Fisheries of the Northeastern United States; Final 2006-2008 Specifications for the Spiny Dogfish Fishery, 40436-40439 [E6-11134]
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40436
Federal Register / Vol. 71, No. 136 / Monday, July 17, 2006 / Rules and Regulations
Dated: June 29, 2006.
James Jones,
Director Office of Pesticide Programs.
2006–2008 Specifications
DEPARTMENT OF COMMERCE
National Oceanic and Atmospheric
Administration
Therefore, 40 CFR chapter I is
amended as follows:
I
50 CFR Part 648
PART 174—[AMENDED]
1. The authority citation for part 174
continues to read as follows:
I
Authority: 7 U.S.C. 136–136y; 21 U.S.C.
346a and 371.
2. Section 174.454 is added to subpart
W to read as follows:
I
§ 174.454 Bacillus Thuringiensis Cry2Ab2
Protein and the Genetic Material Necessary
for Its Production in Corn.
Bacillus thuringiensis Cry2Ab2
protein and the genetic material
necessary for its production in corn is
exempt from the requirement of a
tolerance when used as plantincorporated protectant in the food and
feed commodities of field corn, sweet
corn and popcorn. Genetic material
necessary for its production means the
genetic material which comprise genetic
material encoding the Cry2Ab2 protein
and its regulatory regions. Regulatory
regions are the genetic material, such as
promoters, terminators, and enhancers,
that control the expression of the
genetic material encoding the Cry2Ab2
protein. This temporary exemption from
the requirement of a tolerance will
permit the use of the food commodities
in this paragraph when treated in
accordance with the provisions of the
experimental use permit 524–EUP–97
which is being issued under the Federal
Insecticide, Fungicide, and Rodenticide
Act (FIFRA), as amended (7 U.S.C. 136).
This temporary exemption from the
requirement of a tolerance expires and
is revoked June 30, 2009; however, if the
experimental use permit is revoked, or
if any experience with or scientific data
on this pesticide indicate that the
tolerance is not safe, this temporary
exemption from the requirement of a
tolerance may be revoked at any time.
[FR Doc. E6–11249 Filed 7–14–06; 8:45 am]
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BILLING CODE 6560–50–S
[Docket No. 060418103–6181–02; I.D.
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RIN 0648–AT59
Fisheries of the Northeastern United
States; Final 2006–2008 Specifications
for the Spiny Dogfish Fishery
National Marine Fisheries
Service (NMFS), National Oceanic and
Atmospheric Administration (NOAA),
Commerce.
ACTION: Final rule.
AGENCY:
SUMMARY: NMFS announces final
specifications for the 2006–2008 fishing
years, which is May 1, 2006, through
April 30, 2009. NMFS is also
establishing possession limits for
dogfish at 600 lb (272 kg) for both quota
periods 1 and 2 of the fishery.
DATES: The regulatory change at 50 CFR
648.235 that sets the dogfish possession
limits at 600 lb (272 kg) is effective
August 16, 2006. The specifications are
effective August 16, 2006, through April
30, 2009.
ADDRESSES: Copies of supporting
documents used by the Joint Spiny
Dogfish Committee and the Spiny
Dogfish Monitoring Committee
(Monitoring Committee); the
Environmental Assessment, Regulatory
Impact Review, Initial Regulatory
Flexibility Analysis (EA/RIR/IRFA); and
the Essential Fish Habitat Assessment
(EFHA) are available from Daniel
Furlong, Executive Director, MidAtlantic Fishery Management Council
(MAFMC), Federal Building, Room
2115, 300 South Street, Dover, DE
19904. The EA, RIR, IRFA and EFHA are
accessible via the Internet at http:/
www.nero.gov.
FOR FURTHER INFORMATION CONTACT:
Eric
Jay Dolin, Fishery Policy Analyst,
(978)281–9259, fax (978)281–9135.
SUPPLEMENTARY INFORMATION:
Background
A proposed rule for this action was
published in the Federal Register on
May 8, 2006 (71 FR 26726), with public
comment accepted through May 23,
2006. The final specifications are
unchanged from those that were
proposed. A complete discussion of the
development of the specifications
appears in the preamble to the proposed
rule and is not repeated here.
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The commercial spiny dogfish quota
for the 2006–2008 fishing years is 4
million lb (1.81 million kg) annually, to
be divided into two semi-annual periods
as follows: 2,316,000 lb (1.05 million kg)
for quota period 1 (May 1 - Oct. 31); and
1,684,000 lb (763,849 kg) for quota
period 2 (Nov. 1 – April 30). The
possession limits are 600 lb (272 kg) for
quota periods 1 and 2, to discourage a
directed fishery.
Comments and Responses
There were 1,099 comments
submitted on the proposed measures, by
4 organizations and 1,095 individuals.
Comment 1: Three organizations and
1,081 individuals argued that NMFS
should have followed the Monitoring
Committee’s recommendation, setting
the quota at 2 million lb (907 mt) and
the possession limits at 600 lb (272 kg)
and 300 lb (136 kg), respectively. These
commenters argued that the Monitoring
Committee’s recommendation
represented the best available scientific
information.
Response: The Council’s analysis
concluded that the U.S. commercial
spiny dogfish landings are controlled
more by the possession limits than the
overall quota. Maintaining the limits of
600 lb (272 kg) for both quota periods
does not erode the control over landings
and would allow for a limited level of
retention of spiny dogfish caught
incidentally while fishing for other
species. Standardizing the possession
limits for both quota periods will
address a perceived inequity that has
been identified by some vessel
operators, without creating an incentive
for directed fishing. Discouraging
directed fishing through this modest
possession limit and an incidental catch
quota will provide protection for mature
female spiny dogfish, the portion of the
stock that has traditionally been targeted
by the directed fishery, and the stock
component that is most in need of
protection and rebuilding. These
measures would also be consistent with
the measures being implemented under
the Atlantic States Marine Fishieries
Commission’s (ASMFC) Interstate
Fishery Management Plan in state
waters, at least for FY 2006. This would
have the benefit of establishing
consistent management measures in
Federal and state jurisdictions, and
would simplify monitoring and
enforcement. As demonstrated in
previous years, when measures differed
in state and Federal waters, the benefits
of a more restrictive quota in Federal
waters would likely be slight because
fishing would continue in state waters
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Federal Register / Vol. 71, No. 136 / Monday, July 17, 2006 / Rules and Regulations
under the less restrictive ASMFC quota.
In addition, discard mortality associated
with continuing incidental catches
would continue to occur after a quota
period was closed, further undermining
the conservation benefits expected from
a more restrictive quota in Federal
waters. The Northeast Fisheries Science
Center’s (NEFSC) review of the
proposed measure concluded that the
higher quota would not significantly
alter the rebuilding period (no more
than 1 or 2 years), though continued low
recruitment could change this
conclusion. Although the specifications
are being set for 3 years, the Council and
NMFS will continue to review new
information in intervening years, and if
that information indicates that the
specifications need to be modified to
ensure continued rebuilding of the
stock, the specifications-setting process
would be re-initiated to take that
information into account.
Comment 2: One organization argued
that by not following the Monitoring
Committee’s recommendation, NMFS
would be violating the MagnusonStevens Fishery Conservation and
Management Act (Magnuson-Stevens
Act) because it would allow mortality to
increase, and therefore increase the time
horizon for rebuilding.
Response: The Dogfish Fishery
Management Plan (FMP) implemented a
strategy to eliminate the directed fishery
for dogfish, which was the largest
source of dogfish mortality prior to
management. A quota was established to
allow a limited amount of incidental
catch to be landed. Even if the quota
were reduced to 0, dogfish mortality
would continue to occur since dogfish
are caught incidentally in other
fisheries. Thus, this action maintains
the FMP strategy of eliminating
mortality associated with directed
fishing for dogfish and allowing limited
landings of incidental catch. NMFS
believes that this incidental level of
harvest is a reasonable exercise of its
discretion in line with the court’s
decision in Natural Resources Defense
Council, Inc., v. National Marine
Fisheries Service 4211 F.3d 872, (9th
Cir. 2005). This level will allow those
fishing for other species to land a
limited amount of dogfish caught
incidentally. This will not allow a
directed fishery for dogfish, which is the
principal objective of the Dogfish FMP.
NMFS believes that setting an incidental
quota in line with the Monitoring
Committee’s recommendation would
result in discard mortality of dogfish
caught incidentally that would
otherwise be landed under a higher
incidental quota. This deprives
fishermen of the limited income they
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could derive from fish that they would
have to discard under the lower quota
without having a material benefit to the
stock. While section 304(e) of the
Magnuson-Stevens Act specifies that a
rebuilding period should be short as
possible, it invests NMFS with a certain
amount of discretion to take into
account other factors such as the stock
status and biology and the needs needs
of fishing communities in determining
the length of any rebuilding period.
Comment 3: One organization also did
not agree with NMFS’s contention that
setting the quota at 4 million lb, and
possession limits at 600 lb (272 kg) for
both periods would be beneficial
because it would mirror the ASFMC
management measures for 2006. This
organization argued that such a
decision, ‘‘turned the requirements of
the Magnuson-Stevens Act on its head,’’
because instead of mirroring the
ASFMC, NMFS should focus on
rebuilding the stock as quickly as
possible. The commenter also suggested
that the preemption section of the
Magnuson-Stevens Act could be used to
resolve conflicts with state law.
Response: As noted in the response to
comment 2, NMFS has discretion to take
into account other factors in
determining how long the rebuilding
period should be. There is no absolute
legal requirement that a rebuilding
period needs to be as short as possible.
NMFS has determined that an
incidental harvest of dogfish should be
allowed. The views of the commenters
differ from that of the agency as to what
that level should be. Only one
commenter suggested that the level
should be set at 0. Obviously, there is
a recognition that dogfish mortality
would continue even were the quota 0,
since it is caught incidentally in other
fisheries. It would also be a questionable
exercise of agency authority to close
other fisheries to prevent the incidental
mortality of dogfish. NMFS believes that
it is a reasonable exercise of its
discretion to allow for a 4–million lb
(1,814–mt) incidental quota. This will
prevent discards of incidentally caught
dogfish that would otherwise be landed
but for a lower quota, and not allow for
directed fishing. The fact that the 4–
million lb (1,814–mt) quota will mirror
that set by the ASMFC and achieve a
consistent management program is
important yet ancillary to the
establishment of an incidental quota
that NMFS believes is reasonable and
does not represent a material delay in
rebuilding the dogfish fishery.
Preempting state law under the
Magnuson-Stevens Act is a politically
sensitive process involving strongly
held states rights. It is not invoked
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40437
lightly. It has been used only once or
twice during the history of the
Magnuson-Stevens Act and then only
with the cooperation of the affected
state. The Magnuson-Stevens Act
reserves the use of this provision only
for rare occasions where a state has
taken any action or omitted to take any
action, the results of which will
substantially and adversely affect the
carrying out of a FMP. The
implementation of a dogfish quota
higher than the Federal quota by the
states does not fall within those
narrowly prescribed circumstances that
would allow preemption under the
Magnuson-Stevens Act.
Comment 4: Seven individuals argued
that the proposed action was not
supported by the science, but they did
not recommend a specific alternative.
Response: Although these measures
do not reflect the Monitoring
Committee’s recommendation, they are
not without scientific support, as is
indicated by the analysis presented in
the Council’s environmental
assessment. Specifically, the measures
will continue to preclude a directed
fishery and contribute to the rebuilding
of the stock. As noted in the response
to comment 1, the NEFSC’s review of
the proposed measure concluded that
the higher quota, if reached, would not
significantly alter the rebuilding period
(no more than 1 or 2 years); and given
the restraining influence of the low
possession limit, it is unlikely that the
higher quota will be attained. In light of
this, and comments made in other
responses included in this action, these
measures are a reasonable exercise of
the discretion invested in NMFS by the
Magnuson-Stevens Act.
Comment 5: One organization and
five individuals claimed that there were
too many dogfish in the ocean, that
NMFS has mismanaged the resource
and relied on faulty assessment science,
and that NMFS should increase the
quota and the possession limits.
Response: NMFS does not question
that fishermen frequently encounter
dogfish and in large numbers while
fishing. However, the best available
science indicates that spiny dogfish are
overfished and, as such, the MagnusonStevens Act requires the development of
a management program to rebuild the
stock. Given the status of the stock, a
directed fishery is not appropriate at
this time. Increasing the quota and the
possession limits would risk the reinitiation of a directed fishery.
Comment 6: One individual agreed
that there were too many dogfish and
urged NMFS to allow a male-only
fishery.
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Federal Register / Vol. 71, No. 136 / Monday, July 17, 2006 / Rules and Regulations
Response: A directed fishery of any
type is inappropriate in light of the
overfished condition of the spiny
dogfish stock. No one has identified a
way to successfully direct fishing on
males only.Therefore, If a directed
fishery for male dogfish developed, it
would likely require the discard of
female dogfish, and increase the
associated discard mortality. That
would likely have a negative impact on
the rebuilding program, as it could
increase the mortality of mature
females.
Comment 7: One individual wanted
the dogfish quota set at zero.
Response: For the reasons cited in
response 3, NMFS believes that this is
not appropriate.
Comment 8: One organization urges
NMFS to limit the specifications to 1
year until the 2006 stock assessment is
completed and analyzed. After that
assessment is completed, the
commenter argued, multi-year
specifications can be set.
Response: Because the recovery
trajectory for spiny dogfish is expected
to be rather gradual under the most
conservative management regime,
NMFS believes that it is appropriate to
set the specifications for 3 years. As
noted in the response to comment 1, the
Council and NMFS will continue to
review new information as it is brought
forward, and if that information
indicates that the specifications need to
be modified to ensure continued
rebuilding of the stock, the
specifications-setting process would be
re-initiated to take that information into
account. Thus, if the 2006 stock
assessment warrants a change in the
specifications, in either direction, such
a change will be made.
Classification
Included in this final rule is the FRFA
prepared pursuant to 5 U.S.C. 604(a).
The FRFA incorporates the discussion
that follows, the comments and
responses to the proposed rule, and the
initial regulatory flexibility analysis
(IRFA) and other analyses completed in
support of this action. A copy of the
IRFA is available from the Regional
Administrator (see ADDRESSES).
Final Regulatory Flexibility Analysis
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Statement of Objective and Need
A description of the reasons why this
action is being considered, and the
objectives of and legal basis for this
action, is contained in the preamble to
this proposed rule and is not repeated
here.
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Description and Estimate of Number of
Small Entities to Which the Rule Will
Apply
All of the potentially affected
businesses are considered small entities
under the standards described in NMFS
guidelines because they have gross
receipts that do not exceed $3.5 million
annually. Information from the 2004
fishing year was used to evaluate
impacts of this action, as that is the
most recent year for which data are
complete. According to NMFS permit
file data, 2,911 vessels possessed
Federal spiny dogfish permits in 2004,
while 180 of these vessels contributed to
overall landings.
Description of Projected Reporting,
Recordkeeping, and Other Compliance
Requirements
This action does not contain any new
collection-of-information, reporting,
recordkeeping, or other compliance
requirements. It does not duplicate,
overlap, or conflict with any other
Federal rules.
Minimizing Significant Economic
Impacts on Small Entities
The FRFA evaluated three
alternatives. The action described in
this final rule establishes a commercial
quota of 4 million lb (1,814 mt), and a
possession limit of 600 lb (272 kg), in
both quota periods, for a period of 3
years. Alternative 2 is the MAFMC
proposal, which establishes a 2–million
lb (907–mt) quota with possession limits
of 600 lb (272 kg) in both quota periods,
for a period of 3 years. Alternative 3 is
the NEFMC proposal, which establishes
a commercial quota of 4–million lb
(1,814 mt), with possession limits of 600
lb (272 kg) in both quota periods, for a
period of 1 year.
Based on NMFS dealer reports, spiny
dogfish landings in fishing year 2004
were roughly 1.5 million lb (680 mt).
These landings occurred at a time when
the Federal and state management
measures for spiny dogfish were
identical, with a quota of 4 million lb
(1,814 mt), and the possession limits for
periods 1 and 2 set at 600 lb (272 kg)
and 300 lb (136 kg), respectively. This
shows that the U.S. commercial spiny
dogfish landings are controlled more by
the possession limits than the overall
quota, unless the quota is set so low as
to be constraining.
All three of the alternatives to the noaction alternative considered could lead
to a slight increase in revenues to
individual fishermen from the sale of
dogfish. This is because all three of the
alternatives would increase the
possession limit in quota period 2 to
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600 lb (272 kg). Setting the possession
limit at 600 lb (272 kg) throughout the
year, as opposed to 600 (272 kg) and 300
lb (136 kg) in periods 1 and 2
respectively, would allow fishermen to
land higher amounts of dogfish in the
second period as compared to what was
landed in fishing year 2004. If the 1,124
fishing trips that landed spiny dogfish
in period 2 of FY2004 had all landed
600 lb (272 kg), periodic landings would
have increased from 320,000 lb (145 mt)
to 560,000 lb (254 mt), for a net increase
of 240,000 lb (109 mt), which, at the
average price of 0.17 cents per pound of
dogfish, equals roughly an addition
$41,000 in net revenue.
Small Entity Compliance Guide
Section 212 of the Small Business
Regulatory Enforcement Fairness Act of
1996 states that, for each rule, or group
of related rules, for which an agency is
required to prepare a FRFA, the agency
shall publish one or more guides to
assist small entities in complying with
the rule and shall designate such
publications as ‘‘small entity
compliance guides.’’ The agency shall
explain the actions a small entity is
required to take to comply with a rule
or group of rules. As part of this
rulemaking process, a small entity
compliance guide will be sent to all
holders of permits issued for the spiny
dogfish fishery. In addition, copies of
this final rule and guide (i.e., permit
holder letter) are available from the
Regional Administrator (see ADDRESSES)
and may be found at the following web
site: https://www.nmfs.gov/ro/doc/
nero.html
List of Subjects in 50 CFR Part 648
Fisheries, Fishing, Reporting and
recordkeeping requirements.
Dated: July 11, 2006.
Samuel D. Rauch III,
Deputy Assistant Administrator for
Regulatory Programs, National Marine
Fisheries Service.
For the reasons set out above, 50 CFR
part 648 is amended as follows:
I
PART 648—FISHERIES OF THE
NORTHEASTERN UNITED STATES
1. The authority citation for part 648
continues to read as follows:
I
Authority: 16 U.S.C. 1801 et seq.
2. In § 648.235, paragraph (b)(1) is
revised as follows:
I
§ 648.235 Possession and landing
restrictions.
*
*
*
(b) * * *
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*
Federal Register / Vol. 71, No. 136 / Monday, July 17, 2006 / Rules and Regulations
(1) Possess up to 600 lb (272 kg) of
spiny dogfish per trip; and
*
*
*
*
*
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Agencies
[Federal Register Volume 71, Number 136 (Monday, July 17, 2006)]
[Rules and Regulations]
[Pages 40436-40439]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E6-11134]
=======================================================================
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DEPARTMENT OF COMMERCE
National Oceanic and Atmospheric Administration
50 CFR Part 648
[Docket No. 060418103-6181-02; I.D. 040706F]
RIN 0648-AT59
Fisheries of the Northeastern United States; Final 2006-2008
Specifications for the Spiny Dogfish Fishery
AGENCY: National Marine Fisheries Service (NMFS), National Oceanic and
Atmospheric Administration (NOAA), Commerce.
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: NMFS announces final specifications for the 2006-2008 fishing
years, which is May 1, 2006, through April 30, 2009. NMFS is also
establishing possession limits for dogfish at 600 lb (272 kg) for both
quota periods 1 and 2 of the fishery.
DATES: The regulatory change at 50 CFR 648.235 that sets the dogfish
possession limits at 600 lb (272 kg) is effective August 16, 2006. The
specifications are effective August 16, 2006, through April 30, 2009.
ADDRESSES: Copies of supporting documents used by the Joint Spiny
Dogfish Committee and the Spiny Dogfish Monitoring Committee
(Monitoring Committee); the Environmental Assessment, Regulatory Impact
Review, Initial Regulatory Flexibility Analysis (EA/RIR/IRFA); and the
Essential Fish Habitat Assessment (EFHA) are available from Daniel
Furlong, Executive Director, Mid-Atlantic Fishery Management Council
(MAFMC), Federal Building, Room 2115, 300 South Street, Dover, DE
19904. The EA, RIR, IRFA and EFHA are accessible via the Internet at
http:/www.nero.gov.
FOR FURTHER INFORMATION CONTACT: Eric Jay Dolin, Fishery Policy
Analyst, (978)281-9259, fax (978)281-9135.
SUPPLEMENTARY INFORMATION:
Background
A proposed rule for this action was published in the Federal
Register on May 8, 2006 (71 FR 26726), with public comment accepted
through May 23, 2006. The final specifications are unchanged from those
that were proposed. A complete discussion of the development of the
specifications appears in the preamble to the proposed rule and is not
repeated here.
2006-2008 Specifications
The commercial spiny dogfish quota for the 2006-2008 fishing years
is 4 million lb (1.81 million kg) annually, to be divided into two
semi-annual periods as follows: 2,316,000 lb (1.05 million kg) for
quota period 1 (May 1 - Oct. 31); and 1,684,000 lb (763,849 kg) for
quota period 2 (Nov. 1 - April 30). The possession limits are 600 lb
(272 kg) for quota periods 1 and 2, to discourage a directed fishery.
Comments and Responses
There were 1,099 comments submitted on the proposed measures, by 4
organizations and 1,095 individuals.
Comment 1: Three organizations and 1,081 individuals argued that
NMFS should have followed the Monitoring Committee's recommendation,
setting the quota at 2 million lb (907 mt) and the possession limits at
600 lb (272 kg) and 300 lb (136 kg), respectively. These commenters
argued that the Monitoring Committee's recommendation represented the
best available scientific information.
Response: The Council's analysis concluded that the U.S. commercial
spiny dogfish landings are controlled more by the possession limits
than the overall quota. Maintaining the limits of 600 lb (272 kg) for
both quota periods does not erode the control over landings and would
allow for a limited level of retention of spiny dogfish caught
incidentally while fishing for other species. Standardizing the
possession limits for both quota periods will address a perceived
inequity that has been identified by some vessel operators, without
creating an incentive for directed fishing. Discouraging directed
fishing through this modest possession limit and an incidental catch
quota will provide protection for mature female spiny dogfish, the
portion of the stock that has traditionally been targeted by the
directed fishery, and the stock component that is most in need of
protection and rebuilding. These measures would also be consistent with
the measures being implemented under the Atlantic States Marine
Fishieries Commission's (ASMFC) Interstate Fishery Management Plan in
state waters, at least for FY 2006. This would have the benefit of
establishing consistent management measures in Federal and state
jurisdictions, and would simplify monitoring and enforcement. As
demonstrated in previous years, when measures differed in state and
Federal waters, the benefits of a more restrictive quota in Federal
waters would likely be slight because fishing would continue in state
waters
[[Page 40437]]
under the less restrictive ASMFC quota. In addition, discard mortality
associated with continuing incidental catches would continue to occur
after a quota period was closed, further undermining the conservation
benefits expected from a more restrictive quota in Federal waters. The
Northeast Fisheries Science Center's (NEFSC) review of the proposed
measure concluded that the higher quota would not significantly alter
the rebuilding period (no more than 1 or 2 years), though continued low
recruitment could change this conclusion. Although the specifications
are being set for 3 years, the Council and NMFS will continue to review
new information in intervening years, and if that information indicates
that the specifications need to be modified to ensure continued
rebuilding of the stock, the specifications-setting process would be
re-initiated to take that information into account.
Comment 2: One organization argued that by not following the
Monitoring Committee's recommendation, NMFS would be violating the
Magnuson-Stevens Fishery Conservation and Management Act (Magnuson-
Stevens Act) because it would allow mortality to increase, and
therefore increase the time horizon for rebuilding.
Response: The Dogfish Fishery Management Plan (FMP) implemented a
strategy to eliminate the directed fishery for dogfish, which was the
largest source of dogfish mortality prior to management. A quota was
established to allow a limited amount of incidental catch to be landed.
Even if the quota were reduced to 0, dogfish mortality would continue
to occur since dogfish are caught incidentally in other fisheries.
Thus, this action maintains the FMP strategy of eliminating mortality
associated with directed fishing for dogfish and allowing limited
landings of incidental catch. NMFS believes that this incidental level
of harvest is a reasonable exercise of its discretion in line with the
court's decision in Natural Resources Defense Council, Inc., v.
National Marine Fisheries Service 4211 F.3d 872, (9th Cir. 2005). This
level will allow those fishing for other species to land a limited
amount of dogfish caught incidentally. This will not allow a directed
fishery for dogfish, which is the principal objective of the Dogfish
FMP. NMFS believes that setting an incidental quota in line with the
Monitoring Committee's recommendation would result in discard mortality
of dogfish caught incidentally that would otherwise be landed under a
higher incidental quota. This deprives fishermen of the limited income
they could derive from fish that they would have to discard under the
lower quota without having a material benefit to the stock. While
section 304(e) of the Magnuson-Stevens Act specifies that a rebuilding
period should be short as possible, it invests NMFS with a certain
amount of discretion to take into account other factors such as the
stock status and biology and the needs needs of fishing communities in
determining the length of any rebuilding period.
Comment 3: One organization also did not agree with NMFS's
contention that setting the quota at 4 million lb, and possession
limits at 600 lb (272 kg) for both periods would be beneficial because
it would mirror the ASFMC management measures for 2006. This
organization argued that such a decision, ``turned the requirements of
the Magnuson-Stevens Act on its head,'' because instead of mirroring
the ASFMC, NMFS should focus on rebuilding the stock as quickly as
possible. The commenter also suggested that the preemption section of
the Magnuson-Stevens Act could be used to resolve conflicts with state
law.
Response: As noted in the response to comment 2, NMFS has
discretion to take into account other factors in determining how long
the rebuilding period should be. There is no absolute legal requirement
that a rebuilding period needs to be as short as possible. NMFS has
determined that an incidental harvest of dogfish should be allowed. The
views of the commenters differ from that of the agency as to what that
level should be. Only one commenter suggested that the level should be
set at 0. Obviously, there is a recognition that dogfish mortality
would continue even were the quota 0, since it is caught incidentally
in other fisheries. It would also be a questionable exercise of agency
authority to close other fisheries to prevent the incidental mortality
of dogfish. NMFS believes that it is a reasonable exercise of its
discretion to allow for a 4-million lb (1,814-mt) incidental quota.
This will prevent discards of incidentally caught dogfish that would
otherwise be landed but for a lower quota, and not allow for directed
fishing. The fact that the 4-million lb (1,814-mt) quota will mirror
that set by the ASMFC and achieve a consistent management program is
important yet ancillary to the establishment of an incidental quota
that NMFS believes is reasonable and does not represent a material
delay in rebuilding the dogfish fishery.
Preempting state law under the Magnuson-Stevens Act is a
politically sensitive process involving strongly held states rights. It
is not invoked lightly. It has been used only once or twice during the
history of the Magnuson-Stevens Act and then only with the cooperation
of the affected state. The Magnuson-Stevens Act reserves the use of
this provision only for rare occasions where a state has taken any
action or omitted to take any action, the results of which will
substantially and adversely affect the carrying out of a FMP. The
implementation of a dogfish quota higher than the Federal quota by the
states does not fall within those narrowly prescribed circumstances
that would allow preemption under the Magnuson-Stevens Act.
Comment 4: Seven individuals argued that the proposed action was
not supported by the science, but they did not recommend a specific
alternative.
Response: Although these measures do not reflect the Monitoring
Committee's recommendation, they are not without scientific support, as
is indicated by the analysis presented in the Council's environmental
assessment. Specifically, the measures will continue to preclude a
directed fishery and contribute to the rebuilding of the stock. As
noted in the response to comment 1, the NEFSC's review of the proposed
measure concluded that the higher quota, if reached, would not
significantly alter the rebuilding period (no more than 1 or 2 years);
and given the restraining influence of the low possession limit, it is
unlikely that the higher quota will be attained. In light of this, and
comments made in other responses included in this action, these
measures are a reasonable exercise of the discretion invested in NMFS
by the Magnuson-Stevens Act.
Comment 5: One organization and five individuals claimed that there
were too many dogfish in the ocean, that NMFS has mismanaged the
resource and relied on faulty assessment science, and that NMFS should
increase the quota and the possession limits.
Response: NMFS does not question that fishermen frequently
encounter dogfish and in large numbers while fishing. However, the best
available science indicates that spiny dogfish are overfished and, as
such, the Magnuson-Stevens Act requires the development of a management
program to rebuild the stock. Given the status of the stock, a directed
fishery is not appropriate at this time. Increasing the quota and the
possession limits would risk the re-initiation of a directed fishery.
Comment 6: One individual agreed that there were too many dogfish
and urged NMFS to allow a male-only fishery.
[[Page 40438]]
Response: A directed fishery of any type is inappropriate in light
of the overfished condition of the spiny dogfish stock. No one has
identified a way to successfully direct fishing on males
only.Therefore, If a directed fishery for male dogfish developed, it
would likely require the discard of female dogfish, and increase the
associated discard mortality. That would likely have a negative impact
on the rebuilding program, as it could increase the mortality of mature
females.
Comment 7: One individual wanted the dogfish quota set at zero.
Response: For the reasons cited in response 3, NMFS believes that
this is not appropriate.
Comment 8: One organization urges NMFS to limit the specifications
to 1 year until the 2006 stock assessment is completed and analyzed.
After that assessment is completed, the commenter argued, multi-year
specifications can be set.
Response: Because the recovery trajectory for spiny dogfish is
expected to be rather gradual under the most conservative management
regime, NMFS believes that it is appropriate to set the specifications
for 3 years. As noted in the response to comment 1, the Council and
NMFS will continue to review new information as it is brought forward,
and if that information indicates that the specifications need to be
modified to ensure continued rebuilding of the stock, the
specifications-setting process would be re-initiated to take that
information into account. Thus, if the 2006 stock assessment warrants a
change in the specifications, in either direction, such a change will
be made.
Classification
Included in this final rule is the FRFA prepared pursuant to 5
U.S.C. 604(a). The FRFA incorporates the discussion that follows, the
comments and responses to the proposed rule, and the initial regulatory
flexibility analysis (IRFA) and other analyses completed in support of
this action. A copy of the IRFA is available from the Regional
Administrator (see ADDRESSES).
Final Regulatory Flexibility Analysis
Statement of Objective and Need
A description of the reasons why this action is being considered,
and the objectives of and legal basis for this action, is contained in
the preamble to this proposed rule and is not repeated here.
Description and Estimate of Number of Small Entities to Which the Rule
Will Apply
All of the potentially affected businesses are considered small
entities under the standards described in NMFS guidelines because they
have gross receipts that do not exceed $3.5 million annually.
Information from the 2004 fishing year was used to evaluate impacts of
this action, as that is the most recent year for which data are
complete. According to NMFS permit file data, 2,911 vessels possessed
Federal spiny dogfish permits in 2004, while 180 of these vessels
contributed to overall landings.
Description of Projected Reporting, Recordkeeping, and Other Compliance
Requirements
This action does not contain any new collection-of-information,
reporting, recordkeeping, or other compliance requirements. It does not
duplicate, overlap, or conflict with any other Federal rules.
Minimizing Significant Economic Impacts on Small Entities
The FRFA evaluated three alternatives. The action described in this
final rule establishes a commercial quota of 4 million lb (1,814 mt),
and a possession limit of 600 lb (272 kg), in both quota periods, for a
period of 3 years. Alternative 2 is the MAFMC proposal, which
establishes a 2-million lb (907-mt) quota with possession limits of 600
lb (272 kg) in both quota periods, for a period of 3 years. Alternative
3 is the NEFMC proposal, which establishes a commercial quota of 4-
million lb (1,814 mt), with possession limits of 600 lb (272 kg) in
both quota periods, for a period of 1 year.
Based on NMFS dealer reports, spiny dogfish landings in fishing
year 2004 were roughly 1.5 million lb (680 mt). These landings occurred
at a time when the Federal and state management measures for spiny
dogfish were identical, with a quota of 4 million lb (1,814 mt), and
the possession limits for periods 1 and 2 set at 600 lb (272 kg) and
300 lb (136 kg), respectively. This shows that the U.S. commercial
spiny dogfish landings are controlled more by the possession limits
than the overall quota, unless the quota is set so low as to be
constraining.
All three of the alternatives to the no-action alternative
considered could lead to a slight increase in revenues to individual
fishermen from the sale of dogfish. This is because all three of the
alternatives would increase the possession limit in quota period 2 to
600 lb (272 kg). Setting the possession limit at 600 lb (272 kg)
throughout the year, as opposed to 600 (272 kg) and 300 lb (136 kg) in
periods 1 and 2 respectively, would allow fishermen to land higher
amounts of dogfish in the second period as compared to what was landed
in fishing year 2004. If the 1,124 fishing trips that landed spiny
dogfish in period 2 of FY2004 had all landed 600 lb (272 kg), periodic
landings would have increased from 320,000 lb (145 mt) to 560,000 lb
(254 mt), for a net increase of 240,000 lb (109 mt), which, at the
average price of 0.17 cents per pound of dogfish, equals roughly an
addition $41,000 in net revenue.
Small Entity Compliance Guide
Section 212 of the Small Business Regulatory Enforcement Fairness
Act of 1996 states that, for each rule, or group of related rules, for
which an agency is required to prepare a FRFA, the agency shall publish
one or more guides to assist small entities in complying with the rule
and shall designate such publications as ``small entity compliance
guides.'' The agency shall explain the actions a small entity is
required to take to comply with a rule or group of rules. As part of
this rulemaking process, a small entity compliance guide will be sent
to all holders of permits issued for the spiny dogfish fishery. In
addition, copies of this final rule and guide (i.e., permit holder
letter) are available from the Regional Administrator (see ADDRESSES)
and may be found at the following web site: https://www.nmfs.gov/ro/doc/
nero.html
List of Subjects in 50 CFR Part 648
Fisheries, Fishing, Reporting and recordkeeping requirements.
Dated: July 11, 2006.
Samuel D. Rauch III,
Deputy Assistant Administrator for Regulatory Programs, National Marine
Fisheries Service.
0
For the reasons set out above, 50 CFR part 648 is amended as follows:
PART 648--FISHERIES OF THE NORTHEASTERN UNITED STATES
0
1. The authority citation for part 648 continues to read as follows:
Authority: 16 U.S.C. 1801 et seq.
0
2. In Sec. 648.235, paragraph (b)(1) is revised as follows:
Sec. 648.235 Possession and landing restrictions.
* * * * *
(b) * * *
[[Page 40439]]
(1) Possess up to 600 lb (272 kg) of spiny dogfish per trip; and
* * * * *
[FR Doc. E6-11134 Filed 7-14-06; 8:45 am]
BILLING CODE 3510-22-S