provisions. For example, the
NSPS program applies the definition of
modifications only to stationary sources
and pollutants for which a particular
NSPS standard applies. Specifically, the
NSPS program regulates modifications
of ‘‘affected facilities,’’ which are
typically small collections of equipment
within a larger manufacturing plant.
The NSPS program also specifies which
pollutants from the affected facility are
regulated. For example, Subpart Da of
40 CFR part 60 regulates emissions
increases of sulfur dioxides, nitrogen
oxides, and particulate matter from
EUSGUs. The major NSR program, on
the other hand, regulates modifications
of major stationary sources.
Accordingly, all the equipment within a
larger manufacturing plant is looked at
collectively. Furthermore, the Act
mandates that major NSR requirements
apply to modifications at any major
stationary source that increases
emissions of any regulated NSR
pollutant.30 The proposed definition is
as follows.
‘‘Modification,’’ for an electric generation
unit (EGU), means any physical change in, or
change in the method of operation of, an EGU
which increases the amount of any regulated
NSR pollutant emitted into the atmosphere
by that source or which results in the
emission of any regulated NSR pollutant(s)
into the atmosphere that the source did not
previously emit. An increase in the amount
of regulated NSR pollutants must be
determined according to the provisions in
paragraph (x) of this section.
29 In the near future, we plan to publish a
proposed rule addressing NSR requirements in
tribal lands.
30 The major NSR regulations define NSR
regulated pollutants at 40 CFR 51.166(b)(49).
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We disagree with the Fourth Circuit’s
holding in Duke Energy, and thus
believe we are able to make reasonable
distinctions between the NSPS and NSR
programs where appropriate. Although
the Fourth Circuit held in Duke Energy
that we must use the same definition of
modification in both the NSPS and NSR
programs where appropriate, it only
discussed this finding in the context of
the component term of the definition
‘‘increases in the amount of any air
pollutant emitted.’’ In fact, the Court
noted that the Fourth Circuit had
previously held that the term
‘‘stationary source,’’ a component term
within the definition of ‘‘modification,’’
could be interpreted differently in the
NSPS and PSD programs because
Congress had not defined the term in
both programs. [Duke Energy, slip op. at
17, citing Potomac Elec. Power Co. v.
EPA, 650 F.2d 509, 518 (4th Cir.
1981).31 Accordingly, we believe it is
reasonable to interpret the Duke Energy
decision as requiring, within the Fourth
Circuit, that the maximum hourly
emissions test be used within the major
NSR provisions, but as not requiring the
identical treatment of the term
‘‘physical change in or change in the
method of operation.’’ Based on our
interpretation, we propose to
incorporate the part of the major
modification definition that addresses
regulation of physical and operational
changes into the modification definition
for EGUs. We request comment on this
interpretation.
We also are not proposing to change
our current methodologies for
computing the amount or availability of
emissions offsets, or for computing
emissions for purposes of conducting an
ambient impact analysis. Accordingly,
EGUs will be required to follow the
existing regulations related to these
provisions.
In proposing this NSR test for EGUs
based on maximum achievable hourly
emissions, we are aware of the recent
opinion by the United States Court of
Appeals for the District of Columbia
Circuit in New York v. EPA, 413 F.3d 3
(D.C. Cir. June 24, 2005). In that case,
the Court rejected challenges to
substantial portions of EPA’s 2002 NSR
rules. However, the Court did hold that
EPA lacked authority to promulgate the
‘‘Clean Unit’’ provision of the 2002
rules, and in doing so, held that ‘‘the
plain language of the CAA indicates that
31 The Duke Energy Court also noted that in
Northern Plains Res. Council v. EPA, 645 F.2d 1349,
1356 (9th Cir. 1981) [see item 0046 in E-Docket
OAR–2005–0163], the Ninth Circuit allowed EPA to
interpret the statutory term ‘‘commenced’’
differently in the NSPS and PSD regulations. Duke
Energy, slip op. at 17.
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Congress intended to apply NSR to
changes that increase actual emissions
instead of potential or allowable
emissions.’’ Id., slip op. at 40.
We respectfully disagree with the
Court’s holding that the plain language
of the CAA requires that NSR apply to
changes in actual emissions, and the
United States has filed a petition for
rehearing and rehearing en banc as to
this holding. We believe that the CAA
is silent on whether increases in
emissions for purposes of determining
whether a physical or operational
change constitutes a modification must
be measured in terms of actual
emissions, potential emissions, or some
other currency. Therefore, we believe
that even if the test for emissions
increases that we propose today were
based on something other than actual
emissions, it would be an appropriate
interpretation and entitled to deference
under step 2 of the analytical process set
forth in Chevron U.S.A., Inc. v. Natural
Res. Def. Council, 467 U.S. 837 (1984).
Nonetheless, we recognize that we must
promulgate a rule that is consistent with
the D.C. Circuit’s resolution of this
issue.
Regardless of whether our petition for
rehearing in New York v. EPA is denied,
we believe that a test based on
maximum achievable hourly emissions
is a test based on actual emissions. The
maximum achievable hourly emissions
test measures what a source has been
actually able to emit based on physical
and operating capacity during a
representative period prior to the
change. For most, if not all EGUs, the
hourly rate at which the unit is actually
able to emit is substantively equivalent
to that unit’s historical maximum
hourly emissions. States require most, if
not all EGUs, to perform periodic
performance tests under applicable SIPs
and enhanced monitoring requirements.
The NSPS regulations require a source
to conduct testing based on
representative performance of the
affected facility, generally interpreted as
performance at current maximum
physical and operational capacity. [40
CFR 60.8(c).] 32 Also, in the National
Stack Test Guidance that we issued on
September 30, 2005, we recommended
that facilities conduct performance tests
under conditions that are ‘‘most likely
to challenge the emissions control
measures of the facility with regard to
meeting the applicable emission
standards, but without creating an
32 See also 36 FR 24876, December 23, 1971.
Referring to performance tests, we stated that
‘‘Procedures have been modified so that the
equipment will have to be operated at maximum
expected production rate, rather than rated
capacity, during compliance tests.
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unsafe condition.’’ 33 Most EGUs
actually emit at the highest level at
which they are capable of emitting at
some time within a 5-year baseline
period.
We solicit comment on our
assumption that an NSR test for EGUs
based on maximum achievable hourly
emissions is, in fact, a test that would
be based on a measure of actual
emissions in light of the manner in
which EGUs are operated.
As we noted earlier, the current major
NSR regulations contain a definition of
major modification. Specifically, the
major modification definition provides a
two-step procedure for measuring
emissions increases. Under this process,
a source looks at whether a project will
result in a significant emissions increase
on an annual basis and then whether
contemporaneous increases and
decreases will result in a significant net
emissions increase (netting) on an
annual basis. We are proposing to
replace this definition of major
modification with a definition of
modification based on the maximum
hourly achievable emissions increase
test (or one of the two other emissions
increase tests that we discuss in the
following sections, maximum achieved
emissions or an output-based measure
of emissions). However, we request
comment on whether we should instead
add the definition of modification based
on an hourly emissions test, which
would then be followed by the current
major modification provisions based on
annual emissions. Specifically, we
request comment on whether the major
NSR program should include a four-step
process as follows: (1) Physical change
or change in the method of operation;
(2) maximum achievable hourly
emissions increase (or another
alternative emissions increase test such
as discussed below); (3) significant
emissions increase as in the current
major NSR regulations; (4) significant
net emissions increase as in the current
major NSR regulations.
2. Test for EGUs Based on Maximum
Achieved Hourly Emissions
We are also proposing in the
alternative a slightly different emissions
test from the maximum achievable
hourly emissions test applied in the
NSPS program. Specifically, we are
requesting comment on whether we
33 See the EPA memorandum, Issuance of Final
Clean Air Act National Stack Testing Guidance,
from Michael M. Stahl, Director, Office of
Compliance, to Regional Compliance/Enforcement
Division Directors, September 30, 2005, p. 14.
Available at https://www.epa.gov/Compliance/
resources/policies/monitoring/caa/stacktesting.pdf
and item 0007 in E–Docket OAR–2005–0163.
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should promulgate an emissions test
based on assessing an emissions unit’s
historical maximum hourly emissions.
That is, instead of calculating what a
source could actually emit at current
maximum capacity, actual emissions
would be determined by a specific
measure of historical emissions, such as
with CEMS. This test may be preferred
by some because the method of
assessing the source’s actual emissions
is similar to the current major NSR
approach for determining baseline
actual emissions.
We would call this test the maximum
achieved hourly emissions test. Under
this approach, an EGU would determine
whether an emissions increase will
occur by comparing the pre-change
maximum actual hourly emission rate to
a projection of the post-change
maximum actual hourly emission rate.
The pre-change maximum actual hourly
emission rate would be the highest rate
at which the EGU actually emitted the
pollutant within the 5-year period
immediately before the physical or
operational change.
Like the maximum achievable hourly
emissions test, the maximum achieved
emissions test is a measure of a source’s
actual emissions. The maximum
achieved hourly emissions test is based
on a specific measure of historical
actual emissions during a representative
period. Therefore, even if our petition
for rehearing in New York v. EPA is
denied, we believe that a test based on
maximum achieved hourly emissions
satisfies the requirement that major NSR
applicability be based on ‘‘some
measure of actual emissions.’’
We request comment on whether
adopting this alternative approach
would achieve all of the policy
objectives supporting this proposal as
effectively as the maximum achievable
hourly emissions test would. We stated
that two of our goals for this proposal
are to streamline the regulatory
requirements applying to EGUs by
allowing EGUs to apply the same test for
measuring emissions increases from
modifications under both the NSPS
program and NSR program, and to
provide some nationwide consistency in
the emissions calculation procedures in
light of the Fourth Circuit’s decision in
Duke. We believe that the maximum
achievable hourly emissions test could
better comport with our policy goals
than the maximum achieved hourly
emissions test. Therefore, given that we
do not believe that there is substantive
difference in the baseline emissions
between the two tests, we prefer
adoption of the maximum achievable
hourly emissions test as used in the
NSPS program.
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In view of our policy goal to establish
a uniform emissions test nationally
under the NSPS and NSR programs for
existing EGUs, we also request comment
on extending the maximum achieved
hourly emissions test to emissions
increases in the NSPS program.
Specifically, we request comment on
whether we should revise 40 CFR 60.14
to include a maximum achieved hourly
emissions test, either in lieu of the
maximum achievable hourly emissions
test or in addition to the maximum
achievable hourly emissions test. We
intend to provide more detailed
information concerning the maximum
achieved hourly emissions test in the
NSPS program in our supplemental
proposal.
3. Emissions Test Based on Energy
Output
We also request comment on adopting
an NSR emissions test based on mass of
emissions per unit of energy output,
such as lb/MW hour or nanograms per
Joule. Applicability under the major
NSR program has historically been
based on annual limits measured in tons
per year. As we discuss in Section V. of
this preamble, Congress did not specify
how to calculate ‘‘increases’’ in
emissions and left EPA with the task of
filling that gap. We believe establishing
an NSR emissions increase test based on
mass emissions per unit of energy
output would be a reasonable use of our
discretion.
We also believe that incorporating an
output-based emissions test has merit
for several reasons. The primary benefit
of output-based standards is that they
recognize energy efficiency as a form of
pollution prevention. Using more
efficient technologies reduces fossil fuel
use and also reduces the environmental
impacts associated with the production
and use of fossil fuels. Another benefit
is that output-based standards allow
sources to use energy efficiency as a part
of their emissions control strategy.
Energy efficiency as an additional
compliance option can lead to reduced
compliance costs, as well as lower
emissions. We want to encourage use of
efficient units that displace less
efficient, more polluting units. This
approach is especially desirable where
EGUs are already subject to marketbased systems such as the Acid Rain
program, NOX SIP Call, and State
trading programs implementing the
CAIR, as those programs increase
incentives for using efficient units.
Furthermore, an output-based
emissions test would comport with
recent State efforts. Several States have
initiated regulations or permits-by-rule
for distributed generation (DG) units,
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including combustion turbines. States
that have made efforts to regulate DG
sources include California, Texas, New
York, New Jersey, Connecticut,
Delaware, Maine, and Massachusetts.
Those State rules include emission
limits that are output-based, and many
allow generators that use combined heat
and power (CHP) to take credit for heat
recovered. For example, Texas recently
passed a DG permit-by-rule regulation
that gives facilities 100 percent credit
for steam generation thermal output,
and incorporates HRSG and duct
burners under the same limit. The
California Air Resources Board (CARB)
also has output-based emission limits,
which allow DG units using CHP to take
a credit to meet the standards, at a rate
of 1 MW-hr for each 3.4 million British
thermal units (MMBtu) of heat
recovered, or essentially, 100 percent.
The draft rules for New York and
Delaware also allow DG sources using
CHP to receive credit toward
compliance with the emission
standards.
We request comment on the
desirability and feasibility of using an
output-based test for measuring
emissions increases in the major NSR
program. In view of our policy goal to
establish a uniform emissions test
nationally under the NSPS and NSR
programs for existing EGUs, we also
request comment on extending an
output-based test for measuring
emissions increases to the NSPS
program. Specifically, we request
comment on whether we should revise
40 CFR 60.14 to include an outputbased emissions test, either in lieu of
the maximum achievable and maximum
achieved hourly emissions tests or in
addition to these emissions tests. We
intend to provide more detailed
information concerning the outputbased emissions test for both the NSR
and NSPS programs in our
supplemental proposal.
C. Pollutants to Which the Revised
Applicability Test Applies
We request comments on our proposal
that the revised emissions test (either
our preferred maximum achievable test,
the alternative maximum achieved test,
or the output-based emissions test)
should apply to all regulated NSR
pollutants. In light of our policy goal to
provide a nationally consistent program
and to streamline major NSR for EGUs,
we believe it is desirable to provide the
alternative test for emissions increases
of all regulated NSR pollutants. As
described in detail in Section III of this
preamble, we do not believe that today’s
revised emissions test is substantially
different from the actual-to-projected-
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actual test, particularly in light of the
substantial SO2 and NOX emissions
reductions that other programs have
achieved or are expected to achieve
from EGUs. As we describe in further
detail in Section III.C. of this preamble,
the application of the major NSR
program to EGU emissions increases of
regulated NSR pollutants other than SO2
and NOX would be unlikely to result in
the implementation of any additional
controls.
D. Significant Emissions Rates
As we stated, we are not proposing to
allow EGUs to exclude emissions
increases that fall below a particular
significant emissions rate. Our current
major NSR regulations allow sources to
avoid major NSR applicability if the
physical or operational change results in
an emissions increase that is below a
significant level.
We codified the existing significant
rates based on a de minimis legal theory
that balances the administrative burden
of running the program with the
environmental benefit of undergoing
major NSR review. In codifying the
significant rates, we relied on our belief
that Congress did not intend to regulate
every physical or operational change at
a major source. Because a maximum
achievable hourly emissions rate test is
based on computing a unit’s rate of
emissions in kg/hr, whereas the existing
significant rates are expressed in tons
per year (tpy), it is more
administratively efficient to eliminate
the need to compute significant
emission rates from the proposed
emissions test.
By eliminating the use of a significant
emission rate threshold for
modifications, we balance the
differences in these tests, and focus
permitting authority resources on
reviewing all changes that result in
increases in existing capacity.34 We
believe that this result is consistent with
our interpretation of Congressional
intent in that it assures that, at a
minimum, increases in existing capacity
undergo major NSR review. See a fuller
discussion of the legislative history in
Section V. of this preamble.
We request comment on our
conclusion that the maximum
achievable hourly emissions test should
regulate all emissions increases and not
34 To the extent that sources prefer to avoid major
NSR by taking enforceable limitations on their
potential to emit, reviewing authority resources will
also be focused on establishing synthetic minor
limits subject to the conditions in § 51.165(a)(5)(ii),
§ 51.166(r)(2), and § 52.21(r)(4). That is, sources
basically have two choices—enforceable limitations
on emissions increases or major NSR review for
changes that result in increases in existing capacity.
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just those that are above the significant
rate. We also request comment on the
alternative of including a significant
emissions rate as a component of the
maximum achievable hourly emissions
test for major NSR. If we include use of
the significant rate within the emissions
increase test, sources would have to
extrapolate their maximum hourly
emission rate to a maximum annual
emission rate. We request comment on
an appropriate approach for making this
extrapolation.
E. Eliminating Netting
Netting has played an important role
over the history of the major NSR
program by, to some extent, allowing
sources to manage plantwide changes in
a way that assures that the major
stationary source’s emissions do not
increase. Nonetheless, numerous
stakeholders, including individuals
among State, environmental, and
industry groups, believe that our netting
procedures in the existing program are
too complicated. State and
environmental groups also believe
netting allows construction of brand
new emissions units to occur without
requiring emissions controls. These
stakeholders suggested removing the
netting provisions or revising the
procedures to shorten the
contemporaneous period to allow for
‘‘project netting.’’ Project netting allows
the emissions increases and decreases
from a given project to be summed
together without the need to review all
changes over the previous 5 years.
Because the maximum achievable
hourly emissions test is based on
increases in kg/hr, including netting
within the emissions test would further
complicate administration of the
program by adding additional
calculations to an already complicated
process. Accordingly, eliminating the
ability to net pollutant increases and
decreases would simplify applicability
determinations and assure that increases
in existing capacity could not occur
without preconstruction review and
installation of appropriate controls
(except where sources otherwise
establish enforceable limitations to
avoid emissions increases) . Also, one of
the advantages of our proposal to
eliminate netting is that there would be
no unreviewed increases.
Nevertheless, the Court in Alabama
Power held that the Act requires EPA to
allow netting within our regulations (the
‘‘bubble’’ approach), because such an
approach is consistent with the
purposes of the Act. The Court reasoned
that Congress intended to ‘‘generate
technological improvement in pollution
control, but this approach focused upon
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‘rapid adoption of improvements in
technology as new sources are built,’ not
as old ones [plants] were changed
without pollution increases.’’
It is important to place this ruling in
the context of the rules before the Court
at that time. Our 1978 regulations
required a source-wide accumulation of
emissions increases without providing
for an ability to offset these accumulated
increases with any source-wide
decreases. In finding that we must apply
a bubble approach, the Court held that
we could not require sources to
accumulate increases without also
accumulating decreases. It is unclear
whether the Court would have reached
the same conclusion if the emissions
test before the Court only considered the
increases from the project under review
and not source-wide increases from
multiple projects. Moreover, contrary to
the Alabama Power Court’s analysis,
some have argued that the netting
approach may have impeded Congress’
objective of promoting ‘‘rapid adoption
of improvements in technology as new
sources are built.’’ This is because it
allows construction of new units at
existing facilities without emissions
controls, while requiring major NSR for
large greenfield sources.
We request comment on our
observations related to the Alabama
Power Court’s decision related to netting
and whether a major NSR program
without netting can be supported under
the Act. Specifically, we request
comment on whether, in adding the
maximum achievable emissions test for
EGUs within the major NSR program,
we should retain the requirement to
compute a net emissions increase.
Under this approach, a source would
first determine whether an activity
results in an increase in maximum
hourly emissions, and then the source
would determine whether this increase,
when considered with other increases
and decreases at the major stationary
source over the past 5 years, would
result in a net emissions increase at the
major stationary source. We also request
comment on whether we should retain
netting, but shorten the
contemporaneous period to the time of
construction and allow EGUs to use
only ‘‘project’’ netting in computing
whether a physical or operational
change results in an emissions increase.
F. Benefits of Maximum Achievable
Hourly Emissions Test
We believe that implementing our
proposed maximum achievable hourly
emissions rate test for EGUs offers
significant benefits over the current
actual-to-projected-actual emissions
test. The proposed regulations (and our
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alternate proposal) would provide
nationwide consistency in how States
implement the major NSR program for
EGUs. They would also establish a
uniform emissions test nationally under
the NSPS and NSR programs for existing
EGUs. However, we are also requesting
comment on whether the proposed
maximum achievable hourly emissions
test (and our alternate proposals) should
be limited to the geographic area
covered by CAIR, or to the geographic
area covered by both CAIR and BART.
Furthermore, the proposed
regulations allow owner/operators to
make changes that, without increasing
existing capacity, promote the safety,
reliability, and efficiency of EGUs. We
do not want to discourage plant owners
or operators from engaging in activities
that are important to restoring,
maintaining, and improving plant
safety, reliability, and efficiency.
Uncertainties inherent in the current
major NSR permitting approach can
exacerbate the reluctance to engage in
these activities. To elaborate on the
uncertainty issues: Unless an owner or
operator seeks an applicability
determination from his or her reviewing
authority, it can be difficult for the
owner or operator to know with
reasonable certainty whether a
particular activity would trigger major
NSR. This gives the owner or operator
five choices, two of which the owner or
operator is not likely to select, and the
other three of which have significant
drawbacks for the productivity of the
plant.
First, the owner or operator may
simply seek an NSR permit. That
course, however, is likely to be timeconsuming and expensive, since it will
likely result in a requirement to retrofit
an existing plant with state-of-the-art
pollution controls, which often is very
costly and can present significant
technical challenges. Therefore, an
owner or operator is not likely to select
this option if it can be avoided.
Second, the owner or operator may
proceed at risk without a reviewing
authority determination. That option,
however, is also not likely to be
attractive where a significant
replacement activity is involved,
because if the owner or operator
proceeds without a reviewing authority
determination and if we later find that
he or she made an incorrect
determination on their own, the owner
or operator faces potentially serious
enforcement consequences. Those
consequences could well include
substantial fines and penalties for
violation of the CAA (along with the
further consequences of violation of the
CAA) and a requirement to install state-
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of-the-art pollution controls, even
though those controls present technical
issues or represent a significant enough
expenditure that they likely would have
deterred the owner or operator from
seeking a permit in the first place. The
owner or operator is not likely to take
this risk if he or she believes there is a
high probability of these kinds of
consequences and if he or she has other
options.
Third, the owner or operator may seek
an applicability determination. That
process, too, is time-consuming and
expensive, albeit typically less so than
seeking a permit. Furthermore, there is
a possibility that EPA could eventually
make a different applicability
determination than the State has made,
which can add more time and
uncertainty to the process. This path
presents a potentially significant barrier
to EGUs and other industries. This
approach also is likely to delay
important projects that would enhance
the safety, reliability, and efficiency of
the plant while the owner/operator
waits for the applicability
determination.
Fourth, the owner or operator may
forego or curtail activities that would
enhance the safe, reliable, or efficient
operation of its plant, instead opting to
repair existing components, even
though they are inferior to current-day
components because they probably are
less advanced and less efficient than
current technology. Foregoing the
activities altogether will reduce plant
safety, reliability and efficiency;
curtailing or postponing them does as
well, differing only in the degree of
these effects.
Finally, the owner or operator may
curtail the plant’s productive capacity
by replacing components with less than
the best technology to be more certain
that the replacement is within the
regulatory bounds. Or he or she may
agree to limit the source’s hours of
operation or capacity or install air
pollution controls that are less than
state-of-the-art. These alternative
courses of action, however, will also
result in loss of plant productivity.
The current approach to major NSR is
also problematic for State and local
reviewing authorities. They require the
regulatory authorities to devote scarce
resources to make complex
determinations, including applicability
determinations, and consult with other
agencies to ensure that any
determinations are consistent with
determinations made for similar
circumstances in other jurisdictions
and/or that other reviewing authorities
would concur with the conclusion. In
our June 2002 report to the President,
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we concluded that the current major
NSR program has impeded or resulted
in the cancellation of projects that
would have maintained and improved
the reliability, efficiency, or safety of
existing energy capacity.
We believe it is desirable to change
the approach to major NSR. The current
approach discourages sources from
replacing components, and encourages
them to replace components with
inferior components or to artificially
constrain production in other ways.
This behavior does not advance the
central policy goals of the major NSR
program as applied to existing sources.
The central policy goal is not to limit
productive capacity of major stationary
sources, but rather to ensure that they
will install state-of-the-art pollution
controls at a juncture where it otherwise
makes sense to do so. We also do not
believe the outcomes produced by the
approach we have been taking have
significant environmental benefits
compared with the approach we are
proposing today.
We believe that these problems would
be significantly reduced by the rule we
are proposing today. Our new approach
would provide more certainty both to
source owners or operators who will be
able better to plan activities at their
facilities, and to reviewing authorities
who will be able better to focus
resources on other areas of their
environmental programs rather than on
time-consuming determinations. The
effect should be to remove disincentives
to undertaking activities that improve
efficiency, safety, reliability, and
environmental performance.
We also note that today’s proposed
emissions test would simplify
applicability determinations for sources
by using the same test for both the NSPS
and NSR programs. Moreover, it
eliminates the burden of projecting
future emissions and distinguishing
between emissions increases caused by
the change from those due solely to
demand growth, because any increase in
the emissions under the maximum
achievable emissions test would
logically be attributed to the change. It
reduces recordkeeping and reporting
burdens on sources because compliance
will no longer rely on synthesizing
emissions data into rolling average
emissions. It improves compliance by
making the rules more understandable,
which correspondingly reduces the
reviewing authorities’ compliance and
enforcement burden.
Nonetheless, despite identifying many
of these benefits in our analysis of the
Settlement Agreement that EPA had
entered into in Chemical Manufacturer’s
Association v. EPA, No. 79–112, we
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rejected the use of that approach
because we stated that such an approach
was not acceptable for major NSR
applicability as a general matter.35 We
based our conclusions on concerns that
the Settlement Agreement Approach
would allow facilities to generate paper
credits for netting and offsets because
the facility may never have operated at
its full potential emissions. Moreover,
we raised concerns that unreviewed
increases could lead to increment
violations.
Today’s proposal differs from the
Settlement Agreement Approach in an
important way. We retain the existing
procedures for calculating offset credits
to avoid any possibility of generating
paper reductions. Moreover, we
requested comment on eliminating or
limiting the availability of netting.
Either approach would alleviate the
possibility of generating paper
reductions. One of the advantages of our
proposal to eliminate netting is that
there would be no unreviewed
increases. (That is, all emission
increases, including those less than 40
tpy, would be reviewed.) On the other
hand, if we continue to include netting
provisions in the major NSR
applicability test, those provisions will
continue to be based on actual
emissions.
Importantly, States’ implementation
of the Acid Rain, CAIR, and BART
programs will generate significant
reductions in pollution and thereby
decrease the likelihood that an
unreviewed source could cause an
increment violation. We conducted
modeling to estimate the impact of the
CAIR program on nationwide emissions
trends and ambient concentrations. The
modeling shows that emissions are
predicted to decline in all parts of the
country. With nationwide emissions
declining, there is a decreased
likelihood that unpermitted emissions
increases could violate a PSD increment
by returning a given geographical area to
levels above that area’s historical actual
levels. We also conducted modeling to
estimate the impact of the BART rule on
nationwide emissions trends and
visibility. The BART modeling shows
that emissions will decline beyond
those reductions under CAIR,
particularly in Class I areas.36
35 We discuss the regulatory history related to the
CMA Exhibit B Settlement Agreement in Section V.
of today’s preamble. See also 67 FR 80205,
December 31, 2002—item 0030 in E-Docket OAR–
2005–0163.
36 For a complete discussion of the emissions
reductions and air quality impacts of the BART
rule, see Chapter 3 of the RIA for the BART final
rule, available at https://www.epa.gov/oar/visibility/
actions.html and item 0004 in E-Docket OAR–2005–
0163.
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Furthermore, our analyses estimate
improvements in air quality related
values from both the CAIR and BART.37
The emissions reductions from the
programs that affect electric utilities
principally come from cap-and-trade
programs such as the Acid Rain
Program, the NOX SIP Call, and the
CAIR. Concerns have been expressed at
times about how trading programs might
have a disparate impact on some
populations, especially those located
closest to some of the affected emission
sources. EPA is developing a
methodology to look at the local impacts
of these types of programs and will
attempt to quantify the impacts on local
communities for the final rule.
For all the reasons we articulate in
this section, we now believe that it is
appropriate to consider the benefits of
implementing the maximum achievable
hourly emissions increase test.
G. Would States Be Required To Adopt
the Revised Emissions Test?
Consistent with our longstanding
practice, we are proposing that the
revised emissions test would be a core,
mandatory, minimum program element
for SIPs implementing the part C and
part D major NSR programs. We are also
proposing that State and local agencies
would submit NSR SIP revisions
incorporating the revised emissions test
within 12 months after promulgation of
the final rules. For the reasons we
articulate in Section V.C. of this
preamble, we believe the maximum
achievable hourly emissions test
implements Congressional intent for the
major NSR program and in a more
effective manner for EGUs than the
current major NSR program.
Consistent with our longstanding
practice, we are also proposing that if a
State were to decide it does not want to
implement the revised emissions test,
that State would need to make a
showing that its program is not less
stringent than our program.
V. Statutory and Regulatory History
and Legal Rationale
This section provides our legal basis
and rationale for the proposed changes.
In support of our legal basis and
rationale, this section provides a more
detailed background than that in
Section IV. on the emissions increase
37 For our discussion of these impacts related to
the CAIR, see the CAIR RIA at 5–1, item 0022 in
E-Docket OAR–2005–0163. The CAIR RIA is also
available at https://www.epa.gov/air/
interstateairquality/technical.html. For our
discussion of these impacts related to the BART, see
the BART RIA at 5–1, available at https://
www.epa.gov/oar/visibility/actions.html and item
0004 in E-Docket OAR–2005–0163.
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test used in the NSPS program and
major NSR program.
A. The NSPS Program
In the 1970 CAA Amendments,
Congress included, for the first time,
emission standards for new sources of
air pollution, termed ‘‘new source
performance standards’’ (NSPS). [CAA
section 111.] The purpose of the NSPS
program was to prevent new air
pollution problems by requiring that
new sources of emissions, including
those from expanded or modified
existing facilities, be designed and
equipped to incorporate demonstrated
emissions controls.38
Specifically, Congress required the
EPA to set emission limitations for
categories of new stationary sources of
air pollution based on the best system
of emissions reduction, considering
costs, that has been adequately
demonstrated. Congress also specifically
required that the NSPS apply to
modifications of existing facilities, and
defined ‘‘modification’’ in CAA section
111(a)(4) as follows:
‘‘The term modification means any
physical change in, or change in the method
of operation of, a stationary source which
increases the amount of any air pollutant
emitted by such source or which results in
the emission of any air pollutant not
previously emitted.’’ 39
The statute does not specify how
increases in emissions are to be
determined and the 1970 legislative
history does not directly speak to it.
Nonetheless, the legislative history
shows that, at a minimum, Congress was
concerned about regulating new sources
of emissions caused by expanded or
modified capacity, as the following two
statements indicate:
Therefore, particular attention must be
given to new stationary sources which are
known to be either particularly large-scale
polluters or where the pollutants are extra
hazardous. The legislation, therefore, grants
authority to the Secretary of Health,
Education, and Welfare to establish emission
standards for any such sources which either
38 See House Report 91–1146 at 5365: The
purpose of this authority is to prevent the
occurrence of significant new air pollution
problems arising from or associated with such new
sources. As explained above, such new sources may
take the form either of entirely new facilities or
expanded or modified facilities, or of expanded or
modified operations which result in substantially
increased pollution. * * * The emission
standards shall provide that sources of such
emissions shall be designed and equipped to
prevent and control such emissions to the fullest
extent compatible with the available technology
and economic feasibility as determined by the
Secretary.
39 CAA section 111(a)(4). This section has not
been amended since it was inserted into the statute
in 1970.
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in the form of entire new facilities or in the
form of expanded or modified facilities, or
because of expanded or modified operation
or capacity, constitute new sources of
substantially increased pollution.40
Therefore, it would appear to me that, for
instance, an old steel plant which altered its
production of a particular unit or operation,
even though that unit was an old unit, would
be controlled just as its competitor, a new
steel plant, would be controlled, where new
equipment plus new sources of emissions
occur? That is correct.41
On December 23, 1971 (36 FR 24877),
we promulgated the first NSPS
regulations. Consistent with
Congressional intent to regulate new
sources of emissions, these regulations
included a definition of modification
applying to affected facilities as follows.
Modification means any physical change
in, or change in the method of operation of,
an affected facility which increases the
amount of any air pollutant (to which a
standard applies) emitted by such facility or
which results in the emission of any air
pollutant (to which a standard applies) not
previously emitted, * * *
Id.
On December 16, 1975, we revised the
definition of modification in the NSPS
program. 40 FR 58416. Our revisions
clarified how to measure emissions
increases when there is a physical
change or change in the method of
operation at an existing facility.
Specifically, we added the phrase
‘‘emitted into the atmosphere’’ to the
definition of modification at 40 CFR
60.2 and added new provisions to
define how to measure emissions
increases for purposes of determining
whether a modification occurs, at 40
CFR 60.14.42
Our focus in adding the regulatory
phrase ‘‘emission rate to the
atmosphere’’ was to regulate facilities
only when they constitute a new source
of emissions. We do not believe that
Congress intended to draw existing
facilities into NSPS applicability when
there was no increase in the amount of
pollution that a facility could actually
emit to the environment, either because
the new equipment did not emit
40 H.R.
Rep 91–1146, p. 5361 (1970).
Record—HR 17090, June 10,
1970 at 19212.
42 This language concerning modifications was
never included in the NSR regulations at §§ 51.165,
51.166, 52.21, 52.24, and Appendix S to part 51. On
January 23, 1980 (see 45 FR 5616, item 32 in EDocket OAR–2005–0163), we amended this
language to delete the portions of § 60.14 that
implemented the bubble concept, which the United
States Court of Appeals for the District of Columbia
Circuit rejected in a decision rendered January 27,
1978. [Asarco, Inc. v. EPA, 578 F.2d 319 (D.C. Cir.
1978)—item 0047 in E-Docket OAR–2005–0163.]
Following the Asarco decision, § 60.14 was
amended to include the current provisions.
41 Congressional
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pollutants or because the addition of
control devices means that the total
emissions rate to the atmosphere did not
increase. In the proposed preamble, we
described the addition of the regulatory
term emitted into the atmosphere’’ by
reference to ‘‘actual emissions,’’
measured as post-control emissions at
capacity instead of potential emissions
without controls.
The proposed amended definition of
‘‘modification’’ also includes a new phrase
‘‘emitted into the atmosphere.’’ The new
phrase clarifies that for an existing facility to
undergo a modification there must be an
increase in actual emissions. If any increase
in emissions that would result from a
physical or operational change to an existing
facility can be offset by improving an existing
control system or installing a new control
system for that facility, such a change would
not be considered a modification because
there would be no increase in emissions to
the atmosphere. The Administrator
considered defining ‘‘modification’’ so that
increases in pre controlled (potential)
emissions would be considered
modifications. However, the proposed
definition of modification is limited to
increases in actual emissions in keeping with
the intent of section 111 of controlling
facilities only when they constitute a new
source of emissions * * * Section 60.14(b)
provides four mechanisms which the
Administrator may use (but to which he is
not limited) in determining whether an
increase in emissions has occurred * * *
[T]hese techniques utilize parameters such as
maximum production rate * * *’’
39 FR 36946, 36946–7.
As we stated in the preamble for the
proposal, we added the regulations in
§ 60.14 to clarify the phrase ‘‘increases
the amount of any air pollutant’’ in the
definition of modification in § 60.2 .
[See 39 FR 36946.] We did not create a
new definition of modification in
codifying § 60.14, but instead used
§ 60.14 to define how to determine an
actual emissions increase based on the
facility’s maximum hourly emissions
rate considering controls. Under
§ 60.14(b), we calculate an emissions
increase by comparing the hourly
emissions rate before and after the
physical or operational change using
‘‘parameters such as maximum
production rate * * *’’ 39 FR 36946,
36947. We clarified in the proposed rule
that maximum production rate should
not be interpreted to mean the facility’s
operating design capacity (sometimes
referred to as name plate capacity)
because this rate ‘‘bears little
relationship to the actual operating
capacity of the facility.’’ Id. at 36948.
Instead, the maximum production rate
refers to ‘‘that production rate that can
be accomplished without making major
capital expenditures.’’ Id.
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Thus, the final regulations calculate
changes in what a source is actually able
to emit at its capacity, considering
controls. (We may refer to this test as
the actually-able-to-emit test.) Under
§ 60.14(b), we calculate an emissions
increase by comparing the hourly
emissions rate before and after the
physical or operational change using
‘‘parameters such as maximum
production rate * * *’’ 39 FR 36946,
36947. Some refer to this test as a
‘‘maximum hourly potential-topotential’’ emissions test. However,
since the NSPS test is based on actual
operating capacity rather than design
capacity, we believe that this potentialto-potential terminology can be
misleading, and prefer the name
‘‘maximum achievable hourly emission
rate’’ which is similar to the provision
we promulgated in the 1992 WEPCO
rule, described below. As we discuss in
detail in Section IV.A of this preamble,
NSPS applicability based on maximum
achievable hourly emissions before and
after a change was reiterated in various
policy memoranda and applicability
determinations over the history of the
program.
On July 21, 1992, we further revised
the NSPS regulations to clarify how we
calculate emissions increases at electric
utilities. [See 57 FR 32314 (final rule);
56 FR 27630 (June 14, 1991) (proposed
rule).] Among other things, this
regulation further defined ‘‘capacity’’ for
electric utilities subject to the NSPS
program. Specifically, we indicated that
utilities could use the highest hourly
emissions rate achievable by the facility
at any time during the 5 years before the
change.
In this rulemaking, prompted by
litigation involving the Wisconsin
Electric Power Company and commonly
called the WEPCO rule, we noted that
the pre-existing NSPS program
‘‘examines maximum hourly emission
rates, expressed in kilograms per hour,’’
that is, ‘‘[e]missions increases for NSPS
purposes are determined by changes in
the hourly emissions rates at maximum
physical capacity.’’ 57 FR 32316. We
explained how to determine an hourly
rate, as follows.
An hourly emissions rate may be
determined by a stack test or calculated from
the product of the instantaneous emissions
rate, i.e., the amount of pollution emitted by
a source, after control, per unit of fuel
combusted or material processed (such as
pounds of sulfur dioxide emitted per ton of
coal burned) times the production rate (such
as tons of coal burned per hour) * * *
Id., n. 5.43
43 By comparison, we added, ‘‘NSR regulations
examine total emissions to the atmosphere,’’ that is,
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One of the purposes of the WEPCO
rule was to address problems that
resulted from the pre-existing method of
calculating the maximum hourly
emissions rate for NSPS purposes. We
stated the following.
Under current regulations, the emissions
rate before and after a physical or operational
change is evaluated at each unit by
comparing the current hourly potential
emissions at maximum operating capacity to
hourly emissions at maximum capacity after
the change. In this calculation, the reviewing
authority disregards the unit’s maximum
design capacity. The original design capacity
of a unit, to the extent it differs from actual
maximum capacity at the time that the
baseline is established due to physical
deterioration of the facility, is immaterial to
this calculation.
57 FR 32330. We stated that current
regulations presented the problem of
‘‘undue emphasis on the physical
condition of the affected facility
immediately prior to the change * * *
For instance, if a unit has broken down
and is in need of repairs, the utility’s
baseline will be artificially low.’’ Id.
Accordingly, we revised the baseline
requirement for electric utilities to
include the following constraint.
No physical change, or change in the
method of operation, at an existing electric
utility steam generating unit shall be treated
as a modification for the purposes of this
section provided that such change does not
increase the maximum hourly emissions of
any pollutant regulated under this section
above the maximum hourly emissions
achievable at that unit during the 5 years
prior to the change.
40 CFR 60.14(h). In characterizing this
requirement as a ‘‘modest’’ change from
the pre-existing regulation, we
described this requirement as a
More flexible provision [that] enables units
to establish a baseline that is representative
of its physical and operational capacity in
recent years, while still precluding the use of
a baseline tied to original design capacity,
which * * * may bear no relationship to the
facility’s capacity in recent years.
57 FR 32330. Therefore, the WEPCO
rule makes clear that the NSPS
applicability test for EGUs is the same
test (that is, the actually-able-to-emit
‘‘emissions increases under NSR are determined by
changes in annual emissions as expressed in tons
per year (tpy).’’ Id. We explained how to determine
the annual emissions as follows:
Annual emissions may be calculated as the
product of the hourly emissions rate times the
utilization rate, expressed as hours of operation per
year, or as the product of an emission factor * * *
in units of mass emitted per unit of process
throughput times the annual throughput * * *
Thus, we said, both NSPS and NSR calculations
include the hourly emission rate, but the difference
between the two is that the NSR calculation then
adds the annual utilization rate, expressed as hours
of operation per year.
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test) that is generally applicable. Thus,
the only difference in the NSPS
applicability test for EGUs and nonEGUs is the method for determining the
actual operating capacity; for EGUs it is
the actual operating capacity at any time
in the previous 5 years and for nonEGUs it is actual operating capacity that
is achievable without a capital
expenditure.
B. The Major NSR Program
EPA promulgated the first set of PSD
regulations in 1974 (39 FR 42510), and
the first nonattainment major NSR
programs in 1976 (41 FR 55524). At that
time, the Act did not contain specific
provisions for these programs. Instead,
the PSD program evolved from a lawsuit
claiming that the Act required EPA to
ensure that air quality did not
deteriorate in areas where air quality
met the NAAQS. Sierra Club v.
Ruckelshaus, 344 F.Supp. 253 (D.D.C
1972). We issued the first nonattainment
NSR regulations (known as the Emission
Offset Interpretative ruling) because
attainment dates had passed and we
received questions as to whether, and to
what extent, new stationary sources
could locate in areas that failed to meet
the attainment date.
Our preamble to the 1974 PSD rules
explained that we intended the PSD
definition of ‘‘modified source’’ to be
consistent with the definition of that
term under the NSPS regulations. 39 FR
42510, 42513. Accordingly, the 1974
PSD regulations defined ‘‘modification’’
in essentially the same way for both
programs. [See 40 CFR 52.01(d); 39 FR
42514; 1975.] Similar to the NSPS
provisions, EPA also included an
exclusion for increases in production
rate and hours of operation within the
regulatory definition of physical change
in or change in the method of operation.
Congress expressly added an
expanded preconstruction permitting
program for new and modified major
stationary sources to the CAA in 1977.
The 1977 Amendments contained
different preconstruction permitting
requirements for major stationary
sources in attainment and
nonattainment areas. In areas meeting
the NAAQS (‘‘attainment’’ areas) or for
which there is insufficient information
to determine whether they meet the
NAAQS (‘‘unclassifiable’’ areas),
Congress added requirements for the
PSD program in part C of title I of the
Act. Congress required States to amend
their implementation plans to include
requirements to prevent the significant
deterioration of air quality where such
air quality is presently cleaner than
existing ambient air quality standards.
The main focus of the PSD program was
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a ceiling on incremental pollution
growth. The statute at sections 163(b)
and 165(d) included specific
‘‘increments,’’ or maximum allowable
increases in particulates and sulfur
dioxide. In section 166, the 1977
Amendments also required EPA to
propose regulations for increments or
other means for preventing significant
deterioration that would result from the
other criteria pollutants. To ensure
protection of increments and other
means of preventing significant
deterioration, Congress established a
preconstruction permitting program for
major sources that required installation
of BACT for major sources. Thus
Congress established the PSD program
to allow for economic growth in
attainment areas, to be accomplished
primarily through preservation of
increment. The PSD program is
implemented primarily through SIPapproved State preconstruction
permitting programs meeting the
requirements of our regulations at 40
CFR 51.166. Where we have not
approved a SIP for an attainment or
unclassifiable area, the program is
implemented by us or by the States
according to the requirements in 40 CFR
52.21.
Congress in 1977 was likewise
concerned with permitting new or
modified facilities in nonattainment
areas. The House proposed a new CAA
section 117 for nonattainment areas ‘‘as
a means of assuring realization of the
dual goals of attainment air quality
standards and providing for new
economic growth.’’ [H.R. Report 95–294,
p. 19 (1977), U.S. Code Cong. & Admin.
News 1977, p. 1091.] Thus, Congress
added the preconstruction permitting
program for major stationary sources in
nonattainment areas in part D of title I
of the 1977 CAA at section 173. The
basic requirements of the program as
Congress established them in CAA
section 173 are still in place: (1) Each
major stationary source must go through
preconstruction review; (2) the total
allowable emissions from new and
modified sources must be offset; 44 (3)
the source must comply with the lowest
achievable emission rate (LAER); (4)
44 Before 1990, Congress provided States with two
options for managing the impact of economic
growth on emissions. A State could either provide
a case-by-case review of each new or modified
major source and require such source to obtain
offsetting emissions, or the State could implement
a waiver provision which allowed the State to
develop an alternative to the case-by-case emissions
offset requirement. This alternative program became
known as the ‘‘growth allowance’’ approach. In
1990, Congress invalidated some of the existing
growth allowances and shifted the emphasis for
managing growth from using growth allowances to
using the case-by-case offset approach.
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there must be a demonstration that all
major stationary sources in the State
that have the same owner or operator
are in compliance; and (5) an alternative
sites analysis must be conducted. The
preconstruction permitting program for
major stationary sources in
nonattainment areas, commonly known
as the nonattainment major NSR
program, is generally implemented
through the SIP according to our
regulations at 40 CFR 51.165. In
transition periods before SIP approval,
permits must be issued meeting the
conditions of 40 CFR Appendix S,
which reflects substantially the same
requirements as those in § 51.165.
Following the enactment of the major
NSR program in the 1977 CAA, in 1978
we promulgated comprehensive changes
to the PSD and nonattainment major
NSR regulations to carry out the
statutory changes. 43 FR 26380. In the
absence of statutory language on how to
determine an emissions increase, we
initially defined emissions increases in
terms of allowable or potential
emissions.45 As with the NSPS
regulations, we defined potential
emissions as uncontrolled emissions.
Nonetheless, when we interpreted
111(a)(4) for the major NSR program, we
concluded that the NSPS and NSR
program have different purposes. We
believed that the NSPS-based
definitions and interpretations should
not be controlling for NSR purposes.
Accordingly, in our 1978 final rules, we
defined ‘‘modification’’ for NSR
differently than we defined it in the
NSPS program by including a plantwide
approach for reviewing emissions
increases (netting), even though the
Court held this approach unlawful as
applied in the NSPS program. [Asarco,
Inc. v. EPA, 578 F.2d 319 (D.C. Cir.
1978).]
Numerous aspects of our 1978 final
rules were challenged by industry, State
and environmental petitioners. In June
1979, the D.C. Circuit Court issued a per
curiam (preliminary) opinion. [Alabama
Power Co. v. Costle, 606 F.2d 1068 (D.C.
Cir. 1979).] In response to that opinion,
we immediately undertook to revise our
regulations consistent with that opinion
and proposed significant changes to the
method for determining whether a
change constitutes a major modification.
Under the proposal, a major
45 See the first nonattainment area regulations at
Appendix S to part 51, December 21, 1976, at 41
FR 55528/1—see item 0034 in E-Docket OAR–2005–
0163. Similarly, a ‘‘major modification’’ shall
include a modification to any structure, building,
facility, installation or operation (or combination
thereof) which increases the allowable emission
rate by the amounts set forth above. See also our
1978 regulations at 43 FR 26380 item 0035 in EDocket OAR–2005–0163.
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modification would occur if a source
increased its potential to emit a
pollutant.
On December 14, 1979, the Court in
Alabama Power issued an opinion that
superseded its per curiam decision.
[Alabama Power v. Costle, 636 F.2d 323
(D.C. Cir. 1979).] 46 EPA interpreted the
Court’s opinion as focusing on ‘‘actual
emissions’’ rather than ‘‘potential to
emit.’’ [45 FR 52676, 52700.] This led
EPA to amend its NSR regulations and
to change the baseline for measuring
emissions increases from using a
source’s potential to emit to using the
source’s ‘‘actual emissions.’’ The final
rules generally defined pre-change
actual emissions based on historical
emissions (the average of annual
emissions for the 2 years preceding the
change), but also included provisions to
allow source-specific allowables or
potential to emit to be a measure of prechange actual emissions in certain
circumstances. [See 40 CFR
52.21(b)(21).]
Our 1980 regulations resulted in
numerous challenges, including
challenges to our methodology for
calculating emissions increases. These
challenges were consolidated in
Chemical Manufacturer’s Association v.
EPA, No. 79–112. EPA entered into a
Settlement Agreement which required
us to propose an NSPS-like, hourlypotential-to-hourly-potential emissions
increase test for modifications (‘‘CMA
Exhibit B’’).
In 1992, before implementing the
Settlement Agreement, we promulgated
revisions to our applicability regulations
creating special rules for physical and
operational changes at EUSGUs. [See 57
FR 32314 (July 21, 1992).] 47 In this rule,
as noted above, commonly referred to as
the ‘‘WEPCO rule,’’ we adopted an
actual-to-future-actual methodology for
all changes at EUSGUs except the
construction of a new electric generating
unit or the replacement of an existing
emissions unit. Under this
methodology, the actual annual
emissions before the change are
compared with the projected actual
emissions after the change to determine
if a physical or operational change
would result in a significant increase in
emissions. To ensure that the projection
is valid, the rule requires the utility to
46 The Court amended the December 14th opinion
on April 21, 1980. See item 0024 in E-Docket OAR–
2005–0163.
47 The regulations define ‘‘electric utility steam
generating units’’ as any steam electric generating
unit that is constructed for the purpose of supplying
more than one-third of its potential electric output
capacity and more than 25 megawatts (MW) of
electrical output to any utility power distribution
system for sale. See, for example, § 51.166(b)(30).
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track its emissions for the next 5 years
and provide to the reviewing authority
information demonstrating that the
physical or operational change did not
result in an emissions increase.
In promulgating the WEPCO rule, we
also adopted a presumption that utilities
may use as baseline emissions the actual
annual emissions from any 2
consecutive years within the 5 years
immediately preceding the change.
On July 23, 1996, we proposed CMA
Exhibit B as one alternative as part of a
comprehensive proposal to reform the
NSR regulations. [61 FR 38250.] Finally,
on December 21, 2002, we took final
action on certain elements of our 1996
proposal and declined to promulgate the
CMA Exhibit B approach. Instead, we
revised the emissions calculation
procedures to include an actual-toprojected-actual emissions test for all
sources. [67 FR 80290.]
While industry, environmental groups
and States filed petitions for review
with the United States Court of Appeals
for the District of Columbia Circuit
regarding both our 1980 and 1992 rules,
those challenges were not heard and
decided until earlier this year when
those challenges were consolidated with
challenges to our 2002 revisions to the
major source NSR program. [See New
York v. EPA, No. 02–1387 (D.C. Cir.
June 24, 2005).] The Court upheld EPA’s
regulations concerning the actual-toprojected-actual test. Id., slip op. at 26.
While industry argued that the statute
requires EPA to use the same definition
of ‘‘modification’’ for the NSPS program
and NSR programs, the Court concluded
that industry had waived the argument
and thus declined to address this issue
in its ruling.48
In a separate part of its opinion, the
Court held that EPA had discretion in
defining the period of time over which
to calculate emissions, for purposes of
ascertaining whether a physical or
operational change increases those
emissions. Id. at 39–40. The Court
upheld EPA regulations that revised that
period as a 2-year period within the 10
years prior the change. The Court stated:
In enacting the NSR program, Congress did
not specify how to calculate ‘‘increases’’ in
emissions, leaving EPA to fill in that gap
while balancing the economic and
environmental goals of the statute [citation
omitted]. Based on its experience with the
NSR program and its examination of the
relevant data, EPA determined that a ten-year
lookback period would alleviate the
problems experienced under the 1980 rule
48 The Court expressed a view that Congress’
failure to expressly incorporate the NSPS regulatory
definition of NSPS argues against a finding that
Congress intended the NSPS definition to apply in
implementing the NSR program. Id. at 25.
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and advance the economic and
environmental goals of the CAA * * * [W]e
defer to EPA’s statutory interpretation under
Chevron step 2 * * *.
Id. at 39–40.
In another part of the Court’s opinion,
the Court held that the NSR
modification requirement, which
incorporates by reference CAA section
111(a)(4), ‘‘unambiguously defines
‘increases’ in terms of actual
emissions.’’ Id. at 62. EPA has filed a
petition for rehearing in which we argue
that this holding was in error, and that
the term ‘‘increases’’ is ambiguous for
NSR purposes and therefore EPA has
discretion to promulgate an actuals,
allowables, or potentials interpretation.
On June 15, 2005, the United States
Court of Appeals for the Fourth Circuit
handed down a decision concerning an
enforcement action against Duke Energy
Corporation concerning major NSR
applicability at eight electric utilities.
[United States v. Duke Energy Corp., No.
04–1763.] The Court ruled that ‘‘because
Congress mandated that the PSD
definition of ‘modification’ be identical
to the NSPS definition of ‘modification,’
the EPA cannot interpret ‘‘modification’’
under the PSD inconsistently with the
way it interprets that term under the
NSPS.’’ Id., slip op. at 12–14). The Court
also stated that ‘‘No one disputes that
prior to enactment of the PSD statute,
the EPA promulgated NSPS regulations
that define the term ‘‘modification’’ so
that only a project that increases a
plant’s hourly rate of emissions
constitutes a ‘modification’ ’’ Id., slip
op. at 18. The Court thus held that for
purposes of the PSD program, emissions
increases must be determined by
comparing the pre- and post-change
maximum hourly emissions.
C. Legal Rationale
1. Maximum Achievable Hourly
Emissions Test
Sections 169(2)(C) and 171(4) of the
Act specify that the definition of
‘‘modification’’ set forth in CAA section
111(a)(4) applies in the PSD and
nonattainment major NSR programs.
Pursuant to CAA section 111(a)(4), the
term modification means ‘‘any physical
change or change in the method of
operation of a stationary source which
increases the amount of any air
pollutant emitted by such source or
which results in the emission of any air
pollutant not previously emitted.’’ The
statute, however, does not prescribe the
methodology for determining when an
emissions increase has occurred
following a physical change or change
in the method of operation. New York v.
EPA, slip op. at 31, 39–40, No. 02–1387
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(D.C. Cir. June 24, 2005). Since Congress
did not specify how to calculate
‘‘increases’’ in emissions, it left EPA
with the task of filling that gap while
balancing the economic and
environmental goals of the CAA. Id. at
39–40.
When a statute is silent or ambiguous
with respect to specific issues, the
relevant inquiry for a reviewing court is
whether the Agency’s interpretation of
the statutory provision is permissible.
Chevron U.S.A., Inc. v. NRDC, Inc., 467
U.S. 837, 865 (1984). Accordingly, EPA
has the discretion to propose a
reasonable method by which to
calculate emissions increases for
purposes of NSR applicability. Although
we do not assert that the NSPS
interpretation is the only one we can
adopt for NSR purposes (we followed
quite a different interpretation from
1980 until today), at the very least we
believe that the statutory silence on this
issue delineates a zone of discretion
within which EPA may operate.
As we discuss in the previous section
of this preamble, we modeled our early
major NSR method for calculating any
emissions increases after the existing
NSPS program. In the NSPS program,
we define major modification as the
maximum achievable hourly increase in
emissions at actual operating capacity,
considering controls. That is, we
defined actual emissions as postcontrolled emissions at current capacity.
Our early NSR regulations defined
emissions increases in terms of
allowable or potential emissions,
consistent with our interpretation that
Congress intended the modification
definition to apply to expansions in
capacity, but not to apply to the use of
existing capacity.
As we previously explained, we
promulgated the actual-to-potential
emissions test 49 in 1980, after
interpreting the Alabama Power final
decision as shifting the focus from
regulating increases in existing capacity
to regulating possible changes in actual
emissions. Our decision to change to a
historical actual emissions baseline
must be viewed in light of the progress
of air quality programs at that time. The
air quality was significantly degraded in
a number of areas and air emission
trends showed a steady decline in the
quality of our nation’s air in some
jurisdictions. State and local air
pollution control programs were just
developing, and the programs mandated
in 1990 by parts 2, 3, and 4 of title I of
49 The 1980 rules revised the pre-change
(baseline) emissions calculation to one based on
actual emissions, but retained potential-to-emit for
measuring post-change emissions.
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the Act and programs such as the Acid
Rain program, the NOX SIP Call, CAIR,
and BART did not exist. Accordingly,
the major NSR program provided States
one of the few opportunities under the
Clean Air Act to mitigate rising levels of
air pollution through regulation of
potential emissions increases from
existing sources. Moving to an actual-topotential applicability test was a
sensible approach for managing air
quality at that time, and interpreting the
Alabama Power final decision to
support this goal was appropriate.
The Alabama Power Court recognized
EPA’s discretion to define the same
statutory terms differently in the NSR
and NSPS regulations. [Alabama Power
Co. v. Costle, 636 F.2d at 397–98 (EPA
has latitude to adopt definitions of the
component terms of ‘‘source’’ that are
different in scope from those that may
be employed for NSPS and PSD, due to
differences in the purpose and structure
of the two programs).] Moreover, while
the Court held that potential to emit
must be determined considering
controls, and that NSR major
modifications must be determined
considering total or net emissions from
the source over a contemporaneous
period, the Court otherwise left it to
EPA’s discretion to determine how
emissions increases following a physical
change or change in the method of
operation were to be determined,
including the currency for measuring
the emissions increases. Id. at 353–54,
401–03.
In using our discretion for defining
the component term ‘‘increases in any
pollutant emitted’’ within the definition
of ‘‘modification,’’ we are mindful of
Congress’ directive that the major NSR
program be tailored in such a way as to
balance the need for environmental
protection against the desires to
encourage economic growth. In this
context, the appropriate methodologies
for measuring emissions increases is
inherently linked to our responsibility
to guide the States in their efforts to
achieve and maintain an effective,
comprehensive air quality program, of
which the major NSR program is only
one component. See section 101(a) of
the Act. Accordingly, as both we and
the States have gained experience in
managing air quality, we have amended
the applicability provisions of the NSR
regulations to better balance the need
for environmental protection and
economic growth, and the
administrative burden of running the
program. (See for example 57 FR 32314,
July 21, 1992; 67 FR 80186, December
31, 2002; 68 FR 61248, October 27,
2003.)
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In light of the progress of air quality
programs under the 1990 CAA to reduce
EGU emissions and the policy goals of
the major NSR program, we considered
the appropriate scope of the major NSR
program as it applies to existing sources.
The NSR program’s scope is closely
related to the scope of the NSPS
program, created 7 years earlier in the
CAA Amendments of 1970. In section
111 of the CAA, which sets forth the
NSPS provisions, Congress applied the
NSPS to ‘‘new sources.’’ [CAA sections
111(b)(1)(B), 111(b)(4).] Congress
determined that as a general matter it
would not impose the NSPS standards
on existing sources, instead leaving to
the State and local permitting
authorities the decision of the extent to
which to regulate those sources through
‘‘State Implementation Plans’’ designed
to implement National Ambient Air
Quality Standards (NAAQS). [See CAA
section 110.] Congress followed a
similar approach in determining the
scope of the major NSR program
established by the 1977 Amendments to
the CAA. As amended, the CAA
specifies that State Implementation
Plans must contain provisions that
require sources to obtain major NSR
permits prior to the point of
‘‘construction’’ of a source. [CAA
sections 172(c)(5); 165(a).] By contrast,
the CAA generally leaves to State and
local permitting authorities in the first
instance the question of the extent,
means, and timetable for obtaining
reductions from existing sources that are
needed to comply with NAAQS. [See
CAA sections 172(c)(1), 161.] NSR’s
applicability to existing sources that
undergo a ‘‘modification’’ is an
exception to this basic concept. This
exception likewise finds its roots in the
NSPS program’s applicability to
‘‘modifications’’ of existing sources. The
1970 CAA made the NSPS program
applicable to modifications through its
definition of a ‘‘new source,’’ which it
defined as ‘‘any stationary source, the
construction or modification of which is
commenced after the publication of
regulations * * * prescribing a[n
applicable] standard of performance
* * *.’’ [CAA section 111(a)(2).] CAA
section 111(a)(4), in turn, defined a
‘‘modification’’ as ‘‘any physical change
in, or change in the method of operation
of, a stationary source which increases
the amount of any air pollutant emitted
from such source or which results in the
emission of any air pollutant not
previously emitted.’’
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The 1980, 1992 and 2002 rules 50 were
reasonable interpretations of the
statutory language in CAA section
111(a)(4) for purposes of the major NSR
program and the air quality needs of the
country at those times, and continue to
be reasonable in many respects.
Nonetheless, we retain discretion to
adopt other constructs for determining
emissions increases following a physical
change or change in the method of
operation when they make sense in
particular circumstances. The proposed
regulations would establish a uniform
emissions test nationally under the
NSPS and NSR programs for existing
EGUs. They would also streamline
requirements for EGUs. Accordingly, we
believe that it is appropriate to tailor the
major NSR program for EGUs to regulate
modifications that result in increases to
an EGU’s existing capacity. The
maximum achievable hourly emissions
test is an appropriate tool for this
purpose.
The Court in New York v. EPA held
that the language of the CAA indicates
that Congress intended to apply NSR to
changes that increase actual emissions,
instead of potential or allowable
emissions. Slip op. at 64. The Court
based its opinion, in part, on the
Alabama Power Court’s finding that the
term ‘‘emit’’ in the phrase ‘‘emit, or have
the potential to emit’’ within the
definition of major emitting facility, is
‘‘some measure of actual emissions.’’
New York v. EPA, slip op. at 63, citing
Alabama Power, 636 F.2d at 353
(emphasis added).51
To the extent that the Alabama Power
Court’s holding relating to the definition
of major emitting facility in CAA section
169(1) should have any persuasive value
in interpreting a different component
term (increases the amount of any air
pollutant) in a different definition
[definition of modification in CAA
111(a)(4)] in the Act, the Court’s
reference to ‘‘some measure of actual
emissions’’ indicates that the statute
allows for different ways of measuring
actual emissions.
We believe that the maximum
achievable hourly emissions test
provides ‘‘some measure of actual
emissions.’’ For most, if not all EGUs,
the amount at which the unit is actually
able to emit—its maximum achievable
hourly rate—is equivalent to that unit’s
maximum actual hourly rate during the
50 45 FR 52676, August, 7, 1980; 57 FR 32314,
July 21, 1992; 67 FR 80186, December 31, 2002. See
items 0036, 0027, and 0030 in E-Docket OAR–2005–
0163.
51 As previously stated, the United States has
filed a petition for rehearing on this aspect of the
Court’s decision in New York v. EPA. See item 0050
in E-Docket OAR–2005–0163.
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relevant period. States require most, if
not all EGUs, to perform periodic
performance tests under applicable
State Implementation Plans and
enhanced monitoring requirements. The
NSPS regulations require a source to
conduct testing based on representative
performance of the affected facility,
generally interpreted as performance at
current maximum physical and
operational capacity. [40 CFR 60.8(c).] 52
Also, in the National Stack Test
Guidance that we issued on September
30, 2005, we recommended that
facilities conduct performance tests
under conditions that are ‘‘most likely
to challenge the emissions control
measures of the facility with regard to
meeting the applicable emission
standards, but without creating an
unsafe condition.’’ Most EGUs actually
emit at the highest level at which they
are capable of emitting at some time
within a 5-year baseline period.
One way in which the maximum
achievable hourly emissions test differs
from the way actual emissions are
measured under the current actual-toprojected-actual test is that the former
measures actual emissions over an
hourly period rather than over an
annual period. When Congress enacted
the 1977 amendments to the CAA
creating the NSR program, it did not
specify how increases in emissions were
to be calculated, or over what increment
of time emissions should be measured.
Nonetheless, Congress was likely aware,
before it enacted the 1977 Amendments,
that we calculated emissions increases
in terms of kg/hr to determine whether
a project resulted in a ‘‘modification.’’
Congress did not indicate anywhere in
the 1977 Amendments or the legislative
history that our use of a kg/hr measure
of emissions would be contrary to the
purposes of the NSR program.
Accordingly, we believe that we have
discretion to determine the appropriate
increment of time over which to
measure actual emissions for purposes
of determining whether emissions
increases have occurred in the major
NSR program.
We believe that it is reasonable to use
an hourly period to calculate actual
emissions for purposes of measuring
emissions increases in the major NSR
program. Prior to Congress’ enactment
of the major NSR provisions in the CAA
Amendments of 1977, the NSPS
regulations calculated emissions
increases from physical and operational
52 See also 36 FR 24876, December 23, 1971.
Referring to performance tests, we stated that
‘‘Procedures have been modified so that the
equipment will have to be operated at maximum
expected production rate, rather than rated
capacity, during compliance tests.’’
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changes in terms of hourly emissions.
Our 1975 NSPS regulations provided
that ‘‘any physical or operational change
to an existing facility which results in
an increase in the emission rate to the
atmosphere of any pollutant to which a
standard applies shall be considered a
modification within the meaning * * *
of the Act,’’ with ‘‘emission rate * * *
expressed as kg/hr of any pollutant
discharged to the atmosphere.’’ [40 FR
58416, 58419 (December 16, 1975)] Even
before the 1975 NSPS rule, we put forth
a definition of ‘‘modification’’ in a 1974
regulation implementing what became
known as the ‘‘Prevention of Significant
Deterioration’’ program. [39 FR 42510
(December 5, 1974).] The regulation’s
preamble further provided that we
intended the term ‘‘modified source’’ to
be ‘‘consistent with the definition used
in the [NSPS].’’ Id. at 42513.
We further believe that today’s
revised emissions test does not result in
a substantially different outcome from
the actual-to-projected-actual test. The
current major NSR regulations measure
actual emissions differently from the
emissions test we are proposing by
assessing changes in emissions relative
to historical emissions over a baseline
period defined in terms of annual
emissions. Nonetheless, like the NSPS
test, the major NSR regulations allow for
consideration of an emissions unit’s
operating capacity in determining
whether a change results in an
emissions increase. Under the actual-toprojected-actual test, a source can
subtract from its post-project emissions
those emissions that the unit could have
accommodated during the baseline
period and that are unrelated to the
change (sometimes referred to as the
‘‘demand growth exclusion’’). That is,
the source can emit up to its current
maximum capacity without triggering
major NSR under the actual-toprojected-actual test, as long as the
increase is unrelated to the physical or
operational change. The NSPS approach
thus differs from the major NSR test
only by when a source considers
operating capacity in the methodology,
and by assuming that a source’s use of
existing operating capacity is unrelated
to the change.
Although the approaches differ,
applying the maximum achievable
hourly emissions test for EGUs in the
major NSR program has merit because it
reduces the administrative burden of the
NSR program. It eliminates the burden
of projecting future emissions and
distinguishing between emissions
increases caused by the change from
those due solely to demand growth,
because any increase in the emissions
under the maximum achievable
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emissions test would logically be
attributed to the change. It reduces
recordkeeping and reporting burdens on
sources because compliance will no
longer rely on synthesizing emissions
data into rolling average emissions. In
view of this, allowing use of the
maximum achievable hourly rate test
reasonably balances the economic need
of sources to use existing operating
capacity with the environmental benefit
of regulating those emissions increases
related to a change. Moreover, allowing
use of this approach for EGUs is a
reasonable use of our discretion to
define how we measure emissions
increases for purposes of the major NSR
program, because it reduces
administrative burden associated with
the emissions calculation procedure,
and considers the effectiveness of other
regulatory programs in regulating use of
existing EGU capacity.
Finally, the test allows sources to
undertake projects designed to improve
the efficiency, reliability, and safety of
the EGU without necessitating a finding
that post-change emissions at such a
unit are unrelated to regulated physical
or operational changes. In our 2003 final
rule on the Equipment Replacement
Provision of the Routine Maintenance,
Repair and Replacement Exclusion for
NSR (68 FR 61248, October 27, 2003),
we articulated our position that
activities designed to promote safety,
reliability, and efficiency of emissions
units should not be subject to major
NSR, yet it is often these types of
projects that raise questions as to
whether post-change emissions are
related to a change. The maximum
achievable hourly emissions test
encourages sources to undertake such
projects by focusing reviewing authority
resources on changes that add new
operating capacity rather than on
projects that restore a source to normal
operations. Importantly, short-term
emissions are a good indicator for
operating capacity. That is, longer
averaging periods, such as an annual
basis, can mask spikes in production.
2. Maximum Achieved Hourly
Emissions Test
As we stated in Section IV.B. of this
preamble, we also believe that, like the
maximum achievable hourly emissions
test, the maximum achieved emissions
test is a measure of a source’s actual
emissions. The maximum achieved
hourly emissions test is based on a
specific measure of historical actual
emissions during a representative
period. Therefore, even though it is not
our preferred option, we believe that a
test based on maximum achieved hourly
emissions satisfies the requirement that
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major NSR applicability be based on
‘‘some measure of actual emissions.’’
For the reasons that we state in Section
V.C.1 of this preamble, we believe we
have discretion to adopt a maximum
hourly achieved emissions test for
determining whether there is an
increase in emissions following a
physical change or change in the
method of operation. We request
comment on this option and on whether
it satisfies the requirement that major
NSR applicability be based on a
measure of actual emissions.
We request public comment on all
aspects of the legal basis in today’s
proposed action.
VI. Statutory and Executive Order
Reviews
A. Executive Order 12866—Regulatory
Planning and Review
Under Executive Order 12866 (58 FR
51735, October 4, 1993), the Agency
must determine whether the regulatory
action is ‘‘significant’’ and therefore
subject to Office of Management and
Budget (OMB) review and the
requirements of the Executive Order.
The Order defines ‘‘significant
regulatory action’’ as one that is likely
to result in a rule that may:
(1) Have an annual effect on the
economy of $100 million or more or
adversely affect in a material way the
economy, a sector of the economy,
productivity, competition, jobs, the
environment, public health or safety, or
State, local, or tribal governments or
communities;
(2) Create a serious inconsistency or
otherwise interfere with an action taken
or planned by another agency;
(3) Materially alter the budgetary
impact of entitlements, grants, user fees,
or loan programs, or the rights and
obligations of recipients thereof; or
(4) Raise novel legal or policy issues
arising out of legal mandates, the
President’s priorities, or the principles
set forth in the Executive Order.
Pursuant to the terms of Executive
Order 12866, OMB has notified EPA
that it considers this a ‘‘significant
regulatory action’’ within the meaning
of the Executive Order. EPA has
submitted this action to OMB for
review. Changes made in response to
OMB suggestions or recommendations
will be documented in the public
record.
B. Paperwork Reduction Act
The information collection
requirements in this proposed rule have
been submitted for approval to the
Office of Management and Budget
(OMB) under the Paperwork Reduction
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61101
Act, 44 U.S.C. 3501 et seq. The
Information Collection Request (ICR)
document prepared by EPA has been
assigned EPA ICR number 1230.18.
Certain records and reports are
necessary for the State or local agency
(or the EPA Administrator in nondelegated areas), for example, to: (1)
Confirm the compliance status of
stationary sources, identify any
stationary sources not subject to the
standards, and identify stationary
sources subject to the rules; and (2)
ensure that the stationary source control
requirements are being achieved. The
information would be used by the EPA
or State enforcement personnel to (1)
identify stationary sources subject to the
rules, (2) ensure that appropriate control
technology is being properly applied,
and (3) ensure that the emission control
devices are being properly operated and
maintained on a continuous basis.
Based on the reported information, the
State, local, or tribal agency can decide
which plants, records, or processes
should be inspected.
The proposed rule would reduce
burden for owners and operators of
major stationary sources. While we do
not expect a change in the number of
permit actions due to the proposed
changes, we expect the proposed rule
would simplify applicability
determinations, eliminate the burden of
projecting future emissions and
distinguishing between emissions
increases caused by the change from
those due solely to demand growth, and
reduce recordkeeping and reporting
burdens. Over the 3-year period covered
by the ICR, we estimate an average
annual reduction in burden of about
5,870 hours and $462,000 for all
industry entities that would be affected
by the proposed rule. For the same
reasons, we also expect the proposed
rule to reduce burden for State and local
authorities reviewing permits when
fully implemented. However, there
would be a one-time, additional burden
for State and local agencies to revise
their SIPs to incorporate the proposed
changes. We estimate this one-time
burden to be about 2,240 annual hours
and $83,000 for all State and local
reviewing authorities that would be
affected by this proposed rule.
Burden means the total time, effort, or
financial resources expended by persons
to generate, maintain, retain, or disclose
or provide information to or for a
Federal agency. This includes the time
needed to review instructions; develop,
acquire, install, and utilize technology
and systems for the purpose of
responding to the information
collection; adjust existing ways to
comply with any previously applicable
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instructions and requirements; train
personnel to respond to a collection of
information; search existing data
sources; complete and review the
collection of information; and transmit
or otherwise disclose the information.
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 OMB
control number. The OMB control
numbers for EPA’s regulations are listed
in 40 CFR part 9 and 48 CFR chapter 15.
We will continue to present OMB
control numbers in a consolidated table
format to be codified in 40 CFR part 9
of the Agency’s regulations, and in each
CFR volume containing EPA
regulations. The table lists the section
numbers with reporting and
recordkeeping requirements, and the
current OMB control numbers. This
listing of the OMB control numbers and
their subsequent codification in the CFR
satisfies the requirements of the
Paperwork Reduction Act (44 U.S.C.
3501 et seq.) and OMB’s implementing
regulations at 5 CFR part 1320.
To comment on the Agency’s need for
this information, the accuracy of the
provided burden estimates, and any
suggested methods for minimizine
respondent burden, including use of
automated collection techniques, EPA
has established a public docket for this
rule, which includes this ICR, under
Docket ID number OAR–2005–1064.
Submit any comments related to the ICR
for this proposed rule to EPA and OMB.
See ADDRESSES section at the beginning
of this notice for where to submit
comments to EPA. Send comments to
OMB at the Office of Information and
Regulatory Affairs, Office of
Management and Budget, 725 17th
Street, NW., Washington, DC 20503,
Attention: Desk Officer for EPA. Since
OMB is required to make a decision
concerning the ICR between 30 and 60
days after October 20, 2005, a comment
to OMB is best assured of having its full
effect if OMB receives it by November
21, 2005. The final rule will respond to
any OMB or public comments on the
information collection requirements
contained in this proposal.
C. Regulatory Flexibility Act (RFA)
The RFA generally requires an agency
to prepare a regulatory flexibility
analysis of any rule subject to notice
and comment rulemaking requirements
under the Administrative Procedure Act
or any other statute unless the agency
certifies that the rule will not have a
significant economic impact on a
substantial number of small entities.
Small entities include small businesses,
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small organizations, and small
governmental jurisdictions.
For purposes of assessing the impacts
of today’s notice on small entities, small
entity is defined as: (1) A small business
that is a small industrial entity as
defined in the U.S. Small Business
Administration (SBA) size standards.
(See 13 CFR 121.201); (2) a small
governmental jurisdiction that is a
government of a city, county, town,
school district, or special district with a
population of less than 50,000; or (3) a
small organization that is any not-forprofit enterprise that is independently
owned and operated and is not
dominant in its field.
After considering the economic
impacts of today’s notice on small
entities, I certify that this action will not
have a significant economic impact on
a substantial number of small entities.
In determining whether a rule has a
significant economic impact on a
substantial number of small entities, the
impact of concern is any significant
adverse economic impact on small
entities, since the primary purpose of
the regulatory flexibility analyses is to
identify and address regulatory
alternatives ‘‘which minimize any
significant economic impact of the
proposed rule on small entities.’’ 5
U.S.C. sections 603 and 604. Thus, an
agency may certify that a rule will not
have a significant economic impact on
a substantial number of small entities if
the rule relieves regulatory burden, or
otherwise has a positive economic
effect, on all of the small entities subject
to the rule.
We believe that today’s proposed rule
changes will relieve the regulatory
burden associated with the major NSR
program for all EGUs, including any
EGUs that are small businesses. This is
because the proposed rule would
simplify applicability determinations,
eliminate the burden of projecting
future emissions and distinguishing
between emissions increases caused by
the change from those due solely to
demand growth, and by reducing
recordkeeping and reporting burdens.
As a result, the program changes
provided in the proposed rule are not
expected to result in any increases in
expenditure by any small entity.
We have therefore concluded that
today’s proposed rule would relieve
regulatory burden for all small entities.
We continue to be interested in the
potential impacts of the proposed rule
on small entities and welcome
comments on issues related to such
impacts.
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D. Unfunded Mandates Reform Act
Title II of the Unfunded Mandates
Reform Act of 1995 (UMRA), Pub. L.
104–4, establishes requirements for
Federal agencies to assess the effects of
their regulatory actions on State, local,
and tribal governments and the private
sector. Under section 202 of the UMRA,
EPA generally must prepare a written
statement, including a cost-benefit
analysis, for proposed and final rules
with ‘‘Federal mandates’’ that may
result in expenditures to State, local,
and tribal governments, in the aggregate,
or to the private sector, of $100 million
or more in any one year. Before
promulgating an EPA rule for which a
written statement is needed, section 205
of the UMRA generally requires EPA to
identify and consider a reasonable
number of regulatory alternatives and
adopt the least costly, most costeffective or least burdensome alternative
that achieves the objectives of the rule.
The provisions of section 205 do not
apply when they are inconsistent with
applicable law. Moreover, section 205
allows EPA to adopt an alternative other
than the least costly, most cost-effective
or least burdensome alternative if the
Administrator publishes with the final
rule an explanation why that alternative
was not adopted. Before EPA establishes
any regulatory requirements that may
significantly or uniquely affect small
governments, including tribal
governments, it must have developed
under section 203 of the UMRA a small
government agency plan. The plan must
provide for notifying potentially
affected small governments, enabling
officials of affected small governments
to have meaningful and timely input in
the development of EPA regulatory
proposals with significant Federal
intergovernmental mandates, and
informing, educating, and advising
small governments on compliance with
the regulatory requirements.
We have determined that this rule
would not contain a Federal mandate
that would result in expenditures of
$100 million or more by State, local,
and tribal governments, in the aggregate,
or the private sector in any 1 year.
Although initially these changes are
expected to result in a small increase in
the burden imposed upon reviewing
authorities in order for them to be
included in the State’s SIP, these
revisions would ultimately simplify
applicability determinations, eliminate
the burden of reviewing projected future
emissions and distinguishing between
emissions increases caused by the
change from those due solely to demand
growth, and reduce the burden
associated with making compliance
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determinations. Thus, today’s action is
not subject to the requirements of
sections 202 and 205 of the UMRA.
For the same reasons stated above, we
have determined that today’s notice
contains no regulatory requirements that
might significantly or uniquely affect
small governments. Thus, today’s action
is not subject to the requirements of
section 203 of the UMRA.
E. Executive Order 13132—Federalism
Executive Order 13132, entitled
‘‘Federalism’’ (64 FR 43255, August 10,
1999), 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 proposed rule does not have
federalism implications. It will not have
substantial direct effects on the States,
on the relationship between the national
government and the States, or on the
distribution of power and
responsibilities among the various
levels of government, as specified in
Executive Order 13132. We estimate an
one-time burden of approximately 2,240
hours and $83,000 for State agencies to
revise their SIPs to include the proposed
regulations. However, these revisions
would ultimately simplify applicability
determinations, eliminate the burden of
reviewing projected future emissions
and distinguishing between emissions
increases caused by the change from
those due solely to demand growth, and
reduce the burden associated with
making compliance determinations.
This will in turn reduce the overall
burden of the program. Thus, Executive
Order 13132 does not apply to this rule.
In the spirit of Executive Order 13132,
and consistent with EPA policy to
promote communications between EPA
and State and local governments, EPA
specifically solicits comment on this
proposed rule from State and local
officials.
F. Executive Order 13175—Consultation
and Coordination With Indian Tribal
Governments
Executive Order 13175, entitled
‘‘Consultation and Coordination with
Indian Tribal Governments’’ (65 FR
67249, November 9, 2000), requires EPA
to develop an accountable process to
ensure ‘‘meaningful and timely input by
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17:49 Oct 19, 2005
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tribal officials in the development of
regulatory policies that have tribal
implications.’’ This proposed rule does
not have tribal implications, as specified
in Executive Order 13175. There are no
Tribal authorities currently issuing
major NSR permits. To the extent that
today’s proposed rule may apply in the
future to any EGU that may locate on
tribal lands, tribal officials are afforded
the opportunity to comment on tribal
implications in today’s notice. Thus,
Executive Order 13175 does not apply
to this rule.
Although Executive Order 13175 does
not apply to this proposed rule, EPA
specifically solicits comment on this
proposed rule from tribal officials. We
will also consult with tribal officials,
including officials of the Navaho Nation
lands on which Navajo Power Plant and
Four Corners Generating Plant are
located, before promulgating the final
regulations.
G. Executive Order 13045—Protection of
Children From Environmental Health
Risks and Safety Risks
Executive Order 13045: ‘‘Protection of
Children from Environmental Health
Risks and Safety Risks’’ (62 FR 19885,
April 23, 1997) applies to any rule that:
(1) Is determined to be ‘‘economically
significant’’ as defined under Executive
Order 12866, and (2) concerns an
environmental health or safety risk that
EPA has reason to believe may have a
disproportionate effect on children. If
the regulatory action meets both criteria,
the Agency must evaluate the
environmental health or safety effects of
the planned rule on children, and
explain why the planned regulation is
preferable to other potentially effective
and reasonably feasible alternatives
considered by the Agency.
EPA interprets Executive Order 13045
as applying only to those regulatory
actions that are based on health or safety
risks, such that the analysis required
under section 5–501 of the Order has
the potential to influence the regulation.
This rule is not subject to Executive
Order 13045, because we do not have
reason to believe the environmental
health or safety risks addressed by this
action present a disproportionate risk to
children. We believe that, based on our
analysis of electric utilities, this rule as
a whole will result in equal
environmental protection to that
currently provided by the existing
regulations, and do so in a more
streamlined and effective manner.
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61103
H. Executive Order 13211—Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
This rule is not a ‘‘significant energy
action’’ as defined in Executive Order
13211, ‘‘Actions Concerning Regulations
That Significantly Affect Energy Supply,
Distribution, or Use’’ [66 FR 28355 (May
22, 2001)] because it is not likely to
have a significant adverse effect on the
supply, distribution, or use of energy. In
fact, this rule improves owner/operator
flexibility concerning the supply,
distribution, and use of energy.
Specifically, the proposed rule would
increase owner/operators’ ability to
utilize existing capacity at EGUs.
I. National Technology Transfer and
Advancement Act
Section 12(d) of the National
Technology Transfer and Advancement
Act of 1995 (‘‘NTTAA’’), Public Law No.
104–113, 12(d) (15 U.S.C. 272 note)
directs EPA to use voluntary consensus
standards in its regulatory activities
unless to do so would be inconsistent
with applicable law or otherwise
impractical. Voluntary consensus
standards are technical standards (for
example, materials specifications, test
methods, sampling procedures, and
business practices) that are developed or
adopted by voluntary consensus
standards bodies. The NTTAA directs
EPA to provide Congress, through OMB,
explanations when the Agency decides
not to use available and applicable
voluntary consensus standards.
Today’s proposed rule does not
involve technical standards. Therefore,
EPA is not considering the use of any
voluntary consensus standards.
List of Subjects in 40 CFR Parts 51 and
52
Environmental protection,
Administrative practice and procedure,
Air pollution control, Electric
Generating Unit, BACT, LAER, Nitrogen
oxides, Sulfur dioxide, BART, Clean Air
Interstate Rule.
Dated: October 13, 2005.
Stephen L. Johnson,
Administrator.
[FR Doc. 05–20983 Filed 10–19–05; 8:45 am]
BILLING CODE 6560–50–P
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Agencies
[Federal Register Volume 70, Number 202 (Thursday, October 20, 2005)]
[Proposed Rules]
[Pages 61081-61103]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 05-20983]
[[Page 61081]]
=======================================================================
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Parts 51 and 52
[FRL-7985-7; E-Docket ID No. OAR-2005-0163]
RIN 2060-AN28
Prevention of Significant Deterioration, Nonattainment New Source
Review, and New Source Performance Standards: Emissions Test for
Electric Generating Units
AGENCY: Environmental Protection Agency (EPA).
ACTION: Proposed rule.
-----------------------------------------------------------------------
SUMMARY: The EPA (we) is proposing to revise the emissions test for
existing electric generating units (EGUs) that are subject to the
regulations governing the Prevention of Significant Deterioration (PSD)
and nonattainment major New Source Review (NSR) programs (collectively
``NSR'') mandated by parts C and D of title I of the Clean Air Act (CAA
or Act). The revised emissions test is the same as that in the New
Source Performance Standards (NSPS) program under CAA section
111(a)(4). For existing EGUs, we are proposing to compare the maximum
hourly emissions achievable at that unit during the past 5 years to the
maximum hourly emissions achievable at that unit after the change to
determine whether an emissions increase would occur. Alternatively, we
are soliciting public comment on a major NSR emissions test for
existing EGUs that would compare maximum hourly emissions achieved
before a change to the maximum hourly emissions achieved after the
change. We are also soliciting public comment on adopting an NSR
emissions test based on mass of emissions per unit of energy output. In
addition, we are soliciting comment on whether to revise the NSPS
regulations to include a maximum achieved emissions test or an output-
based emissions test, either in lieu of or in addition to the maximum
achievable hourly emissions test. Today's proposal would not affect new
EGUs, which would continue to be subject to major NSR preconstruction
review and to the NSPS program. The proposed rule would only apply
prospectively to changes at existing EGUs potentially covered by major
NSR and the NSPS programs.
These proposed regulations interpret CAA section 111(a)(4), in the
context of NSR and NSPS, for physical changes and changes in the method
of operation at existing EGUs. The proposed regulations would establish
a uniform emissions test nationally under the NSPS and NSR programs for
existing EGUs. The proposed regulations would also promote the safety,
reliability, and efficiency of EGUs.
DATES: Comments. Comments must be received on or before December 19,
2005.
Public Hearing. If anyone contacts us requesting to speak at a
public hearing November 9, 2005, we will hold a public hearing
approximately 30 days after publication in the Federal Register.
ADDRESSES: Submit your comments, identified by Docket ID No. OAR-2005-
0163 by one of the following methods:
Federal eRulemaking Portal: https://www.regulations.gov.
Follow the on-line instructions for submitting comments.
Agency Web site: https://www.epa.gov/edocket. EDOCKET,
EPA's electronic public docket and comment system, is EPA's preferred
method for receiving comments. Follow the on-line instructions for
submitting comments.
E-mail: a-and-r-docket@epamail.epa.gov.
Fax: 202-566-1741.
Mail: Attention Docket ID No. OAR-2005-0163, U.S.
Environmental Protection Agency, EPA West (Air Docket), 1200
Pennsylvania Avenue, Northwest, Mail Code: 6102T, Washington, DC 20460.
In addition, please mail a copy of your comments on the information
collection provisions to the Office of Information and Regulatory
Affairs, Office of Management and Budget (OMB), Attn: Desk Officer for
OMB, 725 17th Street, Northwest, Washington, DC 20503.
Hand Delivery: U.S. Environmental Protection Agency, EPA
West (Air Docket), 1301 Constitution Avenue, Northwest, Room B102,
Washington, DC 20004, Attention Docket ID No. OAR-2005-0163. Such
deliveries are only accepted during the Docket's normal hours of
operation, and special arrangements should be made for deliveries of
boxed information.
Instructions: Direct your comments to Docket ID No. OAR-2005-0163.
EPA's policy is that all comments received will be included in the
public docket without change and may be made available online at http:/
/www.epa.gov/edocket, including any personal information provided,
unless the comment includes information claimed to be Confidential
Business Information (CBI) or other information whose disclosure is
restricted by statute. Do not submit information that you consider to
be CBI or otherwise protected through EDOCKET, regulations.gov, or e-
mail. The EPA EDOCKET and the Federal regulations.gov Web sites are
``anonymous access'' systems, which means EPA will not know your
identity or contact information unless you provide it in the body of
your comment. If you send an e-mail comment directly to EPA without
going through EDOCKET or regulations.gov, your e-mail address will be
automatically captured and included as part of the comment that is
placed in the public docket and made available on the Internet. If you
submit an electronic comment, EPA recommends that you include your name
and other contact information in the body of your comment and with any
disk or CD-ROM you submit. If EPA cannot read your comment due to
technical difficulties and cannot contact you for clarification, EPA
may not be able to consider your comment. Electronic files should avoid
the use of special characters, avoid any form of encryption, and be
free of any defects or viruses. For additional information about EPA's
public docket visit EDOCKET on-line or see the Federal Register of May
31, 2002 (67 FR 38102). For additional instructions on submitting
comments, go to section I..B. of the SUPPLEMENTARY INFORMATION section
of this document.
Docket: All documents in the docket are listed in the EDOCKET index
at https://www.epa.gov/edocket. Although listed in the index, some
information is not publicly available, i.e., CBI or other information
whose disclosure is restricted by statute. Certain other material, such
as copyrighted material, is not placed on the Internet and will be
publicly available only in hard copy form. Publicly available docket
materials are available either electronically in EDOCKET or in hard
copy at the U.S. Environmental Protection Agency, EPA West (Air
Docket), 1301 Constitution Avenue, Northwest, Room B102, Washington,
DC. Attention Docket ID No. OAR-2005-0163. The Public Reading Room is
open from 8:30 a.m. to 4:30 p.m., Monday through Friday, excluding
legal holidays. The telephone number for the Public Reading Room is
(202) 566-1744, and the telephone number for the Air Docket is (202)
566-1742.
FOR FURTHER INFORMATION CONTACT: Ms. Janet McDonald, Information
Transfer and Program Integration Division (C339-03), U.S. Environmental
Protection Agency, Research Triangle Park, NC 27711, telephone number:
(919) 541-1450; fax number : (919) 541-5509, or electronic mail at
mcdonald.janet@epa.gov.
SUPPLEMENTARY INFORMATION:
[[Page 61082]]
I. General Information
A. What Are the Regulated Entities?
Entities potentially affected by the subject rule for today's
action are fossil-fuel fired boilers, turbines, and internal combustion
engines, including those that serve generators producing electricity,
generate steam or cogenerate electricity and steam.
------------------------------------------------------------------------
Industry group SIC a NAICS b
------------------------------------------------------------------------
Electric Services................ 491 221111, 221112, 221113,
221119, 221121, 221122.
Federal government............... 221121 Fossil-fuel fired
electric utility steam
generating units owned
by the Federal
government.
State/local/Tribal government.... 22112 Fossil-fuel fired
electric utility steam
generating units owned
by municipalities.
Fossil-fuel fired
electric utility steam
generating units in
Indian country.
------------------------------------------------------------------------
a Standard Industrial Classification.
b North American Industry Classification System.
1 Establishments owned and operated by Federal, State, or local
government are classified according to the activity in which they are
engaged.
Entities potentially affected by the subject rule for today's
action also include State, local, and tribal governments.
B. How Should I Submit CBI to the Agency?
1. Submitting CBI. Do not submit this information that you consider
to be CBI electronically through EDOCKET, regulations.gov or e-mail.
Clearly mark the part or all of the information that you claim to be
CBI. For CBI information in a disk or CD ROM that you mail to EPA, mark
on the CD ROM the specific information that is claimed as CBI. In
addition to one complete version of the comment that includes
information claimed as CBI, a copy of the comment that does not contain
the information claimed as CBI must be submitted for inclusion in the
public docket. Information so marked will not be disclosed except in
accordance with procedures set forth in 40 CFR part 2. Also, send an
additional copy clearly marked as above not only to the Air Docket but
to: Mr. Roberto Morales, OAQPS Document Control Officer, (C339-03),
U.S. Environmental Protection Agency, Research Triangle Park, NC 27711,
Attention Docket ID No. OAR-2005-0163.
C. What Should I Consider as I Prepare My Comments for EPA?
When submitting comments, remember to:
1. Identify the rulemaking by docket number and other identifying
information (subject heading, Federal Register date and page number).
2. Follow directions--The agency may ask you to respond to specific
questions or organize comments by referencing a Code of Federal
Regulations (CFR) part or section number.
3. Explain why you agree or disagree; suggest alternatives and
substitute language for your requested changes.
4. Describe any assumptions and provide any technical information
and/or data that you used.
5. If you estimate potential costs or burdens, explain how you
arrived at your estimate in sufficient detail to allow for it to be
reproduced.
6. Provide specific examples to illustrate your concerns, and
suggest alternatives.
7. Explain your views as clearly as possible, avoiding the use of
profanity or personal threats.
8. Make sure to submit your comments by the comment period deadline
identified.
D. How Can I Find Information About a Possible Public Hearing?
People interested in presenting oral testimony or inquiring as to
whether a hearing is to be held should contact Ms. Chandra Kennedy,
Integrated Implementation Group, Information Transfer and Program
Integration Division (C339-03), U.S. Environmental Protection Agency,
Research Triangle Park, NC 27711, telephone number (919) 541-5319, at
least 2 days in advance of the public hearing. People interested in
attending the public hearing should also contact Ms. Kennedy to verify
the time, date, and location of the hearing. The public hearing will
provide interested parties the opportunity to present data, views, or
arguments concerning these proposed changes.
E. How Is This Preamble Organized?
The information presented in this preamble is organized as follows:
I. General Information
A. What Are the Regulated Entities?
B. How Should I Submit CBI Material to the Agency?
C. What Should I Consider as I Prepare My Comments?
D. How Can I Find Information About a Possible Public Hearing?
E. How Is This Preamble Organized?
II. Overview
III. Background on EGU Emissions and Requirements
A. SO2 and NOX Requirements Before 1990
B. SO2 and NOX Requirements After 1990
C. Requirements for Pollutants Other Than SO2 and
NOX
IV. Today's Proposed Rule
A. Background on Existing Regulations
B. What We Are Proposing
1. Test for EGUs Based on Maximum Achievable Hourly Emissions
2. Test for EGUs Based on Maximum Achieved Hourly Emissions
3. Emissions Test Based on Energy Output
C. Pollutants to Which the Revised Applicability Test Applies
D. Significant Emissions Rates
E. Eliminating Netting
F. Benefits of Maximum Achievable Hourly Emissions Test
G. Would States Be Required To Adopt the Revised Emissions Test?
V. Statutory and Regulatory History and Legal Rationale
A. The NSPS Program
B. The Major NSR Program
C. Legal Rationale
1. Maximum Achievable Hourly Emissions Test
2. Maximum Achieved Hourly Emissions Test
VI. Statutory and Executive Order Reviews
A. Executive Order 12866--Regulatory Planning and Review
B. Paperwork Reduction Act
C. Regulatory Flexibility Act (RFA)
D. Unfunded Mandates Reform Act
E. Executive Order 13132--Federalism
F. Executive Order 13175--Consultation and Coordination With
Indian Tribal Governments
G. Executive Order 13045--Protection of Children From
Environmental Health Risks and Safety Risks
H. Executive Order 13211--Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
I. National Technology Transfer and Advancement Act
II. Overview
In today's action, we are proposing to revise the emissions test
for existing EGUs that are subject to the regulations in the major NSR
programs mandated by parts C and D of title I of the CAA. The revised
emissions test is the same as that in the NSPS under CAA section
[[Page 61083]]
111. For existing EGUs, we are proposing to compare the maximum hourly
emissions achievable at that unit during the past 5 years to the
maximum hourly emissions achievable at that unit after the change to
determine whether an emissions increase would occur. This maximum
achievable hourly emissions test would apply to emissions from existing
EGUs. Today's proposal would not affect new EGUs, which would continue
to be subject to major NSR preconstruction review. These proposed
regulations interpret CAA section 111(a)(4), in the context of NSR, for
physical changes and changes in the method of operation at existing
EGUs.
Alternatively, we are soliciting public comment on a major NSR
emissions test for existing EGUs that would compare maximum hourly
emissions achieved before a change to the maximum hourly emissions
achieved after the change. The test based on maximum achievable hourly
emissions is our preferred test, but we are also soliciting comment on
this test based on maximum achieved hourly emissions.
We also request comment on adopting an NSR emissions test based on
mass of emissions per unit of energy output, such as lb/MW hour or
nanograms per Joule. As we discuss in more detail in Section IV.B.3. of
this preamble, an output-based emissions test encourages use of energy
efficient EGU that displace less efficient, more polluting units.
We also request comment on extending the proposed emission increase
tests to the NSPS program. Specifically, we are also soliciting comment
on whether to revise 40 CFR 60.14 to include a maximum achieved
emissions test or an output-based emissions test, either in lieu of or
in addition to the maximum achievable hourly emissions test in the
current regulations.
The proposed regulations would establish a uniform emissions test
nationally under the NSPS and NSR programs for existing EGUs. The need
to provide national consistency for EGUs is apparent following a recent
Fourth Circuit Court of Appeals decision. On June 15, 2005, the Fourth
Circuit Court of Appeals ruled that EPA must use a consistent
definition of the term ``modification'' for the purposes of both the
NSPS program under section 111 of the Act and NSR program under parts C
and D of the Act. The Court further ruled that because EPA had
promulgated NSPS regulations with a test based on increases in a
plant's hourly rate of emissions prior to enactment of the PSD
provision of the statute, and the PSD regulations had to be interpreted
congruently to include the same hourly test.\2\ See United States v.
Duke Energy Corp., No. 04-1763 (4th Cir. June 15, 2005). The Fourth
Circuit denied the United States' petition for rehearing concerning
this decision, although the deadline for filing a petition for
certiorari has not yet run.\3\ The NSPS program applies a maximum
achievable hourly emissions rate test to determine whether a physical
change or change in the operation (physical or operational change)
results in an emissions increase. Once the mandate is issued in the
Duke Energy case, the NSPS test will apply in all Fourth Circuit
States, unless the NSR test in those States' implementation plans is
more stringent than the NSPS test. This holding creates a potential
disparity in the way we interpret the program in States in the Fourth
Circuit compared to States in other Circuits in the country. By
finalizing today's proposed rule, we would provide nationwide
consistency in how States implement the major NSR program for EGUs and
establish a test consistent with the Fourth Circuit's holding in Duke
Energy. We would also make a uniform emissions test under the NSPS and
NSR programs for existing EGUs.
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\2\ The Court allowed for the possibility that EPA may change
the test that applies through future rulemaking. See item 0015 in E-
Docket OAR-2005-0163.
\3\ We continue to respectfully disagree with the Fourth
Circuit's decision in Duke Energy (item 0015 in E-Docket OAR-2005-
0163) and continue to believe that we have the authority to define
``modification'' differently in the NSPS and NSR programs. However,
we believe that the action that we proposed today is an appropriate
exercise of our discretion.
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We believe a uniform national emissions test has particular merit
considering the substantial emissions reductions from other CAA
requirements that are more efficient than major NSR, which we describe
in Section III of this preamble. Furthermore, the proposed regulations
allow owner/operators to make changes that, without increasing existing
capacity, promote the safety, reliability, and efficiency of EGUs. The
current major NSR approach discourages sources from replacing
components, and encourages them to replace components with inferior
components or to artificially constrain production in other ways. This
behavior does not advance the central policy goals of the major NSR
program as applied to existing sources. The central policy goal is not
to limit productive capacity of major stationary sources, but rather to
ensure that they will install state-of-the-art pollution controls at a
juncture where it otherwise makes sense to do so. We also do not
believe the outcomes produced by the approach we have been taking have
significant environmental benefits compared with the approach we are
proposing today.
In the following sections of this preamble, we provide details on
the EGU requirements and emissions, today's proposed rule, and the
legal basis for our proposal. We request public comment on all aspects
of today's proposed action. We intend to publish a supplemental
proposal in the near future that will include proposed regulatory
language, as well as additional data and information.
III. Background on EGU Requirements and Emissions
In this section we describe the regulatory history and programs
applying to EGUs. These include the command-and-control strategies such
as NSPS and major NSR that went into effect before 1990, as well as the
more efficient programs since 1990 that have achieved substantial
reductions in EGU emissions.
A. SO2 and NOX Requirements Before 1990
Beginning in 1970, the CAA and our implementing regulations have
imposed numerous requirements on sulfur dioxide (SO2) and
nitrous oxide (NOX) emissions from utilities. In the early
regulatory history under the CAA, these requirements were limited to
the NSPS and major NSR programs. The NSPS program applies to EGUs and
other stationary sources of pollutants, including SO2,
NOX, particulate matter (PM), carbon monoxide (CO), ozone,
and lead, among others. The Act required us to develop NSPS for a
number of source categories, including coal-fired power plants. The
first NSPS for EGUs (40 CFR part 60, subpart D) required new units to
limit SO2 emissions either by using scrubbers or by using
low sulfur coal. It required limits on NOX emissions through
the use of low NOX burners. A new NSPS (40 CFR part 60,
subpart Da), promulgated in 1978, tightened the standards for
SO2, requiring scrubbers on all new units.
Federal preconstruction permitting for EGUs and other new
stationary sources was considered in 1970, but not added to the CAA
until it was amended again in 1977. The Federal preconstruction program
for major stationary sources is commonly called the major NSR program.
As we discuss in further detail in Section V.B. of this preamble, the
major NSR program required emission limitations based on Best Available
Control Technology (BACT) and Lowest
[[Page 61084]]
Achievable Emission Rate (LAER) controls.
The NSPS and major NSR programs imposed limitations on EGU
SO2 and NOX emissions at individual sources based
on control technology performance. They did not set specific limits on
the total regional or national emissions from EGUs. Neither of these
programs apply to EGUs that were already in existence before the
regulations were effective, unless these EGUs choose to modify. Thus,
neither program applies to all EGUs. Before 1990, however, the major
NSR program did provide States one of the few opportunities to mitigate
rising levels of air pollution through regulation of possible emissions
increases from existing sources. Therefore, the program was consistent
with Congress' directive that the major NSR program be tailored to
balance the ``need for environmental protection against the desires to
encourage economic growth.''
B. SO2 and NOX Requirements After 1990
The 1990 Amendments to the CAA imposed a number of new requirements
on EGUs. The Acid Rain program, established under title IV of the 1990
CAA Amendments, requires major reductions of SO2 and
NOX emissions. The SO2 program, which covers most
EGU in the contiguous United States,\4\ sets a permanent cap on the
total amount of SO2 that can be emitted by EGUs at about
one-half of the amount of SO2 these sources emitted in 1980.
Using a market-based cap-and-trade mechanism such as the Acid Rain
SO2 program allows flexibility for individual combustion
units to select their own methods of compliance. The program requires
NOX emission limitations for certain coal-fired EGUs, with
the objective of achieving a 2 million ton reduction from projected
NOX emission levels that would have been emitted in the year
2000 without implementation of title IV.
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\4\ The Acid Rain program generally applies to all fossil-fuel
fired combustion devices that, if commencing commercial operation
before November 15, 1990, serve on or after November 15, 1990 a
generator greater than 25 MW producing electricity for sale and
that, if commencing commercial operation on or after November 15,
1990, serve on or after November 15, 1990 any generator producing
electricity for sale. The Acid Rain program does not apply to a
small portion of the national EGU inventory, including some
cogeneration units (many of which are natural-gas fired), certain
independent power producers, and solid waste incineration units.
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The Acid Rain program at 40 CFR parts 72 through 78 comprises two
phases for SO2 and NOX. Phase I applied primarily
to the largest coal-fired electric generation sources from 1995 through
1999 for SO2 and from 1996 through 1999 for NOX.
Phase II for both pollutants began in 2000. For SO2, it
applies to thousands of combustion units generating electricity
nationwide; for NOX it generally applies to affected units
nationwide that burned coal during the period between 1990 and 1995.
The Acid Rain program has led to the installation of scrubbers on a
number of existing coal-fired units, as well as significant fuel
switching to lower sulfur coals. Under the NOX provisions of
title IV, most existing coal-fired units were required to install low
NOX burners.
The 1990 CAA also placed much greater emphasis on interstate
transport of ozone and its precursors, and on control of NOX
to reduce ozone nonattainment. This led to the formation of several
regional NOX trading programs. In 1998, EPA promulgated
regulations, known as the NOX SIP Call,\5\ that required 21
states in the eastern United States and the District of Columbia to
reduce NOX emissions that contributed to nonattainment in
downwind States. EPA based the reduction requirements on, and States
implemented those requirements through a cap-and-trade approach
targeted to EGUs. This program has resulted in the installation of
significant amounts of selective catalytic reduction (SCR). The first
SCR application in the U.S. on a coal-fired boiler started operating in
1993. At the end of 2002, 56 U.S. boilers were operating with SCR.
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\5\ See 63 FR 57356, October 27, 1998 (Item 002 in E-Docket OAR-
2005-0163).
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By notice dated May 12, 2005 [70 FR 25162], we promulgated the
Clean Air Interstate Rule (CAIR) to reduce interstate transport of
SO2 and NOX emissions. This rule established
statewide emission reduction requirements for SO2 and
NOX for States in the CAIR region. The emission reduction
requirements are based on controls that are known to be highly cost
effective for EGUs. This program was based on extensive experience in
the Acid Rain and NOX SIP Call cap-and-trade programs for
major sources of SO2 and NOX.
In the CAIR, we took final action requiring 28 States and the
District of Columbia to adopt and submit revisions to their State
Implementation Plans (SIPs), under the requirements of CAA section
110(a)(2)(D), that would eliminate specified amounts of SO2
and/or NOX emissions. In developing the CAIR, we limited the
requirements to those 28 States because we did not find that emissions
from other States contribute significantly to downwind PM2.5
or 8-hour ozone nonattainment.
Each State covered by CAIR may independently determine which
emission sources to control, and which control measures to adopt. Our
analysis indicates that emissions reductions from EGUs are highly cost
effective, and we encourage States to base their CAIR SIP programs on
emissions reductions from EGUs. States that do so may allow their EGUs
to participate in an EPA-administered cap-and-trade program as a way to
reduce the cost of compliance, and to provide compliance flexibility.
The EPA-administered cap-and-trade program includes fossil-fuel fired
boilers, combustion turbines, and certain cogeneration units with
nameplate capacity of more than 25 MWe producing or supplying
electricity for sale as defined in 40 CFR 96.104 and 96.204.\6\ Some of
these units have never been subject to major NSR because they commenced
construction before the effective date of the major NSR regulations,
and they have never undertaken modifications. CAIR Units must hold
annual allowances. Each allowance authorizes the emission of one ton of
NOX for a specified calendar year. For SO2
allowances with vintage in the years before 2010, each allowance
authorizes the emission of one ton of SO2 for a calendar
year. For 2010 and beyond, each allowance authorizes the emission of
less than one ton of SO2 per year.\7\ The CAIR emissions
reductions will be implemented in two phases, one beginning in 2009
(2010 for SO2) and a second beginning in 2015. CAIR Units
are subject to stringent monitoring, recordkeeping, and reporting
requirements. Owner/operators must monitor and report CAIR Unit
emissions using CEMS or other monitoring methodologies that are as
precise, reliable, accurate, and timely according to the requirements
in 40 CFR part 75. Source information management, emissions data
reporting, and allowance trading occur through EPA-administered
[[Page 61085]]
online systems. Any source found to have excess emissions must
surrender allowances sufficient to offset excess emissions and
surrender future allowances equal to three times the excess
emissions.\8\
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\6\ The proposed test would not apply to all cogeneration units.
It would apply only to those EGU that Sec. Sec. 96.104, 96.204, and
96.304 identify. On August 24, 2005 [70 FR 49708; see item 0029 in
E-Docket OAR-2005-0163], we proposed changes to Sec. Sec. 96.104
and 96.204 to exclude units (serving a greater-than-25 MW generator)
that stopped operating before November 15, 1990 and do not resume.
In this notice, we also proposed changes to the definition of
``EGU'' to exclude certain solid waste incineration units.
\7\ For allowances of vintage years 2010-2014, each allowance
authorized the emission of half a ton of SO2 for a
calendar year. For allowances of vintage years 2015 and beyond, each
allowance authorizes the emission of 0.35 tons of SO2 for
a calendar year. See item 0019 in E-Docket OAR-2005-0163-70 FR
25258, May 12, 2005. See also 40 CFR 96.202.
\8\ For a complete description of requirements for CAIR Units
under the EPA-administered trading program, see item 0019 in E-
Docket OAR-2005-0163-70 FR 25162.
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The CAIR will result in significant reductions in SO2
and NOX emissions across the region that it covers. CAIR, if
implemented through controls on EGUs, would result in EGU emissions
reductions in the CAIR States of roughly 73 percent for SO2
and 61 percent for NOX from 2003 levels. The rule would
affect roughly 3,000 fossil-fuel-fired units. As Table 1 shows, these
sources accounted for roughly 89 percent of nationwide SO2
emissions and 79 percent of nationwide NOX emissions from
EGUs in 2003.\9\
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\9\ See our Regulatory Impact Analysis for the CAIR at 6-9. The
RIA is available at https://www.epa.gov/air/interstateairquality/
pdfs/finaltech08.pdf. See item 0022 in E-Docket OAR-2005-0163.
Table 1.--EGU SO2 and NOX Emissions in 2003 and Percentage of Emissions
in the CAIR Affected Region (Tons)
------------------------------------------------------------------------
SO2 NOX
------------------------------------------------------------------------
CAIR region............................. 9,407,406 3,222,636
Nationwide.............................. 10,595,069 4,165,026
CAIR emissions as % nationwide.......... 89% 79%
------------------------------------------------------------------------
Note: Region includes States covered for the annual SO2 and NOX trading
programs (Alabama, District of Columbia, Florida, Georgia, Illinois,
Indiana, Iowa, Kentucky, Louisiana, Maryland, Michigan, Minnesota,
Mississippi, Missouri, New York, North Carolina, Ohio, Pennsylvania,
South Carolina, Tennessee, Texas, Virginia, West Virginia, and
Wisconsin).
We estimate that the CAIR will reduce SO2 emissions by
3.5 million tons \10\ in 2010 and by 3.8 million tons in 2015. We also
estimate that it will reduce annual NOX emissions by 1.2
million tons in 2009 and by 1.5 million tons in 2015. (These numbers
are for the 23 States and the District of Columbia that are affected by
the annual SO2 and NOX requirements of CAIR.
There are 28 States affected by CAIR, but only 23 States affected by
the CAIR annual SO2 and NOX requirements. That
is, five States are only affected by the CAIR seasonal NOX
trading program requirements.) If all the affected States choose to
achieve these reductions through EGU controls, then EGU SO2
emissions in the affected States would be capped at 3.6 million tons in
2010 and 2.5 million tons in 2015,\11\ and EGU annual NOX
emissions would be capped at 1.5 million tons in 2009 and 1.3 million
tons in 2015.
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\10\ These data are from EPA's most recent Integrated Planning
Model (IPM) modeling reflecting the final CAIR as promulgated at 70
FR 25162. Please see the final CAIR rule at 70 FR 25162. (See item
0019 in E-Docket OAR-2005-0163) for a complete description of the
assumptions related to these data.
\11\ The banking provisions of the cap-and-trade program
encourage sources to make significant reductions before 2010. Such
early reductions are beneficial because they encourage greater
health benefit sooner. However, due to the use of banked allowances,
EPA does not project that these caps will be met in 2010 and 2015.
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The CAIR will also improve air quality in all areas of the eastern
U.S. We estimate that the required SO2 and NOX
emissions reductions will, by themselves, bring into attainment 52 of
the 79 counties that are otherwise projected to be in nonattainment for
PM2.5 in 2010, and 57 of the 74 counties that are otherwise
projected to be in nonattainment for PM2.5 in 2015. We
further estimate that the required NOX emissions reductions
will, by themselves, bring into attainment three of the 40 counties
that are otherwise projected to be in nonattainment for 8-hour ozone in
2010, and six of the 22 counties that are otherwise projected to be in
nonattainment for 8-hour ozone in 2015.\12\ In addition, the CAIR will
improve PM2.5 and 8-hour ozone air quality in the areas that
would remain nonattainment for those two NAAQS after implementation of
the rule. The CAIR will also reduce PM2.5 and 8-hour ozone
levels in attainment areas.
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\12\ See item 0019 in E-Docket OAR-2005-0163--70 FR 25162.
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To determine the statewide emission caps under the CAIR, we assumed
the application of highly cost-effective control measures to EGUs and
determined the emissions reductions that would result. Specifically, we
modeled emissions reductions using the Integrated Planning Model (IPM)
with wet and dry desulfurization (FGD, commonly known as scrubbers)
technologies for SO2 control and SCR technology for
NOX control on coal-fired boilers.\13\ These are fully
demonstrated and available pollution control technologies. The design
and performance levels for these technologies were based on proven
industry experience.
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\13\ U.S. EPA, Regulatory Impact Analysis for the CAIR at p. 7-
5. See item 0022 in E-Docket OAR-2005-0163. Available at https://
www.epa.gov/air/interstateairquality/pdfs/finaltech08.pdf. For more
information about the highly cost effective controls for EGUs that
were used to establish the emissions reductions under the CAIR, see
also 69 FR 4612 (item 0003 in E-Docket OAR-2005-0163).
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We expect many EGUs to install scrubbers and SCR to meet the
emissions reductions required under the CAIR. As a result of the CAIR,
we project installation of scrubbers on an additional 64 GW of existing
coal-fired generation capacity for SO2 control and SCR on an
additional 34 GW of existing coal-fired generation capacity for
NOX control by 2015. By 2020, we expect installation of
scrubbers on an additional 82 GW of existing coal-fired generation
capacity for SO2 control and SCR on an additional 33 GW of
existing coal-fired generation capacity for NOX control.\14\
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\14\ See CAIR RIA at 7-8 and 7-9 (item 0022 in E-Docket OAR-
2005-0163). The CAIR RIA is also available at https://www.epa.gov/
air/interstateairquality/technical.html. In 1999, total electric
generating capacity was 781 GW, of which utilities accounted for
approximately 85 percent. U.S. EPA NSR 90-Day Review Background
Paper, p. 12. See item 0039 in E-Docket OAR-2005-0163.
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In the western half of the U.S. and other States where CAIR will
not apply, the Best Available Retrofit Technology (BART) requirements
of the regional haze rule will also apply to EGUs that may not be
subject to major NSR. The regional haze rule requires all States to
take steps in their implementation plans to improve visibility in Class
I areas. [64 FR 35714 (July 1, 1999); 70 FR 39104 (July 6, 2005)] Under
the Regional Haze program, States are to address all types of manmade
emissions contributing to visibility impairment in Class I areas,
including those from mobile sources, stationary sources (such as EGUs),
area sources such as residential wood combustion and gas stations, and
prescribed fires. CAA sections 169(b)(2)(A) and (g)(7) specifically
require installation of BART for emissions of visibility-impairing
pollutants (for example, SO2 and NOX) from
certain existing stationary sources, including large EGUs. The CAA
defines
[[Page 61086]]
a BART-eligible source as a stationary source of air pollutants that
falls within one of 26 listed categories and that was put into
operation between August 7, 1962 and August 7, 1977, with the potential
to emit 250 tons per year of any visibility-impairing pollutant. [CAA
section 169(b)(2)(A) and (g)(7); 40 CFR 51.301.]
We issued guidelines for implementing BART requirements,\15\
including presumptive BART control levels for emissions of
SO2 and NOX from utility boilers located at power
plants over 750 MW. Those presumptive BART control levels are based on
cost effective controls. As explained in the guidelines, as a general
matter States must require owners and operators of greater than 750 MW
power plants to meet these BART emission limits. In addition, while
States are not required to follow these guidelines for EGUs located at
power plants with a generating capacity of less than 750 MW, based on
our analysis, we believe that States will find these same presumptive
controls to be highly cost effective, and to result in a significant
degree of visibility improvement, for most EGUs greater than 200 MW,
regardless of the size of the plant at which they are located.
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\15\ See Federal Register 70 FR 39104 (July 6, 2005) at item
0017 in E-Docket OAR-2005-0163.
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Regional haze is the result of air pollutants emitted by numerous
sources over a wide geographic region. As a result, EPA has encouraged
States to work together in developing and implementing their air
quality plans addressing regional haze. In fact, the States have been
working together in regional planning organizations to develop regional
plans. Moreover, we have proposed a process by which States may use an
emissions trading program in place of facility-by-facility BART
requirements. In these aspects, the requirements for BART are similar
to those under the CAIR. We expect that both the CAIR and the BART
requirements will reduce regional SO2 and NOX
emissions from EGUs in a cost-effective manner.
We developed three scenarios to project the nationwide EGU
SO2 and NOX emissions reductions under BART.
Under the medium stringency scenario (Scenario 2), we estimate that
BART controls will result in annual NOX reductions of
585,459 tons, about a 9.6 percent reduction; and in annual
SO2 reductions of 390,224 tons, about a 2.3 percent
reduction, over the 2015 base case.\16\ Under Scenario 2, BART is
projected to result in the installation of scrubbers on an additional
6.2 GW of existing coal-fired generation capacity for SO2
control in 2015 (relative to expected reductions from CAIR alone). For
NOX control, this BART scenario is also projected to result
in installation of combustion control equipment on an additional 24 GW
of coal-fired generation capacity by 2015, as well as installation of
SCR on an additional 2.4 GW on coal-fired generation capacity by 2015.
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\16\ That is, these are the reductions that are estimated to
occur under Scenario 2 in addition to the reductions that are
estimated to occur under CAIR. See BART RIA at 3-6--item 0004 in E-
Docket OAR-2005-0163. Regulatory Impact Analysis for the Final Clean
Air Visibility Rule or the Guidelines for Best Available Retrofit
Technology (BART) Determinations Under the Regional Haze
Regulations. EPA-452/R-05-004. U.S. Environmental Protection Agency,
June 2005. Also, available at: https://www.epa.gov/oar/visibility/
actions.html.
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We have conducted analyses based on emission projections and air
quality modeling showing that CAIR (as we expect States to implement
it) will achieve greater reasonable progress towards the national
visibility goal than would BART for affected EGUs. In our final BART
rule (70 FR 39104), we thus promulgated regional haze rule revisions
allowing States to treat CAIR as an in-lieu-of BART program for
SO2 and NOX emissions from EGUs in CAIR-affected
States, where those States participate in the EPA-administered cap and
trade program. The criteria for making ``better than BART''
determinations have now been codified in the regional haze rule at 40
CFR 51.308(e)(3). We thus expect EGUs in CAIR-affected States to be
subject to SIPs implementing CAIR SO2 and NOX
requirements rather than to BART.
We are aware that there are some EGUs that would not be subject to
the Acid Rain program or BART, would not be included in the CAIR
program due to their geographic location, and that also would not be
subject to major NSR unless they choose to modify.\17\ First, there is
a set of EGUs that are not in CAIR affected States, and that are BART-
eligible but may not be subject to BART. Assuming Scenario 2, there
would be approximately 28 coal-fired EGUs that are BART-eligible, not
in the CAIR region, and have a capacity less than 200 MW. Smaller units
such as these generally are not base load units. The total capacity for
these 28 units is approximately 4 GW, less than one half of a percent
of current national capacity. Of these 28 units, approximately 3 GW
have NOX controls and approximately 2 GW have SO2
controls. There are approximately 47 oil or gas-fired EGUs that are
BART-eligible, not in the CAIR region, and have a capacity less than
200 MW. The total capacity for these 47 units is approximately 5 GW,
also less than one half of a percent of national capacity. Of these 47
units, approximately 1 GW have NOX controls. Of these 47
units, 41 are gas-fired. Gas-fired EGU are clean burning and generally
emit very small amounts of SO2. The main control strategy
for SO2 emissions from oil-fired units is using lower-sulfur
fuel.
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\17\ Major stationary sources of regulated NSR pollutants that
commenced construction on or after August 7, 1977 are subject to
requirements under major NSR, including meeting emissions
limitations based on BACT or LAER. To be BART-eligible, an EGU must
have commenced operation between August 7, 1962 and August 7, 1977.
Thus, due to their construction date, BART-eligible EGUs are not
subject to major NSR unless they modify.
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The second set of EGUs that may not be subject to any control
requirements are those in the non-CAIR States that are not subject to
major NSR and are not BART-eligible. Some EGUs that are located in non-
CAIR States and that began operation on or before August 7, 1962 would
not be BART-eligible. These units would neither be subject to BART nor
included in regulations implementing the CAIR program. They would also
not be subject to major NSR unless they choose to modify. Some may be
subject to the Acid Rain program. Our database \18\ shows that there is
a total of about 2 GW of coal capacity (less than one half of a percent
of national capacity) outside the CAIR region that was constructed or
began operations before 1962. This capacity represents about 25 units
at about 13 plants, ranging in capacity from 38-135 MW. Smaller, older
units such as these generally are not base load units. We estimate that
these units have a potential to emit SO2 and NOX
that is high enough that they would have been subject to major NSR if
they had been constructed later. Of these 25 units, four have
NOX controls and six have SO2 controls. The 13
plants are geographically dispersed.
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\18\ Information received from Mikhail Adamantiades, U.S. EPA,
Clear Air Markets Division on October 4, 2005--item 0051 in E-Docket
OAR-2005-0163.
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Thus, as we explain above, there are a small number of EGUs that
may not be required to control emissions under any program, but they
comprise a very small portion of the national capacity and will have a
minimal impact on emissions.\19\ As we note in Table 1,
[[Page 61087]]
approximately 90 percent of nationwide EGU SO2 emissions and
approximately 80 percent of nationwide EGU NOX emissions are
from EGU in the CAIR affected region. Furthermore, we note that EGUs,
including EGUs outside the CAIR region, are subject to national caps on
SO2 emissions through the Acid Rain program requirements. We
therefore believe that any EGUs that might remain uncontrolled would
have a negligible impact on national emissions of regulated NSR
pollutants.
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\19\ We expect all State agencies to include EGUs in their
regulations implementing the CAIR rule. We therefore believe that in
CAIR-affected States, regulations implementing the CAIR will apply
to all EGU. However, there is a possibility that a State agency
would decide not to include EGU in their SIP regulations
implementing the CAIR. We believe this possibility to be remote.
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Finally, as Table 2 below shows, substantial reductions in
SO2 and NOX emissions are projected to occur
following the imposition of these market-based strategies after 1990.
Table 2.--Reduction in EGU National Annual Emissions \20\
[In thousands of tons per year]
----------------------------------------------------------------------------------------------------------------
Emission Percent
1990 2015 reduction reduction
----------------------------------------------------------------------------------------------------------------
SO2 (Annual)................................................ 15,700 4,770 10,930 70
NOX (Annual)................................................ 6,700 1,916 4,784 71
----------------------------------------------------------------------------------------------------------------
The figure below shows the national reductions in EGU
SO2 and NOX emissions that have occurred to date,
and that we expect to occur, due to these programs.
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\20\ Modeled 1990 baseline emissions from John Robbins.
Reductions based on 2015 projected emissions for EGUs greater than
25 MW, assuming BART Scenario 2 (medium stringency scenario). These
projected reductions assume control requirements implemented under
CAIR, the Acid Rain program, BART (Scenario 2), and State rules.
Under BART Scenario, our IPM modeling assumes control of all EGU at
least 200 MW, regardless of the size of the plant at which the EGU
is located. See BART RIA at 7-7--item 0004 in E-Docket OAR-2005-
0163.
[GRAPHIC] [TIFF OMITTED] TP20OC05.008
These reductions in national emissions for the utility sector are
especially significant considering that national capacity continues to
increase. In 1990, national nameplate capacity for EGUs was 692,935 MW,
in 2002 it was 758,756 MW, and in 2015 we anticipate it to be 776,377
MW.\21\
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\21\ Data from EPA Office of Air and Radiation, Clean Air
Markets Division. See item 0012 in E-Docket OAR-2005-0163.
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In summary, since the 1990 CAA Amendments, additional requirements
for EGUs have applied under the Acid Rain program and the
NOX SIP Call, and we expect significant additional
reductions as States implement the CAIR. These regional and national
programs apply or will apply to EGUs, regardless of when the EGUs were
constructed or began operating. More importantly, these national or
regional trading programs set permanent caps on SO2 and
NOX emissions. Notably, the CAIR will permanently cap
SO2 and NOX emissions in the CAIR region, which
covers approximately 80 percent of national electric generating
capacity. We expect all of the SO2 and NOX
reductions under CAIR to come from EGUs. Despite growth in the utility
and other sectors, these programs have substantially reduced
SO2 and NOX emissions and even more substantial
reductions will occur as a result of the CAIR. The BART program will
further reduce national EGU SO2 and NOX
emissions.
[[Page 61088]]
The Acid Rain, NOX SIP Call and CAIR programs will
require substantial reductions in SO2 and NOX
emissions over the next decade. At the same time, they provide
substantial flexibility to EGUs in responding to these regulatory
requirements, allowing EGUs to make cost effective control decisions.
As a result, they serve a function similar to that under major NSR of
balancing environmental goals and encouraging economic growth.
As we discuss in more detail in Section V.B. of this preamble, the
primary purpose of the major NSR program is not to reduce emissions,
but to balance the need for environmental protection and economic
growth. That is, the goal of major NSR is to minimize emissions
increases from new source growth. The major NSR approach we have been
taking leads to outcomes that have not advanced the central policy of
the major NSR program as applied to existing sources. This is because
the program is not designed to cut back on emissions from existing
major stationary sources through limitations on their productive
capacity, but rather to ensure that they will install state-of-the-art
pollution controls at a juncture where it otherwise makes sense to do
so. We also do not believe the outcomes produced by the approach we
have been taking have significant environmental benefits compared with
the approach we are proposing today. We do not believe that today's
revised emissions test is substantially different from the actual-to-
projected-actual test. This is particularly true in light of the
substantial EGU emissions reductions that other programs have achieved
or are expected to achieve. We therefore believe that, to any extent
today's revised emissions test would lead to more growth in emissions
than the actual-to-projected-actual test would, the emissions increases
from that growth would be substantially less than the emissions
reductions we expect from the Acid Rain, NOX SIP Call, CAIR,
and BART programs.\22\
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\22\ In our projections of emissions changes under the Acid Rain
program, the NOX SIP Call, the CAIR, and BART, increases
in future electric generating capacity are accounted for.
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C. Requirements for Pollutants Other Than SO2 and NOX
Concerning PM and lead, the application of the major NSR program to
EGU emissions increases would be unlikely to result in the
implementation of any additional controls. Current BACT and LAER limits
to control PM (both PM10 and PM2.5) for EGUs are
achieved through the application of baghouses or electrostatic
precipitators (ESPs) to individual boilers. Of the 450 coal-fired
plants, the following controls are in place to reduce PM emissions from
EGU: 79 plants have bag houses (fabric filters), 354 plants have ESPs,
and 21 plants have both ESPs and baghouses.\23\ Therefore, virtually
all coal-fired EGUs are already well-controlled for PM. The minimal
lead emissions from EGUs are in particulate form, and are captured by
PM controls.
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\23\ See information received from Kevin Culligan, U.S. EPA
Clean Air Markets Division, item 0044 in E-Docket OAR-2005-0163.
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For CO and VOC, the only BACT/LAER requirements that exist for
boilers are ``good combustion'' practices. EGUs operate under enormous
economic incentives not to waste fuel, and good combustion practices
conserve fuel. Thus, EGUs have strong incentives to use good combustion
practices, regardless of the major NSR regulations. We believe that
virtually all EGUs are already implementing such practices to control
CO and VOC. Accordingly, we do not believe that VOC or CO emissions
increases at EGU are likely or that the application of the major NSR
program to changes made at the EGUs would be likely to result in the
implementation of additional controls for CO and VOC. Furthermore, even
if EGU did not have built-in incentives to control VOC and CO
emissions, we do not believe that today's revised emissions test would
result in emissions increases compared to the actual-to-projected-
actual test. Therefore, we expect no air quality impacts due to CO or
VOC emissions as a result of this proposed rule.
IV. Today's Proposed Rule
Today, we are proposing to allow existing EGUs to use the same
maximum achievable hourly emissions test we apply under NSPS to
determine whether a physical change in or change in the method of
operation (physical or operation change) results in an emissions
increase under the major NSR program. We request public comments on all
aspects of the proposed changes.
This section also provides a brief background on the emissions
increase test used in the NSPS and major NSR programs, and summarizes
our proposed changes to the NSR program, which is necessary to
understand the proposed regulations. For a fuller discussion on the
statutory and legislative background of the major NSR program, please
see Section V.B. of today's preamble.
A. Background on Existing Regulations
Both the NSPS and major NSR programs impose requirements on
modifications of stationary sources. Our NSPS regulations contain a
two-part definition of modification. The first part substantially
mirrors the statutory text found in section 111(a)(4) of the Act, while
the second elaborates upon the first. In simplistic terms, the Act
establishes a two-step test for determining whether an activity is a
modification. First you must determine whether the activity qualifies
as a physical change or operational change of a stationary source, then
you must determine whether that activity also increases the amount of
pollution emitted by the stationary source.
You can find the regulatory text defining ``modification'' within
the NSPS general provision regulations at 40 CFR sections 60.2 and
60.14. Substantially mirroring CAA 111(a)(4), Sec. 60.2 contains a
general description of the two components an activity must satisfy to
qualify as a modification. Section 60.14 elaborates on the general
description contained in Sec. 60.2 by more precisely defining how you
measure the amount of pollution that results from an activity, and
listing activities that do not qualify as physical or operational
changes.\24\
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\24\ We described the relationship between the provisions
contained in sections 60.2 and 60.14 in a 1974 Federal Register
notice in which we stated that the regulations concerning
modifications in Sec. 60.14 clarify the phrase ``increases the
amount of any air pollutant'' that appears in the definition of
modification in Sec. 60.2. 39 FR 36946, October 15, 1974--see item
0014 in E-Docket OAR-2005-0163.
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Unlike our NSPS regulations, our major NSR regulations do not
contain a specific definition of the term ``modification.'' Instead,
our regulations define ``major modification,'' which adds provisions
for determining whether an activity satisfies the second component
(whether there is an increase in the amount of an air pollutant).
Specifically, the major modification definition provides a two-step
procedure for measuring emissions increases. Under this process, a
source looks at whether a project will result in a significant
emissions increase on an annual basis and then whether contemporaneous
increases and decreases will result in a significant net emissions
increase (netting) on an annual basis.
The differences between the definition of ``modification'' as
applied in the NSPS program and ``major modification'' as applied in
the major NSR program illustrate some fundamental differences in the
way we have implemented the programs to date.
[[Page 61089]]
First, the NSPS program regulates all emissions increases (that is, it
regulates any increase in the hourly emissions), while the major NSR
program exempts emissions increases that are less than significant
(that is, it exempts emissions increases that are less than 40 tpy).
Second, the NSPS program regulates modifications of ``affected
facilities,'' which are typically small collections of equipment within
a larger manufacturing plant. The major NSR program regulates
modifications of major stationary sources. Accordingly, all the
equipment within a larger manufacturing plant is looked at
collectively. Finally, because the NSPS regulates small collections of
equipment rather than the entire plant, increases in one part of the
plant cannot be ``offset'' with decreases at other parts of the plant.
[See Asarco, Inc. v. EPA, 578 F.2d 319 (D.C. Cir. 1978).] Conversely,
major NSR regulates changes in emissions at the major stationary source
as a whole and allows decreases in emissions from one part of the plant
to ``offset'' increases in emissions that occur in another part of the
plant. [See Alabama Power v. Costle, 636 F.2d 323 (D.C. Cir. 1979).]
This process is known as ``netting.''
The NSPS modification provisions apply an hourly emission rate test
to measure emissions increases resulting from a physical or operational
change. Specifically, under the regulations, whether there is an
emissions increase is determined by comparing the pre-change baseline
hourly emission rate to the post-change hourly emission rate. For
electric utility steam generating units (EUSGUs), the baseline hourly
rate is ``the maximum hourly emissions achievable at that unit during
the 5 years prior to the change.'' [See 40 CFR 60.14(h).] EPA has
described this rate as the rate, in the past 5 years, that the source
could achieve at its physical and operational capacity (57 FR 32330).
Thus, this hourly rate represents the highest rate at which the source
could actually emit during the relevant period.
The baseline hourly emissions rate for non-EGUs is likewise based
on current maximum capacity, which is defined as the production rate at
which the source could operate without making a capital expenditure.
[See Sec. 60.14(e)(2).] As provided in Sec. 60.14 (b)(1), we measure
the emissions rate in kg/hr or lbs/hr. Therefore, the baseline hourly
emissions for non-utilities is also based on the highest rate at which
the source could actually emit. As we stated at 57 FR 32316 referring
to the rules for non-utilities, ``under current NSPS regulations,
emissions increases, for applicability purposes, are calculated by
comparing the hourly emission rate, at maximum physical capacity,
before and after the physical or operational change. That is, to
determine whether a change to an existing facility will increase the
emissions rate, the existing NSPS regulations authorize the use of an
``emissions factor analysis'', or materials balance, continuous
monitoring, or manual emissions test to evaluate emissions before and
after the change.''
This characterization of the emissions rate as based on the highest
rate at which the source could actually emit is consistent with our
previous statements and regulations. In the preamble to the December
23, 1971 NSPS rules, we stated that ``procedures have been modified s