Approval and Promulgation of Implementation Plans; Wisconsin; General and Registration Permit Programs, 5979-5985 [06-1030]
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Incorporation by Reference
(h) Unless otherwise specified in this AD,
the actions must be done in accordance with
EMBRAER Service Bulletin 145–53–0027,
Revision 03, dated February 5, 2004; and
SICMA Aero Seat Service Bulletin 147–25–
020, Issue 2, dated December 22, 2003; as
applicable. (Pages 6, 8, 10, 12, 14, 16, 18, 20,
22, 24, 26, and 28 of EMBRAER Service
Bulletin 145–53–0027 specify an incomplete
document date; the date on those pages
should read ‘‘05/Feb/2004.’’) This
incorporation by reference was approved by
the Director of the Federal Register in
accordance with 5 U.S.C. 552(a) and 1 CFR
part 51. To get copies of this service
information, contact Empresa Brasileira de
Aeronautica S.A. (EMBRAER), P.O. Box
343—CEP 12.225, Sao Jose dos Campos—SP,
Brazil; or SICMA Aero Seat, 7 Rue Lucien
Coupet, 36100 ISSOUDUN, France. To
inspect copies of this service information, go
to the FAA, Transport Airplane Directorate,
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Washington; or to the National Archives and
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Note 4: The subject of this AD is addressed
in Brazilian airworthiness directive 2002–09–
01R1, effective June 2, 2004.
Effective Date
(i) This amendment becomes effective on
March 13, 2006.
Issued in Renton, Washington, on January
24, 2006.
Ali Bahrami,
Manager, Transport Airplane Directorate,
Aircraft Certification Service.
[FR Doc. 06–990 Filed 2–3–06; 8:45 am]
FOR FURTHER INFORMATION CONTACT:
Joyce A. Strong, Office of Policy (HF–
27), Food and Drug Administration,
5600 Fishers Lane, rm. 12A–31,
Rockville, MD 20857, 301–827–7010.
This
document amends FDA’s regulations to
reflect the address change of the DAB by
removing the outdated address in
§ 17.47(a) (21 CFR 17.47(a)) and by
adding the new address in its place.
Publication of this document
constitutes final action on these changes
under the Administrative Procedure Act
(5 U.S.C. 553). Notice and public
procedures are unnecessary because
FDA is merely correcting
nonsubstantive errors.
SUPPLEMENTARY INFORMATION:
List of Subjects in 21 CFR Part 17
Administrative practice and
procedure, Penalties.
Therefore, under the Federal Food,
Drug, and Cosmetic Act and under
authority delegated to the Commissioner
of Food and Drugs, 21 CFR part 17 is
amended as follows:
I
PART 17—CIVIL MONEY PENALTIES
HEARINGS
1. The authority citation for 21 CFR
part 17 continues to read as follows:
I
Authority: 21 U.S.C. 331, 333, 337, 351,
352, 355, 360, 360c, 360f, 360i, 360j, 371; 42
U.S.C. 262, 263b, 300aa–28; 5 U.S.C. 554,
555, 556, 557.
§ 17.47
[Amended]
BILLING CODE 4910–13–P
2. Section 17.47 is amended in
paragraph (a) by removing ‘‘rm. 637–D,
Hubert H. Humphrey Bldg., 200
Independence Ave. SW., Washington,
DC 20201’’ and by adding in its place
‘‘Appellate Division MS6127,
Departmental Appeals Board, United
States Department of Health and Human
Services, 330 Independence Ave. SW.,
Cohen Bldg., rm. G–644, Washington,
DC 20201’’.
I
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
Food and Drug Administration
21 CFR Part 17
Change of Address; Technical
Amendment
AGENCY:
Food and Drug Administration,
HHS.
Final rule; technical
amendment.
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ACTION:
SUMMARY: The Food and Drug
Administration (FDA) is amending its
regulations to reflect a change in the
address for the Departmental Appeals
Board (DAB). This action is editorial in
nature and is intended to improve the
accuracy of the agency’s regulations.
DATES: This rule is effective February 6,
2006.
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Dated: January 30, 2006.
Jeffrey Shuren,
Assistant Commissioner for Policy.
[FR Doc. 06–1040 Filed 2–3–06; 8:45 am]
BILLING CODE 4160–01–S
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5979
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR PART 52
[EPA–R05–OAR–2005–WI–0003; FRL–8020–
1]
Approval and Promulgation of
Implementation Plans; Wisconsin;
General and Registration Permit
Programs
Environmental Protection
Agency (EPA).
ACTION: Final rule.
AGENCY:
SUMMARY: EPA is taking final action to
approve revisions to the Wisconsin
State Implementation Plan (SIP)
submitted by the State of Wisconsin on
July 28, 2005. These revisions include
General and Registration permit
programs that provide for the issuance
of general and registration permits as
part of the State’s construction permit
and operation permit programs. In
addition, these permit programs may
include the regulation of hazardous air
pollutants (HAPs) which may be
regulated under section 112 of the Clean
Air Act (the Act). Thus, EPA is also
approving Wisconsin’s general and
registration permit program under
section 112(l) of the Act.
These SIP revisions also contain
changes to definitions related to
Wisconsin’s air permit program, as well
as a minor technical change to provide
correct references to the updated
chapter NR 445, which was
inadvertently omitted in the processing
of that rule package. Additionally, these
revisions clarify an existing
construction permit exemption and
operation permit exemption for certain
grain storage and drying operations.
This clarification is necessary to ensure
that column dryers and rack dryers are
included in the exemption criteria.
DATES: This final rule is effective on
March 8, 2006.
ADDRESSES: EPA has established a
docket for this action under Docket ID
No. EPA–R05–OAR–2005–WI–0003. All
documents in the docket are listed on
the https://www.regulations.gov Web
site. Although listed in the index, some
information is not publicly available,
i.e., Confidential Business Information
(CBI) or other information whose
disclosure is restricted by statute.
Certain other material, such as
copyrighted material, is not placed on
the Internet and will be publicly
available only in hard copy form.
Publicly available docket materials are
available either electronically through
https://www.regulations.gov or in hard
copy at the Environmental Protection
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Federal Register / Vol. 71, No. 24 / Monday, February 6, 2006 / Rules and Regulations
Agency, Region 5, Air and Radiation
Division, 77 West Jackson Boulevard,
Chicago, Illinois 60604. This facility is
open from 8:30 a.m. to 4:30 p.m.,
Monday through Friday, excluding
Federal holidays. We recommend that
you telephone Susan Siepkowski,
Environmental Engineer, at (312) 353–
2654 before visiting the Region 5 office.
FOR FURTHER INFORMATION CONTACT:
Susan Siepkowski, Environmental
Engineer, Air Permit Section, Air
Programs Branch (AR–18J), U.S.
Environmental Protection Agency,
Region 5, 77 West Jackson Boulevard,
Chicago, Illinois 60604, (312) 353–2654,
siepkowski.susan@epa.gov.
SUPPLEMENTARY INFORMATION:
Throughout this document whenever
‘‘we,’’ ‘‘us,’’ or ‘‘our’’ is used, we mean
EPA. This supplementary information
section is arranged as follows:
I. Background Information for Today’s
Action.
II. What Comments Did We Receive and
What Are Our Responses?
III. What Action Is EPA Taking Today?
IV. Statutory and Executive Order Reviews.
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I. Background Information for Today’s
Action
On September 20, 2005, EPA
published a proposal to approve
Wisconsin’s July 28, 2005 SIP revision
request, pertaining to registration and
general permits. (70 FR 55062). This
revision provides for the issuance of
general and registration permits as part
of the State’s construction permit and
operation permit programs. It also
proposed to approve Wisconsin’s
general and registration permit program
under section 112(l) of the Act, changes
to definitions related to Wisconsin’s air
permit program, and clarifications to
permit exemptions for certain grain
storage and drying operations. EPA
provided in the proposal a summary of
these revisions as well as its analysis for
determining whether the revisions
complied with Federal requirements.
In the proposal EPA solicited
comments, which were due October 20,
2005. EPA received one timely adverse
comment on the proposed rule. A copy
of this comment letter is available in the
RME Docket, both electronically and a
hard copy. A summary of the comments
received and our responses are
discussed in the section below.
II. What Comments Did We Receive and
What Are Our Responses?
The comments EPA received on the
September 20, 2005, proposal object to
giving final approval to Wisconsin’s
registration and general permit
programs. Some of the comments
pertain to the draft registration permit
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templates recently public noticed by
WDNR. We will address in this
rulemaking only the comments
pertaining to the September 20, 2005,
proposal. The following is a summary of
the comments received and our
responses.
Comment: Contrary to EPA’s
proposed rule, Wisconsin’s proposed
general and registration permit program
is not limited to ‘‘Nonmetallic mineral
processing plants, asphalt plants, small
natural gas fired generators, small
heating units, printing presses, and
hospital sterilization equipment.’’
Response: The proposal stated,
‘‘Categories of sources that are or could
be eligible for general permits include
nonmetallic mineral processing plants,
asphalt plants, small natural gas fired
generators, small heating units, printing
presses and hospital sterilization
equipment.’’ The proposal did not state
that these were the only sources eligible,
nor did it state the list was inclusive.
The list was only meant to provide
examples of source types that WDNR
had given as examples in its proposal.
Comment: The proposed changes do
not comply with the requirements of 40
CFR Part 51, section 110 of the Act and
fail to ensure the protection of the
National Ambient Air Quality Standards
(NAAQS). 40 CFR 51.160 requires states
to have legally enforceable procedures
to prevent construction or modification
of a source if it would violate any
control strategies in the SIP or interfere
with attainment or maintenance of the
NAAQS. NR 406.11(1)(g), the proposed
provision that would prevent coverage
for sources that cause or exacerbate a
NAAQS (or increment) does not actually
include a pre-construction
determination of air quality impacts.
The air quality review in this provision
is retrospective, not prospective preconstruction review.
The general and registration permits
being proposed allow construction or
modification in areas of the state with
very different existing background air
pollution concentrations, number of
sources, and terrain. There can be no
pre-permit air analysis that will
determine whether air quality standards
will be violated by any specific source
that will construct or modify under a
general or registration permit.
Additionally, there is no limit on the
emission rate or the number of sources
that can be covered by a general or
registration permit. As a result, a large
number of relatively-small sources can
locate into the same area and,
cumulatively, cause a violation of
NAAQS, or a facility can emit large
quantities of pollutants over a short
period of time.
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Response: WDNR must assure that
these permit programs do not violate the
NAAQS. WDNR is requiring the
applicant to perform an air dispersion
modeling analysis as part of its
application for coverage. The analysis
must include modeling for all criteria
pollutants; however, because there are
no increments for volatile organic
compounds (VOC) (a pre-curser to
ozone), an applicant must submit an
analysis for VOC only if the emissions
are above the major source threshold for
permitting. Regarding ozone, ‘‘No
significant ambient impact
concentration has been established.
Instead, any net emissions increase of
100 tons per year of VOC subject to PSD
would be required to perform an
ambient impact analysis.’’ 1990 New
Source Review Workshop Manual, Page
C.28, footnote b. However, because the
pollutant of concern is ozone and the
standard Gaussian models used for PSD
(i.e., ISCST3 or AERMOD) don’t
estimate ozone concentrations,
determining ozone impacts from
individual sources is difficult. Thus,
states often use another type of analysis
for VOC.
Upon receipt of the application and
analysis, the WDNR has 15 days to
determine whether the source is eligible
for coverage under a general or
registration construction permit, as
provided in NR 406.16(3)(c) and
407.17(4)(c).
NR 406.11(1)(g) provides that the
source may conduct the air quality
determination after the determination
that the source is covered under the
general or registration construction
permit. However, NR 406.16(2)(c) and
406.17(3) also provide that if an
emissions unit or units cause or
exacerbate, or may cause or exacerbate,
a violation of any ambient air quality
standard or ambient air increment, a
source is ineligible for coverage under
the general or registration construction
permit. By requiring the permittee to
submit a modeling analysis, combined
with these provisions in NR 406, WDNR
will ensure that a source will not violate
the NAAQS.
Further, nothing in the proposed
revisions relieves any source from the
requirement to submit its yearly
emissions for inclusion in the emissions
inventory. A note in the rule after
section NR 406.17(4)(e) and
407.105(4)(e) states, ‘‘Note: The permit
terms and conditions may include
capture and control efficiencies. The Air
Emissions Management System (AEMS)
requires the owner or operator of a
source to calculate actual annual
emissions for reporting to the inventory
using the terms and conditions in a
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permit.’’ The data in the emissions
inventory is also used for purposes of
determining compliance with NAAQS.
Comment: Even when the WDNR
revokes a permit due to a violation of
NAAQS or an increment, the violating
source is authorized to continue
operating under the general or
registration permit until a subsequent
permit is issued. NR 406.11(1)(g)(2)
provides that the permittee is ‘‘deemed
to be in compliance with the
requirement to obtain a construction
permit until the department takes final
action on a subsequent application for a
construction permit. . .’’
Section NR 407.105 of the proposed
revisions, also allow a facility to be
deemed ‘‘in compliance’’ with the SIP
for 90 days even if the facility did not
determine that a SIP requirement
applied and is not in compliance with
the limit. Additionally, the ‘‘safe
harbor’’ language in the proposed
provision is essentially a permit shield,
which extends to requirements which
were never included specifically in a
permit, either as an applicable
requirement or in a non-applicability
determination.
Response: Since EPA’s September 20,
2005, proposed approval of this rule,
WDNR has withdrawn provisions NR
406.11(1)(g)(2), 407.105(7), and
407.15(8)(b) for inclusion in its SIP.
Comment: The proposed changes do
not comply with the public
participation requirements and
procedures required by 40 CFR parts 51
and 70. The public notice and comment
procedure required by part 51 is not
satisfied by merely allowing notice and
comment on a generic permit, which
WDNR later applies to specific facilities.
The required public notice and
comment process requires public
inspection of the information provided
by the applicant and the agency’s
analysis of the effect on air quality.
There is no provision in the proposed
general and registration permit program
whereby the public gets notice and the
ability to comment on ‘‘the information
submitted by the owner or operator and
of the State or local agency’s analysis of
the effect on air quality.’’ 40 CFR
51.161(b).
Further, proposed section NR
406.16(1)(c) states that ‘‘the procedural
requirements in s. 285.61(2) to (8),
Stats., do not apply to the determination
of whether an individual source is
covered by a general construction
permit for a source category.’’ Proposed
section NR 406.17(1)(b) contains similar
language for registration permits.
In addition, the general part 70
permits don’t comply with the public
notice requirements of part 70. The
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WDNR must provide the public with,
inter alia: the identity of the affected
facility; the name and address of the
permittee; the name and address of the
permitting authority processing the
permit; the activity or activities
involved in the permit action; the
emissions change involved in any
permit modification; the name, address,
and telephone number of a person from
whom interested persons may obtain
additional information, including copies
of the permit draft, the application, all
relevant supporting materials, and all
other materials available to the
permitting authority that are relevant to
the permit decision. The Act also
requires application materials,
including compliance certification and
compliance plans, to be made public.
Response: As discussed in the
proposal, EPA has determined that, in
cases where standardized permits have
been adopted, EPA and the public need
not be involved in their application to
individual sources as long as the
standard permits themselves have been
subject to notice and opportunity to
comment. Specifically, EPA’s January
25, 1995 memorandum ‘‘Guidance on
Enforceability Requirements for
Limiting Potential to Emit through SIP
and § 112 Rules and General Permits’’
states that ‘‘since the rule establishing
the program does not provide the
specific standards to be met by the
source, each general permit, but not
each application under each general
permit, must be issued pursuant to
public and EPA notice and comment.’’
P.10
EPA’s April 14, 1998, guidance from
John S. Seitz, ‘‘Potential to Emit (PTE)
Guidance for Specific Source
Categories’’ states, ‘‘There are two
overall approaches that States and local
agencies can use to establish enforceable
emission limits* * * Under the second
approach, generally appropriate for less
complex sources, States and local
agencies create a standard set of terms
and conditions for many similar sources
at the same time. The terms air quality
agencies use to describe this approach
include ‘‘general permits,’’ ‘‘prohibitory
rules,’’ ‘‘exclusionary rules,’’ and
‘‘permits-by-rule.’’ (From this point on,
rather than to repeat each of these terms,
this guidance will use the term
‘‘prohibitory rule’’ for the latter three
terms.)’’ This guidance further states,
‘‘State ‘‘prohibitory rules’’ are similar to
general permits, but States or local
agencies put them in place with a
regulation development process rather
than a permitting process.’’
Additionally, EPA’s January 25, 1995,
Memorandum from John S. Seitz,
‘‘Options for Limiting the Potential to
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5981
Emit (PTE) of a Stationary Source Under
Section 112 and Title V of the Clean Air
Act’’, states, ‘‘A concept similar to the
exclusionary rule is the establishment of
a general permit for a given source type.
A general permit is a single permit that
establishes terms and conditions that
must be complied with by all sources
subject to that permit. The
establishment of a general permit
provides for conditions limiting
potential to emit in a one-time
permitting process, and thus avoids the
need to issue separate permits for each
source within the covered source type
or category.’’
The State of Massachusetts,
‘‘Summary of Comments and Responses
to Comments from Public Hearing on
Proposed Amendments to 310 CMR
7.00’’, to which the commenters cite,
states, ‘‘EPA interprets its regulations at
40 CFR 51.160 to require that all
proposed sources undergo full permit
review before construction, with the
exception of sources constructed
pursuant to prohibitory rules.’’
EPA has stated in guidance that
prohibitory rules and general permits
are essentially similar, and that neither
require individual permit review. Thus,
a one-time permit process can be used
if the general permit receives full
review. While EPA’s guidance
documents pertaining to general permits
generally apply to operation permits,
the concept can also be applied to
general construction permits, as these
are similar to construction pursuant to
prohibitory rules. Every general permit
issued to a source would not need to go
through full review if the general permit
did, provided certain materials are still
made available to the public.
WDNR must make available to the
public all of the permit information
listed in parts 51 and 70. Similar to the
construction and operation permits
WDNR issues, the registration and
general permits will also be available on
a WDNR Web site. An up-to-date list of
sources covered by registration or
general permits, with all of the required
permittee and facility information, as
well the electronic application, will be
available to view on-line. In addition,
anyone can request to view any permit
related materials by contacting the
WDNR.
Regarding NR 406.16(1)(c) which
states that, ‘‘The department may issue
the general construction permit if the
applicable criteria in s. 285.63, Stats.,
are met. The procedural requirements in
s. 285.61(2) to (8), Stats., do not apply
to the determination of whether an
individual source is covered by a
general construction permit for a source
category.’’ There is a note that follows
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this section which states, ‘‘The statutes
cited above require that when issuing a
general construction permit, the
department distribute a notice of the
availability of the proposed general
construction permit and of the
department’s analysis and preliminary
determination, a notice of the
opportunity for public comment and a
notice of the opportunity to request a
public hearing. There will be a 30-day
public comment period and the
department may hold a public hearing
within 60 days after the deadline for
requesting one.’’
Wisconsin Stat. 285.63, which
contains the criteria for permit approval,
requires the source to meet all
applicable emission limitations; and
prohibits the source from violating or
exacerbating an air quality standard or
ambient air increment, and from
precluding construction or operation of
other sources. Wisconsin Stat. 285.61(2)
to (8) contains the procedural
requirements for construction permit
application and review, and requires the
WDNR to: prepare an analysis regarding
the effect of the proposed construction,
distribute and publicize the analysis
and a notice of the opportunity to
request a public hearing, receive public
comments, and hold a public hearing on
the construction permit if requested.
As discussed above, because the
general permit will go through the
procedures in Stat. 285, these
procedures will not be required each
time the general permit is issued to a
specific source.
Comment: The proposed revisions
allow the WDNR to determine that the
requirements of NR 424.03(2)(a) or (b)
are technologically infeasible for every
source that will potentially be covered
under a general or registration permit.
Provision NR 424.03 requires WDNR to
determine whether 85% reduction of
VOCs is technologically infeasible.
Response: NR 406.16(1)(d) states,
‘‘* * * Notwithstanding the
requirement in s. NR 424.03(2)(c) to
determine the latest available control
techniques and operating practices
demonstrating best current technology
(LACT) for a specific process line, the
department may include conditions in
the general construction permit that
represent LACT, if the requirements of
s. NR 424.03(2)(a) or (b) are determined
to be technologically infeasible.’’
Similar language is included in and
406.17(1)(d), 407.10(1)(d), and
407.105(1)(c).
Wisconsin Stat. NR 424.03 requires
85% control of VOCs for certain
sources. NR 424.03(2)(b)(2) states,
‘‘Where 85% control has been
demonstrated to be technologically
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infeasible for a specific process line,
control organic compound emissions by
the use of the latest available control
techniques and operating practices
demonstrating best current technology,
as approved by the Department.’’ NR
424.03(3) further states, ‘‘Surface
coating and printing processes subject to
the requirements of this section may
instead elect, with the approval of the
Department, to meet the emission
limitations of s. NR 422.01 to 422.155,
notwithstanding ss. NR 422.03(1), (2),
(3) or (4) and 425.03, provided that: (a)
The process line meets the specific
applicability requirements of ss. NR
422.05 to 422.155; and (b) The owner or
operator submits a written request to the
department * * *’’ (NR 422.01 to
422.155 provides specific conditions for
the control of VOC emissions for various
types of surface coating, printing and
asphalt surfacing operations.)
Wisconsin’s rule 424.03(2)(b)(2) does
not require a case-by-case or permit-bypermit analysis, and gives the WDNR
the authority to made such
determinations. The WDNR is making
such a determination for the general
construction permits. EPA believes this
is consistent with Wisconsin’s authority
under 424.03.
Comment: The proposed rule
provides that no construction permit is
required if construction, reconstruction,
or modification does not violate the
term of a general operating permit.
However, many requirements in the
Wisconsin SIP are triggered, and
become more stringent, when a source
is modified or reconstructed. The
proposed NR 407.10(4) does not prevent
construction and modification, but does
not require compliance with the more
stringent SIP limits, which may become
applicable, such as opacity. In fact, it
does not require the source to notify the
WDNR or EPA that it made the change.
Instead, the proposed NR 407.10(4)
merely requires the source to comply
with the existing SIP limit.
Response: If a source with a general
permit becomes subject to an applicable
requirement, such as an opacity limit,
that is different from the limit included
in the general permit, or that is not
included in the general permit, then the
source no longer qualifies for that
general permit. NR 407.10(4)(a)(1)
provides, ‘‘Notwithstanding the
provisions in s. NR 406.04(1) and (2), no
construction permit is required prior to
commencing construction,
reconstruction, replacement, relocation
or modification of a stationary source if
the source is covered under a general
operation permit and all of the
following criteria are met: 1. The
construction, reconstruction,
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replacement, relocation or modification
will not result in the source violating
any term or condition of the general
operation permit.’’
Furthermore, if construction causes a
new requirement to become applicable
that is not in the general permit, the
source would no longer be eligible for
the general permit and would need to
apply for another permit. NR
407.10(3)(b) provides ‘‘(b) An owner or
operator of a stationary source who
requests or requires emission limits,
terms or conditions other than, or in
addition to, those contained in the
general operation permit shall apply for
a different type of permit.’’ (Emphasis
added.) Further, coverage under a
general permit does not preclude a
source from complying with Stat.
285.63, which requires sources to
comply with all applicable
requirements.
Comment: The operating permit
program will not require that all
emissions, limitations, controls and
other requirements imposed by such
permits will be at least as stringent as
any other applicable imitation or
requirement contained in the SIP.
Further, the rules and the draft
permits already issued by WDNR under
the proposed SIP revision do not
identify what limits, controls and
requirements apply to a source. Instead,
the permit requires the owner or
operator to ‘‘meet all applicable air
pollution requirements in ch. 285, Wis.
Stats., and chs. NR 400–NR 499, and
therefore, there is no way for the
requirement to be enforced.
Response: The registration and
general permit rule is not a prohibitory
rule and, thus, the permits, not the rule
itself, will contain the emissions
limitations, controls and other
requirements applicable to the source.
The rule requires the operation permits
to contain these conditions, and NR
407.105(1)(c) provides, ‘‘The registration
operation permit shall contain
applicability criteria, emission caps and
limitations, monitoring and record
keeping requirements, reporting
requirements, compliance
demonstration methods and general
conditions appropriate for determining
compliance with the terms and
conditions of the registration operation
permit. The permit terms and
conditions shall be those required to
comply with the Act and those required
to assure compliance with applicable
provisions in ch. 285, Stats., and chs.
NR 400 to 499.’’ NR 407.10(1)(d) also
provides, ‘‘The general operation permit
shall contain applicability criteria,
emission limits, monitoring and record
keeping requirements, reporting
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requirements, compliance
demonstration methods and general
conditions applicable to the stationary
source category. The permit terms and
conditions shall be those required to
comply with the Act and those required
to assure compliance with applicable
provisions in ch. 285, Stats., and chs.
NR 400 to 499.’’
As discussed in the previous
response, coverage under a general or
registration permit does not preclude a
source from complying with Stat.
285.63, which requires sources to
comply with all applicable
requirements. Therefore, the permits
must contain conditions that will be at
least as stringent as any other applicable
imitation or requirement contained in
the SIP.
Comment: The proposed permit
programs do not ensure that limitations,
controls, and requirements are
permanent, quantifiable, and otherwise
enforceable as a practical matter. The
proposed provisions rely on an annual
25 tons per year (TPY) cap on
emissions, rather than a production
limit. This violates EPA policy that
synthetic minor permits must contain a
limit on production to be practically
enforceable.
Response: The limitations, controls,
and requirements in the general and
registration construction and minor
operation permits are permanent, as
these permits do not expire. However,
general part 70 permits have a permit
term of 5 years as required by 40 CFR
70.6(a)(2). NR 407.10(1)(e) provides,
‘‘The term of a general operation permit
issued to a part 70 source category, or
granted to an individual part 70 source,
may not exceed 5 years. General
operation permits issued to a non-part
70 source category, or granted to an
individual non-part 70 source, shall
only expire if an expiration date is
requested by the source owner or
operator or the department finds that
expiring coverage would significantly
improve the likelihood of continuing
compliance with applicable
requirements, compared to coverage that
does not expire.’’
The limitations in the permits must be
quantifiable. NR 407.15(2)(a)(1)
requires, ‘‘The calendar year sum of
actual emissions of each air
contaminant from the facility may not
exceed 25% of any major source
threshold in s. NR 407.02(4), except that
for lead, emissions may not exceed 0.5
tons per calendar year.’’ The permits
must provide a mechanism to
demonstrate the source will meet these
limitations, and the rule requires the
permits to contain emission limits,
monitoring and record keeping
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requirements, reporting requirements,
compliance demonstration methods in
order to determine compliance with all
limits.
Additionally, the limitations,
controls, and requirements in the
permits must be practically enforceable.
EPA has discussed practical
enforceability in various guidance
documents. EPA’s January 25, 1995,
John S. Seitz memorandum, ‘‘Options
for Limiting the Potential to Emit (PTE)
of a Stationary Source Under Section
112 and Title V of the Clean Air Act’’,
states,
Consequently, in all cases, limitations and
restrictions must be of sufficient quality and
quantity to ensure accountability (see 54 FR
27283). * * * In general, practicable
enforceability for a source-specific permit
means that the permit’s provisions must
specify: (1) A technically-accurate limitation
and the portions of the source subject to the
limitation; (2) the time period for the
limitation (hourly, daily, monthly, and
annual limits such as rolling annual limits);
and (3) the method to determine compliance
including appropriate monitoring, record
keeping, and reporting. For rules and general
permits that apply to categories of sources,
practicable enforceability additionally
requires that the provisions: (1) Identify the
types or categories of sources that are covered
by the rule; (2) where coverage is optional,
provide for notice to the permitting authority
of the source’s election to be covered by the
rule; and (3) specify the enforcement
consequences relevant to the rule.
Wisconsin’s rule meets these
requirements. The rule at NR
407.105(1)(c) and 407.10(1)(d) requires
the permits to contain adequate
emission caps and limitations,
monitoring and record keeping
requirements, reporting requirements,
compliance demonstration methods and
general conditions for determining
compliance. Additionally, the rule at
NR 407.10(1)(b) identifies the types or
categories of sources that can be covered
by the general permit, and coverage is
elective, as provided by NR 407.10(3)(a).
Further, if a facility covered by a
registration or general permit emits
more than its permitted cap, or does not
comply with a permit term, it will no
longer be eligible for the registration or
general permit.
III. What Action Is EPA Taking Today?
After carefully reviewing and
considering the issues raised by the
commenter, EPA is taking final action to
approve the proposed SIP revision. EPA
is approving all revisions to Wisconsin
SIP rules NR 400, 406, 407, and 410
submitted by the State on July 28, 2005,
except the sections which Wisconsin
later withdrew from consideration. The
general construction and operation
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permit provisions are codified at NR
406.16 and NR 407.10 of the Wisconsin
Administrative Code, respectively.
Registration construction and operation
permit provisions are codified at NR
406.17 and NR 407.105, respectively.
EPA is also approving Wisconsin’s
general permit program under section
112(l) of the Act for the purpose of
creating federally enforceable
limitations on the potential to emit
HAPs regulated under section 112.
This SIP revision amends provisions
of Wisconsin’s construction and
operation permit programs, NR
406.04(1) and NR 407.03(1),
respectively, relating to an existing
exemption for certain grain storage and
processing facilities from needing to
obtain a construction or operation
permit. Additionally, several sections in
NR 406 and NR 407 are renumbered
because of the addition of new
provisions and definitions, and changes
are being made to NR 410.03(1)(a)(5),
NR 410.03(1)(a)(6) and (7), Wisconsin’s
air permit fee rules. EPA is not
approving NR 406.11(1)(g)(2),
407.107(7), and 407.15(8)(b) which were
included in the State’s July 28, 2005,
submittal because WDNR has since
withdrawn these provisions from
inclusion in its SIP. See letter from
Lloyd L. Eagan, Director, to Thomas
Skinner, Regional Administrator, dated
November 14, 2005, in which Wisconsin
withdrew the cited sections from its July
28, 2005 submission.
Specifically, the approved SIP
revision repeals NR 406.04(1)(c) and
407.03(1)(c); renumbers NR 406.02(1) to
(4); amends NR 406.04(1)(ce), (cm) and
(m)(intro.), 406.11(1)(intro.) and (c),
407.03(1)(ce) and (cm), 407.05(7),
407.15(intro.) and (3), 410.03(1)(a)(5),
and 484.05(1); repeals and recreates NR
407.02(3) and 407.10; and creates NR
400.02(73m) and (131m), 406.02(1) and
(2), 406.04(2m), 406.11(1)(g)(1),
406.11(3), 406.16, 406.17, 406.18,
407.02(3m), 407.105(1) to (6), 407.107,
407.14 Note, 407.14(4)(c), 407.15(8)(a)
and 410.03(1)(a)(6) and (7).
IV. Statutory and Executive Order
Reviews
Executive Order 12866: Regulatory
Planning and Review
Under Executive Order 12866 (58 FR
51735, September 30, 1993), this action
is not a ‘‘significant regulatory action’’
and therefore is not subject to review by
the Office of Management and Budget.
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Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
Because it is not a ‘‘significant
regulatory action’’ under Executive
Order 12866 or a ‘‘significant energy
action,’’ this action is also not subject to
Executive Order 13211, ‘‘Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use’’ (66 FR 28355, May
22, 2001).
Regulatory Flexibility Act
This action merely approves state law
as meeting federal requirements and
imposes no additional requirements
beyond those imposed by state law.
Accordingly, the Administrator certifies
that this rule will not have a significant
economic impact on a substantial
number of small entities under the
Regulatory Flexibility Act (5 U.S.C. 601
et seq.).
Unfunded Mandates Reform Act
Because this rule approves preexisting requirements under state law
and does not impose any additional
enforceable duty beyond that required
by state law, it does not contain any
unfunded mandate or significantly or
uniquely affect small governments, as
described in the Unfunded Mandates
Reform Act of 1995 (Public Law 104–4).
Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
This rule also does not have tribal
implications because it will not have a
substantial direct effect on one or more
Indian tribes, on the relationship
between the Federal Government and
Indian tribes, or on the distribution of
power and responsibilities between the
Federal Government and Indian tribes,
as specified by Executive Order 13175
(65 FR 67249, November 9, 2000).
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Executive Order 13132: Federalism
This action also does not have
Federalism implications because it does
not have substantial direct effects on the
states, on the relationship between the
national government and the states, or
on the distribution of power and
responsibilities among the various
levels of government, as specified in
Executive Order 13132 (64 FR 43255,
August 10, 1999). This action merely
approves a state rule implementing a
federal standard, and does not alter the
relationship or the distribution of power
and responsibilities established in the
Clean Air Act.
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Executive Order 13045: Protection of
Children From Environmental Health
and Safety Risks
This rule also is not subject to
Executive Order 13045 ‘‘Protection of
Children from Environmental Health
Risks and Safety Risks’’ (62 FR 19885,
April 23, 1997), because it is not
economically significant.
National Technology Transfer
Advancement Act
In reviewing SIP submissions, EPA’s
role is to approve state choices,
provided that they meet the criteria of
the Clean Air Act. In this context, in the
absence of a prior existing requirement
for the state to use voluntary consensus
standards (VCS), EPA has no authority
to disapprove a SIP submission for
failure to use VCS. It would thus be
inconsistent with applicable law for
EPA, when it reviews a SIP submission,
to use VCS in place of a SIP submission
that otherwise satisfies the provisions of
the Clean Air Act. Thus, the
requirements of section 12(d) of the
National Technology Transfer and
Advancement Act of 1995 (15 U.S.C.
272 note) do not apply.
Paperwork Reduction Act
This rule does not impose an
information collection burden under the
provisions of the Paperwork Reduction
Act of 1995 (44 U.S.C. 3501 et seq.).
Congressional Review Act
The Congressional Review Act, 5
U.S.C. 801 et seq., as added by the Small
Business Regulatory Enforcement
Fairness Act of 1996, generally provides
that before a rule may take effect, the
agency promulgating the rule must
submit a rule report, which includes a
copy of the rule, to each House of the
Congress and to the Comptroller General
of the United States. EPA will submit a
report containing this rule and other
required information to the U.S. Senate,
the U.S. House of Representatives, and
the Comptroller General of the United
States prior to publication of the rule in
the Federal Register. A major rule
cannot take effect until 60 days after it
is published in the Federal Register.
This action is not a ‘‘major rule’’ as
defined by 5 U.S.C. 804(2).
Under Section 307(b)(1) of the Clean
Air Act, petitions for judicial review of
this action must be filed in the United
States Court of Appeals for the
appropriate circuit by April 7, 2006.
Filing a petition for reconsideration by
the Administrator of this final rule does
not affect the finality of this rule for the
purposes of judicial review nor does it
extend the time within which a petition
for judicial review may be filed, and
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shall not postpone the effectiveness of
such rule or action. This action may not
be challenged later in proceedings to
enforce its requirements. (See Section
307(b)(2).)
List of Subjects in 40 CFR Part 52
Environmental protection, Air
pollution control, Carbon monoxide,
Incorporation by reference,
Intergovernmental relations, Lead,
Nitrogen dioxide, Ozone, Particulate
matter, Reporting and recordkeeping
requirements, Sulfur oxides, Volatile
organic compounds.
Dated: December 27, 2005.
Bharat Mathur,
Acting Regional Administrator, Region 5.
For the reasons stated in the preamble,
part 52, chapter I, of title 40 of the Code
of Federal Regulations is amended as
follows:
I
PART 52—[AMENDED]
1. The authority citation for part 52
continues to read as follows:
I
Authority: 42 U.S.C. 7401 et seq.
Subpart YY—Wisconsin
2. Section 52.2570 is amended by
adding paragraph (c)(113) to read as
follows:
I
§ 52.2570
Identification of plan.
*
*
*
*
*
(c) * * *
(113) Approval—On July 28, 2005,
Wisconsin submitted General and
Registration construction and operation
permitting programs for EPA approval
into the Wisconsin SIP. EPA also is
approving these programs under section
112(l) of the Act. EPA has determined
that these permitting programs are
approvable under the Act, with the
exception of sections NR 406.11(1)(g)(2),
407.105(7), and 407.15(8)(b), which
Wisconsin withdrew from consideration
on November 14, 2005. Finally, EPA is
removing from the state SIP NR
406.04(1)(c) and 407.03(1)(c), the
exemption for certain grain storage and
processing facilities from needing to
obtain a construction or operation
permit, previously approved in
paragraphs (c)(75) and (c)(76) of this
section.
(i) Incorporation by reference.
(A) NR 406.02(1) through (4),
amended and published in the
(Wisconsin) Register, August 2005, No.
596, effective September 1, 2005.
(B) NR 406.04(1) (ce), (cm) and (m)
(intro.), 406.11(1) (intro.) and (c),
407.03(1) (ce) and (cm), 407.05(7),
407.15 (intro.) and (3), 410.03(1)(a)(5),
and 484.05(1) as amended and
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published in the (Wisconsin) Register,
August 2005, No. 596, effective
September 1, 2005.
(C) NR 407.02(3) and 407.10 as
repealed, recreated and published in the
(Wisconsin) Register, August 2005, No.
596 effective September 1, 2005.
(D) NR 400.02(73m) and (131m),
406.02(1) and (2), 406.04(2m),
406.11(1)(g)(1), 406.11(3), 406.16,
406.17, 406.18, 407.02(3m), 407.105 (1)
through (6), 407.107, 407.14 Note,
407.14(4)(c), 407.15(8)(a), and
410.03(1)(a)(6) and (7) as created and
published in the (Wisconsin) Register,
August 2005, No. 596, effective
September 1, 2005.
[FR Doc. 06–1030 Filed 2–3–06; 8:45 am]
BILLING CODE 6560–50–P
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 82
[FRL–8028–2]
RIN 2060–AN18
Protection of Stratospheric Ozone: The
2006 Critical Use Exemption From the
Phaseout of Methyl Bromide
Environmental Protection
Agency (EPA).
ACTION: Final rule.
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AGENCY:
SUMMARY: EPA is taking final action to
exempt methyl bromide production and
import for 2006 critical uses.
Specifically, EPA is authorizing uses
that will qualify for the 2006 critical use
exemption, and the amount of methyl
bromide that may be produced,
imported, or made available from
inventory for those uses in 2006. EPA’s
action is taken under the authority of
the Clean Air Act (CAA) and reflects
recent consensus Decisions taken by the
Parties to the Montreal Protocol on
Substances that Deplete the Ozone
Layer (Protocol) at the 16th and 17th
Meetings of the Parties (MOPs) and the
2nd Extraordinary Meeting of the Parties
(ExMOP).
DATES: This final rule is effective on
February 1, 2006.
ADDRESSES: EPA has established a
docket for this action under Docket ID
No. EPA–OAR–2005–0122. All
documents in the docket are listed on
the https://www.regulations.gov web site.
Although listed in the index, some
information is not publicly available,
e.g., CBI or other information whose
disclosure is restricted by statute.
Certain other material, such as
copyrighted material, is not placed on
the Internet and will be publicly
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16:29 Feb 03, 2006
Jkt 208001
available only in hard copy form.
Publicly available docket materials are
available either electronically through
www.regulations.gov or in hard copy at
the Air Docket, EPA/DC, EPA West,
Room B102, 1301 Constitution Ave.,
NW., Washington DC. This Docket
Facility is open from 8:30 a.m. to 4:30
p.m., Monday through Friday, excluding
legal holidays. The Docket telephone
number is (202) 566–1742. The Public
Reading Room is open from 8:30 a.m. to
4:30 p.m., Monday through Friday,
excluding legal holidays. The telephone
number for the Public Reading Room is
(202) 566–1744, and the telephone
number for the Air Docket is (202) 566–
1742.
FOR FURTHER INFORMATION CONTACT:
Marta Montoro, Office of Atmospheric
Programs, Stratospheric Protection
Division, Mail Code 6205 J,
Environmental Protection Agency, 1200
Pennsylvania Avenue, NW.,
Washington, DC 20460; telephone
number: (202) 343–9321; fax number:
(202) 343–2337; e-mail address:
mebr.allocation@epa.gov.
SUPPLEMENTARY INFORMATION: This final
rule concerns Clean Air Act restrictions
on the consumption, production, and
use of methyl bromide (class I, Group VI
controlled substance) for critical uses
during calendar year 2006. Under the
Clean Air Act, methyl bromide
consumption and production was
phased out on January 1, 2005 apart
from certain exemptions, including the
critical use exemption and the
quarantine and preshipment exemption.
With this action, EPA is listing the uses
that will qualify for the 2006 critical use
exemption, as well as authorizing
specific amounts of methyl bromide that
may be produced, imported, or made
available from inventory for critical uses
in 2006.
Section 553(d) of the Administrative
Procedure Act (APA), 5 U.S.C. Chapter
5, generally provides that rules may not
take effect earlier than 30 days after they
are published in the Federal Register.
EPA is issuing this final rule under
section 307(d) of the CAA, which states:
‘‘The provisions of section 553 through
557 * * * of Title 5 shall not, except as
expressly provided in this subsection,
apply to actions to which this
subsection applies.’’ CAA section
307(d)(1). Thus, section 553(d) of the
APA does not apply to this rule. EPA
nevertheless is acting consistently with
the policies underlying APA section
553(d) in making this rule effective on
February 1, 2006. APA section 553(d)
provides an exception for any action
that grants or recognizes an exemption
or relieves a restriction. This final rule
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5985
grants an exemption from the phaseout
of methyl bromide.
Table of Contents
I. General Information
A. Regulated Entities
II. What Is the Background to the Phaseout
Regulations for Ozone-Depleting
Substances?
III. What Is Methyl Bromide?
IV. What Is the Legal Authority for
Exempting the Production and Import of
Methyl Bromide for Critical Uses
Authorized by the Parties to the
Montreal Protocol?
V. What Is the Critical Use Exemption
Process?
A. Background of the Process
B. How Does This Final Rulemaking Relate
to Previous Rulemakings Regarding the
Critical Use Exemption?
C. What Are the Approved Critical Uses?
D. What Are the Uses That May Obtain
Methyl Bromide for Research?
E. What Amount of Methyl Bromide Is
Necessary for Critical Uses?
F. What Are the Sources of Critical Use
Methyl Bromide?
G. What Are the Critical Use Allowance
Allocations?
H. What Are the Critical Stock Allowance
Allocations?
I. Clarifications to the Framework Rule
J. Supplemental Critical Use Exemptions
for 2006
VI. Statutory and Executive Order Reviews
A. Executive Order No. 12866: Regulatory
Planning and Review
B. Paperwork Reduction Act
C. Regulatory Flexibility
D. Unfunded Mandates Reform Act
E. Executive Order No. 13132: Federalism
F. Executive Order No. 13175: Consultation
and Coordination With Indian Tribal
Governments
G. Executive Order No. 13045: Protection
of Children From Environmental Health
& Safety Risks
H. Executive Order No. 13211: Actions
That Significantly Affect Energy Supply,
Distribution, or Use
I. National Technology Transfer and
Advancement Act
J. Congressional Review Act
I. General Information
A. Regulated Entities
Entities potentially regulated by this
action are those associated with the
production, import, export, sale,
application and use of methyl bromide
covered by an approved critical use
exemption. Potentially regulated
categories and entities include:
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Agencies
[Federal Register Volume 71, Number 24 (Monday, February 6, 2006)]
[Rules and Regulations]
[Pages 5979-5985]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 06-1030]
=======================================================================
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR PART 52
[EPA-R05-OAR-2005-WI-0003; FRL-8020-1]
Approval and Promulgation of Implementation Plans; Wisconsin;
General and Registration Permit Programs
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: EPA is taking final action to approve revisions to the
Wisconsin State Implementation Plan (SIP) submitted by the State of
Wisconsin on July 28, 2005. These revisions include General and
Registration permit programs that provide for the issuance of general
and registration permits as part of the State's construction permit and
operation permit programs. In addition, these permit programs may
include the regulation of hazardous air pollutants (HAPs) which may be
regulated under section 112 of the Clean Air Act (the Act). Thus, EPA
is also approving Wisconsin's general and registration permit program
under section 112(l) of the Act.
These SIP revisions also contain changes to definitions related to
Wisconsin's air permit program, as well as a minor technical change to
provide correct references to the updated chapter NR 445, which was
inadvertently omitted in the processing of that rule package.
Additionally, these revisions clarify an existing construction permit
exemption and operation permit exemption for certain grain storage and
drying operations. This clarification is necessary to ensure that
column dryers and rack dryers are included in the exemption criteria.
DATES: This final rule is effective on March 8, 2006.
ADDRESSES: EPA has established a docket for this action under Docket ID
No. EPA-R05-OAR-2005-WI-0003. All documents in the docket are listed on
the https://www.regulations.gov Web site. Although listed in the index,
some information is not publicly available, i.e., Confidential Business
Information (CBI) or other information whose disclosure is restricted
by statute. Certain other material, such as copyrighted material, is
not placed on the Internet and will be publicly available only in hard
copy form. Publicly available docket materials are available either
electronically through https://www.regulations.gov or in hard copy at
the Environmental Protection
[[Page 5980]]
Agency, Region 5, Air and Radiation Division, 77 West Jackson
Boulevard, Chicago, Illinois 60604. This facility is open from 8:30
a.m. to 4:30 p.m., Monday through Friday, excluding Federal holidays.
We recommend that you telephone Susan Siepkowski, Environmental
Engineer, at (312) 353-2654 before visiting the Region 5 office.
FOR FURTHER INFORMATION CONTACT: Susan Siepkowski, Environmental
Engineer, Air Permit Section, Air Programs Branch (AR-18J), U.S.
Environmental Protection Agency, Region 5, 77 West Jackson Boulevard,
Chicago, Illinois 60604, (312) 353-2654, siepkowski.susan@epa.gov.
SUPPLEMENTARY INFORMATION: Throughout this document whenever ``we,''
``us,'' or ``our'' is used, we mean EPA. This supplementary information
section is arranged as follows:
I. Background Information for Today's Action.
II. What Comments Did We Receive and What Are Our Responses?
III. What Action Is EPA Taking Today?
IV. Statutory and Executive Order Reviews.
I. Background Information for Today's Action
On September 20, 2005, EPA published a proposal to approve
Wisconsin's July 28, 2005 SIP revision request, pertaining to
registration and general permits. (70 FR 55062). This revision provides
for the issuance of general and registration permits as part of the
State's construction permit and operation permit programs. It also
proposed to approve Wisconsin's general and registration permit program
under section 112(l) of the Act, changes to definitions related to
Wisconsin's air permit program, and clarifications to permit exemptions
for certain grain storage and drying operations. EPA provided in the
proposal a summary of these revisions as well as its analysis for
determining whether the revisions complied with Federal requirements.
In the proposal EPA solicited comments, which were due October 20,
2005. EPA received one timely adverse comment on the proposed rule. A
copy of this comment letter is available in the RME Docket, both
electronically and a hard copy. A summary of the comments received and
our responses are discussed in the section below.
II. What Comments Did We Receive and What Are Our Responses?
The comments EPA received on the September 20, 2005, proposal
object to giving final approval to Wisconsin's registration and general
permit programs. Some of the comments pertain to the draft registration
permit templates recently public noticed by WDNR. We will address in
this rulemaking only the comments pertaining to the September 20, 2005,
proposal. The following is a summary of the comments received and our
responses.
Comment: Contrary to EPA's proposed rule, Wisconsin's proposed
general and registration permit program is not limited to ``Nonmetallic
mineral processing plants, asphalt plants, small natural gas fired
generators, small heating units, printing presses, and hospital
sterilization equipment.''
Response: The proposal stated, ``Categories of sources that are or
could be eligible for general permits include nonmetallic mineral
processing plants, asphalt plants, small natural gas fired generators,
small heating units, printing presses and hospital sterilization
equipment.'' The proposal did not state that these were the only
sources eligible, nor did it state the list was inclusive. The list was
only meant to provide examples of source types that WDNR had given as
examples in its proposal.
Comment: The proposed changes do not comply with the requirements
of 40 CFR Part 51, section 110 of the Act and fail to ensure the
protection of the National Ambient Air Quality Standards (NAAQS). 40
CFR 51.160 requires states to have legally enforceable procedures to
prevent construction or modification of a source if it would violate
any control strategies in the SIP or interfere with attainment or
maintenance of the NAAQS. NR 406.11(1)(g), the proposed provision that
would prevent coverage for sources that cause or exacerbate a NAAQS (or
increment) does not actually include a pre-construction determination
of air quality impacts. The air quality review in this provision is
retrospective, not prospective pre-construction review.
The general and registration permits being proposed allow
construction or modification in areas of the state with very different
existing background air pollution concentrations, number of sources,
and terrain. There can be no pre-permit air analysis that will
determine whether air quality standards will be violated by any
specific source that will construct or modify under a general or
registration permit. Additionally, there is no limit on the emission
rate or the number of sources that can be covered by a general or
registration permit. As a result, a large number of relatively-small
sources can locate into the same area and, cumulatively, cause a
violation of NAAQS, or a facility can emit large quantities of
pollutants over a short period of time.
Response: WDNR must assure that these permit programs do not
violate the NAAQS. WDNR is requiring the applicant to perform an air
dispersion modeling analysis as part of its application for coverage.
The analysis must include modeling for all criteria pollutants;
however, because there are no increments for volatile organic compounds
(VOC) (a pre-curser to ozone), an applicant must submit an analysis for
VOC only if the emissions are above the major source threshold for
permitting. Regarding ozone, ``No significant ambient impact
concentration has been established. Instead, any net emissions increase
of 100 tons per year of VOC subject to PSD would be required to perform
an ambient impact analysis.'' 1990 New Source Review Workshop Manual,
Page C.28, footnote b. However, because the pollutant of concern is
ozone and the standard Gaussian models used for PSD (i.e., ISCST3 or
AERMOD) don't estimate ozone concentrations, determining ozone impacts
from individual sources is difficult. Thus, states often use another
type of analysis for VOC.
Upon receipt of the application and analysis, the WDNR has 15 days
to determine whether the source is eligible for coverage under a
general or registration construction permit, as provided in NR
406.16(3)(c) and 407.17(4)(c).
NR 406.11(1)(g) provides that the source may conduct the air
quality determination after the determination that the source is
covered under the general or registration construction permit. However,
NR 406.16(2)(c) and 406.17(3) also provide that if an emissions unit or
units cause or exacerbate, or may cause or exacerbate, a violation of
any ambient air quality standard or ambient air increment, a source is
ineligible for coverage under the general or registration construction
permit. By requiring the permittee to submit a modeling analysis,
combined with these provisions in NR 406, WDNR will ensure that a
source will not violate the NAAQS.
Further, nothing in the proposed revisions relieves any source from
the requirement to submit its yearly emissions for inclusion in the
emissions inventory. A note in the rule after section NR 406.17(4)(e)
and 407.105(4)(e) states, ``Note: The permit terms and conditions may
include capture and control efficiencies. The Air Emissions Management
System (AEMS) requires the owner or operator of a source to calculate
actual annual emissions for reporting to the inventory using the terms
and conditions in a
[[Page 5981]]
permit.'' The data in the emissions inventory is also used for purposes
of determining compliance with NAAQS.
Comment: Even when the WDNR revokes a permit due to a violation of
NAAQS or an increment, the violating source is authorized to continue
operating under the general or registration permit until a subsequent
permit is issued. NR 406.11(1)(g)(2) provides that the permittee is
``deemed to be in compliance with the requirement to obtain a
construction permit until the department takes final action on a
subsequent application for a construction permit. . .''
Section NR 407.105 of the proposed revisions, also allow a facility
to be deemed ``in compliance'' with the SIP for 90 days even if the
facility did not determine that a SIP requirement applied and is not in
compliance with the limit. Additionally, the ``safe harbor'' language
in the proposed provision is essentially a permit shield, which extends
to requirements which were never included specifically in a permit,
either as an applicable requirement or in a non-applicability
determination.
Response: Since EPA's September 20, 2005, proposed approval of this
rule, WDNR has withdrawn provisions NR 406.11(1)(g)(2), 407.105(7), and
407.15(8)(b) for inclusion in its SIP.
Comment: The proposed changes do not comply with the public
participation requirements and procedures required by 40 CFR parts 51
and 70. The public notice and comment procedure required by part 51 is
not satisfied by merely allowing notice and comment on a generic
permit, which WDNR later applies to specific facilities. The required
public notice and comment process requires public inspection of the
information provided by the applicant and the agency's analysis of the
effect on air quality. There is no provision in the proposed general
and registration permit program whereby the public gets notice and the
ability to comment on ``the information submitted by the owner or
operator and of the State or local agency's analysis of the effect on
air quality.'' 40 CFR 51.161(b).
Further, proposed section NR 406.16(1)(c) states that ``the
procedural requirements in s. 285.61(2) to (8), Stats., do not apply to
the determination of whether an individual source is covered by a
general construction permit for a source category.'' Proposed section
NR 406.17(1)(b) contains similar language for registration permits.
In addition, the general part 70 permits don't comply with the
public notice requirements of part 70. The WDNR must provide the public
with, inter alia: the identity of the affected facility; the name and
address of the permittee; the name and address of the permitting
authority processing the permit; the activity or activities involved in
the permit action; the emissions change involved in any permit
modification; the name, address, and telephone number of a person from
whom interested persons may obtain additional information, including
copies of the permit draft, the application, all relevant supporting
materials, and all other materials available to the permitting
authority that are relevant to the permit decision. The Act also
requires application materials, including compliance certification and
compliance plans, to be made public.
Response: As discussed in the proposal, EPA has determined that, in
cases where standardized permits have been adopted, EPA and the public
need not be involved in their application to individual sources as long
as the standard permits themselves have been subject to notice and
opportunity to comment. Specifically, EPA's January 25, 1995 memorandum
``Guidance on Enforceability Requirements for Limiting Potential to
Emit through SIP and Sec. 112 Rules and General Permits'' states that
``since the rule establishing the program does not provide the specific
standards to be met by the source, each general permit, but not each
application under each general permit, must be issued pursuant to
public and EPA notice and comment.'' P.10
EPA's April 14, 1998, guidance from John S. Seitz, ``Potential to
Emit (PTE) Guidance for Specific Source Categories'' states, ``There
are two overall approaches that States and local agencies can use to
establish enforceable emission limits* * * Under the second approach,
generally appropriate for less complex sources, States and local
agencies create a standard set of terms and conditions for many similar
sources at the same time. The terms air quality agencies use to
describe this approach include ``general permits,'' ``prohibitory
rules,'' ``exclusionary rules,'' and ``permits-by-rule.'' (From this
point on, rather than to repeat each of these terms, this guidance will
use the term ``prohibitory rule'' for the latter three terms.)'' This
guidance further states, ``State ``prohibitory rules'' are similar to
general permits, but States or local agencies put them in place with a
regulation development process rather than a permitting process.''
Additionally, EPA's January 25, 1995, Memorandum from John S.
Seitz, ``Options for Limiting the Potential to Emit (PTE) of a
Stationary Source Under Section 112 and Title V of the Clean Air Act'',
states, ``A concept similar to the exclusionary rule is the
establishment of a general permit for a given source type. A general
permit is a single permit that establishes terms and conditions that
must be complied with by all sources subject to that permit. The
establishment of a general permit provides for conditions limiting
potential to emit in a one-time permitting process, and thus avoids the
need to issue separate permits for each source within the covered
source type or category.''
The State of Massachusetts, ``Summary of Comments and Responses to
Comments from Public Hearing on Proposed Amendments to 310 CMR 7.00'',
to which the commenters cite, states, ``EPA interprets its regulations
at 40 CFR 51.160 to require that all proposed sources undergo full
permit review before construction, with the exception of sources
constructed pursuant to prohibitory rules.''
EPA has stated in guidance that prohibitory rules and general
permits are essentially similar, and that neither require individual
permit review. Thus, a one-time permit process can be used if the
general permit receives full review. While EPA's guidance documents
pertaining to general permits generally apply to operation permits, the
concept can also be applied to general construction permits, as these
are similar to construction pursuant to prohibitory rules. Every
general permit issued to a source would not need to go through full
review if the general permit did, provided certain materials are still
made available to the public.
WDNR must make available to the public all of the permit
information listed in parts 51 and 70. Similar to the construction and
operation permits WDNR issues, the registration and general permits
will also be available on a WDNR Web site. An up-to-date list of
sources covered by registration or general permits, with all of the
required permittee and facility information, as well the electronic
application, will be available to view on-line. In addition, anyone can
request to view any permit related materials by contacting the WDNR.
Regarding NR 406.16(1)(c) which states that, ``The department may
issue the general construction permit if the applicable criteria in s.
285.63, Stats., are met. The procedural requirements in s. 285.61(2) to
(8), Stats., do not apply to the determination of whether an individual
source is covered by a general construction permit for a source
category.'' There is a note that follows
[[Page 5982]]
this section which states, ``The statutes cited above require that when
issuing a general construction permit, the department distribute a
notice of the availability of the proposed general construction permit
and of the department's analysis and preliminary determination, a
notice of the opportunity for public comment and a notice of the
opportunity to request a public hearing. There will be a 30-day public
comment period and the department may hold a public hearing within 60
days after the deadline for requesting one.''
Wisconsin Stat. 285.63, which contains the criteria for permit
approval, requires the source to meet all applicable emission
limitations; and prohibits the source from violating or exacerbating an
air quality standard or ambient air increment, and from precluding
construction or operation of other sources. Wisconsin Stat. 285.61(2)
to (8) contains the procedural requirements for construction permit
application and review, and requires the WDNR to: prepare an analysis
regarding the effect of the proposed construction, distribute and
publicize the analysis and a notice of the opportunity to request a
public hearing, receive public comments, and hold a public hearing on
the construction permit if requested.
As discussed above, because the general permit will go through the
procedures in Stat. 285, these procedures will not be required each
time the general permit is issued to a specific source.
Comment: The proposed revisions allow the WDNR to determine that
the requirements of NR 424.03(2)(a) or (b) are technologically
infeasible for every source that will potentially be covered under a
general or registration permit. Provision NR 424.03 requires WDNR to
determine whether 85% reduction of VOCs is technologically infeasible.
Response: NR 406.16(1)(d) states, ``* * * Notwithstanding the
requirement in s. NR 424.03(2)(c) to determine the latest available
control techniques and operating practices demonstrating best current
technology (LACT) for a specific process line, the department may
include conditions in the general construction permit that represent
LACT, if the requirements of s. NR 424.03(2)(a) or (b) are determined
to be technologically infeasible.'' Similar language is included in and
406.17(1)(d), 407.10(1)(d), and 407.105(1)(c).
Wisconsin Stat. NR 424.03 requires 85% control of VOCs for certain
sources. NR 424.03(2)(b)(2) states, ``Where 85% control has been
demonstrated to be technologically infeasible for a specific process
line, control organic compound emissions by the use of the latest
available control techniques and operating practices demonstrating best
current technology, as approved by the Department.'' NR 424.03(3)
further states, ``Surface coating and printing processes subject to the
requirements of this section may instead elect, with the approval of
the Department, to meet the emission limitations of s. NR 422.01 to
422.155, notwithstanding ss. NR 422.03(1), (2), (3) or (4) and 425.03,
provided that: (a) The process line meets the specific applicability
requirements of ss. NR 422.05 to 422.155; and (b) The owner or operator
submits a written request to the department * * *'' (NR 422.01 to
422.155 provides specific conditions for the control of VOC emissions
for various types of surface coating, printing and asphalt surfacing
operations.)
Wisconsin's rule 424.03(2)(b)(2) does not require a case-by-case or
permit-by-permit analysis, and gives the WDNR the authority to made
such determinations. The WDNR is making such a determination for the
general construction permits. EPA believes this is consistent with
Wisconsin's authority under 424.03.
Comment: The proposed rule provides that no construction permit is
required if construction, reconstruction, or modification does not
violate the term of a general operating permit. However, many
requirements in the Wisconsin SIP are triggered, and become more
stringent, when a source is modified or reconstructed. The proposed NR
407.10(4) does not prevent construction and modification, but does not
require compliance with the more stringent SIP limits, which may become
applicable, such as opacity. In fact, it does not require the source to
notify the WDNR or EPA that it made the change. Instead, the proposed
NR 407.10(4) merely requires the source to comply with the existing SIP
limit.
Response: If a source with a general permit becomes subject to an
applicable requirement, such as an opacity limit, that is different
from the limit included in the general permit, or that is not included
in the general permit, then the source no longer qualifies for that
general permit. NR 407.10(4)(a)(1) provides, ``Notwithstanding the
provisions in s. NR 406.04(1) and (2), no construction permit is
required prior to commencing construction, reconstruction, replacement,
relocation or modification of a stationary source if the source is
covered under a general operation permit and all of the following
criteria are met: 1. The construction, reconstruction, replacement,
relocation or modification will not result in the source violating any
term or condition of the general operation permit.''
Furthermore, if construction causes a new requirement to become
applicable that is not in the general permit, the source would no
longer be eligible for the general permit and would need to apply for
another permit. NR 407.10(3)(b) provides ``(b) An owner or operator of
a stationary source who requests or requires emission limits, terms or
conditions other than, or in addition to, those contained in the
general operation permit shall apply for a different type of permit.''
(Emphasis added.) Further, coverage under a general permit does not
preclude a source from complying with Stat. 285.63, which requires
sources to comply with all applicable requirements.
Comment: The operating permit program will not require that all
emissions, limitations, controls and other requirements imposed by such
permits will be at least as stringent as any other applicable imitation
or requirement contained in the SIP.
Further, the rules and the draft permits already issued by WDNR
under the proposed SIP revision do not identify what limits, controls
and requirements apply to a source. Instead, the permit requires the
owner or operator to ``meet all applicable air pollution requirements
in ch. 285, Wis. Stats., and chs. NR 400-NR 499, and therefore, there
is no way for the requirement to be enforced.
Response: The registration and general permit rule is not a
prohibitory rule and, thus, the permits, not the rule itself, will
contain the emissions limitations, controls and other requirements
applicable to the source. The rule requires the operation permits to
contain these conditions, and NR 407.105(1)(c) provides, ``The
registration operation permit shall contain applicability criteria,
emission caps and limitations, monitoring and record keeping
requirements, reporting requirements, compliance demonstration methods
and general conditions appropriate for determining compliance with the
terms and conditions of the registration operation permit. The permit
terms and conditions shall be those required to comply with the Act and
those required to assure compliance with applicable provisions in ch.
285, Stats., and chs. NR 400 to 499.'' NR 407.10(1)(d) also provides,
``The general operation permit shall contain applicability criteria,
emission limits, monitoring and record keeping requirements, reporting
[[Page 5983]]
requirements, compliance demonstration methods and general conditions
applicable to the stationary source category. The permit terms and
conditions shall be those required to comply with the Act and those
required to assure compliance with applicable provisions in ch. 285,
Stats., and chs. NR 400 to 499.''
As discussed in the previous response, coverage under a general or
registration permit does not preclude a source from complying with
Stat. 285.63, which requires sources to comply with all applicable
requirements. Therefore, the permits must contain conditions that will
be at least as stringent as any other applicable imitation or
requirement contained in the SIP.
Comment: The proposed permit programs do not ensure that
limitations, controls, and requirements are permanent, quantifiable,
and otherwise enforceable as a practical matter. The proposed
provisions rely on an annual 25 tons per year (TPY) cap on emissions,
rather than a production limit. This violates EPA policy that synthetic
minor permits must contain a limit on production to be practically
enforceable.
Response: The limitations, controls, and requirements in the
general and registration construction and minor operation permits are
permanent, as these permits do not expire. However, general part 70
permits have a permit term of 5 years as required by 40 CFR 70.6(a)(2).
NR 407.10(1)(e) provides, ``The term of a general operation permit
issued to a part 70 source category, or granted to an individual part
70 source, may not exceed 5 years. General operation permits issued to
a non-part 70 source category, or granted to an individual non-part 70
source, shall only expire if an expiration date is requested by the
source owner or operator or the department finds that expiring coverage
would significantly improve the likelihood of continuing compliance
with applicable requirements, compared to coverage that does not
expire.''
The limitations in the permits must be quantifiable. NR
407.15(2)(a)(1) requires, ``The calendar year sum of actual emissions
of each air contaminant from the facility may not exceed 25% of any
major source threshold in s. NR 407.02(4), except that for lead,
emissions may not exceed 0.5 tons per calendar year.'' The permits must
provide a mechanism to demonstrate the source will meet these
limitations, and the rule requires the permits to contain emission
limits, monitoring and record keeping requirements, reporting
requirements, compliance demonstration methods in order to determine
compliance with all limits.
Additionally, the limitations, controls, and requirements in the
permits must be practically enforceable. EPA has discussed practical
enforceability in various guidance documents. EPA's January 25, 1995,
John S. Seitz memorandum, ``Options for Limiting the Potential to Emit
(PTE) of a Stationary Source Under Section 112 and Title V of the Clean
Air Act'', states,
Consequently, in all cases, limitations and restrictions must be
of sufficient quality and quantity to ensure accountability (see 54
FR 27283). * * * In general, practicable enforceability for a
source-specific permit means that the permit's provisions must
specify: (1) A technically-accurate limitation and the portions of
the source subject to the limitation; (2) the time period for the
limitation (hourly, daily, monthly, and annual limits such as
rolling annual limits); and (3) the method to determine compliance
including appropriate monitoring, record keeping, and reporting. For
rules and general permits that apply to categories of sources,
practicable enforceability additionally requires that the
provisions: (1) Identify the types or categories of sources that are
covered by the rule; (2) where coverage is optional, provide for
notice to the permitting authority of the source's election to be
covered by the rule; and (3) specify the enforcement consequences
relevant to the rule.
Wisconsin's rule meets these requirements. The rule at NR
407.105(1)(c) and 407.10(1)(d) requires the permits to contain adequate
emission caps and limitations, monitoring and record keeping
requirements, reporting requirements, compliance demonstration methods
and general conditions for determining compliance. Additionally, the
rule at NR 407.10(1)(b) identifies the types or categories of sources
that can be covered by the general permit, and coverage is elective, as
provided by NR 407.10(3)(a). Further, if a facility covered by a
registration or general permit emits more than its permitted cap, or
does not comply with a permit term, it will no longer be eligible for
the registration or general permit.
III. What Action Is EPA Taking Today?
After carefully reviewing and considering the issues raised by the
commenter, EPA is taking final action to approve the proposed SIP
revision. EPA is approving all revisions to Wisconsin SIP rules NR 400,
406, 407, and 410 submitted by the State on July 28, 2005, except the
sections which Wisconsin later withdrew from consideration. The general
construction and operation permit provisions are codified at NR 406.16
and NR 407.10 of the Wisconsin Administrative Code, respectively.
Registration construction and operation permit provisions are codified
at NR 406.17 and NR 407.105, respectively. EPA is also approving
Wisconsin's general permit program under section 112(l) of the Act for
the purpose of creating federally enforceable limitations on the
potential to emit HAPs regulated under section 112.
This SIP revision amends provisions of Wisconsin's construction and
operation permit programs, NR 406.04(1) and NR 407.03(1), respectively,
relating to an existing exemption for certain grain storage and
processing facilities from needing to obtain a construction or
operation permit. Additionally, several sections in NR 406 and NR 407
are renumbered because of the addition of new provisions and
definitions, and changes are being made to NR 410.03(1)(a)(5), NR
410.03(1)(a)(6) and (7), Wisconsin's air permit fee rules. EPA is not
approving NR 406.11(1)(g)(2), 407.107(7), and 407.15(8)(b) which were
included in the State's July 28, 2005, submittal because WDNR has since
withdrawn these provisions from inclusion in its SIP. See letter from
Lloyd L. Eagan, Director, to Thomas Skinner, Regional Administrator,
dated November 14, 2005, in which Wisconsin withdrew the cited sections
from its July 28, 2005 submission.
Specifically, the approved SIP revision repeals NR 406.04(1)(c) and
407.03(1)(c); renumbers NR 406.02(1) to (4); amends NR 406.04(1)(ce),
(cm) and (m)(intro.), 406.11(1)(intro.) and (c), 407.03(1)(ce) and
(cm), 407.05(7), 407.15(intro.) and (3), 410.03(1)(a)(5), and
484.05(1); repeals and recreates NR 407.02(3) and 407.10; and creates
NR 400.02(73m) and (131m), 406.02(1) and (2), 406.04(2m),
406.11(1)(g)(1), 406.11(3), 406.16, 406.17, 406.18, 407.02(3m),
407.105(1) to (6), 407.107, 407.14 Note, 407.14(4)(c), 407.15(8)(a) and
410.03(1)(a)(6) and (7).
IV. Statutory and Executive Order Reviews
Executive Order 12866: Regulatory Planning and Review
Under Executive Order 12866 (58 FR 51735, September 30, 1993), this
action is not a ``significant regulatory action'' and therefore is not
subject to review by the Office of Management and Budget.
[[Page 5984]]
Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
Because it is not a ``significant regulatory action'' under
Executive Order 12866 or a ``significant energy action,'' this action
is also not subject to Executive Order 13211, ``Actions Concerning
Regulations That Significantly Affect Energy Supply, Distribution, or
Use'' (66 FR 28355, May 22, 2001).
Regulatory Flexibility Act
This action merely approves state law as meeting federal
requirements and imposes no additional requirements beyond those
imposed by state law. Accordingly, the Administrator certifies that
this rule will not have a significant economic impact on a substantial
number of small entities under the Regulatory Flexibility Act (5 U.S.C.
601 et seq.).
Unfunded Mandates Reform Act
Because this rule approves pre-existing requirements under state
law and does not impose any additional enforceable duty beyond that
required by state law, it does not contain any unfunded mandate or
significantly or uniquely affect small governments, as described in the
Unfunded Mandates Reform Act of 1995 (Public Law 104-4).
Executive Order 13175: Consultation and Coordination With Indian Tribal
Governments
This rule also does not have tribal implications because it will
not have a substantial direct effect on one or more Indian tribes, on
the relationship between the Federal Government and Indian tribes, or
on the distribution of power and responsibilities between the Federal
Government and Indian tribes, as specified by Executive Order 13175 (65
FR 67249, November 9, 2000).
Executive Order 13132: Federalism
This action also does not have Federalism implications because it
does not have substantial direct effects on the states, on the
relationship between the national government and the states, or on the
distribution of power and responsibilities among the various levels of
government, as specified in Executive Order 13132 (64 FR 43255, August
10, 1999). This action merely approves a state rule implementing a
federal standard, and does not alter the relationship or the
distribution of power and responsibilities established in the Clean Air
Act.
Executive Order 13045: Protection of Children From Environmental Health
and Safety Risks
This rule also is not subject to Executive Order 13045 ``Protection
of Children from Environmental Health Risks and Safety Risks'' (62 FR
19885, April 23, 1997), because it is not economically significant.
National Technology Transfer Advancement Act
In reviewing SIP submissions, EPA's role is to approve state
choices, provided that they meet the criteria of the Clean Air Act. In
this context, in the absence of a prior existing requirement for the
state to use voluntary consensus standards (VCS), EPA has no authority
to disapprove a SIP submission for failure to use VCS. It would thus be
inconsistent with applicable law for EPA, when it reviews a SIP
submission, to use VCS in place of a SIP submission that otherwise
satisfies the provisions of the Clean Air Act. Thus, the requirements
of section 12(d) of the National Technology Transfer and Advancement
Act of 1995 (15 U.S.C. 272 note) do not apply.
Paperwork Reduction Act
This rule does not impose an information collection burden under
the provisions of the Paperwork Reduction Act of 1995 (44 U.S.C. 3501
et seq.).
Congressional Review Act
The Congressional Review Act, 5 U.S.C. 801 et seq., as added by the
Small Business Regulatory Enforcement Fairness Act of 1996, generally
provides that before a rule may take effect, the agency promulgating
the rule must submit a rule report, which includes a copy of the rule,
to each House of the Congress and to the Comptroller General of the
United States. EPA will submit a report containing this rule and other
required information to the U.S. Senate, the U.S. House of
Representatives, and the Comptroller General of the United States prior
to publication of the rule in the Federal Register. A major rule cannot
take effect until 60 days after it is published in the Federal
Register. This action is not a ``major rule'' as defined by 5 U.S.C.
804(2).
Under Section 307(b)(1) of the Clean Air Act, petitions for
judicial review of this action must be filed in the United States Court
of Appeals for the appropriate circuit by April 7, 2006. Filing a
petition for reconsideration by the Administrator of this final rule
does not affect the finality of this rule for the purposes of judicial
review nor does it extend the time within which a petition for judicial
review may be filed, and shall not postpone the effectiveness of such
rule or action. This action may not be challenged later in proceedings
to enforce its requirements. (See Section 307(b)(2).)
List of Subjects in 40 CFR Part 52
Environmental protection, Air pollution control, Carbon monoxide,
Incorporation by reference, Intergovernmental relations, Lead, Nitrogen
dioxide, Ozone, Particulate matter, Reporting and recordkeeping
requirements, Sulfur oxides, Volatile organic compounds.
Dated: December 27, 2005.
Bharat Mathur,
Acting Regional Administrator, Region 5.
0
For the reasons stated in the preamble, part 52, chapter I, of title 40
of the Code of Federal Regulations is amended as follows:
PART 52--[AMENDED]
0
1. The authority citation for part 52 continues to read as follows:
Authority: 42 U.S.C. 7401 et seq.
Subpart YY--Wisconsin
0
2. Section 52.2570 is amended by adding paragraph (c)(113) to read as
follows:
Sec. 52.2570 Identification of plan.
* * * * *
(c) * * *
(113) Approval--On July 28, 2005, Wisconsin submitted General and
Registration construction and operation permitting programs for EPA
approval into the Wisconsin SIP. EPA also is approving these programs
under section 112(l) of the Act. EPA has determined that these
permitting programs are approvable under the Act, with the exception of
sections NR 406.11(1)(g)(2), 407.105(7), and 407.15(8)(b), which
Wisconsin withdrew from consideration on November 14, 2005. Finally,
EPA is removing from the state SIP NR 406.04(1)(c) and 407.03(1)(c),
the exemption for certain grain storage and processing facilities from
needing to obtain a construction or operation permit, previously
approved in paragraphs (c)(75) and (c)(76) of this section.
(i) Incorporation by reference.
(A) NR 406.02(1) through (4), amended and published in the
(Wisconsin) Register, August 2005, No. 596, effective September 1,
2005.
(B) NR 406.04(1) (ce), (cm) and (m) (intro.), 406.11(1) (intro.)
and (c), 407.03(1) (ce) and (cm), 407.05(7), 407.15 (intro.) and (3),
410.03(1)(a)(5), and 484.05(1) as amended and
[[Page 5985]]
published in the (Wisconsin) Register, August 2005, No. 596, effective
September 1, 2005.
(C) NR 407.02(3) and 407.10 as repealed, recreated and published in
the (Wisconsin) Register, August 2005, No. 596 effective September 1,
2005.
(D) NR 400.02(73m) and (131m), 406.02(1) and (2), 406.04(2m),
406.11(1)(g)(1), 406.11(3), 406.16, 406.17, 406.18, 407.02(3m), 407.105
(1) through (6), 407.107, 407.14 Note, 407.14(4)(c), 407.15(8)(a), and
410.03(1)(a)(6) and (7) as created and published in the (Wisconsin)
Register, August 2005, No. 596, effective September 1, 2005.
[FR Doc. 06-1030 Filed 2-3-06; 8:45 am]
BILLING CODE 6560-50-P