Federal Presumed to Conform Actions Under General Conformity, 6641-6656 [E7-2241]
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Federal Register / Vol. 72, No. 28 / Monday, February 12, 2007 / Notices
meeting will be available from the
Secretariat at minardje@state.gov.
The International Telecommunication
Advisory Committee (ITAC) will meet to
prepare for ITU–T Study Group 16 on
June 7, 2007 9:30 a.m. to noon, at the
offices of Communications Technologies
Inc, 14151 Newbrook Drive, Suite 400,
Chantilly, VA 20151.
These meetings are open to the
public. Further information may be
obtained from the Secretariat at
minardje@state.gov, telephone 202 647–
3234.
Dated: February 5, 2007.
Marian R. Gordon,
Director Telecommunication & Information
Standardization, International
Communications & Information Policy,
Multilateral Affairs, Department of State.
[FR Doc. E7–2344 Filed 2–9–07; 8:45 am]
BILLING CODE 4710–07–P
DEPARTMENT OF TRANSPORTATION
sroberts on PROD1PC70 with NOTICES
Office of the Secretary; Notice of
Applications for Certificates of Public
Convenience and Necessity and
Foreign Air Carrier Permits Filed Under
Subpart B (Formerly Subpart Q) During
the Week Ending February 2, 2007
The following Applications for
Certificates of Public Convenience and
Necessity and Foreign Air Carrier
Permits were filed under Subpart B
(formerly Subpart Q) of the Department
of Transportation’s Procedural
Regulations (See 14 CFR 301.201 et.
seq.). The due date for Answers,
Conforming Applications, or Motions to
Modify Scope are set forth below for
each application. Following the Answer
period DOT may process the application
by expedited procedures. Such
procedures may consist of the adoption
of a show-cause order, a tentative order,
or in appropriate cases a final order
without further proceedings.
Docket Number: OST–2007–27184.
Date Filed: February 1, 2007.
Due Date for Answers, Conforming
Applications, or Motion to Modify
Scope: February 22, 2007.
Description: Application of Bellview
Airlines Ltd., requesting a foreign air
carrier permit to engage in scheduled
foreign air transport of persons,
property, and mail from a point or
points in Nigeria via intermediate
points, to a point or points in the United
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States and beyond, as well as other
charter authority.
Renee V. Wright,
Program Manager, Docket Operations,
Federal Register Liaison.
[FR Doc. E7–2337 Filed 2–9–07; 8:45 am]
BILLING CODE 4910–9X–P
DEPARTMENT OF TRANSPORTATION
Federal Aviation Administration
Air Traffic Procedures Advisory
Committee
Federal Aviation
Administration (FAA), DOT.
ACTION: Notice of Public Meeting.
AGENCY:
SUMMARY: The FAA is issuing this notice
to advise the public that a meeting of
the Federal Aviation Air Traffic
Procedures Advisory Committee
(ATPAC) will be held to review present
air traffic control procedures and
practices for standardization,
clarification, and upgrading of
terminology and procedures.
DATES: The meeting will be held
Tuesday, April 10, 2007 from 9 a.m. to
4:30 p.m.; Wednesday, April 11, 2007,
from 9 a.m. to 4:30 p.m.; and Thursday,
April 12, 2007, from 9 a.m. to 4:30 p.m.
ADDRESSES: The meeting will be held at
the CGH Technologies Inc. Office,
Eighth Floor, Training Conference
Room, 600 Maryland Avenue, SW.,
Washington, DC 20591.
FOR FURTHER INFORMATION CONTACT: Ms.
Nancy B. Kalinowski, Executive
Director, ATPAC, System Operations
Airspace and Aeronautical Information
Management, Room 400E, 800
Independence Avenue, SW.,
Washington, DC 20591, telephone (202)
267–9205.
SUPPLEMENTARY INFORMATION: Pursuant
to Section 10(a)(2) of the Federal
Advisory Committee Act (Pub. L. 92–
463; 5 U.S.C. App. 2), notice is hereby
given of a meeting of the ATPAC to be
held Tuesday, April 10, 2007 from 9
a.m. to 4:30 p.m.; Wednesday, April 11,
2007, from 9 a.m. to 4:30 p.m.; and
Thursday, April 12, 2007, from 9 a.m. to
4:30 p.m.
The agenda for this meeting will cover
a continuation of the ATPAC’s review of
present air traffic control procedures
and practices for standardization,
clarification, and upgrading of
terminology and procedures. It will also
include:
1. Approval of Minutes;
2. Submission and Discussion of
Areas of Concern;
3. Discussion of Potential Safety
Items;
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6641
4. Report from Executive Director;
5. Items of Interest; and
6. Discussion and agreement of
location and dates for subsequent
meetings.
Attendance is open to the interested
public but limited to space available.
With the approval of the Chairperson,
members of the public may present oral
statements at the meeting. Persons
desiring to attend and persons desiring
to present oral statement should notify
Ms. Nancy B. Kalinowski no later than
April 6, 2007. The next quarterly
meeting of the FAA ATPAC is
scheduled for July 24–26, 2007, in
Washington, DC. Any member of the
public may present a written statement
to the ATPAC at any time at the address
given above.
Issued in Washington, DC, on February 5,
2007.
Nancy B. Kalinowski,
Executive Director, Air Traffic Procedures
Advisory Committee.
[FR Doc. E7–2233 Filed 2–9–07; 8:45 am]
BILLING CODE 4910–13–P
DEPARTMENT OF TRANSPORTATION
FEDERAL AVIATION
ADMINISTRATION
Federal Presumed to Conform Actions
Under General Conformity
Federal Aviation
Administration (FAA), DOT.
ACTION: Draft notice; request for
comment.
AGENCY:
SUMMARY: The Clean Air Act (CAA)
section 176(c), 42 U.S.C. 7506(c) and
Amendments of 1990 1 require that all
Federal actions conform to an
applicable State Implementation Plan
(SIP). The U.S. Environmental
Protection Agency (EPA) has established
criteria and procedures for Federal
agencies to use in demonstrating
conformity with an applicable SIP that
can be found at 40 CFR 93.150 et.seq.
(‘‘The Rule’’).
The Rule allows Federal agencies to
develop a list of actions that are
presumed to conform to a SIP 2 for the
criteria pollutants and their precursors
that are identified in 40 CFR
93.153(b)(1) and (b)(2) and in the
National Ambient Air Quality Standards
(NAAQS) under 40 CFR 50.4–50.12.3
1 Clean Air Act Title I Air Pollution Prevention
and Control, Part D, Subpart 1, Section 176
Limitation on Certain Federal Assistance.
2 40 CFR Part 93, § 93.153(f).
3 NAAQS established by the EPA represent
maximum concentration standards for criteria
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Federal Register / Vol. 72, No. 28 / Monday, February 12, 2007 / Notices
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The criteria pollutants of concern for
local airport air quality are ozone (O3)
and its two major precursors (volatile
organic compounds (VOC) and nitrogen
oxides (NOX)), carbon monoxide (CO),
nitrogen dioxide (NO2), sulfur dioxide
(SO2),4 and particulate matter consisting
of small particulates with a diameter
less than or equal to 2.5 micrometers
(PM2.5) and larger particulates with a
diameter of up to 10 micrometers
(PM10).5
According to the Rule,6 Federal
agencies must meet the criteria for
establishing activities that are presumed
to conform by either:
(1) Clearly demonstrating that the
total of direct and indirect emissions
from the type of activities that would be
presumed to conform would not:
(i) Cause or contribute to any new
violation of any standard in any area;
(ii) Interfere with provisions in the
applicable SIP for maintenance of any
standard;
(iii) Increase the frequency or severity
of any existing violation of any standard
in any area; or
(iv) Delay timely attainment of any
standard or any required interim
emission reductions or other milestones
in any area including emission levels
specified in the applicable SIP; 7 or
(2) Providing documentation that
emissions from the types of actions that
would be presumed to conform are
below the applicable de minimis levels
established in 40 CFR 93.153(b)(1) and
(b)(2).8 This documentation may be
based on similar actions that the agency
has taken over recent years.9 Besides
documenting the basis for presumed to
conform activities, Federal agencies
must fulfill procedural requirements
under the Rule relating to publication in
the Federal Register, notification to
Federal/State/local agencies,
opportunity for public comment, and
availability of responses to public
comments.10
In this Notice, the Federal Aviation
Administration (FAA) is proposing
categories of actions involving agency
approval and financial assistance for
pollutants to protect human health (primary
standards) and to protect property and aesthetics
(secondary standards).
4 FAA calculated SO is considered equal to SO .
X
2
5 Smaller PM
2.5 particulate matter is a subset of
PM10. Levels for PM2.5 are included in the NAAQS
but not yet established for purposes of general
conformity (no de minimis threshold or SIPs).
Therefore, references in this Notice to PM10 also
apply to PM2.5 for purposes of presumed to conform
actions.
6 40 CFR Part 93, § 93.153(g).
7 40 CFR Part 93, § 93.153(g)(1).
8 Title 40 CFR Part 93, 93.153(g)(2).
9 Ibid.
10 Title 40 CFR Part 93, 93.153(h).
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airport projects that would be presumed
to conform. The benefits of this process
include the elimination of unnecessary
agency costs associated with evaluating
actions with few if any emissions. As a
result, the agency will be able to
streamline the environmental process by
applying more of its resources to actions
that have the potential to reach
regulated emission levels or adversely
impact air quality.
Addressing the need for efficiency
and streamlining, the EPA states that the
provisions allowing Federal agencies to
establish categories of actions that are
presumed to conform are ‘‘intended to
assure that these Rules are not overly
burdensome and Federal agencies
would not spend undue time assessing
actions that have little or no impact on
air quality.’’ 11 Furthermore, the EPA
states that ‘‘Federal actions which are de
minimis should not be required by this
Rule to make an applicability analysis.
A different interpretation could result in
an extremely wasteful process which
generates vast numbers of useless
conformity statements.’’ 12
Consequently, the Rule allows
individual Federal agencies to present
categories of actions that have been
documented to be de minimis and,
therefore should be ‘‘presumed to
conform’’ to the Rule under 40 CFR
93.153(f).
This Notice contains a summary of
documentation and analysis which
demonstrates that actions described
below will not exceed the applicable de
minimis emission levels for
nonattainment and maintenance areas,
as specified under 40 CFR 93.153(b). In
relation to the agency’s demonstration
of presumed to conform actions, the
EPA has defined broad categories of
actions in 40 CFR 93.153(c)(2) that are
exempt from the Rule because the
actions result in no emissions increase
or an increase in emissions that is
clearly de minimis. In this Notice, the
FAA distinguishes various airportrelated actions that are exempt under
the Rule from those that the FAA
proposes to be presumed to conform.
DATES: Written comments must be
received on or before 45 days after the
date of publication in the Federal
Register.
ADDRESSES: Address your comments to
the individual identified under FOR
FURTHER INFORMATION CONTACT.
FOR FURTHER INFORMATION CONTACT: Dr.
Jake A. Plante, Planning and
Environmental Division, Federal
Aviation Administration, 800
11 58
12 12
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FR 63228 (Nov. 30, 1993).
58 FR 63229 (Nov. 30, 1993).
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Independence Avenue, APP–400, SW.,
Room 616, Office of Airports,
Washington, DC 20591,
jake.plante@faa.gov, phone (202) 493–
4875, fax (202) 267–8821.
SUPPLEMENTARY INFORMATION:
Comments Invited
The FAA invites comments on the
following descriptions and justifications
of agency actions that would be
presumed to conform. We will accept
comments, data, views, or arguments by
letter, fax, or e-mail. Send your
comments to the person identified
under FOR FURTHER INFORMATION
CONTACT. Mark your comments,
‘‘Federal Presumed to Conform Actions
under General Conformity.’’
Use the following format when
preparing comments:
—Organize your comments issue-byissue.
—For each issue, state what specific
change you are requesting to the
proposed policy.
—Include justification, reasons, or data
for each change you are requesting.
The FAA will consider all
communications received on or before
the closing date for comments. We will
respond by e-mail or other appropriate
means to all comments received. Our
responses to public comments will be
documented and made available to the
public upon request through the person
identified under FOR FURTHER
INFORMATION CONTACT.
Table of Contents: The major sections
of this document are as follows:
I. Background
II. Existing Exemptions
III. Presumed to Conform Project
Descriptions and Justifications
IV. How to Apply Presumed to Conform
Actions
I. Background
Under the Rule (40 CFR 93.153(g)(h)),
the FAA and other agencies are entitled
to develop a list of proposed actions that
are presumed to conform. The process
of establishing presumed to conform
classifications is predicated on the
concept of conformity. Conformity
assures that an activity that is presumed
to conform does not cause or contribute
to any new violation of the NAAQS or
interfere with provisions contained in
applicable SIPS.
The administration and enforcement
of conformity regulations are delegated
by the EPA to the individual States
through provisions in each SIP. A SIP is
the written plan submitted to the EPA
detailing each State’s strategy to control
air emissions to meet and maintain the
NAAQS in geographic areas that are
designated as nonattainment areas. The
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EPA requires each State to devise such
a plan for each criteria pollutant causing
violations or the EPA will impose a
Federal implementation plan (‘‘FIP’’) for
the State. When a nonattainment area
achieves compliance with the NAAQS,
it becomes a maintenance area for at
least 10 years with ongoing State
responsibility to ensure continued
attainment.13
General conformity. General
conformity refers to the process of
demonstrating that a general Federal
action conforms to the applicable SIP. A
general Federal action is defined more
by what it is not, rather than by what
it is. A general Federal action is any
Federal action that is not a Federal
‘‘transportation’’ action and
consequently not subject to the
conformity requirements established for
Federal highway or transit actions,
referred to as ‘‘transportation
conformity.’’ A Federal transportation
action is an action related to
transportation plans, programs, and
projects that are developed, funded, or
approved under Title 23 United States
Code (U.S.C.) or the Federal Transit Act
(FTA).14 Since FAA actions do not meet
the definition of a transportation action,
they are general actions by default and
thus subject to the General Conformity
Rule.
The FAA and other Federal agencies
subject to general conformity must make
a determination that the Federal action
conforms to the SIP’s purpose to meet
and maintain the NAAQS before the
action is taken. If the proposed actions
are not specifically exempt or classified
as presumed to conform, it is necessary
to conduct an applicability analysis to
determine if emissions are likely to
equal or exceed the established
screening criteria emission rates known
as the de minimis thresholds. A general
conformity determination is required for
each pollutant identified as
nonattainment or maintenance when the
total of direct and indirect emissions
caused by a Federal action equals or
exceeds any of the applicable de
minimis thresholds.15
FAA airport development actions
subject to general conformity. The FAA
is responsible for deciding whether its
actions involving an airport located in a
nonattainment or maintenance area
require a general conformity
evaluation.16 FAA actions that require a
II. Existing Exemptions
For the FAA to provide the proper
context and baseline for identifying and
proposing a list of presumed to conform
Federal actions, it is important to
consider the extent to which FAA
airport-related actions and activities
may qualify for exemption from general
conformity requirements. The EPA has
defined broad categories of exempt
actions under 40 CFR 93.153(c)(2) that
result in no emissions increase or
increases in emissions that are clearly
de minimis. These actions are not
subject to further analysis for
applicability, conformity, or regional
significance under the Rule.
As part of this Federal Register
Notice, the FAA has interpreted how the
exemptions in the Rule apply to FAA
actions associated with airport facilities
and aviation planning. The following
discussion addresses the most relevant
examples of these exemptions regarding
FAA actions for airport development.
13 CAA,
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§ 175A, 42 U.S.C. § 7505a.
U.S.C. 1601 et seq.
15 40 CFR Part 93, § 93.153(b).
16 ‘‘Conformity evaluation’’ refers to the overall
process of assessing whether an action/project is
subject to general conformity requirements, which
may include an applicability analysis needed to
make a conformity determination. See Question #1,
conformity evaluation include
unconditional approval of any or all
parts of an airport layout plan (ALP),
final Airport Improvement Program
(AIP) grant approvals, and approvals for
use of Passenger Facility Charges
(PFCs). Other FAA actions that may
require a conformity evaluation include
proposed actions for which an
environmental assessment (EA) or
environmental impact statement (EIS) is
prepared under the requirements of the
National Environmental Policy Act.
Notification requirements for
establishing a list of presumed to
conform actions. Under procedures
prescribed in the Rule, the FAA must
notify the appropriate EPA regional
offices, State and local air quality
agencies, and Metropolitan Planning
Organizations (MPO).17 In addition, the
FAA must publish the proposed list in
the Federal Register, allowing a
minimum of 30 days for public
comment.18 The FAA is required to
document its response to all comments
received and to make these comments
and responses available to the public
upon request.19 Finally, the FAA must
publish its final list of presumed to
conform actions in the Federal Register
to complete the process.20
14 49
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EPA and FAA General Conformity Guidance for
Airports: Questions and Answers, September 25,
2002.
17 40 CFR Part 93, § 93.153(h)(2).
18 40 CFR Part 93, §§ 93.153(h)(1)–(2).
19 40 CFR Part 93, § 93.153(h)(3).
20 40 CFR Part 93, § 93.153(h)(4).
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(1) Rulemaking and Policy Development
[40 CFR 93.153(c)(2)(iii)]
The FAA develops rules and policies
to address issues of safety, aviation
noise abatement, and systematic
improvements to efficiency. This
includes issuance of airport policy and
planning documents for the National
Plan of Integrated Airport Systems
(NPIAS), the Airport Capital
Improvement Program (ACIP), and
Advisory Circulars on planning, design,
and development programs. These
documents provide administrative and
technical guidance to the airport
community and the public and are not
intended for direct implementation. The
actual process of rulemaking or policy
development is typically administrative
in nature and does not cause an increase
in air emissions.
(2) Routine Maintenance and Repair
Activities [40 CFR 93.153(c)(2)(iv)]
In conformance with FAA standards
and regulations, the airport sponsor
must maintain airport facilities and the
airfield in a manner that ensures the
safe operation of the airport. These
activities constitute Federal actions
when Federal funding from the FAA is
involved. Airport maintenance, repair,
removal, replacement, and installation
work that matches the characteristics,
size, and function of a facility as it
existed before the replacement or repair
activity typically qualifies as routine
maintenance and repair for purposes of
general conformity. Such activity does
not increase the capacity of the airport
or change the operational environment
of the airport.
The FAA does not consider major
runway reconstruction to qualify as
exempt under the Rule if the
reconstruction results in a runway that
is hardened, lengthened, or widened to
support a larger class of aircraft.
Proposed funding for such a project
would require analysis of emission
levels to determine the applicability of
general conformity requirements.
Routine maintenance for existing
runways, taxiways, aprons, ramps,
fillets, and airport roadways includes
in-kind resurfacing,21 re-marking of
existing runways, taxiways, apron areas,
etc., and runway grooving and rubber
removal projects. Other areas of routine
replacement, maintenance, and repair
work that may be considered exempt
from the Rule include:
• Existing signage.
• Existing lighting systems.
• Existing pavement markings.
21 Depending on numerous factors affecting
surface conditions, airports will generally resurface
asphalt runways every 7–10 years.
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• Wind or landing direction
indicators.
• Existing airport security access
control.
• Existing buildings and structures.
• Existing heating, ventilation, and
air conditioning (HVAC) systems.
• Existing infrastructure such as
sanitary sewer or electrical systems.
• General landscaping, erosion
control, and grading.
(7) Transfers of Ownership, Interests,
and Titles in Land, Facilities, and Real
and Personal Properties, Regardless of
the Form or Method of the Transfer [40
CFR 93.153(c)(2)(xiv)] and
(3) The Routine, Recurring
Transportation of Materiel and
Personnel [40 CFR 93.153(c)(2)(vii)]
The transport of materiel and
personnel both within airport environs
and to facilities affiliated with the
routine operation of airports may be
considered exempt under the Rule.
(4) Routine Movement of Mobile Assets,
Such As * * * Aircraft * * * for Repair
or Overhaul [40 CFR 93.153(c)(2)(viii)]
The movement of aircraft to/from
airports with maintenance and test
facilities for repair and overhaul may be
considered exempt from the Rule.
(5) Planning, Studies, and Provisions of
Technical Assistance [40 CFR
93.153(c)(2)(xii)]
Planning and information-related
actions do not represent implementation
of operational changes at the airport and
therefore do not result in emission
increases. Consequently, actions such as
those listed below may be considered
exempt from the Rule:
• FAA funding and acceptance of
Master Plans and Updates
• FAA funding of System Planning
Studies
• FAA acceptance of noise exposure
maps and approval of noise
compatibility programs pursuant to 49
U.S.C. 47501 et seq., as implemented by
14 CFR Part 150
• FAA approval of noise and access
restrictions on operations by Stage 3
aircraft under 49 U.S.C. 47524, as
implemented by 14 CFR Part 161
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(6) Routine Operation of Facilities,
Mobile Assets and Equipment [40 CFR
93.153(c)(2)(xiii)]
Normal day-to-day activities that
occur at airports, such as vehicle
movements, building operations, and
aircraft movements that do not increase
the capacity of the airport or change the
operational environment of the airport
may be considered exempt from the
Rule.
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(8) Actions (or Portions Thereof)
Associated With Transfers of Land,
Facilities, Title, and Real Properties
Through an Enforceable Contract or
Lease Agreement Where the Delivery of
the Deed Is Required To Occur Promptly
After a Specific, Reasonable Condition
Is Met, Such as Promptly After the Land
Is Certified as Meeting the Requirements
of Comprehensive Environmental
Response, Compensation and Liability
Act (CERCLA), and Where the Federal
Agency Does Not Retain Continuing
Authority To Control Emissions
Associated With the Lands, Facilities,
Title, or Real Properties [40 CFR
93.153(c)(2)(xix)]
Actions by the FAA to transfer or
acquire land or equipment do not
increase the capacity of the airport or
change the operational environment
affecting air emissions. Such actions
include funding or approving transfers,
acquisitions, or releases by airport
sponsors, 22 or preparing and executing
related contracts or written agreements.
Related actions that may be considered
exempt from the Rule are:
• Facilities and equipment purchases.
• Land acquisition and relocation
assistance.
• Land releases for which there is no
reasonable expectation of a change in
land use.
• Avigation easement acquisition.
• Acquisition of an existing privately
owned airport involving only change of
ownership.
(9) Alterations and Additions of Existing
Structures as Specifically Required By
New or Existing Applicable
Environmental Legislation or
Environmental Regulations (e.g., Hush
Houses for Aircraft Engines* * *) [40
CFR 93.153(d)(4)]
Actions that are initiated in response
to specific environmental laws and
regulations (e.g., energy efficiency, noise
abatement structures and equipment)
may be considered exempt from the
Rule. These actions include:
• Equipment purchases.
• Protective noise barriers.
• Required noise mitigation actions
including the installation and operation
of hush houses for aircraft and engine
maintenance.
22 Airport ‘‘sponsors’’ are planning agencies,
public agencies, or private airport owners/operators
that have the legal and financial ability to carry out
the program requirements for FAA financial
assistance.
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(10) Federal Actions Which Are Part of
a Continuing Response to an Emergency
or Disaster [40 CFR 93.153(d)(2) and (e)]
Actions in response to emergencies,
natural disasters, etc., that involve
overriding concerns for public health
and welfare, national security interests,
or foreign policy commitments may be
exempt from general conformity
requirements for six months and
possibly longer if justified in writing by
the agency.23
III. Presumed to Conform Project
Descriptions and Justifications
The FAA began the process of
developing and documenting presumed
to conform actions with a detailed
environmental survey of airport
projects. The survey was conducted by
all FAA regional offices, which
identified approved airport projects over
a recent two-year period that received a
categorical exclusion (CATEX) or
Finding of No Significant Impact
(FONSI).24 This information was
requested only for airports included in
areas designated as nonattainment or
maintenance by the EPA. Information
compiled from these surveys described
about 600 completed projects at over
100 airports.
The survey information was
processed by assigning each airport
planning and development project into
one of two categories: (1) Projects that
are exempt from the requirements of the
Rule as defined by 40 CFR 93.153(e); or
(2) projects that require an applicability
analysis before being defined as de
minimis (i.e., presumed to conform),
according to 40 CFR 93.153(c)(1).
Specific information on the application
of these two project categories is
presented in Section II and Section III
of this document, respectively.
In the analysis of the survey results,
any airport project that exceeded de
minimis levels even once was
considered ineligible for the presumed
to conform list. Follow-up
communications with airports and FAA
regional representatives helped to
clarify terminology and confirm the
reliability of the presumptions. In
addition, the FAA performed detailed
worst-case analyses where practicable in
areas where project size and
implementation could conceivably
result in the exceedance of de minimis
levels.
23 Airports located in nonattainment or
maintenance areas with small regional emission
budgets may need to check whether a proposed
exempt action might be regionally significant under
40 CFR Part 93, § 93.153(i).
24 FAA Order 1050.1E, Chapter 3 (CATEX) and
Chapter 4, section 406 (FONSI), pursuant to the
National Environmental Policy Act.
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The airport project survey data and
other agency experience in
implementing similar actions taken over
recent years provide the fundamental
basis for all of the presumed to conform
classifications. The FAA conducted
additional quantitative analyses for
specific project areas, as practicable.
These analyses are summarized in
Section III, and include the following:
Pavement markings; terminal upgrades;
commercial vehicle staging areas; nonrunway paving; heating, ventilation, and
air conditioning (HVAC) systems; and
low-emission technology and alternative
fuel vehicles.
Based on the survey of airport
projects, the additional evaluations, and
quantitative analyses, only those project
categories that were proven to be
reliably and consistently de minimis
were classified as presumed to conform.
In general, FAA presumed to conform
actions involve maintenance,
navigation, construction, safety, security
activities, and new technology and
vehicle systems that do not modify or
increase airport capacity or change the
operational environment of the airport
in such a way as to increase air
emissions above de minimis thresholds.
Presented below are the airport
project descriptions and justifications
for FAA actions that are presumed to
conform. There are fifteen project
categories, which are discussed in the
following order:
1. Pavement Markings.
2. Pavement Monitoring Systems.
3. Non-Runway Pavement Work.
4. Aircraft Gate Areas on Airside.
5. Lighting Systems.
6. Terminal and Concourse Upgrades.
7. New HVAC Systems, Upgrades, and
Expansions.
8. Airport Security.
9. Airport Safety.
10. Airport Maintenance Facilities.
11. Airport Signage.
12. Commercial Vehicle Staging
Areas.
13. Low-Emission Technology and
Alternative Fuel Vehicles.
14. Air Traffic Control Activities and
Adopting Approach, Departure and
Enroute Procedures for Air Operations.
15. Routine Installation and Operation
of Aviation Navigation Aids.
1. Pavement Markings
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Airport sponsors apply paint on
paved surfaces, such as runways,
taxiways, apron areas, cargo areas, and
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parking lots to ensure the safe operation
of aircraft during approach and landing
and to provide safe direction for surface
vehicles. Most pavement marking
projects are considered routine
maintenance activities, qualifying as
exempt from the Rule (see Section II,
number 2 of this Notice). These actions
are designed to restore and improve
painted surfaces that have deteriorated
due to time, use, and weather.
Federal actions that alter airport use
through new pavement markings are not
routine maintenance but are presumed
to conform if such actions do not
increase airport capacity or introduce a
larger class of aircraft at the airport. For
example, new runway markings for
improved flight procedures from visual
flight rules (VFR) to instrument flight
rules (IFR) are presumed to conform if
normal traffic flow is maintained.
Pollutant emissions due to the paint
application process are primarily
composed of VOC from the paint, and
NOX emitted from the trucks and
application compressors required to
prepare the surface and apply the paint.
Emissions of both VOC and NOX are
considered precursors to the
development of ozone in the
atmosphere. Therefore, emissions from
the application of painted pavement
markings pertain most importantly to
ozone nonattainment and maintenance
areas.
A worst-case calculation of emissions
was performed based on equipment and
types of paint required to mark a
Category III 13,000-foot runway with an
instrument lighting system (ILS) to FAA
specifications. The calculation of
emissions included the removal of
existing markings using water pressure
through a compressor mounted on a
diesel truck, a pavement sweeper truck
to remove debris, the application of the
paint using an air compressor mounted
on a diesel truck, and a small hand
sprayer for detailed markings, such as
squared corners. A total of 2,492 gallons
of paint (a combination of white,
yellow, and black) were applied to the
representative runway at a rate of 115
square feet per gallon of paint. The
trucks transporting the paint and
compressors were assumed to be similar
to a single axle, Class 7 diesel pickup
truck.25 The sweeper was assumed to be
25 The Gross Vehicle Weight Rating (GVWR)
system defines a Class 7 diesel truck as one that can
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a regenerative diesel air power model,
using a chassis engine and an auxiliary
engine to power the brushes.
Manufacturers’ Material Safety Data
Sheets were referenced for the VOC
emissions factors for the three colors of
latex paint. Emissions factors for the
criteria and precursor pollutants were
obtained from the EPA Nonroad Engine
and Vehicle Emission Study-Report.26
Load factors and horsepower ratings
were obtained from the EPA Nonroad
Engine and Vehicle Emission StudyReport and Median Life, Annual
Activity, and Load Factor Values for
Nonroad Engine Emissions Modeling.27
The maximum volume of paint that
could be applied without equaling or
exceeding the de minimis thresholds for
any nonattainment and maintenance
classification was calculated.28 For
instance, an airport located within an
extreme nonattainment area for ozone is
limited to net project emissions of 10
tons of VOC per year. This translates
into an annual application of 21,890
gallons of paint, which also causes 0.21
tons 29 of NOX emissions. For example,
this volume of paint would mark eight
Category III 13,000-foot ILS runways. A
volume of paint on the order of one
million gallons is required to cause
emissions of NOX to equal 10 tons per
year. Likewise, a volume of paint on the
order of five million to 176 million
gallons is required in order to be
sufficient to exceed the de minimis
thresholds for CO, SO2, or PM10.
Therefore, VOCs are the limiting
pollutant 30 for the application of paint
at airports and emissions of NOX, CO,
SO2, and PM10 are considerably less.
Table III–1 provides the gallon
application limits, which include the
use of construction equipment for
pavement markings in nonattainment
and maintenance areas.
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carry 26,001 to 33,000 pounds of weight on two
axles.
26 EPA Report 460/3–91–02, November 1991,
Nonroad Engine and Vehicle Emission Study—
Report.
27 EPA Report NR–005A, December 9, 1997,
revised June 15, 1998, Median Life, Annual
Activity, and Load Factor Values for Nonroad
Engine Emissions Modeling.
28 Calculations of maximum paint volume
include consideration of construction equipment.
29 Short tons, where one ton equals 2,000 lbs.
30 The limiting pollutant is defined as the criteria
pollutant that first exceeds de minimis levels for a
given project.
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2. Pavement Monitoring Systems
Airports have the option of installing
a pavement monitoring system to
indicate when the durability and
strength of the pavement needs to be
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reinforced. These systems are
implemented for safety reasons to
ensure that an airport’s runway,
taxiway, and apron network are
sufficiently able to support the weight of
aircraft. Minor construction work is
required for the installation of the
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monitoring system. Assuming the
installation requires the use of a pickup
truck, a utility truck, an excavator, an
asphalt paver, a compactor, and a small
generator, construction would have to
proceed continuously (eight hours per
day, 20 days per month) for more than
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a year (1.1 years) in order to produce
emissions near the level of 10 tons of
NOX. For the remaining criteria
pollutants and precursors, construction
on the order of several years would be
required to approach the de minimis
thresholds. Pavement monitoring
systems are installed in less than a
week; therefore, project construction
emissions are well below de minimis
and presumed to conform.
3. Non-Runway Pavement Work
Airfield pavement must be
constructed to withstand the weight of
aircraft and to produce a firm, stable,
smooth, year-round, all-weather surface.
The pavement must be of such quality
and thickness that it will not fail under
the weight of aircraft and it must
possess sufficient inherent stability to
withstand, without damage, the abrasive
action of aircraft traffic and adverse
weather conditions.31 These pavement
specifications apply to non-runway
areas of the airfield where aircraft
operate, including taxiways, apron
areas, and gate areas. The specific
pavement requirements are satisfied by
applying rigid pavement consisting of
layers of crushed stone bound and
pressed into a smooth surface.
Airfield construction projects
considered to be presumed to conform
are limited to areas of the airfield
intended to accommodate aircraft for
purposes of loading or unloading
passengers or cargo, refueling, or aircraft
parking, and are generally referred to as
apron areas. These types of airfield
projects do not include projects
intended to increase airport capacity or
those that are otherwise defined as
routine maintenance for existing apron
areas.
Pollutant emissions due to airfield
construction are solely from the use of
construction equipment and are
primarily comprised of NOX, a
precursor to ozone development, and
CO resulting from the trucks operated to
haul the large amounts of stone and
gravel that must be used to form the
support layers for the paving material.
The evaluation of emissions from
airfield paving was based on a
representative project in the FAA
Eastern Region. The project required
equipment and materials to construct
approximately 600,000 square feet of
airfield and concrete shoulder area with
an assumed surface design life of 20
years.32 The conservative calculation of
emissions included the preparation of
31 FAA AC 150/5320–6D, September 7, 1995,
Airport Pavement Design and Evaluation.
32 As recommended under FAA AC 150/5320–16,
October 22, 1995, Airport Pavement Design for the
Boeing 777 Airplane.
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the site allowing for a four-inch
geotextile layer of subgrade soil, a fourinch frost protection layer of crushed
stone, a four-inch sub base layer of
finely crushed stone, an eight-inch base
layer of gravel mixed with a stabilizer
such as cement,33 and the application of
a six-inch layer of Portland cement
concrete.34 This type of construction
design allows for a total pavement
thickness of 26 inches; the minimum
total pavement thickness for the
accommodation of jet aircraft weighing
100,000 pounds or more is 20 inches.35
Also included in the construction
emissions inventory is the installation
of a drainage system.
Emissions factors for construction
equipment were obtained from the
EPA’s 1991 Nonroad Engine and
Vehicle Emission Study—Report.36
Load factors and horsepower ratings for
the construction equipment were
obtained from the EPA’s 1991 Nonroad
Engine and Vehicle Emission Study—
Report and the EPA’s 1997 Median Life,
Annual Activity, and Load Factor
Values for Nonroad Engine Emissions
Modeling.37
The maximum allowable square
footage of airfield construction was
calculated for each nonattainment and
maintenance category. The analysis
showed that NOX was the limiting
pollutant for airfield paving projects and
that emissions of VOC, CO, SO2, and
PM10 are considerably less in
comparison with NOX.
Table III–1 provides the area limits for
non-runway airfield construction in
nonattainment and maintenance areas.
For instance, an airport located within
an area designed as extreme
nonattainment for ozone, which limits
net project emissions to the rate of 10
tons per year of NOX, is limited to
constructing 219,368 square feet (5.04
acres) of apron area, which also causes
0.93 tons of VOC emissions. As a
reference, four acres is generally
sufficient to provide remote or
‘‘hardstand’’ (non-gate) parking for three
narrow-body aircraft. Construction of an
airfield/apron area on the order of 2.38
33 Stabilized base layers as necessary for new
pavements designed to accommodate jet aircraft
weighting 100,000 pounds or more. FAA AC 150/
5320–6D, September 7, 1995, Airport Pavement
Design and Evaluation.
34 Portland cement is a hydraulic cement made by
heating a mixture of limestone and clay in a kiln
and pulverizing the resulting material.
35 FAA AC 150/5320–6D, September 7, 1995,
Airport Pavement Design and Evaluation.
36 EPA Report 460/3–91–02, November 1991,
Nonroad Engine and Vehicle Emission Study—
Report. Table 2–07 Emission Factors.
37 EPA Report NR–005A, December 9, 1997,
revised June 15, 1998, Median Life, Annual
Activity, and Load Factor Values for Nonroad
Engine Emissions Modeling.
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million square feet (54.7 acres) causes
emissions of VOC up to 10 tons per
project, creating emissions of NOX of
approximately 109 tons. New airfield
construction on the order of 150 to 600
acres would be required to exceed the
de minimis thresholds for CO, SO2 and
PM10. Generally speaking, emissions of
NOX are on the order of three times the
emissions of CO for these types of
projects and are more than 10 times the
emissions of the remaining criteria
pollutants.
4. Aircraft Gate Areas on Airside
Aircraft gate areas refer to the area
outside of the terminals and concourses
where jetways are used to link parked
aircraft to the terminal building. Federal
actions to improve aircraft gate areas
can be part of airport modernization
efforts involving new airline tenants or
the introduction of newer and more
efficient technology. Aircraft gate areas
involve a wide range of activities from
aircraft loading and unloading of
passengers and cargo to the servicing of
aircraft by lavatory, food supply, and
maintenance vehicles.
Upgrades to the aircraft gate area are
often needed to accommodate changing
flight schedules and daily activity. The
addition or modification of jetways to
existing terminal buildings is typically
done to adjust to changes in air travel
demand and airline requirements. Such
projects are intended to improve
passenger terminal service by reducing
passenger queuing and waiting times.
Actions to approve or fund the
upgrading of aircraft gate areas are
presumed to conform provided such
actions do not increase aircraft
operations or introduce a larger class of
aircraft at the airport.
5. Lighting Systems
Airport sponsors may need to install
new lighting systems to maintain proper
illumination of roadways, taxiways,
runways, and parking areas. The data
from the FAA surveys indicated that
airport upgrading and installing of new
lighting systems is done on an asneeded basis.
Minor mechanical work is required
for the installation effort, followed by
electrical work that does not require
large off-road construction equipment.
Assuming the installation requires the
use of a pickup truck, a utility truck, an
excavator, and a small generator, the
construction will have to proceed
continuously (eight hours a day, 20 days
a month) for more than 17 months (1.4
years) in order to produce emissions
near the level of 10 tons of NOX. For the
remaining criteria pollutants and
precursors, construction on the order of
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several years would be required to
approach the de minimis thresholds.
Runway and other lighting systems can
be installed in less than two weeks;
therefore, project construction
emissions are well below de minimis
and presumed to conform.
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6. Terminal and Concourse Upgrades
The opportunity to expand or upgrade
terminals and/or concourses for the
purpose of improving passenger
convenience typically involves
increasing the interior terminal space in
areas such as hold rooms, concessions,
restrooms, and gate areas. Qualifying
projects in this category do not have the
effect of attracting more passengers. Nor
do they have the effect of increasing the
airport’s ability to accommodate
additional numbers or types of aircraft
or to increase passenger loading on
scheduled flights. Major terminal and/or
concourse expansion projects that are
designed to increase passenger usage or
to support increased airfield capacity
through new aircraft gates, runways,
taxiways, etc. require an inventory of
direct and indirect emissions to
determine the applicability of general
conformity.
Construction vehicles and equipment
are the only source of emissions when
expanding or upgrading terminals. A
conservative approach to quantifying
construction emissions was used to
determine the appropriate limits for this
type of activity. The emission limits are
presented in Table III–1 under
‘‘Terminal Upgrades’’ according to the
de minimis thresholds.
A proposed terminal expansion
project located in the FAA’s Southern
Region was used as the representative
project. The terminal was proposed to
have an additional footprint of 381,000
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square feet. This proposed project was
purposely selected to provide a
conservative estimate of construction
emissions normally released from this
type airport improvement activity, even
though this presumed to conform
activity is limited to non-capacity
enhancing projects. Emissions were
quantified in this case from construction
activities, including soil cement
preparation, subgrade preparation, light
and heavy demolition, cement base
treatment, installation of the grade
aggregate base, construction of the
terminal, light and heavy utility work,
and light and heavy earthwork. In
addition, the proposed terminal
expansion was assumed to occur within
the same calendar year instead of the
proposed schedule of seven years.
Construction emissions were
calculated using prescribed EPA
methodology incorporating the
projected construction activity level, the
number of construction vehicles and
equipment, and industry-wide
utilization rates. Emission factors for
construction vehicles and equipment
were taken from EPA databases for
nonroad vehicles and engines,38 and
their updates.39
A proposed terminal/concourse
expansion project is presumed to
conform up to the square foot additions
(footprint) of the project as determined
by the most limiting pollutant (see Table
III–1). The prescribed build-out limits
per calendar year apply to all
components of the terminal/concourse
38 EPA
Report 460/3–91–02, November 1991,
Nonroad Engine and Vehicle Emission Study—
Report.
39 EPA Report NR–005A, December 9, 1997,
revised June 15, 1998, Median Life, Annual
Activity, and Load Factor Values for Nonroad
Engine Emissions Modeling.
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upgrade project according to the air
quality status of the area in which the
project is located.
7. New HVAC Systems, Upgrades, and
Expansions
Upgrading and expanding heating,
ventilation, and air conditioning
(HVAC) systems are presumed to
conform because any emission increases
associated with improvements to airport
heating and cooling systems are
generally minor and well below de
minimis thresholds.
Heating for airport terminal buildings
is typically provided through a boiler
system.40 Boilers may be fueled by
natural gas, coal (bituminous, subbituminous, or anthracite), No. 5 and
No. 6 fuel oil (residual), No. 2 fuel oil
(diesel), culm fuel, and liquefied
petroleum gas (propane or butane).
Pollutant emissions due to the operation
of boilers vary with the fuel used. The
emission factors for the various fuels are
presented in Table III–2 below.
A new, upgraded, or expanded boiler
system involves the installation of new
equipment to replace or expand the
capacity of existing boiler systems.
Boilers can be very large and are
sometimes delivered on flatbed semitractor trailer trucks and set in place by
a crane. Table III–3 presents the
construction emissions, primarily NOX
and CO, associated with the installation
of a large boiler as described.
BILLING CODE 4910–13–P
40 A boiler is an encased vessel that provides a
means for combustion heat to be transferred into
water until it becomes steam. The steam is then
used to heat the building through a network of
pipes. When water is boiled into steam its volume
increases about 1,600 times, which is an efficient
means for transferring heat for a process.
HVACWebTech, Inc.
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BILLING CODE 4910–13–C
Airport terminals consume energy for
heat at a higher rate than most public
buildings. The reasons for this include
the open areas surrounding many
airports, heat loss from the movement of
people and baggage in and out of
buildings, and the usual 24-hour
operation of facilities. The consumption
of energy to generate heat is also
dependent upon the design of the
terminal building. For instance, many
airport terminals are designed with
exterior glass walls or incorporate
design, art, and architectural treatments
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that reflect local customs and
community history.41 The many
variations of airport terminal design,
including geographical location, make it
impractical to identify the ‘‘typical
terminal building’’ for purposes of
determining total emissions. Therefore,
the presumption of conformity could
not be based on the characteristics of the
building, but rather on the volume of
fuel consumed.
41 FAA AC 150/5360–13, April 22, 1988, Planning
and Design Guidelines for Airport Terminal
Facilities.
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As discussed, emissions resulting
from the operation of boilers depend on
the type of fuel powering the boiler
system. Emissions from the use of
propane, butane, and natural gas are of
concern in ozone nonattainment and
maintenance areas since the primary
pollutant from combustion of these fuels
is NOX, a precursor to ozone formation.
Hydrocarbons (HCs) are another
precursor to ozone but they are
relatively low for these fuel types in
comparison to NOX emissions. The
primary pollutant from the combustion
of fuel oil (No. 2 diesel, and No. 5 and
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No. 6 residual) is SO2, while particulate
matter is the primary pollutant from the
combustion of coal, including culm
fuel). Therefore, NOX, SO2, and PM10 are
the most likely limiting pollutants for
the operation of boiler systems at
airports.
Table III–4 below presents maximum
annual fuel throughput for heating
systems and boilers by fuel type at
levels that do not equal or exceed the de
minimis thresholds. The FAA Emissions
and Dispersion Modeling System
(EDMS) was used to perform the
calculations. EDMS emission factors are
conservatively based on EPA’s AP–42
emissions quantification
methodology.42
2005, Emissions and Dispersion
Modeling System EDMS Version 4.2.
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42 FAA,
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The analysis shows, for example, that
an airport located in a severe
nonattainment area for ozone, with a de
minimis NOX threshold of 25 tons per
year, could operate new or improved
boilers using up to 5.05 million cubic
meters of natural gas annually, which is
sufficient to heat a building of
approximately 210,000 square feet.43
NOX emissions in a severe ozone
nonattainment area would be limited to
3,434 kiloliters (kl) of No. 6 fuel oil
(residual), 7,816 kl of No. 2 fuel oil
(diesel), 9,855 kl of propane, 1,374
metric tons of bituminous coal, or 2,519
43 Assuming a 100,000 sq. ft. one-floor building
would require approximately 2.4 million cubic
meters of natural gas to heat the building, annually;
based on the industry standard heat value, 1,000
BTU per cubic foot of natural gas, annually [Airtron
Heating and Air Conditioning, Columbus, Ohio].
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metric tons of anthracite coal on an
annual basis.
The installation, upgrade, or
expansion of an airport HVAC system
that requires a permit under new source
review (NSR) or prevention of
significant deterioration programs is
exempt from a general conformity
determination.44 The inclusion of
airport boiler installations/
modifications as a presumed to conform
activity does not affect existing or future
requirements of Federal, State or local
air quality operating permit programs.
Proper compliance with all applicable
environmental regulations must be
maintained.
BILLING CODE 4910–13–P
44 40
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CFR Part 93, 93.153(d)(1).
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8. Airport Security
Based on collected project
information and additional agency
experience with airport security actions
following the events of September 11,
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2001, the FAA has determined that
dedicated security-related airport
projects qualify as presumed to conform
actions, including modification of
existing terminals with luggage and
passenger scanning devices, addition of
camera surveillance, bolstering of
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airport security fencing, and
reinforcement of airport access control.
In most cases, the installation of
security equipment and upgraded
operations in existing facilities will not
result in the generation of air emissions.
If the construction and installation of
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some dedicated security projects do
cause emissions, these emissions will be
minor and well below the de minimis
thresholds.
Security requirements also may
dictate that parking spaces close to
terminal buildings be eliminated.45 As a
result, FAA actions associated with the
expansion of parking facilities to
compensate for lost close-in parking are
presumed to conform provided these
actions are limited to a one-for-one
replacement of parking capacity.
Generally, the relocation of parking
spaces away from the terminal building
will reduce vehicle miles traveled
(VMT) on airport property, resulting in
an emissions decrease.
It is important to note that this
category of presumed to conform actions
is separate from exempt Federal actions
under the Rule that are part of a
continuing response to an emergency or
disaster.46 Agency use of the emergency
exemption is limited in time and must
involve overriding concerns for public
health and welfare, national security
interests, and foreign policy
commitments.47
9. Airport Safety
Airport projects relating to airport
safety include actions specific to the
Runway Safety Area (RSA). FAA
regulations specify the requirements for
a RSA, which is defined as the surface
area that surrounds and extends beyond
the runway ends that is required for
reducing the risk of damage to airplanes
in the event of an undershoot,
overshoot, or excursion from the
runway.48 RSA improvements are
presumed to conform unless a new road
or the relocation of a road is required.
In addition to a safe airfield, airport
projects to build, expand, replace,
upgrade, or equip a required Aircraft
Rescue and Firefighting Facility (ARFF)
are presumed to conform. These
facilities are relatively small airport
projects and must be provided by the
airport to ensure airport and passenger
safety. Airports must meet ARFF
requirements as specified under 14 CFR
139.317, and are responsible for
upgrading an ARFF if there is an
increase in the average daily departures
or the length of an air carrier aircraft.49
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10. Airport Maintenance Facilities
Airport maintenance facilities house
the equipment necessary to run, service,
45 FAA Aviation Security Directive issued
February 2002.
46 40 CFR Part 93, 93.153(e).
47 Ibid.
48 FAA AC 150/5300–13, September 29, 1989,
Airport Design.
49 Per index under 14 CFR Part 139, 139.319(a).
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and maintain the airport environs.
These facilities can include vehicle
service centers, fueling stations, and
storage areas for snow removal and
maintenance equipment. FAA actions
associated with upgrading airportowned maintenance facilities are
presumed to conform based on the fact
that these facilities typically require
only minor construction. However, the
installation or upgrading of aircraft
maintenance facilities (typically owned
by an airline or charter company) that
are used to paint or maintain aircraft at
an airport are not considered presumed
to conform because aircraft maintenance
facilities may cause an increase in
flights to meet maintenance schedules.
11. Airport Signage
Airport sponsors place signs
throughout the airport property to direct
passengers, employees, and vendors to
terminals, parking lots, rental car areas,
maintenance areas, etc. In addition,
airports provide a network of signs to
direct aircraft and vehicles on the
airfield. Airport signage is often
electrified for illumination at night and
for other times of limited visibility. In
general, airport signage installation can
be completed in a matter of days or
weeks. It would require more than a
year of continuous installation to exceed
the 25-ton threshold for NOX. Therefore,
airport signage installation projects are
presumed to conformed.
12. Commercial Vehicle Staging Areas
Commercial vehicle staging areas at
airports serve as temporary holding
areas for taxicabs, limousines, and other
commercial vehicles. Such areas reduce
the need to idle at the terminal curb
front and help to decongest the terminal
roadways. Airports that employ
commercial vehicle staging areas may
enforce specific idling restrictions or
engine-off mandates to further reduce
air quality impacts. Generally, the use of
commercial vehicle staging areas is an
emissions reduction strategy because
the alternative inherently creates more
emissions from increased traffic and
congestion at the terminal.
A Federal action to develop a
commercial vehicle staging area for
purposes of relieving airport traffic
congestion is presumed to conform
based on the criteria provided in Table
III–1 for a ‘‘Commercial Vehicle Staging
Area.’’ Providing a commercial vehicle
staging area does not cause an increase
in the volume of vehicles on regional
roadways and impacts air quality only
through the use of construction
equipment to pave the staging area.
Construction emissions are primarily
comprised of NOX and CO.
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6653
The quantity of emissions associated
with the construction of an asphalt
taxicab staging area was based on a
construction design for a regional
asphalt roadway. The calculation of
emissions included activities such as
excavation, preparation of the subgrade,
adding a base layer of stone, fine
grading, and paving. The paving process
included the application of a tack coat,
wearing course, and the final seal coat.
The type and use of construction
equipment was determined based on
information obtained from the R.S.
Means’ Means Building Construction
Cost Data, and the State of Ohio
Department of Transportation’s Manual
of Procedures for Flexible Pavement
Construction and Pavement Design and
Rehabilitation Manual. Rated
horsepower and load factors for each
construction unit was obtained from the
EPA’s Nonroad Engine and Vehicle
Emission Study-Report and Median
Life, Annual Activity, and Load Factor
Values for Nonroad Engine Emissions
Modeling, and the Caterpillar
Performance Handbook. Emission
factors were obtained from the EPA’s
Nonroad Engine and Vehicle Emission
Study-Report.
The acreage that could be paved
without equaling or exceeding the de
minimis thresholds for each applicable
nonattainment or maintenance category
was calculated and summarized in
Table III–1. For instance, an airport
located within an area designated as
severe nonattainment for ozone, which
limits net project emissions to an annual
rate of 25 tons of NOX, is limited to a
commercial vehicle staging area of about
13 acres, or 561,584 square feet, which
results in 2.35 tons of VOC emissions.
Paving of approximately 137 acres is
required to cause emissions of VOC of
nearly 25 tons, as established for a
severe nonattainment area for ozone. In
order to approach the 100 ton de
minimis thresholds for other criteria
pollutants, paving areas of
approximately 140 acres would be
required for CO, 556 acres for SO2, and
more than 595 acres for PM10. Therefore,
NOX is the limiting pollutant for paving
projects at airports and emissions of
VOC, CO, SO2, and PM10 are
considerably less in comparison to NOX.
13. Low-Emission Technology and
Alternative Fuel Vehicles
A growing number of airports are
interested in new technology and
vehicle systems to reduce stationary and
mobile emissions. Based on agency and
airport low-emission programs over the
past several years, which provide
extensive data and documentation to
verify the emission reduction benefits of
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new low-emission technology, these
activities are presumed to conform.
Activities that are presumed to
conform include the replacement,
substitution, or conversion of
conventional fuel vehicles (gasoline,
diesel) to vehicles using alternative or
clean conventional fuel technology.
Qualified activities also encompass
airport low-emission infrastructure
improvements and the use of refueling
or recharging stations needed to service
airport low-emission vehicles.
All low-emission activities funded
through the FAA Voluntary Airport Low
Emission Program (VALE) or that are
required as part of environmental
mitigation are presumed to conform.50
The VALE program requires that
vehicles purchased under the program
meet specific low-emission standards
and that these vehicles and other
program equipment remain at the
airport for their useful life.
sroberts on PROD1PC70 with NOTICES
14. Air Traffic Control Activities and
Adopting Approach, Departure and
Enroute Procedures for Air Operations
The preamble to the General
Conformity Rule 51 states that:
‘‘In order to illustrate and clarify that
the de minimis levels exempt certain
types of Federal actions, several de
minimis exemptions are listed in
§ 51.853(c)(2). There are too many
Federal actions that are de minimis to
completely list in either the rule or this
preamble.’’
As an illustration of exempt actions,
EPA states in the preamble that ‘‘Air
traffic control activities and adopting
approach, departure and enroute
procedures for air operations’’ are
among other actions that are de minimis
(preamble, p. 63229, I(2)) and should be
exempt from the Rule. The FAA concurs
with the EPA determination that air
traffic control activities are de minimis.
However, because these activities are
cited in the preamble but not in the Rule
itself, the FAA believes that it is
prudent to document these activities as
presumed to conform.
Air traffic control activities are
defined as actions that promote the safe,
orderly, and expeditious flow of aircraft
traffic, including airport, approach,
departure, and enroute air traffic
control.52 Airspace and air traffic
actions (e.g., changes in routes, flight
patterns, and arrival and departure
procedures) are implemented to
enhance safety and increase the efficient
use of airspace by reducing congestion,
50 FAA Order 5100.38C, Airport Improvement
Program Handbook, June 2005, §§ 580, 585.
51 58 FR 63229 (Nov. 30, 1993).
52 14 CFR Part 170, § 170.3.
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balancing controller workload, and
improving coordination between
controllers handling existing air traffic,
among other things. Although increased
efficiency and delay reduction would
allow traffic volume to increase, in
FAA’s experience such actions do not
lead to increased annual aircraft
operations or changes to the operational
level of airports in the vicinity of the air
traffic changes. In today’s deregulated
environment, market forces determine
where airlines fly and how often.
Emissions released into the
atmosphere above the inversion base for
pollutant containment, commonly
referred to as the ‘‘mixing height,’’
(generally 3,000 ft. above ground level)
do not have an effect on pollution
concentrations at ground level.53 54
Therefore, air traffic control actions
above the mixing height are presumed
to conform.
In addition, the results of FAA
research on mixing heights indicated
that changes in air traffic procedures
above 1,500 ft. AGL and below the
mixing height would have little if any
effect on emissions and ground
concentrations.55 Such actions in the
vicinity of the airport are tightly
constrained by runway alignment,
safety, aircraft performance, weather
conditions, terrain, and vertical
obstructions.56 Accordingly, air traffic
actions below the mixing height are also
presumed to conform when
modifications to routes and procedures
are designed to increase safety, enhance
fuel efficiency, or reduce community
noise impacts by means of engine thrust
reductions. Other air traffic procedures
and system enhancements that are
presumed to conform include actions
that have no effect on air emissions or
result in air quality improvements, such
as gate hold procedures which reduce
queuing, idling, and flight delays.
15. Routine Installation and Operation
of Airport Navigation Aids
Aviation navigation aids represent the
facilities and equipment used for
communications, navigation, and
surveillance (CNS) systems.57 The use
and maintenance of CNS systems is
53 EPA Report, Procedures for Emission Inventory
Preparation, Volume IV: Mobile Sources [420–R–
92–009], section 5.2.2., 1992.
54 Realistic Mixing Depths for Above Ground
Aircraft Emissions, Journal of the Air Pollution
Control Association, Vol. 25, No. 10, Howard M.
Segal, Boeing, 1975.
55 Report on ‘‘Consideration of Air Quality
Impacts by Airplane Operations At or Above 3,000
feet AGL,’’ FAA–AEE–00–01, September 2000, p. 5.
56 FAA Advisory Circulars No. 25–13 and No. 91–
53A describe requirements that must be met when
using reduced power for takeoff.
57 14 CFR 171.1–171.51.
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essential to safe air commerce and
national security.58 Airports are
required to establish adequate
maintenance systems for navigational
aid facilities to the level of performance
achieved at original commission.59
Similar to the previous presumed to
conform action for air traffic control
activities, EPA states in the preamble
that ‘‘routine installation and operation
of aviation (and maritime) navigation
aids’’ are below de minimis and should
be considered exempt actions.60 The
FAA concurs with EPA in this
determination. However, because the
stated activities are cited in the
preamble but not in the Rule itself, the
FAA believes that it is prudent to
document these activities as presumed
to conform.
The routine installation, in-kind
replacement, and maintenance of
navigational aids (e.g., Air Traffic
Control Towers (ATCT), Instrument
Landing Systems (ILS), Approach Light
Systems (ALS)) are presumed to
conform because these activities will
not generate emissions that exceed de
minimis levels. Moreover, emissions
generated by construction equipment
and maintenance vehicles used to
transport workers and equipment to
CNS system sites are negligible
considering the temporary nature of
construction and maintenance activities
and the limited number of vehicles
involved.
If the installation of new or upgraded
navigational aids for improved safety
and efficiency also increases the
capacity of the airport or changes the
operational environment of the airport,
these CNS activities are not presumed to
conform.61
Also presumed to conform are CNS
emergency or standby generators
powered by natural gas or LPG. These
generators provide electric power in
case of primary power failure and are
operated intermittently, with an
estimated total time of operation of less
than 100 hours per year. Because of the
infrequent use and small size (135
kilowatts or less) of the engine
generators and the use of clean-burning
fuels, the engine generators produce
negligible air emissions.
IV. How To Apply Presumed To
Conform Actions
The qualifying project categories
discussed in the preceding section may
be referred to as the FAA ‘‘presumed to
58 14
CFR 169.1(a)
CFR Part 171.
60 58 FR 63229, I(6) (Nov. 30, 1993).
61 Consistent with FAA Order 1050.1E, Section
401 ‘‘Actions Normally Requiring an Environmental
Assessment’’
59 14
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sroberts on PROD1PC70 with NOTICES
conform list.’’ As authorized under the
CAA, the list provides an additional
way for the FAA to improve its
environmental program management
while still ensuring that agency air
quality goals and requirements are met.
Use of the list will reduce review times,
eliminate unnecessary paperwork,
clarify analytical requirements for all
project actions, and insure that the
proper level of documentation is
applied in each case. Moreover, in some
instances, the presumed to conform list
can provide another method that the
FAA and airport sponsors can use to
demonstrate conformity with an
applicable SIP.
When applying the presumed to
conform list, the FAA must determine
whether a proposed presumed to
conform action has independent utility
under the National Environmental
Policy Act (NEPA) 62 or whether such
action is part of a combined or larger
action that might result in cumulative
air quality impacts.63
The proposed project has
independent utility. If a presumed to
conform project has independent utility,
no general conformity evaluation or
applicability analysis is required and
agency officials may simply document
that the project action is considered
presumed to conform on the basis of
this Notice and the applicable project
category.
This allowance meets a major intent
of presumed to conform—namely to
reduce the analysis burden for actions
that have little or no direct or indirect
emissions. In its separate analysis of
each project category in the presumed to
conform list, the FAA has shown that
the resulting emissions from any
presumed to conform action would
always be below the applicable de
minimis thresholds.64
The proposed project is a combined
action. If a presumed to conform action
is part of a combined action (e.g., an EIS
or large EA generally), agency officials
may exclude the emissions of one
presumed to conform action from the
calculation of total direct and indirect
emissions in the applicability analysis
and, if required, a general conformity
determination. In combined actions,
however, emissions from the presumed
to conform action must be analyzed,
quantified, and clearly documented in
the applicability analysis or general
conformity determination if required.
62 40
CFR 1506.1(c)(1), Council on Environmental
Quality, Regulations for Implementing the
Procedural Provisions of NEPA.
63 40 CFR 1508.25(1)
64 The FAA did no evaluate combined emissions
from two or more presumed to conform categories.
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Further discussion of this allowance is
provided below.
Combined actions are considered
connected actions under NEPA, which
the Council on Environmental Quality
(CEQ) defines as actions that are closely
related and that:
—Automatically trigger other actions
which may require environmental
impact statements
—Cannot or will not proceed unless
other actions are taken previously or
simultaneously
—Are interdependent parts of a larger
action and depend on the larger
action for their justification 65
Effective implementation of the
presumed to conform list requires a
balance between NEPA considerations
on connected actions and the permitted
exclusion of presumed to conform
emissions under the Rule. As stated in
§ 93.152 under Definitions: ‘‘The
portion of emissions which are exempt
or presumed to conform under Section
93.153(c), (d), (e), or (f) are not included
in the ‘‘total of direct and indirect
emissions.’’ Similarly, the preamble (58
FR 63233) states: ‘‘The final rule
requires the inclusion of the total direct
and indirect emissions in the
applicability and conformity
determinations, except the portion of
emissions which are exempt or
presumed to conform * * *’’
The approach adopted herein for the
presumed to conform list is consistent
with the Rule and places a conservative
limit on the permitted exclusion of
presumed to conform emissions.
Moreover, based on interagency
communications with the EPA, the
agency’s approach conforms to the
EPA’s belief that a Federal agency may
exclude the emissions of one presumed
to conform action from the applicability
analysis of total direct and indirect
emissions that are not otherwise exempt
and from a conformity determination if
required. As a result, even if a combined
action includes multiple presumed to
conform actions, the FAA and airport
sponsors may only exclude the
emissions from one presumed to
`
conform action vis-a-vis the project’s
total direct and indirect emissions.
Agency officials maintain the right to
select the specific presumed to conform
action to exclude if more than one is
present in the combined action.
By being able to exclude emissions
from a presumed to conform action, the
agency may show that the project’s total
direct and indirect emissions that are
not otherwise exempt do not equal or
exceed any of the de minimis thresholds
65 40
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Frm 00139
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6655
in the Rule. The presumed to conform
action could therefore make a difference
as to whether or not a general
conformity determination is required.
Specifically, the applicability analysis
of total direct and indirect emissions,
plus emissions calculated separately for
the presumed to conform action, could
show that the combined action would
equal or exceed the de minimis
thresholds if not for the allowable
subtraction of emissions from the
presumed to conform action.
In a combined action, the presumed to
conform action must be evaluated
similarly and at the same level as other
elements in the overall project. This
assessment typically involves the
quantification of direct and indirect
emissions on a calendar year basis. The
estimated annual emissions from the
presumed to conform action must be
identified as a separate line item in the
applicability analysis and clearly
explained and presented in the study
documentation.
Regional Significance
Under 40 CFR 93.153(j) of the Rule, a
Federal action that is presumed to
conform action may still be subject to a
general conformity determination if the
action is shown to be regionally
significant.66 The purpose of the
regionally significant requirement is to
capture those Federal actions that fall
below de minimis threshold levels but
still have the potential to impact the air
quality of a region.
By definition, if the total of direct and
indirect emissions of any pollutant from
a Federal action represent 10 percent or
more of a maintenance or nonattainment
area’s total emissions of that pollutant,
the action is considered to be a
regionally significant activity and the
General Conformity Rule applies. If an
action in a nonattainment area is below
the thresholds or is otherwise presumed
to conform and is not regionally
significant, then the General Conformity
Rules does not apply and no official
reporting is required under Section
176(c) of the CAA.
The FAA Air Quality Handbook states
that an airport project that is presumed
to conform is unlikely to have emission
levels that are regionally significant.67
This is because, based on the highest de
minimis threshold level (100 tons per
year), in order for an action’s net
66 A regionally significant Federal Acton is an
action that has total emissions (the sum of direct
and indirect emissions) that represent 10 percent or
more of a nonattainment or maintenance area’s total
emissions of that pollutant [40 CFR Part 93,
§ 93.153(i) and (j)].
67 FAA and USAF, April 1997, Air Quality
Procedures for Civilian Airports & Air Force Bases.
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emissions to represent 10 percent or
more of a maintenance or nonattainment
area’s total emissions of a particular
pollutant, the area’s total emissions
inventory for any pollutant must be less
than 1,000 tons, which is unlikely.
Based on this rationale, the presumed to
conform activities in this Notice are not
considered to be regionally significant.
Issued in Washington, DC on February 5,
2007.
Charles R. Everett, Jr.,
Manager, Planning and Environmental
Division, Office of the Associate
Administrator for Airports.
[FR Doc. E7–2241 Filed 2–9–07; 8:45 am]
BILLING CODE 4910–13–P
DEPARTMENT OF TRANSPORTATION
Federal Highway Administration
[Docket No. FHWA–2007–27203]
Agency Information Collection
Activities: Request for Comments for a
New Information Collection
Federal Highway
Administration (FHWA), DOT.
ACTION: Notice and request for
comments.
sroberts on PROD1PC70 with NOTICES
AGENCY:
SUMMARY: The FHWA invites public
comments about our intention to request
the Office of Management and Budget’s
(OMB) approval for a new information
collection, which is summarized below
under Supplementary Information. We
are required to publish this notice in the
Federal Register by the Paperwork
Reduction Act of 1995.
DATES: Please submit comments by
April 13, 2007.
ADDRESSES: You may submit comments
identified by DOT DMS Docket Number
FHWA–2007–27203 by any of the
following methods:
• Web site: https://dms.dot.gov.
Follow the instructions for submitting
comments on the DOT electronic docket
site.
• Fax: 1–202–493–2251.
• Mail: Docket Management Facility;
U.S. Department of Transportation, 400
Seventh Street, SW., Nassif Building,
Room PL–401, Washington, DC, 20590–
0001.
• Hand Delivery: 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.
Docket: For access to the docket to
read background documents or
comments received, go to https://
dms.dot.gov at any time or to Room 401
on the plaza level of the Nassif Building,
VerDate Aug<31>2005
19:52 Feb 09, 2007
Jkt 211001
400 Seventh Street, SW., Washington,
DC, between 9 a.m. and 5p.m., Monday
through Friday, except Federal holidays.
FOR FURTHER INFORMATION CONTACT:
Mike Neathery, 202–366–1257 or Martin
Weiss, 202–366–5010, Office of
Interstate and Border Planning, Federal
Highway Administration, Department of
Transportation, 400 Seventh Street,
SW., Washington, DC, 20590. Office
hours are from 8 a.m. to 5 p.m., Monday
through Friday, except Federal holidays.
SUPPLEMENTARY INFORMATION:
Title: Rural Transportation Research.
Background: Section 5513(f) of The
Safe, Accountable, Flexible, Efficient
Transportation Equity Act: A Legacy for
Users of 2005 (SAFETEA–LU) provides
a grant to the New England
Transportation Institute (hence ‘‘the
Institute’’) in White River Junction,
Vermont, to conduct rural
transportation research. The Institute
will undertake research and analysis in
support of two research issues: (1) Rural
Transportation Issues Definition and
Refinement; and (2) Rural
Transportation Safety and Health. The
research includes a 2-part survey to
develop information that will help
support a ‘‘portrait’’ of present rural
transportation patterns. Applying the
concepts of both ‘‘mobility’’ and
‘‘accessibility’’ to the rural Northeast,
the Institute’s surveys will explore the
issues of ‘‘rural isolation’’ and driver
travel behavior. The survey will address
these questions:
• How serious a problem is rural
isolation and perceptions of access (or
lack thereof)?
• How are the economic forces acting
on the rural areas affecting the manner,
and length of trips in the rural
Northeast?
• How are demographics going to
change and/or influence the demands
made on the transportation system? and
• What would be the transportation
implications of different settlement
patterns?
Respondents: Approximately 800
respondents for survey 1 and 600
respondents for survey 2.
Frequency: one time.
Estimated Average Burden per
Response: 30 minutes per survey.
Estimated Total Annual Burden
Hours: Approximately 700 hours.
Public Comments Invited: You are
asked to comment on any aspect of this
information collection, including: (1)
Whether the proposed collection is
necessary for the FHWA’s performance;
(2) the accuracy of the estimated
burdens; (3) ways for the FHWA to
enhance the quality, usefulness, and
clarity of the collected information; and
PO 00000
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(4) ways that the burden could be
minimized, including the use of
electronic technology, without reducing
the quality of the collected information.
The agency will summarize and/or
include your comments in the request
for OMB’s clearance of this information
collection.
Authority: The Paperwork Reduction Act
of 1995; 44 U.S.C. Chapter 35, as amended;
and 49 CFR 1.48.
Issued On: February 6, 2007.
James R. Kabel,
Chief, Management Programs and Analysis
Division.
[FR Doc. E7–2224 Filed 2–9–07; 8:45 am]
BILLING CODE 4910–22–P
DEPARTMENT OF TRANSPORTATION
Federal Railroad Administration
Proposed Agency Information
Collection Activities; Comment
Request
Federal Railroad
Administration, DOT.
ACTION: Notice.
AGENCY:
SUMMARY: In accordance with the
Paperwork Reduction Act of 1995 and
its implementing regulations, the
Federal Railroad Administration (FRA)
hereby announces that it is seeking
renewal of the following currently
approved information collection
activities. Before submitting these
information collection requirements for
clearance by the Office of Management
and Budget (OMB), FRA is soliciting
public comment on specific aspects of
the activities identified below.
DATES: Comments must be received no
later than April 13, 2007.
ADDRESSES: Submit written comments
on any or all of the following proposed
activities by mail to either: Mr. Robert
Brogan, Office of Safety, Planning and
Evaluation Division, RRS–21, Federal
Railroad Administration, 1120 Vermont
Ave., NW., Mail Stop 17, Washington,
DC 20590, or Ms. Gina Christodoulou,
Office of Support Systems Staff, RAD–
43, Federal Railroad Administration,
1120 Vermont Ave., NW., Mail Stop 35,
Washington, DC 20590. Commenters
requesting FRA to acknowledge receipt
of their respective comments must
include a self-addressed stamped
postcard stating, ‘‘Comments on OMB
control number ___.’’ Alternatively,
comments may be transmitted via
facsimile to (202) 493–6230 or (202)
493–6170, or via e-mail to Mr. Brogan at
robert.brogan@dot.gov, or to Ms.
Christodoulou at
gina.christodoulou@dot.gov. Please refer
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Agencies
[Federal Register Volume 72, Number 28 (Monday, February 12, 2007)]
[Notices]
[Pages 6641-6656]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E7-2241]
-----------------------------------------------------------------------
DEPARTMENT OF TRANSPORTATION
FEDERAL AVIATION ADMINISTRATION
Federal Presumed to Conform Actions Under General Conformity
AGENCY: Federal Aviation Administration (FAA), DOT.
ACTION: Draft notice; request for comment.
-----------------------------------------------------------------------
SUMMARY: The Clean Air Act (CAA) section 176(c), 42 U.S.C. 7506(c) and
Amendments of 1990 \1\ require that all Federal actions conform to an
applicable State Implementation Plan (SIP). The U.S. Environmental
Protection Agency (EPA) has established criteria and procedures for
Federal agencies to use in demonstrating conformity with an applicable
SIP that can be found at 40 CFR 93.150 et.seq. (``The Rule'').
---------------------------------------------------------------------------
\1\ Clean Air Act Title I Air Pollution Prevention and Control,
Part D, Subpart 1, Section 176 Limitation on Certain Federal
Assistance.
---------------------------------------------------------------------------
The Rule allows Federal agencies to develop a list of actions that
are presumed to conform to a SIP \2\ for the criteria pollutants and
their precursors that are identified in 40 CFR 93.153(b)(1) and (b)(2)
and in the National Ambient Air Quality Standards (NAAQS) under 40 CFR
50.4-50.12.\3\
[[Page 6642]]
The criteria pollutants of concern for local airport air quality are
ozone (O3) and its two major precursors (volatile organic
compounds (VOC) and nitrogen oxides (NOX)), carbon monoxide
(CO), nitrogen dioxide (NO2), sulfur dioxide
(SO2),\4\ and particulate matter consisting of small
particulates with a diameter less than or equal to 2.5 micrometers
(PM2.5) and larger particulates with a diameter of up to 10
micrometers (PM10).\5\
---------------------------------------------------------------------------
\2\ 40 CFR Part 93, Sec. 93.153(f).
\3\ NAAQS established by the EPA represent maximum concentration
standards for criteria pollutants to protect human health (primary
standards) and to protect property and aesthetics (secondary
standards).
\4\ FAA calculated SOX is considered equal to
SO2.
\5\ Smaller PM2.5 particulate matter is a subset of
PM10. Levels for PM2.5 are included in the
NAAQS but not yet established for purposes of general conformity (no
de minimis threshold or SIPs). Therefore, references in this Notice
to PM10 also apply to PM2.5 for purposes of
presumed to conform actions.
---------------------------------------------------------------------------
According to the Rule,\6\ Federal agencies must meet the criteria
for establishing activities that are presumed to conform by either:
---------------------------------------------------------------------------
\6\ 40 CFR Part 93, Sec. 93.153(g).
---------------------------------------------------------------------------
(1) Clearly demonstrating that the total of direct and indirect
emissions from the type of activities that would be presumed to conform
would not:
(i) Cause or contribute to any new violation of any standard in any
area;
(ii) Interfere with provisions in the applicable SIP for
maintenance of any standard;
(iii) Increase the frequency or severity of any existing violation
of any standard in any area; or
(iv) Delay timely attainment of any standard or any required
interim emission reductions or other milestones in any area including
emission levels specified in the applicable SIP; \7\ or
---------------------------------------------------------------------------
\7\ 40 CFR Part 93, Sec. 93.153(g)(1).
---------------------------------------------------------------------------
(2) Providing documentation that emissions from the types of
actions that would be presumed to conform are below the applicable de
minimis levels established in 40 CFR 93.153(b)(1) and (b)(2).\8\ This
documentation may be based on similar actions that the agency has taken
over recent years.\9\ Besides documenting the basis for presumed to
conform activities, Federal agencies must fulfill procedural
requirements under the Rule relating to publication in the Federal
Register, notification to Federal/State/local agencies, opportunity for
public comment, and availability of responses to public comments.\10\
---------------------------------------------------------------------------
\8\ Title 40 CFR Part 93, 93.153(g)(2).
\9\ Ibid.
\10\ Title 40 CFR Part 93, 93.153(h).
---------------------------------------------------------------------------
In this Notice, the Federal Aviation Administration (FAA) is
proposing categories of actions involving agency approval and financial
assistance for airport projects that would be presumed to conform. The
benefits of this process include the elimination of unnecessary agency
costs associated with evaluating actions with few if any emissions. As
a result, the agency will be able to streamline the environmental
process by applying more of its resources to actions that have the
potential to reach regulated emission levels or adversely impact air
quality.
Addressing the need for efficiency and streamlining, the EPA states
that the provisions allowing Federal agencies to establish categories
of actions that are presumed to conform are ``intended to assure that
these Rules are not overly burdensome and Federal agencies would not
spend undue time assessing actions that have little or no impact on air
quality.'' \11\ Furthermore, the EPA states that ``Federal actions
which are de minimis should not be required by this Rule to make an
applicability analysis. A different interpretation could result in an
extremely wasteful process which generates vast numbers of useless
conformity statements.'' \12\ Consequently, the Rule allows individual
Federal agencies to present categories of actions that have been
documented to be de minimis and, therefore should be ``presumed to
conform'' to the Rule under 40 CFR 93.153(f).
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\11\ 58 FR 63228 (Nov. 30, 1993).
\12\ 12 58 FR 63229 (Nov. 30, 1993).
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This Notice contains a summary of documentation and analysis which
demonstrates that actions described below will not exceed the
applicable de minimis emission levels for nonattainment and maintenance
areas, as specified under 40 CFR 93.153(b). In relation to the agency's
demonstration of presumed to conform actions, the EPA has defined broad
categories of actions in 40 CFR 93.153(c)(2) that are exempt from the
Rule because the actions result in no emissions increase or an increase
in emissions that is clearly de minimis. In this Notice, the FAA
distinguishes various airport-related actions that are exempt under the
Rule from those that the FAA proposes to be presumed to conform.
DATES: Written comments must be received on or before 45 days after the
date of publication in the Federal Register.
ADDRESSES: Address your comments to the individual identified under FOR
FURTHER INFORMATION CONTACT.
FOR FURTHER INFORMATION CONTACT: Dr. Jake A. Plante, Planning and
Environmental Division, Federal Aviation Administration, 800
Independence Avenue, APP-400, SW., Room 616, Office of Airports,
Washington, DC 20591, jake.plante@faa.gov, phone (202) 493-4875, fax
(202) 267-8821.
SUPPLEMENTARY INFORMATION:
Comments Invited
The FAA invites comments on the following descriptions and
justifications of agency actions that would be presumed to conform. We
will accept comments, data, views, or arguments by letter, fax, or e-
mail. Send your comments to the person identified under FOR FURTHER
INFORMATION CONTACT. Mark your comments, ``Federal Presumed to Conform
Actions under General Conformity.''
Use the following format when preparing comments:
--Organize your comments issue-by-issue.
--For each issue, state what specific change you are requesting to the
proposed policy.
--Include justification, reasons, or data for each change you are
requesting.
The FAA will consider all communications received on or before the
closing date for comments. We will respond by e-mail or other
appropriate means to all comments received. Our responses to public
comments will be documented and made available to the public upon
request through the person identified under FOR FURTHER INFORMATION
CONTACT.
Table of Contents: The major sections of this document are as
follows:
I. Background
II. Existing Exemptions
III. Presumed to Conform Project Descriptions and Justifications
IV. How to Apply Presumed to Conform Actions
I. Background
Under the Rule (40 CFR 93.153(g)(h)), the FAA and other agencies
are entitled to develop a list of proposed actions that are presumed to
conform. The process of establishing presumed to conform
classifications is predicated on the concept of conformity. Conformity
assures that an activity that is presumed to conform does not cause or
contribute to any new violation of the NAAQS or interfere with
provisions contained in applicable SIPS.
The administration and enforcement of conformity regulations are
delegated by the EPA to the individual States through provisions in
each SIP. A SIP is the written plan submitted to the EPA detailing each
State's strategy to control air emissions to meet and maintain the
NAAQS in geographic areas that are designated as nonattainment areas.
The
[[Page 6643]]
EPA requires each State to devise such a plan for each criteria
pollutant causing violations or the EPA will impose a Federal
implementation plan (``FIP'') for the State. When a nonattainment area
achieves compliance with the NAAQS, it becomes a maintenance area for
at least 10 years with ongoing State responsibility to ensure continued
attainment.\13\
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\13\ CAA, Sec. 175A, 42 U.S.C. Sec. 7505a.
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General conformity. General conformity refers to the process of
demonstrating that a general Federal action conforms to the applicable
SIP. A general Federal action is defined more by what it is not, rather
than by what it is. A general Federal action is any Federal action that
is not a Federal ``transportation'' action and consequently not subject
to the conformity requirements established for Federal highway or
transit actions, referred to as ``transportation conformity.'' A
Federal transportation action is an action related to transportation
plans, programs, and projects that are developed, funded, or approved
under Title 23 United States Code (U.S.C.) or the Federal Transit Act
(FTA).\14\ Since FAA actions do not meet the definition of a
transportation action, they are general actions by default and thus
subject to the General Conformity Rule.
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\14\ 49 U.S.C. 1601 et seq.
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The FAA and other Federal agencies subject to general conformity
must make a determination that the Federal action conforms to the SIP's
purpose to meet and maintain the NAAQS before the action is taken. If
the proposed actions are not specifically exempt or classified as
presumed to conform, it is necessary to conduct an applicability
analysis to determine if emissions are likely to equal or exceed the
established screening criteria emission rates known as the de minimis
thresholds. A general conformity determination is required for each
pollutant identified as nonattainment or maintenance when the total of
direct and indirect emissions caused by a Federal action equals or
exceeds any of the applicable de minimis thresholds.\15\
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\15\ 40 CFR Part 93, Sec. 93.153(b).
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FAA airport development actions subject to general conformity. The
FAA is responsible for deciding whether its actions involving an
airport located in a nonattainment or maintenance area require a
general conformity evaluation.\16\ FAA actions that require a
conformity evaluation include unconditional approval of any or all
parts of an airport layout plan (ALP), final Airport Improvement
Program (AIP) grant approvals, and approvals for use of Passenger
Facility Charges (PFCs). Other FAA actions that may require a
conformity evaluation include proposed actions for which an
environmental assessment (EA) or environmental impact statement (EIS)
is prepared under the requirements of the National Environmental Policy
Act.
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\16\ ``Conformity evaluation'' refers to the overall process of
assessing whether an action/project is subject to general conformity
requirements, which may include an applicability analysis needed to
make a conformity determination. See Question 1, EPA and
FAA General Conformity Guidance for Airports: Questions and Answers,
September 25, 2002.
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Notification requirements for establishing a list of presumed to
conform actions. Under procedures prescribed in the Rule, the FAA must
notify the appropriate EPA regional offices, State and local air
quality agencies, and Metropolitan Planning Organizations (MPO).\17\ In
addition, the FAA must publish the proposed list in the Federal
Register, allowing a minimum of 30 days for public comment.\18\ The FAA
is required to document its response to all comments received and to
make these comments and responses available to the public upon
request.\19\ Finally, the FAA must publish its final list of presumed
to conform actions in the Federal Register to complete the process.\20\
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\17\ 40 CFR Part 93, Sec. 93.153(h)(2).
\18\ 40 CFR Part 93, Sec. Sec. 93.153(h)(1)-(2).
\19\ 40 CFR Part 93, Sec. 93.153(h)(3).
\20\ 40 CFR Part 93, Sec. 93.153(h)(4).
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II. Existing Exemptions
For the FAA to provide the proper context and baseline for
identifying and proposing a list of presumed to conform Federal
actions, it is important to consider the extent to which FAA airport-
related actions and activities may qualify for exemption from general
conformity requirements. The EPA has defined broad categories of exempt
actions under 40 CFR 93.153(c)(2) that result in no emissions increase
or increases in emissions that are clearly de minimis. These actions
are not subject to further analysis for applicability, conformity, or
regional significance under the Rule.
As part of this Federal Register Notice, the FAA has interpreted
how the exemptions in the Rule apply to FAA actions associated with
airport facilities and aviation planning. The following discussion
addresses the most relevant examples of these exemptions regarding FAA
actions for airport development.
(1) Rulemaking and Policy Development [40 CFR 93.153(c)(2)(iii)]
The FAA develops rules and policies to address issues of safety,
aviation noise abatement, and systematic improvements to efficiency.
This includes issuance of airport policy and planning documents for the
National Plan of Integrated Airport Systems (NPIAS), the Airport
Capital Improvement Program (ACIP), and Advisory Circulars on planning,
design, and development programs. These documents provide
administrative and technical guidance to the airport community and the
public and are not intended for direct implementation. The actual
process of rulemaking or policy development is typically administrative
in nature and does not cause an increase in air emissions.
(2) Routine Maintenance and Repair Activities [40 CFR 93.153(c)(2)(iv)]
In conformance with FAA standards and regulations, the airport
sponsor must maintain airport facilities and the airfield in a manner
that ensures the safe operation of the airport. These activities
constitute Federal actions when Federal funding from the FAA is
involved. Airport maintenance, repair, removal, replacement, and
installation work that matches the characteristics, size, and function
of a facility as it existed before the replacement or repair activity
typically qualifies as routine maintenance and repair for purposes of
general conformity. Such activity does not increase the capacity of the
airport or change the operational environment of the airport.
The FAA does not consider major runway reconstruction to qualify as
exempt under the Rule if the reconstruction results in a runway that is
hardened, lengthened, or widened to support a larger class of aircraft.
Proposed funding for such a project would require analysis of emission
levels to determine the applicability of general conformity
requirements.
Routine maintenance for existing runways, taxiways, aprons, ramps,
fillets, and airport roadways includes in-kind resurfacing,\21\ re-
marking of existing runways, taxiways, apron areas, etc., and runway
grooving and rubber removal projects. Other areas of routine
replacement, maintenance, and repair work that may be considered exempt
from the Rule include:
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\21\ Depending on numerous factors affecting surface conditions,
airports will generally resurface asphalt runways every 7-10 years.
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Existing signage.
Existing lighting systems.
Existing pavement markings.
[[Page 6644]]
Wind or landing direction indicators.
Existing airport security access control.
Existing buildings and structures.
Existing heating, ventilation, and air conditioning (HVAC)
systems.
Existing infrastructure such as sanitary sewer or
electrical systems.
General landscaping, erosion control, and grading.
(3) The Routine, Recurring Transportation of Materiel and Personnel [40
CFR 93.153(c)(2)(vii)]
The transport of materiel and personnel both within airport
environs and to facilities affiliated with the routine operation of
airports may be considered exempt under the Rule.
(4) Routine Movement of Mobile Assets, Such As * * * Aircraft * * * for
Repair or Overhaul [40 CFR 93.153(c)(2)(viii)]
The movement of aircraft to/from airports with maintenance and test
facilities for repair and overhaul may be considered exempt from the
Rule.
(5) Planning, Studies, and Provisions of Technical Assistance [40 CFR
93.153(c)(2)(xii)]
Planning and information-related actions do not represent
implementation of operational changes at the airport and therefore do
not result in emission increases. Consequently, actions such as those
listed below may be considered exempt from the Rule:
FAA funding and acceptance of Master Plans and Updates
FAA funding of System Planning Studies
FAA acceptance of noise exposure maps and approval of
noise compatibility programs pursuant to 49 U.S.C. 47501 et seq., as
implemented by 14 CFR Part 150
FAA approval of noise and access restrictions on
operations by Stage 3 aircraft under 49 U.S.C. 47524, as implemented by
14 CFR Part 161
(6) Routine Operation of Facilities, Mobile Assets and Equipment [40
CFR 93.153(c)(2)(xiii)]
Normal day-to-day activities that occur at airports, such as
vehicle movements, building operations, and aircraft movements that do
not increase the capacity of the airport or change the operational
environment of the airport may be considered exempt from the Rule.
(7) Transfers of Ownership, Interests, and Titles in Land, Facilities,
and Real and Personal Properties, Regardless of the Form or Method of
the Transfer [40 CFR 93.153(c)(2)(xiv)] and
(8) Actions (or Portions Thereof) Associated With Transfers of Land,
Facilities, Title, and Real Properties Through an Enforceable Contract
or Lease Agreement Where the Delivery of the Deed Is Required To Occur
Promptly After a Specific, Reasonable Condition Is Met, Such as
Promptly After the Land Is Certified as Meeting the Requirements of
Comprehensive Environmental Response, Compensation and Liability Act
(CERCLA), and Where the Federal Agency Does Not Retain Continuing
Authority To Control Emissions Associated With the Lands, Facilities,
Title, or Real Properties [40 CFR 93.153(c)(2)(xix)]
Actions by the FAA to transfer or acquire land or equipment do not
increase the capacity of the airport or change the operational
environment affecting air emissions. Such actions include funding or
approving transfers, acquisitions, or releases by airport sponsors,
\22\ or preparing and executing related contracts or written
agreements. Related actions that may be considered exempt from the Rule
are:
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\22\ Airport ``sponsors'' are planning agencies, public
agencies, or private airport owners/operators that have the legal
and financial ability to carry out the program requirements for FAA
financial assistance.
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Facilities and equipment purchases.
Land acquisition and relocation assistance.
Land releases for which there is no reasonable expectation
of a change in land use.
Avigation easement acquisition.
Acquisition of an existing privately owned airport
involving only change of ownership.
(9) Alterations and Additions of Existing Structures as Specifically
Required By New or Existing Applicable Environmental Legislation or
Environmental Regulations (e.g., Hush Houses for Aircraft Engines* * *)
[40 CFR 93.153(d)(4)]
Actions that are initiated in response to specific environmental
laws and regulations (e.g., energy efficiency, noise abatement
structures and equipment) may be considered exempt from the Rule. These
actions include:
Equipment purchases.
Protective noise barriers.
Required noise mitigation actions including the
installation and operation of hush houses for aircraft and engine
maintenance.
(10) Federal Actions Which Are Part of a Continuing Response to an
Emergency or Disaster [40 CFR 93.153(d)(2) and (e)]
Actions in response to emergencies, natural disasters, etc., that
involve overriding concerns for public health and welfare, national
security interests, or foreign policy commitments may be exempt from
general conformity requirements for six months and possibly longer if
justified in writing by the agency.\23\
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\23\ Airports located in nonattainment or maintenance areas with
small regional emission budgets may need to check whether a proposed
exempt action might be regionally significant under 40 CFR Part 93,
Sec. 93.153(i).
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III. Presumed to Conform Project Descriptions and Justifications
The FAA began the process of developing and documenting presumed to
conform actions with a detailed environmental survey of airport
projects. The survey was conducted by all FAA regional offices, which
identified approved airport projects over a recent two-year period that
received a categorical exclusion (CATEX) or Finding of No Significant
Impact (FONSI).\24\ This information was requested only for airports
included in areas designated as nonattainment or maintenance by the
EPA. Information compiled from these surveys described about 600
completed projects at over 100 airports.
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\24\ FAA Order 1050.1E, Chapter 3 (CATEX) and Chapter 4, section
406 (FONSI), pursuant to the National Environmental Policy Act.
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The survey information was processed by assigning each airport
planning and development project into one of two categories: (1)
Projects that are exempt from the requirements of the Rule as defined
by 40 CFR 93.153(e); or (2) projects that require an applicability
analysis before being defined as de minimis (i.e., presumed to
conform), according to 40 CFR 93.153(c)(1). Specific information on the
application of these two project categories is presented in Section II
and Section III of this document, respectively.
In the analysis of the survey results, any airport project that
exceeded de minimis levels even once was considered ineligible for the
presumed to conform list. Follow-up communications with airports and
FAA regional representatives helped to clarify terminology and confirm
the reliability of the presumptions. In addition, the FAA performed
detailed worst-case analyses where practicable in areas where project
size and implementation could conceivably result in the exceedance of
de minimis levels.
[[Page 6645]]
The airport project survey data and other agency experience in
implementing similar actions taken over recent years provide the
fundamental basis for all of the presumed to conform classifications.
The FAA conducted additional quantitative analyses for specific project
areas, as practicable. These analyses are summarized in Section III,
and include the following: Pavement markings; terminal upgrades;
commercial vehicle staging areas; non-runway paving; heating,
ventilation, and air conditioning (HVAC) systems; and low-emission
technology and alternative fuel vehicles.
Based on the survey of airport projects, the additional
evaluations, and quantitative analyses, only those project categories
that were proven to be reliably and consistently de minimis were
classified as presumed to conform. In general, FAA presumed to conform
actions involve maintenance, navigation, construction, safety, security
activities, and new technology and vehicle systems that do not modify
or increase airport capacity or change the operational environment of
the airport in such a way as to increase air emissions above de minimis
thresholds.
Presented below are the airport project descriptions and
justifications for FAA actions that are presumed to conform. There are
fifteen project categories, which are discussed in the following order:
1. Pavement Markings.
2. Pavement Monitoring Systems.
3. Non-Runway Pavement Work.
4. Aircraft Gate Areas on Airside.
5. Lighting Systems.
6. Terminal and Concourse Upgrades.
7. New HVAC Systems, Upgrades, and Expansions.
8. Airport Security.
9. Airport Safety.
10. Airport Maintenance Facilities.
11. Airport Signage.
12. Commercial Vehicle Staging Areas.
13. Low-Emission Technology and Alternative Fuel Vehicles.
14. Air Traffic Control Activities and Adopting Approach, Departure
and Enroute Procedures for Air Operations.
15. Routine Installation and Operation of Aviation Navigation Aids.
1. Pavement Markings
Airport sponsors apply paint on paved surfaces, such as runways,
taxiways, apron areas, cargo areas, and parking lots to ensure the safe
operation of aircraft during approach and landing and to provide safe
direction for surface vehicles. Most pavement marking projects are
considered routine maintenance activities, qualifying as exempt from
the Rule (see Section II, number 2 of this Notice). These actions are
designed to restore and improve painted surfaces that have deteriorated
due to time, use, and weather.
Federal actions that alter airport use through new pavement
markings are not routine maintenance but are presumed to conform if
such actions do not increase airport capacity or introduce a larger
class of aircraft at the airport. For example, new runway markings for
improved flight procedures from visual flight rules (VFR) to instrument
flight rules (IFR) are presumed to conform if normal traffic flow is
maintained.
Pollutant emissions due to the paint application process are
primarily composed of VOC from the paint, and NOX emitted
from the trucks and application compressors required to prepare the
surface and apply the paint. Emissions of both VOC and NOX
are considered precursors to the development of ozone in the
atmosphere. Therefore, emissions from the application of painted
pavement markings pertain most importantly to ozone nonattainment and
maintenance areas.
A worst-case calculation of emissions was performed based on
equipment and types of paint required to mark a Category III 13,000-
foot runway with an instrument lighting system (ILS) to FAA
specifications. The calculation of emissions included the removal of
existing markings using water pressure through a compressor mounted on
a diesel truck, a pavement sweeper truck to remove debris, the
application of the paint using an air compressor mounted on a diesel
truck, and a small hand sprayer for detailed markings, such as squared
corners. A total of 2,492 gallons of paint (a combination of white,
yellow, and black) were applied to the representative runway at a rate
of 115 square feet per gallon of paint. The trucks transporting the
paint and compressors were assumed to be similar to a single axle,
Class 7 diesel pickup truck.\25\ The sweeper was assumed to be a
regenerative diesel air power model, using a chassis engine and an
auxiliary engine to power the brushes. Manufacturers' Material Safety
Data Sheets were referenced for the VOC emissions factors for the three
colors of latex paint. Emissions factors for the criteria and precursor
pollutants were obtained from the EPA Nonroad Engine and Vehicle
Emission Study-Report.\26\ Load factors and horsepower ratings were
obtained from the EPA Nonroad Engine and Vehicle Emission Study-Report
and Median Life, Annual Activity, and Load Factor Values for Nonroad
Engine Emissions Modeling.\27\
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\25\ The Gross Vehicle Weight Rating (GVWR) system defines a
Class 7 diesel truck as one that can carry 26,001 to 33,000 pounds
of weight on two axles.
\26\ EPA Report 460/3-91-02, November 1991, Nonroad Engine and
Vehicle Emission Study--Report.
\27\ EPA Report NR-005A, December 9, 1997, revised June 15,
1998, Median Life, Annual Activity, and Load Factor Values for
Nonroad Engine Emissions Modeling.
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The maximum volume of paint that could be applied without equaling
or exceeding the de minimis thresholds for any nonattainment and
maintenance classification was calculated.\28\ For instance, an airport
located within an extreme nonattainment area for ozone is limited to
net project emissions of 10 tons of VOC per year. This translates into
an annual application of 21,890 gallons of paint, which also causes
0.21 tons \29\ of NOX emissions. For example, this volume of
paint would mark eight Category III 13,000-foot ILS runways. A volume
of paint on the order of one million gallons is required to cause
emissions of NOX to equal 10 tons per year. Likewise, a
volume of paint on the order of five million to 176 million gallons is
required in order to be sufficient to exceed the de minimis thresholds
for CO, SO2, or PM10. Therefore, VOCs are the
limiting pollutant \30\ for the application of paint at airports and
emissions of NOX, CO, SO2, and PM10
are considerably less. Table III-1 provides the gallon application
limits, which include the use of construction equipment for pavement
markings in nonattainment and maintenance areas.
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\28\ Calculations of maximum paint volume include consideration
of construction equipment.
\29\ Short tons, where one ton equals 2,000 lbs.
\30\ The limiting pollutant is defined as the criteria pollutant
that first exceeds de minimis levels for a given project.
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BILLING CODE 4910-13-P
[[Page 6646]]
[GRAPHIC] [TIFF OMITTED] TN12FE07.000
BILLING CODE 4910-13-C
2. Pavement Monitoring Systems
Airports have the option of installing a pavement monitoring system
to indicate when the durability and strength of the pavement needs to
be reinforced. These systems are implemented for safety reasons to
ensure that an airport's runway, taxiway, and apron network are
sufficiently able to support the weight of aircraft. Minor construction
work is required for the installation of the monitoring system.
Assuming the installation requires the use of a pickup truck, a utility
truck, an excavator, an asphalt paver, a compactor, and a small
generator, construction would have to proceed continuously (eight hours
per day, 20 days per month) for more than
[[Page 6647]]
a year (1.1 years) in order to produce emissions near the level of 10
tons of NOX. For the remaining criteria pollutants and
precursors, construction on the order of several years would be
required to approach the de minimis thresholds. Pavement monitoring
systems are installed in less than a week; therefore, project
construction emissions are well below de minimis and presumed to
conform.
3. Non-Runway Pavement Work
Airfield pavement must be constructed to withstand the weight of
aircraft and to produce a firm, stable, smooth, year-round, all-weather
surface. The pavement must be of such quality and thickness that it
will not fail under the weight of aircraft and it must possess
sufficient inherent stability to withstand, without damage, the
abrasive action of aircraft traffic and adverse weather conditions.\31\
These pavement specifications apply to non-runway areas of the airfield
where aircraft operate, including taxiways, apron areas, and gate
areas. The specific pavement requirements are satisfied by applying
rigid pavement consisting of layers of crushed stone bound and pressed
into a smooth surface.
Airfield construction projects considered to be presumed to conform
are limited to areas of the airfield intended to accommodate aircraft
for purposes of loading or unloading passengers or cargo, refueling, or
aircraft parking, and are generally referred to as apron areas. These
types of airfield projects do not include projects intended to increase
airport capacity or those that are otherwise defined as routine
maintenance for existing apron areas.
Pollutant emissions due to airfield construction are solely from
the use of construction equipment and are primarily comprised of
NOX, a precursor to ozone development, and CO resulting from
the trucks operated to haul the large amounts of stone and gravel that
must be used to form the support layers for the paving material.
The evaluation of emissions from airfield paving was based on a
representative project in the FAA Eastern Region. The project required
equipment and materials to construct approximately 600,000 square feet
of airfield and concrete shoulder area with an assumed surface design
life of 20 years.\32\ The conservative calculation of emissions
included the preparation of the site allowing for a four-inch
geotextile layer of subgrade soil, a four-inch frost protection layer
of crushed stone, a four-inch sub base layer of finely crushed stone,
an eight-inch base layer of gravel mixed with a stabilizer such as
cement,\33\ and the application of a six-inch layer of Portland cement
concrete.\34\ This type of construction design allows for a total
pavement thickness of 26 inches; the minimum total pavement thickness
for the accommodation of jet aircraft weighing 100,000 pounds or more
is 20 inches.\35\ Also included in the construction emissions inventory
is the installation of a drainage system.
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\31\ FAA AC 150/5320-6D, September 7, 1995, Airport Pavement
Design and Evaluation.
\32\ As recommended under FAA AC 150/5320-16, October 22, 1995,
Airport Pavement Design for the Boeing 777 Airplane.
\33\ Stabilized base layers as necessary for new pavements
designed to accommodate jet aircraft weighting 100,000 pounds or
more. FAA AC 150/5320-6D, September 7, 1995, Airport Pavement Design
and Evaluation.
\34\ Portland cement is a hydraulic cement made by heating a
mixture of limestone and clay in a kiln and pulverizing the
resulting material.
\35\ FAA AC 150/5320-6D, September 7, 1995, Airport Pavement
Design and Evaluation.
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Emissions factors for construction equipment were obtained from the
EPA's 1991 Nonroad Engine and Vehicle Emission Study--Report.\36\ Load
factors and horsepower ratings for the construction equipment were
obtained from the EPA's 1991 Nonroad Engine and Vehicle Emission
Study--Report and the EPA's 1997 Median Life, Annual Activity, and Load
Factor Values for Nonroad Engine Emissions Modeling.\37\
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\36\ EPA Report 460/3-91-02, November 1991, Nonroad Engine and
Vehicle Emission Study--Report. Table 2-07 Emission Factors.
\37\ EPA Report NR-005A, December 9, 1997, revised June 15,
1998, Median Life, Annual Activity, and Load Factor Values for
Nonroad Engine Emissions Modeling.
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The maximum allowable square footage of airfield construction was
calculated for each nonattainment and maintenance category. The
analysis showed that NOX was the limiting pollutant for
airfield paving projects and that emissions of VOC, CO, SO2,
and PM10 are considerably less in comparison with
NOX.
Table III-1 provides the area limits for non-runway airfield
construction in nonattainment and maintenance areas. For instance, an
airport located within an area designed as extreme nonattainment for
ozone, which limits net project emissions to the rate of 10 tons per
year of NOX, is limited to constructing 219,368 square feet
(5.04 acres) of apron area, which also causes 0.93 tons of VOC
emissions. As a reference, four acres is generally sufficient to
provide remote or ``hardstand'' (non-gate) parking for three narrow-
body aircraft. Construction of an airfield/apron area on the order of
2.38 million square feet (54.7 acres) causes emissions of VOC up to 10
tons per project, creating emissions of NOX of approximately
109 tons. New airfield construction on the order of 150 to 600 acres
would be required to exceed the de minimis thresholds for CO,
SO2 and PM10. Generally speaking, emissions of
NOX are on the order of three times the emissions of CO for
these types of projects and are more than 10 times the emissions of the
remaining criteria pollutants.
4. Aircraft Gate Areas on Airside
Aircraft gate areas refer to the area outside of the terminals and
concourses where jetways are used to link parked aircraft to the
terminal building. Federal actions to improve aircraft gate areas can
be part of airport modernization efforts involving new airline tenants
or the introduction of newer and more efficient technology. Aircraft
gate areas involve a wide range of activities from aircraft loading and
unloading of passengers and cargo to the servicing of aircraft by
lavatory, food supply, and maintenance vehicles.
Upgrades to the aircraft gate area are often needed to accommodate
changing flight schedules and daily activity. The addition or
modification of jetways to existing terminal buildings is typically
done to adjust to changes in air travel demand and airline
requirements. Such projects are intended to improve passenger terminal
service by reducing passenger queuing and waiting times. Actions to
approve or fund the upgrading of aircraft gate areas are presumed to
conform provided such actions do not increase aircraft operations or
introduce a larger class of aircraft at the airport.
5. Lighting Systems
Airport sponsors may need to install new lighting systems to
maintain proper illumination of roadways, taxiways, runways, and
parking areas. The data from the FAA surveys indicated that airport
upgrading and installing of new lighting systems is done on an as-
needed basis.
Minor mechanical work is required for the installation effort,
followed by electrical work that does not require large off-road
construction equipment. Assuming the installation requires the use of a
pickup truck, a utility truck, an excavator, and a small generator, the
construction will have to proceed continuously (eight hours a day, 20
days a month) for more than 17 months (1.4 years) in order to produce
emissions near the level of 10 tons of NOX. For the
remaining criteria pollutants and precursors, construction on the order
of
[[Page 6648]]
several years would be required to approach the de minimis thresholds.
Runway and other lighting systems can be installed in less than two
weeks; therefore, project construction emissions are well below de
minimis and presumed to conform.
6. Terminal and Concourse Upgrades
The opportunity to expand or upgrade terminals and/or concourses
for the purpose of improving passenger convenience typically involves
increasing the interior terminal space in areas such as hold rooms,
concessions, restrooms, and gate areas. Qualifying projects in this
category do not have the effect of attracting more passengers. Nor do
they have the effect of increasing the airport's ability to accommodate
additional numbers or types of aircraft or to increase passenger
loading on scheduled flights. Major terminal and/or concourse expansion
projects that are designed to increase passenger usage or to support
increased airfield capacity through new aircraft gates, runways,
taxiways, etc. require an inventory of direct and indirect emissions to
determine the applicability of general conformity.
Construction vehicles and equipment are the only source of
emissions when expanding or upgrading terminals. A conservative
approach to quantifying construction emissions was used to determine
the appropriate limits for this type of activity. The emission limits
are presented in Table III-1 under ``Terminal Upgrades'' according to
the de minimis thresholds.
A proposed terminal expansion project located in the FAA's Southern
Region was used as the representative project. The terminal was
proposed to have an additional footprint of 381,000 square feet. This
proposed project was purposely selected to provide a conservative
estimate of construction emissions normally released from this type
airport improvement activity, even though this presumed to conform
activity is limited to non-capacity enhancing projects. Emissions were
quantified in this case from construction activities, including soil
cement preparation, subgrade preparation, light and heavy demolition,
cement base treatment, installation of the grade aggregate base,
construction of the terminal, light and heavy utility work, and light
and heavy earthwork. In addition, the proposed terminal expansion was
assumed to occur within the same calendar year instead of the proposed
schedule of seven years.
Construction emissions were calculated using prescribed EPA
methodology incorporating the projected construction activity level,
the number of construction vehicles and equipment, and industry-wide
utilization rates. Emission factors for construction vehicles and
equipment were taken from EPA databases for nonroad vehicles and
engines,\38\ and their updates.\39\
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\38\ EPA Report 460/3-91-02, November 1991, Nonroad Engine and
Vehicle Emission Study--Report.
\39\ EPA Report NR-005A, December 9, 1997, revised June 15,
1998, Median Life, Annual Activity, and Load Factor Values for
Nonroad Engine Emissions Modeling.
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A proposed terminal/concourse expansion project is presumed to
conform up to the square foot additions (footprint) of the project as
determined by the most limiting pollutant (see Table III-1). The
prescribed build-out limits per calendar year apply to all components
of the terminal/concourse upgrade project according to the air quality
status of the area in which the project is located.
7. New HVAC Systems, Upgrades, and Expansions
Upgrading and expanding heating, ventilation, and air conditioning
(HVAC) systems are presumed to conform because any emission increases
associated with improvements to airport heating and cooling systems are
generally minor and well below de minimis thresholds.
Heating for airport terminal buildings is typically provided
through a boiler system.\40\ Boilers may be fueled by natural gas, coal
(bituminous, sub-bituminous, or anthracite), No. 5 and No. 6 fuel oil
(residual), No. 2 fuel oil (diesel), culm fuel, and liquefied petroleum
gas (propane or butane). Pollutant emissions due to the operation of
boilers vary with the fuel used. The emission factors for the various
fuels are presented in Table III-2 below.
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\40\ A boiler is an encased vessel that provides a means for
combustion heat to be transferred into water until it becomes steam.
The steam is then used to heat the building through a network of
pipes. When water is boiled into steam its volume increases about
1,600 times, which is an efficient means for transferring heat for a
process. HVACWebTech, Inc.
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A new, upgraded, or expanded boiler system involves the
installation of new equipment to replace or expand the capacity of
existing boiler systems. Boilers can be very large and are sometimes
delivered on flatbed semi-tractor trailer trucks and set in place by a
crane. Table III-3 presents the construction emissions, primarily
NOX and CO, associated with the installation of a large
boiler as described.
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Airport terminals consume energy for heat at a higher rate than
most public buildings. The reasons for this include the open areas
surrounding many airports, heat loss from the movement of people and
baggage in and out of buildings, and the usual 24-hour operation of
facilities. The consumption of energy to generate heat is also
dependent upon the design of the terminal building. For instance, many
airport terminals are designed with exterior glass walls or incorporate
design, art, and architectural treatments that reflect local customs
and community history.\41\ The many variations of airport terminal
design, including geographical location, make it impractical to
identify the ``typical terminal building'' for purposes of determining
total emissions. Therefore, the presumption of conformity could not be
based on the characteristics of the building, but rather on the volume
of fuel consumed.
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\41\ FAA AC 150/5360-13, April 22, 1988, Planning and Design
Guidelines for Airport Terminal Facilities.
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As discussed, emissions resulting from the operation of boilers
depend on the type of fuel powering the boiler system. Emissions from
the use of propane, butane, and natural gas are of concern in ozone
nonattainment and maintenance areas since the primary pollutant from
combustion of these fuels is NOX, a precursor to ozone
formation. Hydrocarbons (HCs) are another precursor to ozone but they
are relatively low for these fuel types in comparison to NOX
emissions. The primary pollutant from the combustion of fuel oil (No. 2
diesel, and No. 5 and
[[Page 6650]]
No. 6 residual) is SO2, while particulate matter is the
primary pollutant from the combustion of coal, including culm fuel).
Therefore, NOX, SO2, and PM10 are the
most likely limiting pollutants for the operation of boiler systems at
airports.
Table III-4 below presents maximum annual fuel throughput for
heating systems and boilers by fuel type at levels that do not equal or
exceed the de minimis thresholds. The FAA Emissions and Dispersion
Modeling System (EDMS) was used to perform the calculations. EDMS
emission factors are conservatively based on EPA's AP-42 emissions
quantification methodology.\42\
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\42\ FAA, 2005, Emissions and Dispersion Modeling System EDMS
Version 4.2.
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The analysis shows, for example, that an airport located in a
severe nonattainment area for ozone, with a de minimis NOX
threshold of 25 tons per year, could operate new or improved boilers
using up to 5.05 million cubic meters of natural gas annually, which is
sufficient to heat a building of approximately 210,000 square feet.\43\
NOX emissions in a severe ozone nonattainment area would be
limited to 3,434 kiloliters (kl) of No. 6 fuel oil (residual), 7,816 kl
of No. 2 fuel oil (diesel), 9,855 kl of propane, 1,374 metric tons of
bituminous coal, or 2,519 metric tons of anthracite coal on an annual
basis.
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\43\ Assuming a 100,000 sq. ft. one-floor building would require
approximately 2.4 million cubic meters of natural gas to heat the
building, annually; based on the industry standard heat value, 1,000
BTU per cubic foot of natural gas, annually [Airtron Heating and Air
Conditioning, Columbus, Ohio].
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The installation, upgrade, or expansion of an airport HVAC system
that requires a permit under new source review (NSR) or prevention of
significant deterioration programs is exempt from a general conformity
determination.\44\ The inclusion of airport boiler installations/
modifications as a presumed to conform activity does not affect
existing or future requirements of Federal, State or local air quality
operating permit programs. Proper compliance with all applicable
environmental regulations must be maintained.
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\44\ 40 CFR Part 93, 93.153(d)(1).
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8. Airport Security
Based on collected project information and additional agency
experience with airport security actions following the events of
September 11, 2001, the FAA has determined that dedicated security-
related airport projects qualify as presumed to conform actions,
including modification of existing terminals with luggage and passenger
scanning devices, addition of camera surveillance, bolstering of
airport security fencing, and reinforcement of airport access control.
In most cases, the installation of security equipment and upgraded
operations in existing facilities will not result in the generation of
air emissions. If the construction and installation of
[[Page 6653]]
some dedicated security projects do cause emissions, these emissions
will be minor and well below the de minimis thresholds.
Security requirements also may dictate that parking spaces close to
terminal buildings be eliminated.\45\ As a result, FAA actions
associated with the expansion of parking facilities to compensate for
lost close-in parking are presumed to conform provided these actions
are limited to a one-for-one replacement of parking capacity.
Generally, the relocation of parking spaces away from the terminal
building will reduce vehicle miles traveled (VMT) on airport property,
resulting in an emissions decrease.
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\45\ FAA Aviation Security Directive issued February 2002.
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It is important to note that this category of presumed to conform
actions is separate from exempt Federal actions under the Rule that are
part of a continuing response to an emergency or disaster.\46\ Agency
use of the emergency exemption is limited in time and must involve
overriding concerns for public health and welfare, national security
interests, and foreign policy commitments.\47\
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\46\ 40 CFR Part 93, 93.153(e).
\47\ Ibid.
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9. Airport Safety
Airport projects relating to airport safety include actions
specific to the Runway Safety Area (RSA). FAA regulations specify the
requirements for a RSA, which is defined as the surface area that
surrounds and extends beyond the runway ends that is required for
reducing the risk of damage to airplanes in the event of an undershoot,
overshoot, or excursion from the runway.\48\ RSA improvements are
presumed to conform unless a new road or the relocation of a road is
required.
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\48\ FAA AC 150/5300-13, September 29, 1989, Airport Design.
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In addition to a safe airfield, airport projects to build, expand,
replace, upgrade, or equip a required Aircraft Rescue and Firefighting
Facility (ARFF) are presumed to conform. These facilities are
relatively small airport projects and must be provided by the airport
to ensure airport and passenger safety. Airports must meet ARFF
requirements as specified under 14 CFR 139.317, and are responsible for
upgrading an ARFF if there is an increase in the average daily
departures or the length of an air carrier aircraft.\49\
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\49\ Per index under 14 CFR Part 139, 139.319(a).
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10. Airport Maintenance Facilities
Airport maintenance facilities house the equipment necessary to
run, service, and maintain the airport environs. These facilities can
include vehicle service centers, fueling stations, and storage areas
for snow removal and maintenance equipment. FAA actions associated with
upgrading airport-owned maintenance facilities are presumed to conform
based on the fact that these facilities typically require only minor
construction. However, the installation or upgrading of aircraft
maintenance facilities (typically owned by an airline or charter
company) that are used to paint or maintain aircraft at an airport are
not considered presumed to conform because aircraft maintenance
facilities may cause an increase in flights to meet maintenance
schedules.
11. Airport Signage
Airport sponsors place signs throughout the airport property to
direct passengers, employees, and vendors to terminals, parking lots,
rental car areas, maintenance areas, etc. In addition, airports provide
a network of signs to direct aircraft and vehicles on the airfield.
Airport signage is often electrified for illumination at night and for
other times of limited visibility. In general, airport signage
installation can be completed in a matter of days or weeks. It would
require more than a year of continuous installation to exceed the 25-
ton threshold for NOX. Therefore, airport signage
installation projects are presumed to conformed.
12. Commercial Vehicle Staging Areas
Commercial vehicle staging areas at airports serve as temporary
holding areas for taxicabs, limousines, and other commercial vehicles.
Such areas reduce the need to idle at the terminal curb front and help
to decongest the terminal roadways. Airports that employ commercial
vehicle staging areas may enforce specific idling restrictions or
engine-off mandates to further reduce air quality impacts. Generally,
the use of commercial vehicle staging areas is an emissions reduction
strategy because the alternative inherently creates more emissions from
increased traffic and congestion at the terminal.
A Federal action to develop a commercial vehicle staging area for
purposes of relieving airport traffic congestion is presumed to conform
based on the criteria provided in Table III-1 for a ``Commercial
Vehicle Staging Area.'' Providing a commercial vehicle staging area
does not cause an increase in the volume of vehicles on regional
roadways and impacts air quality only through the use of construction
equipment to pave the staging area. Construction emissions are
primarily comprised of NOX and CO.
The quantity of emissions associated with the construction of an
asphalt taxicab staging area was based on a construction design for a
regional asphalt roadway. The calculation of emissions included
activities such as excavation, preparation of the subgrade, adding a
base layer of stone, fine grading, and paving. The paving process
included the application of a tack coat, wearing course, and the final
seal coat. The type and use of construction equipment was determined
based on information obtained from the R.S. Means' Means Building
Construction Cost Data, and the State of Ohio Department of
Transportation's Manual of Procedures for Flexible Pavement
Construction and Pavement Design and Rehabilitation Manual. Rated
horsepower and load factors for each construction unit was obtained
from the EPA's Nonroad Engine and Vehicle Emission Study-Report and
Median Life, Annual Activity, and Load Factor Values for Nonroad Engine
Emissions Modeling, and the Caterpillar Performance Handbook. Emission
factors were obtained from the EPA's Nonroad Engine and Vehicle
Emission Study-Report.
The acreage that could be paved without equaling or exceeding the
de minimis thresholds for each applicable nonattainment or maintenance
category was calculated and summarized in Table III-1. For instance, an
airport located within an area designated as severe nonattainment for
ozone, which limits net project emissions to an annual rate of 25 tons
of NOX, is limited to a commercial vehicle staging area of
about 13 acres, or 561,584 square feet, which results in 2.35 tons of
VOC emissions. Paving of approximately 137 acres is required to cause
emissions of VOC of nearly 25 tons, as established for a severe
nonattainment area for ozone. In order to approach the 100 ton de
minimis thresholds for other criteria pollutants, paving areas of
approximately 140 acres would be required for CO, 556 acres for
SO2, and more than 595 acres for PM10. Therefore,
NOX is the limiting pollutant for paving projects at
airports and emissions of VOC, CO, SO2, and PM10
are considerably less in comparison to NOX.
13. Low-Emission Technology and Alternative Fuel Vehicles
A growing number of airports are interested in new technology and
vehicle systems to reduce stationary and mobile emissions. Based on
agency and airport low-emission programs over the past several years,
which provide extensive data and documentation to verify the emission
reduction benefits of
[[Page 6654]]
new low-emission technology, these activities are presumed to conform.
Activities that are presumed to conform include the replacement,
substitution, or conversion of conventional fuel vehicles (gasoline,
diesel) to vehicles using alternative or clean conventional fuel
technology. Qualified activities also encompass airport low-emission
infrastructure improvements and the use of refueling or recharging
stations needed to service airport low-emission vehicles.
All low-emission activities funded through the FAA Voluntary
Airport Low Emission Program (VALE) or that are required as part of
environmental mitigation are presumed to conform.\50\ The VALE program
requires that vehicles purchased under the program meet specific low-
emission standards and that these vehicles and other program equipment
remain at the airport for their useful life.
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\50\ FAA Order 5100.38C, Airport Improvement Program Handbook,
June 2005, Sec. Sec. 580, 585.
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14. Air Traffic Control Activities and Adopting Approach, Departure and
Enroute Procedures for Air Operations
The preamble to the General Conformity Rule \51\ states that:
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\51\ 58 FR 63229 (Nov. 30, 1993).
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``In order to illustrate and clarify that the de minimis levels
exempt certain types of Federal actions, several de minimis exemptions
are listed in Sec. 51.853(c)(2). There are too many Federal actions
that are de minimis to completely list in either the rule or this
preamble.''
As an illustration of exempt actions, EPA states in the preamble
that ``Air traffic control activities and adopting approach, departure
and enroute procedures for air operations'' are among other actions
that are de minimis (preamble, p. 63229, I(2)) and should be exempt
from the Rule. The FAA concurs with the EPA determination that air
traffic control activities are de minimis. However, because these
activities are cited in the preamble but not in the Rule itself, the
FAA believes that it is prudent to document these activities as
presumed to conform.
Air traffic control activities are defined as actions that promote
the safe, orderly, and expeditious flow of aircraft traffic, including
airport, approach, departure, and enroute air traffic control.\52\
Airspace and air traffic actions (e.g., changes in routes, flight
patterns, and arrival and departure procedures) are implemented to
enhance safety and increase the efficient use of airspace by reducing
congestion, balancing controller workload, and improving coordination
between controllers handling existing air traffic, among other things.
Although increased efficiency and delay reduction would allow traffic
volume to increase, in FAA's experience such actions do not lead to
increased annual aircraft operations or changes to the operational
level of airports in the vicinity of the air traffic changes. In
today's deregulated environment, market forces determine where airlines
fly and how often.
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\52\ 14 CFR Part 170, Sec. 170.3.
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Emissions released into the atmosphere above the inversion base for
pollutant containment, commonly referred to as the ``mixing height,''
(generally 3,000 ft. above ground level) do not have an effect on
pollution concentrations at ground level.\53 54\ Therefore, air traffic
control actions above the mixing height are presumed to conform.
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\53\ EPA Report, Procedures for Emission Inventory Preparation,
Volume IV: Mobile Sources [420-R-92-009], section 5.2.2., 1992.
\54\ Realistic Mixing Depths for Above Ground Aircraft
Em