Standards of Performance for Equipment Leaks of VOC in the Synthetic Organic Chemicals Manufacturing Industry; Standards of Performance for Equipment Leaks of VOC in Petroleum Refineries, 64860-64897 [E7-21814]
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64860
Federal Register / Vol. 72, No. 221 / Friday, November 16, 2007 / Rules and Regulations
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Parts 60 and 63
[EPA–HQ–OAR–2006–0699; FRL–8492–4]
RIN 2060–AN71
Standards of Performance for
Equipment Leaks of VOC in the
Synthetic Organic Chemicals
Manufacturing Industry; Standards of
Performance for Equipment Leaks of
VOC in Petroleum Refineries
equipment leaks of volatile organic
compounds in the synthetic organic
chemicals manufacturing industry and
for equipment leaks of volatile organic
compounds in petroleum refineries
which apply to affected facilities that
are constructed, reconstructed, or
modified after November 7, 2006. The
final amendments and new standards
are based on the results of our review
of the existing regulations as required by
section 111(b)(1)(B) of the Clean Air
Act.
This final rule is effective on
November 16, 2007. The incorporation
by reference of certain publications
listed in these rules is approved by the
Director of the Federal Register as of
November 16, 2007.
ADDRESSES: EPA has established a
docket for this action under Docket ID
No. EPA–HQ–OAR–2006–0699. All
documents in the docket are listed in
the Federal Docket Management System
index at www.regulations.gov. Although
listed in the index, some information is
not publicly available, e.g., Confidential
Business Information (CBI) or other
information whose disclosure is
restricted by statute. Certain other
material, such as copyrighted material,
is not placed on the Internet and will be
publicly available only in hard copy
form. Publicly available docket
materials are available either
electronically through
www.regulations.gov or in hard copy at
the Air and Radiation Docket, EPA West
DATES:
Environmental Protection
Agency (EPA).
ACTION: Final rule.
AGENCY:
SUMMARY: EPA is issuing final
amendments to the standards of
performance for equipment leaks of
volatile organic compounds in the
synthetic organic chemicals
manufacturing industry and to the
standards of performance for equipment
leaks of volatile organic compounds in
petroleum refineries. The amended
standards for the synthetic organic
chemicals manufacturing industry apply
to affected facilities that are constructed,
reconstructed, or modified after January
5, 1981, and on or before November 7,
2006. The amended standards for
petroleum refineries apply to affected
facilities that are constructed,
reconstructed, or modified after January
4, 1983, and on or before November 7,
2006. In this action, EPA is also issuing
new standards of performance for
Building, Room 3334, 1301 Constitution
Ave., NW., Washington, DC. The Public
Reading Room is open from 8:30 a.m. to
4:30 p.m., Monday through Friday,
excluding legal holidays. The telephone
number for the Public Reading Room is
(202) 566–1744, and the telephone
number for the Air and Radiation
Docket is (202) 566–1742.
For
information concerning the final
amendments and new standards,
contact Ms. Karen Rackley, Coatings and
Chemicals Group, Sector Policies and
Programs Division, Office of Air Quality
Planning and Standards (E143–01),
Environmental Protection Agency,
Research Triangle Park, North Carolina
27711; telephone number: (919) 541–
0634; fax number: (919) 541–0246; email address: rackley.karen@epa.gov.
For information concerning compliance
and enforcement of the final
amendments and new standards,
contact Ms. Marcia Mia, Air Compliance
Branch, Compliance Assessment and
Media Programs Division, Office of
Compliance (MC 2223A),
Environmental Protection Agency,
Washington, DC 20460; telephone
number: (202) 564–7042; fax number:
(202) 564–0050; and e-mail address:
mia.marcia@epa.gov.
FOR FURTHER INFORMATION CONTACT:
SUPPLEMENTARY INFORMATION:
Regulated Entities. Categories and
entities potentially regulated by this
action include:
Category
NAICS code1
Examples of potentially regulated entities
Industry ............................................
324110 ...........................................
Primarily
325110,
325192,
325193, and 325199.
Petroleum refiners.
Synthetic organic chemical manufacturing industry (SOCMI) units,
e.g., producers of benzene, toluene, or any other chemical listed in
40 CFR 60.489.
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1 North
American Industrial Classification Code.
This table is not intended to be
exhaustive, but rather provides a guide
for readers regarding entities likely to be
regulated by this action. To determine
whether your facility is regulated by this
action, you should examine the
applicability criteria in 40 CFR 60.480,
60.590, 60.480a, and 60.590a. If you
have any questions regarding the
applicability of the final amendments or
new standards to a particular entity,
contact the people listed in the
preceding FOR FURTHER INFORMATION
CONTACT section.
Worldwide Web (WWW). In addition
to being available in the docket, an
electronic copy of the final rule is
available on the WWW through the
Technology Transfer Network (TTN).
Following signature, EPA will post a
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copy of the final rule on the TTN’s
policy and guidance page for newly
proposed or promulgated rules at
https://www.epa.gov/ttn/oarpg. The TTN
provides information and technology
exchange in various areas of air
pollution control.
Judicial Review. Under section 307(b)
of the Clean Air Act (CAA), judicial
review of the final rule is available only
by filing a petition for review in the
United States Court of Appeals for the
District of Columbia Circuit by January
15, 2008. Under section 307(d)(7)(B) of
the CAA, only an objection to the final
rule that was raised with reasonable
specificity during the period for pubic
comment can be raised during judicial
review. Moreover, under section
307(b)(2) of the CAA, the requirements
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established by this final rule may not be
challenged separately in any civil or
criminal proceedings brought by EPA to
enforce these requirements.
Section 307(d)(7)(B) of the CAA
further provides that ‘‘[O]nly an
objection to a rule or procedure which
was raised with reasonable specificity
during the period for public comment
(including any public hearing) may be
raised during judicial review.’’ This
section also provides a mechanism for
us to convene a proceeding for
reconsideration, ‘‘[i]f the person raising
an objection can demonstrate to the EPA
that is was impracticable to raise such
objection within [the period for public
comment] or if the grounds for such
objection arose after the period for
public comment (but within the time
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specified for judicial review) and if such
objection is of central relevance to the
outcome of the rule.’’ Any person
seeking to make such a demonstration to
us should submit a Petition for
Reconsideration to the Office of the
Administrator, U.S. EPA, Room 3000,
Ariel Rios Building, 1200 Pennsylvania
Ave., NW., Washington, DC 20460, with
a copy to both the person(s) listed in the
preceding FOR FURTHER INFORMATION
CONTACT section, and the Associate
General Counsel for the Air and
Radiation Law Office, Office of General
Counsel (Mail Code 2344A), U.S. EPA,
1200 Pennsylvania Ave., NW.,
Washington, DC 20460.
Outline. The information presented in
this preamble is organized as follows:
I. Background Information
A. What is the statutory authority for the
final amendments and new standards?
B. What are the current equipment leak
NSPS?
C. How were the final amendments
developed?
II. Summary of the Final Amendments, New
Standards, and Changes Since Proposal
A. What are the final amendments to 40
CFR part 60, subpart VV?
B. What are the final amendments to 40
CFR part 60, subpart GGG?
C. What are the requirements of 40 CFR
part 60, subpart VVa?
D. What are the requirements of 40 CFR
part 60, subpart GGGa?
III. Rationale for Changes Since Proposal
A. How did EPA develop new standards
for 40 CFR part 60, subparts VVa and
GGGa?
B. How did EPA develop the new
compliance requirements in 40 CFR part
60, subparts VVa and GGGa?
C. How did EPA develop the final
amendments to 40 CFR part 60, subparts
VV and GGG?
IV. Summary of Comments and Responses
A. Applicability
B. Standards
C. Test Methods and Procedures
D. Recordkeeping and Reporting
E. Burden Estimates
V. Summary of Cost, Environmental, Energy,
and Economic Impacts
A. What are the impacts for SOCMI process
units?
B. What are the impacts for petroleum
refining process units?
C. What are the economic impacts?
VI. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory
Planning and Review
B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
H. Executive Order 13211: Actions
Concerning Regulations That
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Significantly Affect Energy Supply,
Distribution, or Use
I. National Technology Transfer and
Advancement Act
J. Executive Order 12898: Federal Actions
To Address Environmental Justice in
Minority Populations and Low-Income
Populations
K. Congressional Review Act
I. Background Information
A. What is the statutory authority for the
final amendments and new standards?
New source performance standards
(NSPS) implement CAA section 111 and
are issued for categories of sources
which cause, or contribute significantly
to, air pollution which may reasonably
be anticipated to endanger public health
or welfare. The primary purpose of the
NSPS are to attain and maintain
ambient air quality by ensuring that the
best demonstrated emission control
technologies are installed as the
industrial infrastructure is modernized.
Since 1970, the NSPS have been
successful in achieving long-term
emissions reductions at numerous
industries by assuring cost-effective
controls are installed on new,
reconstructed, or modified sources.
Section 111 of the CAA requires that
NSPS reflect the application of the best
system of emission reductions which
(taking into consideration the cost of
achieving such emission reductions, any
non-air quality health and
environmental impact and energy
requirements) the Administrator
determines has been adequately
demonstrated. This level of control is
commonly referred to as best
demonstrated technology (BDT).
Section 111(b)(1)(B) of the CAA
requires that EPA periodically review
and revise the standards of performance,
as necessary, to reflect improvements in
methods for reducing emissions. Based
on the results of the review required by
CAA section 111(b)(1)(B), we proposed
amendments to the NSPS for equipment
leaks of volatile organic compounds
(VOC) in the synthetic organic
chemicals manufacturing industry
(SOCMI) and the petroleum refining
industry on November 7, 2006 (71 FR
65302). In this action, EPA is finalizing
amendments to 40 CFR part 60, subparts
VV and GGG and issuing new standards
of performance in 40 CFR part 60,
subparts VVa and GGGa.
B. What are the current equipment leak
NSPS?
New source performance standards
for equipment leaks of VOC have been
developed for four source categories.
Subpart VV of 40 CFR part 60 applies
to SOCMI process units. Subpart DDD of
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40 CFR part 60, Standards of
Performance for Volatile Organic
Compound (VOC) Emissions from the
Polymer Manufacturing Industry,
applies to polypropylene, polyethylene,
polystyrene, and poly (ethylene
terephthalate) process units. Subpart
GGG of 40 CFR part 60 applies to
petroleum refining process units.
Subpart KKK of 40 CFR part 60 applies
to onshore natural gas processing plants.
Subparts DDD, GGG, and KKK of 40
CFR part 60 cross-reference the
requirements in subpart VV, and they
specify source category-specific
definitions and exceptions to the
requirements in subpart VV.
The NSPS for equipment leaks of VOC
in the SOCMI (40 CFR part 60, subpart
VV) were originally promulgated on
October 18, 1983 (48 FR 48335) and
apply to all equipment, as defined by
the rule, within a process unit in the
SOCMI that commenced construction,
reconstruction, or modification after
January 5, 1981. For the purpose of
subpart VV, the SOCMI consists of
process units producing any of the
chemicals listed in 40 CFR 60.489 of
subpart VV. The standards apply to
pumps, compressors, pressure relief
devices, sampling connection systems,
open-ended valves or lines (OEL),
valves, and flanges or other connectors
in VOC service. Depending on the type
of equipment, the standards require
either periodic monitoring for and
repair of leaks, the use of specified
equipment to minimize leaks, or
specified work practices. Monitoring for
leaks must be conducted using EPA
Method 21 in appendix A–7 to 40 CFR
part 60 or other approved equivalent
monitoring techniques. Owners and
operators must keep records that
identify the equipment that is subject to
the standards, identify equipment that is
leaking, and document attempts at
repair. Information related to leaks and
repair attempts also must be included in
semiannual reports. This subpart has
been amended several times between
1984 and 2000. Typically, these
amendments added definitions,
exemptions, alternative compliance
options, and clarifications. For example,
one amendment provides an option to
comply with the equipment leak
provisions in the Consolidated Federal
Air Rule (CAR) (40 CFR part 65, subpart
F). None of these amendments increased
the intended performance level of the
standards.
The NSPS for equipment leaks of VOC
in petroleum refineries (40 CFR part 60,
subpart GGG) apply to petroleum
refining process units for which
construction, reconstruction, or
modification commenced after January
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4, 1983. Those standards were originally
promulgated on May 30, 1984 (49 FR
22606), and have been amended only
once since the original promulgation (65
FR 61768, October 17, 2000) to update
the American Society for Testing and
Materials (ASTM) test method
references.
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C. How were the final amendments
developed?
We proposed amendments to 40 CFR
part 60, subpart VV and 40 CFR part 60,
subpart GGG on November 7, 2006 (71
FR 65302). The preamble for the
proposed amendments described the
rationale for the proposed amendments.
Public comments were solicited at the
time of proposal. The public comment
period lasted from November 7, 2006, to
February 8, 2007. We offered at proposal
the opportunity for a public hearing
concerning the proposed amendments,
but no hearing was requested. We also
published a Notice of Additional Data
Availability (NODA) on July 9, 2007 (72
FR 37157). The NODA provided
additional information regarding OEL.
Public comments were solicited at the
time of publication, and the public
comment period lasted from July 9,
2007, to August 8, 2007.
We received a total of 28 public
comment letters during the comment
periods, 23 on the proposed
amendments and five on the NODA.
Comments were submitted by industry
trade associations and consultants,
chemical companies and petroleum
refineries, state regulatory agencies,
local government agencies, and
environmental groups. These final
amendments reflect our consideration of
all of the comments received during the
comment periods. Major public
comments on the proposed
amendments, along with our responses
to those comments, are summarized in
this preamble.
II. Summary of the Final Amendments,
New Standards, and Changes Since
Proposal
In response to public comments, we
have revised the scope and applicability
of the proposed amendments to the
standards of performance for equipment
leaks of VOC for SOCMI (40 CFR part
60, subpart VV) and petroleum
refineries (40 CFR part 60, subpart
GGG). As proposed, all of the
amendments to subparts VV and GGG,
except the change in leak definitions for
pumps and valves, applied to affected
facilities in these industries that
commenced construction,
reconstruction, or modification after
January 5, 1981, (SOCMI) or January 4,
1983, (petroleum refineries). In
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addition, all of the proposed
amendments, except the leak definition
change, applied to affected facilities
under all other NSPS that crossreference subpart VV (i.e., 40 CFR part
60, subparts DDD and KKK).
Based on the public comments, we
decided to include only clarifications,
changes that reduce burden, and
additional compliance options in the
final amendments to 40 CFR part 60,
subparts VV and GGG. The final
amendments to both subparts also limit
which SOCMI and petroleum refinery
affected sources are subject to the
existing subparts. Specifically, the
existing subparts only apply to those
existing affected sources that
commenced construction,
reconstruction, or modification after
January 5, 1981, (SOCMI) or January 4,
1983, (petroleum refineries) and on or
before November 7, 2006. The final
amendments to subpart VV also apply to
affected sources under NSPS that crossreference subpart VV (i.e., 40 CFR part
60, subparts DDD and KKK).
In addition to amending 40 CFR part
60, subparts VV and GGG, we also
decided to develop new standards in
new subparts VVa and GGGa of 40 CFR
part 60 that apply only to SOCMI and
petroleum refinery affected sources,
respectively, that commence
construction, reconstruction, or
modification after November 7, 2006.
These new standards parallel the
standards in the amended subparts VV
and GGG, but they also include different
standards for pumps in light liquid
service and valves in gas/vapor or light
liquid service (i.e., lower leak
definitions than in subparts VV and
GGG), and they include additional
recordkeeping and instrument
calibration requirements. Furthermore,
the new standards in 40 CFR part 60,
subpart VVa include monitoring and
repair requirements for connectors. The
new standards do not apply to affected
sources under 40 CFR part 60, subparts
DDD or KKK because we have not
amended those subparts to reference the
requirements in subpart VVa and we
have not completed an analysis to
determine if the new standards are BDT
for subparts DDD and KKK.
A. What are the final amendments to 40
CFR part 60, subpart VV?
The final amendments to 40 CFR part
60, subpart VV provide additional
compliance options, clarify ambiguous
provisions, and make technical
corrections. These changes are
summarized in Table 1 in section III.C
of this preamble.
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1. Applicability
The owner or operator of an affected
facility subject to 40 CFR part 60,
subpart VV may choose to comply with
the requirements in new 40 CFR part 60,
subpart VVa instead of the requirements
in subpart VV.
2. Standards
The final amendments simplify the
compliance requirements for pumps.
When indications of liquids dripping
are observed during weekly inspections,
40 CFR part 60, subpart VV requires
repair of the leak following the same
procedures as if the leak were detected
by monitoring. The final amendment in
40 CFR 60.482–2(b)(2) allows the owner
or operator to either repair the leak by
eliminating the indications of liquids
dripping or determine if it is leaking
based on the instrument reading
obtained by monitoring the pump in
accordance with EPA Method 21 (40
CFR part 60, appendix A–7) or other
approved equivalent monitoring
techniques. This amendment will focus
the leak detection and repair (LDAR)
program on finding and repairing VOC
leaks.
The final amendments also include an
alternative compliance option that
allows less frequent monitoring for
pumps and valves in batch process units
that operate part-time during the year.
This alternative applies to currently
required monthly, quarterly, and
semiannual monitoring intervals; less
frequent monitoring is not allowed for
monitoring that is currently required on
an annual or less frequent basis. For
example, pumps in a process unit that
operate 5,250 hours per year (about 60
percent of full-time operation) may be
monitored every other month rather
than monthly. This alternative will
ensure that monitoring occurs
consistently while the process unit is
operating. The alternative monitoring
schedule for batch processes was
developed as part of the development of
the hazardous organic national emission
standards for hazardous air pollutants
(NESHAP) (HON) (57 FR 62680). This
alternative has been determined to be
comparable to the provisions for
continuous processes. As the time in
use increases, the monitoring
frequencies are identical for both batch
and continuous processes.
In response to public comments, we
have revised the proposed clarification
to the initial monitoring requirements
for pumps and valves (that all pumps
and valves be monitored within the first
month of operation after installation).
The final amendments require the
owner or operator to monitor all pumps
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on a monthly basis regardless of
whether the pump is new or existing.
The owner or operator of a new valve
must monitor the valve for the first time
within 30 days after being placed into
service to ensure proper installation.
Any valve for which a leak is not
detected for 2 successive months may be
monitored the first month of every
quarter, beginning with the next quarter,
until a leak is detected. As an
alternative to monitoring a new valve
within 30 days, if the valves in the
process unit are monitored under the
alternative standards for valves that
allow skip period leak detection and
repair in 40 CFR 60.483–2, the owner or
operator must count the new valve as
leaking when calculating the percentage
of valves leaking. If less than 2.0 percent
of the valves are leaking for that process
unit, the valve must be monitored for
the first time during the next scheduled
monitoring event for existing valves in
the process unit or within 90 days,
whichever comes first.
As an alternative to monitoring all of
the valves in the first month of a
quarter, an owner or operator may elect
to subdivide the process unit into two
or three subgroups of valves and
monitor each subgroup in a different
month during the quarter, provided
each subgroup is monitored every 3
months. The owner or operator must
keep records of the valves assigned to
each subgroup.
The clarifications to the requirements
for sampling connection systems in 40
CFR 60.482–5 have been revised since
proposal to add additional destinations
for purged process fluid. All containers
must be covered when not being filled
or emptied. The amendments also
clarify what materials must be captured
and returned to the process during
sampling.
In response to comments, we have
revised the proposed option for delay of
repair in 40 CFR 60.482–9. The
proposed amendment would have
allowed the owner or operator to
discontinue monitoring for equipment
on delay-of-repair. We have not
included this in the final amendments
and new standards because a leak may
worsen while on delay-of-repair and
require a more immediate shutdown.
Therefore, all equipment on delay-ofrepair must be monitored as scheduled.
The option to consider equipment to be
repaired if two consecutive readings are
below the leak definition was not
removed. If two consecutive readings
are below the applicable leak definition,
the owner or operator may remove the
equipment from delay-of-repair.
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3. Definitions
Several amendments clarify the
original intent of the definitions in 40
CFR part 60, subpart VV. These
definitions include ‘‘connector,’’
‘‘process unit,’’ and ‘‘sampling
connection system.’’ In addition,
definitions of ‘‘closed-loop system,’’
‘‘closed-purge system,’’ ‘‘storage vessel,’’
and ‘‘transfer rack’’ were added to
further clarify existing definitions. The
definition of ‘‘process unit’’ is discussed
in further detail in section IV.A.3 of this
preamble. The rationale for revising and
adding the other definitions is included
in Docket ID No. EPA–HQ–OAR–2006–
0699.
4. Miscellaneous Corrections
Finally, the final amendments include
a few technical corrections to fix
references and other miscellaneous
errors in 40 CFR part 60, subpart VV. No
changes have been made to the
proposed corrections, and a number of
additional corrections are included in
the final amendments. The technical
corrections are identified in section
III.A.3 of the preamble to the proposed
amendments (71 FR 65307–65308,
November 7, 2006) as well as Table 1 of
this preamble.
B. What are the final amendments to 40
CFR part 60, subpart GGG?
A few minor changes have been made
to the 40 CFR part 60, subpart GGG
amendments since proposal. The
heading and 40 CFR 60.590(b) were
revised to clarify that the subpart
applies to sources that commence
construction, reconstruction, or
modification on or before November 7,
2006, and 40 CFR 60.590(d) was revised
to exclude facilities subject to 40 CFR
part 60, subpart VVa. Proposed
revisions that remain in the final
amendments to subpart GGG include a
definition of ‘‘asphalt’’ and an
exemption from the requirements for
OEL in 40 CFR 60.482–6(a) through (c)
for OEL containing asphalt. The
definition of ‘‘process unit’’ is
comparable to the definition in 40 CFR
part 60, subpart VV.
The final amendments also include a
few technical corrections to fix
references and other miscellaneous
errors in 40 CFR part 60, subpart GGG.
These changes are identified in section
III.B.5 of the preamble to the proposed
amendments (71 FR 65309, November 7,
2006). No changes have been made to
these corrections since proposal.
C. What are the requirements of 40 CFR
part 60, subpart VVa?
40 CFR part 60, subpart VVa applies
to affected facilities in the SOCMI that
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are constructed, reconstructed, or
modified after November 7, 2006. This
new subpart includes all the
requirements of 40 CFR part 60, subpart
VV, as amended, along with new
provisions. The owner or operator of an
affected facility subject to subpart VVa
may elect to comply with the CAR at 40
CFR part 65, subpart F, or the HON at
40 CFR part 63, subpart H, instead of the
requirements in subpart VVa, provided
they still comply with the requirements
in 40 CFR 60.482–6a.
40 CFR part 60, subpart VVa includes
lower leak definitions for pumps and
valves than 40 CFR part 60, subpart VV.
Under subpart VVa, the leak definition
for pumps in light liquid service is
2,000 parts per million (ppm) (5,000
ppm for pumps handling polymerizing
monomers) instead of 10,000 ppm. The
leak definition for valves in gas/vapor
service or light liquid service is 500
ppm instead of 10,000 ppm. Rationale
for this new standard was provided in
section III.A.1 of the preamble to the
proposed amendments and is discussed
further in section III.A.1 of this
preamble.
40 CFR part 60, subpart VVa also
includes requirements for monitoring
connectors. The owner or operator is
required to monitor connectors at a leak
definition of 500 ppm and at a
frequency that is based on the
percentage of connectors found to be
leaking. The rationale supporting the
LDAR provisions for connectors is
located in section III.A.2 of this
preamble.
40 CFR part 60, subpart VVa includes
additional recordkeeping requirements
and quality assurance measures.
Records must identify the monitoring
instrument, operator, equipment, the
date, and maximum instrument reading.
A calibration drift assessment is
required at the end of each day of
monitoring and records of monitoring
instrument calibrations are required.
The calibration drift assessment
requirements proposed for 40 CFR part
60, subpart VV were revised based on
public comments. The requirements in
the new standards include a
requirement to remonitor equipment if
the drift assessment shows positive
drift. The requirements in the new
standards provide for a less stringent
remonitoring effort for drift assessments
showing negative drift.
D. What are the requirements of 40 CFR
part 60, subpart GGGa?
40 CFR part 60, subpart GGGa applies
to affected facilities at petroleum
refineries that are constructed,
reconstructed, or modified after
November 7, 2006. New subpart GGGa
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includes the requirements in 40 CFR
part 60, subpart GGG, as amended.
Affected facilities must comply with the
requirements in new subpart VVa of 40
CFR part 60, except for the monitoring
requirements applicable to connectors.
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III. Rationale for Changes Since
Proposal
A. How did EPA develop new standards
for 40 CFR part 60, subparts VVa and
GGGa?
Five sources of information were
considered in reviewing the
appropriateness of the current NSPS
requirements for new sources: (1)
Applicable Federal regulations; (2)
applicable state and local regulations;
(3) data from National Enforcement
Investigations Center (NEIC)
inspections; (4) emissions data provided
by industry representatives; and (5)
petroleum refinery consent decrees. (A
significant number of refineries,
representing about 77 percent of the
national refining capacity, are subject to
consent decrees that limit the emissions
from 40 CFR part 60, subpart GGG
process units.) Once we identified leak
definitions for various equipment types,
we evaluated these leak definitions in
conjunction with technical feasibility,
costs, and emission reductions to
determine BDT for each type of
equipment.
The cost methodology incorporates
the calculation of annualized costs and
emission reductions associated with
each of the options presented. Costeffectiveness is the annualized cost of
control divided by the annual emission
reductions achieved. For NSPS
regulations, the standard metric for
expressing costs and emission
reductions is the impact on all affected
facilities accumulated over the first 5
years of the regulation. Details of the
calculations can be found in the public
docket (EPA–OAR–HQ–2006–0699).
Our BDT determinations took all
relevant factors into account, including
cost considerations.
For each of the new standards, the
predominant method used to reduce
emissions from equipment leaks is the
work practice of an LDAR program that
includes periodic monitoring of
equipment using EPA Method 21. This
method has been used for more than 20
years to detect leaks and is currently the
most widely-used test method.
However, other approved methods may
be used to detect leaks.
We also considered an equipment
standard requiring installation of
‘‘leakless’’ equipment. ‘‘Leakless’’
equipment, such as diaphragm valves, is
less likely to leak than standard
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equipment, but leaks may still develop.
Therefore, monitoring or other type of
observation is appropriate to ensure that
leaks are caught if they develop. In
addition, these types of equipment may
not be suitable for all possible process
operating temperatures, pressures, and
fluid types. We could not identify any
new ‘‘leakless’’ technologies that could
be applied in all applications.
Therefore, requiring ‘‘leakless’’
equipment is not technically feasible
and this option was not considered to be
BDT for SOCMI or petroleum refining
sources. We note that 40 CFR part 60,
subpart VV does include provisions for
equipment designed for no detectable
emissions, so owners or operators that
do replace existing equipment with
‘‘leakless’’ equipment have options for
compliance.
1. Leak Definitions for Pumps and
Valves
We previously demonstrated that leak
definitions of 2,000 ppm for pumps and
500 ppm for valves are BDT in the
preamble to the proposed amendments
to 40 CFR part 60, subparts VV and GGG
(November 7, 2006, 71 FR 65305, with
additional discussion at 71 FR 65308).
Since proposal, the cost-effectiveness
values for this new requirement have
changed slightly based on changes to
the assumptions used to develop
emission estimates; section V of this
preamble includes details on the
specific changes. For SOCMI, the
estimated emission reductions are 94
tons of VOC per year at a cost savings
of $380/ton. For petroleum refineries,
the estimated emission reductions are
13 tons of VOC per year at a cost of
$1,600/ton. The cost to achieve these
emission reductions is still considered
to be reasonable; therefore, we maintain
our original conclusion that EPA
Method 21 monitoring of pumps and
valves and repair of leaks above 2,000
ppm for pumps and 500 ppm for valves
is BDT.
We have also evaluated the costeffectiveness of lowering the leak
definitions even further for valves
because there are some state rules and
petroleum refinery consent decrees at
lower levels. The results of that analysis
show that an LDAR program for valves
at a leak definition lower than 500 ppm
is not cost-effective. The analysis shows
emission reductions of 26 tons of
additional VOC per year at a costeffectiveness of $5,700/ton for SOCMI
and emission reductions of 8 tons of
additional VOC per year at a costeffectiveness of $16,000/ton for
refineries. The additional VOC emission
reductions at a leak definition lower
than 500 ppm is not cost-effective. The
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results of the impacts analysis is
provided in the docket (Docket ID No.
EPA–HQ–OAR–2006–0699).
We decided not to consider a lower
leak definition for pumps because we do
not have evidence that it will achieve
significant emission reductions at
reasonable cost and because such a
requirement would impose an
unwarranted increase in the compliance
burden. No other Federal or state rules
require repair of pumps with leaks
below 2,000 ppm, and concerns have
been expressed in the past that repair of
pumps with lower concentrations could
result in significant and costly
maintenance. We also cannot estimate
the emission reductions because we are
unsure how effective repairs will be for
pumps with low leak concentrations. In
addition, many facilities that will be
subject to the new standards have other
process units that are subject to other
standards. Including a leak definition in
the new standards that differs from the
leak definitions in all other rules would
make compliance more challenging at
such facilities and unnecessarily
increase the potential for inadvertent
errors.
We also did not consider increasing
the number of times per year that valves
and pumps must be monitored. Valves
and pumps are already subject to
monthly monitoring. The cost to
monitor more frequently would
outweigh the possible emission
reductions. Additionally, pumps are
subject to weekly inspections for
indications of liquids dripping.
Therefore, the monitoring frequency
was not changed and is still considered
BDT.
2. Other New Standards in 40 CFR Part
60, Subpart VVa
Connector Monitoring. The current
NSPS in 40 CFR part 60, subpart VV
limits VOC emissions from connectors
by specifying that if a potential leak is
found by visual, audible, olfactory, or
any other detection method, the owner
or operator must eliminate the
indications of the potential leak or
monitor the connector to determine
whether the potential leak is leaking
VOC greater than 10,000 ppm. If the
potential leak is actually a leak, it must
be repaired. When the current NSPS
were promulgated, we concluded that
this procedure would reduce emissions
by correcting major leaks.
After consideration of current
operating practices, we concluded that
repairing connector leaks as they are
discovered is still the predominant
method for reduction of VOC from
connectors. However, during our review
of the current requirements, we found a
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number of Federal and state regulations
that require additional efforts to reduce
emissions, including regular monitoring
and repair. Therefore, we evaluated
options to achieve further emission
reductions from connectors. Federal
rules in which connector monitoring
and repair of leaks above 500 ppm is
required include the National Emission
Standards for Organic Hazardous Air
Pollutants for Equipment Leaks (HON)
in 40 CFR part 63, subpart H, the
National Emission Standards for
Equipment Leaks—Control Level 2
Standards (Generic MACT) in 40 CFR
part 63, subpart UU, the National
Emission Standards for Hazardous Air
Pollutants for Source Categories:
Generic Maximum Achievable Control
Technology Standards (Ethylene
NESHAP) in 40 CFR part 63, subpart
YY, and the CAR. The National
Emission Standards for Hazardous Air
Pollutants: Miscellaneous Organic
Chemical Manufacturing (MON) in 40
CFR part 63, subpart FFFF also includes
connector monitoring and repair of
leaks above 500 ppm for new sources.
In addition, the National Emission
Standards for Hazardous Air Pollutants
From Petroleum Refineries (Refinery
NESHAP) in 40 CFR part 63, subpart CC
provides a higher maximum value for
percent of leaking valves under which
an owner or operator may use the skip
period provisions if connector
monitoring is included in the LDAR
program. Based on this information, we
felt that additional VOC control could
be achieved by requiring connector
monitoring and repair, but we needed
additional information to determine
whether connector monitoring is BDT.
As a result, we requested comment on
whether we should require periodic
monitoring and repair of connectors to
ensure that any leaks are corrected more
quickly.
Upon consideration and review of the
public comments, we evaluated whether
the connector monitoring and repair
provisions included in the Generic
MACT are BDT for 40 CFR part 60,
subparts VVa and GGGa. The Generic
MACT provisions include a leak
definition of 500 ppm and a monitoring
frequency based on the number of
connectors found to be leaking during
the initial monitoring campaign.
For SOCMI, the estimated emission
reductions achieved by connector
monitoring and repair of leaks above
500 ppm are 230 tons of VOC per year
at a cost of $2,500/ton. For petroleum
refineries, the estimated emission
reductions are 92 tons of VOC per year
at a cost of $20,000/ton. The cost to
achieve these emission reductions is
considered to be reasonable for SOCMI
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sources but is not reasonable for
petroleum refineries. Based on these
impacts and consideration of current
operating practices, we concluded that
BDT for connectors at SOCMI sources is
monitoring using EPA Method 21 or
another approved alternative method at
a frequency based on the number of
connectors found leaking during initial
monitoring and repair of leaks above
500 ppm. We concluded that BDT for
connectors at petroleum refineries is
equivalent to the current 40 CFR part
60, subpart GGG requirements.
Therefore, we are promulgating
connector monitoring and repair
standards consistent with this
determination for SOCMI sources
subject to 40 CFR part 60, subpart VVa
that will not apply to petroleum refinery
sources subject to 40 CFR part 60,
subpart GGGa.
B. How did EPA develop the new
compliance requirements in 40 CFR part
60, subparts VVa and GGGa?
The recordkeeping requirements in
the final amendments and new
standards are authorized by section 114
of the CAA. Section 114 of the CAA
allows EPA to require one-time,
periodic, or continuous records for the
purpose of determining if the owner or
operator is in compliance with the
standard. The recordkeeping
requirements in the final amendments
are the minimum necessary for affected
facilities to demonstrate compliance and
for EPA to enforce the rule. The
recordkeeping requirements in the new
standards include a few requirements in
addition to the requirements in the final
amendments. Most of these
requirements are associated with new
monitoring and repair requirements;
other additional requirements are
minimal and are necessary for EPA to
enforce the rule. Further rationale for
the new requirements is available below
and in section IV.D of this preamble.
We have made significant changes to
the proposed recordkeeping
requirements as a result of the changes
made to the scope and applicability of
the standards. Because the final
amendments to 40 CFR part 60, subparts
VV and GGG include only clarifications
to existing requirements, burden
reducing provisions, and new
compliance options, no changes or
additions to the recordkeeping
requirements in subpart VV or GGG are
needed to document and/or enforce
these amendments.
Sources subject to the new standards
in 40 CFR part 60, subpart VVa are
required to keep records of the same
information required by 40 CFR part 60,
subpart VV and certain additional
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64865
information described below. Sources
subject to 40 CFR part 60, subpart GGGa
must comply with the requirements in
subpart VVa except for the monitoring
requirements applicable to connectors
(and the associated recordkeeping
requirements). Facilities subject to 40
CFR part 60, subparts DDD, GGG, or
KKK are excluded from the requirement
to comply with the recordkeeping
provisions of subpart VVa because these
subparts are not being amended to
reference the new standards in subpart
VVa.
The new recordkeeping provisions in
40 CFR part 60, subpart VVa require
general identifying information for each
monitoring activity required by the rule.
As explained in the preamble to the
proposed amendments (71 FR 65308,
November 7, 2006), many facilities
already record this information. This
information requirement is consistent
with other equipment leak standards
and is needed by enforcement
representatives to determine if the
facility is complying with the standards.
Specifically, EPA found that the results
of the LDAR review demonstrated that
the current requirements are not
sufficient to verify that all monitoring
requirements have been performed. For
example, EPA enforcement initiatives
have found missed monitoring
(monitoring at an inappropriate interval,
monitoring late, or not monitoring),
understated leak rates, leaks not found
or repaired, and monitoring records
indicating that more equipment was
monitored than physically possible
given the time needed to meet EPA
Method 21 requirements, among other
issues. Since we cannot physically
inspect every facility on the schedule
required by the LDAR program, these
additional records will provide
safeguards that the program is being
implemented as intended.
Other new recordkeeping
requirements include specific
information that is necessary to
demonstrate compliance with the new
monitoring provisions for connectors
and pumps in light liquid service
(weekly visual inspections for
indications of dripping liquids). Records
are also required to demonstrate
compliance with the requirement for a
calibration drift assessment at the end of
each day and comparison of the results
of the assessment with the most recent
calibration results. We eliminated the
proposed requirement to keep records of
information on bypass lines because the
new subpart does not include the
requirement to monitor bypass lines. In
addition, records of information related
to the proposed initial monitoring
requirement for pumps and valves
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added to a process unit are not required
because this monitoring requirement
was revised since proposal, making
additional records unnecessary.
We have reviewed the recordkeeping
requirements and believe that these are
the minimum needed to ensure
compliance and that the requirements
do not impose excessive costs. The costs
of the recordkeeping requirements for
40 CFR part 60, subpart VVa, including
the time required to enter and store
additional information, are included in
the information collection request (ICR)
(see section V.B of this preamble).
C. How did EPA develop the final
amendments to 40 CFR part 60,
subparts VV and GGG?
The amendments to 40 CFR part 60,
subpart VV are listed in Table 1 of this
preamble. Most of the technical
corrections for 40 CFR part 60, subparts
VV and GGG were discussed in the
preamble to the proposed amendments
(71 FR 65302, November 7, 2006). Other
technical corrections and amendments
are the result of public comments, and
these are discussed in detail in the
responses to the applicable comments.
For each amendment that is more
significant than an editorial or
grammatical correction, Table 1 to this
preamble includes a reference to the
rule language and a reference to the
location of the detailed explanation.
TABLE 1.—SUMMARY OF FINAL AMENDMENTS TO 40 CFR PART 60, SUBPART VV AND RATIONALE FOR CLARIFICATIONS,
ADDITIONAL COMPLIANCE OPTIONS, AND TECHNICAL CORRECTIONS
Citation
Explanation or location of
explanation1
Amendment
Heading ...........................................
60.480(b) .........................................
........................................................
........................................................
60.480(d)(2) .....................................
........................................................
60.480(d)(2)–(5) ..............................
........................................................
60.480(e)(1) .....................................
........................................................
60.480(e)(2) .....................................
........................................................
60.481 .............................................
60.481 .............................................
71 FR 65308, column 3 .................
71 FR 65307, column 2 and section 5.4.3 of RTC.
71 FR 65307, column 2 and section 5.4.3 of RTC.
Section 5.3.2 of RTC .....................
Added missing word ‘‘the’’ before
the word ‘‘atmosphere’’ and removed the word ‘‘rapid’’.
71 FR 65308, column 3 and updated the mailing address for
ASME.
Section IV.A.2 of this preamble .....
Section 5.9.3 of RTC .....................
71 FR 65308, column 1 .................
Section 3.2.1 of RTC .....................
71 FR 65307, column 3 .................
Section 3.3 of RTC ........................
Revised to clarify applicability of subpart.
Revised to identify applicability to affected facilities that were constructed, reconstructed, or modified after January 5, 1981 and on
or before November 7, 2006.
Clarified that design capacity refers to a chemical listed in 40 CFR
60.489.
Revised reference to nonexistent 40 CFR 60.482 to refer to 40 CFR
60.482–1 through 60.482–10.
Renumbered paragraph (e)(1) as (e)(1)(i) and paragraph (e)(2) as
(e)(1)(ii); changed reference to paragraph (e)(2) to (e)(1)(ii).
Added paragraph that allows owners or operators to comply with 40
CFR part 60, subpart VVa as an alternative to 40 CFR part 60,
subpart VV.
Corrected editorial errors in definition of ‘‘Capital expenditures.’’
Added new definition for ‘‘Closed-loop system.’’
60.481 .............................................
60.481 .............................................
60.481 .............................................
60.481 .............................................
60.481 .............................................
60.481 .............................................
60.481 .............................................
60.481 .............................................
60.481 .............................................
60.482–1(e) .....................................
60.482–1(f) ......................................
71 FR 65304, column 3 and sections 5.6.1 and 5.6.2 of RTC.
60.482–1(g) .....................................
Section IV.A.2 of this preamble .....
60.482–2(a)(1) .................................
71 FR 65307, column 1, and section IV.B.1 of this preamble.
........................................................
60.482–2(a)(2) .................................
60.482–2(c)(2) .................................
71 FR 65304, column 2, 71 FR
65306, column 1, and section
5.2.2 of RTC.
71 FR 65307, column 1 .................
60.482–2(d) .....................................
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60.482–2(b)(2) .................................
........................................................
60.482–2(d)(1)(ii) .............................
60.482–2(d)(4)(i) .............................
60.482–2(d)(4)(ii) .............................
........................................................
........................................................
71 FR 65304, column 2, 71 FR
65306, column 1, and section
5.2.2 of RTC.
........................................................
60.482–2(d)(5)(i) .............................
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Added new definition for ‘‘Closed-purge system.’’
Revised definition of ‘‘Connector.’’
Revised definition of ‘‘First attempt at repair.’’
Revised definition of ‘‘Hard piping.’’
Revised definition of ‘‘Process unit.’’
Revised definition of ‘‘Process unit shutdown.’’
Revised definition of ‘‘Repaired.’’
Added new definition for ‘‘Storage vessel.’’
Added new definition for ‘‘Transfer rack.’’
Added paragraph (e) to address equipment in service less than 300
hours per year.
Added paragraph (f) that allows less frequent monitoring of pumps
and valves on batch process units that operate less than 365 days
per year.
Added paragraph that clarifies inclusion of shared tanks in a process
unit subject to this subpart.
Added clarification for pumps that begin operation in light liquid service after the initial startup date for the process unit.
Added reference to 40 CFR 60.482–1(f) as an exception to the requirement for weekly visual inspections of pumps in light liquid
service.
Added monitoring and repair requirements if weekly visual inspection
of pumps in light liquid service indicates liquids dripping from pump
seal.
Added examples of first attempt at repair practices for pumps in light
liquid service.
Editorial correction and clarification to address renumbering of paragraphs (d)(1) through (6).
Replaced first word ‘‘Equipment’’ with ‘‘Equipped.’’
Renumbered paragraph (d)(4) as (d)(4)(i).
Added monitoring and repair requirements if weekly visual inspection
of a pump equipped with dual mechanical seals indicates liquids
dripping from pump seal.
Removed ‘‘and’’ from end of sentence.
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64867
TABLE 1.—SUMMARY OF FINAL AMENDMENTS TO 40 CFR PART 60, SUBPART VV AND RATIONALE FOR CLARIFICATIONS,
ADDITIONAL COMPLIANCE OPTIONS, AND TECHNICAL CORRECTIONS—Continued
Citation
Explanation or location of
explanation1
60.482–2(d)(5)(iii) ............................
60.482–2(d)(6) .................................
........................................................
71 FR 65304, column 2 and 71
FR 65306, column 1.
........................................................
Section 5.3.5 of RTC .....................
71 FR 65308, column 3 .................
71 FR 65307, column 2 and section 5.3.5 of RTC.
71 FR 65307, column 2, and section 5.4.3 of RTC.
Section 5.4.1 of RTC .....................
60.482–2(e) .....................................
60.482–3(a) .....................................
60.482–3(j) ......................................
60.482–5(a) and (b) ........................
60.482–5(b)(2) .................................
60.482–5(b)(3) .................................
60.482–5(b)(4)–(b)(4)(iv)(A)–(C) .....
60.482–5(b)(4)(iv)(D) .......................
Rearranged paragraph numbering
and made a few editorial clarifications.
Section 5.4.2 of RTC .....................
60.482–5(b)(4)(iv)(E) .......................
Section 5.4.2 of RTC .....................
60.482–6(a)(1) .................................
60.482–7(a)(1) .................................
Section 5.3.5 of RTC .....................
Corrected section designations .....
60.482–7(a)(2)(i) and (ii) .................
60.482–8(a)(2) .................................
71 FR 65307, column 1, and section IV.B.1 of this preamble.
........................................................
71 FR 65307, column 3 through
71 FR 65308, column 1, and
section 5.1.2 of RTC.
Section 5.7 of RTC ........................
60.482–8(d) .....................................
71 FR 65307, column 1 .................
60.482–9(a) .....................................
Section 5.9.3 of RTC .....................
60.482–9(f) ......................................
Section 5.9.3 of RTC .....................
60.483–1(d) and 60.483–2(b)(5) .....
........................................................
60.483–2(a)(7) .................................
60.483–2(b)(7) .................................
71 FR 65307, column 1, and section IV.B.1 of this preamble.
........................................................
60.484(a) .........................................
60.484(b)(2) .....................................
60.485(b) .........................................
71 FR 65308, column 3 .................
........................................................
........................................................
60.485(e) .........................................
60.485(e)(1) and (2) ........................
60.485(g)(4) .....................................
71 FR 65308 ..................................
Section 6.3 of RTC ........................
Corrected exponents in equation ..
60.485(g)(5) .....................................
60.485(h) .........................................
........................................................
Section 5.1.4 of RTC .....................
60.486(e)(2)(ii) .................................
Section 7.4 of RTC ........................
60.486(e)(6) .....................................
Section 3.3 of RTC ........................
60.487(c)(2)(i),
60.487(c)(2)(iii),
60.487(c)(2)(iv).
These changes are related to rearranging
of
paragraphs
in
60.482–2.
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60.482–7(c)(1)(i) ..............................
60.482–7(c)(1)(ii) .............................
Amendment
Added paragraph to specify how a leak is detected.
Revised to clarify procedure and time allowed for repair of leaks.
Revised to add ‘‘s’’ to the end of ‘‘no detectable emission.’’
Added reference to exemption in 40 CFR 60.482–3(j).
Editorial clarification of section and paragraph references.
Rearranged paragraphs within these two paragraphs and made editorial corrections to provide clarity.
Added provision that containers part of a closed-purge system must
be covered or closed when not being filled or emptied.
Added provision that gases remaining in the tubing or other apparatus once the closed-purge system valve(s) and sample container
valve(s) are closed are not required to be collected or captured.
Same as current paragraph (b)(4) except for editorial clarifications.
Added provision for use of a waste management unit meeting the requirements of 40 CFR 61.348(a).
Added provision for use of a device used to burn off-specification
used fuel oil in accordance with 40 CFR part 279, subpart G.
Added reference to exemptions in 40 CFR 60.482–6(d) and (e).
Clarified current paragraph (a) to specify that valves must be monitored monthly except as provided in 40 CFR 60.482–7(f), (g), and
(h); 40 CFR 60.482–1(c) and (e); and 40 CFR 60.483–1 and 2.
Added clarification for valves that begin operation in light liquid service after the initial startup date for the process unit.
Paragraph (c)(1) redesignated as paragraph (c)(1)(i).
Added paragraph to allow an owner or operator to subdivide valves
in a process unit.
Added clarification that audio visual olfactory indications of potential
leaks should be eliminated within 5 calendar days of detection.
Revised to require that first attempt at repair of pumps and valves in
heavy liquid service, pressure relief devices in light liquid or heavy
liquid service, and connectors must include best practices under 40
CFR 60.482–2(c)(2) and 40 CFR 60.482–7(e).
Clarified that for repair that occurs during a process unit shutdown,
monitoring to verify that repair must occur within 15 days after
startup of the process unit.
Added new paragraph for a leaking pump or valve for which a delay
in repair is allowed.
Added reference to new 40 CFR 60.485(h) that provides more detailed explanation for calculating the percent of valves leaking.
Added clarification for valves that begin operation in light liquid service after the initial startup date for the process unit.
Added paragraph to specify that a new valve must be monitored according to 40 CFR 60.482–7(a)(2)(i) or (ii) before the provisions of
40 CFR 60.483–2 can be applied to the valve.
Editorial correction.
Editorial clarification.
Revised reference to nonexistent 40 CFR 60.482 to refer to 40 CFR
60.482–1 through 40 CFR 60.482–10.
Clarified that the requirements apply to a piece of equipment.
Clarified to specify that light liquids are organic compounds.
Corrected equation for the net heating value of the gas being combusted in a flare.
Added ASTM D6420–99 as an alternative to EPA Method 18.
Added equation and clarifications for calculating percent of valves
leaking.
Revised to allow an alternative to requiring a signature for the list of
equipment with no detectable emissions.
Added recordkeeping requirements for equipment in VOC service
less than 300 hours per year.
Corrected references to specific sections and other editorial corrections.
1 RTC refers to Standards of Performance for Equipment Leaks of VOC in the Synthetic Organic Chemicals Manufacturing Industry and Standards of Performance for Equipment Leaks of VOC in Petroleum Refineries. Background Information for Final Standards. Summary of Public
Comments and Responses. See Docket ID No. EPA–HQ–OAR–2006–0699.
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IV. Summary of Comments and
Responses
We proposed amendments to 40 CFR
part 60, subpart VV and 40 CFR part 60,
subpart GGG on November 7, 2006 (71
FR 65302). We published a NODA
regarding OEL on July 9, 2007 (72 FR
37157). A total of 28 comment letters
were received during the comment
periods for the two notices. In response
to these public comments, several
changes were made in developing these
final amendments and new standards.
The major comments and our responses
are summarized in the following
sections. A summary of the remainder of
the comments received during the
comment period and responses thereto
can be found in the docket for the final
amendments and new standards (EPA–
OAR–HQ–2006–0699).
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A. Applicability
1. Affected Sources Under the Current
NSPS
Comment: Numerous commenters
objected to the proposed application of
substantive new requirements to
affected sources that became subject to
40 CFR part 60, subpart VV (or any of
the subparts that reference subpart VV)
on or before November 7, 2006
(hereafter referred to as ‘‘subpart VV
sources’’). Proposed provisions that
these commenters considered to be
substantive are: (1) Changes to the
definition of process unit; (2) annual
EPA Method 21 monitoring of OEL; (3)
bypass monitoring requirements for
closed vent systems to control devices;
(4) calibration drift assessments; (5)
initial monitoring requirements for
pumps and valves; and (6) maintaining
records of all monitoring results. The
commenters argued that applying the
new provisions to subpart VV sources is
unlawful.
To address the issue of compliance
dates, several commenters
recommended that EPA amend 40 CFR
part 60, subpart VV so that it applies
only to existing sources and develop a
new 40 CFR part 60, subpart VVa that
applies to affected sources that
commence construction, reconstruction,
or modification after November 7, 2006.
In contrast, two commenters urged
EPA to apply the proposed requirements
to all existing SOCMI and refinery
process units, and a third commenter
recommended applying the proposed
leak definitions for pumps and valves to
all SOCMI and refinery affected sources.
All of these commenters noted that
existing facilities are more likely than
new sources to have problems with
leaks and, thus, should receive extra
scrutiny.
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Response: In this action, EPA has
decided to include any new
requirements in a new 40 CFR part 60,
subpart VVa, consistent with the
commenter’s suggestions. The new
standards in subpart VVa include lower
leak definitions for pumps (2,000 ppm)
and valves (500 ppm), monitoring of
connectors, a calibration drift
assessment, and expanded
recordkeeping requirements. The
proposed requirement to monitor bypass
lines has not been included in the new
standards because few facilities capture
and vent equipment leak emissions to a
control device. Additionally, most
control devices would be subject to
other standards. The proposed
requirement to monitor OEL has not
been included in the new standards
because this requirement has been
determined to not be cost-effective. The
cost-effectiveness for SOCMI was found
to be $3,800/ton for 25 tons/yr of VOC
emission reductions. For petroleum
refineries, the cost-effectiveness was
found to be $14,700/ton for 2.4 tons/yr
of VOC emission reductions. Taking the
low emission reductions into
consideration, the Agency has
determined that monitoring OEL is not
BDT. As discussed in sections IV.B.1
and IV.A.2 of this preamble, the initial
monitoring requirements for new pumps
and valves and the changes to the
definition of ‘‘process unit’’ are not new
standards, and these changes are
retained in the final amendments to 40
CFR part 60, subpart VV as well as being
included in the new subpart VVa.
Instead of referencing 40 CFR part 60,
subpart VVa from 40 CFR part 60,
subpart GGG, we decided to create a
new 40 CFR part 60, subpart GGGa that
applies to new petroleum refining
affected sources. This new subpart
GGGa references all of the new
standards in subpart VVa except for the
monitoring requirements for connectors.
Reasons for the differences in standards
between subparts VVa and GGGa are
described elsewhere in this preamble.
Sources subject to 40 CFR part 60,
subpart DDD and 40 CFR part 60,
subpart KKK, and sources subject to the
Refinery NESHAP (40 CFR part 63,
subpart CC), but not subject to 40 CFR
part 60, subparts VV or GGG, are not
required to comply with 40 CFR part 60,
subpart VVa at this time.
While we understand there is a
concern that existing sources are more
likely to leak, there is no provision in
section 111 of the CAA that allows us
to retroactively apply new standards to
sources already subject to the NSPS.
EPA agrees with the statements made by
the commenters that relate to the
application of new requirements under
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NSPS to existing sources. Section 111 of
the CAA does state that NSPS will apply
only to new, reconstructed, or modified
sources after the date of proposal. The
authority to regulate existing sources
under section 111(d) of the CAA does
not authorize EPA to regulate criteria
pollutants or precursors to such
pollutants. Therefore, we have not
included any new requirements for
existing sources in the final
amendments to 40 CFR part 60, subpart
VV and subpart GGG. These
requirements will apply only to sources
that commence construction,
reconstruction, or modification after the
November 7, 2006 proposal date.
2. Definition of Process Unit
Comment: Numerous commenters
expressed concern that the revised
definition of process unit is inconsistent
with EPA’s original intent when 40 CFR
part 60, subpart VV was proposed (i.e.,
it expands the scope), that it
complicates compliance, or that it
creates additional confusion. One
commenter stated that under the
existing definition, a component is part
of a process unit based on its function,
not whether it is classified as a specific
type of equipment. The commenter
indicated that since 1981, sources and
their regulators have decided what
constitutes a process unit based on what
equipment serves the functions
described in the definition, and this
process unit may be different from
process units under other rules.
After reading the preamble discussion
of the proposed change, one commenter
expressed concern that the proposed
definition inadvertently includes valves
and other equipment on storage tanks.
Other commenters objected to the
inclusion of all feed, intermediate, and
product storage vessels and transfer
operations in the definition because the
following discussion from the original
rulemaking notice for 40 CFR part 60,
subpart VV (46 FR 1139, January 5,
1981) makes it clear that EPA’s original
intent was to include storage in the
process unit only if it is within the
battery limits of the process:
‘‘A process unit is specifically defined
as equipment assembled to produce one
or more of the chemicals listed in
proposed appendix E which can operate
independently if supplied with
sufficient feed or raw materials and
sufficient storage facilities for the final
product. A process unit includes
intermediate storage or surge tanks and
all fluid transport equipment connecting
reaction, separation, and purification
devices. All equipment within the
battery limits is included. However,
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offsite fluid transport and storage
facilities are excluded.’’
Several commenters described ways
the proposed change could complicate
compliance. For example, two
commenters indicated that it would
increase the difficulty of tracking
equipment, process units, and
applicable requirements at refineries
where the storage and transfer areas are
consolidated into ‘‘logistical process
units’’ that support numerous process
units, particularly when storage tanks
are shared by multiple process units.
One commenter added that it may also
either restrict the ability of a facility to
use its tanks as needed, because they
will have been forced into an arbitrary
association with a given unit, or create
a useless recordkeeping exercise each
time a tank switches contents or
services a different process. To avoid
immediate compliance problems for
affected sources that are currently
subject to 40 CFR part 60, subpart VV,
a commenter requested that existing
facilities be allowed 180 days after
promulgation of the amendments so that
they will have time to include the
additional equipment in the applicable
LDAR programs. Commenters also noted
that the rule should clarify how to
assign storage vessels and transfer racks
that are shared by multiple processes;
they suggested using language in the
HON and the Refinery NESHAP as a
guide. One commenter stated that EPA
should clarify that a compressor is still
a separate affected facility from the
group of equipment in a refinery process
unit under 40 CFR part 60, subpart
GGG.
Response: The first sentence in the
definition of ‘‘process unit’’ in the final
amendments and new standards
includes the term ‘‘components’’ as in
the existing definition rather than
‘‘equipment’’ as in the proposed
amendments. This correction
distinguishes major process vessels such
as reactors and distillation units (i.e.,
‘‘components’’) from pieces of
equipment, as defined in the rule, that
are subject to the LDAR standards. In
addition, the last sentence of the
proposed definition has been replaced
to reference ‘‘equipment’’ as it is
defined in the applicable subpart. This
change should address concerns that
compressors at petroleum refineries are
separate affected sources. Otherwise,
there are no differences between the
proposed and final definitions.
The amended definition of process
unit clarifies EPA’s original intent and
is consistent with the language provided
by the commenters from the January
1981 rulemaking. It is clear from the
1981 rulemaking that all equipment that
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is located within the battery limits is
included as part of the process unit.
Likewise, there is no question that any
fluid transport and storage facilities
located outside of the facility property
are not included. However, the 1981
language also states that a process unit
includes storage tanks and all fluid
transport equipment. There is no
specification that these components are
only included if within the battery
limits. There has been confusion in the
past regarding the inclusion of
components outside of the battery limits
but within the property of the facility.
To clarify this issue, EPA previously
issued formal guidance (see April 6,
1994 letter from John Rasnic to
Raymond Hiley in Docket ID No. EPAHQ–-OAR–2006–0699).
We agree that the determination of
whether a particular tank is a storage
tank, feed tank, or intermediate tank and
part of a process unit must be done on
a site-specific basis, dependent on how
the tank functions within a particular
plant site. The physical proximity of the
storage tank to the other processing
equipment within a process unit is not
a sole determinate in establishing
whether a storage tank is part of the
process or not.
The final amendments and new
standards include provisions for
assigning a shared storage tank to a
specific process unit for the purposes of
an LDAR program. The owner or
operator will need to determine what
process units the storage tank is
associated with. They will then
determine which process unit, or
combination of units subject to the same
subpart, has the greatest annual quantity
of stored materials in that tank. The
subpart that the process unit (or
combination of units subject to the same
subpart) associated with the greatest use
of that tank is subject to will be the
applicable subpart for the tank. The
process unit, which is subject to the
same subpart as the tank, with the
greatest annual quantity of stored
materials in that tank will be the process
unit the tank is assigned to. If a tank is
shared equally between two process
units that are subject to 40 CFR part 60
standards, the process unit with the
most stringent requirements will be the
unit the tank is assigned to. For
example, if the predominant use of a
storage tank is to service a process unit
subject to 40 CFR part 60, subpart VV,
that storage tank is a part of that process
unit and subject to subpart VV and the
equipment must be monitored at a leak
definition of 10,000 ppm.
Comment: Two commenters
wondered how the change in the
definition of ‘‘process unit’’ would
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affect modification and reconstruction
determinations. One commenter
expressed concern that it will make it
easier for an owner or operator to add
new equipment to an existing process
unit without triggering the threshold
that would make the process unit a new
affected source. The second commenter
noted that including feed tanks in the
definition changes the basis for the
modification and reconstruction cost
test and asked how changes that have
already occurred should be handled in
this determination.
Response: Since the amended
definition is a clarification of our
original intent with respect to
applicability of 40 CFR part 60, subpart
VV to equipment on storage tanks and
lines between storage tanks and
processing equipment, there will be no
impact on modification or
reconstruction determinations. If a
facility believes that they have
performed a previous modification or
reconstruction determination in error,
they should contact their delegated
authority.
B. Standards
1. Initial Monitoring of Pumps and
Valves
Comment: Numerous commenters
objected to the proposed clarifications
for the initial monitoring of pumps and
valves that are installed after the startup
of the process unit. Several commenters
stated that the proposed provisions are
significant new requirements and
cannot be finalized without
demonstrating that they represent BDT
and giving the public a chance to
comment on the supporting analyses.
Two commenters indicated that they are
unaware of any SOCMI facilities that
routinely monitor new pumps and
valves within 1 month of startup, and
the supporting documentation for the
proposal contains no data from SOCMI
sources. Several commenters requested
that EPA allow at least 90 or 180 days
because complying within 1 month
would be burdensome, particularly for
facilities that use third party contracting
for monitoring; 1 month is not enough
time to integrate new equipment into
the monitoring program; 40 CFR 60.8 of
the General Provisions provides 180
days for performance tests; and EPA has
not explicitly stated how monitoring
within 1 month will reduce emissions.
Two commenters noted that EPA’s
justification of the requirement for
valves is that it is needed to ensure that
the valve does not leak until its first
quarterly or annual monitoring, but no
data were presented to show such
leakage occurs or is a problem. The
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commenters also requested that when
establishing the final requirement for
initial monitoring of pumps and valves,
the timeframe be given in days, not
months.
In contrast with the above comments,
three commenters supported the
proposed language or more stringent
requirements. One of these commenters
recommended monitoring new pumps
within 1 month after installation to
minimize the time period for potential
leaks. A second commenter
recommended that monitoring be
required even sooner after installation.
This commenter also questioned why a
clarification of the requirements for
pumps was needed because the
preamble to the proposed amendments
did not explain how industry currently
handles new pumps and why that
practice is a problem. This commenter
also objected to the second sentence in
40 CFR 60.482–7(a)(2) because it means
valves added to a process would not
have to be monitored for 2 consecutive
months before implementing skip
monitoring, which is less stringent than
the requirements for valves in an
entirely new process.
Response: The language pertaining to
the initial monitoring of new pumps
and valves was added to the final
amendments and new standards to
clarify how new equipment should be
handled in the existing monitoring
schedule, but these are not new
requirements. Under the current rule,
pumps are to be monitored monthly
whether they are newly installed or
installed prior to the process unit
becoming an affected source (40 CFR
60.482–2(a)(1)). It is unclear to us how
a facility is complying with the
requirements for pumps if they are not
being monitored monthly. Also under
the current rule, all new valves are to be
monitored monthly (i.e., base period)
until two consecutive monthly readings
are found below the applicable leak
definition, at which point the valve may
be monitored quarterly until a
subsequent leak is found (40 CFR
60.482–7(a)). Finding of a subsequent
leak reverts the monitoring back to
monthly until two consecutive monthly
readings below the applicable leak
definition is reestablished. The current
rule also has an alternative standard for
valves at 40 CFR 60.483–2 which allows
for longer ‘‘skip’’ periods based on
continued performance. Again, we are
uncertain that a facility is complying
with the requirements for these valves if
they are not monitoring new valves
within the first month of operation.
However, to provide operational
flexibility, we have decided to add an
option for newly installed valves in the
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final amendments and new standards. If
a new valve is placed into service
during a skip period, the source has the
option to either monitor the valve on the
monthly schedule and establish the skip
period for that valve, or count the valve
as a leaker in the percent leaking
calculation. If the result of the percent
leaking calculation remains below 2.0
percent with the new valve counted as
a leaker, the owner or operator must
monitor the new valve by the next
scheduled skip period or within 90
days, whichever comes first. We have
stated the timeframe for these
requirements in days instead of months
in the final amendments and new
standards (30 days for pumps and either
30 or 90 days for valves, depending on
whether the owner or operator is
complying with the skip monitoring
option).
Comment: Three commenters
requested clarification of the
applicability of the proposed initial
monitoring provision. Two commenters
stated that the term ‘‘placed in service’’
clearly implies that pumps and valves
should follow the initial monitoring
schedule after they are initially
installed. However, the term ‘‘placed in
service’’ also implies that previously
installed pumps and valves should be
monitored after they have been placed
back into service after maintenance,
turnarounds, and repairs. Both
commenters recommended changes to
clarify that only newly installed or
rebuilt pumps and valves should be
monitored following the schedule for
initial monitoring.
Response: The initial monitoring
requirement is for pumps and valves
that come into VOC service through a
process expansion or replacement not
associated with a repair (e.g.,
preventative maintenance). These
pumps and valves may be newly
purchased or they may be equipment
that was previously in service elsewhere
in the process unit or facility. A newly
purchased, rebuilt, repaired, or
remanufactured pump or valve installed
to repair a leaking pump or valve is not
subject to the initial monitoring
requirements. Instead, the pump or
valve should be monitored to verify that
there is no longer a leak (as required in
the definition of ‘‘repaired’’) and may be
subsequently monitored according to
the schedule that applied to the
previously leaking pump or valve.
To further clarify this issue, we have
revised 40 CFR 60.482–2(a)(1), 40 CFR
60.482–7(a)(2), 40 CFR 60.483–2(b)(7),
40 CFR 60.482–2a(a)(1), 40 CFR 60.482–
7a(a)(2), and 40 CFR 60.483–2a(b)(7).
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2. Weekly Pump Inspections
Comment: Numerous commenters
addressed the proposed changes to the
requirements for weekly inspections of
pumps. One commenter supported the
proposed changes, including the
changes to 40 CFR 60.482–2(b)(2)(ii),
which states that if a visible liquid leak
is found, it may be repaired by removing
the visible indication of the leak. Based
on the commenter’s experience, a
visible leak does not always indicate a
regulatory leak. Another commenter
agreed with the clarification allowing
facilities to determine if a leak is
emitting VOC using EPA Method 21
because it will help to focus repairs on
pumps leaking hydrocarbons.
Three commenters did not support
the proposed changes to the weekly
inspection requirements. Two of these
commenters disagreed with EPA’s
conclusion that the existing
requirements are overly burdensome.
According to one commenter, an
operator should be required to make a
showing of an undue burden; simply
stating that an operator may have to
conduct more inspections and repair
more leaks than absolutely necessary
does not demonstrate an undue burden.
Two commenters noted that eliminating
evidence of liquids dripping does not
guarantee that the pump is no longer
leaking VOC. As a result, these two
commenters stated that monitoring
should be required after eliminating
evidence of liquids dripping to verify
that repair was successful. Even if
liquids dripping are not process fluid,
one commenter noted that the liquid is
probably either seal barrier fluids or
condensate from a pump jacket used for
temperature control. Regardless of the
cause or fluid, one commenter noted
that any liquid dripping may be a first
sign of a potential maintenance problem
that is best addressed as soon as
possible as a matter of good operational
practice as well as good environmental
practice.
Response: The aim of the LDAR
program is to find and repair leaks of
VOC. In some instances, the liquids
found dripping from pumps are not
VOC-containing liquids or otherwise
would not meet the leak definition. In
these cases, the pump would not be
required to be repaired under the LDAR
program. Adding the option to monitor
allows the owner or operator to
determine if the liquids dripping
constitute a VOC leak, thus focusing
their efforts on reducing VOC emissions.
If the owner or operator chooses not to
monitor the pump to determine if the
liquids dripping are a VOC leak, the
liquids dripping from the pump are
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classified as a VOC leak. The leak must
be repaired by eliminating indications
of liquids dripping, and the appropriate
recordkeeping and reporting
requirements for leaks apply to that
pump. We agree with the commenter
that persistent liquids dripping may
indicate an operation problem that
should be addressed by maintenance. If
indications of liquids dripping are noted
for one pump during multiple weekly
inspections, we encourage facilities to
ensure that the pump is operating
properly. We do not agree that more
frequent EPA Method 21 monitoring is
necessary because pumps are currently
monitored on a monthly basis and the
additional monitoring would not result
in substantial emission reductions.
3. Connectors
Comment: In response to our request
for comments regarding whether
connector monitoring should be
required, three commenters expressed
support for it, and nine commenters
opposed it. Supporters argued that
significant reductions could be achieved
at a reasonable cost. Opponents argued
that the impacts analysis overstated the
emission reductions and
underestimated the costs. According to
two of the opponents, EPA did not
require connector monitoring in the
MON (40 CFR part 63, subpart FFFF)
because the cost was determined to be
unreasonable. One commenter indicated
that monitoring as proposed is not
worth the effort because most
connectors are adjacent to valves, and
these connectors are investigated and
monitored when valve monitoring
results in abnormal readings.
Six commenters objected to some of
the assumptions we used to estimate
equipment leak emissions. Some of
these commenters stated that our
emission reduction estimates were high
because we used assumed leak
frequencies and leak rates from Protocol
for Equipment Leak Emission Estimates
(EPA–453/R–95–017, November 1995)
(the Protocol document) rather than
actual field data. One commenter added
that these data often predict emissions
an order of magnitude higher than the
actual emissions. Another commenter
submitted a report that concluded there
is no statistical difference in average
leak rates between initial and
subsequent monitoring at HON and
MON units. This commenter also
questioned the assumption that all
leaking connectors would be
successfully repaired after each
monitoring cycle. Several commenters
objected to estimating emissions based
on leak rates equal to 170 percent of
actual observed leak rates. One
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commenter noted that one refinery
monitored more than 22,000 connectors
and found only four leaking at greater
than 1,000 ppm. Less than 0.5 percent
of the connectors in process units
subject to the HON at another refinery
were leaking at greater than 500 ppm.
Four commenters objected to various
elements in the cost estimates. These
commenters noted that more connectors
than valves are difficult to monitor, and
the cost analysis did not include the
cost for the additional labor and
equipment needed to monitor these
connectors. One commenter stated that
the unit cost for monitoring connectors
should be more than $1.50 per
connector because the time required to
monitor a connector is longer than for
other types of equipment. The increased
monitoring time is the result of several
factors: (1) The distance that must be
traversed per component is greater; (2)
connectors often are in hard-to-reach
locations, requiring the operator to
squeeze through small spaces, often
having to remove the monitor backpack;
and (3) connectors tend to be spread out
and are hard to find. In addition, this
commenter noted that recordkeeping for
connectors is more burdensome and
complicated than for valves. Connectors
are not typically shown on process and
instrumentation drawings, making them
difficult to find. The commenter stated
that our estimate of 10 hours per year
to complete administrative tasks and
reports associated just with monitoring
connectors is inadequate. Finally, the
commenter noted that our cost estimates
omit the cost of a data collection system
or monitoring device rental; the
commenter estimated these costs to be
$14,500 for data collection systems and
$135 per day for monitor rental. The
commenter stated that even if a facility
has a data collection system, additional
licenses are needed to add connectors.
Another commenter stated that rationale
for requiring monitoring at SOCMI
facilities does not apply to natural gas
processing plants; thus, this commenter
requested that an impact analysis be
performed to address natural gas
processing plants before making that
industry subject to connector
monitoring.
In contrast with the above comments,
three commenters were in favor of
adding connector monitoring to the rule.
One commenter suggested that
connectors be monitored annually or
biennially because they have significant
leak potential that would go undetected
without monitoring. Regardless of the
uncertainties in the leak rates and
emissions factors, another commenter
stated that connector monitoring should
be required because emissions
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reductions can be achieved at a
relatively low cost. The third
commenter supported a requirement to
monitor connectors at SOCMI sources
because it is technically feasible, our
impacts analysis shows it is
economically feasible, and it would
achieve greater reductions than the
proposed amendments for pumps and
valves. According to this commenter,
more accurate emissions data in the
impacts analysis is unnecessary because
emissions inventories based on
monitoring data typically show
emissions that are higher than the
emissions estimated using engineering
calculations and emission factors,
which would only strengthen the
argument for monitoring. This
commenter also argued that refineries
should be required to monitor
connectors because such monitoring is
technically feasible, it is already
required for some refineries in Texas
and California, and our impacts analysis
showed connectors at refineries were
more likely to leak than connectors at
SOCMI sources.
Response: Both the HON and MON
regulations are based on emissions of
hazardous air pollutants (HAP). NSPS
are based on VOC emissions (both HAP
and non-HAP). When calculating the
cost-effectiveness for NSPS, there are
more possible emission points and a
higher percentage of regulated
pollutants in the emissions because the
analysis is not based only on HAP
emissions. This results in a different
conclusion for cost-effectiveness than in
the HON or MON.
The commenter’s claim that we used
the leak frequencies and leak rates in
the Protocol document for the SOCMI
analysis is incorrect. We used the same
initial leak frequency (0.36 percent) as
in the MON analysis. We also started
with the same initial leak rate (0.000186
kilogram (kg)/hour (hr)/connector), but
we then escalated it in the same manner
that leak rates for pumps and valves
were escalated. The leak frequencies
and leak rates in the MON analysis were
based on industry-supplied data for
almost 165,000 connectors. We decided
not to use the leak rate data in the report
supplied by one of the commenters
because it contains a smaller data set
(29,000 connectors), and it is possible
that these data are also included in the
larger data set. However, our
assumption that the subsequent leak
frequency is the same as the initial leak
frequency is consistent with the
conclusion in the report cited by the
commenter.
The new standards in 40 CFR part 60,
subpart VVa include connector
monitoring because we have determined
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that it is cost-effective at SOCMI
sources. The specific monitoring
provisions are the same as in the
Generic MACT. However, we have
determined that connector monitoring is
not cost-effective for petroleum
refineries. Therefore, an exemption from
the provisions for connector monitoring
has been included in 40 CFR part 60,
subpart GGGa. At this time, we are not
reviewing 40 CFR part 60, subpart KKK;
therefore, no cost analysis has been
performed on connector monitoring for
these sources, and natural gas
processing plants subject to 40 CFR part
60, subpart KKK are not subject to the
connector monitoring requirements in
subpart VVa.
After reviewing the comments, we
revised the impacts analyses to include
two of the suggested changes to the cost
estimates. First, we corrected an error,
which increased the estimated time for
reporting and administrative activities
related to connectors from 10 hr/year
(yr) to 50 hr/yr. Second, although we are
not aware that monitoring contractors
charge a higher fee for connectors than
for other equipment, we accept the
commenter’s suggested fee of $2.50/
connector because the $1.50/connector
that we used in the original analysis
may be closer to the low end of the
range than the average. We disagree
with the other changes suggested by the
commenters. Details of the revised
impacts analysis, including rationale for
not making the suggested changes, are
provided in the docket (Docket ID No.
EPA–HQ–OAR–2006–0699).
C. Test Methods and Procedures
Comment: Two commenters
supported the requirement to conduct
calibration drift assessments and
remonitor when the assessment shows a
negative drift of more than 10 percent.
Other commenters acknowledged that a
drift check is a good practice or a useful
quality assurance/quality control (QA/
QC) tool, and one commenter agreed
with EPA’s rationale for requiring drift
checks.
On the other hand, four commenters
opposed the drift check requirement,
saying it is unnecessary and provides no
environmental benefit. One of these
commenters added that monitoring
instruments such as the Foxboro TVA
1000 FID/PID or Foxboro TVA 1000B
are quite stable over a 24-hour period,
and EPA has not presented data or an
analysis showing the need for
calibration assessments. A second
commenter noted that instruments
typically drift in a positive direction. A
third commenter argued that a drift
check and re-monitoring is a futile effort
to make the equipment leak monitoring
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method more accurate than was
originally intended and than the
instruments can achieve because of the
following: (1) The Foxboro TVA 1000B
instrument accuracy is only ±25 percent
for readings between 1 and 10,000 parts
per million by volume (ppmv); (2) a
response factor as high as 10 is allowed
for compounds of interest; (3) the 10
percent drift limit is inconsistent with
the level of the instrument’s accuracy
allowed by EPA Method 21; and (4)
leaking equipment does not emit a
constant concentration. In addition, this
commenter noted that drift checks
conducted to satisfy consent decrees
have shown only about 10 percent of
instruments drift more than 10 percent
every 2 to 3 weeks, and the release of
calibration gases would be considered a
negative environmental impact.
Response: We are removing the
requirement for a post-test calibration
drift assessment from the final
amendments but retaining the
requirement for the new subparts. Posttest calibration drift assessments
constitute good practice and are a useful
QA/QC tool to validate the proper
operation of the monitor during the
monitoring period and, hence, the
measurement data. The requirement for
a calibration drift assessment is not an
effort to make the method more accurate
than was originally intended, but is
intended as an additional quality
assurance check.
Comment: Numerous commenters
considered the proposed re-monitoring
requirement to be excessive. Instead of
re-monitoring when instrument readings
are greater than 20 percent of the
applicable leak definition, two
commenters suggested changing the
threshold to 75 or 80 percent. Another
commenter suggested using a percentage
equal to 100 minus the percent of
negative drift. If re-monitoring is
required when negative drift occurs, two
commenters stated that an owner or
operator should also have the option of
re-monitoring when positive drift occurs
and reclassifying leakers as nonleakers.
One of these commenters also suggested
four additional changes: (1) Because
monitoring shifts may vary, require the
assessment at the end of each day rather
than the end of each monitoring shift;
(2) allow an unlimited number of
calibration drift assessments per day; (3)
determine drift relative to the most
recent calibration value rather than the
initial value for the day; and (4) specify
that a drift assessment is not required
after re-monitoring.
Response: We agree with the
suggestion to establish the retest
criterion at the percentage equal to 100
minus the percent of negative drift and
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are modifying the requirement
accordingly. We also agree with the
commenter’s suggestion that an owner
or operator should have the option of remonitoring when positive drift occurs
and reclassifying leakers as non-leakers
when the re-monitoring after
recalibration due to positive drift
indicates the previously identified leak
is below the leak definition
concentration. We agree that monitoring
shifts may vary, and the new standards
require the assessment at the end of
each day rather than the end of each
monitoring shift. The new standards
allow an unlimited number of
calibration drift assessments per day,
and we have clarified that the drift
assessment is determined relative to the
most recent calibration value rather than
the initial value for the day. We do not
agree that a drift assessment is not
required after remonitoring and have
not made this change to the new
standards.
D. Recordkeeping and Reporting
Comment: One commenter supported
the proposed requirement to keep
records of all monitoring results because
more and better data can only help
facility owners and operators efficiently
and effectively address the problem of
fugitive emissions. Another commenter
stated that records of weekly pump
inspections are needed to make the
inspection requirement enforceable. On
the other hand, many commenters either
opposed or urged us to reconsider the
need for one or more of the following
proposed recordkeeping requirements:
(1) Results of all monitoring events; (2)
time of each monitoring event; (3)
information related to the proposed
initial monitoring requirement for
pumps and valves added to a process
unit; (4) results of the proposed
monitoring of OEL; (5) information
related to the proposed requirement to
monitor bypass lines; (6) results of
calibration drift checks; and (7) results
of weekly pump inspections.
Several commenters stated that the
additional recordkeeping would be
burdensome and either would not
improve the rule’s effectiveness or is
excessive relative to any minimal
improvement in performance. In
addition, one commenter stated that the
proposal preamble did not adequately
explain how we estimated the cost of
the additional recordkeeping and
reporting for SOCMI sources to be
$369,000/yr, and another stated that the
proposal preamble did not explain why
the current monitoring requirements are
not sufficient to verify that monitoring
was performed. According to one
commenter, recording the time of
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monitoring has hindered many
programs and reduced productivity, and
the additional records will generate an
administrative backlog of data and
create issues with storage and
accessibility. Although this commenter
agreed that the proposed records can be
useful in verifying quality control of the
LDAR program, the commenter asserted
that a more cost-effective way to achieve
quality control is to physically monitor
the program. Furthermore, this
commenter stated that by requiring the
records, we are specifying the means by
which a facility must implement the
LDAR program rather than outlining the
performance standard. Another
commenter expressed concern that the
additional recordkeeping exposes
facilities to the potential of incurring
deviations for records that serve no
purpose.
Response: As stated in section III.B of
this preamble, the recordkeeping
requirements in the final amendments
and new standards are authorized by
section 114 of the CAA. We have made
significant changes to the proposed
recordkeeping requirements as a result
of the changes made to the scope and
applicability of the standards. Because
the final amendments to 40 CFR part 60,
subparts VV and GGG include only
clarifications to existing requirements,
burden reducing provisions, and new
compliance options, no changes or
additions to the recordkeeping
requirements in subpart VV or GGG are
needed to document and/or enforce
these amendments. The recordkeeping
requirements apply to the new
standards (40 CFR part 60, subparts VVa
and GGGa), as proposed, with a few
exceptions. First, we removed the
requirement to record the time of each
monitoring event because the total
number of pieces of equipment that are
monitored each day should be sufficient
for evaluating the ability of an operator
to properly perform EPA Method 21.
Second, records of information on
bypass lines are not required because
the new subpart does not include the
requirement to monitor bypass lines.
Third, because sources subject to
subpart GGGa are not required to
comply with the monitoring
requirements applicable to connectors,
the associated recordkeeping
requirements do not apply to those
sources. CAA section 114 specifically
provides that we may have access to and
copy any records and inspect any
monitoring equipment and compliance
method.
E. Burden Estimates
Comment: According to one
commenter, the burden impact analyses
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of the proposed new recordkeeping and
reporting requirements as presented in
the preamble and docket do not comply
with the ICR requirements of the
Paperwork Reduction Act (PRA). The
proposed new requirements of concern
to the commenter are the requirements
to keep records of information for all
monitoring events, the time of each
monitoring event, the time a new pump
or valve is placed in service and results
of new monitoring requirements for
such pumps and valves, results from the
new monitoring requirement for OEL,
results of the new calibration drift
checks, and results of weekly pump
inspections. Another commenter also
stated that the ICR requirements in the
PRA were not met for recordkeeping
and reporting associated with the
proposed initial monitoring requirement
for valves. A third commenter expressed
a general concern that the proposed
recordkeeping requirements may not
meet the administrative requirements
for proposing new NSPS.
One commenter noted several specific
deficiencies and concerns with the
burden impact analyses. First, it is not
clear if all of the proposed new
requirements are addressed in the ICR
for sources subject to NSPS 40 CFR part
60, subpart GGG because the ICR does
not discuss the incremental effects of
the new requirements. Second, the ICR
for SOCMI sources appears to address
impacts only for those sources that elect
to comply with the CAR option, not
those that would comply directly with
40 CFR part 60, subpart VV. Third, no
ICR analyses were provided for sources
that are subject to other rules that
reference subpart VV (i.e., NSPS
subparts DDD and KKK of 40 CFR part
60, and the Refinery NESHAP). Fourth,
the available analyses appear to address
burden impacts only for sources that
become subject to subparts VV and GGG
in the future, but the proposed new
requirements also would apply to
sources that are currently subject to
subpart VV or any of the rules that
reference it. Fifth, even if some facilities
voluntarily collect some of the records
of concern, a requirement making their
collection mandatory is still subject to
the PRA, Regulatory Flexibility Act, and
Executive Order 12866. Sixth, the
commenter noted that the claim in the
preamble that records of all monitoring
events would be ‘‘useful’’ is not a legal
basis for imposing the recordkeeping
requirement. Seventh, if the total
burden for all of the sources exceeds
$100 million per year, additional review
is triggered under other laws and
Executive Order 12866. Based on the
lack of analyses, the commenter stated
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64873
that proposed recordkeeping and
reporting requirements cannot be
imposed on any sources, except perhaps
new sources subject to subpart GGG,
without additional proposal notice and
opportunity for public comment.
Response: We disagree with the
conclusions drawn by the commenters
regarding the availability of the ICR.
Document number EPA–HQ–OAR–
2006–0699–0038 is the ICR associated
with the CAR and all subparts that
reference the CAR. This supporting
statement displays the burden for
sources that opt to comply with the CAR
and for sources that opt to comply with
their own referenced subpart, including
40 CFR part 60, subpart VV. For
reference, pages 2–3, 6–7, 12–16, 33, 53,
77, and 112 all provide information
specific to 40 CFR part 60, subpart VV.
For the final amendments and new
standards, we have made adjustments to
the supporting statements for all
subparts involved. The burden
associated with the amended 40 CFR
part 60, subpart VV and the new 40 CFR
part 60, subpart VVa is included in the
supporting statement for the CAR and
all other referenced subparts. The
burden associated with the amended 40
CFR part 60, subpart GGG and the new
40 CFR part 60, subpart GGGa is
included in the supporting statement
that originally just supplied information
for subpart GGG.
Because this particular rulemaking
did not evaluate sources subject to 40
CFR part 60, subparts DDD and KKK or
the Refinery NESHAP, we have not
included any changes to the associated
ICR for these subparts.
V. Summary of Cost, Environmental,
Energy, and Economic Impacts
In setting standards, the CAA requires
us to consider alternative emission
control approaches, taking into account
the estimated costs and benefits, as well
as the energy, solid waste, and other
effects. We are presenting estimates of
the impacts for the 500 ppm leak
definition for valves and the 2,000 ppm
leak definition for pumps in 40 CFR part
60, subparts VVa and GGGa and
connector monitoring in subpart VVa.
The final amendments are clarifications
to the existing subpart VV and subpart
GGG to 40 CFR part 60; they have no
associated emission reduction impacts.
The cost, environmental, and economic
impacts of the new standards are
expressed as incremental differences
between the impacts of SOCMI and
petroleum refining process units
complying with the new subparts and
the current NSPS requirements (i.e.,
baseline). The impacts are presented for
SOCMI and petroleum refining process
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units constructed, reconstructed, or
modified over the next 5 years. The
analyses and the supporting
documentation referenced below can be
found in Docket ID No. EPA–HQ–OAR–
2006–0699.
EPA estimates that there are no
significant energy or secondary
environmental impacts as a result of the
new standards. The new standards are
changes to work practice requirements
and do not require changes to
equipment or control devices.
Therefore, use of fuel or electricity is
not expected to increase significantly as
a result of the new standards. Likewise,
the new standards do not require
physical changes that have the potential
to increase wastewater or solid waste
from SOCMI or petroleum refinery
process units.
A. What are the impacts for SOCMI
process units?
The methodology used to estimate
impacts for the lower leak definitions
for pumps and valves in the new 40 CFR
part 60, subpart VVa is essentially the
same as the methodology described in
section VI.A of the preamble for the
proposed amendments (71 FR 65311,
November 7, 2006). There are, however,
a few changes in the assumptions. We
adjusted the estimates of baseline
emissions and monitoring frequencies
for new, modified, and reconstructed
process units not subject to the HON,
the MON, or the Ethylene NESHAP to
better reflect baseline conditions.
In addition, we added emission
reduction and cost impacts for the
monitoring of connectors. The analysis
completed for the proposed
amendments to 40 CFR part 60, subpart
VV was documented in a technical
memorandum (EPA–HQ–OAR–2006–
0699–0035). Based on the leak
frequencies obtained from Revised
MACT Floor, Regulatory Alternatives,
and Nationwide Impacts for Equipment
Leaks at Chemical Manufacturing
Facilities (EPA–HQ–OAR–2003–0121–
0004) at a leak definition of 500 ppm,
we estimated that connectors would be
monitored once every 4 years. SOCMI
process units subject to the HON are
already required to monitor connectors,
so the baseline impacts for process units
subject to these standards were
equivalent to the impacts of the new
standards. The methodology did not
change for the analysis of the impacts
for connectors subject to the new
subpart VVa of 40 CFR part 60.
Based on the assumptions described
above, we estimate that the new
standards will reduce emissions of VOC
about 325 tons/yr from the baseline. The
estimated increase in annual cost,
including annualized initial costs, is
about $821,000. The cost-effectiveness
is about $1,700 per ton of VOC removed.
The estimated nationwide 5-year
incremental emissions reductions and
cost impacts for each of the new
standards are summarized in Table 2 of
this preamble.
TABLE 2.—NATIONAL EMISSION REDUCTIONS AND COST IMPACTS FOR SOCMI UNITS SUBJECT TO STANDARDS UNDER
SUBPART VVA OF 40 CFR PART 60
[5th Year After Proposal]
Annual emission reductions, tons/yr
Requirement
Total initial cost,
$million
Annualized
cost,
$thousand/yr
Recovery
credit,1
$thousand/yr
Total annual
cost,
$thousand/yr
Cost-effectiveness, $/ton
Lower leak definition for valves and
pumps .................................................
Monitor connectors ................................
94
230
0.15
3.1
41
780
77
190
¥36
590
¥380
2,500
Total ................................................
325
3.25
821
270
554
1,700
1Value
of recovered product is $818/ton.
B. What are the impacts for petroleum
refining process units?
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The methodology used to estimate
impacts for the new 40 CFR part 60,
subpart GGGa is essentially the same as
the methodology described in section
VI.B of the preamble for the proposed
amendments (71 FR 65311). There are,
however, a few changes in the
assumptions. For example, we originally
assumed that the leak definitions in the
Refinery NESHAP for valves and pumps
on new sources since July 14, 1994, are
equivalent to the leak definitions in 40
CFR part 60, subparts VVa and GGGa.
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However, the leak definitions in
subparts VVa and GGGa are, in fact,
more stringent than the Refinery
NESHAP (proposed amendments at 72
FR 50716, September 4, 2007, did not
include any changes to the equipment
leak standards). Therefore, process units
subject to both standards will comply
with the leak definitions in subpart
GGGa, so we revised the analysis of the
impacts for the promulgated
amendments to include the impacts for
sources subject to both the Refinery
NESHAP and subpart GGGa. We also
adjusted the estimates of baseline
emissions and monitoring frequencies
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for process units not subject to a consent
decree. The revised impacts analysis is
described in detail in Docket ID No.
EPA–HQ–OAR–2006–0699.
We estimate that the new standards
will reduce emissions of VOC about 13
tons/yr from the baseline. The estimated
increase in annual cost, including
annualized initial costs, is about
$26,000. The cost-effectiveness is about
$1,600 per ton of VOC removed. The
estimated nationwide 5-year
incremental emissions reductions and
cost impacts for the new standards are
summarized in Table 3 of this preamble.
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64875
TABLE 3.—NATIONAL EMISSION REDUCTIONS AND COST IMPACTS FOR PETROLEUM REFINERY UNITS SUBJECT TO
STANDARDS UNDER SUBPART GGGA OF 40 CFR PART 60
[5th Year After Proposal]
Annual emission reductions, tons/yr
Requirement
Lower leak definition for valves and
pumps ...................................................
1Value
13
Total annual
cost,
$thousand/yr
24
Recovery
credit,1
$thousand/yr
26
7
Total annual
cost,
$thousand/yr
19
Cost-effectiveness, $/ton
1,600
of recovered product is $545/ton.
C. What are the economic impacts?
An economic impact analysis was
performed to compare the control costs
associated with producing a product at
petroleum refineries and various types
of SOCMI facilities to the average value
of shipments from such facilities. Since
we are unable to associate projected
control costs with specific facilities, we
examined two polar cases for each
industry, (1) a worst-case and (2) a bestcase scenario. For the SOCMI, the polar
cases are: (1) No more than eight
complex process units located at a
single facility and (2) no more than one
process unit per facility. For petroleum
refineries, the polar cases are: (1) All of
the affected process units associated
with one facility in the industry and (2)
no more than one affected process unit
at any given facility. In all cases, the
magnitude of the costs is quite small.
The only scenario for which the control
costs reach 0.3 percent of the facility
value of shipments is if an average ethyl
alcohol manufacturing facility (in terms
of value of shipments) experienced the
worst case scenario of 8 complex
processing units requiring control.
Therefore, while the distribution of
costs to small entities is unknown, no
significant impact is expected for
facilities of any size. The impact of the
regulation on prices and profitability
depends on the extent that the costs of
control are passed on in the form of
higher prices or absorbed by the facility.
Because the costs are so small, any price
increases or loss of profit would be quite
small. No significant impact is expected
as a result of the final amendments or
the new standards of performance for
equipment leaks of VOC for the
petroleum refining industry and SOCMI.
VI. Statutory and Executive Order
Reviews
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Total initial
cost,
$thousand
A. Executive Order 12866: Regulatory
Planning and Review
Under Executive Order 12866 (58 FR
51735, October 4, 1993), this action is a
‘‘significant regulatory action’’ because
it may raise novel legal or policy issues.
Accordingly, EPA submitted this action
to the Office of Management and Budget
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(OMB) for review under Executive
Order 12866, and any changes made in
response to OMB recommendations
have been documented in the docket for
this action.
B. Paperwork Reduction Act
The final amendments to the
standards of performance for SOCMI
and petroleum refineries (40 CFR part
60, subparts VV and GGG) do not
impose any new information collection
burden. The final amendments to these
existing rules contain only
clarifications, burden reducing
provisions, and new compliance
options. OMB has previously approved
the information collection requirements
contained in the existing regulations
under the provisions of the Paperwork
Reduction Act, 44 U.S.C. 3501, et seq.,
and has assigned OMB control number
2060–0443, EPA ICR number 1854.04, to
the ICR for subpart VV and OMB control
number 2060–0067, EPA ICR number
0983.08, to the ICR for subpart GGG. A
copy of the OMB-approved ICR may be
obtained from Susan Auby, Collection
Strategies Division, Environmental
Protection Agency (2822T), 1200
Pennsylvania Ave., NW., Washington,
DC 20460 or by calling (202) 566–1672.
The information collection
requirements in these new final
standards (40 CFR part 60, subparts VVa
and GGGa) have been submitted for
approval to OMB under the Paperwork
Reduction Act, 44 U.S.C. 3501, et seq.
The information collection requirements
are not enforceable until OMB approves
them.
The information to be collected for
the new standards are based on
recordkeeping and reporting
requirements in the NSPS General
Provisions in 40 CFR part 60, subpart A,
which are mandatory for all operators
subject to NSPS. These recordkeeping
and reporting requirements are
specifically authorized by section 114 of
the CAA (42 U.S.C. 7414). All
information submitted to EPA pursuant
to the recordkeeping and reporting
requirements for which a claim of
confidentiality is made is safeguarded
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according to EPA policies set forth in 40
CFR part 2, subpart B.
Facilities subject to 40 CFR part 60,
subpart VVa are required to comply
with the same monitoring,
recordkeeping, and reporting
requirements for equipment leaks as
required by 40 CFR part 60, subpart VV,
along with certain additional
requirements. The new recordkeeping
provisions in subpart VVa require
general identifying information for each
monitoring activity required by the rule
and specific information needed to
demonstrate compliance with the new
monitoring provisions for connectors
and pumps in light liquid service
(weekly visual inspections for
indications of dripping liquids). Records
are also required to demonstrate
compliance with the QA/QC
requirement for a calibration drift
assessment at the end of each day and
comparison of the results of the
assessment with the most recent
calibration value. A new, reconstructed,
or modified affected facility subject to
40 CFR part 60, subpart VVa or GGGa
must submit a notification of
compliance status report and include
information about leaking connectors in
semi-annual compliance reports.
Affected facilities subject to subpart
GGGa are required to comply with the
monitoring, recordkeeping, and
reporting requirements in subpart VVa
except for the monitoring requirements
applicable to connectors (and the
associated recordkeeping/reporting
requirements).
The annual average burden for the
information collection requirements in
40 CFR part 60, subpart VVa is
estimated at 7,194 labor-hours per year,
with a total annual cost of $527,104 per
year. The hour burden is based on an
estimated 29 hours per response on a
semi-annual basis by 76 respondents.
Total capital/startup costs associated
with the monitoring equipment over the
3-year period of the ICR are estimated at
$4,200. The operation of the monitors is
included in the monitoring costs, and
maintenance costs on these units are
incidental; therefore, no maintenance or
operation costs are incurred.
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The annual average burden for the
information collection requirements in
40 CFR part 60, subpart GGGa is
estimated at 4,216 labor-hours per year,
with a total annual cost of $330,353 per
year. The hour burden is based on an
estimated 70 hours per response on a
semi-annual basis by 20 respondents.
No capital/startup costs or operation
and maintenance costs are associated
with the information collection
requirements.
Burden means the total time, effort, or
financial resources expended by persons
to generate, maintain, retain, or disclose
or provide information to or for a
Federal agency. This includes the time
needed to review instructions; develop,
acquire, install, and utilize technology
and systems for the purposes of
collecting, validating, and verifying
information, processing and
maintaining information, and disclosing
and providing information; adjust the
existing ways to comply with any
previously applicable instructions and
requirements; train personnel to be able
to respond to a collection of
information; search data sources;
complete and review the collection of
information; and transmit or otherwise
disclose the information.
An agency may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
unless it displays a currently valid OMB
control number. The OMB control
numbers for EPA’s regulations in 40
CFR are listed in 40 CFR part 9. When
this ICR is approved by OMB, the
Agency will publish a technical
amendment for the approved
information collection requirements
contained in the new standards.
C. Regulatory Flexibility Act
The Regulatory Flexibility Act (RFA)
generally requires an agency to prepare
a regulatory flexibility analysis of any
rule subject to notice and comment
rulemaking requirements under the
Administrative Procedures Act or any
other statute unless the agency certifies
that the rule will not have a significant
economic impact on a substantial
number of small entities. Small entities
include small businesses, small
organizations, and small governmental
jurisdictions.
For purposes of assessing the impacts
of the final amendments and new
standards on small entities, small entity
is defined as: (1) A small business
according to Small Business
Administration size standards by the
North American Industry Classification
System (NAICS) category of the owning
entity; (2) a small governmental
jurisdiction that is a government of a
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city, county, town, school district or
special district with a population of less
than 50,000; and (3) a small
organization that is any not-for-profit
enterprise that is independently owned
and operated and is not dominant in its
field. For the SOCMI, a small business
ranges from less than 500 employees to
less than 1,000 employees, depending
on the NAICS code. For petroleum
refiners, a small business has no more
than 1,500 employees and a crude oil
distillation capacity of no more than
125,000 barrels per calendar day.
After considering the economic
impacts of these final amendments on
small entities, I certify that this action
will not have a significant economic
impact on a substantial number of small
entities. We have determined that no
facilities subject to the final
amendments to the standards of
performance for the SOCMI (40 CFR
part 60, subpart VV) and petroleum
refineries (40 CFR part 60, subpart
GGG), including small businesses, will
incur any adverse impacts because the
final amendments do not create any new
requirements or burdens. The final
amendments include only clarifications,
burden-reducing provisions, and new
compliance options. We have
determined that no facilities, large or
small, subject to the new standards of
performance for the SOCMI (40 CFR
part 60, subpart VVa) or petroleum
refineries (40 CFR part 60, subpart
GGGa) will incur any economic impact
greater than 0.3 percent of their
revenues. For more information on the
results of the analysis of small entity
impacts, please refer to the economic
impact analysis for the final
amendments and new standards in
Docket ID No. EPA–HQ–OAR–2006–
0699.
D. Unfunded Mandates Reform Act
Title II of the Unfunded Mandates
Reform Act (UMRA) of 1995, Public
Law 104–4, establishes requirements for
Federal agencies to assess the effects of
their regulatory actions on State, local,
and tribal governments and the private
sector. Under section 202 of the UMRA,
EPA generally must prepare a written
statement, including a cost-benefit
analysis, for proposed and final rules
with ‘‘Federal mandates’’ that may
result in expenditures by State, local,
and tribal governments, in the aggregate,
or to the private sector, of $100 million
or more in any 1 year. Before
promulgating an EPA rule for which a
written statement is needed, section 205
of the UMRA generally requires EPA to
identify and consider a reasonable
number of regulatory alternatives and
adopt the least costly, most cost-
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effective, or least burdensome
alternative that achieves the objectives
of the rule. The provisions of section
205 do not apply when they are
inconsistent with applicable law.
Moreover, section 205 allows EPA to
adopt an alternative other than the least
costly, most cost-effective, or least
burdensome alternative if the
Administrator publishes with the final
rule an explanation why that alternative
was not adopted.
Before EPA establishes any regulatory
requirements that may significantly or
uniquely affect small governments,
including tribal governments, it must
have developed under section 203 of the
UMRA a small government agency plan.
The plan must provide for notifying
potentially affected small governments,
enabling officials of affected small
governments to have meaningful and
timely input in the development of EPA
regulatory proposals with significant
Federal intergovernmental mandates,
and informing, educating, and advising
small governments on compliance with
the regulatory requirements.
EPA has determined that this final
action does not contain a Federal
mandate that may result in expenditures
of $100 million or more for State, local,
and tribal governments, in the aggregate,
or the private sector in any 1 year. As
discussed earlier in this preamble, no
costs are associated with the final
amendments, which contain only
clarifications, burden-reducing
provisions, and new compliance
options. For the new standards, the
estimated annual expenditures for the
private sector in the fifth year after
proposal are $821,000 for SOCMI and
$26,000 for petroleum refineries. Thus,
the final amendments and the new
standards are not subject to the
requirements of sections 202 and 205 of
the UMRA.
In addition, EPA has determined that
the final action contains no regulatory
requirements that might significantly or
uniquely affect small governments. The
final action contains no requirements
that apply to such governments,
imposes no obligations upon them, and
will not result in expenditures by them
of $100 million or more in any 1 year
or any disproportionate impacts on
them. Therefore, the final action is not
subject to the requirements of section
203 of the UMRA.
E. Executive Order 13132: Federalism
Executive Order 13132, entitled
‘‘Federalism’’ (64 FR 43255, August 10,
1999), requires EPA to develop an
accountable process to ensure
‘‘meaningful and timely input by state
and local officials in the development of
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regulatory policies that have federalism
implications.’’ ‘‘Policies that have
federalism implications’’ is defined in
the Executive Order to include
regulations that have ‘‘substantial direct
effects on the States, on the relationship
between the national government and
the States, or on the distribution of
power and responsibilities among the
various levels of government.’’
The final action does not have
federalism implications. The final
amendments and the new standards will
not have substantial direct effects on the
States, on the relationship between the
national government and the States, or
on the distribution of power and
responsibilities among the various
levels of government, as specified in
Executive Order 13132. None of the
affected facilities are owned or operated
by State governments. Thus, Executive
Order 13132 does not apply to this final
action.
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F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
Executive Order 13175, entitled
‘‘Consultation and Coordination with
Indian Tribal Governments’’ (65 FR
67249, November 9, 2000), requires EPA
to develop an accountable process to
ensure ‘‘meaningful and timely input by
tribal officials in the development of
regulatory policies that have tribal
implications.’’ The final action does not
have tribal implications, as specified in
Executive Order 13175. The final
amendments and the new standards will
not have substantial direct effects on
tribal governments, on the relationship
between the Federal government and
Indian tribes, or on the distribution of
power and responsibilities between the
Federal government and Indian tribes,
as specified in Executive Order 13175.
Thus, Executive Order 13175 does not
apply to this final action.
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
Executive Order 13045, entitled
‘‘Protection of Children from
Environmental Health Risks and Safety
Risks’’ (62 FR 19885, April 23, 1997),
applies to any rule that: (1) Is
determined to be ‘‘economically
significant’’ as defined under Executive
Order 12866, and (2) concerns an
environmental health or safety risk that
EPA has reason to believe may have a
disproportionate effect on children. If
the regulatory action meets both criteria,
the Agency must evaluate the
environmental health or safety effects of
the planned rule on children, and
explain why the planned regulation is
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preferable to other potentially effective
and reasonably feasible alternatives
considered by the Agency.
EPA interprets Executive Order 13045
as applying only to those regulatory
actions that are based on health or safety
risks, such that the analysis required
under section 5–501 of the Executive
Order has the potential to influence the
regulation. This final action is not
subject to Executive Order 13045
because the final amendments and the
new standards are based on technology
performance and not on health or safety
risks.
H. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
This final action is not a ‘‘significant
energy action’’ as defined in Executive
Order 13211, ‘‘Actions Concerning
Regulations That Significantly Affect
Energy Supply, Distribution, or Use’’ (66
FR 28355, May 22, 2001), because it is
not likely to have a significant adverse
effect on the supply, distribution, or use
of energy. Further, we have concluded
that this final action is not likely to have
any adverse energy effects. The final
action will not have any significant or
adverse energy impacts because no
additional pollution controls or other
equipment that consume energy are
required by the final amendments or
new standards.
I. National Technology Transfer and
Advancement Act
As noted in the proposal, section
12(d) of the National Technology
Transfer and Advancement Act
(NTTAA) of 1995 (Public Law No. 104–
113, 12(d) (15 U.S.C. 272 note), directs
EPA to use voluntary consensus
standards (VCS) in its regulatory
activities, unless to do so would be
inconsistent with applicable law or
otherwise impractical. VCS are
technical standards (e.g., materials
specifications, test methods, sampling
procedures, and business practices) that
are developed or adopted by VCS
bodies. The NTTAA directs EPA to
provide Congress, through OMB,
explanations when the Agency decides
not to use available and applicable VCS.
This rulemaking involves technical
standards. The EPA cites the following
methods: EPA Method 2, 2A, 2C, 2D, 18,
21, and 22 of 40 CFR part 60, appendix
A.
In addition, the EPA cites the
following ASTM methods that are also
VCS: ASTM E260–73, E260–91, E260–
96 (reapproved 2006), E168–67, E168–
77, E168–92, E169–63, E169–77, and
E169–93 when determining if a piece of
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64877
equipment is in VOC service; ASTM
D2879–83, D2879–96, and D2879–97
(reapproved 2007) when determining if
a piece of equipment is in light liquid
service, and ASTM D2504–67, D2504–
77, D2504–88 (reapproved 1993),
D2382–76, D2382–88, and D4809–95
when determining the maximum
permitted velocity for air-assisted flares;
ASTM E260–73, E260–91, E260–96,
E168–67, E168–77, E168–92, E169–63,
E169–77, and E169–93 when
determining if a piece of equipment is
in hydrogen service; and ASTM D86–78,
D86–82, D86–90, D86–95, and D86–96
when determining if a piece of
equipment is in light liquid service.
These VCS will be incorporated by
reference into § 60.17.
Consistent with the NTTAA, EPA
conducted searches to identify VCS in
addition to these EPA methods. No
applicable VCS were identified for EPA
Methods 2A, 2D, 21, and 22. The search
and review results are in the docket for
this rule.
The search identified one VCS as an
acceptable alternative to an EPA
Method. The standard ASTM D6420–99
(2004), ‘‘Test Method for Determination
of Gaseous Organic Compounds by
Direct Interface Gas Chromatography/
Mass Spectrometry,’’ is cited in this rule
as an alternative to EPA Method 18 for
measuring gaseous organic HAP.
Similar to EPA’s performance-based
Method 18, ASTM D6420–99 is also a
performance-based method for
measurement of gaseous organic
compounds. However, ASTM D6420–99
was written to support the specific use
of highly portable and automated gas
chromatography (GC)/mass
spectrometry (MS). While offering
advantages over the traditional EPA
Method 18, the ASTM method does
allow some less stringent criteria for
accepting GC/MS results than required
by EPA Method 18. Therefore, ASTM
D6420–99 is a suitable alternative to
EPA Method 18 only where:
(1) The target compound(s) are those
listed in Section 1.1 of ASTM D6420–
99, and
(2) The target concentration is
between 150 parts per billion by volume
and 100 ppmv.
For target compound(s) not listed in
Section 1.1 of ASTM D6420–99, but
potentially detected by mass
spectrometry, the regulation specifies
that the additional system continuing
calibration check after each run, as
detailed in Section 10.5.3 of the ASTM
method, must be followed, met,
documented, and submitted with the
data report even if there is no moisture
condenser used or the compound is not
considered water soluble. For target
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compound(s) not listed in Section 1.1 of
ASTM D6420–99, and not amenable to
detection by mass spectrometry, ASTM
D6420–99 does not apply.
As a result, EPA will cite ASTM
D6420–99 in this rule. The EPA will
also cite EPA Method 18 as a GC option
in addition to ASTM D6420–99. This
will allow the continued use of GC
configurations other than GC/MS.
The search for emissions
measurement procedures identified four
other VCS. The EPA determined that
these four standards identified for
measuring emissions of the HAP or
surrogates subject to emission standards
in this rule were impractical alternatives
to EPA test methods for the purposes of
this rule. Therefore, EPA does not
intend to adopt these standards for this
purpose. The reasons for the
determinations for the four methods are
discussed in the docket to this rule.
A source may apply to EPA for
permission to use alternative test
methods or alternative monitoring
requirements in place of any required
testing methods, performance
specifications, or procedures. Potential
standards are reviewed to determine if
they meet the requirements of EPA
Method 301 for accepting alternative
methods or scientific, engineering, and
policy equivalence to procedures in
EPA reference methods.
J. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations
Executive Order 12898 (59 FR 7629,
February 16, 1994) establishes Federal
executive policy on environmental
justice. Its main provision directs
Federal agencies, to the greatest extent
practicable and permitted by law, to
make environmental justice part of their
mission by identifying and addressing,
as appropriate, disproportionately high
and adverse human health or
environmental effects of their programs,
policies, and activities on minority
populations and low-income
populations in the United States.
EPA has determined that this final
action will not have disproportionately
high and adverse human health or
environmental effects on minority or
low-income populations. The final
amendments to the standards of
performance for SOCMI (40 CFR part 60,
subpart VV) and petroleum refineries
(40 CFR part 60, subpart GGG) are
comprised of clarifications, burdenreducing provisions, and new
compliance options that do not affect
the current level of control at facilities
subject these rules. The new standards
of performance for SOCMI (40 CFR part
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17:52 Nov 15, 2007
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60, subpart VVa) and petroleum
refineries (40 CFR part 60, subpart
GGGa) will increase the level of
environmental protection for all affected
populations without having any
disproportionately high and adverse
human health or environmental effects
on any population, including any
minority or low-income population. The
new subparts will increase the
stringency of the standards of
performance by reducing the leak
definitions for certain pumps and
valves, and subpart VVa will increase
the stringency further by requiring the
monitoring of certain connectors.
K. Congressional Review Act
The Congressional Review Act, 5
U.S.C. 801, et seq., as added by the
Small Business Regulatory Enforcement
Fairness Act of 1996, generally provides
that before a rule may take effect the
agency promulgating the rule must
submit a rule report, which includes a
copy of the rule, to each House of
Congress and to the Comptroller General
of the United States. EPA will submit a
report containing this final action and
other required information to the United
States Senate, the United States House
of Representatives, and the Comptroller
General of the United States prior to
publication of the final action in the
Federal Register. A major rule cannot
take effect until 60 days after it is
published in the Federal Register. This
action is not a ‘‘major rule’’ as defined
by 5 U.S.C. 804(2). This final rule is
effective on November 16, 2007.
List of Subjects
40 CFR Part 60
Environmental protection,
Administrative practice and procedure,
Air pollution control, Incorporation by
reference, Intergovernmental relations,
Reporting and recordkeeping
requirements.
40 CFR Part 63
Environmental protection,
Administrative practice and procedure,
Air pollution control, Incorporation by
reference, Intergovernmental relations.
Dated: October 31, 2007.
Stephen L. Johnson,
Administrator.
For the reasons cited in the preamble,
title 40, chapter I, parts 60 and 63 of the
Code of Federal Regulations are
amended as follows:
I
PART 60—[AMENDED]
1. The authority citation for part 60
continues to read as follows:
I
Subpart A—[Amended]
2. Section 60.17 is amended by
revising paragraphs (a)(7), (35), (36),
(41), (70), (88), (89), and (90) to read as
follows:
I
§ 60.17
Incorporations by reference.
*
*
*
*
*
(a) * * *
(7) ASTM D86–78, 82, 90, 93, 95, 96,
Distillation of Petroleum Products, IBR
approved for §§ 60.562–2(d), 60.593(d),
60.593a(d), and 60.633(h).
*
*
*
*
*
(35) ASTM D2382–76, 88, Heat of
Combustion of Hydrocarbon Fuels by
Bomb Calorimeter (High-Precision
Method), IBR approved for
§§ 60.18(f)(3), 60.485(g)(6),
60.485a(g)(6), 60.564(f)(3), 60.614(e)(4),
60.664(e)(4), and 60.704(d)(4).
(36) ASTM D2504–67, 77, 88
(Reapproved 1993), Noncondensable
Gases in C3 and Lighter Hydrocarbon
Products by Gas Chromatography, IBR
approved for §§ 60.485(g)(5) and
60.485a(g)(5).
*
*
*
*
*
(41) ASTM D2879–83, 96, 97, Test
Method for Vapor Pressure-Temperature
Relationship and Initial Decomposition
Temperature of Liquids by Isoteniscope,
IBR approved for §§ 60.111b(f)(3),
60.116b(e)(3)(ii), 60.116b(f)(2)(i),
60.485(e)(1), and 60.485a(e)(1).
*
*
*
*
*
(70) ASTM D4809–95, Standard Test
Method for Heat of Combustion of
Liquid Hydrocarbon Fuels by Bomb
Calorimeter (Precision Method), IBR
approved for §§ 60.18(f)(3), 60.485(g)(6),
60.485a(g)(6), 60.564(f)(3), 60.614(d)(4),
60.664(e)(4), and 60.704(d)(4).
*
*
*
*
*
(88) ASTM E168–67, 77, 92, General
Techniques of Infrared Quantitative
Analysis, IBR approved for
§§ 60.485a(d)(1), 60.593(b)(2),
60.593a(b)(2), and 60.632(f).
(89) ASTM E169–63, 77, 93, General
Techniques of Ultraviolet Quantitative
Analysis, IBR approved for
§§ 60.485a(d)(1), 60.593(b)(2),
60.593a(b)(2), and 60.632(f).
(90) ASTM E260–73, 91, 96, General
Gas Chromatography Procedures, IBR
approved for §§ 60.485a(d)(1),
60.593(b)(2), 60.593a(b)(2), and
60.632(f).
*
*
*
*
*
Authority: 42 U.S.C. 7401, et seq.
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Subpart VV—Standards of
Performance for Equipment Leaks of
VOC in the Synthetic Organic
Chemicals Manufacturing Industry for
which Construction, Reconstruction,
or Modification Commenced After
January 5, 1981, and on or Before
November 7, 2006
3. The heading for Subpart VV is
revised as set out above.
I 4. Section 60.480 is amended by
revising paragraphs (b), (d)(2) through
(d)(5), and (e) to read as follows:
I
§ 60.480 Applicability and designation of
affected facility.
mstockstill on PROD1PC66 with RULES3
*
*
*
*
*
(b) Any affected facility under
paragraph (a) of this section that
commences construction,
reconstruction, or modification after
January 5, 1981, and on or before
November 7, 2006, shall be subject to
the requirements of this subpart.
*
*
*
*
*
(d) * * *
(2) Any affected facility that has the
design capacity to produce less than
1,000 Mg/yr (1,102 ton/yr) of a chemical
listed in § 60.489 is exempt from
§§ 60.482–1 through 60.482–10.
(3) If an affected facility produces
heavy liquid chemicals only from heavy
liquid feed or raw materials, then it is
exempt from §§ 60.482–1 through
60.482–10.
(4) Any affected facility that produces
beverage alcohol is exempt from
§§ 60.482–1 through 60.482–10.
(5) Any affected facility that has no
equipment in volatile organic
compounds (VOC) service is exempt
from §§ 60.482–1 through 60.482–10.
(e) Alternative means of compliance—
(1) Option to comply with part 65. (i)
Owners or operators may choose to
comply with the provisions of 40 CFR
part 65, subpart F, to satisfy the
requirements of §§ 60.482 through
60.487 for an affected facility. When
choosing to comply with 40 CFR part
65, subpart F, the requirements of
§ 60.485(d), (e), and (f) and § 60.486(i)
and (j) still apply. Other provisions
applying to an owner or operator who
chooses to comply with 40 CFR part 65
are provided in 40 CFR 65.1.
(ii) Part 60, subpart A. Owners or
operators who choose to comply with 40
CFR part 65, subpart F must also
comply with §§ 60.1, 60.2, 60.5, 60.6,
60.7(a)(1) and (4), 60.14, 60.15, and
60.16 for that equipment. All sections
and paragraphs of subpart A of this part
that are not mentioned in this paragraph
(e)(1)(ii) do not apply to owners and
operators of equipment subject to this
subpart complying with 40 CFR part 65,
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subpart F, except that provisions
required to be met prior to
implementing 40 CFR part 65 still
apply. Owners and operators who
choose to comply with 40 CFR part 65,
subpart F, must comply with 40 CFR
part 65, subpart A.
(2) Subpart VVa. Owners or operators
may choose to comply with the
provisions of subpart VVa of this part 60
to satisfy the requirements of this
subpart VV for an affected facility.
I 5. Section 60.481 is amended by:
I a. In the definition of ‘‘Capital
expenditure’’ remove the table heading
in paragraph (a)(3) and add in its place
the heading ‘‘Table for Determining
Applicable Value for B’’;
I b. Revising the definitions for the
terms ‘‘Connector,’’ ‘‘First attempt at
repair,’’ ‘‘Hard piping,’’ ‘‘Process unit,’’
‘‘Process unit shutdown,’’ and
‘‘Repaired’’; and
I c. Adding, in alphabetical order, new
definitions for the terms ‘‘Closed-loop
system,’’ ‘‘Closed-purge system,’’
‘‘Storage vessel,’’ and ‘‘Transfer rack’’ to
read as follows:
§ 60.481
Definitions.
*
*
*
*
*
Closed-loop system means an
enclosed system that returns process
fluid to the process.
Closed-purge system means a system
or combination of systems and portable
containers to capture purged liquids.
Containers for purged liquids must be
covered or closed when not being filled
or emptied.
*
*
*
*
*
Connector means flanged, screwed, or
other joined fittings used to connect two
pipe lines or a pipe line and a piece of
process equipment or that close an
opening in a pipe that could be
connected to another pipe. Joined
fittings welded completely around the
circumference of the interface are not
considered connectors for the purpose
of this subpart.
*
*
*
*
*
First attempt at repair means to take
action for the purpose of stopping or
reducing leakage of organic material to
the atmosphere using best practices.
*
*
*
*
*
Hard-piping means pipe or tubing that
is manufactured and properly installed
using good engineering judgment and
standards such as ASME B31.3, Process
Piping (available from the American
Society of Mechanical Engineers, PO
Box 2300, Fairfield, NJ 07007–2300).
*
*
*
*
*
Process unit means the components
assembled and connected by pipes or
ducts to process raw materials and to
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produce, as intermediate or final
products, one or more of the chemicals
listed in § 60.489. A process unit can
operate independently if supplied with
sufficient feed or raw materials and
sufficient storage facilities for the
product. For the purpose of this subpart,
process unit includes any feed,
intermediate and final product storage
vessels (except as specified in § 60.482–
1(g)), product transfer racks, and
connected ducts and piping. A process
unit includes all equipment as defined
in this subpart.
Process unit shutdown means a work
practice or operational procedure that
stops production from a process unit or
part of a process unit during which it is
technically feasible to clear process
material from a process unit or part of
a process unit consistent with safety
constraints and during which repairs
can be accomplished. The following are
not considered process unit shutdowns:
(1) An unscheduled work practice or
operational procedure that stops
production from a process unit or part
of a process unit for less than 24 hours.
(2) An unscheduled work practice or
operational procedure that would stop
production from a process unit or part
of a process unit for a shorter period of
time than would be required to clear the
process unit or part of the process unit
of materials and start up the unit, and
would result in greater emissions than
delay of repair of leaking components
until the next scheduled process unit
shutdown.
(3) The use of spare equipment and
technically feasible bypassing of
equipment without stopping
production.
*
*
*
*
*
Repaired means that equipment is
adjusted, or otherwise altered, in order
to eliminate a leak as defined in the
applicable sections of this subpart and,
except for leaks identified in accordance
with §§ 60.482–2(b)(2)(ii) and (d)(6)(ii)
and (iii), 60.482–3(f), and 60.482–
10(f)(1)(ii), is re-monitored as specified
in § 60.485(b) to verify that emissions
from the equipment are below the
applicable leak definition.
*
*
*
*
*
Storage vessel means a tank or other
vessel that is used to store organic
liquids that are used in the process as
raw material feedstocks, produced as
intermediates or final products, or
generated as wastes. Storage vessel does
not include vessels permanently
attached to motor vehicles, such as
trucks, railcars, barges, or ships.
*
*
*
*
*
Transfer rack means the collection of
loading arms and loading hoses, at a
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single loading rack, that are used to fill
tank trucks and/or railcars with organic
liquids.
*
*
*
*
*
6. Section 60.482–1 is amended by
adding paragraphs (e), (f), and (g) to read
as follows:
I
§ 60.482–1
Standards: General.
*
*
*
*
*
(e) Equipment that an owner or
operator designates as being in VOC
service less than 300 hours (hr)/yr is
excluded from the requirements of
§§ 60.482–2 through 60.482–10 if it is
identified as required in § 60.486(e)(6)
and it meets any of the conditions
specified in paragraphs (e)(1) through
(3) of this section.
(1) The equipment is in VOC service
only during startup and shutdown,
excluding startup and shutdown
between batches of the same campaign
for a batch process.
(2) The equipment is in VOC service
only during process malfunctions or
other emergencies.
(3) The equipment is backup
equipment that is in VOC service only
when the primary equipment is out of
service.
(f)(1) If a dedicated batch process unit
operates less than 365 days during a
year, an owner or operator may monitor
to detect leaks from pumps and valves
at the frequency specified in the
following table instead of monitoring as
specified in §§ 60.482–2, 60.482–7, and
60.483–2:
Equivalent monitoring frequency time in use
Monthly
Quarterly
0 to <25 ..........................................
25 to <50 ........................................
50 to <75 ........................................
75 to 100 ........................................
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Operating time (percent of hours
during year)
Quarterly .......................................
Quarterly .......................................
Bimonthly ......................................
Monthly .........................................
Annually ........................................
Semiannually ................................
Three quarters ..............................
Quarterly .......................................
(2) Pumps and valves that are shared
among two or more batch process units
that are subject to this subpart may be
monitored at the frequencies specified
in paragraph (f)(1) of this section,
provided the operating time of all such
process units is considered.
(3) The monitoring frequencies
specified in paragraph (f)(1) of this
section are not requirements for
monitoring at specific intervals and can
be adjusted to accommodate process
operations. An owner or operator may
monitor at any time during the specified
monitoring period (e.g., month, quarter,
year), provided the monitoring is
conducted at a reasonable interval after
completion of the last monitoring
campaign. Reasonable intervals are
defined in paragraphs (f)(3)(i) through
(iv) of this section.
(i) When monitoring is conducted
quarterly, monitoring events must be
separated by at least 30 calendar days.
(ii) When monitoring is conducted
semiannually (i.e., once every 2
quarters), monitoring events must be
separated by at least 60 calendar days.
(iii) When monitoring is conducted in
3 quarters per year, monitoring events
must be separated by at least 90
calendar days.
(iv) When monitoring is conducted
annually, monitoring events must be
separated by at least 120 calendar days.
(g) If the storage vessel is shared with
multiple process units, the process unit
with the greatest annual amount of
stored materials (predominant use) is
the process unit the storage vessel is
assigned to. If the storage vessel is
shared equally among process units, and
one of the process units has equipment
subject to subpart VVa of this part, the
storage vessel is assigned to that process
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17:52 Nov 15, 2007
Jkt 214001
unit. If the storage vessel is shared
equally among process units, none of
which have equipment subject to
subpart VVa of this part, the storage
vessel is assigned to any process unit
subject to this subpart. If the
predominant use of the storage vessel
varies from year to year, then the owner
or operator must estimate the
predominant use initially and reassess
every 3 years. The owner or operator
must keep records of the information
and supporting calculations that show
how predominant use is determined. All
equipment on the storage vessel must be
monitored when in VOC service.
I 7. Section 60.482–2 is amended by:
I a. Revising paragraph (a);
I b. Revising paragraph(b)(2);
I c. Revising paragraph (c)(2);
I d. Revising paragraphs (d)
introductory text, (d)(1)(ii), (d)(4), (d)(5),
and (d)(6); and
I e. Revising paragraph (e) introductory
text to read as follows:
§ 60.482–2 Standards: Pumps in light
liquid service.
(a)(1) Each pump in light liquid
service shall be monitored monthly to
detect leaks by the methods specified in
§ 60.485(b), except as provided in
§ 60.482–1(c) and (f) and paragraphs (d),
(e), and (f) of this section. A pump that
begins operation in light liquid service
after the initial startup date for the
process unit must be monitored for the
first time within 30 days after the end
of its startup period, except for a pump
that replaces a leaking pump and except
as provided in § 60.482–1(c) and (f) and
paragraphs (d), (e), and (f) of this
section.
(2) Each pump in light liquid service
shall be checked by visual inspection
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Semiannually
Annually.
Annually.
Semiannually.
Semiannually.
each calendar week for indications of
liquids dripping from the pump seal,
except as provided in § 60.482–1(f).
(b) * * *
(2) If there are indications of liquids
dripping from the pump seal, the owner
or operator shall follow the procedure
specified in either paragraph (b)(2)(i) or
(ii) of this section. This requirement
does not apply to a pump that was
monitored after a previous weekly
inspection if the instrument reading for
that monitoring event was less than
10,000 ppm and the pump was not
repaired since that monitoring event.
(i) Monitor the pump within 5 days as
specified in § 60.485(b). If an instrument
reading of 10,000 ppm or greater is
measured, a leak is detected. The leak
shall be repaired using the procedures
in paragraph (c) of this section.
(ii) Designate the visual indications of
liquids dripping as a leak, and repair the
leak within 15 days of detection by
eliminating the visual indications of
liquids dripping.
(c) * * *
(2) A first attempt at repair shall be
made no later than 5 calendar days after
each leak is detected. First attempts at
repair include, but are not limited to,
the practices described in paragraphs
(c)(2)(i) and (ii) of this section, where
practicable.
(i) Tightening the packing gland nuts;
(ii) Ensuring that the seal flush is
operating at design pressure and
temperature.
(d) Each pump equipped with a dual
mechanical seal system that includes a
barrier fluid system is exempt from the
requirements of paragraph (a) of this
section, provided the requirements
specified in paragraphs (d)(1) through
(6) of this section are met.
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(1) * * *
(ii) Equipped with a barrier fluid
degassing reservoir that is routed to a
process or fuel gas system or connected
by a closed vent system to a control
device that complies with the
requirements of § 60.482–10; or
*
*
*
*
*
(4)(i) Each pump is checked by visual
inspection, each calendar week, for
indications of liquids dripping from the
pump seals.
(ii) If there are indications of liquids
dripping from the pump seal at the time
of the weekly inspection, the owner or
operator shall follow the procedure
specified in either paragraph
(d)(4)(ii)(A) or (B) of this section.
(A) Monitor the pump within 5 days
as specified in § 60.485(b) to determine
if there is a leak of VOC in the barrier
fluid. If an instrument reading of 10,000
ppm or greater is measured, a leak is
detected.
(B) Designate the visual indications of
liquids dripping as a leak.
(5)(i) Each sensor as described in
paragraph (d)(3) of this section is
checked daily or is equipped with an
audible alarm.
(ii) The owner or operator determines,
based on design considerations and
operating experience, a criterion that
indicates failure of the seal system, the
barrier fluid system, or both.
(iii) If the sensor indicates failure of
the seal system, the barrier fluid system,
or both, based on the criterion
established in paragraph (d)(5)(ii) of this
section, a leak is detected.
(6)(i) When a leak is detected
pursuant to paragraph (d)(4)(ii)(A) of
this section, it shall be repaired as
specified in paragraph (c) of this
section.
(ii) A leak detected pursuant to
paragraph (d)(5)(iii) of this section shall
be repaired within 15 days of detection
by eliminating the conditions that
activated the sensor.
(iii) A designated leak pursuant to
paragraph (d)(4)(ii)(B) of this section
shall be repaired within 15 days of
detection by eliminating visual
indications of liquids dripping.
(e) Any pump that is designated, as
described in § 60.486(e)(1) and (2), for
no detectable emissions, as indicated by
an instrument reading of less than 500
ppm above background, is exempt from
the requirements of paragraphs (a), (c),
and (d) of this section if the pump:
*
*
*
*
*
I 8. Section 60.482–3 is amended by
revising paragraphs (a) and (j) to read as
follows:
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Jkt 214001
§ 60.482–3
Standards: Compressors.
(a) Each compressor shall be equipped
with a seal system that includes a
barrier fluid system and that prevents
leakage of VOC to the atmosphere,
except as provided in § 60.482–1(c) and
paragraphs (h), (i), and (j) of this section.
*
*
*
*
*
(j) Any existing reciprocating
compressor in a process unit which
becomes an affected facility under
provisions of § 60.14 or § 60.15 is
exempt from paragraphs (a) through (e)
and (h) of this section, provided the
owner or operator demonstrates that
recasting the distance piece or replacing
the compressor are the only options
available to bring the compressor into
compliance with the provisions of
paragraphs (a) through (e) and (h) of this
section.
I 9. Section 60.482–5 is amended by
revising paragraphs (a) and (b) to read
as follows:
§ 60.482–5 Standards: Sampling
connection systems.
(a) Each sampling connection system
shall be equipped with a closed-purge,
closed-loop, or closed-vent system,
except as provided in § 60.482–1(c) and
paragraph (c) of this section.
(b) Each closed-purge, closed-loop, or
closed-vent system as required in
paragraph (a) of this section shall
comply with the requirements specified
in paragraphs (b)(1) through (4) of this
section.
(1) Gases displaced during filling of
the sample container are not required to
be collected or captured.
(2) Containers that are part of a
closed-purge system must be covered or
closed when not being filled or emptied.
(3) Gases remaining in the tubing or
piping between the closed-purge system
valve(s) and sample container valve(s)
after the valves are closed and the
sample container is disconnected are
not required to be collected or captured.
(4) Each closed-purge, closed-loop, or
closed-vent system shall be designed
and operated to meet requirements in
either paragraph (b)(4)(i), (ii), (iii), or
(iv) of this section.
(i) Return the purged process fluid
directly to the process line.
(ii) Collect and recycle the purged
process fluid to a process.
(iii) Capture and transport all the
purged process fluid to a control device
that complies with the requirements of
§ 60.482–10.
(iv) Collect, store, and transport the
purged process fluid to any of the
following systems or facilities:
(A) A waste management unit as
defined in § 63.111, if the waste
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64881
management unit is subject to and
operated in compliance with the
provisions of 40 CFR part 63, subpart G,
applicable to Group 1 wastewater
streams;
(B) A treatment, storage, or disposal
facility subject to regulation under 40
CFR part 262, 264, 265, or 266;
(C) A facility permitted, licensed, or
registered by a state to manage
municipal or industrial solid waste, if
the process fluids are not hazardous
waste as defined in 40 CFR part 261;
(D) A waste management unit subject
to and operated in compliance with the
treatment requirements of § 61.348(a),
provided all waste management units
that collect, store, or transport the
purged process fluid to the treatment
unit are subject to and operated in
compliance with the management
requirements of §§ 61.343 through
61.347; or
(E) A device used to burn offspecification used oil for energy
recovery in accordance with 40 CFR
part 279, subpart G, provided the
purged process fluid is not hazardous
waste as defined in 40 CFR part 261.
*
*
*
*
*
I 10. Section 60.482–6 is amended by
revising paragraph (a)(1) to read as
follows:
§ 60.482–6
or lines.
Standards: Open-ended valves
(a)(1) Each open-ended valve or line
shall be equipped with a cap, blind
flange, plug, or a second valve, except
as provided in § 60.482–1(c) and
paragraphs (d) and (e) of this section.
*
*
*
*
*
I 11. Section 60.482–7 is amended by
revising paragraphs (a) and (c)(1) to read
as follows:
§ 60.482–7 Standards: Valves in gas/vapor
service and in light liquid service.
(a)(1) Each valve shall be monitored
monthly to detect leaks by the methods
specified in § 60.485(b) and shall
comply with paragraphs (b) through (e)
of this section, except as provided in
paragraphs (f), (g), and (h) of this
section, § 60.482–1(c) and (f), and
§§ 60.483–1 and 60.483–2.
(2) A valve that begins operation in
gas/vapor service or light liquid service
after the initial startup date for the
process unit must be monitored
according to paragraphs (a)(2)(i) or (ii),
except for a valve that replaces a leaking
valve and except as provided in
paragraphs (f), (g), and (h) of this
section, § 60.482–1(c), and §§ 60.483–1
and 60.483–2.
(i) Monitor the valve as in paragraph
(a)(1) of this section. The valve must be
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monitored for the first time within 30
days after the end of its startup period
to ensure proper installation.
(ii) If the valves on the process unit
are monitored in accordance with
§ 60.483–1 or § 60.483–2, count the new
valve as leaking when calculating the
percentage of valves leaking as
described in § 60.483–2(b)(5). If less
than 2.0 percent of the valves are
leaking for that process unit, the valve
must be monitored for the first time
during the next scheduled monitoring
event for existing valves in the process
unit or within 90 days, whichever
comes first.
*
*
*
*
*
(c)(1)(i) Any valve for which a leak is
not detected for 2 successive months
may be monitored the first month of
every quarter, beginning with the next
quarter, until a leak is detected.
(ii) As an alternative to monitoring all
of the valves in the first month of a
quarter, an owner or operator may elect
to subdivide the process unit into 2 or
3 subgroups of valves and monitor each
subgroup in a different month during
the quarter, provided each subgroup is
monitored every 3 months. The owner
or operator must keep records of the
valves assigned to each subgroup.
*
*
*
*
*
I 12. Section 60.482–8 is amended by
revising paragraphs (a)(2) and (d) to read
as follows:
§ 60.482–8 Standards: Pumps and valves
in heavy liquid service, pressure relief
devices in light liquid or heavy liquid
service, and connectors.
(a) * * *
(2) The owner or operator shall
eliminate the visual, audible, olfactory,
or other indication of a potential leak
within 5 calendar days of detection.
*
*
*
*
*
(d) First attempts at repair include,
but are not limited to, the best practices
described under §§ 60.482–2(c)(2) and
60.482–7(e).
I 13. Section 60.482–9 is amended by
revising paragraph (a) and adding
paragraph (f) to read as follows:
mstockstill on PROD1PC66 with RULES3
§ 60.482–9
Standards: Delay of repair.
(a) Delay of repair of equipment for
which leaks have been detected will be
allowed if repair within 15 days is
technically infeasible without a process
unit shutdown. Repair of this
equipment shall occur before the end of
the next process unit shutdown.
Monitoring to verify repair must occur
within 15 days after startup of the
process unit.
*
*
*
*
*
(f) When delay of repair is allowed for
a leaking pump or valve that remains in
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service, the pump or valve may be
considered to be repaired and no longer
subject to delay of repair requirements
if two consecutive monthly monitoring
instrument readings are below the leak
definition.
I 14. Section 60.483–1 is amended by
revising paragraph (d) to read as
follows:
§ 60.483–1 Alternative standards for
valves—allowable percentage of valves
leaking.
*
*
*
*
*
(d) Owners and operators who elect to
comply with this alternative standard
shall not have an affected facility with
a leak percentage greater than 2.0
percent, determined as described in
§ 60.485(h).
I 15. Section 60.483–2 is amended by
revising paragraph (b)(5) and adding
paragraph (b)(7) to read as follows:
§ 60.483–2 Alternative standards for
valves—skip period leak detection and
repair.
*
*
*
*
*
(b) * * *
(5) The percent of valves leaking shall
be determined as described in
§ 60.485(h).
*
*
*
*
*
(7) A valve that begins operation in
gas/vapor service or light liquid service
after the initial startup date for a process
unit following one of the alternative
standards in this section must be
monitored in accordance with § 60.482–
7(a)(2)(i) or (ii) before the provisions of
this section can be applied to that valve.
I 16. Section 60.484 is amended by:
I a. Removing the word ‘‘equivalance’’
and adding in its place the word
‘‘equivalence’’ in paragraph (a); and
I b. Revising paragraph (b)(2) to read as
follows:
§ 60.484 Equivalence of means of
emission limitation.
*
*
*
*
*
(b) * * *
(2) The Administrator will compare
test data for demonstrating equivalence
of the means of emission limitation to
test data for the equipment, design, and
operational requirements.
*
*
*
*
*
I 17. Section 60.485 is amended by:
I a. Revising paragraph (b) introductory
text;
I b. Revising paragraphs (e)
introductory text, (e)(1) and (e)(2);
I c. Revising paragraphs (g)(4) and (5);
and
I d. Adding paragraph (h) to read as
follows:
§ 60.485
*
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*
Test methods and procedures.
*
Frm 00024
*
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*
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(b) The owner or operator shall
determine compliance with the
standards in §§ 60.482–1 through
60.482–10, 60.483, and 60.484 as
follows:
*
*
*
*
*
(e) The owner or operator shall
demonstrate that a piece of equipment
is in light liquid service by showing that
all the following conditions apply:
(1) The vapor pressure of one or more
of the organic components is greater
than 0.3 kPa at 20 °C (1.2 in. H2O at 68
°F). Standard reference texts or ASTM
D2879–83, 96, or 97 (incorporated by
reference—see § 60.17) shall be used to
determine the vapor pressures.
(2) The total concentration of the pure
organic components having a vapor
pressure greater than 0.3 kPa at 20 °C
(1.2 in. H2O at 68 °F) is equal to or
greater than 20 percent by weight.
*
*
*
*
*
(g) * * *
(4) The net heating value (HT) of the
gas being combusted in a flare shall be
computed using the following equation:
n
H T = K ∑ Ci H i
i =l
Where:
K = Conversion constant, 1.740 × 10¥7 (gmole)(MJ)/(ppm-scm-kcal) (metric units)
= 4.674 × 10¥6 [(g-mole)(Btu)/(ppm-scfkcal)] (English units)
Ci = Concentration of sample component ‘‘i,’’
ppm
Hi = Net heat of combustion of sample
component ‘‘i’’ at 25 °C and 760 mm Hg
(77 °F and 14.7 psi), kcal/g-mole
(5) Method 18 or ASTM D6420–99
(2004) (where the target compound(s)
are those listed in Section 1.1 of ASTM
D6420–99, and the target concentration
is between 150 parts per billion by
volume and 100 parts per million by
volume) and ASTM D2504–67, 77 or 88
(Reapproved 1993) (incorporated by
reference—see § 60.17) shall be used to
determine the concentration of sample
component ‘‘i.’’
*
*
*
*
*
(h) The owner or operator shall
determine compliance with § 60.483–1
or § 60.483–2 as follows:
(1) The percent of valves leaking shall
be determined using the following
equation:
%VL = (VL/VT) * 100
Where:
%VL = Percent leaking valves
VL = Number of valves found leaking
VT = The sum of the total number of valves
monitored
(2) The total number of valves
monitored shall include difficult-tomonitor and unsafe-to-monitor valves
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only during the monitoring period in
which those valves are monitored.
(3) The number of valves leaking shall
include valves for which repair has been
delayed.
(4) Any new valve that is not
monitored within 30 days of being
placed in service shall be included in
the number of valves leaking and the
total number of valves monitored for the
monitoring period in which the valve is
placed in service.
(5) If the process unit has been
subdivided in accordance with
§ 60.482–7(c)(1)(ii), the sum of valves
found leaking during a monitoring
period includes all subgroups.
(6) The total number of valves
monitored does not include a valve
monitored to verify repair.
I 18. Section 60.486 is amended by
revising paragraph (e)(2)(ii) and adding
paragraph (e)(6) to read as follows:
§ 60.486
Recordkeeping requirements.
*
*
*
*
*
(e) * * *
(2) * * *
(ii) The designation of equipment as
subject to the requirements of § 60.482–
2(e), § 60.482–3(i), or § 60.482–7(f) shall
be signed by the owner or operator.
Alternatively, the owner or operator
may establish a mechanism with their
permitting authority that satisfies this
requirement.
*
*
*
*
*
(6) A list of identification numbers for
equipment that the owner or operator
designates as operating in VOC service
less than 300 hr/yr in accordance with
§ 60.482–1(e), a description of the
conditions under which the equipment
is in VOC service, and rationale
supporting the designation that it is in
VOC service less than 300 hr/yr.
*
*
*
*
*
I 19. Section 60.487 is amended by:
I a. Revising paragraphs (c)(2)(i),
(c)(2)(iii), and (c)(2)(iv) to read as
follows:
§ 60.487
Reporting requirements.
mstockstill on PROD1PC66 with RULES3
*
*
*
*
*
(c) * * *
(2) * * *
(i) Number of valves for which leaks
were detected as described in § 60.482–
7(b) or § 60.483–2,
*
*
*
*
*
(iii) Number of pumps for which leaks
were detected as described in § 60.482–
2(b), (d)(4)(ii)(A) or (B), or (d)(5)(iii),
(iv) Number of pumps for which leaks
were not repaired as required in
§ 60.482–2(c)(1) and (d)(6),
*
*
*
*
*
I 20. Part 60 is amended by adding
subpart VVa to read as follows:
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Subpart VVa—Standards of
Performance for Equipment Leaks of
VOC in the Synthetic Organic
Chemicals Manufacturing Industry for
Which Construction, Reconstruction,
or Modification Commenced After
November 7, 2006
Sec.
60.480a Applicability and designation of
affected facility.
60.481a Definitions.
60.482–1a Standards: General.
60.482–2a Standards: Pumps in light liquid
service.
60.482–3a Standards: Compressors.
60.482–4a Standards: Pressure relief
devices in gas/vapor service.
60.482–5a Standards: Sampling connection
systems.
60.482–6a Standards: Open-ended valves or
lines.
60.482–7a Standards: Valves in gas/vapor
service and in light liquid service.
60.482–8a Standards: Pumps, valves, and
connectors in heavy liquid service and
pressure relief devices in light liquid or
heavy liquid service.
60.482–9a Standards: Delay of repair.
60.482–10a Standards: Closed vent systems
and control devices.
60.482–11a Standards: Connectors in gas/
vapor service and in light liquid service.
60.483–1a Alternative standards for
valves—allowable percentage of valves
leaking.
60.483–2a Alternative standards for
valves—skip period leak detection and
repair.
60.484a Equivalence of means of emission
limitation.
60.485a Test methods and procedures.
60.486a Recordkeeping requirements.
60.487a Reporting requirements.
60.488a Reconstruction.
60.489a List of chemicals produced by
affected facilities.
§ 60.480a Applicability and designation of
affected facility.
(a)(1) The provisions of this subpart
apply to affected facilities in the
synthetic organic chemicals
manufacturing industry.
(2) The group of all equipment
(defined in § 60.481a) within a process
unit is an affected facility.
(b) Any affected facility under
paragraph (a) of this section that
commences construction,
reconstruction, or modification after
November 7, 2006, shall be subject to
the requirements of this subpart.
(c) Addition or replacement of
equipment for the purpose of process
improvement which is accomplished
without a capital expenditure shall not
by itself be considered a modification
under this subpart.
(d)(1) If an owner or operator applies
for one or more of the exemptions in
this paragraph, then the owner or
operator shall maintain records as
required in § 60.486a(i).
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64883
(2) Any affected facility that has the
design capacity to produce less than
1,000 Mg/yr (1,102 ton/yr) of a chemical
listed in § 60.489 is exempt from
§§ 60.482–1a through 60.482–11a.
(3) If an affected facility produces
heavy liquid chemicals only from heavy
liquid feed or raw materials, then it is
exempt from §§ 60.482–1a through
60.482–11a.
(4) Any affected facility that produces
beverage alcohol is exempt from
§§ 60.482–1a through 60.482–11a.
(5) Any affected facility that has no
equipment in volatile organic
compounds (VOC) service is exempt
from §§ 60.482–1a through 60.482–11a.
(e) Alternative means of compliance—
(1) Option to comply with part 65. (i)
Owners or operators may choose to
comply with the provisions of 40 CFR
part 65, subpart F, to satisfy the
requirements of §§ 60.482–1a through
60.487a for an affected facility. When
choosing to comply with 40 CFR part
65, subpart F, the requirements of
§§ 60.485a(d), (e), and (f), and 60.486a(i)
and (j) still apply. Other provisions
applying to an owner or operator who
chooses to comply with 40 CFR part 65
are provided in 40 CFR 65.1.
(ii) Part 60, subpart A. Owners or
operators who choose to comply with 40
CFR part 65, subpart F must also
comply with §§ 60.1, 60.2, 60.5, 60.6,
60.7(a)(1) and (4), 60.14, 60.15, and
60.16 for that equipment. All sections
and paragraphs of subpart A of this part
that are not mentioned in this paragraph
(e)(1)(ii) do not apply to owners or
operators of equipment subject to this
subpart complying with 40 CFR part 65,
subpart F, except that provisions
required to be met prior to
implementing 40 CFR part 65 still
apply. Owners and operators who
choose to comply with 40 CFR part 65,
subpart F, must comply with 40 CFR
part 65, subpart A.
(2) Part 63, subpart H. (i) Owners or
operators may choose to comply with
the provisions of 40 CFR part 63,
subpart H, to satisfy the requirements of
§§ 60.482–1a through 60.487a for an
affected facility. When choosing to
comply with 40 CFR part 63, subpart H,
the requirements of § 60.485a(d), (e),
and (f), and § 60.486a(i) and (j) still
apply.
(ii) Part 60, subpart A. Owners or
operators who choose to comply with 40
CFR part 63, subpart H must also
comply with §§ 60.1, 60.2, 60.5, 60.6,
60.7(a)(1) and (4), 60.14, 60.15, and
60.16 for that equipment. All sections
and paragraphs of subpart A of this part
that are not mentioned in this paragraph
(e)(2)(ii) do not apply to owners or
operators of equipment subject to this
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Connector means flanged, screwed, or
other joined fittings used to connect two
pipe lines or a pipe line and a piece of
process equipment or that close an
opening in a pipe that could be
connected to another pipe. Joined
fittings welded completely around the
circumference of the interface are not
considered connectors for the purpose
§ 60.481a Definitions.
of this regulation.
As used in this subpart, all terms not
Control device means an enclosed
defined herein shall have the meaning
combustion device, vapor recovery
given them in the Clean Air Act (CAA)
system, or flare.
or in subpart A of part 60, and the
Distance piece means an open or
following terms shall have the specific
enclosed casing through which the
meanings given them.
piston rod travels, separating the
Capital expenditure means, in
compressor cylinder from the crankcase.
addition to the definition in 40 CFR
Double block and bleed system means
60.2, an expenditure for a physical or
two block valves connected in series
operational change to an existing facility with a bleed valve or line that can vent
that:
the line between the two block valves.
(a) Exceeds P, the product of the
Duct work means a conveyance
facility’s replacement cost, R, and an
system such as those commonly used
adjusted annual asset guideline repair
for heating and ventilation systems. It is
allowance, A, as reflected by the
often made of sheet metal and often has
following equation: P = R × A, where:
sections connected by screws or
(1) The adjusted annual asset
crimping. Hard-piping is not ductwork.
guideline repair allowance, A, is the
Equipment means each pump,
product of the percent of the
compressor, pressure relief device,
replacement cost, Y, and the applicable
sampling connection system, openbasic annual asset guideline repair
ended valve or line, valve, and flange or
allowance, B, divided by 100 as
other connector in VOC service and any
reflected by the following equation:
devices or systems required by this
A = Y × (B ÷ 100);
subpart.
(2) The percent Y is determined from
First attempt at repair means to take
the following equation: Y = 1.0 ¥ 0.575
action for the purpose of stopping or
log X, where X is 2006 minus the year
reducing leakage of organic material to
of construction; and
the atmosphere using best practices.
(3) The applicable basic annual asset
Fuel gas means gases that are
guideline repair allowance, B, is
combusted to derive useful work or
selected from the following table
heat.
consistent with the applicable subpart:
Fuel gas system means the offsite and
TABLE FOR DETERMINING APPLICABLE onsite piping and flow and pressure
control system that gathers gaseous
VALUE FOR B
stream(s) generated by onsite
operations, may blend them with other
Value of B to
Subpart applicable to facility
be used in
sources of gas, and transports the
equation
gaseous stream for use as fuel gas in
VVa .......................................
12.5 combustion devices or in-process
GGGa ...................................
7.0 combustion equipment, such as
furnaces and gas turbines, either singly
or in combination.
Closed-loop system means an
Hard-piping means pipe or tubing that
enclosed system that returns process
is manufactured and properly installed
fluid to the process.
using good engineering judgment and
Closed-purge system means a system
standards such as ASME B31.3, Process
or combination of systems and portable
Piping (available from the American
containers to capture purged liquids.
Society of Mechanical Engineers, P.O.
Containers for purged liquids must be
Box 2300, Fairfield, NJ 07007–2300).
covered or closed when not being filled
In gas/vapor service means that the
or emptied.
Closed vent system means a system
piece of equipment contains process
that is not open to the atmosphere and
fluid that is in the gaseous state at
that is composed of hard-piping,
operating conditions.
ductwork, connections, and, if
In heavy liquid service means that the
necessary, flow-inducing devices that
piece of equipment is not in gas/vapor
transport gas or vapor from a piece or
service or in light liquid service.
pieces of equipment to a control device
In light liquid service means that the
or back to a process.
piece of equipment contains a liquid
mstockstill on PROD1PC66 with RULES3
subpart complying with 40 CFR part 63,
subpart H, except that provisions
required to be met prior to
implementing 40 CFR part 63 still
apply. Owners and operators who
choose to comply with 40 CFR part 63,
subpart H, must comply with 40 CFR
part 63, subpart A.
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that meets the conditions specified in
§ 60.485a(e).
In-situ sampling systems means
nonextractive samplers or in-line
samplers.
In vacuum service means that
equipment is operating at an internal
pressure which is at least 5 kilopascals
(kPa) (0.7 psia) below ambient pressure.
In VOC service means that the piece
of equipment contains or contacts a
process fluid that is at least 10 percent
VOC by weight. (The provisions of
§ 60.485a(d) specify how to determine
that a piece of equipment is not in VOC
service.)
Initial calibration value means the
concentration measured during the
initial calibration at the beginning of
each day required in § 60.485a(b)(1), or
the most recent calibration if the
instrument is recalibrated during the
day (i.e., the calibration is adjusted)
after a calibration drift assessment.
Liquids dripping means any visible
leakage from the seal including
spraying, misting, clouding, and ice
formation.
Open-ended valve or line means any
valve, except safety relief valves, having
one side of the valve seat in contact
with process fluid and one side open to
the atmosphere, either directly or
through open piping.
Pressure release means the emission
of materials resulting from system
pressure being greater than set pressure
of the pressure relief device.
Process improvement means routine
changes made for safety and
occupational health requirements, for
energy savings, for better utility, for ease
of maintenance and operation, for
correction of design deficiencies, for
bottleneck removal, for changing
product requirements, or for
environmental control.
Process unit means the components
assembled and connected by pipes or
ducts to process raw materials and to
produce, as intermediate or final
products, one or more of the chemicals
listed in § 60.489. A process unit can
operate independently if supplied with
sufficient feed or raw materials and
sufficient storage facilities for the
product. For the purpose of this subpart,
process unit includes any feed,
intermediate and final product storage
vessels (except as specified in § 60.482–
1a(g)), product transfer racks, and
connected ducts and piping. A process
unit includes all equipment as defined
in this subpart.
Process unit shutdown means a work
practice or operational procedure that
stops production from a process unit or
part of a process unit during which it is
technically feasible to clear process
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material from a process unit or part of
a process unit consistent with safety
constraints and during which repairs
can be accomplished. The following are
not considered process unit shutdowns:
(1) An unscheduled work practice or
operational procedure that stops
production from a process unit or part
of a process unit for less than 24 hours.
(2) An unscheduled work practice or
operational procedure that would stop
production from a process unit or part
of a process unit for a shorter period of
time than would be required to clear the
process unit or part of the process unit
of materials and start up the unit, and
would result in greater emissions than
delay of repair of leaking components
until the next scheduled process unit
shutdown.
(3) The use of spare equipment and
technically feasible bypassing of
equipment without stopping
production.
Quarter means a 3-month period; the
first quarter concludes on the last day of
the last full month during the 180 days
following initial startup.
Repaired means that equipment is
adjusted, or otherwise altered, in order
to eliminate a leak as defined in the
applicable sections of this subpart and,
except for leaks identified in accordance
with §§ 60.482–2a(b)(2)(ii) and (d)(6)(ii)
and (d)(6)(iii), 60.482–3a(f), and 60.482–
10a(f)(1)(ii), is re-monitored as specified
in § 60.485a(b) to verify that emissions
from the equipment are below the
applicable leak definition.
Replacement cost means the capital
needed to purchase all the depreciable
components in a facility.
Sampling connection system means
an assembly of equipment within a
process unit used during periods of
representative operation to take samples
of the process fluid. Equipment used to
take nonroutine grab samples is not
considered a sampling connection
system.
Sensor means a device that measures
a physical quantity or the change in a
physical quantity such as temperature,
pressure, flow rate, pH, or liquid level.
Storage vessel means a tank or other
vessel that is used to store organic
liquids that are used in the process as
raw material feedstocks, produced as
intermediates or final products, or
generated as wastes. Storage vessel does
not include vessels permanently
attached to motor vehicles, such as
trucks, railcars, barges or ships.
Synthetic organic chemicals
manufacturing industry means the
industry that produces, as intermediates
or final products, one or more of the
chemicals listed in § 60.489.
Transfer rack means the collection of
loading arms and loading hoses, at a
single loading rack, that are used to fill
tank trucks and/or railcars with organic
liquids.
Volatile organic compounds or VOC
means, for the purposes of this subpart,
any reactive organic compounds as
defined in § 60.2 Definitions.
§ 60.482–1a
Standards: General.
(a) Each owner or operator subject to
the provisions of this subpart shall
demonstrate compliance with the
requirements of §§ 60.482–1a through
60.482–10a or § 60.480a(e) for all
equipment within 180 days of initial
startup.
(b) Compliance with §§ 60.482–1a to
60.482–10a will be determined by
review of records and reports, review of
performance test results, and inspection
using the methods and procedures
specified in § 60.485a.
(c)(1) An owner or operator may
request a determination of equivalence
of a means of emission limitation to the
requirements of §§ 60.482–2a, 60.482–
3a, 60.482–5a, 60.482–6a, 60.482–7a,
60.482–8a, and 60.482–10a as provided
in § 60.484a.
(2) If the Administrator makes a
determination that a means of emission
limitation is at least equivalent to the
requirements of §§ 60.482–2a, 60.482–
3a, 60.482–5a, 60.482–6a, 60.482–7a,
60.482–8a, or 60.482–10a, an owner or
operator shall comply with the
requirements of that determination.
(d) Equipment that is in vacuum
service is excluded from the
requirements of §§ 60.482–2a through
60.482–10a if it is identified as required
in § 60.486a(e)(5).
(e) Equipment that an owner or
operator designates as being in VOC
service less than 300 hr/yr is excluded
from the requirements of §§ 60.482–2a
through 60.482–11a if it is identified as
required in § 60.486a(e)(6) and it meets
any of the conditions specified in
paragraphs (e)(1) through (3) of this
section.
(1) The equipment is in VOC service
only during startup and shutdown,
excluding startup and shutdown
between batches of the same campaign
for a batch process.
(2) The equipment is in VOC service
only during process malfunctions or
other emergencies.
(3) The equipment is backup
equipment that is in VOC service only
when the primary equipment is out of
service.
(f)(1) If a dedicated batch process unit
operates less than 365 days during a
year, an owner or operator may monitor
to detect leaks from pumps, valves, and
open-ended valves or lines at the
frequency specified in the following
table instead of monitoring as specified
in §§ 60.482–2a, 60.482–7a, and
60.483.2a:
Equivalent monitoring frequency time in use
Monthly
Quarterly
0 to <25 ..........................................
25 to <50 ........................................
50 to <75 ........................................
75 to 100 ........................................
mstockstill on PROD1PC66 with RULES3
Operating time (percent of hours
during year)
Quarterly .......................................
Quarterly .......................................
Bimonthly ......................................
Monthly .........................................
Annually ........................................
Semiannually ................................
Three quarters ..............................
Quarterly .......................................
(2) Pumps and valves that are shared
among two or more batch process units
that are subject to this subpart may be
monitored at the frequencies specified
in paragraph (f)(1) of this section,
provided the operating time of all such
process units is considered.
(3) The monitoring frequencies
specified in paragraph (f)(1) of this
section are not requirements for
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monitoring at specific intervals and can
be adjusted to accommodate process
operations. An owner or operator may
monitor at any time during the specified
monitoring period (e.g., month, quarter,
year), provided the monitoring is
conducted at a reasonable interval after
completion of the last monitoring
campaign. Reasonable intervals are
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Semiannually
Annually.
Annually.
Semiannually.
Semiannually.
defined in paragraphs (f)(3)(i) through
(iv) of this section.
(i) When monitoring is conducted
quarterly, monitoring events must be
separated by at least 30 calendar days.
(ii) When monitoring is conducted
semiannually (i.e., once every 2
quarters), monitoring events must be
separated by at least 60 calendar days.
(iii) When monitoring is conducted in
3 quarters per year, monitoring events
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must be separated by at least 90
calendar days.
(iv) When monitoring is conducted
annually, monitoring events must be
separated by at least 120 calendar days.
(g) If the storage vessel is shared with
multiple process units, the process unit
with the greatest annual amount of
stored materials (predominant use) is
the process unit the storage vessel is
assigned to. If the storage vessel is
shared equally among process units, and
one of the process units has equipment
subject to this subpart, the storage vessel
is assigned to that process unit. If the
storage vessel is shared equally among
process units, none of which have
equipment subject to this subpart of this
part, the storage vessel is assigned to
any process unit subject to subpart VV
of this part. If the predominant use of
the storage vessel varies from year to
year, then the owner or operator must
estimate the predominant use initially
and reassess every 3 years. The owner
or operator must keep records of the
information and supporting calculations
that show how predominant use is
determined. All equipment on the
storage vessel must be monitored when
in VOC service.
mstockstill on PROD1PC66 with RULES3
§ 60.482–2a Standards: Pumps in light
liquid service.
(a)(1) Each pump in light liquid
service shall be monitored monthly to
detect leaks by the methods specified in
§ 60.485a(b), except as provided in
§ 60.482–1a(c) and (f) and paragraphs
(d), (e), and (f) of this section. A pump
that begins operation in light liquid
service after the initial startup date for
the process unit must be monitored for
the first time within 30 days after the
end of its startup period, except for a
pump that replaces a leaking pump and
except as provided in § 60.482–1a(c)
and paragraphs (d), (e), and (f) of this
section.
(2) Each pump in light liquid service
shall be checked by visual inspection
each calendar week for indications of
liquids dripping from the pump seal,
except as provided in § 60.482–1a(f).
(b)(1) The instrument reading that
defines a leak is specified in paragraphs
(b)(1)(i) and (ii) of this section.
(i) 5,000 parts per million (ppm) or
greater for pumps handling
polymerizing monomers;
(ii) 2,000 ppm or greater for all other
pumps.
(2) If there are indications of liquids
dripping from the pump seal, the owner
or operator shall follow the procedure
specified in either paragraph (b)(2)(i) or
(ii) of this section. This requirement
does not apply to a pump that was
monitored after a previous weekly
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inspection and the instrument reading
was less than the concentration
specified in paragraph (b)(1)(i) or (ii) of
this section, whichever is applicable.
(i) Monitor the pump within 5 days as
specified in § 60.485a(b). A leak is
detected if the instrument reading
measured during monitoring indicates a
leak as specified in paragraph (b)(1)(i) or
(ii) of this section, whichever is
applicable. The leak shall be repaired
using the procedures in paragraph (c) of
this section.
(ii) Designate the visual indications of
liquids dripping as a leak, and repair the
leak using either the procedures in
paragraph (c) of this section or by
eliminating the visual indications of
liquids dripping.
(c)(1) When a leak is detected, it shall
be repaired as soon as practicable, but
not later than 15 calendar days after it
is detected, except as provided in
§ 60.482–9a.
(2) A first attempt at repair shall be
made no later than 5 calendar days after
each leak is detected. First attempts at
repair include, but are not limited to,
the practices described in paragraphs
(c)(2)(i) and (ii) of this section, where
practicable.
(i) Tightening the packing gland nuts;
(ii) Ensuring that the seal flush is
operating at design pressure and
temperature.
(d) Each pump equipped with a dual
mechanical seal system that includes a
barrier fluid system is exempt from the
requirements of paragraph (a) of this
section, provided the requirements
specified in paragraphs (d)(1) through
(6) of this section are met.
(1) Each dual mechanical seal system
is:
(i) Operated with the barrier fluid at
a pressure that is at all times greater
than the pump stuffing box pressure; or
(ii) Equipped with a barrier fluid
degassing reservoir that is routed to a
process or fuel gas system or connected
by a closed vent system to a control
device that complies with the
requirements of § 60.482–10a; or
(iii) Equipped with a system that
purges the barrier fluid into a process
stream with zero VOC emissions to the
atmosphere.
(2) The barrier fluid system is in
heavy liquid service or is not in VOC
service.
(3) Each barrier fluid system is
equipped with a sensor that will detect
failure of the seal system, the barrier
fluid system, or both.
(4)(i) Each pump is checked by visual
inspection, each calendar week, for
indications of liquids dripping from the
pump seals.
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(ii) If there are indications of liquids
dripping from the pump seal at the time
of the weekly inspection, the owner or
operator shall follow the procedure
specified in either paragraph
(d)(4)(ii)(A) or (B) of this section prior
to the next required inspection.
(A) Monitor the pump within 5 days
as specified in § 60.485a(b) to determine
if there is a leak of VOC in the barrier
fluid. If an instrument reading of 2,000
ppm or greater is measured, a leak is
detected.
(B) Designate the visual indications of
liquids dripping as a leak.
(5)(i) Each sensor as described in
paragraph (d)(3) is checked daily or is
equipped with an audible alarm.
(ii) The owner or operator determines,
based on design considerations and
operating experience, a criterion that
indicates failure of the seal system, the
barrier fluid system, or both.
(iii) If the sensor indicates failure of
the seal system, the barrier fluid system,
or both, based on the criterion
established in paragraph (d)(5)(ii) of this
section, a leak is detected.
(6)(i) When a leak is detected
pursuant to paragraph (d)(4)(ii)(A) of
this section, it shall be repaired as
specified in paragraph (c) of this
section.
(ii) A leak detected pursuant to
paragraph (d)(5)(iii) of this section shall
be repaired within 15 days of detection
by eliminating the conditions that
activated the sensor.
(iii) A designated leak pursuant to
paragraph (d)(4)(ii)(B) of this section
shall be repaired within 15 days of
detection by eliminating visual
indications of liquids dripping.
(e) Any pump that is designated, as
described in § 60.486a(e)(1) and (2), for
no detectable emissions, as indicated by
an instrument reading of less than 500
ppm above background, is exempt from
the requirements of paragraphs (a), (c),
and (d) of this section if the pump:
(1) Has no externally actuated shaft
penetrating the pump housing;
(2) Is demonstrated to be operating
with no detectable emissions as
indicated by an instrument reading of
less than 500 ppm above background as
measured by the methods specified in
§ 60.485a(c); and
(3) Is tested for compliance with
paragraph (e)(2) of this section initially
upon designation, annually, and at other
times requested by the Administrator.
(f) If any pump is equipped with a
closed vent system capable of capturing
and transporting any leakage from the
seal or seals to a process or to a fuel gas
system or to a control device that
complies with the requirements of
§ 60.482–10a, it is exempt from
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paragraphs (a) through (e) of this
section.
(g) Any pump that is designated, as
described in § 60.486a(f)(1), as an
unsafe-to-monitor pump is exempt from
the monitoring and inspection
requirements of paragraphs (a) and
(d)(4) through (6) of this section if:
(1) The owner or operator of the pump
demonstrates that the pump is unsafeto-monitor because monitoring
personnel would be exposed to an
immediate danger as a consequence of
complying with paragraph (a) of this
section; and
(2) The owner or operator of the pump
has a written plan that requires
monitoring of the pump as frequently as
practicable during safe-to-monitor
times, but not more frequently than the
periodic monitoring schedule otherwise
applicable, and repair of the equipment
according to the procedures in
paragraph (c) of this section if a leak is
detected.
(h) Any pump that is located within
the boundary of an unmanned plant site
is exempt from the weekly visual
inspection requirement of paragraphs
(a)(2) and (d)(4) of this section, and the
daily requirements of paragraph (d)(5) of
this section, provided that each pump is
visually inspected as often as
practicable and at least monthly.
mstockstill on PROD1PC66 with RULES3
§ 60.482–3a
Standards: Compressors.
(a) Each compressor shall be equipped
with a seal system that includes a
barrier fluid system and that prevents
leakage of VOC to the atmosphere,
except as provided in § 60.482–1a(c)
and paragraphs (h), (i), and (j) of this
section.
(b) Each compressor seal system as
required in paragraph (a) of this section
shall be:
(1) Operated with the barrier fluid at
a pressure that is greater than the
compressor stuffing box pressure; or
(2) Equipped with a barrier fluid
system degassing reservoir that is routed
to a process or fuel gas system or
connected by a closed vent system to a
control device that complies with the
requirements of § 60.482–10a; or
(3) Equipped with a system that
purges the barrier fluid into a process
stream with zero VOC emissions to the
atmosphere.
(c) The barrier fluid system shall be in
heavy liquid service or shall not be in
VOC service.
(d) Each barrier fluid system as
described in paragraph (a) shall be
equipped with a sensor that will detect
failure of the seal system, barrier fluid
system, or both.
(e)(1) Each sensor as required in
paragraph (d) of this section shall be
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checked daily or shall be equipped with
an audible alarm.
(2) The owner or operator shall
determine, based on design
considerations and operating
experience, a criterion that indicates
failure of the seal system, the barrier
fluid system, or both.
(f) If the sensor indicates failure of the
seal system, the barrier system, or both
based on the criterion determined under
paragraph (e)(2) of this section, a leak is
detected.
(g)(1) When a leak is detected, it shall
be repaired as soon as practicable, but
not later than 15 calendar days after it
is detected, except as provided in
§ 60.482–9a.
(2) A first attempt at repair shall be
made no later than 5 calendar days after
each leak is detected.
(h) A compressor is exempt from the
requirements of paragraphs (a) and (b) of
this section, if it is equipped with a
closed vent system to capture and
transport leakage from the compressor
drive shaft back to a process or fuel gas
system or to a control device that
complies with the requirements of
§ 60.482–10a, except as provided in
paragraph (i) of this section.
(i) Any compressor that is designated,
as described in § 60.486a(e)(1) and (2),
for no detectable emissions, as indicated
by an instrument reading of less than
500 ppm above background, is exempt
from the requirements of paragraphs (a)
through (h) of this section if the
compressor:
(1) Is demonstrated to be operating
with no detectable emissions, as
indicated by an instrument reading of
less than 500 ppm above background, as
measured by the methods specified in
§ 60.485a(c); and
(2) Is tested for compliance with
paragraph (i)(1) of this section initially
upon designation, annually, and at other
times requested by the Administrator.
(j) Any existing reciprocating
compressor in a process unit which
becomes an affected facility under
provisions of § 60.14 or § 60.15 is
exempt from paragraphs (a) through (e)
and (h) of this section, provided the
owner or operator demonstrates that
recasting the distance piece or replacing
the compressor are the only options
available to bring the compressor into
compliance with the provisions of
paragraphs (a) through (e) and (h) of this
section.
§ 60.482–4a Standards: Pressure relief
devices in gas/vapor service.
(a) Except during pressure releases,
each pressure relief device in gas/vapor
service shall be operated with no
detectable emissions, as indicated by an
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64887
instrument reading of less than 500 ppm
above background, as determined by the
methods specified in § 60.485a(c).
(b)(1) After each pressure release, the
pressure relief device shall be returned
to a condition of no detectable
emissions, as indicated by an
instrument reading of less than 500 ppm
above background, as soon as
practicable, but no later than 5 calendar
days after the pressure release, except as
provided in § 60.482–9a.
(2) No later than 5 calendar days after
the pressure release, the pressure relief
device shall be monitored to confirm the
conditions of no detectable emissions,
as indicated by an instrument reading of
less than 500 ppm above background, by
the methods specified in § 60.485a(c).
(c) Any pressure relief device that is
routed to a process or fuel gas system or
equipped with a closed vent system
capable of capturing and transporting
leakage through the pressure relief
device to a control device as described
in § 60.482–10a is exempted from the
requirements of paragraphs (a) and (b) of
this section.
(d)(1) Any pressure relief device that
is equipped with a rupture disk
upstream of the pressure relief device is
exempt from the requirements of
paragraphs (a) and (b) of this section,
provided the owner or operator
complies with the requirements in
paragraph (d)(2) of this section.
(2) After each pressure release, a new
rupture disk shall be installed upstream
of the pressure relief device as soon as
practicable, but no later than 5 calendar
days after each pressure release, except
as provided in § 60.482–9a.
§ 60.482–5a Standards: Sampling
connection systems.
(a) Each sampling connection system
shall be equipped with a closed-purge,
closed-loop, or closed-vent system,
except as provided in § 60.482–1a(c)
and paragraph (c) of this section.
(b) Each closed-purge, closed-loop, or
closed-vent system as required in
paragraph (a) of this section shall
comply with the requirements specified
in paragraphs (b)(1) through (4) of this
section.
(1) Gases displaced during filling of
the sample container are not required to
be collected or captured.
(2) Containers that are part of a
closed-purge system must be covered or
closed when not being filled or emptied.
(3) Gases remaining in the tubing or
piping between the closed-purge system
valve(s) and sample container valve(s)
after the valves are closed and the
sample container is disconnected are
not required to be collected or captured.
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(4) Each closed-purge, closed-loop, or
closed-vent system shall be designed
and operated to meet requirements in
either paragraph (b)(4)(i), (ii), (iii), or
(iv) of this section.
(i) Return the purged process fluid
directly to the process line.
(ii) Collect and recycle the purged
process fluid to a process.
(iii) Capture and transport all the
purged process fluid to a control device
that complies with the requirements of
§ 60.482–10a.
(iv) Collect, store, and transport the
purged process fluid to any of the
following systems or facilities:
(A) A waste management unit as
defined in 40 CFR 63.111, if the waste
management unit is subject to and
operated in compliance with the
provisions of 40 CFR part 63, subpart G,
applicable to Group 1 wastewater
streams;
(B) A treatment, storage, or disposal
facility subject to regulation under 40
CFR part 262, 264, 265, or 266;
(C) A facility permitted, licensed, or
registered by a state to manage
municipal or industrial solid waste, if
the process fluids are not hazardous
waste as defined in 40 CFR part 261;
(D) A waste management unit subject
to and operated in compliance with the
treatment requirements of 40 CFR
61.348(a), provided all waste
management units that collect, store, or
transport the purged process fluid to the
treatment unit are subject to and
operated in compliance with the
management requirements of 40 CFR
61.343 through 40 CFR 61.347; or
(E) A device used to burn offspecification used oil for energy
recovery in accordance with 40 CFR
part 279, subpart G, provided the
purged process fluid is not hazardous
waste as defined in 40 CFR part 261.
(c) In-situ sampling systems and
sampling systems without purges are
exempt from the requirements of
paragraphs (a) and (b) of this section.
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§ 60.482–6a Standards: Open-ended
valves or lines.
(a)(1) Each open-ended valve or line
shall be equipped with a cap, blind
flange, plug, or a second valve, except
as provided in § 60.482–1a(c) and
paragraphs (d) and (e) of this section.
(2) The cap, blind flange, plug, or
second valve shall seal the open end at
all times except during operations
requiring process fluid flow through the
open-ended valve or line.
(b) Each open-ended valve or line
equipped with a second valve shall be
operated in a manner such that the
valve on the process fluid end is closed
before the second valve is closed.
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(c) When a double block-and-bleed
system is being used, the bleed valve or
line may remain open during operations
that require venting the line between the
block valves but shall comply with
paragraph (a) of this section at all other
times.
(d) Open-ended valves or lines in an
emergency shutdown system which are
designed to open automatically in the
event of a process upset are exempt
from the requirements of paragraphs (a),
(b), and (c) of this section.
(e) Open-ended valves or lines
containing materials which would
autocatalytically polymerize or would
present an explosion, serious
overpressure, or other safety hazard if
capped or equipped with a double block
and bleed system as specified in
paragraphs (a) through (c) of this section
are exempt from the requirements of
paragraphs (a) through (c) of this
section.
§ 60.482–7a Standards: Valves in gas/
vapor service and in light liquid service.
(a)(1) Each valve shall be monitored
monthly to detect leaks by the methods
specified in § 60.485a(b) and shall
comply with paragraphs (b) through (e)
of this section, except as provided in
paragraphs (f), (g), and (h) of this
section, § 60.482–1a(c) and (f), and
§§ 60.483–1a and 60.483–2a.
(2) A valve that begins operation in
gas/vapor service or light liquid service
after the initial startup date for the
process unit must be monitored
according to paragraphs (a)(2)(i) or (ii),
except for a valve that replaces a leaking
valve and except as provided in
paragraphs (f), (g), and (h) of this
section, § 60.482–1a(c), and §§ 60.483–
1a and 60.483–2a.
(i) Monitor the valve as in paragraph
(a)(1) of this section. The valve must be
monitored for the first time within 30
days after the end of its startup period
to ensure proper installation.
(ii) If the existing valves in the
process unit are monitored in
accordance with § 60.483–1a or
§ 60.483–2a, count the new valve as
leaking when calculating the percentage
of valves leaking as described in
§ 60.483–2a(b)(5). If less than 2.0
percent of the valves are leaking for that
process unit, the valve must be
monitored for the first time during the
next scheduled monitoring event for
existing valves in the process unit or
within 90 days, whichever comes first.
(b) If an instrument reading of 500
ppm or greater is measured, a leak is
detected.
(c)(1)(i) Any valve for which a leak is
not detected for 2 successive months
may be monitored the first month of
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every quarter, beginning with the next
quarter, until a leak is detected.
(ii) As an alternative to monitoring all
of the valves in the first month of a
quarter, an owner or operator may elect
to subdivide the process unit into two
or three subgroups of valves and
monitor each subgroup in a different
month during the quarter, provided
each subgroup is monitored every 3
months. The owner or operator must
keep records of the valves assigned to
each subgroup.
(2) If a leak is detected, the valve shall
be monitored monthly until a leak is not
detected for 2 successive months.
(d)(1) When a leak is detected, it shall
be repaired as soon as practicable, but
no later than 15 calendar days after the
leak is detected, except as provided in
§ 60.482–9a.
(2) A first attempt at repair shall be
made no later than 5 calendar days after
each leak is detected.
(e) First attempts at repair include,
but are not limited to, the following best
practices where practicable:
(1) Tightening of bonnet bolts;
(2) Replacement of bonnet bolts;
(3) Tightening of packing gland nuts;
(4) Injection of lubricant into
lubricated packing.
(f) Any valve that is designated, as
described in § 60.486a(e)(2), for no
detectable emissions, as indicated by an
instrument reading of less than 500 ppm
above background, is exempt from the
requirements of paragraph (a) of this
section if the valve:
(1) Has no external actuating
mechanism in contact with the process
fluid,
(2) Is operated with emissions less
than 500 ppm above background as
determined by the method specified in
§ 60.485a(c), and
(3) Is tested for compliance with
paragraph (f)(2) of this section initially
upon designation, annually, and at other
times requested by the Administrator.
(g) Any valve that is designated, as
described in § 60.486a(f)(1), as an
unsafe-to-monitor valve is exempt from
the requirements of paragraph (a) of this
section if:
(1) The owner or operator of the valve
demonstrates that the valve is unsafe to
monitor because monitoring personnel
would be exposed to an immediate
danger as a consequence of complying
with paragraph (a) of this section, and
(2) The owner or operator of the valve
adheres to a written plan that requires
monitoring of the valve as frequently as
practicable during safe-to-monitor
times.
(h) Any valve that is designated, as
described in § 60.486a(f)(2), as a
difficult-to-monitor valve is exempt
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from the requirements of paragraph (a)
of this section if:
(1) The owner or operator of the valve
demonstrates that the valve cannot be
monitored without elevating the
monitoring personnel more than 2
meters above a support surface.
(2) The process unit within which the
valve is located either:
(i) Becomes an affected facility
through § 60.14 or § 60.15 and was
constructed on or before January 5,
1981; or
(ii) Has less than 3.0 percent of its
total number of valves designated as
difficult-to-monitor by the owner or
operator.
(3) The owner or operator of the valve
follows a written plan that requires
monitoring of the valve at least once per
calendar year.
§ 60.482–8a Standards: Pumps, valves,
and connectors in heavy liquid service and
pressure relief devices in light liquid or
heavy liquid service.
(a) If evidence of a potential leak is
found by visual, audible, olfactory, or
any other detection method at pumps,
valves, and connectors in heavy liquid
service and pressure relief devices in
light liquid or heavy liquid service, the
owner or operator shall follow either
one of the following procedures:
(1) The owner or operator shall
monitor the equipment within 5 days by
the method specified in § 60.485a(b) and
shall comply with the requirements of
paragraphs (b) through (d) of this
section.
(2) The owner or operator shall
eliminate the visual, audible, olfactory,
or other indication of a potential leak
within 5 calendar days of detection.
(b) If an instrument reading of 10,000
ppm or greater is measured, a leak is
detected.
(c)(1) When a leak is detected, it shall
be repaired as soon as practicable, but
not later than 15 calendar days after it
is detected, except as provided in
§ 60.482–9a.
(2) The first attempt at repair shall be
made no later than 5 calendar days after
each leak is detected.
(d) First attempts at repair include,
but are not limited to, the best practices
described under §§ 60.482–2a(c)(2) and
60.482–7a(e).
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§ 60.482–9a
Standards: Delay of repair.
(a) Delay of repair of equipment for
which leaks have been detected will be
allowed if repair within 15 days is
technically infeasible without a process
unit shutdown. Repair of this
equipment shall occur before the end of
the next process unit shutdown.
Monitoring to verify repair must occur
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within 15 days after startup of the
process unit.
(b) Delay of repair of equipment will
be allowed for equipment which is
isolated from the process and which
does not remain in VOC service.
(c) Delay of repair for valves and
connectors will be allowed if:
(1) The owner or operator
demonstrates that emissions of purged
material resulting from immediate
repair are greater than the fugitive
emissions likely to result from delay of
repair, and
(2) When repair procedures are
effected, the purged material is collected
and destroyed or recovered in a control
device complying with § 60.482–10a.
(d) Delay of repair for pumps will be
allowed if:
(1) Repair requires the use of a dual
mechanical seal system that includes a
barrier fluid system, and
(2) Repair is completed as soon as
practicable, but not later than 6 months
after the leak was detected.
(e) Delay of repair beyond a process
unit shutdown will be allowed for a
valve, if valve assembly replacement is
necessary during the process unit
shutdown, valve assembly supplies
have been depleted, and valve assembly
supplies had been sufficiently stocked
before the supplies were depleted. Delay
of repair beyond the next process unit
shutdown will not be allowed unless
the next process unit shutdown occurs
sooner than 6 months after the first
process unit shutdown.
(f) When delay of repair is allowed for
a leaking pump, valve, or connector that
remains in service, the pump, valve, or
connector may be considered to be
repaired and no longer subject to delay
of repair requirements if two
consecutive monthly monitoring
instrument readings are below the leak
definition.
§ 60.482–10a Standards: Closed vent
systems and control devices.
(a) Owners or operators of closed vent
systems and control devices used to
comply with provisions of this subpart
shall comply with the provisions of this
section.
(b) Vapor recovery systems (for
example, condensers and absorbers)
shall be designed and operated to
recover the VOC emissions vented to
them with an efficiency of 95 percent or
greater, or to an exit concentration of 20
parts per million by volume (ppmv),
whichever is less stringent.
(c) Enclosed combustion devices shall
be designed and operated to reduce the
VOC emissions vented to them with an
efficiency of 95 percent or greater, or to
an exit concentration of 20 ppmv, on a
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64889
dry basis, corrected to 3 percent oxygen,
whichever is less stringent or to provide
a minimum residence time of 0.75
seconds at a minimum temperature of
816 °C.
(d) Flares used to comply with this
subpart shall comply with the
requirements of § 60.18.
(e) Owners or operators of control
devices used to comply with the
provisions of this subpart shall monitor
these control devices to ensure that they
are operated and maintained in
conformance with their designs.
(f) Except as provided in paragraphs
(i) through (k) of this section, each
closed vent system shall be inspected
according to the procedures and
schedule specified in paragraphs (f)(1)
and (2) of this section.
(1) If the vapor collection system or
closed vent system is constructed of
hard-piping, the owner or operator shall
comply with the requirements specified
in paragraphs (f)(1)(i) and (ii) of this
section:
(i) Conduct an initial inspection
according to the procedures in
§ 60.485a(b); and
(ii) Conduct annual visual inspections
for visible, audible, or olfactory
indications of leaks.
(2) If the vapor collection system or
closed vent system is constructed of
ductwork, the owner or operator shall:
(i) Conduct an initial inspection
according to the procedures in
§ 60.485a(b); and
(ii) Conduct annual inspections
according to the procedures in
§ 60.485a(b).
(g) Leaks, as indicated by an
instrument reading greater than 500
ppmv above background or by visual
inspections, shall be repaired as soon as
practicable except as provided in
paragraph (h) of this section.
(1) A first attempt at repair shall be
made no later than 5 calendar days after
the leak is detected.
(2) Repair shall be completed no later
than 15 calendar days after the leak is
detected.
(h) Delay of repair of a closed vent
system for which leaks have been
detected is allowed if the repair is
technically infeasible without a process
unit shutdown or if the owner or
operator determines that emissions
resulting from immediate repair would
be greater than the fugitive emissions
likely to result from delay of repair.
Repair of such equipment shall be
complete by the end of the next process
unit shutdown.
(i) If a vapor collection system or
closed vent system is operated under a
vacuum, it is exempt from the
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inspection requirements of paragraphs
(f)(1)(i) and (f)(2) of this section.
(j) Any parts of the closed vent system
that are designated, as described in
paragraph (l)(1) of this section, as unsafe
to inspect are exempt from the
inspection requirements of paragraphs
(f)(1)(i) and (f)(2) of this section if they
comply with the requirements specified
in paragraphs (j)(1) and (2) of this
section:
(1) The owner or operator determines
that the equipment is unsafe to inspect
because inspecting personnel would be
exposed to an imminent or potential
danger as a consequence of complying
with paragraphs (f)(1)(i) or (f)(2) of this
section; and
(2) The owner or operator has a
written plan that requires inspection of
the equipment as frequently as
practicable during safe-to-inspect times.
(k) Any parts of the closed vent
system that are designated, as described
in paragraph (l)(2) of this section, as
difficult to inspect are exempt from the
inspection requirements of paragraphs
(f)(1)(i) and (f)(2) of this section if they
comply with the requirements specified
in paragraphs (k)(1) through (3) of this
section:
(1) The owner or operator determines
that the equipment cannot be inspected
without elevating the inspecting
personnel more than 2 meters above a
support surface; and
(2) The process unit within which the
closed vent system is located becomes
an affected facility through §§ 60.14 or
60.15, or the owner or operator
designates less than 3.0 percent of the
total number of closed vent system
equipment as difficult to inspect; and
(3) The owner or operator has a
written plan that requires inspection of
the equipment at least once every 5
years. A closed vent system is exempt
from inspection if it is operated under
a vacuum.
(l) The owner or operator shall record
the information specified in paragraphs
(l)(1) through (5) of this section.
(1) Identification of all parts of the
closed vent system that are designated
as unsafe to inspect, an explanation of
why the equipment is unsafe to inspect,
and the plan for inspecting the
equipment.
(2) Identification of all parts of the
closed vent system that are designated
as difficult to inspect, an explanation of
why the equipment is difficult to
inspect, and the plan for inspecting the
equipment.
(3) For each inspection during which
a leak is detected, a record of the
information specified in § 60.486a(c).
(4) For each inspection conducted in
accordance with § 60.485a(b) during
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which no leaks are detected, a record
that the inspection was performed, the
date of the inspection, and a statement
that no leaks were detected.
(5) For each visual inspection
conducted in accordance with
paragraph (f)(1)(ii) of this section during
which no leaks are detected, a record
that the inspection was performed, the
date of the inspection, and a statement
that no leaks were detected.
(m) Closed vent systems and control
devices used to comply with provisions
of this subpart shall be operated at all
times when emissions may be vented to
them.
§ 60.482–11a Standards: Connectors in
gas/vapor service and in light liquid service.
(a) The owner or operator shall
initially monitor all connectors in the
process unit for leaks by the later of
either 12 months after the compliance
date or 12 months after initial startup.
If all connectors in the process unit have
been monitored for leaks prior to the
compliance date, no initial monitoring
is required provided either no process
changes have been made since the
monitoring or the owner or operator can
determine that the results of the
monitoring, with or without
adjustments, reliably demonstrate
compliance despite process changes. If
required to monitor because of a process
change, the owner or operator is
required to monitor only those
connectors involved in the process
change.
(b) Except as allowed in § 60.482–
1a(c), § 60.482–10a, or as specified in
paragraph (e) of this section, the owner
or operator shall monitor all connectors
in gas and vapor and light liquid service
as specified in paragraphs (a) and (b)(3)
of this section.
(1) The connectors shall be monitored
to detect leaks by the method specified
in § 60.485a(b) and, as applicable,
§ 60.485a(c).
(2) If an instrument reading greater
than or equal to 500 ppm is measured,
a leak is detected.
(3) The owner or operator shall
perform monitoring, subsequent to the
initial monitoring required in paragraph
(a) of this section, as specified in
paragraphs (b)(3)(i) through (iii) of this
section, and shall comply with the
requirements of paragraphs (b)(3)(iv)
and (v) of this section. The required
period in which monitoring must be
conducted shall be determined from
paragraphs (b)(3)(i) through (iii) of this
section using the monitoring results
from the preceding monitoring period.
The percent leaking connectors shall be
calculated as specified in paragraph (c)
of this section.
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(i) If the percent leaking connectors in
the process unit was greater than or
equal to 0.5 percent, then monitor
within 12 months (1 year).
(ii) If the percent leaking connectors
in the process unit was greater than or
equal to 0.25 percent but less than 0.5
percent, then monitor within 4 years.
An owner or operator may comply with
the requirements of this paragraph by
monitoring at least 40 percent of the
connectors within 2 years of the start of
the monitoring period, provided all
connectors have been monitored by the
end of the 4-year monitoring period.
(iii) If the percent leaking connectors
in the process unit was less than 0.25
percent, then monitor as provided in
paragraph (b)(3)(iii)(A) of this section
and either paragraph (b)(3)(iii)(B) or
(b)(3)(iii)(C) of this section, as
appropriate.
(A) An owner or operator shall
monitor at least 50 percent of the
connectors within 4 years of the start of
the monitoring period.
(B) If the percent of leaking
connectors calculated from the
monitoring results in paragraph
(b)(3)(iii)(A) of this section is greater
than or equal to 0.35 percent of the
monitored connectors, the owner or
operator shall monitor as soon as
practical, but within the next 6 months,
all connectors that have not yet been
monitored during the monitoring
period. At the conclusion of monitoring,
a new monitoring period shall be started
pursuant to paragraph (b)(3) of this
section, based on the percent of leaking
connectors within the total monitored
connectors.
(C) If the percent of leaking
connectors calculated from the
monitoring results in paragraph
(b)(3)(iii)(A) of this section is less than
0.35 percent of the monitored
connectors, the owner or operator shall
monitor all connectors that have not yet
been monitored within 8 years of the
start of the monitoring period.
(iv) If, during the monitoring
conducted pursuant to paragraphs
(b)(3)(i) through (iii) of this section, a
connector is found to be leaking, it shall
be re-monitored once within 90 days
after repair to confirm that it is not
leaking.
(v) The owner or operator shall keep
a record of the start date and end date
of each monitoring period under this
section for each process unit.
(c) For use in determining the
monitoring frequency, as specified in
paragraphs (a) and (b)(3) of this section,
the percent leaking connectors as used
in paragraphs (a) and (b)(3) of this
section shall be calculated by using the
following equation:
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%CL = CL / Ct * 100
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Where:
%CL = Percent of leaking connectors as
determined through periodic monitoring
required in paragraphs (a) and (b)(3)(i)
through (iii) of this section.
CL = Number of connectors measured at 500
ppm or greater, by the method specified
in § 60.485a(b).
Ct = Total number of monitored connectors
in the process unit or affected facility.
(d) When a leak is detected pursuant
to paragraphs (a) and (b) of this section,
it shall be repaired as soon as
practicable, but not later than 15
calendar days after it is detected, except
as provided in § 60.482–9a. A first
attempt at repair as defined in this
subpart shall be made no later than 5
calendar days after the leak is detected.
(e) Any connector that is designated,
as described in § 60.486a(f)(1), as an
unsafe-to-monitor connector is exempt
from the requirements of paragraphs (a)
and (b) of this section if:
(1) The owner or operator of the
connector demonstrates that the
connector is unsafe-to-monitor because
monitoring personnel would be exposed
to an immediate danger as a
consequence of complying with
paragraphs (a) and (b) of this section;
and
(2) The owner or operator of the
connector has a written plan that
requires monitoring of the connector as
frequently as practicable during safe-tomonitor times but not more frequently
than the periodic monitoring schedule
otherwise applicable, and repair of the
equipment according to the procedures
in paragraph (d) of this section if a leak
is detected.
(f) Inaccessible, ceramic, or ceramiclined connectors. (1) Any connector that
is inaccessible or that is ceramic or
ceramic-lined (e.g., porcelain, glass, or
glass-lined), is exempt from the
monitoring requirements of paragraphs
(a) and (b) of this section, from the leak
repair requirements of paragraph (d) of
this section, and from the recordkeeping
and reporting requirements of
§§ 63.1038 and 63.1039. An inaccessible
connector is one that meets any of the
provisions specified in paragraphs
(f)(1)(i) through (vi) of this section, as
applicable:
(i) Buried;
(ii) Insulated in a manner that
prevents access to the connector by a
monitor probe;
(iii) Obstructed by equipment or
piping that prevents access to the
connector by a monitor probe;
(iv) Unable to be reached from a
wheeled scissor-lift or hydraulic-type
scaffold that would allow access to
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connectors up to 7.6 meters (25 feet)
above the ground;
(v) Inaccessible because it would
require elevating the monitoring
personnel more than 2 meters (7 feet)
above a permanent support surface or
would require the erection of scaffold;
or
(vi) Not able to be accessed at any
time in a safe manner to perform
monitoring. Unsafe access includes, but
is not limited to, the use of a wheeled
scissor-lift on unstable or uneven
terrain, the use of a motorized man-lift
basket in areas where an ignition
potential exists, or access would require
near proximity to hazards such as
electrical lines, or would risk damage to
equipment.
(2) If any inaccessible, ceramic, or
ceramic-lined connector is observed by
visual, audible, olfactory, or other
means to be leaking, the visual, audible,
olfactory, or other indications of a leak
to the atmosphere shall be eliminated as
soon as practical.
(g) Except for instrumentation systems
and inaccessible, ceramic, or ceramiclined connectors meeting the provisions
of paragraph (f) of this section, identify
the connectors subject to the
requirements of this subpart. Connectors
need not be individually identified if all
connectors in a designated area or
length of pipe subject to the provisions
of this subpart are identified as a group,
and the number of connectors subject is
indicated.
§ 60.483–1a Alternative standards for
valves—allowable percentage of valves
leaking.
(a) An owner or operator may elect to
comply with an allowable percentage of
valves leaking of equal to or less than
2.0 percent.
(b) The following requirements shall
be met if an owner or operator wishes
to comply with an allowable percentage
of valves leaking:
(1) An owner or operator must notify
the Administrator that the owner or
operator has elected to comply with the
allowable percentage of valves leaking
before implementing this alternative
standard, as specified in § 60.487a(d).
(2) A performance test as specified in
paragraph (c) of this section shall be
conducted initially upon designation,
annually, and at other times requested
by the Administrator.
(3) If a valve leak is detected, it shall
be repaired in accordance with
§ 60.482–7a(d) and (e).
(c) Performance tests shall be
conducted in the following manner:
(1) All valves in gas/vapor and light
liquid service within the affected
facility shall be monitored within 1
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week by the methods specified in
§ 60.485a(b).
(2) If an instrument reading of 500
ppm or greater is measured, a leak is
detected.
(3) The leak percentage shall be
determined by dividing the number of
valves for which leaks are detected by
the number of valves in gas/vapor and
light liquid service within the affected
facility.
(d) Owners and operators who elect to
comply with this alternative standard
shall not have an affected facility with
a leak percentage greater than 2.0
percent, determined as described in
§ 60.485a(h).
§ 60.483–2a Alternative standards for
valves—skip period leak detection and
repair.
(a)(1) An owner or operator may elect
to comply with one of the alternative
work practices specified in paragraphs
(b)(2) and (3) of this section.
(2) An owner or operator must notify
the Administrator before implementing
one of the alternative work practices, as
specified in § 60.487(d)a.
(b)(1) An owner or operator shall
comply initially with the requirements
for valves in gas/vapor service and
valves in light liquid service, as
described in § 60.482–7a.
(2) After 2 consecutive quarterly leak
detection periods with the percent of
valves leaking equal to or less than 2.0,
an owner or operator may begin to skip
1 of the quarterly leak detection periods
for the valves in gas/vapor and light
liquid service.
(3) After 5 consecutive quarterly leak
detection periods with the percent of
valves leaking equal to or less than 2.0,
an owner or operator may begin to skip
3 of the quarterly leak detection periods
for the valves in gas/vapor and light
liquid service.
(4) If the percent of valves leaking is
greater than 2.0, the owner or operator
shall comply with the requirements as
described in § 60.482–7a but can again
elect to use this section.
(5) The percent of valves leaking shall
be determined as described in
§ 60.485a(h).
(6) An owner or operator must keep
a record of the percent of valves found
leaking during each leak detection
period.
(7) A valve that begins operation in
gas/vapor service or light liquid service
after the initial startup date for a process
unit following one of the alternative
standards in this section must be
monitored in accordance with § 60.482–
7a(a)(2)(i) or (ii) before the provisions of
this section can be applied to that valve.
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§ 60.484a Equivalence of means of
emission limitation.
(a) Each owner or operator subject to
the provisions of this subpart may apply
to the Administrator for determination
of equivalence for any means of
emission limitation that achieves a
reduction in emissions of VOC at least
equivalent to the reduction in emissions
of VOC achieved by the controls
required in this subpart.
(b) Determination of equivalence to
the equipment, design, and operational
requirements of this subpart will be
evaluated by the following guidelines:
(1) Each owner or operator applying
for an equivalence determination shall
be responsible for collecting and
verifying test data to demonstrate
equivalence of means of emission
limitation.
(2) The Administrator will compare
test data for demonstrating equivalence
of the means of emission limitation to
test data for the equipment, design, and
operational requirements.
(3) The Administrator may condition
the approval of equivalence on
requirements that may be necessary to
assure operation and maintenance to
achieve the same emission reduction as
the equipment, design, and operational
requirements.
(c) Determination of equivalence to
the required work practices in this
subpart will be evaluated by the
following guidelines:
(1) Each owner or operator applying
for a determination of equivalence shall
be responsible for collecting and
verifying test data to demonstrate
equivalence of an equivalent means of
emission limitation.
(2) For each affected facility for which
a determination of equivalence is
requested, the emission reduction
achieved by the required work practice
shall be demonstrated.
(3) For each affected facility, for
which a determination of equivalence is
requested, the emission reduction
achieved by the equivalent means of
emission limitation shall be
demonstrated.
(4) Each owner or operator applying
for a determination of equivalence shall
commit in writing to work practice(s)
that provide for emission reductions
equal to or greater than the emission
reductions achieved by the required
work practice.
(5) The Administrator will compare
the demonstrated emission reduction for
the equivalent means of emission
limitation to the demonstrated emission
reduction for the required work
practices and will consider the
commitment in paragraph (c)(4) of this
section.
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(6) The Administrator may condition
the approval of equivalence on
requirements that may be necessary to
assure operation and maintenance to
achieve the same emission reduction as
the required work practice.
(d) An owner or operator may offer a
unique approach to demonstrate the
equivalence of any equivalent means of
emission limitation.
(e)(1) After a request for
determination of equivalence is
received, the Administrator will publish
a notice in the Federal Register and
provide the opportunity for public
hearing if the Administrator judges that
the request may be approved.
(2) After notice and opportunity for
public hearing, the Administrator will
determine the equivalence of a means of
emission limitation and will publish the
determination in the Federal Register.
(3) Any equivalent means of emission
limitations approved under this section
shall constitute a required work
practice, equipment, design, or
operational standard within the
meaning of section 111(h)(1) of the
CAA.
(f)(1) Manufacturers of equipment
used to control equipment leaks of VOC
may apply to the Administrator for
determination of equivalence for any
equivalent means of emission limitation
that achieves a reduction in emissions
of VOC achieved by the equipment,
design, and operational requirements of
this subpart.
(2) The Administrator will make an
equivalence determination according to
the provisions of paragraphs (b), (c), (d),
and (e) of this section.
§ 60.485a
Test methods and procedures.
(a) In conducting the performance
tests required in § 60.8, the owner or
operator shall use as reference methods
and procedures the test methods in
appendix A of this part or other
methods and procedures as specified in
this section, except as provided in
§ 60.8(b).
(b) The owner or operator shall
determine compliance with the
standards in §§ 60.482–1a through
60.482–11a, 60.483a, and 60.484a as
follows:
(1) Method 21 shall be used to
determine the presence of leaking
sources. The instrument shall be
calibrated before use each day of its use
by the procedures specified in Method
21 of appendix A–7 of this part. The
following calibration gases shall be
used:
(i) Zero air (less than 10 ppm of
hydrocarbon in air); and
(ii) A mixture of methane or n-hexane
and air at a concentration no more than
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2,000 ppm greater than the leak
definition concentration of the
equipment monitored. If the monitoring
instrument’s design allows for multiple
calibration scales, then the lower scale
shall be calibrated with a calibration gas
that is no higher than 2,000 ppm above
the concentration specified as a leak,
and the highest scale shall be calibrated
with a calibration gas that is
approximately equal to 10,000 ppm. If
only one scale on an instrument will be
used during monitoring, the owner or
operator need not calibrate the scales
that will not be used during that day’s
monitoring.
(2) A calibration drift assessment shall
be performed, at a minimum, at the end
of each monitoring day. Check the
instrument using the same calibration
gas(es) that were used to calibrate the
instrument before use. Follow the
procedures specified in Method 21 of
appendix A–7 of this part, Section 10.1,
except do not adjust the meter readout
to correspond to the calibration gas
value. Record the instrument reading for
each scale used as specified in
§ 60.486a(e)(7). Calculate the average
algebraic difference between the three
meter readings and the most recent
calibration value. Divide this algebraic
difference by the initial calibration
value and multiply by 100 to express
the calibration drift as a percentage. If
any calibration drift assessment shows a
negative drift of more than 10 percent
from the initial calibration value, then
all equipment monitored since the last
calibration with instrument readings
below the appropriate leak definition
and above the leak definition multiplied
by (100 minus the percent of negative
drift/divided by 100) must be remonitored. If any calibration drift
assessment shows a positive drift of
more than 10 percent from the initial
calibration value, then, at the owner/
operator’s discretion, all equipment
since the last calibration with
instrument readings above the
appropriate leak definition and below
the leak definition multiplied by (100
plus the percent of positive drift/
divided by 100) may be re-monitored.
(c) The owner or operator shall
determine compliance with the nodetectable-emission standards in
§§ 60.482–2a(e), 60.482–3a(i), 60.482–
4a, 60.482–7a(f), and 60.482–10a(e) as
follows:
(1) The requirements of paragraph (b)
shall apply.
(2) Method 21 of appendix A–7 of this
part shall be used to determine the
background level. All potential leak
interfaces shall be traversed as close to
the interface as possible. The arithmetic
difference between the maximum
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concentration indicated by the
instrument and the background level is
compared with 500 ppm for
determining compliance.
(d) The owner or operator shall test
each piece of equipment unless he
demonstrates that a process unit is not
in VOC service, i.e., that the VOC
content would never be reasonably
expected to exceed 10 percent by
weight. For purposes of this
demonstration, the following methods
and procedures shall be used:
(1) Procedures that conform to the
general methods in ASTM E260–73, 91,
or 96, E168–67, 77, or 92, E169–63, 77,
or 93 (incorporated by reference—see
§ 60.17) shall be used to determine the
percent VOC content in the process
fluid that is contained in or contacts a
piece of equipment.
(2) Organic compounds that are
considered by the Administrator to have
negligible photochemical reactivity may
be excluded from the total quantity of
organic compounds in determining the
VOC content of the process fluid.
(3) Engineering judgment may be used
to estimate the VOC content, if a piece
of equipment had not been shown
previously to be in service. If the
Administrator disagrees with the
judgment, paragraphs (d)(1) and (2) of
this section shall be used to resolve the
disagreement.
(e) The owner or operator shall
demonstrate that a piece of equipment
is in light liquid service by showing that
all the following conditions apply:
(1) The vapor pressure of one or more
of the organic components is greater
than 0.3 kPa at 20 °C (1.2 in. H2O at
68 °F). Standard reference texts or
ASTM D2879–83, 96, or 97
(incorporated by reference—see § 60.17)
shall be used to determine the vapor
pressures.
(2) The total concentration of the pure
organic components having a vapor
pressure greater than 0.3 kPa at 20 °C
(1.2 in. H2O at 68 °F) is equal to or
greater than 20 percent by weight.
(3) The fluid is a liquid at operating
conditions.
(f) Samples used in conjunction with
paragraphs (d), (e), and (g) of this
section shall be representative of the
process fluid that is contained in or
contacts the equipment or the gas being
combusted in the flare.
(g) The owner or operator shall
determine compliance with the
standards of flares as follows:
(1) Method 22 of appendix A–7 of this
part shall be used to determine visible
emissions.
(2) A thermocouple or any other
equivalent device shall be used to
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monitor the presence of a pilot flame in
the flare.
(3) The maximum permitted velocity
for air assisted flares shall be computed
using the following equation:
Vmax = K1 + K2HT
Where:
Vmax = Maximum permitted velocity, m/sec
(ft/sec).
HT = Net heating value of the gas being
combusted, MJ/scm (Btu/scf).
K1 = 8.706 m/sec (metric units) = 28.56 ft/sec
(English units).
K2 = 0.7084 m4/(MJ-sec) (metric units) =
0.087 ft4/(Btu-sec) (English units).
(4) The net heating value (HT) of the
gas being combusted in a flare shall be
computed using the following equation:
n
H T = K ∑ Ci H i
i =l
Where:
K = Conversion constant, 1.740 × 10¥7 (gmole)(MJ)/(ppm-scm-kcal) (metric units)
= 4.674 × 10¥6 [(g-mole)(Btu)/(ppm-scfkcal)] (English units).
Ci = Concentration of sample component ‘‘i,’’
ppm
Hi = net heat of combustion of sample
component ‘‘i’’ at 25 °C and 760 mm Hg
(77 °F and 14.7 psi), kcal/g-mole.
(5) Method 18 of appendix A–6 of this
part or ASTM D6420–99 (2004) (where
the target compound(s) are those listed
in Section 1.1 of ASTM D6420–99, and
the target concentration is between 150
parts per billion by volume and 100
ppmv) and ASTM D2504–67, 77, or 88
(Reapproved 1993) (incorporated by
reference-see § 60.17) shall be used to
determine the concentration of sample
component ‘‘i.’’
(6) ASTM D2382–76 or 88 or D4809–
95 (incorporated by reference-see
§ 60.17) shall be used to determine the
net heat of combustion of component
‘‘i’’ if published values are not available
or cannot be calculated.
(7) Method 2, 2A, 2C, or 2D of
appendix A–7 of this part, as
appropriate, shall be used to determine
the actual exit velocity of a flare. If
needed, the unobstructed (free) crosssectional area of the flare tip shall be
used.
(h) The owner or operator shall
determine compliance with § 60.483–1a
or § 60.483–2a as follows:
(1) The percent of valves leaking shall
be determined using the following
equation:
%VL = (VL / VT) * 100
Where:
%VL = Percent leaking valves.
VL = Number of valves found leaking.
VT = The sum of the total number of valves
monitored.
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(2) The total number of valves
monitored shall include difficult-tomonitor and unsafe-to-monitor valves
only during the monitoring period in
which those valves are monitored.
(3) The number of valves leaking shall
include valves for which repair has been
delayed.
(4) Any new valve that is not
monitored within 30 days of being
placed in service shall be included in
the number of valves leaking and the
total number of valves monitored for the
monitoring period in which the valve is
placed in service.
(5) If the process unit has been
subdivided in accordance with
§ 60.482–7a(c)(1)(ii), the sum of valves
found leaking during a monitoring
period includes all subgroups.
(6) The total number of valves
monitored does not include a valve
monitored to verify repair.
§ 60.486a
Recordkeeping requirements.
(a)(1) Each owner or operator subject
to the provisions of this subpart shall
comply with the recordkeeping
requirements of this section.
(2) An owner or operator of more than
one affected facility subject to the
provisions of this subpart may comply
with the recordkeeping requirements for
these facilities in one recordkeeping
system if the system identifies each
record by each facility.
(3) The owner or operator shall record
the information specified in paragraphs
(a)(3)(i) through (v) of this section for
each monitoring event required by
§§ 60.482–2a, 60.482–3a, 60.482–7a,
60.482–8a, 60.482–11a, and 60.483–2a.
(i) Monitoring instrument
identification.
(ii) Operator identification.
(iii) Equipment identification.
(iv) Date of monitoring.
(v) Instrument reading.
(b) When each leak is detected as
specified in §§ 60.482–2a, 60.482–3a,
60.482–7a, 60.482–8a, 60.482–11a, and
60.483–2a, the following requirements
apply:
(1) A weatherproof and readily visible
identification, marked with the
equipment identification number, shall
be attached to the leaking equipment.
(2) The identification on a valve may
be removed after it has been monitored
for 2 successive months as specified in
§ 60.482–7a(c) and no leak has been
detected during those 2 months.
(3) The identification on a connector
may be removed after it has been
monitored as specified in § 60.482–
11a(b)(3)(iv) and no leak has been
detected during that monitoring.
(4) The identification on equipment,
except on a valve or connector, may be
removed after it has been repaired.
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(c) When each leak is detected as
specified in §§ 60.482–2a, 60.482–3a,
60.482–7a, 60.482–8a, 60.482–11a, and
60.483–2a, the following information
shall be recorded in a log and shall be
kept for 2 years in a readily accessible
location:
(1) The instrument and operator
identification numbers and the
equipment identification number,
except when indications of liquids
dripping from a pump are designated as
a leak.
(2) The date the leak was detected and
the dates of each attempt to repair the
leak.
(3) Repair methods applied in each
attempt to repair the leak.
(4) Maximum instrument reading
measured by Method 21 of appendix A–
7 of this part at the time the leak is
successfully repaired or determined to
be nonrepairable, except when a pump
is repaired by eliminating indications of
liquids dripping.
(5) ‘‘Repair delayed’’ and the reason
for the delay if a leak is not repaired
within 15 calendar days after discovery
of the leak.
(6) The signature of the owner or
operator (or designate) whose decision it
was that repair could not be effected
without a process shutdown.
(7) The expected date of successful
repair of the leak if a leak is not repaired
within 15 days.
(8) Dates of process unit shutdowns
that occur while the equipment is
unrepaired.
(9) The date of successful repair of the
leak.
(d) The following information
pertaining to the design requirements
for closed vent systems and control
devices described in § 60.482–10a shall
be recorded and kept in a readily
accessible location:
(1) Detailed schematics, design
specifications, and piping and
instrumentation diagrams.
(2) The dates and descriptions of any
changes in the design specifications.
(3) A description of the parameter or
parameters monitored, as required in
§ 60.482–10a(e), to ensure that control
devices are operated and maintained in
conformance with their design and an
explanation of why that parameter (or
parameters) was selected for the
monitoring.
(4) Periods when the closed vent
systems and control devices required in
§§ 60.482–2a, 60.482–3a, 60.482–4a, and
60.482–5a are not operated as designed,
including periods when a flare pilot
light does not have a flame.
(5) Dates of startups and shutdowns of
the closed vent systems and control
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devices required in §§ 60.482–2a,
60.482–3a, 60.482–4a, and 60.482–5a.
(e) The following information
pertaining to all equipment subject to
the requirements in §§ 60.482–1a to
60.482–11a shall be recorded in a log
that is kept in a readily accessible
location:
(1) A list of identification numbers for
equipment subject to the requirements
of this subpart.
(2)(i) A list of identification numbers
for equipment that are designated for no
detectable emissions under the
provisions of §§ 60.482–2a(e), 60.482–
3a(i), and 60.482–7a(f).
(ii) The designation of equipment as
subject to the requirements of § 60.482–
2a(e), § 60.482–3a(i), or § 60.482–7a(f)
shall be signed by the owner or
operator. Alternatively, the owner or
operator may establish a mechanism
with their permitting authority that
satisfies this requirement.
(3) A list of equipment identification
numbers for pressure relief devices
required to comply with § 60.482–4a.
(4)(i) The dates of each compliance
test as required in §§ 60.482–2a(e),
60.482–3a(i), 60.482–4a, and 60.482–
7a(f).
(ii) The background level measured
during each compliance test.
(iii) The maximum instrument
reading measured at the equipment
during each compliance test.
(5) A list of identification numbers for
equipment in vacuum service.
(6) A list of identification numbers for
equipment that the owner or operator
designates as operating in VOC service
less than 300 hr/yr in accordance with
§ 60.482–1a(e), a description of the
conditions under which the equipment
is in VOC service, and rationale
supporting the designation that it is in
VOC service less than 300 hr/yr.
(7) The date and results of the weekly
visual inspection for indications of
liquids dripping from pumps in light
liquid service.
(8) Records of the information
specified in paragraphs (e)(8)(i) through
(vi) of this section for monitoring
instrument calibrations conducted
according to sections 8.1.2 and 10 of
Method 21 of appendix A–7 of this part
and § 60.485a(b).
(i) Date of calibration and initials of
operator performing the calibration.
(ii) Calibration gas cylinder
identification, certification date, and
certified concentration.
(iii) Instrument scale(s) used.
(iv) A description of any corrective
action taken if the meter readout could
not be adjusted to correspond to the
calibration gas value in accordance with
section 10.1 of Method 21 of appendix
A–7 of this part.
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(v) Results of each calibration drift
assessment required by § 60.485a(b)(2)
(i.e., instrument reading for calibration
at end of monitoring day and the
calculated percent difference from the
initial calibration value).
(vi) If an owner or operator makes
their own calibration gas, a description
of the procedure used.
(9) The connector monitoring
schedule for each process unit as
specified in § 60.482–11a(b)(3)(v).
(10) Records of each release from a
pressure relief device subject to
§ 60.482–4a.
(f) The following information
pertaining to all valves subject to the
requirements of § 60.482–7a(g) and (h),
all pumps subject to the requirements of
§ 60.482–2a(g), and all connectors
subject to the requirements of § 60.482–
11a(e) shall be recorded in a log that is
kept in a readily accessible location:
(1) A list of identification numbers for
valves, pumps, and connectors that are
designated as unsafe-to-monitor, an
explanation for each valve, pump, or
connector stating why the valve, pump,
or connector is unsafe-to-monitor, and
the plan for monitoring each valve,
pump, or connector.
(2) A list of identification numbers for
valves that are designated as difficult-tomonitor, an explanation for each valve
stating why the valve is difficult-tomonitor, and the schedule for
monitoring each valve.
(g) The following information shall be
recorded for valves complying with
§ 60.483–2a:
(1) A schedule of monitoring.
(2) The percent of valves found
leaking during each monitoring period.
(h) The following information shall be
recorded in a log that is kept in a readily
accessible location:
(1) Design criterion required in
§§ 60.482–2a(d)(5) and 60.482–3a(e)(2)
and explanation of the design criterion;
and
(2) Any changes to this criterion and
the reasons for the changes.
(i) The following information shall be
recorded in a log that is kept in a readily
accessible location for use in
determining exemptions as provided in
§ 60.480a(d):
(1) An analysis demonstrating the
design capacity of the affected facility,
(2) A statement listing the feed or raw
materials and products from the affected
facilities and an analysis demonstrating
whether these chemicals are heavy
liquids or beverage alcohol, and
(3) An analysis demonstrating that
equipment is not in VOC service.
(j) Information and data used to
demonstrate that a piece of equipment
is not in VOC service shall be recorded
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in a log that is kept in a readily
accessible location.
(k) The provisions of § 60.7(b) and (d)
do not apply to affected facilities subject
to this subpart.
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§ 60.487a
Reporting requirements.
(a) Each owner or operator subject to
the provisions of this subpart shall
submit semiannual reports to the
Administrator beginning 6 months after
the initial startup date.
(b) The initial semiannual report to
the Administrator shall include the
following information:
(1) Process unit identification.
(2) Number of valves subject to the
requirements of § 60.482–7a, excluding
those valves designated for no
detectable emissions under the
provisions of § 60.482–7a(f).
(3) Number of pumps subject to the
requirements of § 60.482–2a, excluding
those pumps designated for no
detectable emissions under the
provisions of § 60.482–2a(e) and those
pumps complying with § 60.482–2a(f).
(4) Number of compressors subject to
the requirements of § 60.482–3a,
excluding those compressors designated
for no detectable emissions under the
provisions of § 60.482–3a(i) and those
compressors complying with § 60.482–
3a(h).
(5) Number of connectors subject to
the requirements of § 60.482–11a.
(c) All semiannual reports to the
Administrator shall include the
following information, summarized
from the information in § 60.486a:
(1) Process unit identification.
(2) For each month during the
semiannual reporting period,
(i) Number of valves for which leaks
were detected as described in § 60.482–
7a(b) or § 60.483–2a,
(ii) Number of valves for which leaks
were not repaired as required in
§ 60.482–7a(d)(1),
(iii) Number of pumps for which leaks
were detected as described in § 60.482–
2a(b), (d)(4)(ii)(A) or (B), or (d)(5)(iii),
(iv) Number of pumps for which leaks
were not repaired as required in
§ 60.482–2a(c)(1) and (d)(6),
(v) Number of compressors for which
leaks were detected as described in
§ 60.482–3a(f),
(vi) Number of compressors for which
leaks were not repaired as required in
§ 60.482–3a(g)(1),
(vii) Number of connectors for which
leaks were detected as described in
§ 60.482–11a(b)
(viii) Number of connectors for which
leaks were not repaired as required in
§ 60.482–11a(d), and
(xi) The facts that explain each delay
of repair and, where appropriate, why a
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process unit shutdown was technically
infeasible.
(3) Dates of process unit shutdowns
which occurred within the semiannual
reporting period.
(4) Revisions to items reported
according to paragraph (b) of this
section if changes have occurred since
the initial report or subsequent revisions
to the initial report.
(d) An owner or operator electing to
comply with the provisions of
§§ 60.483–1a or 60.483–2a shall notify
the Administrator of the alternative
standard selected 90 days before
implementing either of the provisions.
(e) An owner or operator shall report
the results of all performance tests in
accordance with § 60.8 of the General
Provisions. The provisions of § 60.8(d)
do not apply to affected facilities subject
to the provisions of this subpart except
that an owner or operator must notify
the Administrator of the schedule for
the initial performance tests at least 30
days before the initial performance tests.
(f) The requirements of paragraphs (a)
through (c) of this section remain in
force until and unless EPA, in
delegating enforcement authority to a
state under section 111(c) of the CAA,
approves reporting requirements or an
alternative means of compliance
surveillance adopted by such state. In
that event, affected sources within the
state will be relieved of the obligation to
comply with the requirements of
paragraphs (a) through (c) of this
section, provided that they comply with
the requirements established by the
state.
§ 60.488a
Reconstruction.
For the purposes of this subpart:
(a) The cost of the following
frequently replaced components of the
facility shall not be considered in
calculating either the ‘‘fixed capital cost
of the new components’’ or the ‘‘fixed
capital costs that would be required to
construct a comparable new facility’’
under § 60.15: Pump seals, nuts and
bolts, rupture disks, and packings.
(b) Under § 60.15, the ‘‘fixed capital
cost of new components’’ includes the
fixed capital cost of all depreciable
components (except components
specified in § 60.488a(a)) which are or
will be replaced pursuant to all
continuous programs of component
replacement which are commenced
within any 2-year period following the
applicability date for the appropriate
subpart. (See the ‘‘Applicability and
designation of affected facility’’ section
of the appropriate subpart.) For
purposes of this paragraph,
‘‘commenced’’ means that an owner or
operator has undertaken a continuous
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64895
program of component replacement or
that an owner or operator has entered
into a contractual obligation to
undertake and complete, within a
reasonable time, a continuous program
of component replacement.
§ 60.489a List of chemicals produced by
affected facilities.
Process units that produce, as
intermediates or final products,
chemicals listed in § 60.489 are covered
under this subpart. The applicability
date for process units producing one or
more of these chemicals is November 8,
2006.
Subpart GGG—Standards of
Performance for Equipment Leaks of
VOC in Petroleum Refineries for which
Construction, Reconstruction, or
Modification Commenced After
January 4, 1983, and on or Before
November 7, 2006
21. The heading for Subpart GGG is
revised as set out above.
I 22. Section 60.590 is amended by
revising paragraphs (b) and (d) to read
as follows:
I
§ 60.590 Applicability and designation of
affected facility.
*
*
*
*
*
(b) Any affected facility under
paragraph (a) of this section that
commences construction,
reconstruction, or modification after
January 4, 1983, and on or before
November 7, 2006, is subject to the
requirements of this subpart.
*
*
*
*
*
(d) Facilities subject to subpart VV,
subpart VVa, or subpart KKK of this part
are excluded from this subpart.
*
*
*
*
*
I 23. Section 60.591 is amended by
adding a definition of ‘‘Asphalt’’ in
alphabetical order and revising the
definition of ‘‘Process unit’’ to read as
follows:
§ 60.591
Definitions.
*
*
*
*
*
Asphalt (also known as Bitumen) is a
black or dark brown solid or semi-solid
thermo-plastic material possessing
waterproofing and adhesive properties.
It is a complex combination of higher
molecular weight organic compounds
containing a relatively high proportion
of hydrocarbons having carbon numbers
greater than C25 with a high carbon to
hydrogen ratio. It is essentially nonvolatile at ambient temperatures with
closed cup flash point of 445 °F (230 °C)
or greater.
*
*
*
*
*
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Process unit means the components
assembled and connected by pipes or
ducts to process raw materials and to
produce intermediate or final products
from petroleum, unfinished petroleum
derivatives, or other intermediates. A
process unit can operate independently
if supplied with sufficient feed or raw
materials and sufficient storage facilities
for the product. For the purpose of this
subpart, process unit includes any feed,
intermediate and final product storage
vessels (except as specified in § 60.482–
1(g)), product transfer racks, and
connected ducts and piping. A process
unit includes all equipment as defined
in this subpart.
I 24. Section 60.592 is amended by
revising paragraph (b) to read as follows:
greater than 10 percent at 150 °C as
determined by ASTM Method D86–78,
82, 90, 95, or 96 (incorporated by
reference as specified in § 60.17).
*
*
*
*
*
(f) Open-ended valves or lines
containing asphalt as defined in
§ 60.591 are exempt from the
requirements of § 60.482–6(a) through
(c).
I 26. Part 60 is amended by adding
subpart GGGa to read as follows:
§ 60.592
Sec.
60.590a Applicability and designation of
affected facility.
60.591a Definitions.
60.592a Standards.
60.593a Exceptions.
Standards.
*
*
*
*
*
(b) For a given process unit, an owner
or operator may elect to comply with
the requirements of paragraphs (b)(1),
(2), or (3) of this section as an
alternative to the requirements in
§ 60.482–7.
(1) Comply with § 60.483–1.
(2) Comply with § 60.483–2.
(3) Comply with the Phase III
provisions in 40 CFR 63.168, except an
owner or operator may elect to follow
the provisions in § 60.482–7(f) instead
of 40 CFR 63.168 for any valve that is
designated as being leakless.
*
*
*
*
*
I 25. Section 60.593 is amended by:
I a. Revising the first sentence of
paragraph (b)(2);
I b. Revising paragraphs (c) and (d); and
I c. Adding paragraph (f) to read as
follows:
§ 60.593
Exceptions.
mstockstill on PROD1PC66 with RULES3
*
*
*
*
*
(b) * * *
(2) Each compressor is presumed not
to be in hydrogen service unless an
owner or operator demonstrates that the
piece of equipment is in hydrogen
service. * * *
*
*
*
*
*
(c) Any existing reciprocating
compressor that becomes an affected
facility under provisions of § 60.14 or
§ 60.15 is exempt from § 60.482–3(a),
(b), (c), (d), (e), and (h) provided the
owner or operator demonstrates that
recasting the distance piece or replacing
the compressor are the only options
available to bring the compressor into
compliance with the provisions of
§ 60.482–3(a), (b), (c), (d), (e), and (h).
(d) An owner or operator may use the
following provision in addition to
§ 60.485(e): Equipment is in light liquid
service if the percent evaporated is
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Jkt 214001
(a)(1) The provisions of this subpart
apply to affected facilities in petroleum
refineries.
(2) A compressor is an affected
facility.
(3) The group of all the equipment
(defined in § 60.591a) within a process
unit is an affected facility.
(b) Any affected facility under
paragraph (a) of this section that
commences construction,
reconstruction, or modification after
November 7, 2006, is subject to the
requirements of this subpart.
(c) Addition or replacement of
equipment (defined in § 60.591a) for the
purpose of process improvement which
is accomplished without a capital
expenditure shall not by itself be
considered a modification under this
subpart.
(d) Facilities subject to subpart VV,
subpart VVa, subpart GGG, or subpart
KKK of this part are excluded from this
subpart.
waterproofing and adhesive properties.
It is a complex combination of higher
molecular weight organic compounds
containing a relatively high proportion
of hydrocarbons having carbon numbers
greater than C25 with a high carbon to
hydrogen ratio. It is essentially nonvolatile at ambient temperatures with
closed cup flash point of 445 ° F (230
° C) or greater.
Equipment means each valve, pump,
pressure relief device, sampling
connection system, open-ended valve or
line, and flange or other connector in
VOC service. For the purposes of
recordkeeping and reporting only,
compressors are considered equipment.
In hydrogen service means that a
compressor contains a process fluid that
meets the conditions specified in
§ 60.593a(b).
In light liquid service means that the
piece of equipment contains a liquid
that meets the conditions specified in
§ 60.593a(c).
Petroleum means the crude oil
removed from the earth and the oils
derived from tar sands, shale, and coal.
Petroleum refinery means any facility
engaged in producing gasoline,
kerosene, distillate fuel oils, residual
fuel oils, lubricants, or other products
through the distillation of petroleum, or
through the redistillation, cracking, or
reforming of unfinished petroleum
derivatives.
Process unit means the components
assembled and connected by pipes or
ducts to process raw materials and to
produce intermediate or final products
from petroleum, unfinished petroleum
derivatives, or other intermediates. A
process unit can operate independently
if supplied with sufficient feed or raw
materials and sufficient storage facilities
for the product. For the purpose of this
subpart, process unit includes any feed,
intermediate and final product storage
vessels (except as specified in § 60.482–
1a(g)), product transfer racks, and
connected ducts and piping. A process
unit includes all equipment as defined
in this subpart.
§ 60.591a
§ 60.592a
Subpart GGGa—Standards of
Performance for Equipment Leaks of
VOC in Petroleum Refineries for which
Construction, Reconstruction, or
Modification Commenced After
November 7, 2006
§ 60.590a Applicability and designation of
affected facility.
Definitions.
As used in this subpart, all terms not
defined herein shall have the meaning
given them in the Clean Air Act, in
subpart A of part 60, or in subpart VVa
of this part, and the following terms
shall have the specific meanings given
them.
Alaskan North Slope means the
approximately 69,000 square mile area
extending from the Brooks Range to the
Arctic Ocean.
Asphalt (also known as Bitumen) is a
black or dark brown solid or semi-solid
thermo-plastic material possessing
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Standards.
(a) Each owner or operator subject to
the provisions of this subpart shall
comply with the requirements of
§§ 60.482–1a to 60.482–10a as soon as
practicable, but no later than 180 days
after initial startup.
(b) For a given process unit, an owner
or operator may elect to comply with
the requirements of paragraphs (b)(1),
(2), or (3) of this section as an
alternative to the requirements in
§ 60.482–7a.
(1) Comply with § 60.483–1a.
(2) Comply with § 60.483–2a.
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(3) Comply with the Phase III
provisions in § 63.168, except an owner
or operator may elect to follow the
provisions in § 60.482–7a(f) instead of
§ 63.168 for any valve that is designated
as being leakless.
(c) An owner or operator may apply
to the Administrator for a determination
of equivalency for any means of
emission limitation that achieves a
reduction in emissions of VOC at least
equivalent to the reduction in emissions
of VOC achieved by the controls
required in this subpart. In doing so, the
owner or operator shall comply with
requirements of § 60.484a.
(d) Each owner or operator subject to
the provisions of this subpart shall
comply with the provisions of § 60.485a
except as provided in § 60.593a.
(e) Each owner or operator subject to
the provisions of this subpart shall
comply with the provisions of
§§ 60.486a and 60.487a.
§ 60.593a
Exceptions.
mstockstill on PROD1PC66 with RULES3
(a) Each owner or operator subject to
the provisions of this subpart may
comply with the following exceptions to
the provisions of subpart VVa of this
part.
(b)(1) Compressors in hydrogen
service are exempt from the
requirements of § 60.592a if an owner or
operator demonstrates that a compressor
is in hydrogen service.
(2) Each compressor is presumed not
to be in hydrogen service unless an
owner or operator demonstrates that the
piece of equipment is in hydrogen
service. For a piece of equipment to be
considered in hydrogen service, it must
be determined that the percent
hydrogen content can be reasonably
expected always to exceed 50 percent by
volume. For purposes of determining
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Jkt 214001
the percent hydrogen content in the
process fluid that is contained in or
contacts a compressor, procedures that
conform to the general method
described in ASTM E260–73, 91, or 96,
E168–67, 77, or 92, or E169–63, 77, or
93 (incorporated by reference as
specified in § 60.17) shall be used.
(3)(i) An owner or operator may use
engineering judgment rather than
procedures in paragraph (b)(2) of this
section to demonstrate that the percent
content exceeds 50 percent by volume,
provided the engineering judgment
demonstrates that the content clearly
exceeds 50 percent by volume. When an
owner or operator and the
Administrator do not agree on whether
a piece of equipment is in hydrogen
service, however, the procedures in
paragraph (b)(2) of this section shall be
used to resolve the disagreement.
(ii) If an owner or operator determines
that a piece of equipment is in hydrogen
service, the determination can be
revised only after following the
procedures in paragraph (b)(2).
(c) Any existing reciprocating
compressor that becomes an affected
facility under provisions of § 60.14 or
§ 60.15 is exempt from § 60.482–3a(a),
(b), (c), (d), (e), and (h) provided the
owner or operator demonstrates that
recasting the distance piece or replacing
the compressor are the only options
available to bring the compressor into
compliance with the provisions of
§ 60.482–3a(a), (b), (c), (d), (e), and (h).
(d) An owner or operator may use the
following provision in addition to
§ 60.485a(e): Equipment is in light
liquid service if the percent evaporated
is greater than 10 percent at 150 °C as
determined by ASTM Method D86–78,
82, 90, 93, 95, or 96 (incorporated by
reference as specified in § 60.17).
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64897
(e) Pumps in light liquid service and
valves in gas/vapor and light liquid
service within a process unit that is
located in the Alaskan North Slope are
exempt from the requirements of
§§ 60.482–2a and 60.482–7a.
(f) Open-ended valves or lines
containing asphalt as defined in
§ 60.591a are exempt from the
requirements of § 60.482–6a(a) through
(c).
(g) Connectors in gas/vapor or light
liquid service are exempt from the
requirements in § 60.482–11a, provided
the owner or operator complies with
§ 60.482–8a for all connectors, not just
those in heavy liquid service.
PART 63—[AMENDED]
27. The authority citation for part 63
continues to read as follows:
I
Authority: 42 U.S.C. 7401, et seq.
Subpart A—[Amended]
28. Section 63.14 is amended by
revising paragraph (b)(28) to read as
follows:
I
§ 63.14
Incorporations by reference.
*
*
*
*
*
(b) * * *
(28) ASTM D6420–99 (Reapproved
2004), Standards Test Method for
Determination of Gaseous Organic
Compounds by Direct Interface Gas
Chromatography-Mass Spectometry, IBR
approved for §§ 60.485(g)(5),
60.485a(g)(5), 63.772(a)(1)(ii),
63.2354(b)(3)(i), 63.2354(b)(3)(ii),
63.2354(b)(3)(ii)(A), and
63.2351(b)(3)(ii)(B).
*
*
*
*
*
[FR Doc. E7–21814 Filed 11–15–07; 8:45 am]
BILLING CODE 6560–50–P
E:\FR\FM\16NOR3.SGM
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Agencies
[Federal Register Volume 72, Number 221 (Friday, November 16, 2007)]
[Rules and Regulations]
[Pages 64860-64897]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E7-21814]
[[Page 64859]]
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Part III
Environmental Protection Agency
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40 CFR Parts 60 and 63
Standards of Performance for Equipment Leaks of VOC in the Synthetic
Organic Chemicals Manufacturing Industry; Standards of Performance for
Equipment Leaks of VOC in Petroleum Refineries; Final Rule
Federal Register / Vol. 72, No. 221 / Friday, November 16, 2007 /
Rules and Regulations
[[Page 64860]]
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Parts 60 and 63
[EPA-HQ-OAR-2006-0699; FRL-8492-4]
RIN 2060-AN71
Standards of Performance for Equipment Leaks of VOC in the
Synthetic Organic Chemicals Manufacturing Industry; Standards of
Performance for Equipment Leaks of VOC in Petroleum Refineries
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: EPA is issuing final amendments to the standards of
performance for equipment leaks of volatile organic compounds in the
synthetic organic chemicals manufacturing industry and to the standards
of performance for equipment leaks of volatile organic compounds in
petroleum refineries. The amended standards for the synthetic organic
chemicals manufacturing industry apply to affected facilities that are
constructed, reconstructed, or modified after January 5, 1981, and on
or before November 7, 2006. The amended standards for petroleum
refineries apply to affected facilities that are constructed,
reconstructed, or modified after January 4, 1983, and on or before
November 7, 2006. In this action, EPA is also issuing new standards of
performance for equipment leaks of volatile organic compounds in the
synthetic organic chemicals manufacturing industry and for equipment
leaks of volatile organic compounds in petroleum refineries which apply
to affected facilities that are constructed, reconstructed, or modified
after November 7, 2006. The final amendments and new standards are
based on the results of our review of the existing regulations as
required by section 111(b)(1)(B) of the Clean Air Act.
DATES: This final rule is effective on November 16, 2007. The
incorporation by reference of certain publications listed in these
rules is approved by the Director of the Federal Register as of
November 16, 2007.
ADDRESSES: EPA has established a docket for this action under Docket ID
No. EPA-HQ-OAR-2006-0699. All documents in the docket are listed in the
Federal Docket Management System index at www.regulations.gov. Although
listed in the index, some information is not publicly available, e.g.,
Confidential Business Information (CBI) or other information whose
disclosure is restricted by statute. Certain other material, such as
copyrighted material, is not placed on the Internet and will be
publicly available only in hard copy form. Publicly available docket
materials are available either electronically through
www.regulations.gov or in hard copy at the Air and Radiation Docket,
EPA West Building, Room 3334, 1301 Constitution Ave., NW., Washington,
DC. The Public Reading Room is open from 8:30 a.m. to 4:30 p.m., Monday
through Friday, excluding legal holidays. The telephone number for the
Public Reading Room is (202) 566-1744, and the telephone number for the
Air and Radiation Docket is (202) 566-1742.
FOR FURTHER INFORMATION CONTACT: For information concerning the final
amendments and new standards, contact Ms. Karen Rackley, Coatings and
Chemicals Group, Sector Policies and Programs Division, Office of Air
Quality Planning and Standards (E143-01), Environmental Protection
Agency, Research Triangle Park, North Carolina 27711; telephone number:
(919) 541-0634; fax number: (919) 541-0246; e-mail address:
rackley.karen@epa.gov. For information concerning compliance and
enforcement of the final amendments and new standards, contact Ms.
Marcia Mia, Air Compliance Branch, Compliance Assessment and Media
Programs Division, Office of Compliance (MC 2223A), Environmental
Protection Agency, Washington, DC 20460; telephone number: (202) 564-
7042; fax number: (202) 564-0050; and e-mail address:
mia.marcia@epa.gov.
SUPPLEMENTARY INFORMATION:
Regulated Entities. Categories and entities potentially regulated
by this action include:
------------------------------------------------------------------------
Examples of
Category NAICS code\1\ potentially regulated
entities
------------------------------------------------------------------------
Industry...................... 324110........... Petroleum refiners.
Primarily 325110, Synthetic organic
325192, 325193, chemical
and 325199. manufacturing
industry (SOCMI)
units, e.g.,
producers of
benzene, toluene, or
any other chemical
listed in 40 CFR
60.489.
------------------------------------------------------------------------
\1\ North American Industrial Classification Code.
This table is not intended to be exhaustive, but rather provides a
guide for readers regarding entities likely to be regulated by this
action. To determine whether your facility is regulated by this action,
you should examine the applicability criteria in 40 CFR 60.480, 60.590,
60.480a, and 60.590a. If you have any questions regarding the
applicability of the final amendments or new standards to a particular
entity, contact the people listed in the preceding FOR FURTHER
INFORMATION CONTACT section.
Worldwide Web (WWW). In addition to being available in the docket,
an electronic copy of the final rule is available on the WWW through
the Technology Transfer Network (TTN). Following signature, EPA will
post a copy of the final rule on the TTN's policy and guidance page for
newly proposed or promulgated rules at https://www.epa.gov/ttn/oarpg.
The TTN provides information and technology exchange in various areas
of air pollution control.
Judicial Review. Under section 307(b) of the Clean Air Act (CAA),
judicial review of the final rule is available only by filing a
petition for review in the United States Court of Appeals for the
District of Columbia Circuit by January 15, 2008. Under section
307(d)(7)(B) of the CAA, only an objection to the final rule that was
raised with reasonable specificity during the period for pubic comment
can be raised during judicial review. Moreover, under section 307(b)(2)
of the CAA, the requirements established by this final rule may not be
challenged separately in any civil or criminal proceedings brought by
EPA to enforce these requirements.
Section 307(d)(7)(B) of the CAA further provides that ``[O]nly an
objection to a rule or procedure which was raised with reasonable
specificity during the period for public comment (including any public
hearing) may be raised during judicial review.'' This section also
provides a mechanism for us to convene a proceeding for
reconsideration, ``[i]f the person raising an objection can demonstrate
to the EPA that is was impracticable to raise such objection within
[the period for public comment] or if the grounds for such objection
arose after the period for public comment (but within the time
[[Page 64861]]
specified for judicial review) and if such objection is of central
relevance to the outcome of the rule.'' Any person seeking to make such
a demonstration to us should submit a Petition for Reconsideration to
the Office of the Administrator, U.S. EPA, Room 3000, Ariel Rios
Building, 1200 Pennsylvania Ave., NW., Washington, DC 20460, with a
copy to both the person(s) listed in the preceding FOR FURTHER
INFORMATION CONTACT section, and the Associate General Counsel for the
Air and Radiation Law Office, Office of General Counsel (Mail Code
2344A), U.S. EPA, 1200 Pennsylvania Ave., NW., Washington, DC 20460.
Outline. The information presented in this preamble is organized as
follows:
I. Background Information
A. What is the statutory authority for the final amendments and
new standards?
B. What are the current equipment leak NSPS?
C. How were the final amendments developed?
II. Summary of the Final Amendments, New Standards, and Changes
Since Proposal
A. What are the final amendments to 40 CFR part 60, subpart VV?
B. What are the final amendments to 40 CFR part 60, subpart GGG?
C. What are the requirements of 40 CFR part 60, subpart VVa?
D. What are the requirements of 40 CFR part 60, subpart GGGa?
III. Rationale for Changes Since Proposal
A. How did EPA develop new standards for 40 CFR part 60,
subparts VVa and GGGa?
B. How did EPA develop the new compliance requirements in 40 CFR
part 60, subparts VVa and GGGa?
C. How did EPA develop the final amendments to 40 CFR part 60,
subparts VV and GGG?
IV. Summary of Comments and Responses
A. Applicability
B. Standards
C. Test Methods and Procedures
D. Recordkeeping and Reporting
E. Burden Estimates
V. Summary of Cost, Environmental, Energy, and Economic Impacts
A. What are the impacts for SOCMI process units?
B. What are the impacts for petroleum refining process units?
C. What are the economic impacts?
VI. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory Planning and Review
B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation and Coordination With
Indian Tribal Governments
G. Executive Order 13045: Protection of Children From
Environmental Health Risks and Safety Risks
H. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
I. National Technology Transfer and Advancement Act
J. Executive Order 12898: Federal Actions To Address
Environmental Justice in Minority Populations and Low-Income
Populations
K. Congressional Review Act
I. Background Information
A. What is the statutory authority for the final amendments and new
standards?
New source performance standards (NSPS) implement CAA section 111
and are issued for categories of sources which cause, or contribute
significantly to, air pollution which may reasonably be anticipated to
endanger public health or welfare. The primary purpose of the NSPS are
to attain and maintain ambient air quality by ensuring that the best
demonstrated emission control technologies are installed as the
industrial infrastructure is modernized. Since 1970, the NSPS have been
successful in achieving long-term emissions reductions at numerous
industries by assuring cost-effective controls are installed on new,
reconstructed, or modified sources.
Section 111 of the CAA requires that NSPS reflect the application
of the best system of emission reductions which (taking into
consideration the cost of achieving such emission reductions, any non-
air quality health and environmental impact and energy requirements)
the Administrator determines has been adequately demonstrated. This
level of control is commonly referred to as best demonstrated
technology (BDT).
Section 111(b)(1)(B) of the CAA requires that EPA periodically
review and revise the standards of performance, as necessary, to
reflect improvements in methods for reducing emissions. Based on the
results of the review required by CAA section 111(b)(1)(B), we proposed
amendments to the NSPS for equipment leaks of volatile organic
compounds (VOC) in the synthetic organic chemicals manufacturing
industry (SOCMI) and the petroleum refining industry on November 7,
2006 (71 FR 65302). In this action, EPA is finalizing amendments to 40
CFR part 60, subparts VV and GGG and issuing new standards of
performance in 40 CFR part 60, subparts VVa and GGGa.
B. What are the current equipment leak NSPS?
New source performance standards for equipment leaks of VOC have
been developed for four source categories. Subpart VV of 40 CFR part 60
applies to SOCMI process units. Subpart DDD of 40 CFR part 60,
Standards of Performance for Volatile Organic Compound (VOC) Emissions
from the Polymer Manufacturing Industry, applies to polypropylene,
polyethylene, polystyrene, and poly (ethylene terephthalate) process
units. Subpart GGG of 40 CFR part 60 applies to petroleum refining
process units. Subpart KKK of 40 CFR part 60 applies to onshore natural
gas processing plants. Subparts DDD, GGG, and KKK of 40 CFR part 60
cross-reference the requirements in subpart VV, and they specify source
category-specific definitions and exceptions to the requirements in
subpart VV.
The NSPS for equipment leaks of VOC in the SOCMI (40 CFR part 60,
subpart VV) were originally promulgated on October 18, 1983 (48 FR
48335) and apply to all equipment, as defined by the rule, within a
process unit in the SOCMI that commenced construction, reconstruction,
or modification after January 5, 1981. For the purpose of subpart VV,
the SOCMI consists of process units producing any of the chemicals
listed in 40 CFR 60.489 of subpart VV. The standards apply to pumps,
compressors, pressure relief devices, sampling connection systems,
open-ended valves or lines (OEL), valves, and flanges or other
connectors in VOC service. Depending on the type of equipment, the
standards require either periodic monitoring for and repair of leaks,
the use of specified equipment to minimize leaks, or specified work
practices. Monitoring for leaks must be conducted using EPA Method 21
in appendix A-7 to 40 CFR part 60 or other approved equivalent
monitoring techniques. Owners and operators must keep records that
identify the equipment that is subject to the standards, identify
equipment that is leaking, and document attempts at repair. Information
related to leaks and repair attempts also must be included in
semiannual reports. This subpart has been amended several times between
1984 and 2000. Typically, these amendments added definitions,
exemptions, alternative compliance options, and clarifications. For
example, one amendment provides an option to comply with the equipment
leak provisions in the Consolidated Federal Air Rule (CAR) (40 CFR part
65, subpart F). None of these amendments increased the intended
performance level of the standards.
The NSPS for equipment leaks of VOC in petroleum refineries (40 CFR
part 60, subpart GGG) apply to petroleum refining process units for
which construction, reconstruction, or modification commenced after
January
[[Page 64862]]
4, 1983. Those standards were originally promulgated on May 30, 1984
(49 FR 22606), and have been amended only once since the original
promulgation (65 FR 61768, October 17, 2000) to update the American
Society for Testing and Materials (ASTM) test method references.
C. How were the final amendments developed?
We proposed amendments to 40 CFR part 60, subpart VV and 40 CFR
part 60, subpart GGG on November 7, 2006 (71 FR 65302). The preamble
for the proposed amendments described the rationale for the proposed
amendments. Public comments were solicited at the time of proposal. The
public comment period lasted from November 7, 2006, to February 8,
2007. We offered at proposal the opportunity for a public hearing
concerning the proposed amendments, but no hearing was requested. We
also published a Notice of Additional Data Availability (NODA) on July
9, 2007 (72 FR 37157). The NODA provided additional information
regarding OEL. Public comments were solicited at the time of
publication, and the public comment period lasted from July 9, 2007, to
August 8, 2007.
We received a total of 28 public comment letters during the comment
periods, 23 on the proposed amendments and five on the NODA. Comments
were submitted by industry trade associations and consultants, chemical
companies and petroleum refineries, state regulatory agencies, local
government agencies, and environmental groups. These final amendments
reflect our consideration of all of the comments received during the
comment periods. Major public comments on the proposed amendments,
along with our responses to those comments, are summarized in this
preamble.
II. Summary of the Final Amendments, New Standards, and Changes Since
Proposal
In response to public comments, we have revised the scope and
applicability of the proposed amendments to the standards of
performance for equipment leaks of VOC for SOCMI (40 CFR part 60,
subpart VV) and petroleum refineries (40 CFR part 60, subpart GGG). As
proposed, all of the amendments to subparts VV and GGG, except the
change in leak definitions for pumps and valves, applied to affected
facilities in these industries that commenced construction,
reconstruction, or modification after January 5, 1981, (SOCMI) or
January 4, 1983, (petroleum refineries). In addition, all of the
proposed amendments, except the leak definition change, applied to
affected facilities under all other NSPS that cross-reference subpart
VV (i.e., 40 CFR part 60, subparts DDD and KKK).
Based on the public comments, we decided to include only
clarifications, changes that reduce burden, and additional compliance
options in the final amendments to 40 CFR part 60, subparts VV and GGG.
The final amendments to both subparts also limit which SOCMI and
petroleum refinery affected sources are subject to the existing
subparts. Specifically, the existing subparts only apply to those
existing affected sources that commenced construction, reconstruction,
or modification after January 5, 1981, (SOCMI) or January 4, 1983,
(petroleum refineries) and on or before November 7, 2006. The final
amendments to subpart VV also apply to affected sources under NSPS that
cross-reference subpart VV (i.e., 40 CFR part 60, subparts DDD and
KKK).
In addition to amending 40 CFR part 60, subparts VV and GGG, we
also decided to develop new standards in new subparts VVa and GGGa of
40 CFR part 60 that apply only to SOCMI and petroleum refinery affected
sources, respectively, that commence construction, reconstruction, or
modification after November 7, 2006. These new standards parallel the
standards in the amended subparts VV and GGG, but they also include
different standards for pumps in light liquid service and valves in
gas/vapor or light liquid service (i.e., lower leak definitions than in
subparts VV and GGG), and they include additional recordkeeping and
instrument calibration requirements. Furthermore, the new standards in
40 CFR part 60, subpart VVa include monitoring and repair requirements
for connectors. The new standards do not apply to affected sources
under 40 CFR part 60, subparts DDD or KKK because we have not amended
those subparts to reference the requirements in subpart VVa and we have
not completed an analysis to determine if the new standards are BDT for
subparts DDD and KKK.
A. What are the final amendments to 40 CFR part 60, subpart VV?
The final amendments to 40 CFR part 60, subpart VV provide
additional compliance options, clarify ambiguous provisions, and make
technical corrections. These changes are summarized in Table 1 in
section III.C of this preamble.
1. Applicability
The owner or operator of an affected facility subject to 40 CFR
part 60, subpart VV may choose to comply with the requirements in new
40 CFR part 60, subpart VVa instead of the requirements in subpart VV.
2. Standards
The final amendments simplify the compliance requirements for
pumps. When indications of liquids dripping are observed during weekly
inspections, 40 CFR part 60, subpart VV requires repair of the leak
following the same procedures as if the leak were detected by
monitoring. The final amendment in 40 CFR 60.482-2(b)(2) allows the
owner or operator to either repair the leak by eliminating the
indications of liquids dripping or determine if it is leaking based on
the instrument reading obtained by monitoring the pump in accordance
with EPA Method 21 (40 CFR part 60, appendix A-7) or other approved
equivalent monitoring techniques. This amendment will focus the leak
detection and repair (LDAR) program on finding and repairing VOC leaks.
The final amendments also include an alternative compliance option
that allows less frequent monitoring for pumps and valves in batch
process units that operate part-time during the year. This alternative
applies to currently required monthly, quarterly, and semiannual
monitoring intervals; less frequent monitoring is not allowed for
monitoring that is currently required on an annual or less frequent
basis. For example, pumps in a process unit that operate 5,250 hours
per year (about 60 percent of full-time operation) may be monitored
every other month rather than monthly. This alternative will ensure
that monitoring occurs consistently while the process unit is
operating. The alternative monitoring schedule for batch processes was
developed as part of the development of the hazardous organic national
emission standards for hazardous air pollutants (NESHAP) (HON) (57 FR
62680). This alternative has been determined to be comparable to the
provisions for continuous processes. As the time in use increases, the
monitoring frequencies are identical for both batch and continuous
processes.
In response to public comments, we have revised the proposed
clarification to the initial monitoring requirements for pumps and
valves (that all pumps and valves be monitored within the first month
of operation after installation). The final amendments require the
owner or operator to monitor all pumps
[[Page 64863]]
on a monthly basis regardless of whether the pump is new or existing.
The owner or operator of a new valve must monitor the valve for the
first time within 30 days after being placed into service to ensure
proper installation. Any valve for which a leak is not detected for 2
successive months may be monitored the first month of every quarter,
beginning with the next quarter, until a leak is detected. As an
alternative to monitoring a new valve within 30 days, if the valves in
the process unit are monitored under the alternative standards for
valves that allow skip period leak detection and repair in 40 CFR
60.483-2, the owner or operator must count the new valve as leaking
when calculating the percentage of valves leaking. If less than 2.0
percent of the valves are leaking for that process unit, the valve must
be monitored for the first time during the next scheduled monitoring
event for existing valves in the process unit or within 90 days,
whichever comes first.
As an alternative to monitoring all of the valves in the first
month of a quarter, an owner or operator may elect to subdivide the
process unit into two or three subgroups of valves and monitor each
subgroup in a different month during the quarter, provided each
subgroup is monitored every 3 months. The owner or operator must keep
records of the valves assigned to each subgroup.
The clarifications to the requirements for sampling connection
systems in 40 CFR 60.482-5 have been revised since proposal to add
additional destinations for purged process fluid. All containers must
be covered when not being filled or emptied. The amendments also
clarify what materials must be captured and returned to the process
during sampling.
In response to comments, we have revised the proposed option for
delay of repair in 40 CFR 60.482-9. The proposed amendment would have
allowed the owner or operator to discontinue monitoring for equipment
on delay-of-repair. We have not included this in the final amendments
and new standards because a leak may worsen while on delay-of-repair
and require a more immediate shutdown. Therefore, all equipment on
delay-of-repair must be monitored as scheduled. The option to consider
equipment to be repaired if two consecutive readings are below the leak
definition was not removed. If two consecutive readings are below the
applicable leak definition, the owner or operator may remove the
equipment from delay-of-repair.
3. Definitions
Several amendments clarify the original intent of the definitions
in 40 CFR part 60, subpart VV. These definitions include ``connector,''
``process unit,'' and ``sampling connection system.'' In addition,
definitions of ``closed-loop system,'' ``closed-purge system,''
``storage vessel,'' and ``transfer rack'' were added to further clarify
existing definitions. The definition of ``process unit'' is discussed
in further detail in section IV.A.3 of this preamble. The rationale for
revising and adding the other definitions is included in Docket ID No.
EPA-HQ-OAR-2006-0699.
4. Miscellaneous Corrections
Finally, the final amendments include a few technical corrections
to fix references and other miscellaneous errors in 40 CFR part 60,
subpart VV. No changes have been made to the proposed corrections, and
a number of additional corrections are included in the final
amendments. The technical corrections are identified in section III.A.3
of the preamble to the proposed amendments (71 FR 65307-65308, November
7, 2006) as well as Table 1 of this preamble.
B. What are the final amendments to 40 CFR part 60, subpart GGG?
A few minor changes have been made to the 40 CFR part 60, subpart
GGG amendments since proposal. The heading and 40 CFR 60.590(b) were
revised to clarify that the subpart applies to sources that commence
construction, reconstruction, or modification on or before November 7,
2006, and 40 CFR 60.590(d) was revised to exclude facilities subject to
40 CFR part 60, subpart VVa. Proposed revisions that remain in the
final amendments to subpart GGG include a definition of ``asphalt'' and
an exemption from the requirements for OEL in 40 CFR 60.482-6(a)
through (c) for OEL containing asphalt. The definition of ``process
unit'' is comparable to the definition in 40 CFR part 60, subpart VV.
The final amendments also include a few technical corrections to
fix references and other miscellaneous errors in 40 CFR part 60,
subpart GGG. These changes are identified in section III.B.5 of the
preamble to the proposed amendments (71 FR 65309, November 7, 2006). No
changes have been made to these corrections since proposal.
C. What are the requirements of 40 CFR part 60, subpart VVa?
40 CFR part 60, subpart VVa applies to affected facilities in the
SOCMI that are constructed, reconstructed, or modified after November
7, 2006. This new subpart includes all the requirements of 40 CFR part
60, subpart VV, as amended, along with new provisions. The owner or
operator of an affected facility subject to subpart VVa may elect to
comply with the CAR at 40 CFR part 65, subpart F, or the HON at 40 CFR
part 63, subpart H, instead of the requirements in subpart VVa,
provided they still comply with the requirements in 40 CFR 60.482-6a.
40 CFR part 60, subpart VVa includes lower leak definitions for
pumps and valves than 40 CFR part 60, subpart VV. Under subpart VVa,
the leak definition for pumps in light liquid service is 2,000 parts
per million (ppm) (5,000 ppm for pumps handling polymerizing monomers)
instead of 10,000 ppm. The leak definition for valves in gas/vapor
service or light liquid service is 500 ppm instead of 10,000 ppm.
Rationale for this new standard was provided in section III.A.1 of the
preamble to the proposed amendments and is discussed further in section
III.A.1 of this preamble.
40 CFR part 60, subpart VVa also includes requirements for
monitoring connectors. The owner or operator is required to monitor
connectors at a leak definition of 500 ppm and at a frequency that is
based on the percentage of connectors found to be leaking. The
rationale supporting the LDAR provisions for connectors is located in
section III.A.2 of this preamble.
40 CFR part 60, subpart VVa includes additional recordkeeping
requirements and quality assurance measures. Records must identify the
monitoring instrument, operator, equipment, the date, and maximum
instrument reading. A calibration drift assessment is required at the
end of each day of monitoring and records of monitoring instrument
calibrations are required. The calibration drift assessment
requirements proposed for 40 CFR part 60, subpart VV were revised based
on public comments. The requirements in the new standards include a
requirement to remonitor equipment if the drift assessment shows
positive drift. The requirements in the new standards provide for a
less stringent remonitoring effort for drift assessments showing
negative drift.
D. What are the requirements of 40 CFR part 60, subpart GGGa?
40 CFR part 60, subpart GGGa applies to affected facilities at
petroleum refineries that are constructed, reconstructed, or modified
after November 7, 2006. New subpart GGGa
[[Page 64864]]
includes the requirements in 40 CFR part 60, subpart GGG, as amended.
Affected facilities must comply with the requirements in new subpart
VVa of 40 CFR part 60, except for the monitoring requirements
applicable to connectors.
III. Rationale for Changes Since Proposal
A. How did EPA develop new standards for 40 CFR part 60, subparts VVa
and GGGa?
Five sources of information were considered in reviewing the
appropriateness of the current NSPS requirements for new sources: (1)
Applicable Federal regulations; (2) applicable state and local
regulations; (3) data from National Enforcement Investigations Center
(NEIC) inspections; (4) emissions data provided by industry
representatives; and (5) petroleum refinery consent decrees. (A
significant number of refineries, representing about 77 percent of the
national refining capacity, are subject to consent decrees that limit
the emissions from 40 CFR part 60, subpart GGG process units.) Once we
identified leak definitions for various equipment types, we evaluated
these leak definitions in conjunction with technical feasibility,
costs, and emission reductions to determine BDT for each type of
equipment.
The cost methodology incorporates the calculation of annualized
costs and emission reductions associated with each of the options
presented. Cost-effectiveness is the annualized cost of control divided
by the annual emission reductions achieved. For NSPS regulations, the
standard metric for expressing costs and emission reductions is the
impact on all affected facilities accumulated over the first 5 years of
the regulation. Details of the calculations can be found in the public
docket (EPA-OAR-HQ-2006-0699). Our BDT determinations took all relevant
factors into account, including cost considerations.
For each of the new standards, the predominant method used to
reduce emissions from equipment leaks is the work practice of an LDAR
program that includes periodic monitoring of equipment using EPA Method
21. This method has been used for more than 20 years to detect leaks
and is currently the most widely-used test method. However, other
approved methods may be used to detect leaks.
We also considered an equipment standard requiring installation of
``leakless'' equipment. ``Leakless'' equipment, such as diaphragm
valves, is less likely to leak than standard equipment, but leaks may
still develop. Therefore, monitoring or other type of observation is
appropriate to ensure that leaks are caught if they develop. In
addition, these types of equipment may not be suitable for all possible
process operating temperatures, pressures, and fluid types. We could
not identify any new ``leakless'' technologies that could be applied in
all applications. Therefore, requiring ``leakless'' equipment is not
technically feasible and this option was not considered to be BDT for
SOCMI or petroleum refining sources. We note that 40 CFR part 60,
subpart VV does include provisions for equipment designed for no
detectable emissions, so owners or operators that do replace existing
equipment with ``leakless'' equipment have options for compliance.
1. Leak Definitions for Pumps and Valves
We previously demonstrated that leak definitions of 2,000 ppm for
pumps and 500 ppm for valves are BDT in the preamble to the proposed
amendments to 40 CFR part 60, subparts VV and GGG (November 7, 2006, 71
FR 65305, with additional discussion at 71 FR 65308). Since proposal,
the cost-effectiveness values for this new requirement have changed
slightly based on changes to the assumptions used to develop emission
estimates; section V of this preamble includes details on the specific
changes. For SOCMI, the estimated emission reductions are 94 tons of
VOC per year at a cost savings of $380/ton. For petroleum refineries,
the estimated emission reductions are 13 tons of VOC per year at a cost
of $1,600/ton. The cost to achieve these emission reductions is still
considered to be reasonable; therefore, we maintain our original
conclusion that EPA Method 21 monitoring of pumps and valves and repair
of leaks above 2,000 ppm for pumps and 500 ppm for valves is BDT.
We have also evaluated the cost-effectiveness of lowering the leak
definitions even further for valves because there are some state rules
and petroleum refinery consent decrees at lower levels. The results of
that analysis show that an LDAR program for valves at a leak definition
lower than 500 ppm is not cost-effective. The analysis shows emission
reductions of 26 tons of additional VOC per year at a cost-
effectiveness of $5,700/ton for SOCMI and emission reductions of 8 tons
of additional VOC per year at a cost-effectiveness of $16,000/ton for
refineries. The additional VOC emission reductions at a leak definition
lower than 500 ppm is not cost-effective. The results of the impacts
analysis is provided in the docket (Docket ID No. EPA-HQ-OAR-2006-
0699).
We decided not to consider a lower leak definition for pumps
because we do not have evidence that it will achieve significant
emission reductions at reasonable cost and because such a requirement
would impose an unwarranted increase in the compliance burden. No other
Federal or state rules require repair of pumps with leaks below 2,000
ppm, and concerns have been expressed in the past that repair of pumps
with lower concentrations could result in significant and costly
maintenance. We also cannot estimate the emission reductions because we
are unsure how effective repairs will be for pumps with low leak
concentrations. In addition, many facilities that will be subject to
the new standards have other process units that are subject to other
standards. Including a leak definition in the new standards that
differs from the leak definitions in all other rules would make
compliance more challenging at such facilities and unnecessarily
increase the potential for inadvertent errors.
We also did not consider increasing the number of times per year
that valves and pumps must be monitored. Valves and pumps are already
subject to monthly monitoring. The cost to monitor more frequently
would outweigh the possible emission reductions. Additionally, pumps
are subject to weekly inspections for indications of liquids dripping.
Therefore, the monitoring frequency was not changed and is still
considered BDT.
2. Other New Standards in 40 CFR Part 60, Subpart VVa
Connector Monitoring. The current NSPS in 40 CFR part 60, subpart
VV limits VOC emissions from connectors by specifying that if a
potential leak is found by visual, audible, olfactory, or any other
detection method, the owner or operator must eliminate the indications
of the potential leak or monitor the connector to determine whether the
potential leak is leaking VOC greater than 10,000 ppm. If the potential
leak is actually a leak, it must be repaired. When the current NSPS
were promulgated, we concluded that this procedure would reduce
emissions by correcting major leaks.
After consideration of current operating practices, we concluded
that repairing connector leaks as they are discovered is still the
predominant method for reduction of VOC from connectors. However,
during our review of the current requirements, we found a
[[Page 64865]]
number of Federal and state regulations that require additional efforts
to reduce emissions, including regular monitoring and repair.
Therefore, we evaluated options to achieve further emission reductions
from connectors. Federal rules in which connector monitoring and repair
of leaks above 500 ppm is required include the National Emission
Standards for Organic Hazardous Air Pollutants for Equipment Leaks
(HON) in 40 CFR part 63, subpart H, the National Emission Standards for
Equipment Leaks--Control Level 2 Standards (Generic MACT) in 40 CFR
part 63, subpart UU, the National Emission Standards for Hazardous Air
Pollutants for Source Categories: Generic Maximum Achievable Control
Technology Standards (Ethylene NESHAP) in 40 CFR part 63, subpart YY,
and the CAR. The National Emission Standards for Hazardous Air
Pollutants: Miscellaneous Organic Chemical Manufacturing (MON) in 40
CFR part 63, subpart FFFF also includes connector monitoring and repair
of leaks above 500 ppm for new sources. In addition, the National
Emission Standards for Hazardous Air Pollutants From Petroleum
Refineries (Refinery NESHAP) in 40 CFR part 63, subpart CC provides a
higher maximum value for percent of leaking valves under which an owner
or operator may use the skip period provisions if connector monitoring
is included in the LDAR program. Based on this information, we felt
that additional VOC control could be achieved by requiring connector
monitoring and repair, but we needed additional information to
determine whether connector monitoring is BDT. As a result, we
requested comment on whether we should require periodic monitoring and
repair of connectors to ensure that any leaks are corrected more
quickly.
Upon consideration and review of the public comments, we evaluated
whether the connector monitoring and repair provisions included in the
Generic MACT are BDT for 40 CFR part 60, subparts VVa and GGGa. The
Generic MACT provisions include a leak definition of 500 ppm and a
monitoring frequency based on the number of connectors found to be
leaking during the initial monitoring campaign.
For SOCMI, the estimated emission reductions achieved by connector
monitoring and repair of leaks above 500 ppm are 230 tons of VOC per
year at a cost of $2,500/ton. For petroleum refineries, the estimated
emission reductions are 92 tons of VOC per year at a cost of $20,000/
ton. The cost to achieve these emission reductions is considered to be
reasonable for SOCMI sources but is not reasonable for petroleum
refineries. Based on these impacts and consideration of current
operating practices, we concluded that BDT for connectors at SOCMI
sources is monitoring using EPA Method 21 or another approved
alternative method at a frequency based on the number of connectors
found leaking during initial monitoring and repair of leaks above 500
ppm. We concluded that BDT for connectors at petroleum refineries is
equivalent to the current 40 CFR part 60, subpart GGG requirements.
Therefore, we are promulgating connector monitoring and repair
standards consistent with this determination for SOCMI sources subject
to 40 CFR part 60, subpart VVa that will not apply to petroleum
refinery sources subject to 40 CFR part 60, subpart GGGa.
B. How did EPA develop the new compliance requirements in 40 CFR part
60, subparts VVa and GGGa?
The recordkeeping requirements in the final amendments and new
standards are authorized by section 114 of the CAA. Section 114 of the
CAA allows EPA to require one-time, periodic, or continuous records for
the purpose of determining if the owner or operator is in compliance
with the standard. The recordkeeping requirements in the final
amendments are the minimum necessary for affected facilities to
demonstrate compliance and for EPA to enforce the rule. The
recordkeeping requirements in the new standards include a few
requirements in addition to the requirements in the final amendments.
Most of these requirements are associated with new monitoring and
repair requirements; other additional requirements are minimal and are
necessary for EPA to enforce the rule. Further rationale for the new
requirements is available below and in section IV.D of this preamble.
We have made significant changes to the proposed recordkeeping
requirements as a result of the changes made to the scope and
applicability of the standards. Because the final amendments to 40 CFR
part 60, subparts VV and GGG include only clarifications to existing
requirements, burden reducing provisions, and new compliance options,
no changes or additions to the recordkeeping requirements in subpart VV
or GGG are needed to document and/or enforce these amendments.
Sources subject to the new standards in 40 CFR part 60, subpart VVa
are required to keep records of the same information required by 40 CFR
part 60, subpart VV and certain additional information described below.
Sources subject to 40 CFR part 60, subpart GGGa must comply with the
requirements in subpart VVa except for the monitoring requirements
applicable to connectors (and the associated recordkeeping
requirements). Facilities subject to 40 CFR part 60, subparts DDD, GGG,
or KKK are excluded from the requirement to comply with the
recordkeeping provisions of subpart VVa because these subparts are not
being amended to reference the new standards in subpart VVa.
The new recordkeeping provisions in 40 CFR part 60, subpart VVa
require general identifying information for each monitoring activity
required by the rule. As explained in the preamble to the proposed
amendments (71 FR 65308, November 7, 2006), many facilities already
record this information. This information requirement is consistent
with other equipment leak standards and is needed by enforcement
representatives to determine if the facility is complying with the
standards. Specifically, EPA found that the results of the LDAR review
demonstrated that the current requirements are not sufficient to verify
that all monitoring requirements have been performed. For example, EPA
enforcement initiatives have found missed monitoring (monitoring at an
inappropriate interval, monitoring late, or not monitoring),
understated leak rates, leaks not found or repaired, and monitoring
records indicating that more equipment was monitored than physically
possible given the time needed to meet EPA Method 21 requirements,
among other issues. Since we cannot physically inspect every facility
on the schedule required by the LDAR program, these additional records
will provide safeguards that the program is being implemented as
intended.
Other new recordkeeping requirements include specific information
that is necessary to demonstrate compliance with the new monitoring
provisions for connectors and pumps in light liquid service (weekly
visual inspections for indications of dripping liquids). Records are
also required to demonstrate compliance with the requirement for a
calibration drift assessment at the end of each day and comparison of
the results of the assessment with the most recent calibration results.
We eliminated the proposed requirement to keep records of information
on bypass lines because the new subpart does not include the
requirement to monitor bypass lines. In addition, records of
information related to the proposed initial monitoring requirement for
pumps and valves
[[Page 64866]]
added to a process unit are not required because this monitoring
requirement was revised since proposal, making additional records
unnecessary.
We have reviewed the recordkeeping requirements and believe that
these are the minimum needed to ensure compliance and that the
requirements do not impose excessive costs. The costs of the
recordkeeping requirements for 40 CFR part 60, subpart VVa, including
the time required to enter and store additional information, are
included in the information collection request (ICR) (see section V.B
of this preamble).
C. How did EPA develop the final amendments to 40 CFR part 60, subparts
VV and GGG?
The amendments to 40 CFR part 60, subpart VV are listed in Table 1
of this preamble. Most of the technical corrections for 40 CFR part 60,
subparts VV and GGG were discussed in the preamble to the proposed
amendments (71 FR 65302, November 7, 2006). Other technical corrections
and amendments are the result of public comments, and these are
discussed in detail in the responses to the applicable comments. For
each amendment that is more significant than an editorial or
grammatical correction, Table 1 to this preamble includes a reference
to the rule language and a reference to the location of the detailed
explanation.
Table 1.--Summary of Final Amendments to 40 CFR Part 60, Subpart VV and
Rationale for Clarifications, Additional Compliance Options, and
Technical Corrections
------------------------------------------------------------------------
Explanation or
Citation location of Amendment
explanation\1\
------------------------------------------------------------------------
Heading....................... ................. Revised to clarify
applicability of
subpart.
60.480(b)..................... ................. Revised to identify
applicability to
affected facilities
that were
constructed,
reconstructed, or
modified after
January 5, 1981 and
on or before
November 7, 2006.
60.480(d)(2).................. ................. Clarified that design
capacity refers to a
chemical listed in
40 CFR 60.489.
60.480(d)(2)-(5).............. ................. Revised reference to
nonexistent 40 CFR
60.482 to refer to
40 CFR 60.482-1
through 60.482-10.
60.480(e)(1).................. ................. Renumbered paragraph
(e)(1) as (e)(1)(i)
and paragraph (e)(2)
as (e)(1)(ii);
changed reference to
paragraph (e)(2) to
(e)(1)(ii).
60.480(e)(2).................. ................. Added paragraph that
allows owners or
operators to comply
with 40 CFR part 60,
subpart VVa as an
alternative to 40
CFR part 60, subpart
VV.
60.481........................ 71 FR 65308, Corrected editorial
column 3. errors in definition
of ``Capital
expenditures.''
60.481........................ 71 FR 65307, Added new definition
column 2 and for ``Closed-loop
section 5.4.3 of system.''
RTC.
60.481........................ 71 FR 65307, Added new definition
column 2 and for ``Closed-purge
section 5.4.3 of system.''
RTC.
60.481........................ Section 5.3.2 of Revised definition of
RTC. ``Connector.''
60.481........................ Added missing Revised definition of
word ``the'' ``First attempt at
before the word repair.''
``atmosphere''
and removed the
word ``rapid''.
60.481........................ 71 FR 65308, Revised definition of
column 3 and ``Hard piping.''
updated the
mailing address
for ASME.
60.481........................ Section IV.A.2 of Revised definition of
this preamble. ``Process unit.''
60.481........................ Section 5.9.3 of Revised definition of
RTC. ``Process unit
shutdown.''
60.481........................ 71 FR 65308, Revised definition of
column 1. ``Repaired.''
60.481........................ Section 3.2.1 of Added new definition
RTC. for ``Storage
vessel.''
60.481........................ 71 FR 65307, Added new definition
column 3. for ``Transfer
rack.''
60.482-1(e)................... Section 3.3 of Added paragraph (e)
RTC. to address equipment
in service less than
300 hours per year.
60.482-1(f)................... 71 FR 65304, Added paragraph (f)
column 3 and that allows less
sections 5.6.1 frequent monitoring
and 5.6.2 of RTC. of pumps and valves
on batch process
units that operate
less than 365 days
per year.
60.482-1(g)................... Section IV.A.2 of Added paragraph that
this preamble. clarifies inclusion
of shared tanks in a
process unit subject
to this subpart.
60.482-2(a)(1)................ 71 FR 65307, Added clarification
column 1, and for pumps that begin
section IV.B.1 operation in light
of this preamble. liquid service after
the initial startup
date for the process
unit.
60.482-2(a)(2)................ ................. Added reference to 40
CFR 60.482-1(f) as
an exception to the
requirement for
weekly visual
inspections of pumps
in light liquid
service.
60.482-2(b)(2)................ 71 FR 65304, Added monitoring and
column 2, 71 FR repair requirements
65306, column 1, if weekly visual
and section inspection of pumps
5.2.2 of RTC. in light liquid
service indicates
liquids dripping
from pump seal.
60.482-2(c)(2)................ 71 FR 65307, Added examples of
column 1. first attempt at
repair practices for
pumps in light
liquid service.
60.482-2(d)................... ................. Editorial correction
and clarification to
address renumbering
of paragraphs (d)(1)
through (6).
60.482-2(d)(1)(ii)............ ................. Replaced first word
``Equipment'' with
``Equipped.''
60.482-2(d)(4)(i)............. ................. Renumbered paragraph
(d)(4) as (d)(4)(i).
60.482-2(d)(4)(ii)............ 71 FR 65304, Added monitoring and
column 2, 71 FR repair requirements
65306, column 1, if weekly visual
and section inspection of a pump
5.2.2 of RTC. equipped with dual
mechanical seals
indicates liquids
dripping from pump
seal.
60.482-2(d)(5)(i)............. ................. Removed ``and'' from
end of sentence.
[[Page 64867]]
60.482-2(d)(5)(iii)........... ................. Added paragraph to
specify how a leak
is detected.
60.482-2(d)(6)................ 71 FR 65304, Revised to clarify
column 2 and 71 procedure and time
FR 65306, column allowed for repair
1. of leaks.
60.482-2(e)................... ................. Revised to add ``s''
to the end of ``no
detectable
emission.''
60.482-3(a)................... Section 5.3.5 of Added reference to
RTC. exemption in 40 CFR
60.482-3(j).
60.482-3(j)................... 71 FR 65308, Editorial
column 3. clarification of
section and
paragraph
references.
60.482-5(a) and (b)........... 71 FR 65307, Rearranged paragraphs
column 2 and within these two
section 5.3.5 of paragraphs and made
RTC. editorial
corrections to
provide clarity.
60.482-5(b)(2)................ 71 FR 65307, Added provision that
column 2, and containers part of a
section 5.4.3 of closed-purge system
RTC. must be covered or
closed when not
being filled or
emptied.
60.482-5(b)(3)................ Section 5.4.1 of Added provision that
RTC. gases remaining in
the tubing or other
apparatus once the
closed-purge system
valve(s) and sample
container valve(s)
are closed are not
required to be
collected or
captured.
60.482-5(b)(4)-(b)(4)(iv)(A)-( Rearranged Same as current
C). paragraph paragraph (b)(4)
numbering and except for editorial
made a few clarifications.
editorial
clarifications.
60.482-5(b)(4)(iv)(D)......... Section 5.4.2 of Added provision for
RTC. use of a waste
management unit
meeting the
requirements of 40
CFR 61.348(a).
60.482-5(b)(4)(iv)(E)......... Section 5.4.2 of Added provision for
RTC. use of a device used
to burn off-
specification used
fuel oil in
accordance with 40
CFR part 279,
subpart G.
60.482-6(a)(1)................ Section 5.3.5 of Added reference to
RTC. exemptions in 40 CFR
60.482-6(d) and (e).
60.482-7(a)(1)................ Corrected section Clarified current
designations. paragraph (a) to
specify that valves
must be monitored
monthly except as
provided in 40 CFR
60.482-7(f), (g),
and (h); 40 CFR
60.482-1(c) and (e);
and 40 CFR 60.483-1
and 2.
60.482-7(a)(2)(i) and (ii).... 71 FR 65307, Added clarification
column 1, and for valves that
section IV.B.1 begin operation in
of this preamble. light liquid service
after the initial
startup date for the
process unit.
60.482-7(c)(1)(i)............. ................. Paragraph (c)(1)
redesignated as
paragraph (c)(1)(i).
60.482-7(c)(1)(ii)............ 71 FR 65307, Added paragraph to
column 3 through allow an owner or
71 FR 65308, operator to
column 1, and subdivide valves in
section 5.1.2 of a process unit.
RTC.
60.482-8(a)(2)................ Section 5.7 of Added clarification
RTC. that audio visual
olfactory
indications of
potential leaks
should be eliminated
within 5 calendar
days of detection.
60.482-8(d)................... 71 FR 65307, Revised to require
column 1. that first attempt
at repair of pumps
and valves in heavy
liquid service,
pressure relief
devices in light
liquid or heavy
liquid service, and
connectors must
include best
practices under 40
CFR 60.482-2(c)(2)
and 40 CFR 60.482-
7(e).
60.482-9(a)................... Section 5.9.3 of Clarified that for
RTC. repair that occurs
during a process
unit shutdown,
monitoring to verify
that repair must
occur within 15 days
after startup of the
process unit.
60.482-9(f)................... Section 5.9.3 of Added new paragraph
RTC. for a leaking pump
or valve for which a
delay in repair is
allowed.
60.483-1(d) and 60.483-2(b)(5) ................. Add