National Environmental Policy Act Revised Implementing Procedures, 4159-4167 [E6-775]
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Federal Register / Vol. 71, No. 16 / Wednesday, January 25, 2006 / Notices
3506(c)(2). That notice elicited no
comment.
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Information Collection Request
1. Title: Application for Tonnage
Measurement of Vessels.
OMB Control Number: 1625–0022.
Type Of Request: Extension of a
currently approved collection.
Affected Public: Owners of vessels.
Forms: CG–5397.
Abstract: The information from this
collection helps the Coast Guard to
determine a vessel’s tonnage. Tonnage
in turn helps to determine licensing,
inspection, safety requirements, and
operating fees.
Burden Estimate: The estimated
burden has increased from 33,000 hours
to 38,000 hours a year.
2. Title: Standards of Training,
Certification and Watchkeeping for
Seafarers (STCW), 1995 and 1997
Amendments to the International
Convention.
OMB Control Number: 1625–0079.
Type of Request: Extension of a
currently approved collection.
Affected Public: Owners and
operators of vessels, training
institutions, and mariners.
Forms: None.
Abstract: This information is
necessary to ensure compliance with the
international requirements of the STCW
Convention, and to maintain an
acceptable level of quality in activities
associated with training and assessment
of merchant mariners.
Burden Estimate: The estimated
burden has increased from 18,693 hours
to 23,767 hours a year.
3. Title: Voyage Planning for Tank
Barge Transits in the Northeast United
States.
OMB Control Number: 1625–0088.
Type of Request: Extension of a
currently approved collection.
Affected Public: Owners and
operators of towing vessels.
Forms: None.
Abstract: The information collection
requirement for a voyage plan serves as
a preventive measure and assists in
ensuring the successful execution and
completion of a voyage in the First
Coast Guard District. This rule (33 CFR
165.100) applies to primary towing
vessels engaged in towing certain tank
barges carrying petroleum oil in bulk as
cargo.
Burden Estimate: The estimated
burden has increased from 420 hours to
31,651 hours a year.
4. Title: Facilities Transferring Oil or
Hazardous Materials in Bulk—Letter of
Intent and Operations Manual.
OMB Control Number: 1625–0093.
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Type of Request: Extension of a
currently approved collection.
Affected Public: Operators of facilities
that transfer oil or hazardous materials
in bulk.
Forms: None.
Abstract: A Letter of Intent is a notice
to the Coast Guard Captain of the Port
that an operator intends to operate a
facility that will transfer bulk oil or
hazardous materials to or from vessels.
An Operations Manual (OM) is also
required for this type of facility. The
OM establishes procedures to follow
when conducting transfers and in the
event of a spill.
Burden Estimate: The estimated
burden has increased from 27,819 hours
to 47,200 hours a year.
5. Title: Ships Carrying Bulk
Hazardous Liquids.
OMB Control Number: 1625–0094.
Type of Request: Extension of a
currently approved collection.
Affected Public: Owners and
operators of chemical tank vessels.
Forms: CG–4602B, CG–5148, CG–
5148A, CG–5148B and CG–5461.
Abstract: This information is needed
to ensure the safe transport of bulk
hazardous liquids on chemical tank
vessels and to protect the environment
from pollution.
Burden Estimate: The estimated
burden has increased from 738 hours to
1,959 hours a year.
Dated: January 19, 2006.
R.T. Hewitt,
Rear Admiral, U.S. Coast Guard, Assistant
Commandant for Command, Control,
Communications, Computers and
Information Technology
[FR Doc. E6–854 Filed 1–24–06; 8:45 am]
BILLING CODE 4910–15–P
DEPARTMENT OF THE INTERIOR
Bureau of Land Management
[516 DM 11]
National Environmental Policy Act
Revised Implementing Procedures
Bureau of Land Management,
Interior.
ACTION: Notice of proposed revision to
the Bureau of Land Management’s
(BLM) procedures for Chapter 11 of the
Department of the Interior’s Manual 516
DM—Managing the NEPA Process.
AGENCY:
SUMMARY: This notice announces the
intent to revise the BLM policies and
procedures for compliance with the
National Environmental Policy Act
(NEPA), as amended, Executive Order
11514, as amended, Executive Order
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4159
12114, and the Council on
Environmental Quality’s Regulations.
When adopted, these procedures will be
published in Part 516, Chapter 11, of the
Departmental Manual (DM) and will be
added to the Department of the
Interior’s (DOI) Electronic Library of
Interior Policies (ELIPS). ELIPS is
located at: https://elips.doi.gov. The
public can review the proposed
Categorical Exclusion (CX) Analysis
Reports on the Department of the
Interior’s Web site at https://
www.doi.gov/oepcc or at the Bureau of
Land Management’s Web site at https://
www.blm.gov/planning.
The BLM procedures were last
updated May 19, 1992. The proposed
revisions are necessary to update these
procedures. BLM’s current procedures
can be found at: https://elips.doi.gov/
app_DM/act_getfiles.cfm?nelnum=3621.
The public is asked to review and
comment on the proposed changes in
Chapter 11 of the manual, including the
newly proposed categorical exclusions
(CXs).
DATES: Comments must be postmarked
no later than 30 days following
publication of this notice in the Federal
Register.
ADDRESSES: Comments should be
mailed to: Content Analysis Team, BLM
Categorical Exclusions, Post Office Box
22777, Salt Lake City, Utah, 84122–
0777, or fax (801) 517–1014 or e-mail to
BLMCX@fs.fed.us.
FOR FURTHER INFORMATION CONTACT: Deb
Rawhouser, Group Manager, Planning
and Science Support at (202) 452–0354.
SUPPLEMENTARY INFORMATION: These
procedures, which were formerly listed
as 516 DM 6 Apppendix 5 (Currently
516 DM 11) address policy as well as
procedure in order to assure compliance
with the spirit and intent of NEPA. The
proposed procedures update BLM’s
general NEPA process to incorporate
changes in responsibilities, clarify
requirements for public participation,
identify the appropriate level of NEPA
compliance for various types of actions,
and incorporate new Departmental
requirements. Following the
supplementary information is the draft
text of Chapter 11, which contains the
revised procedures. Analysis Reports
associated with the proposed CXs will
be posted at: https://www.doi.gov/oepc
and www.blm.gov/planning.
The following is an overview of the
all the proposed changes to Chapter 11.
• Section 11.1—Purpose is a new
section that defines the reason for this
Chapter and also mentions BLM’s NEPA
handbook for additional guidance;
• Section 11.2—NEPA Responsibility
has no major changes;
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Federal Register / Vol. 71, No. 16 / Wednesday, January 25, 2006 / Notices
• Section 11.3 B—Guidance to
Applicants has a minor addition of one
new regulation (Wilderness
Management 43 CFR 6300) to provide
guidance to applicants to better
understand wilderness policy;
• Section 11.4—General
Requirements is a new section and
addresses general requirements for
quality of NEPA documents;
• Section 11.5—Plan Performance is a
new section that provides guidance to
ensure plan conformance;
• Section 11.6—Use of Existing
Documentation (Determination of NEPA
Adequacy) is a new section that is used
to determine if an existing NEPA
document can be properly relied on and
to document that BLM took the ‘‘hard
look’’ at whether new circumstances,
new information, or environmental
impacts not previously anticipated or
analyzed warrant new analysis or
supplementation of existing NEPA
documents;
• Section 11.7—Actions Typically
Requiring an Environmental Assessment
(EA) is a new section and provides
guidance to responsible officials who
are uncertain of the potential for
significant impact of the proposed
action and to determine if further
analysis is needed to make the
determination;
• Section 11.8—Major Actions
Normally Requiring an Environmental
Impact Statement (EIS) brings together
in one document the BLM’s guidance to
responsible officials who must evaluate
and analyze proposals and make
decisions on resources; and
• Section 11.9—Categorical
Exclusions are needed to add certain
routine BLM actions to the list of
categories of actions that do not
individually or cumulatively have a
significant impact on the environment.
The following are summaries of
changes being made by category to CXs
listed in the 1992 Manual. These
changes include proposed new,
modified or renumbered CXs (Section
11.9):
A. Fish and Wildlife—No proposed
changes to this category. The public is
not asked to comment.
B. Oil, Gas, and Geothermal Energy
(formerly Fluid Minerals)—The title of
this section is changed from Fluid
Minerals to accurately encompass
geothermal energy in addition to oil and
gas. The public is asked to comment on
the proposed CXs numbered B (6)–(8).
The three new CXs are proposed to be
added to the existing five CXs. One of
the three CXs is for geophysical
exploration. Two of the three proposed
CXs are for geothermal energy actions
and are applicable to Nevada only.
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The geophysical CX is proposed after
reviewing numerous EA analyses that
resulted in Findings of No Significant
Impact for these types of action over
time and over different geographic
areas. The two geothermal CXs are being
proposed after reviewing several EA
analyses. The data set for the geothermal
CXs is limited because geothermal
activities became dormant during the
1990’s when oil and gas production was
prevalent and supplies were abundant.
For both geophysical exploration and
geothermal activities, the actions do not
individually or cumulatively have
significant impacts on the human
environment and do not require
additional environmental analysis.
C. Forestry. Four new CXs are
proposed to be added to the existing five
CXs. The public is asked to comment on
the proposed CXs numbered C (6)–(9).
Proposed CX number (6) is proposed
after conducting numerous EA analyses
that resulted in Findings of No
Significant Impact for these types of
action over time and over different
geographic areas. These actions do not
individually or cumulatively have
significant impacts on the human
environment and do not require
additional environmental analysis.
Proposed CXs (7)–(9) are identical to
existing USDA Forest Service CXs. After
discussions with USDA Forest Service,
and review and analysis of the data used
to substantiate their CXs, it has been
determined that it is appropriate for
BLM to propose the same CXs. This is
due to the similarity in locale, cover
type, scope, and intensity of BLM’s
Forestry actions.
D. Rangeland Management. The
public is asked to comment on three
proposed CXs numbered D (10)–(12).
The CXs are proposed after reviewing
numerous EA analyses that resulted in
Findings of No Significant Impact for
these types of routine actions over time
and over different geographic areas.
These actions do not individually or
cumulatively have significant impacts
on the human environment and do not
require additional environmental
analysis. One of the CXs pertains to
vegetation management and cover
actions, and is limited in scope and
duration. The other two CXs cover
renewal of grazing permits and issuance
of temporary non-renewable grazing
permits. The proposed CXs specify that
where a land health assessment and
evaluation determines that grazing is a
contributing factor to the failure of land
health standards, the proposed CXs
would not be used.
E. Realty. There are no proposed CXs
for this category. However, the CX
numbered E (16) was slightly modified
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to clarify purposes for acquiring
temporary access easements. The public
is asked to comment on the
modification of this CX.
F. Solid Minerals. No proposed
changes to this category. The public is
not asked to comment.
G. Transportation. The title of this
category is changed from Transportation
Signs to Transportation. There are no
proposed CXs for this category.
However, three existing CXs numbered
G (1)–(3) were modified by adding the
words ‘‘and trails’’ after ‘‘existing
roads’’. This is because the
environmental impact of these actions
on or along trails is not any greater than
on or along ‘‘existing roads’’. The public
is asked to comment on the
modification of these CXs.
H. Recreation Management. This is a
new category added to allow for the
incorporation of recreation CXs. The
existing Recreation CX found under
category ‘‘J—Other (5)’’ is being moved
to the new category. The CX is proposed
to be modified and the public is asked
to comment on this modified CX
numbered H (1).
I. Emergency Stabilization. This is a
new category covering stabilization
activities following natural disasters,
not to exceed 4,200 acres, (such as
seeding or planting, fence construction,
culvert repair, installation of erosion
control devices, repair of roads and
trails, stabilization of cultural heritage
sites, and repair or replacement of
minor facilities damaged that are
essential to public health and safety)
which are necessary to prevent
degradation of land or resources. The
CX is proposed after conducting
numerous EA analyses that resulted in
Findings of No Significant Impact for
these types of action over time and over
different geographic areas. These actions
do not individually or cumulatively
have significant impacts on the human
environment and do not require
additional environmental analysis. The
public is asked to comment on the CX
numbered I (1).
J. Other. There are no new CXs for
this category. One CX from this
category, J (5), was moved to the
Recreation Management category. The
number (5) CX slot is now reserved. The
public is not asked to comment.
The remaining sections of
SUPPLEMENTARY INFORMATION provides
an overview of the proposed changes,
and background and procedural
requirements.
Background: The final revised
procedures for the Department were
published in the Federal Register on
March 8, 2004 (Volume 69, Number 45).
These procedures address policy as well
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as procedure in order to assure
compliance with the spirit and intent of
NEPA. The procedures for the
Department’s bureaus are published as
chapters to this DM part. Chapter 11 of
the Department’s Manual covers the
BLM’s procedures.
Procedural Requirements: The
following list of procedural
requirements has been assembled and
addressed to contribute to this open
review process. Today’s publication is a
notice of draft, internal Departmental
action and not a rulemaking. However,
we have addressed the various
procedural requirements that are
generally applicable to proposed and
final rulemaking to show how they
would affect this notice if it were a
rulemaking.
Regulatory Planning and Review
Under Executive Order 12866 (58 FR
51735, October 4, 1993) it has been
determined that this action is the
implementation of policy and
procedures applicable only to the
Department of the Interior and not a
significant regulatory action. These
policies and procedures would not
impose a compliance burden on the
general economy.
Administrative Procedures Act
This document is not subject to prior
notice and opportunity to comment
because it is a general statement of
policy and procedure [(5 U.S.C.
553(b)(A)]. However, notice and
opportunity to comment is required by
the CEQ Regulations [40 CFR 1507.3(a)].
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Regulatory Flexibility Act
This document is not subject to notice
and comment under the Administrative
Procedures Act, and, therefore, is not
subject to the analytical requirements of
the Regulatory Flexibility Act (5 U.S.C.
601 et seq.). This document provides the
Department with policy and procedures
under NEPA and does not compel any
other party to conduct any action.
Small Business Regulatory Enforcement
Fairness Act
These policies and procedures do not
comprise a major rule under 5 U.S.C.
804(2), the Small Business Regulatory
Enforcement Fairness Act. The
document will not have an annual effect
on the economy of $100 million or more
and is expected to have no significant
economic impacts. Further, it will not
cause a major increase in costs or prices
for consumers, individual industries,
Federal, State, or local government
agencies, or geographic regions and will
[[Page 52596]] impose no additional
regulatory restraints in addition to those
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already in operation. Finally, the
document does not have significant
adverse effects on competition,
employment, investment, productivity,
innovation, or the ability of United
States based enterprises to compete with
foreign based enterprises.
Unfunded Mandates Reform Act
In accordance with the Unfunded
Mandates Reform Act (2 U.S.C. 1501, et
seq.), this document will not
significantly or uniquely affect small
governments. A Small Government
Agency Plan is not required. The
document does not require any
additional management responsibilities.
Further, this document will not produce
a Federal mandate of $100 million or
greater in any year, that is, it is not a
significant regulatory action under the
Unfunded Mandates Reform Act. These
policies and procedures are not
expected to have significant economic
impacts nor will they impose any
unfunded mandates on other Federal,
State, or local government agencies to
carry out specific activities.
Federalism
In accordance with Executive Order
13132, this document does not have
significant Federalism effects; and,
therefore, a Federalism assessment is
not required. The policies and
procedures will not have substantial
direct effects on the States, on the
relationship between the Federal
government and the States, or on the
distribution of power and
responsibilities among the various
levels of government. No intrusion on
State policy or administration is
expected, roles or responsibilities of
Federal or State governments will not
change, and fiscal capacity will not be
substantially, directly affected.
Therefore, the document does not have
significant effects or implications on
Federalism.
4161
procedures are internal procedural
guidance to assist agencies in the
fulfillment of agency responsibilities
under NEPA, but are not the agency’s
final determination of what level of
NEPA analysis is required for a
particular proposed action. The
requirements for establishing agency
NEPA procedures are set forth at 40 CFR
1505.1 and 1507.3. The determination
that establishing categorical exclusions
does not require NEPA analysis and
documentation has been upheld in
Heartwood, Inc. v. U.S. Forest Service,
73 F. Supp. 2d 962, 972–73 (S.D. III.
1999), aff’d 230 F.3d 947. 954–55 (7th
Cir. 2000).
Essential Fish Habitat
We have analyzed this document in
accordance with section 305(b) of the
Magnuson-Stevens Fishery
Conservation and Management Act and
determined that issuance of this
document will not affect the essential
fish habitat of federally managed
species; and, therefore, an essential fish
habitat consultation on this document is
not required.
Consultation and Coordination With
Indian Tribal Governments
In accordance with Executive Order
13175 of November 6, 2000, and 512
DM 2, we have assessed this document’s
impact on Tribal trust resources and
have determined that it does not
directly affect Tribal resources since it
describes the Department’s procedures
for its compliance with NEPA.
Paperwork Reduction Act
This document does not require
information collection as defined under
the Paperwork Reduction Act.
Therefore, this document does not
constitute a new information collection
system requiring Office of Management
and Budget (OMB) approval under the
Paperwork Reduction Act (44 U.S.C.
3501 et seq.).
Actions Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
Executive Order 13211 of May 18,
2001, requires a Statement of Energy
Effects for significant energy actions.
Significant energy actions are actions
normally published in the Federal
Register that lead to the promulgation of
a final rule or regulation and may have
any adverse effects on energy supply,
distribution, or use. We have explained
above that this document is an internal
Departmental Manual part which only
affects how the Department conducts its
business under the National
Environmental Policy Act. Revising this
manual part does not constitute
rulemaking and, therefore, not subject to
Executive Order 13211.
National Environmental Policy Act
The Council on Environmental
Quality does not direct agencies to
prepare a NEPA analysis or document
before establishing agency procedures
that supplement the CEQ regulations for
implementing NEPA. Agency NEPA
Actions To Expedite Energy-Related
Projects
Executive Order 13212 of May 18,
2001, requires agencies to expedite
energy-related projects by streamlining
internal processes while maintaining
safety, public health, and environmental
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protections. Today’s publication is in
conformance with this requirement as it
promotes existing process streamlining
requirements and revises the text to
emphasize this concept (see Chapter 4,
subpart 4.16).
Government Actions and Interference
With Constitutionally Protected
Property Rights
In accordance with Executive Order
12630 (March 15, 1988) and Part 318 of
the Departmental Manual, the
Department has reviewed today’s notice
to determine whether it would interfere
with constitutionally protected property
rights. Again, we believe that as internal
instructions to bureaus on the
implementation of the National
Environmental Policy Act, this
publication would not cause such
interference.
Authority: NEPA, the National
Environmental Quality Improvement Act of
1970, as amended (42 U.S.C. 4371 et seq.);
E.O. 11514, March 5, 1970, as amended by
E.O. 11991, May 24, 1977; and CEQ
Regulations 40 CFR 1507.3.
Willie R. Taylor,
Director, Office of Environmental Policy and
Compliance.
Department of the Interior
Departmental Manual
Effective Date: May 3, 2005.
Series: Environmental Quality.
Part 516: National Environmental
Policy Act of 1969.
Chapter 11: Managing the NEPA
Process—Bureau of Land Management.
Originating Office: Office of
Environmental Policy and Compliance.
516 DM 11
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11.1. Purpose
This Chapter provides supplementary
requirements for implementing
provisions of 516 DM 1 through 6 for
the Department of the Interior’s Bureau
of Land Management (BLM). The BLM’s
National Environmental Policy Act
(NEPA) Handbook (H–1790–1) will
provide additional guidance.
11.2. NEPA Responsibility
A. The Director and Deputy
Director(s) are responsible for National
Environmental Policy Act (NEPA)
compliance for BLM activities.
B. The Assistant Director, Renewable
Resources and Planning, is responsible
for policy interpretation, program
direction, leadership, and line
management for BLM environmental
policy, coordination and procedures.
The Planning, Assessment and
Community Support Group, which
reports to the Assistant Director,
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Renewable Resources and Planning, has
bureau-wide environmental compliance
responsibilities. These responsibilities
include program direction for
environmental compliance and ensuring
the incorporation and integration of the
NEPA compliance process into BLM
environmental documents.
C. The Director, National Landscape
Conservation System; other Assistant
Directors for Minerals, Realty, and
Resource Protection; Information
Resources Management;
Communications; are responsible for
cooperating with the Assistant Director,
Renewable Resources and Planning to
ensure that the environmental
compliance process operates as
prescribed within their areas of
responsibility.
D. The Center Directors for the Office
of Fire and Aviation and for the
National Science and Technology are
also responsible for cooperating with
the Assistant Director, Renewable
Resources and Planning to ensure that
the environmental compliance process
operates as prescribed within their areas
of responsibility.
E. The State Directors are responsible
to the Director/Deputy Director(s) for
overall direction and integration of the
NEPA process into their activities and
for NEPA compliance in their States.
This includes managing and ensuring
the quality of public notification and
participation, environmental analyses,
assigned environmental documents, and
decision documents. Deputy State
Directors in each State office (the title
varies from state to state) provides the
major staff support and are the key focal
points for NEPA matters at the State
level.
(1) The Field Office Managers are
responsible for implementing the NEPA
process at the local level.
11.3. Guidance to Applicants
A. General
(1) For all external proposals,
applicants should make initial contact
with the line manager (District Manager,
Field Manager, or State Director) of the
office where the affected public lands
are located.
(2) If the application will affect
responsibilities of more then one State
Director, an applicant may contact any
State Director whose jurisdiction is
involved. In such cases, the Director
may assign responsibility to the
Headquarters Office or to one of the
State offices. From that point the
applicant will deal with the designated
lead office.
(3) Potential applicants may secure
from State Directors a list of program
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regulations or other directives/guidance
providing advice or requirements for
submission of environmental
information. The purpose of making
these regulations known to potential
applicants, in advance, is to assist them
in presenting a detailed, adequate and
accurate description of the proposal and
alternatives when they file their
application and to minimize the need to
request additional information. This is a
minimum list and additional
requirements may be identified after
detailed review of the formal
submission and during scoping.
(4) Since much of an applicant’s
planning may take place outside of
BLM’s planning system, it is important
for potential applicants to advise BLM
of their planning at the earliest possible
stage. Early communication is necessary
to properly conduct our stewardship
role on the public lands and to seek
solutions to situations where private
development decisions may conflict
with public land use decisions. Early
contact will also allow the
determination of basic data needs
concerning environmental amenities
and values, potential data gaps that
could be filled by the application, and
a modification of the list or
requirements to fit local situations.
Scheduling of the environmental
analysis process can also be discussed,
as well as various ways of preparing any
environmental documents.
B. Regulations
The following partial list provides
guidance to applicants on program
regulations which may apply to a
particular application. Many other
regulations deal with proposals affecting
public lands, some of which are specific
to BLM while others are applicable
across a broad range of Federal
programs (e.g., Protection of Historic
and Cultural Programs—36 CFR Part
800).
(1) Resource Management Planning—
43 CFR 1610;
(2) Withdrawals—43 CFR 2300;
(3) Land Classification—43 CFR 2400;
(4) Disposition: Occupancy and Use—
43 CFR 2500;
(5) Disposition: Grants—43 CFR 2600;
(6) Disposition: Sales—43 CFR 2700;
(7) Use: Rights-of-Way—43 CFR 2800;
(8) Use: Leases and Permits—43 CFR
2900;
(9) Oil and Gas Leasing—43 CFR
3100;
(10) Geothermal Resources Leasing—
43 CFR 3200;
(11) Coal Management—43 CFR 3400;
(12) Leasing of Solid Minerals Other
than Coal/Oil Shale—43 CFR 3500;
(13) Mineral Materials Disposal—43
CFR 3600;
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(14) Mining Claims under the General
Mining Laws—43 CFR 3800;
(15) Grazing Administration—43 CFR
4100;
(16) Wild Free-Roaming Horse and
Burro Management—43 CFR 4700;
(17) Forest Management—43 CFR
5000;
(18) Wildlife Management—43 CFR
6000;
(19) Recreation Management—43 CFR
8300; and
(20) Wilderness Management— 43
CFR 6300.
11.4. General Requirements
The Council on Environmental
Quality (CEQ) regulations direct that
Federal agencies shall reduce
paperwork and delay (40 CFR 1500.4 &
1500.5) to the fullest extent possible.
The information used in any NEPA
analysis must be of high quality.
Accurate scientific analysis, expert
agency comments and public scrutiny
are essential to implementing NEPA (40
CFR 1500.1 (b)). Environmental
documents should be written in plain
language so they can be understood and
should concentrate on the issues that
are truly significant to the action in
question rather than amassing needless
detail (40 CFR 1502.8 and 1500.1(b)).
A. To meet the objectives of reducing
paperwork and delays:
The responsible official should use
incorporation by reference (40 CFR
1502.21); tiering (40 CFR 1502.20);
adoption (40 CFR 1506.3); and
supplementing (40 CFR1502.9). The
responsible official will avoid
unnecessary duplication of effort and
promote cooperation with other federal
agencies that have permitting, funding,
approval or other consultation or
coordination requirements associated
with the action in question by using, to
the fullest extent possible, adoption of
NEPA analyses and documents and
incorporation by reference of relevant
studies and analyses. Cooperation will
include, to the fullest extent possible,
the following: common databases, joint
planning processes; joint environmental
research and studies; joint public
meetings and hearings; and joint
Environmental Assessment (EA) level
and joint Environmental Impact
Statement (EIS) level analyses using
joint lead or cooperating agency status.
B. Consultation and Coordination:
During any NEPA process, the
responsible official will determine early
in the process the type and level of
coordination needed or desired with a
particular person, organization, agency,
or Tribe. After the NEPA process is
completed, some level of coordination
will often continue throughout project
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design, implementation, monitoring,
and evaluation.
C. Eliminating duplication with
Tribal, State and Local governmental
procedures (40 CFR 1506.2):
The responsible official will cooperate
with Tribal, State and Local
governmental agencies to the fullest
extent possible to reduce duplication
between NEPA and State and local
requirements in addition to but not in
conflict with those in NEPA. To the
fullest extent possible, such cooperation
will include the following: common
databases, joint planning processes;
joint environmental research and
studies; joint public meetings and
hearings; joint EA-level analyses; and
joint EIS-level analyses.
D. Integrating NEPA with other
environmental review requirements:
Wherever feasible, the responsible
official will integrate NEPA
requirements with other environmental
review and consultation requirements to
reduce paperwork and delays (40 CFR
1500.4(k) and 1500.5(g)).
E. Public involvement:
(1) The importance of involving the
public early at the time, level, and phase
of the NEPA analysis process, decision,
and implementation stage, cannot be
overstated. Therefore, the public shall
be involved early and continuously as
appropriate throughout the NEPA
process. The type and level of public
involvement shall be commensurate
with the NEPA analysis needed to make
the decision at hand. Management
training for BLM employees hosting a
public meeting is addressed in Section
‘‘H’’ below.
(2) Where feasible, implement
consensus based decision making.
However, when consensus cannot be
reasonably reached, the Bureau has the
exclusive responsibility for making the
decision and shall exercise that
responsibility in a timely manner.
F. Limitations on Actions during the
NEPA Analysis Process (40 CFR 1506.1):
Once the responsible official has
initiated a NEPA analysis process (EA,
EIS, or Categorical Exclusion level) and
until a decision document [Decision
Record (DR) or Record of Decision
(ROD)] has been signed, no action
concerning the proposal will be taken
that would:
(1) Have an adverse environmental
impact, or
(2) Limit the choice of reasonable
alternatives.
G. Adaptive Management.
Where feasible, implement adaptive
management (AM) procedures into the
NEPA, planning and implementation
processes. AM is defined in 516 DM
4.16, as ‘‘a system of management
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practices based on clearly identified
outcomes, monitoring to determine if
management actions are meeting
outcomes, and, if not, facilitating
management changes that will best
ensure that outcomes are met or to reevaluate the outcomes’’. Adaptive
management recognizes that knowledge
about natural resource systems is
sometimes uncertain and is the
preferred method of management in
these cases.
H. Management Training (Alternative
Dispute Resolution (ADR), Negotiation
or Facilitation).
Departmental guidance contained in
Environmental Statement Memorandum
Number ‘‘ESM03–4’’, dated July 2, 2003,
makes it mandatory that within three
years of the date of this memorandum,
any BLM employee hosting a public
meeting for the purpose of addressing
NEPA compliance must have
participated in some form of training
listed in ESM03–4, Section 5
‘‘Management Training’’. The training
can be separate or a combination of
course topics as listed above at some
stage in their career.
11.5. Plan Conformance
A proposal must be in conformance
with an existing BLM land use plan.
This means that it must be specifically
provided for in the plan, or if not
specifically mentioned, the proposal
must be clearly consistent with the
terms and conditions, decision of the
approved plan or amended plan. If not
consistent, the proposal will be rejected
or the BLM will prepare a land use plan
amendment.
11.6. Use of Existing Documentation
(Determination of NEPA Adequacy)
If it has been determined that existing
NEPA documents can be properly relied
on, an administrative record must be
established that clearly documents that
the agency took a ‘‘hard look’’ at
whether new circumstances, new
information, or environmental impacts
not previously anticipated or analyzed
warrant new analysis or
supplementation of existing NEPA
documents and whether the impact
analysis considered impacts of the
proposed action. This review must be
accomplished through an
interdisciplinary process that considers
the affected values. The BLM has
considerable flexibility in
accomplishing the interdisciplinary
analysis; it may vary from the assembly
of a full interdisciplinary team to
consultation by the lead staff specialist
or NEPA coordinator with resource
specialists assigned to affected
resources.
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A. The worksheet in Appendix 11.2
(pp. 28 to 33) is to be used to document
whether the current proposal conforms
to applicable plans and is adequately
analyzed in existing NEPA documents.
The signed conclusion in the worksheet
is an interim step in BLM’s internal
analysis process and an appealable
decision is not made until a ROD is
signed.
B. The documentation is concise but
must adequately address the criteria in
the worksheet. Review the relevant parts
of the existing record, including terms,
conditions, and mitigation measures, in
the context of existing on-the-ground
conditions. The age of the documents
reviewed may indicate that information
or circumstances have changed
significantly.
C. Because the land use plan (LUP)
must be reviewed first to insure that the
current proposed action is in
conformance with the plan, the
worksheet provides for documentation
of the results of the LUP review. If it is
determined that the current proposed
action does not conform with the plan,
the responsible official may (1) reject
the proposal, (2) modify the proposal to
conform to the LUP, or (3) complete
appropriate plan amendments and
NEPA compliance before proceeding
with the proposed action.
D. If it is determined that the existing
NEPA documentation is inadequate, the
proposal may be removed from further
consideration or the information
compiled and worksheet completed to
that point will be used to facilitate the
preparation of the appropriate level of
NEPA analysis.
11.7. Actions Typically Requiring an
Environmental Assessment (EA)
A. An EA-level analysis should be
completed when the responsible official
is uncertain of the potential for
significant impact and needs further
analysis to make the determination.
B. An EA is a concise public
document that serves to:
(1) Briefly provide sufficient evidence
and analysis for determining whether to
prepare an EIS or a Finding of No
Significant Impact (FONSI).
(2) Aid BLM’s compliance with NEPA
when no EIS is necessary.
(3) Facilitate preparation of an EIS
when one is necessary. (40 CFR 1508.9)
C. The following types of BLM actions
will typically, although not exclusively,
result in completion of an EA. An EA
is completed when these actions are not
categorically excluded or having
potentially significant impacts.
(1) Implementation decisions—
actions taken to implement land use
plan decisions: Implementation
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decisions normally require additional
planning and NEPA analysis, tiered to
the land use plan’s EIS, and must
conform to land use plan decisions.
Implementation decisions are generally
appealable to IBLA under 43 CFR Part
4. Examples of implementation
decisions include establishment of:
1. Allotment-specific permitted-use
levels.
2. Livestock grazing systems.
3. Vegetation treatment practices,
including weed control.
4. Hazardous fuels reduction and
restoration projects.
5. Forest stands treatments.
6. Right-of-way grants.
7. Recreation facilities.
8. Appropriate management levels
(AMLs) for wild horses and burros.
(2) Implementation plans, such as
recreation activity plans, cultural
resource management plans, habitat
management plans, fire management
plans, and coordinated resource project
plans, etc.
(3) Approval of resource use permits,
such as applications for a permit to drill
(APDs), livestock grazing permits, and
timber sales.
D. If, for any of these actions, it is
anticipated or determined that an EA is
not needed because of potential impact
significance, an EIS will be prepared
and processed in accordance with 40
CFR 1502.
11.8. Major Actions Normally Requiring
an EIS
A. An EIS-level analysis should be
completed when:
(1) The impacts of an action are
potentially significant; or the impact
analysis of an action is likely to be
highly controversial.
(2) The action taken is directly related
to other actions that if taken
individually would have insignificant
impacts, but cumulatively the actions
would cause significant impacts.
B. The following types of bureau
actions will normally require the
preparation of an EIS:
(1) Approval of Resource Management
Plans.
(2) Proposals for Wilderness, Wild
and Scenic Rivers, and National Historic
Scenic Trails.
(3) Approval of regional coal lease
sales in a coal production region.
(4) Decision to issue a coal preference
right lease.
(5) Approval of applications to the
BLM for major actions in the following
categories:
(a) Sites for steam-electric power
plants, petroleum refineries, synfuel
plants, and industrial facilities.
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(b) Rights-of-way for major reservoirs,
canals, pipelines, transmission lines,
highways and railroads.
(6) Approval of operations that would
result in liberation of radioactive tracer
materials or nuclear stimulation.
(7) Approval of any mining operation
where the area to be mined, including
any area of disturbance, over the life of
the mining plan, is 640 acres or larger
in size.
C. If, for any of these actions it is
anticipated that an EIS is not needed
based on potential impact significance,
an environmental assessment will be
prepared and processed in accordance
with 40 CFR 1501.4(e)(2) EIS.
11.9. Categorical Exclusions
The Departmental Manual (516 DM
2.3A (3) and App. 2) requires that before
any action described in the following
list of categorical exclusions is used, the
exceptions must be reviewed for
applicability in each case. The proposed
action cannot be categorically excluded
if one or more of the exceptions apply,
thus requiring either an EA or an EIS.
When no exceptions apply, the
following types of bureau actions
normally do not require the preparation
of an EA or EIS.
A. Fish and Wildlife
(1) Modification of existing fences to
provide improved wildlife ingress and
egress.
(2) Minor modification of water
developments to improve or facilitate
wildlife use (e.g., modify enclosure
fence, install flood value, or reduce
ramp access angle).
(3) Construction of perches, nesting
platforms, islands and similar structures
for wildlife use.
(4) Temporary emergency feeding of
wildlife during periods of extreme
adverse weather conditions.
(5) Routine augmentations such as
fish stocking, providing no new species
are introduced.
(6) Relocation of nuisance or
depredating wildlife, providing the
relocation does not introduce new
species into the ecosystem.
(7) Installation of devices on existing
facilities to protect animal life such as
raptor electrocution prevention devices.
B. Oil, Gas, and Geothermal Energy
(1) Issuance of future interest leases
under the Mineral Leasing
Act of Acquired Lands where the
subject lands are already in production.
(2) Approval of mineral lease
adjustments and transfers, including
assignments and subleases.
(3) Approval of unitization
agreements, communitization
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agreements, drainage agreements,
underground storage agreements,
development contracts, or geothermal
Unit or participating area agreements.
(4) Approval of suspensions of
operations, force majeure suspensions,
and suspensions of operations and
production.
(5) Approval of royalty
determinations such as royalty rate
reductions.
(6) Establishment of terms and
conditions and approval of Notices of
Intent to conduct geophysical
exploration of oil, gas, or geothermal
resource pursuant to 43 CFR 3150 or
3250 when no road construction is
proposed.
(7) Drilling and subsequent operations
of a geothermal well within a developed
field for which a currently approved
land use plan and/or any environmental
document prepared pursuant to NEPA
analyzed drilling as a reasonably
foreseeable future activity. The
application of this categorical exclusion
is limited to Nevada.
(8) Issuance of individual operational
permits or licenses subsequent to or part
of a geothermal utilization plan for
which any environmental document
prepared pursuant to NEPA analyzed
the overall development of geothermal
resources and siting of facilities as part
of an approved utilization plan in
accordance with 43 CFR 3272 or
subsequent revisions. The application of
this categorical exclusion is limited to
Nevada.
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C. Forestry
(1) Land cultivation and silvicultural
activities (excluding herbicide
applications) in forest tree nurseries,
seed orchards, and progeny test sites.
(2) Sale and removal of individual
trees or small groups of trees which are
dead, diseased, injured, or which
constitute a safety hazard, and where
access for the removal requires no more
than maintenance to existing roads.
(3) Seeding or reforestation of timber
sales or burn areas where no chaining is
done, no pesticides are used, and there
is no conversion of timber type or
conversion of non-forest to forest land.
Specific reforestation activities covered
include: seeding and seedling plantings,
shading, tubing (browse protection),
paper mulching, bud caps, ravel
protection, application of non-toxic big
game repellant, spot scalping, rodent
trapping, fertilization of seed trees,
fence construction around out-planting
sites, and collection of pollen, scions
and cones.
(4) Precommercial thinning and brush
control using small mechanical devices.
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(5) Disposal of small amounts of
miscellaneous vegetation products
outside established harvest areas, such
as Christmas trees, wildings, floral
products (ferns, boughs, etc.), cones,
seeds, and personal use firewood.
(6) Falling, bucking, and scaling
sample trees (no more than one tree per
acre) to ensure accuracy of timber
cruises, using only gas-powered
chainsaws or hand tools, with no road
construction, use of ground-based
equipment, or any other manner of
timber yarding. The application of this
categorical exclusion is limited to the
western Oregon districts of Coos Bay,
Eugene, Medford, Roseburg, and Salem.
(7) Harvesting live trees not to exceed
70 acres, requiring no more than 0.5
mile of temporary road construction. Do
not use this category for even-aged
regeneration harvest or vegetation type
conversion. The proposed action may
include incidental removal of trees for
landings, skid trails, and road clearing.
Examples include but are not limited to:
(a) Removing individual trees for
sawlogs, specialty products, or
fuelwood; and
(b) Commercial thinning of
overstocked stands to achieve the
desired stocking level to increase health
and vigor.
(8) Salvaging dead or dying trees not
to exceed 250 acres, requiring no more
than 0.5 mile of temporary road
construction. The proposed action may
include incidental removal of live or
dead trees for landings, skid trails, and
road clearing. Examples include but are
not limited to:
(a) Harvesting a portion of a stand
damaged by a wind or ice event and
constructing a short, temporary road to
access the damaged trees; and
(b) Harvesting fire damaged trees.
(9) Commercial and non-commercial
sanitation harvesting of trees to control
insects or disease not to exceed 250
acres, requiring no more than 0.5 mile
of temporary road construction,
including removal of infested/infected
trees and adjacent live uninfested/
uninfected trees as determined
necessary to control the spread of
insects or disease. The proposed action
may include incidental removal of live
or dead trees for landings, skid trails,
and road clearing. Examples include but
are not limited to:
(a) Felling and harvesting trees
infested with southern pine beetles and
immediately adjacent uninfested trees to
control expanding spot infestations;
(b) Removing or destroying trees
infested or infected with a new exotic
insect or disease, such as emerald ash
borer, Asian longhorned beetle, or
sudden oak death pathogen.
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D. Rangeland Management
(1) Approval of transfers of grazing
preference.
(2) Placement and use of temporary
(not to exceed one month) portable
corrals and water troughs, providing no
new road construction is needed.
(3) Temporary emergency feeding of
livestock or wild horses and burros
during periods of extreme adverse
weather conditions.
(4) Removal of wild horses or burros
from private lands at the request of the
landowner.
(5) Processing (transporting, sorting,
providing veterinary care to,
vaccinating, testing for communicable
diseases, training, gelding, marketing,
maintaining, feeding, and trimming of
hooves of) excess wild horses and
burros.
(6) Approval of the adoption of
healthy, excess wild horses and burros.
(7) Actions required to ensure
compliance with the terms of Private
Maintenance and Care Agreements.
(8) Issuance of title to adopted wild
horses and burros.
(9) Destroying old, sick, and lame
wild horses and burros as an act of
mercy.
(10) Vegetation management activities
such as seeding, planting, invasive plant
removal, installation of erosion control
devices (e.g., mats/straw/chips), and
mechanical treatments such as crushing,
piling, thinning, pruning, cutting,
chipping, mulching, mowing, and
prescribed fire when the activity is
necessary for the management of
vegetation on public lands. Such
activities:
• Shall not exceed 4,500 contiguous
acres per prescribed fire project and
1,000 acres for other vegetation
management projects; and
• Shall be conducted consistent with
Bureau and Departmental procedures;
• and applicable land and resource
management plans; and
• Shall not be conducted in
wilderness areas or impair the
suitability of wilderness study areas for
preservation as wilderness; and
• Shall not include the use of
herbicides or pesticides or the
construction of new permanent roads or
other new permanent infrastructure.
(11) Issuance of livestock grazing
permits/leases where:
(a) The grazing allotment(s) has been
assessed and evaluated and the
authorized officer documents in a
determination that the allotment is:
(1) Meeting land health standards; or
(2) Not meeting standards solely due
to factors other than existing livestock
grazing; or
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(b) Issuing the permit is the result of
an administrative action, such as, but
not limited to, changing permit
termination date or permittee/leasee
name.
(12) Authorize temporary nonrenewable grazing use where the grazing
allotment(s) has been assessed and
evaluated and the authorized officer
documents in a determination that the
allotment is:
(a) Meeting land health standards; or
(b) Not meeting standards solely due
to factors other than existing livestock
grazing. Authorized officer documents
that the temporary non-renewable
grazing use will not change the status of
land health on the allotment(s).
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E. Realty
(1) Withdrawal extensions or
modifications which only establish a
new time period and entail no changes
in segregative effect or use.
(2) Withdrawal revocations,
terminations, extensions, or
modifications and classification
terminations or modifications which do
not result in lands being opened or
closed to the general land laws or to the
mining or mineral leasing laws.
(3) Withdrawal revocations,
terminations, extensions, or
modifications; classification
terminations or modifications; or
opening actions where the land would
be opened only to discretionary land
laws and where subsequent
discretionary actions (prior to
implementation) are in conformance
with and are covered by a Resource
Management Plan/EIS (or plan
amendment and EA or EIS).
(4) Administrative conveyances from
the Federal Aviation Administration
(FAA) to the State of Alaska to
accommodate airports on lands
appropriated by the FAA prior to the
enactment of the Alaska Statehood Act.
(5) Actions taken in conveying
mineral interest where there are no
known mineral values in the land,
under section 209(b) of the Federal Land
Policy and Management Act of 1976
(FLPMA).
(6) Resolution of class one color-oftitle cases.
(7) Issuance of recordable disclaimers
of interest under section 315 of FLPMA.
(8) Corrections of patents and other
conveyance documents under section
316 of FLPMA and other applicable
statutes.
(9) Renewals and assignments of
leases, permits or rights-of-way where
no additional rights are conveyed
beyond those granted by the original
authorizations.
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(10) Transfer or conversion of leases,
permits, or rights-of-way from one
agency to another (e.g., conversion of
Forest Service permits to a BLM Title V
Right-of-way).
(11) Conversion of existing right-ofway grants to Title V grants or existing
leases to FLPMA section 302(b) leases
where no new facilities or other changes
are needed.
(12) Grants of right-of-way wholly
within the boundaries of other
compatibly developed rights-of-way.
(13) Amendments to existing rightsof-way such as the upgrading of existing
facilities which entail no additional
disturbances outside the right-of-way
boundary.
(14) Grants of rights-of-way for an
overhead line (no pole or tower on BLM
land) crossing over a corner of public
land.
(15) Transfer of land or interest in
land to or from other Bureaus or Federal
agencies where current management
will continue and future changes in
management will be subject to the
NEPA process.
(16) Acquire access (temporary or
permanent) on existing roads and trails
crossing non-federal lands for purposes
of stabilizing hill sides; stabilizing river
banks; removing dead, down or dying
trees; reduction of hazardous fuels;
controlling insect infestations; removing
and/or treating noxious or invasive
weeds.
(17) Grant of a short rights-of-way for
utility service or terminal access roads
to an individual residence, outbuilding,
or water well.
(18) Temporary placement of a
pipeline above ground.
(19) Issuance of short-term (3 years or
less) rights-of-way or land use
authorizations for such uses as storage
sites, apiary sites, and construction sites
where the proposal includes
rehabilitation to restore the land to its
natural or original condition.
(20) One-time issuance of short-term
(3 years or less) rights-of-way or land
use authorizations which authorize
trespass action where no new use or
construction is allowed, and where the
proposal includes rehabilitation to
restore the land to its natural or original
condition.
F. Solid Minerals
(1) Issuance of future interest leases
under the Mineral Leasing Act for
Acquired Lands where the subject lands
are already in production.
(2) Approval of mineral lease
readjustments, renewals and transfers
including assignments and subleases.
(3) Approval of suspensions of
operations, force majeure suspensions,
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and suspensions of operations and
production.
(4) Approval of royalty
determinations such as royalty rate
reduction and operations reporting
procedures.
(5) Determination and designation of
logical mining units (LMUs).
(6) Findings of completeness
furnished to the Office of Surface
Mining Reclamation and Enforcement
for Resource Recovery and Protection
Plans.
(7) Approval of minor modifications
to or minor variances from activities
described in an approved exploration
plan for leasable, salable and locatable
minerals (e.g., the approved plan
identifies no new surface disturbance
outside the areas already identified to be
disturbed).
(8) Approval of minor modifications
to or minor variances from activities
described in an approved underground
or surface mine plan for leasable
minerals (e.g., change in mining
sequence or timing).
(9) Digging of exploratory trenches for
mineral materials, except in riparian
areas.
(10) Disposal of mineral materials
such as sand, stone, gravel, pumice,
pumicite, cinders, and clay, in amounts
not exceeding 50,000 cubic yards or
disturbing more than 5 acres, except in
riparian areas.
G. Transportation
(1) Placing existing roads and trails in
any transportation plan when no new
construction or upgrading is needed.
(2) Installation of routine signs,
markers, culverts, ditches, waterbars,
gates, or cattleguards on/or adjacent to
existing roads and trails.
(3) Temporary closure of existing
roads and trails.
(4) Placement of recreational, special
designation or information signs, visitor
registers, kiosks and portable sanitation
devices.
H. Recreation Management
(1) Issuance of Special Recreation
Permits for day use or overnight use up
to 7 consecutive nights that impact no
more than 3 contiguous acres; and/or for
recreational activities in travel
management areas or networks that are
designated in an approved land use
plan.
I. Emergency Stabilization
Planned actions in response to
wildfires, floods, weather events,
earthquakes, or landslips that threaten
public health or safety, property, and/or
natural and cultural resources, and that
are necessary to repair or improve lands
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unlikely to recover to a management
approved condition as a result of the
event. Such activities shall be limited
to: repair and installation of essential
erosion control structures; replacement
or repair of existing culverts, roads,
trails, fences, and minor facilities;
construction of protection fences;
planting, seeding, and mulching; and
removal of hazard trees, rocks, soil, and
other mobile debris from, on or along
roads, trails, campgrounds, and
watercourses.
These activities:
(a) Shall be completed within one
year following the event;
(b) Shall not include the use of
herbicides or pesticides;
(c) Shall not include the construction
of new roads or other new permanent
infrastructure;
(d) Shall not exceed 4,200 acres; and
(e) shall be conducted consistent with
Bureau and Departmental procedures
and applicable land and resource
management plans.
J. Other
(1) Maintaining plans in accordance
with 43 CFR 1610.5–4.
(2) Acquisition of existing water
developments (e.g., wells and springs)
on public land.
(3) Conducting preliminary hazardous
materials assessments and site
investigations, site characterization
studies and environmental monitoring.
Included are siting, construction,
installation and/or operation of small
monitoring devices such as wells,
particulate dust counters and automatic
air or water samples.
(4) Use of small sites for temporary
field work camps where the sites will be
restored to their natural or original
condition within the same work season.
(5) Reserved.
(6) A single trip in a one month
period for data collection or observation
sites.
(7) Construction of snow fences for
safety purposes or to accumulate snow
for small water facilities.
(8) Installation of minor devices to
protect human life (e.g., grates across
mines).
(9) Construction of small protective
enclosures including those to protect
reservoirs and springs and those to
protect small study areas.
(10) Removal of structures and
materials of nonhistorical value, such as
abandoned automobiles, fences, and
buildings, including those built in
trespass and reclamation of the site
when little or no surface disturbance is
involved.
(11) Actions where BLM has
concurrence or coapproval with another
VerDate Aug<31>2005
18:26 Jan 24, 2006
Jkt 208001
DOI agency and the action is
categorically excluded for that DOI
agency.
Appendix 11.1
Using the Documentation NEPA Adequacy
Worksheet and Evaluating the NEPA
Adequacy Criteria
This worksheet replaces the worksheet
contained in the Instruction Memorandum
entitled ‘‘Documentation of Land Use Plan
Conformance and National Environmental
Policy Act (NEPA) Adequacy.’’ During
preparation of the worksheet, if you
determine that one or more of the criteria are
not met, you do not need to complete the
worksheet. If one or more of these criteria are
not met, you may reject the proposal, modify
the proposal or complete appropriate NEPA
compliance (EA, EIS, Supplemental EIS, or
CX if applicable) and plan amendments
before proceeding with the proposed action.
Worksheet: Documentation of Land Use Plan
Conformance and NEPA Adequacy (DNA)
U.S. Department of the Interior; Bureau of
Land Management (BLM)
OFFICE:
TRACKING NUMBER:
CASEFILE/PROJECT NUMBER:
PROPOSED ACTION TITLE/TYPE:
LOCATION/LEGAL DESCRIPTION:
APPLICANT (if any):
A. Description of the Proposed Action
B. Land Use Plan (LUP) Conformance
LUP Name* lllllllllllllll
Date Approved lllllllllllll
Other document lllllllllllll
Date Approved lllllllllllll
Other document lllllllllllll
Date Approved lllllllllllll
* List applicable LUPs (e.g., Resource
Management Plans and activity, project,
management, or program plans, or applicable
amendments thereto):
The proposed action is in conformance
with the applicable LUP because it is
specifically provided for in the following
LUP decisions:
The proposed action is in conformance
with the LUP, even though it is not
specifically provided for, because it is clearly
consistent with the following LUP decisions
(objectives, terms, and conditions):
C. Identify Applicable National
Environmental Policy Act (NEPA) Documents
and Other Related Documents That Cover the
Proposed Action
List by name and date all applicable NEPA
documents that cover the proposed action.
List by name and date other documentation
relevant to the proposed action (e.g.,
biological assessment, biological opinion,
watershed assessment, allotment evaluation,
and monitoring report).
D. NEPA Adequacy Criteria
1. Is the new proposed action a feature of,
or essentially similar to, the proposed action
or the selected alternative analyzed in the
existing NEPA document(s)?
Documentation of answer and explanation:
PO 00000
Frm 00069
Fmt 4703
Sfmt 4703
4167
2. Is the range of alternatives analyzed in
the existing NEPA document(s) appropriate
with respect to the new proposed action,
given current environmental concerns, public
interest, and resource values?
Documentation of answer and explanation:
3. Is the existing analysis adequate in light
of any new information or circumstances (i.e.
rangeland health standards assessments;
recent Endangered Species listings; updated
lists of BLM Sensitive Species)?
Documentation of answer and explanation:
4. Can you conclude without additional
analysis or information that the direct,
indirect, and cumulative impacts that would
result from implementation of the current
proposed action are similar to those analyzed
in the existing NEPA document(s)?
Documentation of answer and explanation:
E. Persons/Agencies /BLM Staff Consulted
Name llllllllllllllllll
Title llllllllllllllllll
Resource/Agency Represented
Note: Refer to the EA/EIS for a complete
list of the team members participating in the
preparation of the original environmental
analysis or planning documents.
Conclusion
Ÿ Based on the review documented above,
I conclude that this proposal conforms to the
applicable land use plan and that the NEPA
documentation fully covers the proposed
action and constitutes the BLM’s compliance
with the requirements of NEPA.
Note: If you found that one or more of
these criteria is not met, you will not be able
to check this box.
Signature of Project Lead:
llllllll
Signature of NEPA Coordinator: llllll
Signature of the Responsible Official: lll
Date:_ lllllllllllllllll
Note: The signed Conclusion on this
Worksheet is part of an interim step in the
BLM’s internal decision process and does not
constitute an appealable decision. However,
the lease, permit, or other authorization
based on this DNA, is subject to protest or
appeal under 43 CFR Part 4 and the programspecific regulations.
[FR Doc. E6–775 Filed 1–24–06; 8:45 am]
BILLING CODE 4310–84–P
DEPARTMENT OF THE INTERIOR
Fish and Wildlife Service
2006 Migratory Bird Hunting and
Conservation Stamp (Federal Duck
Stamp) Contest
Fish and Wildlife Service,
Interior.
ACTION: Notice.
AGENCY:
SUMMARY: We, the U.S. Fish and
Wildlife Service, announce the dates
and location of the 2006 Federal Duck
Stamp contest, and the species eligible
to be subjects for this year’s designs.
The 2006 contest will be the second
E:\FR\FM\25JAN1.SGM
25JAN1
Agencies
[Federal Register Volume 71, Number 16 (Wednesday, January 25, 2006)]
[Notices]
[Pages 4159-4167]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E6-775]
=======================================================================
-----------------------------------------------------------------------
DEPARTMENT OF THE INTERIOR
Bureau of Land Management
[516 DM 11]
National Environmental Policy Act Revised Implementing Procedures
AGENCY: Bureau of Land Management, Interior.
ACTION: Notice of proposed revision to the Bureau of Land Management's
(BLM) procedures for Chapter 11 of the Department of the Interior's
Manual 516 DM--Managing the NEPA Process.
-----------------------------------------------------------------------
SUMMARY: This notice announces the intent to revise the BLM policies
and procedures for compliance with the National Environmental Policy
Act (NEPA), as amended, Executive Order 11514, as amended, Executive
Order 12114, and the Council on Environmental Quality's Regulations.
When adopted, these procedures will be published in Part 516, Chapter
11, of the Departmental Manual (DM) and will be added to the Department
of the Interior's (DOI) Electronic Library of Interior Policies
(ELIPS). ELIPS is located at: https://elips.doi.gov. The public can
review the proposed Categorical Exclusion (CX) Analysis Reports on the
Department of the Interior's Web site at https://www.doi.gov/oepcc or at
the Bureau of Land Management's Web site at https://www.blm.gov/
planning.
The BLM procedures were last updated May 19, 1992. The proposed
revisions are necessary to update these procedures. BLM's current
procedures can be found at: https://elips.doi.gov/app_DM/act_
getfiles.cfm?nelnum=3621. The public is asked to review and comment on
the proposed changes in Chapter 11 of the manual, including the newly
proposed categorical exclusions (CXs).
DATES: Comments must be postmarked no later than 30 days following
publication of this notice in the Federal Register.
ADDRESSES: Comments should be mailed to: Content Analysis Team, BLM
Categorical Exclusions, Post Office Box 22777, Salt Lake City, Utah,
84122-0777, or fax (801) 517-1014 or e-mail to BLMCX@fs.fed.us.
FOR FURTHER INFORMATION CONTACT: Deb Rawhouser, Group Manager, Planning
and Science Support at (202) 452-0354.
SUPPLEMENTARY INFORMATION: These procedures, which were formerly listed
as 516 DM 6 Apppendix 5 (Currently 516 DM 11) address policy as well as
procedure in order to assure compliance with the spirit and intent of
NEPA. The proposed procedures update BLM's general NEPA process to
incorporate changes in responsibilities, clarify requirements for
public participation, identify the appropriate level of NEPA compliance
for various types of actions, and incorporate new Departmental
requirements. Following the supplementary information is the draft text
of Chapter 11, which contains the revised procedures. Analysis Reports
associated with the proposed CXs will be posted at: https://www.doi.gov/
oepc and www.blm.gov/planning.
The following is an overview of the all the proposed changes to
Chapter 11.
Section 11.1--Purpose is a new section that defines the
reason for this Chapter and also mentions BLM's NEPA handbook for
additional guidance;
Section 11.2--NEPA Responsibility has no major changes;
[[Page 4160]]
Section 11.3 B--Guidance to Applicants has a minor
addition of one new regulation (Wilderness Management 43 CFR 6300) to
provide guidance to applicants to better understand wilderness policy;
Section 11.4--General Requirements is a new section and
addresses general requirements for quality of NEPA documents;
Section 11.5--Plan Performance is a new section that
provides guidance to ensure plan conformance;
Section 11.6--Use of Existing Documentation (Determination
of NEPA Adequacy) is a new section that is used to determine if an
existing NEPA document can be properly relied on and to document that
BLM took the ``hard look'' at whether new circumstances, new
information, or environmental impacts not previously anticipated or
analyzed warrant new analysis or supplementation of existing NEPA
documents;
Section 11.7--Actions Typically Requiring an Environmental
Assessment (EA) is a new section and provides guidance to responsible
officials who are uncertain of the potential for significant impact of
the proposed action and to determine if further analysis is needed to
make the determination;
Section 11.8--Major Actions Normally Requiring an
Environmental Impact Statement (EIS) brings together in one document
the BLM's guidance to responsible officials who must evaluate and
analyze proposals and make decisions on resources; and
Section 11.9--Categorical Exclusions are needed to add
certain routine BLM actions to the list of categories of actions that
do not individually or cumulatively have a significant impact on the
environment.
The following are summaries of changes being made by category to
CXs listed in the 1992 Manual. These changes include proposed new,
modified or renumbered CXs (Section 11.9):
A. Fish and Wildlife--No proposed changes to this category. The
public is not asked to comment.
B. Oil, Gas, and Geothermal Energy (formerly Fluid Minerals)--The
title of this section is changed from Fluid Minerals to accurately
encompass geothermal energy in addition to oil and gas. The public is
asked to comment on the proposed CXs numbered B (6)-(8). The three new
CXs are proposed to be added to the existing five CXs. One of the three
CXs is for geophysical exploration. Two of the three proposed CXs are
for geothermal energy actions and are applicable to Nevada only.
The geophysical CX is proposed after reviewing numerous EA analyses
that resulted in Findings of No Significant Impact for these types of
action over time and over different geographic areas. The two
geothermal CXs are being proposed after reviewing several EA analyses.
The data set for the geothermal CXs is limited because geothermal
activities became dormant during the 1990's when oil and gas production
was prevalent and supplies were abundant. For both geophysical
exploration and geothermal activities, the actions do not individually
or cumulatively have significant impacts on the human environment and
do not require additional environmental analysis.
C. Forestry. Four new CXs are proposed to be added to the existing
five CXs. The public is asked to comment on the proposed CXs numbered C
(6)-(9). Proposed CX number (6) is proposed after conducting numerous
EA analyses that resulted in Findings of No Significant Impact for
these types of action over time and over different geographic areas.
These actions do not individually or cumulatively have significant
impacts on the human environment and do not require additional
environmental analysis. Proposed CXs (7)-(9) are identical to existing
USDA Forest Service CXs. After discussions with USDA Forest Service,
and review and analysis of the data used to substantiate their CXs, it
has been determined that it is appropriate for BLM to propose the same
CXs. This is due to the similarity in locale, cover type, scope, and
intensity of BLM's Forestry actions.
D. Rangeland Management. The public is asked to comment on three
proposed CXs numbered D (10)-(12). The CXs are proposed after reviewing
numerous EA analyses that resulted in Findings of No Significant Impact
for these types of routine actions over time and over different
geographic areas. These actions do not individually or cumulatively
have significant impacts on the human environment and do not require
additional environmental analysis. One of the CXs pertains to
vegetation management and cover actions, and is limited in scope and
duration. The other two CXs cover renewal of grazing permits and
issuance of temporary non-renewable grazing permits. The proposed CXs
specify that where a land health assessment and evaluation determines
that grazing is a contributing factor to the failure of land health
standards, the proposed CXs would not be used.
E. Realty. There are no proposed CXs for this category. However,
the CX numbered E (16) was slightly modified to clarify purposes for
acquiring temporary access easements. The public is asked to comment on
the modification of this CX.
F. Solid Minerals. No proposed changes to this category. The public
is not asked to comment.
G. Transportation. The title of this category is changed from
Transportation Signs to Transportation. There are no proposed CXs for
this category. However, three existing CXs numbered G (1)-(3) were
modified by adding the words ``and trails'' after ``existing roads''.
This is because the environmental impact of these actions on or along
trails is not any greater than on or along ``existing roads''. The
public is asked to comment on the modification of these CXs.
H. Recreation Management. This is a new category added to allow for
the incorporation of recreation CXs. The existing Recreation CX found
under category ``J--Other (5)'' is being moved to the new category. The
CX is proposed to be modified and the public is asked to comment on
this modified CX numbered H (1).
I. Emergency Stabilization. This is a new category covering
stabilization activities following natural disasters, not to exceed
4,200 acres, (such as seeding or planting, fence construction, culvert
repair, installation of erosion control devices, repair of roads and
trails, stabilization of cultural heritage sites, and repair or
replacement of minor facilities damaged that are essential to public
health and safety) which are necessary to prevent degradation of land
or resources. The CX is proposed after conducting numerous EA analyses
that resulted in Findings of No Significant Impact for these types of
action over time and over different geographic areas. These actions do
not individually or cumulatively have significant impacts on the human
environment and do not require additional environmental analysis. The
public is asked to comment on the CX numbered I (1).
J. Other. There are no new CXs for this category. One CX from this
category, J (5), was moved to the Recreation Management category. The
number (5) CX slot is now reserved. The public is not asked to comment.
The remaining sections of SUPPLEMENTARY INFORMATION provides an
overview of the proposed changes, and background and procedural
requirements.
Background: The final revised procedures for the Department were
published in the Federal Register on March 8, 2004 (Volume 69, Number
45). These procedures address policy as well
[[Page 4161]]
as procedure in order to assure compliance with the spirit and intent
of NEPA. The procedures for the Department's bureaus are published as
chapters to this DM part. Chapter 11 of the Department's Manual covers
the BLM's procedures.
Procedural Requirements: The following list of procedural
requirements has been assembled and addressed to contribute to this
open review process. Today's publication is a notice of draft, internal
Departmental action and not a rulemaking. However, we have addressed
the various procedural requirements that are generally applicable to
proposed and final rulemaking to show how they would affect this notice
if it were a rulemaking.
Regulatory Planning and Review
Under Executive Order 12866 (58 FR 51735, October 4, 1993) it has
been determined that this action is the implementation of policy and
procedures applicable only to the Department of the Interior and not a
significant regulatory action. These policies and procedures would not
impose a compliance burden on the general economy.
Administrative Procedures Act
This document is not subject to prior notice and opportunity to
comment because it is a general statement of policy and procedure [(5
U.S.C. 553(b)(A)]. However, notice and opportunity to comment is
required by the CEQ Regulations [40 CFR 1507.3(a)].
Regulatory Flexibility Act
This document is not subject to notice and comment under the
Administrative Procedures Act, and, therefore, is not subject to the
analytical requirements of the Regulatory Flexibility Act (5 U.S.C. 601
et seq.). This document provides the Department with policy and
procedures under NEPA and does not compel any other party to conduct
any action.
Small Business Regulatory Enforcement Fairness Act
These policies and procedures do not comprise a major rule under 5
U.S.C. 804(2), the Small Business Regulatory Enforcement Fairness Act.
The document will not have an annual effect on the economy of $100
million or more and is expected to have no significant economic
impacts. Further, it will not cause a major increase in costs or prices
for consumers, individual industries, Federal, State, or local
government agencies, or geographic regions and will [[Page 52596]]
impose no additional regulatory restraints in addition to those already
in operation. Finally, the document does not have significant adverse
effects on competition, employment, investment, productivity,
innovation, or the ability of United States based enterprises to
compete with foreign based enterprises.
Unfunded Mandates Reform Act
In accordance with the Unfunded Mandates Reform Act (2 U.S.C. 1501,
et seq.), this document will not significantly or uniquely affect small
governments. A Small Government Agency Plan is not required. The
document does not require any additional management responsibilities.
Further, this document will not produce a Federal mandate of $100
million or greater in any year, that is, it is not a significant
regulatory action under the Unfunded Mandates Reform Act. These
policies and procedures are not expected to have significant economic
impacts nor will they impose any unfunded mandates on other Federal,
State, or local government agencies to carry out specific activities.
Federalism
In accordance with Executive Order 13132, this document does not
have significant Federalism effects; and, therefore, a Federalism
assessment is not required. The policies and procedures will not have
substantial direct effects on the States, on the relationship between
the Federal government and the States, or on the distribution of power
and responsibilities among the various levels of government. No
intrusion on State policy or administration is expected, roles or
responsibilities of Federal or State governments will not change, and
fiscal capacity will not be substantially, directly affected.
Therefore, the document does not have significant effects or
implications on Federalism.
Paperwork Reduction Act
This document does not require information collection as defined
under the Paperwork Reduction Act. Therefore, this document does not
constitute a new information collection system requiring Office of
Management and Budget (OMB) approval under the Paperwork Reduction Act
(44 U.S.C. 3501 et seq.).
National Environmental Policy Act
The Council on Environmental Quality does not direct agencies to
prepare a NEPA analysis or document before establishing agency
procedures that supplement the CEQ regulations for implementing NEPA.
Agency NEPA procedures are internal procedural guidance to assist
agencies in the fulfillment of agency responsibilities under NEPA, but
are not the agency's final determination of what level of NEPA analysis
is required for a particular proposed action. The requirements for
establishing agency NEPA procedures are set forth at 40 CFR 1505.1 and
1507.3. The determination that establishing categorical exclusions does
not require NEPA analysis and documentation has been upheld in
Heartwood, Inc. v. U.S. Forest Service, 73 F. Supp. 2d 962, 972-73
(S.D. III. 1999), aff'd 230 F.3d 947. 954-55 (7th Cir. 2000).
Essential Fish Habitat
We have analyzed this document in accordance with section 305(b) of
the Magnuson-Stevens Fishery Conservation and Management Act and
determined that issuance of this document will not affect the essential
fish habitat of federally managed species; and, therefore, an essential
fish habitat consultation on this document is not required.
Consultation and Coordination With Indian Tribal Governments
In accordance with Executive Order 13175 of November 6, 2000, and
512 DM 2, we have assessed this document's impact on Tribal trust
resources and have determined that it does not directly affect Tribal
resources since it describes the Department's procedures for its
compliance with NEPA.
Actions Concerning Regulations That Significantly Affect Energy Supply,
Distribution, or Use
Executive Order 13211 of May 18, 2001, requires a Statement of
Energy Effects for significant energy actions. Significant energy
actions are actions normally published in the Federal Register that
lead to the promulgation of a final rule or regulation and may have any
adverse effects on energy supply, distribution, or use. We have
explained above that this document is an internal Departmental Manual
part which only affects how the Department conducts its business under
the National Environmental Policy Act. Revising this manual part does
not constitute rulemaking and, therefore, not subject to Executive
Order 13211.
Actions To Expedite Energy-Related Projects
Executive Order 13212 of May 18, 2001, requires agencies to
expedite energy-related projects by streamlining internal processes
while maintaining safety, public health, and environmental
[[Page 4162]]
protections. Today's publication is in conformance with this
requirement as it promotes existing process streamlining requirements
and revises the text to emphasize this concept (see Chapter 4, subpart
4.16).
Government Actions and Interference With Constitutionally Protected
Property Rights
In accordance with Executive Order 12630 (March 15, 1988) and Part
318 of the Departmental Manual, the Department has reviewed today's
notice to determine whether it would interfere with constitutionally
protected property rights. Again, we believe that as internal
instructions to bureaus on the implementation of the National
Environmental Policy Act, this publication would not cause such
interference.
Authority: NEPA, the National Environmental Quality Improvement
Act of 1970, as amended (42 U.S.C. 4371 et seq.); E.O. 11514, March
5, 1970, as amended by E.O. 11991, May 24, 1977; and CEQ Regulations
40 CFR 1507.3.
Willie R. Taylor,
Director, Office of Environmental Policy and Compliance.
Department of the Interior
Departmental Manual
Effective Date: May 3, 2005.
Series: Environmental Quality.
Part 516: National Environmental Policy Act of 1969.
Chapter 11: Managing the NEPA Process--Bureau of Land Management.
Originating Office: Office of Environmental Policy and Compliance.
516 DM 11
11.1. Purpose
This Chapter provides supplementary requirements for implementing
provisions of 516 DM 1 through 6 for the Department of the Interior's
Bureau of Land Management (BLM). The BLM's National Environmental
Policy Act (NEPA) Handbook (H-1790-1) will provide additional guidance.
11.2. NEPA Responsibility
A. The Director and Deputy Director(s) are responsible for National
Environmental Policy Act (NEPA) compliance for BLM activities.
B. The Assistant Director, Renewable Resources and Planning, is
responsible for policy interpretation, program direction, leadership,
and line management for BLM environmental policy, coordination and
procedures. The Planning, Assessment and Community Support Group, which
reports to the Assistant Director, Renewable Resources and Planning,
has bureau-wide environmental compliance responsibilities. These
responsibilities include program direction for environmental compliance
and ensuring the incorporation and integration of the NEPA compliance
process into BLM environmental documents.
C. The Director, National Landscape Conservation System; other
Assistant Directors for Minerals, Realty, and Resource Protection;
Information Resources Management; Communications; are responsible for
cooperating with the Assistant Director, Renewable Resources and
Planning to ensure that the environmental compliance process operates
as prescribed within their areas of responsibility.
D. The Center Directors for the Office of Fire and Aviation and for
the National Science and Technology are also responsible for
cooperating with the Assistant Director, Renewable Resources and
Planning to ensure that the environmental compliance process operates
as prescribed within their areas of responsibility.
E. The State Directors are responsible to the Director/Deputy
Director(s) for overall direction and integration of the NEPA process
into their activities and for NEPA compliance in their States. This
includes managing and ensuring the quality of public notification and
participation, environmental analyses, assigned environmental
documents, and decision documents. Deputy State Directors in each State
office (the title varies from state to state) provides the major staff
support and are the key focal points for NEPA matters at the State
level.
(1) The Field Office Managers are responsible for implementing the
NEPA process at the local level.
11.3. Guidance to Applicants
A. General
(1) For all external proposals, applicants should make initial
contact with the line manager (District Manager, Field Manager, or
State Director) of the office where the affected public lands are
located.
(2) If the application will affect responsibilities of more then
one State Director, an applicant may contact any State Director whose
jurisdiction is involved. In such cases, the Director may assign
responsibility to the Headquarters Office or to one of the State
offices. From that point the applicant will deal with the designated
lead office.
(3) Potential applicants may secure from State Directors a list of
program regulations or other directives/guidance providing advice or
requirements for submission of environmental information. The purpose
of making these regulations known to potential applicants, in advance,
is to assist them in presenting a detailed, adequate and accurate
description of the proposal and alternatives when they file their
application and to minimize the need to request additional information.
This is a minimum list and additional requirements may be identified
after detailed review of the formal submission and during scoping.
(4) Since much of an applicant's planning may take place outside of
BLM's planning system, it is important for potential applicants to
advise BLM of their planning at the earliest possible stage. Early
communication is necessary to properly conduct our stewardship role on
the public lands and to seek solutions to situations where private
development decisions may conflict with public land use decisions.
Early contact will also allow the determination of basic data needs
concerning environmental amenities and values, potential data gaps that
could be filled by the application, and a modification of the list or
requirements to fit local situations. Scheduling of the environmental
analysis process can also be discussed, as well as various ways of
preparing any environmental documents.
B. Regulations
The following partial list provides guidance to applicants on
program regulations which may apply to a particular application. Many
other regulations deal with proposals affecting public lands, some of
which are specific to BLM while others are applicable across a broad
range of Federal programs (e.g., Protection of Historic and Cultural
Programs--36 CFR Part 800).
(1) Resource Management Planning--43 CFR 1610;
(2) Withdrawals--43 CFR 2300;
(3) Land Classification--43 CFR 2400;
(4) Disposition: Occupancy and Use--43 CFR 2500;
(5) Disposition: Grants--43 CFR 2600;
(6) Disposition: Sales--43 CFR 2700;
(7) Use: Rights-of-Way--43 CFR 2800;
(8) Use: Leases and Permits--43 CFR 2900;
(9) Oil and Gas Leasing--43 CFR 3100;
(10) Geothermal Resources Leasing--43 CFR 3200;
(11) Coal Management--43 CFR 3400;
(12) Leasing of Solid Minerals Other than Coal/Oil Shale--43 CFR
3500;
(13) Mineral Materials Disposal--43 CFR 3600;
[[Page 4163]]
(14) Mining Claims under the General Mining Laws--43 CFR 3800;
(15) Grazing Administration--43 CFR 4100;
(16) Wild Free-Roaming Horse and Burro Management--43 CFR 4700;
(17) Forest Management--43 CFR 5000;
(18) Wildlife Management--43 CFR 6000;
(19) Recreation Management--43 CFR 8300; and
(20) Wilderness Management-- 43 CFR 6300.
11.4. General Requirements
The Council on Environmental Quality (CEQ) regulations direct that
Federal agencies shall reduce paperwork and delay (40 CFR 1500.4 &
1500.5) to the fullest extent possible. The information used in any
NEPA analysis must be of high quality. Accurate scientific analysis,
expert agency comments and public scrutiny are essential to
implementing NEPA (40 CFR 1500.1 (b)). Environmental documents should
be written in plain language so they can be understood and should
concentrate on the issues that are truly significant to the action in
question rather than amassing needless detail (40 CFR 1502.8 and
1500.1(b)).
A. To meet the objectives of reducing paperwork and delays:
The responsible official should use incorporation by reference (40
CFR 1502.21); tiering (40 CFR 1502.20); adoption (40 CFR 1506.3); and
supplementing (40 CFR1502.9). The responsible official will avoid
unnecessary duplication of effort and promote cooperation with other
federal agencies that have permitting, funding, approval or other
consultation or coordination requirements associated with the action in
question by using, to the fullest extent possible, adoption of NEPA
analyses and documents and incorporation by reference of relevant
studies and analyses. Cooperation will include, to the fullest extent
possible, the following: common databases, joint planning processes;
joint environmental research and studies; joint public meetings and
hearings; and joint Environmental Assessment (EA) level and joint
Environmental Impact Statement (EIS) level analyses using joint lead or
cooperating agency status.
B. Consultation and Coordination:
During any NEPA process, the responsible official will determine
early in the process the type and level of coordination needed or
desired with a particular person, organization, agency, or Tribe. After
the NEPA process is completed, some level of coordination will often
continue throughout project design, implementation, monitoring, and
evaluation.
C. Eliminating duplication with Tribal, State and Local
governmental procedures (40 CFR 1506.2):
The responsible official will cooperate with Tribal, State and
Local governmental agencies to the fullest extent possible to reduce
duplication between NEPA and State and local requirements in addition
to but not in conflict with those in NEPA. To the fullest extent
possible, such cooperation will include the following: common
databases, joint planning processes; joint environmental research and
studies; joint public meetings and hearings; joint EA-level analyses;
and joint EIS-level analyses.
D. Integrating NEPA with other environmental review requirements:
Wherever feasible, the responsible official will integrate NEPA
requirements with other environmental review and consultation
requirements to reduce paperwork and delays (40 CFR 1500.4(k) and
1500.5(g)).
E. Public involvement:
(1) The importance of involving the public early at the time,
level, and phase of the NEPA analysis process, decision, and
implementation stage, cannot be overstated. Therefore, the public shall
be involved early and continuously as appropriate throughout the NEPA
process. The type and level of public involvement shall be commensurate
with the NEPA analysis needed to make the decision at hand. Management
training for BLM employees hosting a public meeting is addressed in
Section ``H'' below.
(2) Where feasible, implement consensus based decision making.
However, when consensus cannot be reasonably reached, the Bureau has
the exclusive responsibility for making the decision and shall exercise
that responsibility in a timely manner.
F. Limitations on Actions during the NEPA Analysis Process (40 CFR
1506.1):
Once the responsible official has initiated a NEPA analysis process
(EA, EIS, or Categorical Exclusion level) and until a decision document
[Decision Record (DR) or Record of Decision (ROD)] has been signed, no
action concerning the proposal will be taken that would:
(1) Have an adverse environmental impact, or
(2) Limit the choice of reasonable alternatives.
G. Adaptive Management.
Where feasible, implement adaptive management (AM) procedures into
the NEPA, planning and implementation processes. AM is defined in 516
DM 4.16, as ``a system of management practices based on clearly
identified outcomes, monitoring to determine if management actions are
meeting outcomes, and, if not, facilitating management changes that
will best ensure that outcomes are met or to re-evaluate the
outcomes''. Adaptive management recognizes that knowledge about natural
resource systems is sometimes uncertain and is the preferred method of
management in these cases.
H. Management Training (Alternative Dispute Resolution (ADR),
Negotiation or Facilitation).
Departmental guidance contained in Environmental Statement
Memorandum Number ``ESM03-4'', dated July 2, 2003, makes it mandatory
that within three years of the date of this memorandum, any BLM
employee hosting a public meeting for the purpose of addressing NEPA
compliance must have participated in some form of training listed in
ESM03-4, Section 5 ``Management Training''. The training can be
separate or a combination of course topics as listed above at some
stage in their career.
11.5. Plan Conformance
A proposal must be in conformance with an existing BLM land use
plan. This means that it must be specifically provided for in the plan,
or if not specifically mentioned, the proposal must be clearly
consistent with the terms and conditions, decision of the approved plan
or amended plan. If not consistent, the proposal will be rejected or
the BLM will prepare a land use plan amendment.
11.6. Use of Existing Documentation (Determination of NEPA Adequacy)
If it has been determined that existing NEPA documents can be
properly relied on, an administrative record must be established that
clearly documents that the agency took a ``hard look'' at whether new
circumstances, new information, or environmental impacts not previously
anticipated or analyzed warrant new analysis or supplementation of
existing NEPA documents and whether the impact analysis considered
impacts of the proposed action. This review must be accomplished
through an interdisciplinary process that considers the affected
values. The BLM has considerable flexibility in accomplishing the
interdisciplinary analysis; it may vary from the assembly of a full
interdisciplinary team to consultation by the lead staff specialist or
NEPA coordinator with resource specialists assigned to affected
resources.
[[Page 4164]]
A. The worksheet in Appendix 11.2 (pp. 28 to 33) is to be used to
document whether the current proposal conforms to applicable plans and
is adequately analyzed in existing NEPA documents. The signed
conclusion in the worksheet is an interim step in BLM's internal
analysis process and an appealable decision is not made until a ROD is
signed.
B. The documentation is concise but must adequately address the
criteria in the worksheet. Review the relevant parts of the existing
record, including terms, conditions, and mitigation measures, in the
context of existing on-the-ground conditions. The age of the documents
reviewed may indicate that information or circumstances have changed
significantly.
C. Because the land use plan (LUP) must be reviewed first to insure
that the current proposed action is in conformance with the plan, the
worksheet provides for documentation of the results of the LUP review.
If it is determined that the current proposed action does not conform
with the plan, the responsible official may (1) reject the proposal,
(2) modify the proposal to conform to the LUP, or (3) complete
appropriate plan amendments and NEPA compliance before proceeding with
the proposed action.
D. If it is determined that the existing NEPA documentation is
inadequate, the proposal may be removed from further consideration or
the information compiled and worksheet completed to that point will be
used to facilitate the preparation of the appropriate level of NEPA
analysis.
11.7. Actions Typically Requiring an Environmental Assessment (EA)
A. An EA-level analysis should be completed when the responsible
official is uncertain of the potential for significant impact and needs
further analysis to make the determination.
B. An EA is a concise public document that serves to:
(1) Briefly provide sufficient evidence and analysis for
determining whether to prepare an EIS or a Finding of No Significant
Impact (FONSI).
(2) Aid BLM's compliance with NEPA when no EIS is necessary.
(3) Facilitate preparation of an EIS when one is necessary. (40 CFR
1508.9)
C. The following types of BLM actions will typically, although not
exclusively, result in completion of an EA. An EA is completed when
these actions are not categorically excluded or having potentially
significant impacts.
(1) Implementation decisions--actions taken to implement land use
plan decisions: Implementation decisions normally require additional
planning and NEPA analysis, tiered to the land use plan's EIS, and must
conform to land use plan decisions. Implementation decisions are
generally appealable to IBLA under 43 CFR Part 4. Examples of
implementation decisions include establishment of:
1. Allotment-specific permitted-use levels.
2. Livestock grazing systems.
3. Vegetation treatment practices, including weed control.
4. Hazardous fuels reduction and restoration projects.
5. Forest stands treatments.
6. Right-of-way grants.
7. Recreation facilities.
8. Appropriate management levels (AMLs) for wild horses and burros.
(2) Implementation plans, such as recreation activity plans,
cultural resource management plans, habitat management plans, fire
management plans, and coordinated resource project plans, etc.
(3) Approval of resource use permits, such as applications for a
permit to drill (APDs), livestock grazing permits, and timber sales.
D. If, for any of these actions, it is anticipated or determined
that an EA is not needed because of potential impact significance, an
EIS will be prepared and processed in accordance with 40 CFR 1502.
11.8. Major Actions Normally Requiring an EIS
A. An EIS-level analysis should be completed when:
(1) The impacts of an action are potentially significant; or the
impact analysis of an action is likely to be highly controversial.
(2) The action taken is directly related to other actions that if
taken individually would have insignificant impacts, but cumulatively
the actions would cause significant impacts.
B. The following types of bureau actions will normally require the
preparation of an EIS:
(1) Approval of Resource Management Plans.
(2) Proposals for Wilderness, Wild and Scenic Rivers, and National
Historic Scenic Trails.
(3) Approval of regional coal lease sales in a coal production
region.
(4) Decision to issue a coal preference right lease.
(5) Approval of applications to the BLM for major actions in the
following categories:
(a) Sites for steam-electric power plants, petroleum refineries,
synfuel plants, and industrial facilities.
(b) Rights-of-way for major reservoirs, canals, pipelines,
transmission lines, highways and railroads.
(6) Approval of operations that would result in liberation of
radioactive tracer materials or nuclear stimulation.
(7) Approval of any mining operation where the area to be mined,
including any area of disturbance, over the life of the mining plan, is
640 acres or larger in size.
C. If, for any of these actions it is anticipated that an EIS is
not needed based on potential impact significance, an environmental
assessment will be prepared and processed in accordance with 40 CFR
1501.4(e)(2) EIS.
11.9. Categorical Exclusions
The Departmental Manual (516 DM 2.3A (3) and App. 2) requires that
before any action described in the following list of categorical
exclusions is used, the exceptions must be reviewed for applicability
in each case. The proposed action cannot be categorically excluded if
one or more of the exceptions apply, thus requiring either an EA or an
EIS. When no exceptions apply, the following types of bureau actions
normally do not require the preparation of an EA or EIS.
A. Fish and Wildlife
(1) Modification of existing fences to provide improved wildlife
ingress and egress.
(2) Minor modification of water developments to improve or
facilitate wildlife use (e.g., modify enclosure fence, install flood
value, or reduce ramp access angle).
(3) Construction of perches, nesting platforms, islands and similar
structures for wildlife use.
(4) Temporary emergency feeding of wildlife during periods of
extreme adverse weather conditions.
(5) Routine augmentations such as fish stocking, providing no new
species are introduced.
(6) Relocation of nuisance or depredating wildlife, providing the
relocation does not introduce new species into the ecosystem.
(7) Installation of devices on existing facilities to protect
animal life such as raptor electrocution prevention devices.
B. Oil, Gas, and Geothermal Energy
(1) Issuance of future interest leases under the Mineral Leasing
Act of Acquired Lands where the subject lands are already in
production.
(2) Approval of mineral lease adjustments and transfers, including
assignments and subleases.
(3) Approval of unitization agreements, communitization
[[Page 4165]]
agreements, drainage agreements, underground storage agreements,
development contracts, or geothermal Unit or participating area
agreements.
(4) Approval of suspensions of operations, force majeure
suspensions, and suspensions of operations and production.
(5) Approval of royalty determinations such as royalty rate
reductions.
(6) Establishment of terms and conditions and approval of Notices
of Intent to conduct geophysical exploration of oil, gas, or geothermal
resource pursuant to 43 CFR 3150 or 3250 when no road construction is
proposed.
(7) Drilling and subsequent operations of a geothermal well within
a developed field for which a currently approved land use plan and/or
any environmental document prepared pursuant to NEPA analyzed drilling
as a reasonably foreseeable future activity. The application of this
categorical exclusion is limited to Nevada.
(8) Issuance of individual operational permits or licenses
subsequent to or part of a geothermal utilization plan for which any
environmental document prepared pursuant to NEPA analyzed the overall
development of geothermal resources and siting of facilities as part of
an approved utilization plan in accordance with 43 CFR 3272 or
subsequent revisions. The application of this categorical exclusion is
limited to Nevada.
C. Forestry
(1) Land cultivation and silvicultural activities (excluding
herbicide applications) in forest tree nurseries, seed orchards, and
progeny test sites.
(2) Sale and removal of individual trees or small groups of trees
which are dead, diseased, injured, or which constitute a safety hazard,
and where access for the removal requires no more than maintenance to
existing roads.
(3) Seeding or reforestation of timber sales or burn areas where no
chaining is done, no pesticides are used, and there is no conversion of
timber type or conversion of non-forest to forest land. Specific
reforestation activities covered include: seeding and seedling
plantings, shading, tubing (browse protection), paper mulching, bud
caps, ravel protection, application of non-toxic big game repellant,
spot scalping, rodent trapping, fertilization of seed trees, fence
construction around out-planting sites, and collection of pollen,
scions and cones.
(4) Precommercial thinning and brush control using small mechanical
devices.
(5) Disposal of small amounts of miscellaneous vegetation products
outside established harvest areas, such as Christmas trees, wildings,
floral products (ferns, boughs, etc.), cones, seeds, and personal use
firewood.
(6) Falling, bucking, and scaling sample trees (no more than one
tree per acre) to ensure accuracy of timber cruises, using only gas-
powered chainsaws or hand tools, with no road construction, use of
ground-based equipment, or any other manner of timber yarding. The
application of this categorical exclusion is limited to the western
Oregon districts of Coos Bay, Eugene, Medford, Roseburg, and Salem.
(7) Harvesting live trees not to exceed 70 acres, requiring no more
than 0.5 mile of temporary road construction. Do not use this category
for even-aged regeneration harvest or vegetation type conversion. The
proposed action may include incidental removal of trees for landings,
skid trails, and road clearing. Examples include but are not limited
to:
(a) Removing individual trees for sawlogs, specialty products, or
fuelwood; and
(b) Commercial thinning of overstocked stands to achieve the
desired stocking level to increase health and vigor.
(8) Salvaging dead or dying trees not to exceed 250 acres,
requiring no more than 0.5 mile of temporary road construction. The
proposed action may include incidental removal of live or dead trees
for landings, skid trails, and road clearing. Examples include but are
not limited to:
(a) Harvesting a portion of a stand damaged by a wind or ice event
and constructing a short, temporary road to access the damaged trees;
and
(b) Harvesting fire damaged trees.
(9) Commercial and non-commercial sanitation harvesting of trees to
control insects or disease not to exceed 250 acres, requiring no more
than 0.5 mile of temporary road construction, including removal of
infested/infected trees and adjacent live uninfested/uninfected trees
as determined necessary to control the spread of insects or disease.
The proposed action may include incidental removal of live or dead
trees for landings, skid trails, and road clearing. Examples include
but are not limited to:
(a) Felling and harvesting trees infested with southern pine
beetles and immediately adjacent uninfested trees to control expanding
spot infestations;
(b) Removing or destroying trees infested or infected with a new
exotic insect or disease, such as emerald ash borer, Asian longhorned
beetle, or sudden oak death pathogen.
D. Rangeland Management
(1) Approval of transfers of grazing preference.
(2) Placement and use of temporary (not to exceed one month)
portable corrals and water troughs, providing no new road construction
is needed.
(3) Temporary emergency feeding of livestock or wild horses and
burros during periods of extreme adverse weather conditions.
(4) Removal of wild horses or burros from private lands at the
request of the landowner.
(5) Processing (transporting, sorting, providing veterinary care
to, vaccinating, testing for communicable diseases, training, gelding,
marketing, maintaining, feeding, and trimming of hooves of) excess wild
horses and burros.
(6) Approval of the adoption of healthy, excess wild horses and
burros.
(7) Actions required to ensure compliance with the terms of Private
Maintenance and Care Agreements.
(8) Issuance of title to adopted wild horses and burros.
(9) Destroying old, sick, and lame wild horses and burros as an act
of mercy.
(10) Vegetation management activities such as seeding, planting,
invasive plant removal, installation of erosion control devices (e.g.,
mats/straw/chips), and mechanical treatments such as crushing, piling,
thinning, pruning, cutting, chipping, mulching, mowing, and prescribed
fire when the activity is necessary for the management of vegetation on
public lands. Such activities:
Shall not exceed 4,500 contiguous acres per prescribed
fire project and 1,000 acres for other vegetation management projects;
and
Shall be conducted consistent with Bureau and Departmental
procedures;
and applicable land and resource management plans; and
Shall not be conducted in wilderness areas or impair the
suitability of wilderness study areas for preservation as wilderness;
and
Shall not include the use of herbicides or pesticides or
the construction of new permanent roads or other new permanent
infrastructure.
(11) Issuance of livestock grazing permits/leases where:
(a) The grazing allotment(s) has been assessed and evaluated and
the authorized officer documents in a determination that the allotment
is:
(1) Meeting land health standards; or
(2) Not meeting standards solely due to factors other than existing
livestock grazing; or
[[Page 4166]]
(b) Issuing the permit is the result of an administrative action,
such as, but not limited to, changing permit termination date or
permittee/leasee name.
(12) Authorize temporary non-renewable grazing use where the
grazing allotment(s) has been assessed and evaluated and the authorized
officer documents in a determination that the allotment is:
(a) Meeting land health standards; or
(b) Not meeting standards solely due to factors other than existing
livestock grazing. Authorized officer documents that the temporary non-
renewable grazing use will not change the status of land health on the
allotment(s).
E. Realty
(1) Withdrawal extensions or modifications which only establish a
new time period and entail no changes in segregative effect or use.
(2) Withdrawal revocations, terminations, extensions, or
modifications and classification terminations or modifications which do
not result in lands being opened or closed to the general land laws or
to the mining or mineral leasing laws.
(3) Withdrawal revocations, terminations, extensions, or
modifications; classification terminations or modifications; or opening
actions where the land would be opened only to discretionary land laws
and where subsequent discretionary actions (prior to implementation)
are in conformance with and are covered by a Resource Management Plan/
EIS (or plan amendment and EA or EIS).
(4) Administrative conveyances from the Federal Aviation
Administration (FAA) to the State of Alaska to accommodate airports on
lands appropriated by the FAA prior to the enactment of the Alaska
Statehood Act.
(5) Actions taken in conveying mineral interest where there are no
known mineral values in the land, under section 209(b) of the Federal
Land Policy and Management Act of 1976 (FLPMA).
(6) Resolution of class one color-of-title cases.
(7) Issuance of recordable disclaimers of interest under section
315 of FLPMA.
(8) Corrections of patents and other conveyance documents under
section 316 of FLPMA and other applicable statutes.
(9) Renewals and assignments of leases, permits or rights-of-way
where no additional rights are conveyed beyond those granted by the
original authorizations.
(10) Transfer or conversion of leases, permits, or rights-of-way
from one agency to another (e.g., conversion of Forest Service permits
to a BLM Title V Right-of-way).
(11) Conversion of existing right-of-way grants to Title V grants
or existing leases to FLPMA section 302(b) leases where no new
facilities or other changes are needed.
(12) Grants of right-of-way wholly within the boundaries of other
compatibly developed rights-of-way.
(13) Amendments to existing rights-of-way such as the upgrading of
existing facilities which entail no additional disturbances outside the
right-of-way boundary.
(14) Grants of rights-of-way for an overhead line (no pole or tower
on BLM land) crossing over a corner of public land.
(15) Transfer of land or interest in land to or from other Bureaus
or Federal agencies where current management will continue and future
changes in management will be subject to the NEPA process.
(16) Acquire access (temporary or permanent) on existing roads and
trails crossing non-federal lands for purposes of stabilizing hill
sides; stabilizing river banks; removing dead, down or dying trees;
reduction of hazardous fuels; controlling insect infestations; removing
and/or treating noxious or invasive weeds.
(17) Grant of a short rights-of-way for utility service or terminal
access roads to an individual residence, outbuilding, or water well.
(18) Temporary placement of a pipeline above ground.
(19) Issuance of short-term (3 years or less) rights-of-way or land
use authorizations for such uses as storage sites, apiary sites, and
construction sites where the proposal includes rehabilitation to
restore the land to its natural or original condition.
(20) One-time issuance of short-term (3 years or less) rights-of-
way or land use authorizations which authorize trespass action where no
new use or construction is allowed, and where the proposal includes
rehabilitation to restore the land to its natural or original
condition.
F. Solid Minerals
(1) Issuance of future interest leases under the Mineral Leasing
Act for Acquired Lands where the subject lands are already in
production.
(2) Approval of mineral lease readjustments, renewals and transfers
including assignments and subleases.
(3) Approval of suspensions of operations, force majeure
suspensions, and suspensions of operations and production.
(4) Approval of royalty determinations such as royalty rate
reduction and operations reporting procedures.
(5) Determination and designation of logical mining units (LMUs).
(6) Findings of completeness furnished to the Office of Surface
Mining Reclamation and Enforcement for Resource Recovery and Protection
Plans.
(7) Approval of minor modifications to or minor variances from
activities described in an approved exploration plan for leasable,
salable and locatable minerals (e.g., the approved plan identifies no
new surface disturbance outside the areas already identified to be
disturbed).
(8) Approval of minor modifications to or minor variances from
activities described in an approved underground or surface mine plan
for leasable minerals (e.g., change in mining sequence or timing).
(9) Digging of exploratory trenches for mineral materials, except
in riparian areas.
(10) Disposal of mineral materials such as sand, stone, gravel,
pumice, pumicite, cinders, and clay, in amounts not exceeding 50,000
cubic yards or disturbing more than 5 acres, except in riparian areas.
G. Transportation
(1) Placing existing roads and trails in any transportation plan
when no new construction or upgrading is needed.
(2) Installation of routine signs, markers, culverts, ditches,
waterbars, gates, or cattleguards on/or adjacent to existing roads and
trails.
(3) Temporary closure of existing roads and trails.
(4) Placement of recreational, special designation or information
signs, visitor registers, kiosks and portable sanitation devices.
H. Recreation Management
(1) Issuance of Special Recreation Permits for day use or overnight
use up to 7 consecutive nights that impact no more than 3 contiguous
acres; and/or for recreational activities in travel management areas or
networks that are designated in an approved land use plan.
I. Emergency Stabilization
Planned actions in response to wildfires, floods, weather events,
earthquakes, or landslips that threaten public health or safety,
property, and/or natural and cultural resources, and that are necessary
to repair or improve lands
[[Page 4167]]
unlikely to recover to a management approved condition as a result of
the event. Such activities shall be limited to: repair and installation
of essential erosion control structures; replacement or repair of
existing culverts, roads, trails, fences, and minor facilities;
construction of protection fences; planting, seeding, and mulching; and
removal of hazard trees, rocks, soil, and other mobile debris from, on
or along roads, trails, campgrounds, and watercourses.
These activities:
(a) Shall be completed within one year following the event;
(b) Shall not include the use of herbicides or pesticides;
(c) Shall not include the construction of new roads or other new
permanent infrastructure;
(d) Shall not exceed 4,200 acres; and (e) shall be conducted
consistent with Bureau and Departmental procedures and applicable land
and resource management plans.
J. Other
(1) Maintaining plans in accordance with 43 CFR 1610.5-4.
(2) Acquisition of existing water developments (e.g., wells and
springs) on public land.
(3) Conducting preliminary hazardous materials assessments and site
investigations, site characterization studies and environmental
monitoring. Included are siting, construction, installation and/or
operation of small monitoring devices such as wells, particulate dust
counters and automatic air or water samples.
(4) Use of small sites for temporary field work camps where the
sites will be restored to their natural or original condition within
the same work season.
(5) Reserved.
(6) A single trip in a one month period for data collection or
observation sites.
(7) Construction of snow fences for safety purposes or to
accumulate snow for small water facilities.
(8) Installation of minor devices to protect human life (e.g.,
grates across mines).
(9) Construction of small protective enclosures including those to
protect reservoirs and springs and those to protect small study areas.
(10) Removal of structures and materials of nonhistorical value,
such as abandoned automobiles, fences, and buildings, including those
built in trespass and reclamation of the site when little or no surface
disturbance is involved.
(11) Actions where BLM has concurrence or coapproval with another
DOI agency and the action is categorically excluded for that DOI
agency.
Appendix 11.1
Using the Documentation NEPA Adequacy Worksheet and Evaluating the
NEPA Adequacy Criteria
This worksheet replaces the worksheet contained in the
Instruction Memorandum entitled ``Documentation of Land Use Plan
Conformance and National Environmental Policy Act (NEPA) Adequacy.''
During preparation of the worksheet, if you determine that one or
more of the criteria are not met, you do not need to complete the
worksheet. If one or more of these criteria are not met, you may
reject the proposal, modify the proposal or complete appropriate
NEPA compliance (EA, EIS, Supplemental EIS, or CX if applicable) and
plan amendments before proceeding with the proposed action.
Worksheet: Documentation of Land Use Plan Conformance and NEPA
Adequacy (DNA)
U.S. Department of the Interior; Bureau of Land Management (BLM)
OFFICE:
TRACKING NUMBER:
CASEFILE/PROJECT NUMBER:
PROPOSED ACTION TITLE/TYPE:
LOCATION/LEGAL DESCRIPTION:
APPLICANT (if any):
A. Description of the Proposed Action
B. Land Use Plan (LUP) Conformance
LUP Name*-------------------------------------------------------------
Date Approved---------------------------------------------------------
Other document--------------------------------------------------------
Date Approved---------------------------------------------------------
Other document--------------------------------------------------------
Date Approved---------------------------------------------------------
* List applicable LUPs (e.g., Resource Management Plans and
activity, project, management, or program plans, or applicable
amendments thereto):
The proposed action is in conformance with the applicable LUP
because it is specifically provided for in the following LUP
decisions:
The proposed action is in conformance with the LUP, even though
it is not specifically provided for, because it is clearly
consistent with the following LUP decisions (objectives, terms, and
conditions):
C. Identify Applicable National Environmental Policy Act (NEPA)
Documents and Other Related Documents That Cover the Proposed
Action
List by name and date all applicable NEPA documents that cover
the proposed action.
List by name and date other documentation relevant to the
proposed action (e.g., biological assessment, biological opinion,
watershed assessment, allotment evaluation, and monitoring report).
D. NEPA Adequacy Criteria
1. Is the new proposed action a feature of, or essentially
similar to, the proposed action or the selected alternative analyzed
in the existing NEPA document(s)?
Documentation of answer and explanation:
2. Is the range of alternatives analyzed in the existing NEPA
document(s) appropriate with respect to the new proposed action,
given current environmental concerns, public interest, and resource
values?
Documentation of answer and explanation:
3. Is the existing analysis adequate in light of any new
information or circumstances (i.e. rangeland health standards
assessments; recent Endangered Species listings; updated lists of
BLM Sensitive Species)?
Documentation of answer and explanation:
4. Can you conclude without additional analysis or information
that the direct, indirect, and cumulative impacts that would result
from implementation of the current proposed action are similar to
those analyzed in the existing NEPA document(s)?
Documentation of answer and explanation:
E. Persons/Agencies /BLM Staff Consulted
Name-------------------------------------------------------------------
Title------------------------------------------------------------------
Resource/Agency Represented
Note: Refer to the EA/EIS for a complete list of the team
members participating in the preparation of the original
environmental analysis or planning documents.
Conclusion
[msqu] Based on the review documented above, I conclude that this
proposal conforms to the applicable land use plan and that the NEPA
documentation fully covers the proposed action and constitutes the
BLM's compliance with the requirements of NEPA.
Note: If you found that one or more of these criteria is not
met, you will not be able to check this box.
Signature of Project Lead:--------------------------------------------
Signature of NEPA Coordinator:----------------------------------------
Signature of the Responsible Official:--------------------------------
Date:-----------------------------------------------------------------
Note: The signed Conclusion on this Worksheet is part of an
interim step in the BLM's internal decision process and does not
constitute an appealable decision. However, the lease, permit, or
other authorization based on this DNA, is subject to protest or
appeal under 43 CFR Part 4 and the program-specific regulations.
[FR Doc. E6-775 Filed 1-24-06; 8:45 am]
BILLING CODE 4310-84-P