Notice of Availability of Guidance on Section 6002 of the Safe, Accountable, Flexible, Efficient Transportation Equity Act: A Legacy for Users (SAFETEA-LU), 66576-66587 [06-9201]
Download as PDF
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66576
Federal Register / Vol. 71, No. 220 / Wednesday, November 15, 2006 / Notices
at https://dms.dot.gov by using the above
docket number. Comments that were
previously received in response to the
EA scoping may also be reviewed at this
Web site under Docket No. FAA–2004–
17174.
FOR FURTHER INFORMATION CONTACT:
Peter F. Ciesla, Air Tour Management
Plan Program Manager, Executive
Resource Staff, AWP–4, Federal
Aviation Administration, WesternPacific Region. Mailing address: P.O.
Box 92007, Los Angeles, California
90009–2007. Telephone: (310) 725–
3818. Street address: 15000 Aviation
Boulevard, Lawndale, California 90261.
E-mail: Pete.Ciesla@faa.gov. Park
specific information can be obtained
from Marilyn Parris, Superintendent,
Haleakala National Park, Mile Marker
11, Crater Road, Kula, HI 96790.
Telephone: (808) 572–4401. E-mail:
Marilyn_H_Parris@nps.gov.
SUPPLEMENTARY INFORMATION: In
developing an ATMP and any
associated rulemaking actions, the FAA
is required to comply with the National
Environmental Policy Act of 1969
(NEPA), which calls on Federal agencies
to consider environmental issues as part
of their decisionmaking process. For the
purposes of compliance with NEPA on
this project, the FAA is the Lead Agency
and the NPS is a Cooperating Agency.
The FAA ATMP Program Office and the
NPS Natural Sounds Program Office are
responsible for the overall
implementation of the ATMP Program.
Pete Ciesla is the FAA’s principal
program manager responsible for all
parts of the EIS and performance of
required consultation regarding cultural
resources and endangered and
threatened species. For the park,
Superintendent Marilyn Parris is
responsible for park operations and
management and for recommending the
draft and final EIS and Record of
Decision to the NPS Pacific West
Regional Director.
The EIS is being prepared in
accordance with FAA Order 1050.1E,
Environmental Impacts: Policies and
Procedures, NPS Director’s Order #12:
Conservation Planning, Environmental
Impact Analysis, and Decisionmaking,
and NPS Management Policies. The
FAA is now inviting the public,
agencies, and other interested parties to
provide written comments, suggestions,
and input regarding: (1) The scope,
issues, and concerns related to the
development of the ATMP for Haleakala
National Park; (2) the scope of issues
and the identification of significant
issues regarding commercial air tours
and their potential impacts to be
addressed in the NEPA process; (3) the
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15:00 Nov 14, 2006
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potential effects of commercial air tours
on natural resources, congressionally
designated wilderness, cultural
resources, and the visitor experience; (4)
preliminary ATMP alternatives; and, (5)
past, present, and reasonably
foreseeable future actions which, when
considered with ATMP alternatives,
may result in significant cumulative
impacts. The FAA requests that
comments be as specific as possible in
response to actions that are being
proposed under this notice.
Scoping documents that describe the
Haleakala National Park ATMP project
in greater detail and the preliminary
ATMP alternatives under consideration
are available at the following locations:
• FAA Air Tour Management Plan
Program Web site, https://www.faa.gov/
about/office_org/headquarters_offices/
arc/programs/
air_tour_management_plan/.
• Haleakala National Park, Mile
Marker 11, Crater Road, Kula, HI 96790.
• National Park Service, Pacific West
Region—Honolulu Office, 300 Ala
Moana Boulevard, Box 50165,
Honolulu, HI 96850.
• Hawai1i State Library, Hawai1i
Documents Center, 478 South King
Street, Honolulu, HI 96813.
• Hana Public and School Library,
4111 Hana Highway, Hana, HI 96713.
• Makawao Public Library, 1159
Makawao Avenue, Makawao, HI 96768.
• Kahului Public Library, 90 School
Street, Kahului, HI 96732.
• Maui Community College Library,
310 Ka1ahumanu Avenue, Kahului, HI
96732.
• Kihei Public Library, 35
Waimahaihai Street, Kihei, HI 96753.
• Lahaina Public Library, 680 Wharf
Street, Lahaina, HI 96761.
• Wailuku Public Library, 251 High
Street, Wailuku, HI 96793
Issued in Los Angeles, CA, on November
6, 2006.
Peter F. Ciesla,
FAA, Air Tour Management Plan Program
Manager, AWP–4.
[FR Doc. E6–19202 Filed 11–14–06; 8:45 am]
BILLING CODE 4910–13–P
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DEPARTMENT OF TRANSPORTATION
Federal Transit Administration
Federal Highway Administration
[Docket Number: FTA–2006–24905]
Notice of Availability of Guidance on
Section 6002 of the Safe, Accountable,
Flexible, Efficient Transportation
Equity Act: A Legacy for Users
(SAFETEA–LU)
Federal Transit Administration
(FTA), Federal Highway Administration
(FHWA), DOT.
ACTION: Notice of availability.
AGENCY:
SUMMARY: This notice announces the
availability of final guidance on the
application of section 6002 of the Safe,
Accountable, Flexible, Efficient
Transportation Equity Act: A Legacy for
Users (SAFETEA–LU) (Pub. L. 109–59,
119 Stat. 1144) to projects funded by the
Federal Transit Administration (FTA),
the Federal Highway Administration
(FHWA), or both. Section 6002 of
SAFETEA–LU, which went into effect
on August 10, 2005, adds requirements
and refinements to the environmental
review process for highway and public
transportation capital projects. The
section 6002 guidance describes how
the FTA and FHWA will implement the
new requirements within the
environmental review process required
by the National Environmental Policy
Act (NEPA) and other Federal laws. The
final guidance is available at the
following URL: https://www.fta.dot.gov/
environment/guidance/ for FTA and at
https://www.fhwa.dot.gov/hep/
section6002/ for FHWA.
DATES: Effective Date: November 15,
2006.
For
FTA: Joseph Ossi, Office of Planning
and Environment (TPE), (202) 366–
1613, or Christopher Van Wyk, Office of
Chief Counsel (TCC), (202) 366–1733,
Federal Transit Administration, U.S.
Department of Transportation, 400
Seventh Street, SW., Washington, DC
20590. For FHWA: Ruth Rentch, Office
of Project Development (HEPE), (202)
366–2034, or Janet Myers, Office of
Chief Counsel (HCC), (202) 366–2019,
Federal Highway Administration, U.S.
Department of Transportation, 400
Seventh Street, SW., Washington, DC
20590.
FOR FURTHER INFORMATION CONTACT:
SUPPLEMENTARY INFORMATION:
Availability of the Final Guidance and
Comments
Copies of the proposed and final
guidance on the application of section
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6002 of SAFETEA–LU to projects
funded by the FTA, the FHWA, or both,
the comments received from the public
on the proposed guidance, and the
agencies’ response to comments
received are part of docket FTA–2006–
24905 and are available for inspection
or copying at the Docket Management
Facility, U.S. Department of
Transportation, Room PL–401 on the
plaza level of the Nassif Building, 400
Seventh Street, SW., Washington, DC
between 9 a.m. and 5 p.m., Monday
through Friday, except Federal holidays.
You may retrieve the guidance and
comments online through the Document
Management System (DMS) at: https://
dms.dot.gov. Enter docket number
24905 in the search field. The DMS is
available 24 hours each day, 365 days
each year. Electronic submission and
retrieval help and guidelines are
available under the help section of the
Web site. You may download an
electronic copy of this document by
using a computer, modem and suitable
communications software from the
Government Printing Office’s Electronic
Bulletin Board Service at (202)
512’1661. Internet users may reach the
Office of the Federal Register’s Web
page at: https://www.nara.gov/fedreg and
the Government Printing Office’s Web
page at: https://www.gpoaccess.gov/fr/
index.html.
Background
On August 10, 2005, President Bush
signed SAFETEA–LU. Section 6002 of
SAFETEA–LU, which has been codified
as 23 U.S.C. 139, prescribes a number of
changes to existing FTA and FHWA
procedures for implementing the
National Environmental Policy Act of
1969 (NEPA), 42 U.S.C. 4321–4351, as
amended, and for the implementing
regulations of the Council on
Environmental Quality (CEQ), 40 CFR
parts 1500 through 1508. Among the
topics addressed in section 6002 are the
roles of the project sponsor and the lead,
participating, and cooperating agencies;
requirements for coordinating and
scheduling agency reviews; the
authority for States to use Federal-aid
funds to ensure timely environmental
reviews; a 180-day statute of limitations
on claims, and a process for resolving
interagency disagreements.
On June 29, 2006, the FTA and FHWA
published a Notice of Availability and
Request for Comments on the proposed
guidance on the implementation of
SAFETEA–LU section 6002 in the
Federal Register (71 FR 37156). The
agencies requested and received
comments on the proposed guidance
referenced in the June notice. The
purpose of this notice is to announce
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the availability of the final guidance.
The final guidance reflects the agencies’
consideration of these comments and
further reviews by the FTA and FHWA.
The final guidance is available on the
docket (number 24905), which can be
accessed by going to https://dms.dot.gov.
The final guidance is available online
line at https://www.fta.dot.gov/
environment/guidance/ for FTA and at
https://www.fhwa.dot.gov/hep/
section6002/ for FHWA.
The purpose of the section 6002
guidance is to provide explanations of
new and changed aspects of the
environmental review process for FTA
and FHWA NEPA practitioners. The
guidance will inform readers about
which aspects of the environmental
review process need to be done
differently as a result of SAFETEA–LU,
and how the new procedures should be
handled. Although the guidance
outlines a new environmental review
process for highway and public
transportation capital projects, it does
not supersede any previous guidance or
regulations promulgated under NEPA.
In particular, the previously mentioned
CEQ regulations (40 CFR parts 1500–
1508) and FHWA–FTA NEPA regulation
(23 CFR part 771) are supplemented by
the section 6002 guidance and remain in
effect. This guidance is consistent with
and implements the requirements of
U.S. DOT Order 5610.1C, ‘‘Procedures
for Considering Environmental
Impacts.’’
The intent of the guidance is to
provide project sponsors with as much
flexibility as possible in administering
the environmental review process,
while providing a framework to
facilitate efficient project management
and decisionmaking in accordance with
the law. The guidance also is intended
to assist agencies and related entities
involved in the development of
environmental impact statements (EISs)
to satisfy the requirements of applicable
Federal laws, regulations and policies.
Additionally, this guidance is intended
to be non-binding and should not be
construed as a rule of general
applicability. Because the size and
scope of EISs can vary, adjustments to
the recommended approaches included
in the guidance may be appropriate, but
the minimum statutory requirement
always is noted.
Response to Comments
In the notice of availability of the
proposed guidance, the FTA and FHWA
requested comments on specific
provisions in the proposed guidance
and comments on particular questions
posed by the agencies in the Federal
Register notice. The agencies received
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comments from 29 parties. Commenters
included four individuals, six transit
agencies, 13 State highway agencies,
one State environmental agency, one
Federal environmental agency, and four
national transportation organizations.
Commenting entities included the New
York Metropolitan Transit Authority,
San Francisco Bay Area Rapid Transit
District, Central Puget Sound Regional
Transit Authority, Washington
Metropolitan Area Transit Authority,
Lane Transit District, San Diego
Association of Governments, Virginia
Department of Transportation, Maryland
State Highway Administration, Idaho
Transportation Department, Montana
Transportation Department, North
Dakota Transportation Department,
South Dakota Transportation
Department, Wyoming Transportation
Department, Ohio Department of
Transportation, Minnesota Department
of Transportation, Louisiana
Department of Transportation and
Development, Florida Department of
Transportation, California Department
of Transportation, West Virginia
Department of Transportation Division
of Highways, State of Washington
Department of Ecology, U.S.
Environmental Protection Agency,
American Highway Users Alliance,
American Association of State Highway
and Transportation Officials, American
Road and Transportation Builders
Association, and American Public
Transportation Association.
This section highlights the key issues
identified in the comments on the
proposed guidance, including
comments in response to the agencies’
specific questions. This section also
describes the FTA and FHWA response
to the comments on section 6002
implementation. The key issues are
summarized and addressed below under
general headings relating to the topics
addressed. The first seven headings
relate to the seven specific questions on
which the FTA and FHWA requested
comments. The remaining headings
pertain to topics addressed within the
three sections of the proposed guidance
(Section 1: The Environmental Review
Process; Section 2: Process
Management; and Section 3: Statute of
Limitations). Accordingly, the FTA and
FHWA response is organized under the
following headings: Adequacy of
Guidance, Flexibility of the Process,
Lead Agency Responsibilities,
Methodologies for Project Analysis,
Coordination with Participating
Agencies, Schedules for FTA Projects,
New Starts Alternatives Analysis,
General Information About the
Environmental Review Process,
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Applicability Requirements, Project
Initiation, Lead Agencies, Participating
Agencies, Cooperating Agencies,
Purpose and Need, Alternatives
Analysis, Preferred Alternative,
Coordination and Schedule,
Requirements Placed on Non-U.S. DOT
Federal Agencies, Concurrent Reviews,
Issues Identification and Resolution,
Funding of Additional Agency
Resources, Statute of Limitations, and
Other Comments.
A number of commenters raised
questions that relate to issues other than
implementation of section 6002, such as
inquiries about the FTA or FHWA
practices under NEPA that are not
affected by the implementation of
section 6002. Because the section 6002
guidance is intended to focus on topics
relating directly to the new law, FTA
and FHWA decided such questions
were beyond the scope of the guidance.
1. Adequacy of Guidance
In the notice of availability of the
proposed guidance, the FHWA
requested comments on whether the
guidance provided enough information
and instruction on how best to
implement the new requirements under
section 6002. The FHWA received
several comments on this question. In
general, commenters appear satisfied
with the level of information provided.
Where commenters felt a particular part
of the guidance warranted additional
information or a different interpretation,
they submitted their comments in the
context of those specific questions. The
key comments in terms of the overall
adequacy of the guidance, and the
agencies’ response, appear below.
Several commenters stated that the
FTA and FHWA should more strongly
emphasize their intention to apply
section 6002 in a manner that promotes
faster processing of projects. We agree
that the guidance could benefit from
more emphasis on the streamlining
goals of section 6002. The FTA and
FHWA have revised the answer to
Question 6 of the guidance to stress the
opportunities for flexibility in designing
an environmental review process that
meets the statutory requirements of
section 6002. This includes continuing
to use existing procedures where
appropriate. Revisions have been
inserted in appropriate places
throughout the guidance to identify
opportunities to reduce paperwork by
documenting the steps taken under
section 6002 within types of documents
already in use to comply with NEPA or
other project-related procedures.
One commenter stated there is a need
for more information about how to
interpret the guidance in the case of
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States assuming Federal responsibilities
for NEPA or other aspects of the
environmental review process, on a
pilot basis, under section 6005 of
SAFETEA–LU. On April 5, 2006, FHWA
published a notice of proposed
rulemaking in the Federal Register (71
FR 107040, April 5, 2006) for the
implementation of section 6005.
Following issuance of the final rule and
receipt of applications from the pilot
States, the FHWA will work with pilot
States to identify and address any issues
created by the pilot States’ assumption
of Federal environmental review
responsibilities. We do not feel it is
necessary to address this issue in the
section 6002 guidance.
2. Flexibility of the Process
In the notice of availability of the
proposed guidance, the FHWA
requested comments on whether there
are specific areas where the guidance
could and should provide more
flexibility while still meeting section
6002 requirements. The request also
asked that commenters consider how
customization in particular areas might
permit better responses to issues of
regional concern. Six commenters
submitted comments identified as
responses to the FHWA questions on
flexibility. The FTA and FHWA have
considered various comments and
concluded that the proposed guidance
may not have identified the available
flexibilities clearly enough. The
agencies have revised the final guidance
to highlight the flexibility inherent in
implementation of many of the
provisions of section 6002. The
guidance continues to encourage
agencies to tailor procedures to meet
their needs, within the statutory
parameters of section 6002 and other
applicable laws, regulations, and
funding agency requirements.
Several commenters also stated that,
where possible, the guidance should
support the use of existing processes or
procedures to meet section 6002
administrative requirements. The FTA
and FHWA agree with this comment
and the final guidance clarifies that
existing processes can be used as is, or
modified as required, so long as the
resulting procedures meet the statutory
requirements of section 6002 [23 U.S.C.
139] and other applicable Federal laws,
regulations, and policies.
3. Lead Agency Responsibilities
The FHWA asked for comments
concerning the adequacy of the
descriptions in the proposed guidance
of the responsibilities, authorities, and
limitations of lead agencies. The FHWA
also requested comment on whether the
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division of labor, responsibility and
authority was appropriate. Several
commenters addressed this topic
through their comments on specific
questions in the proposed guidance. The
FHWA and FTA response to those
comments appears with the relevant
questions.
4. Methodologies for Project Analysis
The FHWA asked for comments on
whether the proposed guidance
adequately addressed the process for
involving participating agencies in the
selection of methodologies for project
analysis. In particular, the FHWA
wanted to know whether the process in
the proposed guidance would serve to
minimize the occurrence of debates
about methodologies late in the project
development process. Two commenters
indicated a concern that the
methodologies process could evolve
into a document-intensive and
contentious process. The FTA and
FHWA appreciate that the
determination of methodologies can be
a challenging aspect of the
environmental review process and have
considered the comments and made
several clarifications in the text of
Question 38 of the final guidance. The
clarifications are intended to improve
the guidance’s explanation of the timing
of coordination and decisionmaking on
methodologies, and to facilitate the use
of programmatic agreements on
methodologies to the extent appropriate.
5. Coordination With Participating
Agencies
Comments were requested on whether
the proposed guidance provided
sufficient detail about the coordination
process with participating agencies. In
particular, comments were sought on
whether changes in schedule should
require coordination with participating
agencies. Two commenters replied to
these questions and stated that the
guidance, by requiring a project
schedule for Federal-aid highway
projects, is more restrictive than section
6002 [23 U.S.C. 139(g)(1)(B)]. The
statute makes schedules an optional part
of the required coordination plan. The
FHWA believes that a schedule is
critical to successfully managing large
or complex projects, including
managing the environmental review
process for such projects. The FHWA
revised the final guidance to clarify that
the FHWA, in its Federal lead agency
capacity, assumes that a schedule will
be used on all EA and EIS projects
processed under section 6002. If the
non-Federal lead agency believes that a
schedule is not needed, then the nonFederal lead agency will be expected to
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consult with the FHWA about how the
project will proceed. For further detail
on the use and modification of
schedules, see the comments and
responses to Questions 47–57.
The FTA and FHWA have considered
comments on coordination needed for
changes to the schedule, along with the
comments and have concluded that the
concurrence requirement for schedule
modification should apply only to
cooperating agencies. This is consistent
with the statute. However, the FTA and
FHWA note that a successful
environmental review process for a
project often depends upon close and
pragmatic coordination of the original
and any modified schedule with all
agencies that play a role in the review
of a project.
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6. Schedules for FTA Projects
The FTA requested comment whether
it should require the development of a
schedule for all FTA projects requiring
an EIS. The notice of availability noted
that section 6002 makes the inclusion of
a project schedule in the ‘‘coordination
plan’’ for the project optional, but that
the FHWA was proposing the use of a
project schedule for all EIS and EA
projects. The FTA sought comments on
whether to require, in the interest of
good project management, the
development of a project schedule and
its inclusion in the coordination plan
for any transit project requiring an EIS.
A number of commenters addressed
this question. All but one advocated
keeping the schedule optional for FTA
projects. These commenters generally
argued that complex transit projects will
frequently require schedule revisions,
and the consultations required to revise
a schedule when one is included in the
coordination plan would defeat the
objective of expediting by managing to
a schedule. The one commenter who
disagreed with this point of view argued
for a mandatory schedule as a necessary
project management tool. Having
considered all of these comments, FTA
has decided to keep the schedule
optional.
7. New Starts Alternatives Analysis
The FTA requested comment whether
it should continue to allow a New Starts
Alternatives Analysis, as defined in 49
U.S.C. 5309(a)(1), to be developed as a
non-Federal planning document not
subject to NEPA regulatory
requirements, or require that the New
Starts Alternatives Analysis be merged
into the NEPA document (normally an
EIS for New Starts projects), be subject
to NEPA regulatory requirements, and
be signed by the FTA Regional
Administrator.
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The agencies received a number of
comments on this question, and the
commenters unanimously agreed that
the flexibility of the status quo should
be maintained. Accordingly, the FTA
has decided to maintain the flexibility
of performing a Small Starts or New
Starts Alternatives Analysis as a
planning study or as a NEPA document.
One commenter requested
clarification on whether, in this
guidance, the term ‘‘New Starts
projects’’ also encompassed ‘‘Small
Starts projects’’ or not. The FTA has
now decided to distinguish between
transit fixed guideway projects that
meet the Small Starts criteria [49 U.S.C.
5309(e)] and those that do not [49 U.S.C.
5309(d)], by referring to them as ‘‘Small
Starts’’ and ‘‘New Starts’’ respectively.
The requested clarifications, namely
that this guidance applies to any FTA
project requiring an EIS, including but
not limited to any Small Starts project
requiring an EIS, and that Question 13
on the New Starts Alternatives Analysis
also applies to Small Starts, have been
made in the final guidance.
8. General Information About the
Environmental Review Process
(Proposed Guidance Questions 1–7)
Several parties offered comments on
this segment of the proposed guidance.
A number of the comments related to
editing the proposed guidance for
consistency in terminology and usage.
The FTA and FHWA have considered
those concerns in preparing the final
guidance. The major comments on the
content of this segment are described
below.
One commenter on Question 3
thought that the FHWA should adopt
the FTA policy of not applying section
6002 to projects that are processed as
environmental assessment (EA) and
categorical exclusions (CE) projects
under NEPA. One commenter advised
the FTA not to rule out the use of
section 6002 on EA projects. The FTA
and FHWA have considered the
comments, and both agencies have
considered the role that EAs play in
their programs. The FHWA and FTA
have revised the final guidance to
indicate that neither agency at this time
intends to apply section 6002 to CE
projects. In the case of EA projects, the
‘‘default case’’ adopted by both agencies
in the final guidance is that section 6002
will not apply. However, the FHWA and
FTA recognize that in some cases
section 6002 may be appropriate for an
EA project and, in such cases, section
6002 procedures may be used. The text
in the final guidance relating to
Question 8 has been revised
accordingly. The decision of the lead
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agencies to use section 6002 for an EA
project will be documented in, and
communicated through, the
coordination plan.
Another commenter suggested that
the guidance should clarify that some
environmental laws are administered by
the U.S. DOT agencies and some are
under the authority of other Federal
agencies. The commenter also asked
that the guidance clarify that in some
cases, such as the New Jersey and
Michigan Clean Water Act Section 404
programs, a Federal program is partly or
wholly operated under the authority of
a State. The agencies have revised
Question 3 of the final guidance to
acknowledge these points.
A number of commenters supported
giving lead agencies the option to use
interagency merger agreements, which
currently provide for integrated project
review processes under NEPA, the
Clean Water Act, and other Federal
laws, to meet the requirements of
section 6002. Some commenters on
Question 6 thought that the guidance
should provide more information on the
use of merger concurrence points and
the effect of section 6002 on signatory
agencies’ authority under the merger
agreements. Commenters held differing
views on whether concurrence points
should apply in the future, and whether
there is a need to renegotiate merger
agreements in light of the provisions of
section 6002.
The FTA and FHWA agree that the
use of merger agreements, where they
are in effect and working well, should
continue. The agencies have revised
Questions 6, 9, and 48 in the final
guidance to clarify this point. The
revisions include an explanation that
the merger agreement may be used by
those entities that are signatories to it,
but that the environmental review
process must provide to others the
opportunities for involvement specified
in section 6002. The final guidance also
states that, where a pre-existing merger
agreement includes concurrence
requirements, the lead agencies may
continue to use those parts of the merger
agreement if they wish. However, if the
lead agencies conclude that concurrence
on an issue is not achievable, then the
lead agencies must exercise their
decisionmaking obligations under
Section 6002. For these reasons, lead
agencies may find that, when preparing
coordination plans, they need to
supplement the provisions of a merger
agreement to ensure that the
requirements of section 6002 are
satisfied.
Several commenters indicated that the
FTA and FHWA should permit merger
processes to be ‘‘grandfathered’’ under
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section 6002, treating such agreements
as an ‘‘existing environmental review
process * * * approved by the
Secretary under section 1309 of the
Transportation Equity Act for the 21st
Century * * *’’ (TEA–21) (Pub. L. 105–
178; 112 Stat. 107), thereby allowing the
substitution of the merger agreement for
section 6002 procedures. The FTA and
FHWA do not believe that a merger
agreement is considered an ‘‘existing
environmental review process’’ within
that provision unless it adequately
addresses the entire environmental
review process, including the Section
6002 procedures for providing
opportunities for involvement to all
parties that are entitled to such
opportunities and the procedures for
collaboration with participating
agencies on methodologies (see
Question 9 in final guidance).
A commenter requested clarification
in Question 7 as to whether the Tier 2
EIS process had to start over with the
section 6002 procedures such as notice
of initiation and invitations to
participating agencies. The FTA and
FHWA have revised Question 7 to state
that when initiating a Tier 2 EIS, most
section 6002 procedures will apply as
though Tier 2 is a new project. However,
the lead agencies have the discretion to
determine the degree to which Tier 2
environmental review procedures
should be modified in order to
recognize the Tier 1 decisions that are
final and carried into the Tier 2
proceedings.
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9. Applicability Requirements (Proposed
Guidance Questions 8–10)
Several of the comments on this
segment of the proposed guidance
related to how the FTA and FHWA
would apply section 6002 to EA and CE
projects. The agencies addressed this
topic in their response to comments on
Question 3 and Question 8 of the
proposed guidance.
Commenters also suggested that the
decision to use section 6002 for an EA
should require the agreement of the
project sponsor. The FTA and FHWA
have considered this issue and have
concluded that they will not adopt a
requirement that the project sponsor
agree to the use of section 6002 for an
EA project. The agencies note, however,
that if the project sponsor is a joint lead
agency, it would have to agree to the use
of Section 6002 process for an EA
project as part of the joint
decisionmaking described in Section 11
(Lead Agencies) below. Private sponsors
will be free to make their views known,
but the government agencies responsible
for NEPA must make the decision.
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One commenter thought that the
guidance should clarify in Question 9
whether an exemption from section
6002 procedures based on an existing
environmental review process approved
under section 1309 of TEA–21 may be
applied on a project-by-project basis.
The FTA and FHWA have revised
Question 9 to clarify that an
environmental review process that is
approved as a substitute for section
6002 procedures must be used for a
program or for a pre-approved class of
projects, but cannot be substituted for
section 6002 procedures on a project-byproject basis.
A commenter described Question 10
of the proposed guidance as too
restrictive and in conflict with
regulations at 23 CFR 771.130(d) and 40
CFR 1502.9(c)(4) that eliminate scoping
from the process for a supplemental EIS
(SEIS). The commenter believed that
section 6002 should not apply to SEISs
that do not involve the reassessment of
the entire action. Question 10 has been
revised to state that a SEIS under 23
CFR 771.130 for a project with a notice
of intent that was issued prior to the
enactment of SAFETEA–LU will not
need to follow the SAFETEA–LU
environmental review process if the
SEIS does not involve the reassessment
of the entire action.
10. Project Initiation (Proposed
Guidance Questions 11–13)
Several comments focused on the
need for minor editing of the proposed
guidance. The FTA and FHWA have
reviewed those comments and the
guidance, and made revisions as
appropriate. Key comments on the
content of the guidance, and the
agencies’ responses, appear below.
Several commenters questioned the
effectiveness of trying to meet project
initiation requirements when only
limited information might be available
about permit and approval requirements
or other project details. They viewed the
information required for the notice of
initiation as a violation of NEPA
because a determination about needed
approvals requires knowledge of the
alternatives to be considered and such
knowledge is not available until later in
the environmental review process.
After considering the comments, the
FTA and FHWA agree with the concern
that in some cases not all project
approval needs will be known at the
time of project initiation. Question 11 in
the final guidance has been revised to
acknowledge that lead agencies will be
expected to act on the best available
knowledge at the time of initiation.
Because the information in the notice of
initiation will be used to plan the
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project proceedings, it is in the interest
of all parties to have as much
information as possible early in the
process, and to pass along to the Federal
lead agency any new information as
soon as it becomes available.
Several commenters expressed
concern about the added paperwork that
would be caused by the notice of
initiation and asked whether the notice
of intent for an EIS or the use of existing
project initiation procedures could be
combined with the notice of initiation
under section 6002. Also, a commenter
asked whether programmatic notices of
initiation could be used rather than
project-by-project notices. The FTA and
FHWA agree with the commenters that
it is desirable to avoid duplication and
unnecessary paperwork. The agencies
also recognize that the purposes of the
notice of initiation include advising the
Federal lead agency that it is time to
start project review proceedings, and
helping the lead agencies determine the
scope of the required environmental
review process. The agencies have
revised Question 11 in the final
guidance to more clearly support the
adaptation of existing procedures to
cover the notice of initiation
requirement under section 6002. The
procedure used must provide the
information required under the project
initiation provisions of the statute, to
the extent the information is available.
The use of one document to cover
multiple project needs is fully endorsed
by the FTA and FHWA. Whatever form
or format is used also should indicate
the timeframe within which the
environmental review process should
commence. In light of the staffing
implications for all agencies involved,
including the Federal lead agency, the
initiation notice must be from an
individual appropriately authorized by
the project sponsor.
11. Lead Agencies (Proposed Guidance
Questions 14–20)
Many commenters focused their
comments on the operation of section
6002 with respect to lead agencies and
lead agency decisionmaking. The major
comments and the Federal response are
described below.
Commenters were concerned about
the FHWA requirement in the proposed
guidance that the State DOT serve as the
non-Federal lead agency under section
6002 [23 U.S.C 139(c)(3)] for projects
currently handled by local government
agencies (hereinafter referred to as local
government agencies) that receive
‘‘pass-through’’ project funding.
Commenters suggested that the FHWA
should allow local government agencies,
as subrecipients of Federal funds, to
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serve as the mandatory non-Federal lead
agency under section 6002. Commenters
felt that the local government agencies
would be best positioned to fulfill the
section 6002 non-Federal lead agency
role in the case of locally initiated
projects. Commenters also cited the
added burden that would be placed on
the State DOTs if they were required to
serve as the non-Federal lead agency for
local projects. One commenter was
concerned that the requirement that the
recipient of funding serve as the nonFederal lead agency would disturb the
procedures presently followed by the
FTA and local transit agencies. Some
commenters expressed the view that
State agencies should have the option,
at the State agency’s discretion, to serve
as a non-Federal joint lead agency along
with the local governmental agency. A
few commenters encouraged allowing
the State DOT to continue allowing
local government agencies to prepare
NEPA documents while the State DOT
serves in a ‘‘NEPA reviewer’’ and
quality assurance role, rather than
requiring the State to hold the larger
scope of responsibility described in the
proposed guidance.
The FHWA and FTA have considered
the many comments on this topic and
have concluded that the proposed
guidance correctly interpreted the
language of section 6002 on mandatory
joint lead agencies. The final guidance
continues to reserve mandatory lead
agency status to the U.S. DOT agency
and the direct recipient of Federal
funds. The FTA and FHWA believe that
this interpretation follows the language
of section 6002 and recognizes the legal
relationships embedded in other Federal
laws and regulations relating to
recipient and subrecipient
responsibilities. However, the FTA and
FHWA agree that revisions to Questions
14–16 are appropriate to clarify and
provide more detail on the lead agencies
exercise of their discretion to extend
invitations to agencies to serve as joint
lead agencies under CEQ regulations.
Question 15 of the final guidance
notes that State or regional toll
authorities are among the agencies that
lead agencies may invite to serve as a
joint lead agency. That part of the
guidance also specifies that agencies
invited to serve as joint lead agencies
under CEQ regulations assume the full
spectrum of decisionmaking roles and
responsibilities assigned to lead
agencies under section 6002. Because of
the scope of the decisionmaking roles
held by joint lead agencies, the lead
agencies will want to assess carefully
which status (joint lead, cooperating, or
participating) is most appropriate for
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various agencies with an interest in the
project.
Question 16 revisions make it clear
that the lead agencies typically will
invite a local governmental agency to
serve as a joint lead agency if it will be
taking on design and construction
responsibilities for the project. Once the
local governmental agency accepts the
invitation, the three agencies are ‘‘lead
agencies’’ for purposes of section 6002.
The three agencies then will determine
how to allocate roles and
responsibilities among themselves based
on resources, expertise, project needs,
and other relevant factors. However, the
FHWA will continue to require the
State, as the direct recipient of the
Federal-aid highway funds, to serve as
a joint lead agency on all projects
regardless of the participation of a local
governmental agency as a joint lead
agency. The State remains legally
responsible and liable for the proper
performance of any NEPA or section
6002 work assigned to the local
governmental agency, and the State
must provide active oversight and
supervision to the local governmental
agency’s work. This means that the State
must be an active and knowledgeable
participant in decisionmaking and must
ensure that the local governmental
agency, in carrying out any
responsibilities assigned to it, fully
complies with NEPA and section 6002.
The FHWA’s legal relationship,
including oversight for the
environmental review process, will
continue to be with the State as the
direct recipient of Federal-aid highway
funds. Thus, the lines of oversight and
legal responsibility of the FHWA, the
State, and the local governmental
agency remain the same as they were
prior to the enactment of section 6002.
Several commenters raised questions
on this and other parts of the proposed
guidance about the FTA and FHWA
interpretation of decisionmaking roles
for the section 6002 Federal lead agency
and non-Federal lead agencies. The
main concern was that the U.S. DOT
agencies were reserving to themselves
the final decisionmaking authority,
when section 6002 calls for joint
decisionmaking between the two
entities. A second concern was that the
guidance did not describe how the lead
agencies would resolve disagreements
among themselves. The FTA and FHWA
have considered the comments on the
topic of lead agency decisionmaking
and concluded that revisions should be
made to the guidance to reflect a
stronger joint decisionmaking process
under section 6002. The agencies have
revised Questions 19, 21, 32, 36, 38 and
39 to include language that addresses
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these issues and to eliminate references
to the Federal lead agency making the
final decision in specified situations.
The Federal lead agency and all joint
lead agencies collectively constitute the
‘‘lead agency’’ under section 6002 and
they will engage in joint decisionmaking
on matters involving the environmental
review process. Disagreement on an
issue must be resolved among those lead
agencies before further action can be
taken on the project that relates to the
disputed issue. The effect of this
decisionmaking process is that each
party effectively holds a veto over the
decision and the entities must cooperate
in order to move the project forward on
the issue in question. This is consistent
with the discussion of joint lead agency
decisionmaking in Conference Report
109–203 at pages 1046–1052.
12. Participating Agencies (Proposed
Guidance Questions 21–29)
One commenter expressed concern
that the information provided in the
proposed guidance was insufficient to
advise lead agencies of how to operate
under the participating agencies
provision of section 6002. The FTA and
FHWA have considered the comments
and revised the final guidance to
provide additional detail and to
emphasize areas of flexibility.
A few commenters raised questions
about the process for identifying and
inviting participating agencies. While
commenters generally endorsed the
process described in the proposed
guidance, some commenters thought
that the proposed guidance implied too
broad an interpretation of an ‘‘interest’’
that would support inviting an entity to
be a participating agency under section
6002. Those commenters requested
inclusion of a definition of ‘‘interest’’ in
the guidance. They suggested that the
term be limited to mean those agencies
that have more than a remote or
speculative interest in the project. The
FTA and FHWA have considered the
comments and agree with the need to
clarify the intended interpretation of
what level of interest is sufficient to
warrant participating agency status. The
agencies have revised Question 21 to
provide that there must be more than a
tangential, speculative, or remote
interest in the project to support
participating agency status. Indicators of
an ‘‘interest’’ include agencies that have
an expertise in a topic relevant to the
project, have jurisdiction over some
aspect of the project, or are responsible
for governmental function(s) that may
be affected by the project or its impacts.
However, the final guidance also
recognizes the flexibility lead agencies
have in this area, and the guidance
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acknowledges that practices may vary
from State to State.
A few commenters raised a question
about the effect of agency resources on
the responsibility of participating
agencies to participate in the
environmental review process under
section 6002. The FTA and FHWA
revised Question 22 to address this
concern. The FTA and FHWA
acknowledge that many agencies face
resource constraints on their operations,
and that such constraints may affect the
ability of an agency to participate in
every project. At the same time, section
6002 clearly establishes Congress’s
intent to make the environmental
review process work more efficiently in
terms of the time required to deliver
projects. In order to meet the
environmental review process
requirements under section 6002, some
agencies may have to determine which
projects are priorities and to allocate
resources accordingly. The lead
agencies also will be affected by this
challenge, and they will need to
consider the potential effects of not
having full participation by an agency
on a project. For example, nonparticipation may have unfavorable
impacts later when a participating or
cooperating agency has to make its own
decisions on the project.
The FTA and FHWA also note that, in
their experience, an agency often finds
it difficult to make meaningful
contributions to the environmental
review process if it becomes fully
involved for the first time only after
major decisions have been made. For
these reasons, participating agency
resource constraints are an important
factor that the lead agencies should
consider in developing the project
coordination plan, including the timing
of decision points in the process. The
FTA and FHWA wish to emphasize that
States still have the authority under 23
U.S.C. 139(j) to use Federal funds
received under Title 23 and Title 49 to
provide financial assistance to agencies
for the purpose of expediting the
environmental review process. In the
final analysis, however, section 6002
does not provide any exemption from
participation for agencies that face
staffing, financial, or other resource
constraints and the FTA and FHWA
have not revised the final guidance to
create one.
Some commenters asked about the
timing of the participating agency
invitations and asked whether
participating agency invitations could
be handled prior to the beginning of
scoping, or whether the scoping process
could be used to identify participating
agencies. The FTA and FHWA have
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revised Question 23 to clarify that the
timing of invitations to serve as
participating agencies may vary. To the
extent that the lead agencies know prior
to scoping that certain entities should be
invited to serve, the lead agencies may
send invitations at or after the time of
the project notice of initiation. If, as the
project progresses, the lead agencies
identify additional entities that should
be invited to serve as participating
agencies, then they should invite those
entities promptly.
Some commenters expressed concern
about the difference in treatment of
Federal and non-Federal agencies with
respect to response, or the lack of
response, to an invitation to be a
participating agency. The provisions of
section 6002 relating to invitations to
participating agencies [23 U.S.C.
139(d)(2)–(3)] create a mandatory
protocol for handling Federal agency
invitations and the subsequent
responses or lack of responses. The
proposed and final guidance reflect that
statutory procedure in Question 25.
Because participating agency status
carries with it certain responsibilities
that accompany the benefits of the
opportunity for early and substantive
participation in the project
decisionmaking process, the FTA and
FHWA concluded that conferring
‘‘involuntary’’ participating agency
status on non-Federal agencies is
neither feasible nor appropriate. The
final guidance retains the original
procedure for non-Federal agencies.
A number of commenters proposed
changes to the language in Questions
26–27. Question 26 relates to how to
handle situations in which an agency
becomes a participating agency after the
environmental review process is
underway, either because new
information indicates that there is a
need for the agency’s participation, or
because the agency originally declined
to participate but has changed its mind.
Question 27 addresses what happens if
an agency declines to be a participating
agency but makes comments on the
project anyway. Commenters had
varying concerns. The most prevalent
issue raised was how to ensure that
decisions, once made, are not revisited
unnecessarily, yet how to make certain
that a new participating agency’s
interest and concerns were adequately
addressed. The agencies determined
that the procedures described in
Question 26 of the proposed guidance
establish the appropriate standards for
the scenarios described in both
Question 26 and Question 27. The
agencies have revised Question 27 to
clarify that the procedures in Question
26 apply in the case of an agency that
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initially declines to be a participating
agency but later decides to submit
comments on the project.
Question 27 of the proposed guidance
stated that comments received from
agencies that declined to be
participating agencies ‘‘are not entitled
to any greater or lesser deference than
those of the general public.’’ A number
of commenters inferred from this
proposed language that participating
agency comments would receive more
weight than comments from the general
public. Commenters asked for a
clarification on this point. The FTA and
FHWA have reviewed the text and have
revised the text for Question 27 by
deleting the phrase in question and
inserting a reference to the process for
handling comments that is outlined in
the text for Question 26 of the final
guidance. The lead agencies will
consider all comments on a project, and
evaluate the comments by considering
relevant factors that may affect the
credibility and weight that the agencies
should afford the comments.
Some commenters suggested that the
guidance should recognize that
participating agencies may have
different roles and levels of
participation in the environmental
review process and indicated that lead
agencies should have the authority to
identify a core group of participating
agencies for regular meetings and
provide more limited opportunities for
participation to the remaining
participating agencies. The FTA and
FHWA have revised Question 28 to
clarify that expectations and
commitments about agency
participation should be addressed in the
coordination plan. It is appropriate to
tailor an agency’s participation to its
area of interest or jurisdiction, but the
lead agencies should make their choices
after considering the potential effects if
the agency is not provided an
opportunity for involvement in some
aspects of the environmental review
process. Lead agencies also are free to
honor requests from participating
agencies to limit the participating
agency’s involvement, but in such cases
the participating agency remains bound
by the section 6002 process and the
participating agency’s self-imposed nonparticipation or selective participation
may deprive it of the ability to influence
the outcome of specific decision points
in the process.
One commenter asked that the
guidance be revised to reflect the ability
of participating agencies to submit
comments later in the process if
additional information from technical
studies or development of the draft EIS
becomes available. The FTA and FHWA
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agree that there are occasions when
significant and relevant new
information that is materially different
than the information available at the
time of the original comment period
would merit an additional round of
comments or require reconsideration of
previous decisions on a project. The
lead agencies will have to determine on
a case-by-case basis whether such a
situation exists. The FTA and FHWA
have revised Question 28 to reflect this
aspect of the process.
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13. Cooperating Agencies (Proposed
Guidance Questions 30–31)
One commenter asked for clarification
in Question 31. The FTA and FHWA
have revised Question 31 to indicate
that invitations to agencies to
participate in the environmental review
process should be explicit about each
role that the invited agency is being
asked to serve. The agencies also
clarified that, in the interest of
efficiency, the lead agencies should use
a single invitation whenever possible to
address both cooperating agency and
participating agency status.
14. Purpose and Need (Proposed
Guidance Questions 32–35)
A commenter noted that the guidance
should better recognize that, because
other agencies may have to make
decisions on the project, it would be
useful for the agencies to jointly develop
the statement of purpose and need. The
FTA and FHWA agree with the
suggestion and have revised Question
31 accordingly.
Commenters questioned the use of the
term ‘‘collaboration’’ in the proposed
guidance when discussing the
decisionmaking process for purpose and
need (Question 32) and range of
alternatives (Question 36). Questions 32
and 36 have been revised to state that
the lead agencies are responsible for the
development of the purpose and need
statement and the range of alternatives,
after considering input from the
participating agencies and the public.
Section 6002 calls for giving
participating agencies and the public an
opportunity for involvement on purpose
and need and range of alternatives.
Commenters on this topic generally
considered ‘‘opportunity for
involvement’’ to authorize something
different than, and potentially less
interactive than, ‘‘collaboration.’’
Several commenters noted that the use
of the phrase ‘‘in a timely and
meaningful way’’ in the answer to
Question 34 did not provide enough
guidance on when or how lead agencies
should provide an ‘‘opportunity for
involvement’’ on purpose and need. The
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FTA and FHWA have revised Question
34 to clarify that the opportunity for
involvement is not a static concept, but
flexible and depends on the project and
issues involved. ‘‘Opportunity for
involvement’’ is intended to gather
information and perspectives, and to
make sure that decisionmakers
understand the concerns of interested
parties. The FTA and FHWA believe it
is important to provide maximum
flexibility to the lead agencies on the
timing and nature of involvement
opportunities. The agencies have
concluded that it would be difficult to
provide a more precise description in
the guidance without becoming
prescriptive.
A number of commenters expressed
concerns about how the guidance
references the transportation planning
process and its products in Questions 33
and 35. Questions 33 and 35 have been
revised to describe the considerations
that apply to using the results of the
planning process when developing the
statement of purpose and need.
15. Alternatives Analysis (Proposed
Guidance Questions 36–38)
Commenters made nearly identical
comments on the purpose and need and
alternatives analysis segments of the
proposed guidance with respect to the
use of the term ‘‘collaboration’’ and the
desirability of coordinating decisions on
these issues with agencies that make
decisions on the project under other
laws. The agencies responded to those
questions in the purpose and need
segment of this notice, and made the
same revisions to both the purpose and
need segment and this alternatives
analysis segment of the final guidance.
Commenters objected to the use of the
term ‘‘timely and meaningful’’ in
Question 37 as overly broad, and to the
statement in the proposed guidance that
opportunities for involvement on
purpose and need and range of
alternatives ‘‘may be concurrent or
sequential’’ as failing to recognize that
the range of alternatives for analysis can
be determined only after the purpose
and need of the project is decided. The
agencies agree that the phrase ‘‘timely
and meaningful’’ is overly broad and
have revised Question 37 by removing
the phrase. Additionally, the question
has been revised to further explain that
the opportunity for involvement must
be provided prior to the lead agencies’
decision regarding the range of
alternatives. The agencies also clarified
that lead agencies must consider
whether additional opportunity for
involvement on the range of alternatives
is required if changes to the purpose
and need arise out of involvement by
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the participating agencies and the
public.
Some commenters stated that the
guidance should clarify the parameters
of the collaboration process for choosing
methodologies, including the
timeframes for comment. Another
concern was that reaching closure on
methodologies during scoping may not
be feasible, and that the process for
selecting methodologies discussed in
Question 38 could become timeconsuming and contentious.
The FTA and FHWA have considered
all of the comments on the process for
selection of methodologies and have
concluded that revisions to Question 38
are warranted. The agencies agree that
collaboration on methodologies need
occur only with agencies that have some
expertise, experience, statutory mission,
or jurisdiction relevant to the object of
the pending analysis. The FTA and
FHWA note that this standard should be
interpreted reasonably, so that
participating agencies are not
inappropriately excluded from
collaborating on methodologies. If the
lead agencies elect to establish a
comment period under section 6002 [23
U.S.C. 139(g)(2)(B)] to help bring closure
to the selection process, then they will
need to follow procedures for giving
notice of the comment period (see
Question 54). Issues on methodologies
should be raised and resolved as soon
in the environmental review process as
the lead agencies believe there is
sufficient information on the particular
issue to reasonably support selection of
the methodology for analysis. The FTA
and FHWA have concluded that the
language on documenting the selection
of methodology, and any objections
thereto by participating agencies, is
appropriate and consistent with NEPA
requirements. Such documentation also
is a good administrative practice,
particularly in the event of later
litigation. That language is retained in
the final guidance.
A commenter raised a concern that
the language in Question 38 on
‘‘comments late in the process’’ appears
to conflict with 40 CFR part 1503
requirements for the consideration of
comments received during the draft EIS
comment period. The NEPA regulation
at 40 CFR 1503.4(a) does require an
agency preparing a final EIS to ‘‘assess
and consider’’ comments made on a
draft EIS. However, under 40 CFR
1503.4(a)(5), the agency preparing the
final EIS may ‘‘explain why the
comments do not warrant further agency
response, citing the sources, authorities,
or reasons which support the agency’s
position and, if appropriate, indicate
those circumstances which would
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trigger agency reappraisal or further
response.’’ The FTA and FHWA have
concluded that the lead agencies are not
required to revisit an issue on which
participating agencies had an
opportunity to comment earlier in the
environmental review process. The
exception would be if the draft EIS is
the first opportunity a participating
agency has to comment on significant
and material new information affecting
the selection. The FTA and FHWA have
determined that the language in the
proposed guidance represents an
appropriate interpretation that is in
harmony with both the NEPA regulatory
provisions and section 6002
requirements.
The FTA and FHWA also have
revised Question 38 to clarify the
procedure for developing and applying
a methodology for a program, region, or
class of projects.
16. Preferred Alternative (Proposed
Guidance Questions 39–46)
Several commenters asked for
clarification of Question 39, concerning
who decides whether the preferred
alternative can be developed to a higher
level of detail. Some objected to the use
of the term ‘‘locally preferred
alternative’’ because it is not a term
used in the statute. The agencies have
revised Question 39 to eliminate the
term ‘‘locally preferred alternative.’’ The
agencies also have adopted in Question
39, as throughout the final guidance,
language that reflects joint
decisionmaking among the lead
agencies. If the joint decisionmaking
process does not result in mutual
agreement on whether there is a
preferred alternative or whether the
section 6002 criteria for doing a higher
level of design for a preferred alternative
[23 U.S.C. 139(f)(4)(D)] are satisfied,
then no action can be taken that relies
on such decision(s) until there is
agreement among all of the lead
agencies.
Commenters asked for clarification of
what ‘‘accepted’’ means in Questions 39
and 41 with respect to the preferred
alternative. The FTA and FHWA have
revised Question 41 to clarify this point.
Some commenters asked whether
acceptance of the identification of a
preferred alternative affects the New
Starts or Small Starts rating process. The
FTA has revised Question 41 to state
that neither acceptance of a preferred
alternative, nor a decision to do a higher
level of design on a preferred
alternative, affects the New Starts or
Small Starts rating process.
Several commenters asked the FTA
and FHWA to consider ways to reduce
the analysis and documentation
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requirements for the determination
whether to do a higher level of design
on the preferred alternative (see
Questions 42–44), and to clarify when
the lead agency can identify a preferred
alternative. The FTA and FHWA have
considered all of the comments on this
issue and appreciate the commenters’
desire to streamline the process for
making the decision on doing a higher
level of detail. The agencies note that
the criteria for the decision, and the
limitations on the purposes for which
the work can be done and the scope of
work that can be performed, appear in
section 6002 [23 U.S.C. 139(f)(4)(D)].
Those provisions echo language in
NEPA regulations and relevant case law.
The agencies have concluded that the
requested revisions would not be
consistent with those laws, particularly
with respect to the required finding of
impartiality in future decisionmaking
on the selection of alternatives. Lead
agencies are encouraged to identify
workable methods for expediting this
decision, but the requirement for
project-by-project review is retained in
the final guidance.
The FTA and FHWA have clarified in
Question 43 when the lead agencies
may decide on a preferred alternative
and the performance of a higher level of
design work for the preferred
alternative. In keeping with NEPA and
agency practices prior to SAFETEA–LU,
a decision on a preferred alternative
cannot occur until after the lead
agencies have conducted sufficient
scoping and analysis of alternatives to
support the identification. Further, there
cannot have been sufficient scoping
until after an opportunity for the
involvement of participating agencies
and the public on the purpose and need
and the range of alternatives has
occurred.
A number of commenters asked the
FTA and FHWA to consider amending
Question 40 to authorize, during the
completion of the NEPA process, design
work that goes beyond the level of work
described in section 6002. The types of
work that the commenters indicated
should be permitted, and would not bias
decisionmaking, included geotechnical
assessments, hydraulic and hydrologic
analysis, traffic studies, hazardous
materials assessments, utility
engineering, cost estimates, and
development of preliminary design
drawings. The FTA and FHWA have
considered the various comments on the
issues of the level of additional design
work and purposes for which additional
design work could be done for a
preferred alternative during NEPA
review and have decided not to make
the requested revisions. The agencies
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note that the types of work listed by the
commenters often are a part of the
higher level of design work allowed in
order to meet NEPA or permitting
agency requirements for information
about engineering and operational
feasibility, impacts, or other issues. The
type of work is not determinative. The
key questions are whether the purpose
of the additional work is one that is
authorized by law, and whether the
scope of work to be done is limited to
what is needed to satisfy such
authorized purpose(s). The FTA and
FHWA will continue to require good
faith and reasonable determinations that
the permitted level of design is what is
needed to meet a purpose authorized by
applicable laws and regulations,
including section 6002.
17. Coordination and Schedule
(Proposed Guidance Questions 47–57)
This segment of the proposed
guidance drew many comments,
particularly with respect to the need for
a schedule and the process of modifying
a schedule. The concerns of many
commenters focused on when parties
other than the lead agencies have a role
in scheduling decisions. With respect to
transit projects, commenters questioned
the applicability of section 6002 to New
Starts and Small Starts projects, and one
commenter suggested that FTA exempt
Small Starts projects from the project
coordination plan requirements under
section 6002 because Small Starts
projects are intended to have
streamlined processes and should be
allowed to develop individualized plans
for project planning, development, and
implementation.
The FTA and FHWA agree with the
commenter’s sentiments about the
importance of streamlining the process
and having plans that are tailored to the
needs of the project. The FTA and
FHWA believe the coordination plan
requirements will promote these
objectives, not hinder them. The
agencies have made no change to the
final guidance in terms of the projects
that are subject to the coordination plan
requirements.
Some commenters suggested the
addition of language advising lead
agencies to give cooperating and
participating agencies a role in the
development of project coordination
plans. Question 47 has been revised to
state that because key elements of the
coordination plan may be setting
expectations that require resource
commitments by the participating
agencies, consultation with the
participating agencies is strongly
encouraged.
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A number of commenters submitted
questions about the scope, content, and
use of schedules in project coordination
plans under section 6002. Some
commenters objected to the FHWA
requirement for a schedule (Question
52), citing the optional nature of
schedules under section 6002 [23 U.S.C.
139(g)(1)(B)]. Others were concerned by
the use of the word ‘‘negotiated’’ in the
Question 52 discussion of the process
for creating a schedule, especially the
potential interpretation of that word as
requiring the agreement of participating
agencies to a proposed schedule. The
FTA and FHWA have considered the
various comments on this topic. The
agencies also have considered that
section 6002 is intended to expedite the
environmental review process, and to
avoid duplication and waste. The use of
a project schedule is one important tool
to use to achieve those goals. Both the
FTA and the FHWA support tailoring
the form and substance of project
schedules to meet the needs of the
particular projects and the factors
specified in section 6002 [23 U.S.C.
139(g)(1)(B)(ii)].
The final guidance recognizes that
schedules are optional, not mandatory,
under section 6002. The FTA decision
to treat schedules as optional remains
unchanged in the final guidance. The
FHWA believes that management and
stewardship of public funds within the
Federal-aid highway program dictates
the need for a schedule for EA and EIS
projects. The final guidance states that
FHWA assumes that a schedule will be
used on all EA and EIS projects
processed under section 6002. If the
non-Federal lead agency believes that a
schedule is not needed, then the nonFederal lead agency will be expected to
consult with the FHWA about how the
project will proceed. The development
of a schedule will involve consulting
with the participating agencies, but does
not require consensus or concurrence.
A few commenters suggested that the
factors for establishing a project
schedule, listed in Question 53 of the
proposed guidance, were incomplete
because they failed to include a factor
that recognized the need to speed up the
environmental review process. The FTA
and FHWA agree with the commenters
that it is important to always keep in
mind that the section 6002 provisions
are intended to expedite effective
project environmental reviews, which
includes realistic schedules that focus
on timely decisionmaking. The agencies
note that the factors listed in Question
53 are derived from the statute. The
FTA and FHWA have revised Question
53 to recognize explicitly the
importance of using a schedule to help
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expedite project reviews, and the ability
of the lead agencies to consider
whatever array of factors they believe
may have a substantial effect on moving
the environmental review process
forward in an efficient and effective
manner.
Some commenters raised concerns
about how to handle needed changes in
project schedules. They expressed
particular interest in how to
accommodate changes in the level of
knowledge about issues affecting the
project. Commenters also asked for
clarification about the type of
interaction with other agencies that is
required before changing a schedule.
Section 6002 [23 U.S.C. 139(g)(1)(D)]
permits the lead agencies to lengthen a
schedule for good cause. Concurrence of
other agencies is required only if a
schedule is shortened, and even then
agreement is needed only from
cooperating agencies that would be
affected by the shorter schedule. The
agencies have revised Question 56 to
clarify this point. If the component of
the schedule that the lead agencies
propose to shorten does not apply to a
particular cooperating agency, then that
agency’s concurrence is not required for
the change. The FTA and FHWA do
encourage lead agencies to consider the
benefits that can be obtained by
coordinating proposed schedule
changes with both cooperating and
participating agencies so that all
affected agencies can plan
appropriately.
One commenter suggested that the
guidance should emphasize that there is
flexibility in setting the deadlines for
comments if there is good cause for
exceeding the section 6002 statutory
time periods [23 U.S.C. 139(g)(2)],
which may include where there is new
information or a substantial change to
the project. The FTA and FHWA agree
with the commenter that there may be
circumstances when good cause will
exist for the lead agencies to extend a
comment period or, in extreme cases, to
reopen comments on an issue by
creating a second comment period. It is
a lead agency decision whether such
circumstances exist on a particular
project. The FTA and FHWA have
revised Question 54 of the final
guidance to point out the lead agencies’
ability to extend comment periods for
good cause. The lead agencies may
provide notice to participating agencies
and the public about when a particular
comment period starts and concludes
through distribution of the schedule or
by other means.
The agencies have revised Question
57 to clarify that where the lead
agencies decide to adjust a schedule,
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66585
section 6002 [23 U.S.C. 139(g)(1)(E)]
does require the lead agencies to
provide a copy of the revised schedule
to the participating agencies, the State
DOT, and the project sponsor (if not the
State). The revised schedule also must
be made available to the public.
18. Requirements Placed on Non-U.S.
DOT Federal Agencies (Proposed
Guidance Questions 58–59)
Several commenters objected to the
Question 58 language that describes the
180-day deadline for decisions under
Federal laws as applying only to
decisions made by Federal agencies.
The commenters stated that the
deadline for decisionmaking also should
apply to decisions by State agencies that
are made under Federal law, such as a
Section 401 water quality certification
under the Clean Water Act, 33 U.S.C.
1341. The language of the statute itself
references ‘‘the failure of the Federal
agency to make the decision’’ [23 U.S.C.
139(g)(3)(A)]. The Conference Substitute
Report for SAFETEA-LU [Conference
Report on the Committee of the
Conference on H.R. 3, House of
Representatives Report 109–23, page
1051] refers to the section as
‘‘provid[ing] notice * * * of the failure
of a Federal agency to make decisions in
the environmental review process
(section 139(g)(3)).’’ The FTA and
FHWA have concluded that the
language in the proposed guidance is
correct.
19. Concurrent Reviews (Proposed
Guidance Question 60)
In connection with Question 60, one
commenter asked for additional
information on how the FHWA will
ensure that the participating agencies
fulfill their responsibilities under
section 6002 [23 U.S.C. 139(h)(3)] to
identify issues of concern as early as
practicable. The FTA and FHWA
believe that all lead and participating
agencies have legal and general
governmental obligations to work
cooperatively to improve the
environmental review process. In
particular, the agencies point to the
roles and responsibilities specified in
section 6002 for lead agencies [23 U.S.C.
139(c)(6) and (h)(2)] and participating
agencies [23 U.S.C. 139(d)(7) and (h)(3)].
The U.S. DOT is working with other
Federal agencies to help them
understand their obligations under
section 6002 and to encourage actions to
meet those obligations. The FTA and
FHWA have revised the final guidance
to better capture these points.
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20. Issues Identification and Resolution
(Proposed Guidance Questions 61–63)
A number of comments were
submitted relating to dispute resolution
procedures and the effect of the new
issue resolution provisions in section
6002 [23 U.S.C. 139(h)]. Commenters
wanted clarification on which
procedures apply, when they apply, and
who can initiate the procedures. Some
commenters asked for clarification of
the differences between the SAFETEA–
LU section 6002 procedure and other
agency dispute resolution processes
(including ‘‘informal’’ procedures). The
agencies believe that the starting point
for this topic is a better definition of
what the section 6002 procedure [23
U.S.C. 139(h)] does, and does not,
encompass. The FTA and FHWA agree
with the commenters who observed that
the section 6002 process may be
initiated only by the project sponsor (as
defined in section 6002) or the Governor
of the State in which the project is
located. The agencies have revised
Question 61 in the final guidance to
clarify this point.
The FTA and FHWA also note that
the section 6002 dispute resolution
process applies ‘‘at any time * * * to
resolve issues that could delay the
completion of the environmental review
process or could result in denial of any
approvals required for the project under
applicable law.’’ Disputes that are likely
to affect the progress of a project often
are disputes over decisions that lie
outside the decisionmaking authority of
the lead agencies, so the lead agencies
are not able to impose a final decision
if the dispute is not otherwise resolved.
The FTA and FHWA do believe the
likelihood of success will be enhanced
if the individuals attending a dispute
resolution meeting have the rank and
authority to make ‘‘on-the-spot’’
commitments that will bind their
respective agencies or organizations.
The guidance has been revised to
highlight this principle and to recognize
that the organizational level of the
persons invited should be guided by the
kinds of issues in dispute.
Some commenters stated that the
dispute resolution guidance and order
issued under section 1309 of TEA–21 1
should be withdrawn because section
1309 was repealed by section 6002 of
SAFETEA–LU. Those commenters
suggested that the section 6002
provision was intended to replace other
agency dispute resolution procedures,
1 U.S. Department of Transportation Collaborative
Problem Solving: Better and Streamlined Outcomes
for All (2002), available online at the following
URL: https://www.environment.fhwa.dot.gov/
strmlng/adrguide/index.asp.
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and that States should have the
flexibility to establish their own dispute
resolution procedures so long as they
are consistent with the provisions of
section 6002.
The FTA and FHWA recognize that
there is nothing in the section 6002
dispute resolution process that assures
resolution of the disagreement. The
endpoint of the section 6002 process, as
indicated in Question 61 of the
proposed guidance, is notice to
specified congressional committees that
the dispute remains unresolved [23
U.S.C. section 139(h)(4)(B)]. For these
reasons, the FTA and FHWA encourage
separate dispute resolution procedures
at the State and Federal levels to
address disagreements over important
issues of concern. Lead agencies may
include dispute resolution procedures
in project coordination plans. This may
be done on a project-by-project basis or
as part of program-wide coordination
plan provisions.
Individual Federal agencies have
recognized the value of dispute
resolution procedures and many have
such procedures either as a matter of
administrative policy or as a result of
statutory provisions. The FTA and
FHWA do not believe that the repeal of
section 1309 of TEA–21 in any way
affects Federal agency authority to
maintain and apply dispute resolution
procedures. The FHWA and FTA have
concluded that most of the dispute
resolution guidance developed after the
adoption of TEA–21 simply describes
dispute resolution principles and
practices that continue to be useful. The
U.S. DOT Order 5611.1A, entitled ‘‘U.S.
Department of Transportation National
Procedures for Elevating Highway and
Transit Environmental Disputes’’
(October 10, 2003),2 which was created
under section 1309 of TEA–21, does not
apply to section 6002 projects. The
FHWA will develop updated procedures
to guide FHWA-initiated dispute
resolution efforts on projects subject to
Section 6002.
Another commenter stated that the
FTA and FHWA should not require the
completion of agency dispute resolution
procedures before initiation of the
section 6002 issue resolution procedure.
The FTA and FHWA have considered
this comment and agree that the final
guidance should clarify this point. The
agencies emphasize that State and
Federal dispute resolution procedures,
both formal and informal, should
operate to complement the section 6002
issue resolution procedure. State or
2 The order is available online at https://
www.environment.fhwa.dot.gov/strmlng/
dot5611_order.asp.
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Federal agency dispute resolution
procedures are not considered as legally
required prior to the initiation of the
section 6002 issue resolution process.
State or Federal agency dispute
resolution procedures may be used prior
to, or concurrent with, the section 6002
procedure. However, the FTA and
FHWA strongly believe that the State
and Federal agency dispute resolution
procedures provide an effective method
for solving major disagreements. The
agencies know, based on experience,
that resolution of issues at the lowest
possible level through problem solving
among the immediate parties to the
dispute typically is the most effective
way to keep a project on track.
A few commenters indicated that
more guidance is needed in Question 62
on the scope of the term ‘‘issues of
concern’’ so that practitioners can
understand which types of
disagreements are subject to the issue
resolution provisions of section 6002.
Commenters generally were concerned
that too many issues would be referred
for dispute resolution procedures,
thereby delaying the decisionmaking
process. One commenter observed that
carefully defining the kinds of issues
that are important enough to trigger the
dispute resolution procedures
contributes to the successful use of a
dispute resolution procedure.
The FTA and FHWA have considered
the comments on this point, and have
concluded that lead agencies and
participating agencies should be guided
by the statutory language in section
6002 [23 U.S.C. 139(h)(3)–(4)]. The
agencies have revised Question 62 to
track the statutory language. The
provision on participating agency
responsibilities states that participating
agencies ‘‘shall identify, as early as
practicable, any issues that could
substantially delay or prevent an agency
from granting a permit or other approval
that is needed for a project.’’ In practice,
this means that both lead agencies and
participating agencies have
responsibilities for identifying the
importance of a disagreement. The lead
agencies need to manage the project and
its schedule well enough, and consult
with participating agencies effectively
enough, to know when there is an issue
that is unresolved and likely to cause
delay or prevent issuance of a permit
needed for the project. A participating
agency has the obligation to come
forward as soon as it is aware that there
may be an issue that will cause a
substantial delay or permit denial if not
satisfactorily resolved. When a
participating agency informs the lead
agencies of an issue of concern within
the meaning of section 6002, the lead
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agencies should evaluate whether
further dispute resolution efforts using
formal or informal processes other than
section 6002 can be productive. This
step by the lead agencies does not
foreclose the initiation of the section
6002 issue resolution procedure by the
project sponsor or the State Governor,
but the FTA and FHWA discourage use
of the section 6002 issue resolution
procedure as the ‘‘first step’’ after a
participating agency disclosure of an
issue of concern. The FTA and FHWA
believe that it is clear from the limiting
language in the statute itself that few
disputes should be deemed of sufficient
importance to trigger the section 6002
issue resolution process. Disputes of
lesser importance should be resolved by
the parties through the section 6002
authorities for lead agency decisions, if
applicable, or through other dispute
resolution procedures.
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21. Funding of Additional Agency
Resources (Proposed Guidance
Questions 67–69)
One commenter asked that the
guidance make it clear that no
additional funds are given to States for
the purpose of providing the financial
assistance authorized by section 6002.
The agencies have revised Question 67
to make this point.
22. Statute of Limitations (Proposed
Guidance Section 3)
The final guidance retains the election
by the FTA and FHWA to approach
administration of the statute of
limitations (SOL) provision in section
6002 [23 U.S.C. 139(l)] in different
ways. Comments received on the SOL
segment (Section 3) of the proposed
guidance indicated that the final
guidance should provide greater
emphasis on this fact, and the FTA and
FHWA have made appropriate revisions
to Section 3 of the final guidance.
Agencies receiving funding from the
FTA should consult the part of Section
3 of the final guidance that is specific
to FTA. Similarly, agencies receiving
funding through the FHWA should refer
to the FHWA portion of Section 3 of the
final guidance. Procedures described in
Appendix E apply only to FHWA and
the recipients of Federal-aid highway
funding. Despite the differences in the
implementation procedures between
FTA and FHWA, the agencies stress that
they interpret the scope and intent of
the SAFETEA–LU SOL provision in the
same way and that their implementation
decisions are based solely on
administrative differences between the
FTA and FHWA programs.
For the FHWA, the final guidance
replaces its earlier ‘‘Interim Guidance
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on the Use of 23 U.S.C. 139(l)
Limitations on Claims Notices,’’ dated
December 1, 2005, that informed actions
to implement the SAFETEA–LU SOL
provision between the effective date of
SAFETEA–LU and the effective date of
the final guidance on section 6002. The
final guidance contains not only SOL
revisions responding to comments
received in the docket, but also changes
initiated by the FHWA as a result of the
agency’s experience with the SOL
provisions since the effective date of
SAFETEA–LU.
Only a small number of major
comments were submitted with respect
to the FHWA SOL guidance in
Appendix E. Some commenters asked
for clarification in Appendix E about
which Federal agencies may publish the
SOL notice, and how to handle
publication where a substantial period
of time has elapsed between the FHWA
Record of Decision (ROD) and the last
permit decision by other agencies. The
FTA and FHWA have considered the
comment and have added clarifying
language to Section 3 of the final
guidance. The FHWA has revised
Question E–16 in Appendix E of the
final guidance to clarify that the FHWA,
as Federal lead agency, expects to
publish all notices regardless of the
lapse of time between the ROD and the
last Federal agency project decision.
One commenter asked for guidance on
whether the publication of a SOL notice
for a SEIS will reopen issues covered in
the original EIS for which a SOL notice
previously was published. The FHWA
amended Question E–21 in the final
guidance to include this issue. The
effect of a SEIS SOL notice on decisions
covered by a SOL notice published for
an earlier ROD will depend on the
circumstances. The FHWA believes that
litigation of earlier decisions that are
unrelated to topics addressed by the
SEIS will be foreclosed by the
expiration of the 180-day period after
the publication of the SOL notice
covering those earlier decisions. Any
issues addressed in the SEIS
proceedings, and the Federal agency
decisions that rely on the information
developed during the SEIS proceedings,
would be subject to the SOL notice(s)
published in the Federal Register after
the SEIS and related ROD.
Another commenter noted that the
SOL notice is a Federal requirement and
expressed the view that the cost of the
notice should be borne by the FHWA.
The SOL notices are an optional
measure that will be used on individual
projects. As such, the cost of publishing
the notices is logically a project-related
expense that may be necessary or
appropriate to the ultimate construction
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66587
of an approved project. Until a system
is in place to handle State
reimbursement of FHWA for SOL notice
costs, the FHWA will continue to pay
for the publication of the notices in the
Federal Register.
23. Other Comments
A number of commenters asked
whether electronic communications
could be used in place of hard copy
letters for various actions that require
documentation, such as invitations to
participating agencies. The commenters
cited the prevalence of electronic
communications and the potential
timesavings that can be accomplished
by using electronic communications.
The FTA and FHWA agree with the
commenters that electronic means of
communication can be used, subject to
certain common sense recordkeeping
and authentication requirements so that
lead agencies maintain the required
project records and have assurance that
they are dealing with properly
authorized agency representatives. The
FTA and FHWA revised the final
guidance to reflect this view.
One commenter asked for guidance on
how lead agencies should handle
situations where actions were taken
after August 10, 2005, on a project that
is subject to section 6002, but the
actions may not conform to all
requirements of the final guidance
because the guidance did not exist. The
FTA and FHWA have considered the
comment and have revised Question 8
of the final guidance to clarify how to
handle such cases. If the difference
relates to a substantial requirement
under the final guidance, then the
Federal lead agency will assess whether
additional action is needed and can be
taken to cure the discrepancy.
The FTA and FHWA recognize and
appreciate the efforts of all parties who
provided comments for consideration in
the development and finalization of the
section 6002 guidance.
(Authority: 23 U.S.C. 315; Pub. L. 109–59,
119 Stat. 1144; 49 U.S.C. 5334; 23 U.S.C. 139;
49 CFR 1.48; 49 CFR 1.54)
Issued on: November 7, 2006.
James S. Simpson,
Federal Transit Administrator.
J. Richard Capka,
Federal Highway Administrator.
[FR Doc. 06–9201 Filed 11–14–06; 8:45 am]
BILLING CODE 4910–57–P
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Agencies
[Federal Register Volume 71, Number 220 (Wednesday, November 15, 2006)]
[Notices]
[Pages 66576-66587]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 06-9201]
-----------------------------------------------------------------------
DEPARTMENT OF TRANSPORTATION
Federal Transit Administration
Federal Highway Administration
[Docket Number: FTA-2006-24905]
Notice of Availability of Guidance on Section 6002 of the Safe,
Accountable, Flexible, Efficient Transportation Equity Act: A Legacy
for Users (SAFETEA-LU)
AGENCY: Federal Transit Administration (FTA), Federal Highway
Administration (FHWA), DOT.
ACTION: Notice of availability.
-----------------------------------------------------------------------
SUMMARY: This notice announces the availability of final guidance on
the application of section 6002 of the Safe, Accountable, Flexible,
Efficient Transportation Equity Act: A Legacy for Users (SAFETEA-LU)
(Pub. L. 109-59, 119 Stat. 1144) to projects funded by the Federal
Transit Administration (FTA), the Federal Highway Administration
(FHWA), or both. Section 6002 of SAFETEA-LU, which went into effect on
August 10, 2005, adds requirements and refinements to the environmental
review process for highway and public transportation capital projects.
The section 6002 guidance describes how the FTA and FHWA will implement
the new requirements within the environmental review process required
by the National Environmental Policy Act (NEPA) and other Federal laws.
The final guidance is available at the following URL: https://
www.fta.dot.gov/environment/guidance/ for FTA and at https://
www.fhwa.dot.gov/hep/section6002/ for FHWA.
DATES: Effective Date: November 15, 2006.
FOR FURTHER INFORMATION CONTACT: For FTA: Joseph Ossi, Office of
Planning and Environment (TPE), (202) 366-1613, or Christopher Van Wyk,
Office of Chief Counsel (TCC), (202) 366-1733, Federal Transit
Administration, U.S. Department of Transportation, 400 Seventh Street,
SW., Washington, DC 20590. For FHWA: Ruth Rentch, Office of Project
Development (HEPE), (202) 366-2034, or Janet Myers, Office of Chief
Counsel (HCC), (202) 366-2019, Federal Highway Administration, U.S.
Department of Transportation, 400 Seventh Street, SW., Washington, DC
20590.
SUPPLEMENTARY INFORMATION:
Availability of the Final Guidance and Comments
Copies of the proposed and final guidance on the application of
section
[[Page 66577]]
6002 of SAFETEA-LU to projects funded by the FTA, the FHWA, or both,
the comments received from the public on the proposed guidance, and the
agencies' response to comments received are part of docket FTA-2006-
24905 and are available for inspection or copying at the Docket
Management Facility, U.S. Department of Transportation, Room PL-401 on
the plaza level of the Nassif Building, 400 Seventh Street, SW.,
Washington, DC between 9 a.m. and 5 p.m., Monday through Friday, except
Federal holidays.
You may retrieve the guidance and comments online through the
Document Management System (DMS) at: https://dms.dot.gov. Enter docket
number 24905 in the search field. The DMS is available 24 hours each
day, 365 days each year. Electronic submission and retrieval help and
guidelines are available under the help section of the Web site. You
may download an electronic copy of this document by using a computer,
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users may reach the Office of the Federal Register's Web page at:
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page at: https://www.gpoaccess.gov/fr/.
Background
On August 10, 2005, President Bush signed SAFETEA-LU. Section 6002
of SAFETEA-LU, which has been codified as 23 U.S.C. 139, prescribes a
number of changes to existing FTA and FHWA procedures for implementing
the National Environmental Policy Act of 1969 (NEPA), 42 U.S.C. 4321-
4351, as amended, and for the implementing regulations of the Council
on Environmental Quality (CEQ), 40 CFR parts 1500 through 1508. Among
the topics addressed in section 6002 are the roles of the project
sponsor and the lead, participating, and cooperating agencies;
requirements for coordinating and scheduling agency reviews; the
authority for States to use Federal-aid funds to ensure timely
environmental reviews; a 180-day statute of limitations on claims, and
a process for resolving interagency disagreements.
On June 29, 2006, the FTA and FHWA published a Notice of
Availability and Request for Comments on the proposed guidance on the
implementation of SAFETEA-LU section 6002 in the Federal Register (71
FR 37156). The agencies requested and received comments on the proposed
guidance referenced in the June notice. The purpose of this notice is
to announce the availability of the final guidance. The final guidance
reflects the agencies' consideration of these comments and further
reviews by the FTA and FHWA. The final guidance is available on the
docket (number 24905), which can be accessed by going to https://
dms.dot.gov. The final guidance is available online line at https://
www.fta.dot.gov/environment/guidance/ for FTA and at https://
www.fhwa.dot.gov/hep/section6002/ for FHWA.
The purpose of the section 6002 guidance is to provide explanations
of new and changed aspects of the environmental review process for FTA
and FHWA NEPA practitioners. The guidance will inform readers about
which aspects of the environmental review process need to be done
differently as a result of SAFETEA-LU, and how the new procedures
should be handled. Although the guidance outlines a new environmental
review process for highway and public transportation capital projects,
it does not supersede any previous guidance or regulations promulgated
under NEPA. In particular, the previously mentioned CEQ regulations (40
CFR parts 1500-1508) and FHWA-FTA NEPA regulation (23 CFR part 771) are
supplemented by the section 6002 guidance and remain in effect. This
guidance is consistent with and implements the requirements of U.S. DOT
Order 5610.1C, ``Procedures for Considering Environmental Impacts.''
The intent of the guidance is to provide project sponsors with as
much flexibility as possible in administering the environmental review
process, while providing a framework to facilitate efficient project
management and decisionmaking in accordance with the law. The guidance
also is intended to assist agencies and related entities involved in
the development of environmental impact statements (EISs) to satisfy
the requirements of applicable Federal laws, regulations and policies.
Additionally, this guidance is intended to be non-binding and should
not be construed as a rule of general applicability. Because the size
and scope of EISs can vary, adjustments to the recommended approaches
included in the guidance may be appropriate, but the minimum statutory
requirement always is noted.
Response to Comments
In the notice of availability of the proposed guidance, the FTA and
FHWA requested comments on specific provisions in the proposed guidance
and comments on particular questions posed by the agencies in the
Federal Register notice. The agencies received comments from 29
parties. Commenters included four individuals, six transit agencies, 13
State highway agencies, one State environmental agency, one Federal
environmental agency, and four national transportation organizations.
Commenting entities included the New York Metropolitan Transit
Authority, San Francisco Bay Area Rapid Transit District, Central Puget
Sound Regional Transit Authority, Washington Metropolitan Area Transit
Authority, Lane Transit District, San Diego Association of Governments,
Virginia Department of Transportation, Maryland State Highway
Administration, Idaho Transportation Department, Montana Transportation
Department, North Dakota Transportation Department, South Dakota
Transportation Department, Wyoming Transportation Department, Ohio
Department of Transportation, Minnesota Department of Transportation,
Louisiana Department of Transportation and Development, Florida
Department of Transportation, California Department of Transportation,
West Virginia Department of Transportation Division of Highways, State
of Washington Department of Ecology, U.S. Environmental Protection
Agency, American Highway Users Alliance, American Association of State
Highway and Transportation Officials, American Road and Transportation
Builders Association, and American Public Transportation Association.
This section highlights the key issues identified in the comments
on the proposed guidance, including comments in response to the
agencies' specific questions. This section also describes the FTA and
FHWA response to the comments on section 6002 implementation. The key
issues are summarized and addressed below under general headings
relating to the topics addressed. The first seven headings relate to
the seven specific questions on which the FTA and FHWA requested
comments. The remaining headings pertain to topics addressed within the
three sections of the proposed guidance (Section 1: The Environmental
Review Process; Section 2: Process Management; and Section 3: Statute
of Limitations). Accordingly, the FTA and FHWA response is organized
under the following headings: Adequacy of Guidance, Flexibility of the
Process, Lead Agency Responsibilities, Methodologies for Project
Analysis, Coordination with Participating Agencies, Schedules for FTA
Projects, New Starts Alternatives Analysis, General Information About
the Environmental Review Process,
[[Page 66578]]
Applicability Requirements, Project Initiation, Lead Agencies,
Participating Agencies, Cooperating Agencies, Purpose and Need,
Alternatives Analysis, Preferred Alternative, Coordination and
Schedule, Requirements Placed on Non-U.S. DOT Federal Agencies,
Concurrent Reviews, Issues Identification and Resolution, Funding of
Additional Agency Resources, Statute of Limitations, and Other
Comments.
A number of commenters raised questions that relate to issues other
than implementation of section 6002, such as inquiries about the FTA or
FHWA practices under NEPA that are not affected by the implementation
of section 6002. Because the section 6002 guidance is intended to focus
on topics relating directly to the new law, FTA and FHWA decided such
questions were beyond the scope of the guidance.
1. Adequacy of Guidance
In the notice of availability of the proposed guidance, the FHWA
requested comments on whether the guidance provided enough information
and instruction on how best to implement the new requirements under
section 6002. The FHWA received several comments on this question. In
general, commenters appear satisfied with the level of information
provided. Where commenters felt a particular part of the guidance
warranted additional information or a different interpretation, they
submitted their comments in the context of those specific questions.
The key comments in terms of the overall adequacy of the guidance, and
the agencies' response, appear below.
Several commenters stated that the FTA and FHWA should more
strongly emphasize their intention to apply section 6002 in a manner
that promotes faster processing of projects. We agree that the guidance
could benefit from more emphasis on the streamlining goals of section
6002. The FTA and FHWA have revised the answer to Question 6 of the
guidance to stress the opportunities for flexibility in designing an
environmental review process that meets the statutory requirements of
section 6002. This includes continuing to use existing procedures where
appropriate. Revisions have been inserted in appropriate places
throughout the guidance to identify opportunities to reduce paperwork
by documenting the steps taken under section 6002 within types of
documents already in use to comply with NEPA or other project-related
procedures.
One commenter stated there is a need for more information about how
to interpret the guidance in the case of States assuming Federal
responsibilities for NEPA or other aspects of the environmental review
process, on a pilot basis, under section 6005 of SAFETEA-LU. On April
5, 2006, FHWA published a notice of proposed rulemaking in the Federal
Register (71 FR 107040, April 5, 2006) for the implementation of
section 6005. Following issuance of the final rule and receipt of
applications from the pilot States, the FHWA will work with pilot
States to identify and address any issues created by the pilot States'
assumption of Federal environmental review responsibilities. We do not
feel it is necessary to address this issue in the section 6002
guidance.
2. Flexibility of the Process
In the notice of availability of the proposed guidance, the FHWA
requested comments on whether there are specific areas where the
guidance could and should provide more flexibility while still meeting
section 6002 requirements. The request also asked that commenters
consider how customization in particular areas might permit better
responses to issues of regional concern. Six commenters submitted
comments identified as responses to the FHWA questions on flexibility.
The FTA and FHWA have considered various comments and concluded that
the proposed guidance may not have identified the available
flexibilities clearly enough. The agencies have revised the final
guidance to highlight the flexibility inherent in implementation of
many of the provisions of section 6002. The guidance continues to
encourage agencies to tailor procedures to meet their needs, within the
statutory parameters of section 6002 and other applicable laws,
regulations, and funding agency requirements.
Several commenters also stated that, where possible, the guidance
should support the use of existing processes or procedures to meet
section 6002 administrative requirements. The FTA and FHWA agree with
this comment and the final guidance clarifies that existing processes
can be used as is, or modified as required, so long as the resulting
procedures meet the statutory requirements of section 6002 [23 U.S.C.
139] and other applicable Federal laws, regulations, and policies.
3. Lead Agency Responsibilities
The FHWA asked for comments concerning the adequacy of the
descriptions in the proposed guidance of the responsibilities,
authorities, and limitations of lead agencies. The FHWA also requested
comment on whether the division of labor, responsibility and authority
was appropriate. Several commenters addressed this topic through their
comments on specific questions in the proposed guidance. The FHWA and
FTA response to those comments appears with the relevant questions.
4. Methodologies for Project Analysis
The FHWA asked for comments on whether the proposed guidance
adequately addressed the process for involving participating agencies
in the selection of methodologies for project analysis. In particular,
the FHWA wanted to know whether the process in the proposed guidance
would serve to minimize the occurrence of debates about methodologies
late in the project development process. Two commenters indicated a
concern that the methodologies process could evolve into a document-
intensive and contentious process. The FTA and FHWA appreciate that the
determination of methodologies can be a challenging aspect of the
environmental review process and have considered the comments and made
several clarifications in the text of Question 38 of the final
guidance. The clarifications are intended to improve the guidance's
explanation of the timing of coordination and decisionmaking on
methodologies, and to facilitate the use of programmatic agreements on
methodologies to the extent appropriate.
5. Coordination With Participating Agencies
Comments were requested on whether the proposed guidance provided
sufficient detail about the coordination process with participating
agencies. In particular, comments were sought on whether changes in
schedule should require coordination with participating agencies. Two
commenters replied to these questions and stated that the guidance, by
requiring a project schedule for Federal-aid highway projects, is more
restrictive than section 6002 [23 U.S.C. 139(g)(1)(B)]. The statute
makes schedules an optional part of the required coordination plan. The
FHWA believes that a schedule is critical to successfully managing
large or complex projects, including managing the environmental review
process for such projects. The FHWA revised the final guidance to
clarify that the FHWA, in its Federal lead agency capacity, assumes
that a schedule will be used on all EA and EIS projects processed under
section 6002. If the non-Federal lead agency believes that a schedule
is not needed, then the non-Federal lead agency will be expected to
[[Page 66579]]
consult with the FHWA about how the project will proceed. For further
detail on the use and modification of schedules, see the comments and
responses to Questions 47-57.
The FTA and FHWA have considered comments on coordination needed
for changes to the schedule, along with the comments and have concluded
that the concurrence requirement for schedule modification should apply
only to cooperating agencies. This is consistent with the statute.
However, the FTA and FHWA note that a successful environmental review
process for a project often depends upon close and pragmatic
coordination of the original and any modified schedule with all
agencies that play a role in the review of a project.
6. Schedules for FTA Projects
The FTA requested comment whether it should require the development
of a schedule for all FTA projects requiring an EIS. The notice of
availability noted that section 6002 makes the inclusion of a project
schedule in the ``coordination plan'' for the project optional, but
that the FHWA was proposing the use of a project schedule for all EIS
and EA projects. The FTA sought comments on whether to require, in the
interest of good project management, the development of a project
schedule and its inclusion in the coordination plan for any transit
project requiring an EIS.
A number of commenters addressed this question. All but one
advocated keeping the schedule optional for FTA projects. These
commenters generally argued that complex transit projects will
frequently require schedule revisions, and the consultations required
to revise a schedule when one is included in the coordination plan
would defeat the objective of expediting by managing to a schedule. The
one commenter who disagreed with this point of view argued for a
mandatory schedule as a necessary project management tool. Having
considered all of these comments, FTA has decided to keep the schedule
optional.
7. New Starts Alternatives Analysis
The FTA requested comment whether it should continue to allow a New
Starts Alternatives Analysis, as defined in 49 U.S.C. 5309(a)(1), to be
developed as a non-Federal planning document not subject to NEPA
regulatory requirements, or require that the New Starts Alternatives
Analysis be merged into the NEPA document (normally an EIS for New
Starts projects), be subject to NEPA regulatory requirements, and be
signed by the FTA Regional Administrator.
The agencies received a number of comments on this question, and
the commenters unanimously agreed that the flexibility of the status
quo should be maintained. Accordingly, the FTA has decided to maintain
the flexibility of performing a Small Starts or New Starts Alternatives
Analysis as a planning study or as a NEPA document.
One commenter requested clarification on whether, in this guidance,
the term ``New Starts projects'' also encompassed ``Small Starts
projects'' or not. The FTA has now decided to distinguish between
transit fixed guideway projects that meet the Small Starts criteria [49
U.S.C. 5309(e)] and those that do not [49 U.S.C. 5309(d)], by referring
to them as ``Small Starts'' and ``New Starts'' respectively. The
requested clarifications, namely that this guidance applies to any FTA
project requiring an EIS, including but not limited to any Small Starts
project requiring an EIS, and that Question 13 on the New Starts
Alternatives Analysis also applies to Small Starts, have been made in
the final guidance.
8. General Information About the Environmental Review Process (Proposed
Guidance Questions 1-7)
Several parties offered comments on this segment of the proposed
guidance. A number of the comments related to editing the proposed
guidance for consistency in terminology and usage. The FTA and FHWA
have considered those concerns in preparing the final guidance. The
major comments on the content of this segment are described below.
One commenter on Question 3 thought that the FHWA should adopt the
FTA policy of not applying section 6002 to projects that are processed
as environmental assessment (EA) and categorical exclusions (CE)
projects under NEPA. One commenter advised the FTA not to rule out the
use of section 6002 on EA projects. The FTA and FHWA have considered
the comments, and both agencies have considered the role that EAs play
in their programs. The FHWA and FTA have revised the final guidance to
indicate that neither agency at this time intends to apply section 6002
to CE projects. In the case of EA projects, the ``default case''
adopted by both agencies in the final guidance is that section 6002
will not apply. However, the FHWA and FTA recognize that in some cases
section 6002 may be appropriate for an EA project and, in such cases,
section 6002 procedures may be used. The text in the final guidance
relating to Question 8 has been revised accordingly. The decision of
the lead agencies to use section 6002 for an EA project will be
documented in, and communicated through, the coordination plan.
Another commenter suggested that the guidance should clarify that
some environmental laws are administered by the U.S. DOT agencies and
some are under the authority of other Federal agencies. The commenter
also asked that the guidance clarify that in some cases, such as the
New Jersey and Michigan Clean Water Act Section 404 programs, a Federal
program is partly or wholly operated under the authority of a State.
The agencies have revised Question 3 of the final guidance to
acknowledge these points.
A number of commenters supported giving lead agencies the option to
use interagency merger agreements, which currently provide for
integrated project review processes under NEPA, the Clean Water Act,
and other Federal laws, to meet the requirements of section 6002. Some
commenters on Question 6 thought that the guidance should provide more
information on the use of merger concurrence points and the effect of
section 6002 on signatory agencies' authority under the merger
agreements. Commenters held differing views on whether concurrence
points should apply in the future, and whether there is a need to
renegotiate merger agreements in light of the provisions of section
6002.
The FTA and FHWA agree that the use of merger agreements, where
they are in effect and working well, should continue. The agencies have
revised Questions 6, 9, and 48 in the final guidance to clarify this
point. The revisions include an explanation that the merger agreement
may be used by those entities that are signatories to it, but that the
environmental review process must provide to others the opportunities
for involvement specified in section 6002. The final guidance also
states that, where a pre-existing merger agreement includes concurrence
requirements, the lead agencies may continue to use those parts of the
merger agreement if they wish. However, if the lead agencies conclude
that concurrence on an issue is not achievable, then the lead agencies
must exercise their decisionmaking obligations under Section 6002. For
these reasons, lead agencies may find that, when preparing coordination
plans, they need to supplement the provisions of a merger agreement to
ensure that the requirements of section 6002 are satisfied.
Several commenters indicated that the FTA and FHWA should permit
merger processes to be ``grandfathered'' under
[[Page 66580]]
section 6002, treating such agreements as an ``existing environmental
review process * * * approved by the Secretary under section 1309 of
the Transportation Equity Act for the 21st Century * * *'' (TEA-21)
(Pub. L. 105-178; 112 Stat. 107), thereby allowing the substitution of
the merger agreement for section 6002 procedures. The FTA and FHWA do
not believe that a merger agreement is considered an ``existing
environmental review process'' within that provision unless it
adequately addresses the entire environmental review process, including
the Section 6002 procedures for providing opportunities for involvement
to all parties that are entitled to such opportunities and the
procedures for collaboration with participating agencies on
methodologies (see Question 9 in final guidance).
A commenter requested clarification in Question 7 as to whether the
Tier 2 EIS process had to start over with the section 6002 procedures
such as notice of initiation and invitations to participating agencies.
The FTA and FHWA have revised Question 7 to state that when initiating
a Tier 2 EIS, most section 6002 procedures will apply as though Tier 2
is a new project. However, the lead agencies have the discretion to
determine the degree to which Tier 2 environmental review procedures
should be modified in order to recognize the Tier 1 decisions that are
final and carried into the Tier 2 proceedings.
9. Applicability Requirements (Proposed Guidance Questions 8-10)
Several of the comments on this segment of the proposed guidance
related to how the FTA and FHWA would apply section 6002 to EA and CE
projects. The agencies addressed this topic in their response to
comments on Question 3 and Question 8 of the proposed guidance.
Commenters also suggested that the decision to use section 6002 for
an EA should require the agreement of the project sponsor. The FTA and
FHWA have considered this issue and have concluded that they will not
adopt a requirement that the project sponsor agree to the use of
section 6002 for an EA project. The agencies note, however, that if the
project sponsor is a joint lead agency, it would have to agree to the
use of Section 6002 process for an EA project as part of the joint
decisionmaking described in Section 11 (Lead Agencies) below. Private
sponsors will be free to make their views known, but the government
agencies responsible for NEPA must make the decision.
One commenter thought that the guidance should clarify in Question
9 whether an exemption from section 6002 procedures based on an
existing environmental review process approved under section 1309 of
TEA-21 may be applied on a project-by-project basis. The FTA and FHWA
have revised Question 9 to clarify that an environmental review process
that is approved as a substitute for section 6002 procedures must be
used for a program or for a pre-approved class of projects, but cannot
be substituted for section 6002 procedures on a project-by-project
basis.
A commenter described Question 10 of the proposed guidance as too
restrictive and in conflict with regulations at 23 CFR 771.130(d) and
40 CFR 1502.9(c)(4) that eliminate scoping from the process for a
supplemental EIS (SEIS). The commenter believed that section 6002
should not apply to SEISs that do not involve the reassessment of the
entire action. Question 10 has been revised to state that a SEIS under
23 CFR 771.130 for a project with a notice of intent that was issued
prior to the enactment of SAFETEA-LU will not need to follow the
SAFETEA-LU environmental review process if the SEIS does not involve
the reassessment of the entire action.
10. Project Initiation (Proposed Guidance Questions 11-13)
Several comments focused on the need for minor editing of the
proposed guidance. The FTA and FHWA have reviewed those comments and
the guidance, and made revisions as appropriate. Key comments on the
content of the guidance, and the agencies' responses, appear below.
Several commenters questioned the effectiveness of trying to meet
project initiation requirements when only limited information might be
available about permit and approval requirements or other project
details. They viewed the information required for the notice of
initiation as a violation of NEPA because a determination about needed
approvals requires knowledge of the alternatives to be considered and
such knowledge is not available until later in the environmental review
process.
After considering the comments, the FTA and FHWA agree with the
concern that in some cases not all project approval needs will be known
at the time of project initiation. Question 11 in the final guidance
has been revised to acknowledge that lead agencies will be expected to
act on the best available knowledge at the time of initiation. Because
the information in the notice of initiation will be used to plan the
project proceedings, it is in the interest of all parties to have as
much information as possible early in the process, and to pass along to
the Federal lead agency any new information as soon as it becomes
available.
Several commenters expressed concern about the added paperwork that
would be caused by the notice of initiation and asked whether the
notice of intent for an EIS or the use of existing project initiation
procedures could be combined with the notice of initiation under
section 6002. Also, a commenter asked whether programmatic notices of
initiation could be used rather than project-by-project notices. The
FTA and FHWA agree with the commenters that it is desirable to avoid
duplication and unnecessary paperwork. The agencies also recognize that
the purposes of the notice of initiation include advising the Federal
lead agency that it is time to start project review proceedings, and
helping the lead agencies determine the scope of the required
environmental review process. The agencies have revised Question 11 in
the final guidance to more clearly support the adaptation of existing
procedures to cover the notice of initiation requirement under section
6002. The procedure used must provide the information required under
the project initiation provisions of the statute, to the extent the
information is available. The use of one document to cover multiple
project needs is fully endorsed by the FTA and FHWA. Whatever form or
format is used also should indicate the timeframe within which the
environmental review process should commence. In light of the staffing
implications for all agencies involved, including the Federal lead
agency, the initiation notice must be from an individual appropriately
authorized by the project sponsor.
11. Lead Agencies (Proposed Guidance Questions 14-20)
Many commenters focused their comments on the operation of section
6002 with respect to lead agencies and lead agency decisionmaking. The
major comments and the Federal response are described below.
Commenters were concerned about the FHWA requirement in the
proposed guidance that the State DOT serve as the non-Federal lead
agency under section 6002 [23 U.S.C 139(c)(3)] for projects currently
handled by local government agencies (hereinafter referred to as local
government agencies) that receive ``pass-through'' project funding.
Commenters suggested that the FHWA should allow local government
agencies, as subrecipients of Federal funds, to
[[Page 66581]]
serve as the mandatory non-Federal lead agency under section 6002.
Commenters felt that the local government agencies would be best
positioned to fulfill the section 6002 non-Federal lead agency role in
the case of locally initiated projects. Commenters also cited the added
burden that would be placed on the State DOTs if they were required to
serve as the non-Federal lead agency for local projects. One commenter
was concerned that the requirement that the recipient of funding serve
as the non-Federal lead agency would disturb the procedures presently
followed by the FTA and local transit agencies. Some commenters
expressed the view that State agencies should have the option, at the
State agency's discretion, to serve as a non-Federal joint lead agency
along with the local governmental agency. A few commenters encouraged
allowing the State DOT to continue allowing local government agencies
to prepare NEPA documents while the State DOT serves in a ``NEPA
reviewer'' and quality assurance role, rather than requiring the State
to hold the larger scope of responsibility described in the proposed
guidance.
The FHWA and FTA have considered the many comments on this topic
and have concluded that the proposed guidance correctly interpreted the
language of section 6002 on mandatory joint lead agencies. The final
guidance continues to reserve mandatory lead agency status to the U.S.
DOT agency and the direct recipient of Federal funds. The FTA and FHWA
believe that this interpretation follows the language of section 6002
and recognizes the legal relationships embedded in other Federal laws
and regulations relating to recipient and subrecipient
responsibilities. However, the FTA and FHWA agree that revisions to
Questions 14-16 are appropriate to clarify and provide more detail on
the lead agencies exercise of their discretion to extend invitations to
agencies to serve as joint lead agencies under CEQ regulations.
Question 15 of the final guidance notes that State or regional toll
authorities are among the agencies that lead agencies may invite to
serve as a joint lead agency. That part of the guidance also specifies
that agencies invited to serve as joint lead agencies under CEQ
regulations assume the full spectrum of decisionmaking roles and
responsibilities assigned to lead agencies under section 6002. Because
of the scope of the decisionmaking roles held by joint lead agencies,
the lead agencies will want to assess carefully which status (joint
lead, cooperating, or participating) is most appropriate for various
agencies with an interest in the project.
Question 16 revisions make it clear that the lead agencies
typically will invite a local governmental agency to serve as a joint
lead agency if it will be taking on design and construction
responsibilities for the project. Once the local governmental agency
accepts the invitation, the three agencies are ``lead agencies'' for
purposes of section 6002. The three agencies then will determine how to
allocate roles and responsibilities among themselves based on
resources, expertise, project needs, and other relevant factors.
However, the FHWA will continue to require the State, as the direct
recipient of the Federal-aid highway funds, to serve as a joint lead
agency on all projects regardless of the participation of a local
governmental agency as a joint lead agency. The State remains legally
responsible and liable for the proper performance of any NEPA or
section 6002 work assigned to the local governmental agency, and the
State must provide active oversight and supervision to the local
governmental agency's work. This means that the State must be an active
and knowledgeable participant in decisionmaking and must ensure that
the local governmental agency, in carrying out any responsibilities
assigned to it, fully complies with NEPA and section 6002. The FHWA's
legal relationship, including oversight for the environmental review
process, will continue to be with the State as the direct recipient of
Federal-aid highway funds. Thus, the lines of oversight and legal
responsibility of the FHWA, the State, and the local governmental
agency remain the same as they were prior to the enactment of section
6002.
Several commenters raised questions on this and other parts of the
proposed guidance about the FTA and FHWA interpretation of
decisionmaking roles for the section 6002 Federal lead agency and non-
Federal lead agencies. The main concern was that the U.S. DOT agencies
were reserving to themselves the final decisionmaking authority, when
section 6002 calls for joint decisionmaking between the two entities. A
second concern was that the guidance did not describe how the lead
agencies would resolve disagreements among themselves. The FTA and FHWA
have considered the comments on the topic of lead agency decisionmaking
and concluded that revisions should be made to the guidance to reflect
a stronger joint decisionmaking process under section 6002. The
agencies have revised Questions 19, 21, 32, 36, 38 and 39 to include
language that addresses these issues and to eliminate references to the
Federal lead agency making the final decision in specified situations.
The Federal lead agency and all joint lead agencies collectively
constitute the ``lead agency'' under section 6002 and they will engage
in joint decisionmaking on matters involving the environmental review
process. Disagreement on an issue must be resolved among those lead
agencies before further action can be taken on the project that relates
to the disputed issue. The effect of this decisionmaking process is
that each party effectively holds a veto over the decision and the
entities must cooperate in order to move the project forward on the
issue in question. This is consistent with the discussion of joint lead
agency decisionmaking in Conference Report 109-203 at pages 1046-1052.
12. Participating Agencies (Proposed Guidance Questions 21-29)
One commenter expressed concern that the information provided in
the proposed guidance was insufficient to advise lead agencies of how
to operate under the participating agencies provision of section 6002.
The FTA and FHWA have considered the comments and revised the final
guidance to provide additional detail and to emphasize areas of
flexibility.
A few commenters raised questions about the process for identifying
and inviting participating agencies. While commenters generally
endorsed the process described in the proposed guidance, some
commenters thought that the proposed guidance implied too broad an
interpretation of an ``interest'' that would support inviting an entity
to be a participating agency under section 6002. Those commenters
requested inclusion of a definition of ``interest'' in the guidance.
They suggested that the term be limited to mean those agencies that
have more than a remote or speculative interest in the project. The FTA
and FHWA have considered the comments and agree with the need to
clarify the intended interpretation of what level of interest is
sufficient to warrant participating agency status. The agencies have
revised Question 21 to provide that there must be more than a
tangential, speculative, or remote interest in the project to support
participating agency status. Indicators of an ``interest'' include
agencies that have an expertise in a topic relevant to the project,
have jurisdiction over some aspect of the project, or are responsible
for governmental function(s) that may be affected by the project or its
impacts. However, the final guidance also recognizes the flexibility
lead agencies have in this area, and the guidance
[[Page 66582]]
acknowledges that practices may vary from State to State.
A few commenters raised a question about the effect of agency
resources on the responsibility of participating agencies to
participate in the environmental review process under section 6002. The
FTA and FHWA revised Question 22 to address this concern. The FTA and
FHWA acknowledge that many agencies face resource constraints on their
operations, and that such constraints may affect the ability of an
agency to participate in every project. At the same time, section 6002
clearly establishes Congress's intent to make the environmental review
process work more efficiently in terms of the time required to deliver
projects. In order to meet the environmental review process
requirements under section 6002, some agencies may have to determine
which projects are priorities and to allocate resources accordingly.
The lead agencies also will be affected by this challenge, and they
will need to consider the potential effects of not having full
participation by an agency on a project. For example, non-participation
may have unfavorable impacts later when a participating or cooperating
agency has to make its own decisions on the project.
The FTA and FHWA also note that, in their experience, an agency
often finds it difficult to make meaningful contributions to the
environmental review process if it becomes fully involved for the first
time only after major decisions have been made. For these reasons,
participating agency resource constraints are an important factor that
the lead agencies should consider in developing the project
coordination plan, including the timing of decision points in the
process. The FTA and FHWA wish to emphasize that States still have the
authority under 23 U.S.C. 139(j) to use Federal funds received under
Title 23 and Title 49 to provide financial assistance to agencies for
the purpose of expediting the environmental review process. In the
final analysis, however, section 6002 does not provide any exemption
from participation for agencies that face staffing, financial, or other
resource constraints and the FTA and FHWA have not revised the final
guidance to create one.
Some commenters asked about the timing of the participating agency
invitations and asked whether participating agency invitations could be
handled prior to the beginning of scoping, or whether the scoping
process could be used to identify participating agencies. The FTA and
FHWA have revised Question 23 to clarify that the timing of invitations
to serve as participating agencies may vary. To the extent that the
lead agencies know prior to scoping that certain entities should be
invited to serve, the lead agencies may send invitations at or after
the time of the project notice of initiation. If, as the project
progresses, the lead agencies identify additional entities that should
be invited to serve as participating agencies, then they should invite
those entities promptly.
Some commenters expressed concern about the difference in treatment
of Federal and non-Federal agencies with respect to response, or the
lack of response, to an invitation to be a participating agency. The
provisions of section 6002 relating to invitations to participating
agencies [23 U.S.C. 139(d)(2)-(3)] create a mandatory protocol for
handling Federal agency invitations and the subsequent responses or
lack of responses. The proposed and final guidance reflect that
statutory procedure in Question 25. Because participating agency status
carries with it certain responsibilities that accompany the benefits of
the opportunity for early and substantive participation in the project
decisionmaking process, the FTA and FHWA concluded that conferring
``involuntary'' participating agency status on non-Federal agencies is
neither feasible nor appropriate. The final guidance retains the
original procedure for non-Federal agencies.
A number of commenters proposed changes to the language in
Questions 26-27. Question 26 relates to how to handle situations in
which an agency becomes a participating agency after the environmental
review process is underway, either because new information indicates
that there is a need for the agency's participation, or because the
agency originally declined to participate but has changed its mind.
Question 27 addresses what happens if an agency declines to be a
participating agency but makes comments on the project anyway.
Commenters had varying concerns. The most prevalent issue raised was
how to ensure that decisions, once made, are not revisited
unnecessarily, yet how to make certain that a new participating
agency's interest and concerns were adequately addressed. The agencies
determined that the procedures described in Question 26 of the proposed
guidance establish the appropriate standards for the scenarios
described in both Question 26 and Question 27. The agencies have
revised Question 27 to clarify that the procedures in Question 26 apply
in the case of an agency that initially declines to be a participating
agency but later decides to submit comments on the project.
Question 27 of the proposed guidance stated that comments received
from agencies that declined to be participating agencies ``are not
entitled to any greater or lesser deference than those of the general
public.'' A number of commenters inferred from this proposed language
that participating agency comments would receive more weight than
comments from the general public. Commenters asked for a clarification
on this point. The FTA and FHWA have reviewed the text and have revised
the text for Question 27 by deleting the phrase in question and
inserting a reference to the process for handling comments that is
outlined in the text for Question 26 of the final guidance. The lead
agencies will consider all comments on a project, and evaluate the
comments by considering relevant factors that may affect the
credibility and weight that the agencies should afford the comments.
Some commenters suggested that the guidance should recognize that
participating agencies may have different roles and levels of
participation in the environmental review process and indicated that
lead agencies should have the authority to identify a core group of
participating agencies for regular meetings and provide more limited
opportunities for participation to the remaining participating
agencies. The FTA and FHWA have revised Question 28 to clarify that
expectations and commitments about agency participation should be
addressed in the coordination plan. It is appropriate to tailor an
agency's participation to its area of interest or jurisdiction, but the
lead agencies should make their choices after considering the potential
effects if the agency is not provided an opportunity for involvement in
some aspects of the environmental review process. Lead agencies also
are free to honor requests from participating agencies to limit the
participating agency's involvement, but in such cases the participating
agency remains bound by the section 6002 process and the participating
agency's self-imposed non-participation or selective participation may
deprive it of the ability to influence the outcome of specific decision
points in the process.
One commenter asked that the guidance be revised to reflect the
ability of participating agencies to submit comments later in the
process if additional information from technical studies or development
of the draft EIS becomes available. The FTA and FHWA
[[Page 66583]]
agree that there are occasions when significant and relevant new
information that is materially different than the information available
at the time of the original comment period would merit an additional
round of comments or require reconsideration of previous decisions on a
project. The lead agencies will have to determine on a case-by-case
basis whether such a situation exists. The FTA and FHWA have revised
Question 28 to reflect this aspect of the process.
13. Cooperating Agencies (Proposed Guidance Questions 30-31)
One commenter asked for clarification in Question 31. The FTA and
FHWA have revised Question 31 to indicate that invitations to agencies
to participate in the environmental review process should be explicit
about each role that the invited agency is being asked to serve. The
agencies also clarified that, in the interest of efficiency, the lead
agencies should use a single invitation whenever possible to address
both cooperating agency and participating agency status.
14. Purpose and Need (Proposed Guidance Questions 32-35)
A commenter noted that the guidance should better recognize that,
because other agencies may have to make decisions on the project, it
would be useful for the agencies to jointly develop the statement of
purpose and need. The FTA and FHWA agree with the suggestion and have
revised Question 31 accordingly.
Commenters questioned the use of the term ``collaboration'' in the
proposed guidance when discussing the decisionmaking process for
purpose and need (Question 32) and range of alternatives (Question 36).
Questions 32 and 36 have been revised to state that the lead agencies
are responsible for the development of the purpose and need statement
and the range of alternatives, after considering input from the
participating agencies and the public.
Section 6002 calls for giving participating agencies and the public
an opportunity for involvement on purpose and need and range of
alternatives. Commenters on this topic generally considered
``opportunity for involvement'' to authorize something different than,
and potentially less interactive than, ``collaboration.'' Several
commenters noted that the use of the phrase ``in a timely and
meaningful way'' in the answer to Question 34 did not provide enough
guidance on when or how lead agencies should provide an ``opportunity
for involvement'' on purpose and need. The FTA and FHWA have revised
Question 34 to clarify that the opportunity for involvement is not a
static concept, but flexible and depends on the project and issues
involved. ``Opportunity for involvement'' is intended to gather
information and perspectives, and to make sure that decisionmakers
understand the concerns of interested parties. The FTA and FHWA believe
it is important to provide maximum flexibility to the lead agencies on
the timing and nature of involvement opportunities. The agencies have
concluded that it would be difficult to provide a more precise
description in the guidance without becoming prescriptive.
A number of commenters expressed concerns about how the guidance
references the transportation planning process and its products in
Questions 33 and 35. Questions 33 and 35 have been revised to describe
the considerations that apply to using the results of the planning
process when developing the statement of purpose and need.
15. Alternatives Analysis (Proposed Guidance Questions 36-38)
Commenters made nearly identical comments on the purpose and need
and alternatives analysis segments of the proposed guidance with
respect to the use of the term ``collaboration'' and the desirability
of coordinating decisions on these issues with agencies that make
decisions on the project under other laws. The agencies responded to
those questions in the purpose and need segment of this notice, and
made the same revisions to both the purpose and need segment and this
alternatives analysis segment of the final guidance.
Commenters objected to the use of the term ``timely and
meaningful'' in Question 37 as overly broad, and to the statement in
the proposed guidance that opportunities for involvement on purpose and
need and range of alternatives ``may be concurrent or sequential'' as
failing to recognize that the range of alternatives for analysis can be
determined only after the purpose and need of the project is decided.
The agencies agree that the phrase ``timely and meaningful'' is overly
broad and have revised Question 37 by removing the phrase.
Additionally, the question has been revised to further explain that the
opportunity for involvement must be provided prior to the lead
agencies' decision regarding the range of alternatives. The agencies
also clarified that lead agencies must consider whether additional
opportunity for involvement on the range of alternatives is required if
changes to the purpose and need arise out of involvement by the
participating agencies and the public.
Some commenters stated that the guidance should clarify the
parameters of the collaboration process for choosing methodologies,
including the timeframes for comment. Another concern was that reaching
closure on methodologies during scoping may not be feasible, and that
the process for selecting methodologies discussed in Question 38 could
become time-consuming and contentious.
The FTA and FHWA have considered all of the comments on the process
for selection of methodologies and have concluded that revisions to
Question 38 are warranted. The agencies agree that collaboration on
methodologies need occur only with agencies that have some expertise,
experience, statutory mission, or jurisdiction relevant to the object
of the pending analysis. The FTA and FHWA note that this standard
should be interpreted reasonably, so that participating agencies are
not inappropriately excluded from collaborating on methodologies. If
the lead agencies elect to establish a comment period under section
6002 [23 U.S.C. 139(g)(2)(B)] to help bring closure to the selection
process, then they will need to follow procedures for giving notice of
the comment period (see Question 54). Issues on methodologies should be
raised and resolved as soon in the environmental review process as the
lead agencies believe there is sufficient information on the particular
issue to reasonably support selection of the methodology for analysis.
The FTA and FHWA have concluded that the language on documenting the
selection of methodology, and any objections thereto by participating
agencies, is appropriate and consistent with NEPA requirements. Such
documentation also is a good administrative practice, particularly in
the event of later litigation. That language is retained in the final
guidance.
A commenter raised a concern that the language in Question 38 on
``comments late in the process'' appears to conflict with 40 CFR part
1503 requirements for the consideration of comments received during the
draft EIS comment period. The NEPA regulation at 40 CFR 1503.4(a) does
require an agency preparing a final EIS to ``assess and consider''
comments made on a draft EIS. However, under 40 CFR 1503.4(a)(5), the
agency preparing the final EIS may ``explain why the comments do not
warrant further agency response, citing the sources, authorities, or
reasons which support the agency's position and, if appropriate,
indicate those circumstances which would
[[Page 66584]]
trigger agency reappraisal or further response.'' The FTA and FHWA have
concluded that the lead agencies are not required to revisit an issue
on which participating agencies had an opportunity to comment earlier
in the environmental review process. The exception would be if the
draft EIS is the first opportunity a participating agency has to
comment on significant and material new information affecting the
selection. The FTA and FHWA have determined that the language in the
proposed guidance represents an appropriate interpretation that is in
harmony with both the NEPA regulatory provisions and section 6002
requirements.
The FTA and FHWA also have revised Question 38 to clarify the
procedure for developing and applying a methodology for a program,
region, or class of projects.
16. Preferred Alternative (Proposed Guidance Questions 39-46)
Several commenters asked for clarification of Question 39,
concerning who decides whether the preferred alternative can be
developed to a higher level of detail. Some objected to the use of the
term ``locally preferred alternative'' because it is not a term used in
the statute. The agencies have revised Question 39 to eliminate the
term ``locally preferred alternative.'' The agencies also have adopted
in Question 39, as throughout the final guidance, language that
reflects joint decisionmaking among the lead agencies. If the joint
decisionmaking process does not result in mutual agreement on whether
there is a preferred alternative or whether the section 6002 criteria
for doing a higher level of design for a preferred alternative [23
U.S.C. 139(f)(4)(D)] are satisfied, then no action can be taken that
relies on such decision(s) until there is agreement among all of the
lead agencies.
Commenters asked for clarification of what ``accepted'' means in
Questions 39 and 41 with respect to the preferred alternative. The FTA
and FHWA have revised Question 41 to clarify this point. Some
commenters asked whether acceptance of the identification of a
preferred alternative affects the New Starts or Small Starts rating
process. The FTA has revised Question 41 to state that neither
acceptance of a preferred alternative, nor a decision to do a higher
level of design on a preferred alternative, affects the New Starts or
Small Starts rating process.
Several commenters asked the FTA and FHWA to consider ways to
reduce the analysis and documentation requirements for the
determination whether to do a higher level of design on the preferred
alternative (see Questions 42-44), and to clarify when the lead agency
can identify a preferred alternative. The FTA and FHWA have considered
all of the comments on this issue and appreciate the commenters' desire
to streamline the process for making the decision on doing a higher
level of detail. The agencies note that the criteria for the decision,
and the limitations on the purposes for which the work can be done and
the scope of work that can be performed, appear in section 6002 [23
U.S.C. 139(f)(4)(D)]. Those provisions echo language in NEPA
regulations and relevant case law. The agencies have concluded that the
requested revisions would not be consistent with those laws,
particularly with respect to the required finding of impartiality in
future decisionmaking on the selection of alternatives. Lead agencies
are encouraged to identify workable methods for expediting this
decision, but the requirement for project-by-project review is retained
in the final guidance.
The FTA and FHWA have clarified in Question 43 when the lead
agencies may decide on a preferred alternative and the performance of a
higher level of design work for the preferred alternative. In keeping
with NEPA and agency practices prior to SAFETEA-LU, a decision on a
preferred alternative cannot occur until after the lead agencies have
conducted sufficient scoping and analysis of alternatives to support
the identification. Further, there cannot have been sufficient scoping
until after an opportunity for the involvement of participating
agencies and the public on the purpose and need and the range of
alternatives has occurred.
A number of commenters asked the FTA and FHWA to consider amending
Question 40 to authorize, during the completion of the NEPA process,
design work that goes beyond the level of work described in section
6002. The types of work that the commenters indicated should be
permitted, and would not bias decisionmaking, included geotechnical
assessments, hydraulic and hydrologic analysis, traffic studies,
hazardous materials assessments, utility engineering, cost estimates,
and development of preliminary design drawings. The FTA and FHWA have
considered the various comments on the issues of the level of
additional design work and purposes for which additional design work
could be done for a preferred alternative during NEPA review and have
decided not to make the requested revisions. The agencies note that the
types of work listed by the commenters often are a part of the higher
level of design work allowed in order to meet NEPA or permitting agency
requirements for information about engineering and operational
feasibility, impacts, or other issues. The type of work is not
determinative. The key questions are whether the purpose of the
additional work is one that is authorized by law, and whether the scope
of work to be done is limited to what is needed to satisfy such
authorized purpose(s). The FTA and FHWA will continue to require good
faith and reasonable determinations that the permitted level of design
is what is needed to meet a purpose authorized by applicable laws and
regulations, including section 6002.
17. Coordination and Schedule (Proposed Guidance Questions 47-57)
This segment of the proposed guidance drew many comments,
particularly with respect to the need for a schedule and the process of
modifying a schedule. The concerns of many commenters focused on when
parties other than the lead agencies have a role in scheduling
decisions. With respect to transit projects, commenters questioned the
applicability of section 6002 to New Starts and Small Starts projects,
and one commenter suggested that FTA exempt Small Starts projects from
the project coordination plan requirements under section 6002 because
Small Starts projects are intended to have streamlined processes and
should be allowed to develop individualized plans for project planning,
development, and implementation.
The FTA and FHWA agree with the commenter's sentiments about the
importance of streamlining the process and having plans that are
tailored to the needs of the project. The FTA and FHWA believe the
coordination plan requirements will promote these objectives, not
hinder them. The agencies have made no change to the final guidance in
terms of the projects that are subject to the coordination plan
requirements.
Some commenters suggested the addition of language advising lead
agencies to give cooperating and participating agencies a role in the
development of project coordination plans. Question 47 has been revised
to state that because key elements of the coordination plan may be
setting expectations that require resource commitments by the
participating agencies, consultation with the participating agencies is
strongly encouraged.
[[Page 66585]]
A number of commenters submitted questions about the scope,
content, and use of schedules in project coordination plans under
section 6002. Some commenters objected to the FHWA requirement for a
schedule (Question 52), citing the optional nature of schedules under
section 6002 [23 U.S.C. 139(g)(1)(B)]. Others were concerned by the use
of the word ``negotiated'' in the Question 52 discussion of the process
for creating a schedule, especially the potential interpretation of
that word as requiring the agreement of participating agencies to a
proposed schedule. The FTA and FHWA have considered the various
comments on this topic. The agencies also have considered that section
6002 is intended to expedite the environmental review process, and to
avoid duplication and waste. The use of a project schedule is one
important tool to use to achieve those goals. Both the FTA and the FHWA
support tailoring the form and substance of project schedules to meet
the needs of the particular projects and the factors specified in
section 6002 [23 U.S.C. 139(g)(1)(B)(ii)].
The final guidance recognizes that schedules are optional, not
mandatory, under section 6002. The FTA decision to treat schedules as
optional remains unchanged in the final guidance. The FHWA believes
that management and stewardship of public funds within the Federal-aid
highway program dictates the need for a schedule for EA and EIS
projects. The final guidance states that FHWA assumes that a schedule
will be used on all EA and EIS projects processed under section 6002.
If the non-Federal lead agency believes that a schedule is not needed,
then the non-Federal lead agency will be expected to consult with the
FHWA about how the project will proceed. The development of a schedule
will involve consulting with the participating agencies, but does not
require consensus or concurrence.
A few commenters suggested that the factors for establishing a
project schedule, listed in Question 53 of the proposed guidance, were
incomplete because they failed to include a factor that recognized the
need to speed up the environmental review process. The FTA and FHWA
agree with the commenters that it is important to always keep in mind
that the section 6002 provisions are intended to expedite effective
project environmental reviews, which includes realistic schedules that
focus on timely decisionmaking. The agencies note that the factors
listed in Question 53 are derived from the statute. The FTA and FHWA
have revised Quest