NRC Enforcement Policy: Extension of Discretion Period of Interim Enforcement Policy, 52705-52707 [E8-20972]
Download as PDF
Federal Register / Vol. 73, No. 176 / Wednesday, September 10, 2008 / Notices
on https://www.regulations.gov under
docket number OSHA 2008–0018.
Darrin A. King,
Departmental Clearance Officer.
[FR Doc. E8–20983 Filed 9–9–08; 8:45 am]
BILLING CODE 4510–26–P
NUCLEAR REGULATORY
COMMISSION
[NRC–2008–0486]
NRC Enforcement Policy: Extension of
Discretion Period of Interim
Enforcement Policy
U.S. Nuclear Regulatory
Commission.
ACTION: Policy statement: Revision.
pwalker on PROD1PC71 with NOTICES
AGENCY:
SUMMARY: The U.S. Nuclear Regulatory
Commission (NRC) is revising the NRC
‘‘Interim Enforcement Policy Regarding
Enforcement Discretion for Certain Fire
Protection Issues’’ (Title 10 of the Code
of Federal Regulations (10 CFR) 50.48
‘‘Fire Protection’’), which will allow a
licensee the option to request an
extended enforcement discretion period
if they are pursuing transition to 10 CFR
50.48(c), ‘‘National Fire Protection
Association Standard NFPA 805.’’
DATES: This revision is effective
September 10, 2008. Please submit any
comments on this revision to the
Enforcement Policy on or before October
27, 2008.
ADDRESSES: You may submit comments
by any one of the following methods.
Comments submitted in writing or in
electronic form will be made available
for public inspection. Because your
comments will not be edited to remove
any identifying or contact information,
the NRC cautions you against including
any information in your submission that
you do not want to be publicly
disclosed.
Federal e-Rulemaking Portal: Go to
https://www.regulations.gov and search
for documents filed under Docket ID
[NRC–2008–0486]. Address questions
about NRC dockets to Carol Gallagher,
301–415–5905; e-mail
Carol.Gallagher@nrc.gov.
Mail comments to: Michael T. Lesar,
Chief, Rulemaking, Directives, and
Editing Branch, Division of
Administrative Services, Office of
Administration, Mail Stop: T6D59, U.S.
Nuclear Regulatory Commission,
Washington, DC 20555–0001.
Hand deliver comments to: 11555
Rockville Pike, Rockville, MD 20852,
between 7:30 a.m. and 4:15 p.m., on
Federal workdays.
VerDate Aug<31>2005
16:52 Sep 09, 2008
Jkt 214001
You can access publicly available
documents related to this document
using the following methods:
NRC’s Public Document Room (PDR):
The public may examine and have
copied for a fee publicly available
documents at the NRC’s PDR, Public
File Area O1 F21, One White Flint
North, 11555 Rockville Pike, Rockville,
Maryland.
NRC’s Agencywide Documents Access
and Management System (ADAMS):
Publicly available documents created or
received at the NRC are available
electronically at the NRC’s Electronic
Reading Room at https://www.nrc.gov/
reading-rm/adams.html. From this page,
the public can gain entry into ADAMS,
which provides text and image files of
NRC’s public documents. If you do not
have access to ADAMS or if there are
problems in accessing the documents
located in ADAMS, contact the NRC’s
PDR reference staff at 1–800–397–4209,
301–415–4737, or by e-mail to
pdr.resource@nrc.gov.
The NRC maintains the current
Enforcement Policy on its Web site at
https://www.nrc.gov. Mouse over ‘‘Public
Meetings and Involvement’’ on the far
right, then select ‘‘Enforcement’’ from
the drop-down menu. Under the bolded
‘‘Comments’’ section select
‘‘Enforcement Policy’’.
FOR FURTHER INFORMATION CONTACT:
Cynthia Carpenter, Director, Office of
Enforcement, U.S. Nuclear Regulatory
Commission, Washington, DC 20555–
0001, 301–415–2741, e-mail
Cynthia.Carpenter@nrc.gov.
SUPPLEMENTARY INFORMATION: On June
16, 2004 (69 FR 33536), the NRC
published a final rule in the Federal
Register amending 10 CFR 50.48, ‘‘Fire
Protection.’’ This rule became effective
July 16, 2004 and allows licensees to
adopt 10 CFR 50.48(c), a risk-informed,
performance-based alternative to their
current fire protection requirements in
10 CFR 50.48(b). The NRC revised its
Enforcement Policy (June 16, 2004; 69
FR 33684) to provide interim
enforcement discretion during a
‘‘transition’’ period. The interim
enforcement discretion policy includes
provisions to address the
noncompliance identified during the
licensee’s transition process and
existing identified noncompliances.
The discretion period would start
when the licensee informs the NRC of
a transition start date in a Letter of
Intent (LOI) to transition to the National
Fire Protection Association Standard
805 (NFPA 805). The discretion period
would remain in effect for up to two
years for the licensee to submit to the
NRC a License Amendment Request
PO 00000
Frm 00066
Fmt 4703
Sfmt 4703
52705
(LAR) to transition to NFPA 805, and
the discretion period would continue
until the NRC dispositioned the LAR.
Many licensees requested 3 or more
years for the transition period. The basis
for the extended discretion included the
following: (1) The need for additional
time to properly evaluate existing fire
analysis; (2) a lack of resources; (3) the
need for additional time to develop fire
probabilistic risk assessments (PRAs);
and (4) the need for additional time to
use lessons learned from the pilot
plants. On April 18, 2006 (71 FR 19905),
the NRC revised the Interim
Enforcement Policy to extend the
enforcement discretion period from two
to three years.
On February 2, 2007, the Nuclear
Energy Institute (NEI) submitted a
request for additional discretion for sites
transitioning to NFPA 805 (Agencywide
Documents Access and Management
System (ADAMS) Accession No.
ML070460550). NEI stated that the
extension of the enforcement discretion
period would allow an orderly
transition process.
NEI states transitioning licensees are
compelled to complete portions of the
transition in advance of the pilot plants
due to the enforcement discretion
deadline. This could result in creating
substantial risk of rework and
inconsistency among the transitioning
licensees. The following issues formed
the base for NEI’s request that the staff
reexamine the Interim Enforcement
Policy:
(1) Timing of the pilots schedule
versus the nonpilot plant discretion
deadline.
(2) Delay of the industry fire PRA
standard and the NEI peer review
guidance.
(3) Limited fire PRA expertise
available.
(4) Burden on NRC staff to conduct
timely reviews of concurrent LARs.
The NRC is revising the Enforcement
Policy to extend, on a case-by-case
basis, the current 3-year enforcement
discretion period. The NRC will grant
additional time extensions depending
on the progress the licensee has made in
the transition effort. The additional
period of discretion would end 6
months after the date of the safety
evaluation approving the second pilot
plant LAR review.
Nuclear safety is the first
consideration in any request for
additional enforcement discretion. NRC
requires all transitioning licensees to
fully maintain their approved fire
protection program. Transitioning
licensees must address all
nonconforming conditions with
adequate compensatory measures to
E:\FR\FM\10SEN1.SGM
10SEN1
52706
Federal Register / Vol. 73, No. 176 / Wednesday, September 10, 2008 / Notices
assure adequate fire safety. The NRC
will continue to apply normal
inspection and enforcement to all plants
that are not actively transitioning to 10
CFR 50.48(c).
Paperwork Reduction Act
This policy statement does not
contain new or amended information
collection requirements subject to the
Paperwork Reduction Act of 1995 (44
U.S.C. 3501, et seq.). Existing
requirements were approved by the
Office of Management and Budget
(OMB), approval number 3150–0136.
The approved information collection
requirements contained in this policy
statement appear in section VII.C.
Public Protection Notification
The NRC may not conduct or sponsor,
and a person is not required to respond
to, collection of information, unless it
displays a currently valid OMB control
number.
Congressional Review Act
In accordance with the Congressional
Review Act of 1996, the NRC has
determined that this action is not a
major rule and has verified this
determination with the Office of
Information and Regulatory Affairs of
OMB.
Accordingly, the NRC Enforcement
Policy is amended to read as follows:
NRC Enforcement Policy
*
*
*
*
*
Interim Enforcement Policies
*
*
*
*
*
pwalker on PROD1PC71 with NOTICES
Interim Enforcement Policy Regarding
Enforcement Discretion for Certain Fire
Protection Issues (10 CFR 50.48)
This section sets forth the interim
enforcement policy that the U.S.
Nuclear Regulatory Commission (NRC)
will follow to exercise enforcement
discretion for certain noncompliances of
requirements in 10 CFR 50.48, ‘‘Fire
protection,’’ (or fire protection license
conditions) that are identified as a result
of the transition to a new risk-informed,
performance-based fire protection
approach included in paragraph (c) of
10 CFR 50.48 and for certain existing
identified noncompliances that
reasonably may be resolved by
compliance with 10 CFR 50.48(c).
Paragraph (c) allows reactor licensees to
voluntarily comply with the risk
informed, performance-based fire
protection approaches in National Fire
Protection Association Standard 805
(NFPA 805), ‘‘Performance-Based
Standard for Fire Protection for Light
Water Reactor Electric Generating
VerDate Aug<31>2005
16:52 Sep 09, 2008
Jkt 214001
Plants,’’ 2001 Edition (with limited
exceptions stated in the rule language).
For those noncompliances that the
NRC identifies during the licensee’s
transition process, this enforcement
discretion policy will be in effect for up
to 3 years from the date specified by the
licensee in their letter of intent to adopt
the requirements in 10 CFR 50.48(c).
The enforcement discretion will
continue to be in place, without
interruption, until NRC approval of the
license amendment request to transition
to 10 CFR 50.48(c).
An additional period of enforcement
discretion may be granted on a case-bycase basis, if a licensee has made
substantial progress in its transition
effort. This additional period of
discretion, if granted, would end 6
months after the date of the safety
evaluation approving the second pilot
plant 1 LAR review.
The NRC will assess ‘‘substantial
progress’’ based on accomplishment of
tasks that are not resource-limited with
respect to fire probabilistic risk
assessment (PRA) technical expertise
(e.g., classical fire protection transition,
deterministic nuclear safety
performance criteria transition, nonpower operational transition,
radioactive release transition,
development of the NFPA 805
monitoring program, operator manual
action transition to NFPA 805 recovery
actions). In order for the NRC to
adequately evaluate the transition
progress, licensees that request
enforcement discretion beyond the three
years currently available should make
their request to the NRC in writing at
least 3 months before the expiration of
the 3-year discretion period and
compile or submit the following
information:
• Compile, for on-site NRC audit/
inspection, a list of all fire protectionrelated noncompliances and the related
compensatory measures for those
noncompliances.
• Document, for onsite NRC audit/
inspection, that each Operator Manual
Action put in place as compensatory
measures are feasible and reliable, in
accordance with staff provided guidance
in Regulatory Issue Summary 2005–07,
‘‘Compensatory Measures to Satisfy the
Fire Protection Program Requirements.’’
• Submit a description of the physical
modifications performed, if any, to
address existing risk-significant fire
protection issues.
1 The NRC accepted the request from both Duke
Power (ML051080005) and Progress Energy
(ML052140391) to allow Oconee Nuclear Power
Station and Shearon Harris Nuclear Power Station
respectively, to become pilot NPFA 805 plants.
PO 00000
Frm 00067
Fmt 4703
Sfmt 4703
• Submit a status report of the
transition, including a schedule of
milestones for completing the fire PRA.
The status report should be broken
down into the following major areas:
Æ Classical fire protection transition
(in accordance with NFPA 805 Chapter
3).
Æ Nuclear Safety Performance
Criteria transition (in accordance with
NFPA 805 chapters 1, 2 and 4).
Æ Nonpower operational transitions.
Æ NFPA 805 monitoring program.
If the NRC determines that a licensee
has not made sufficient progress during
the transition to NFPA 805, the NRC
will deny the request for an extension
of enforcement discretion.
If, after submitting the letter of intent
to comply with 10 CFR 50.48(c) and
before submitting the license
amendment request, the licensee
decides not to complete the transition to
10 CFR 50.48(c), the licensee must
submit a letter stating its intent to retain
its existing license basis and
withdrawing its letter of intent to
comply with 10 CFR 50.48(c). After the
licensee’s withdrawal from the
transition process, the staff, as a matter
of practice, will not take enforcement
action against any noncompliance that
the licensee corrected during the
transition process and will on a case-bycase basis, consider refraining from
taking action if reasonable and timely
corrective actions are in progress (e.g.,
an exemption has been submitted for
NRC review). Noncompliances that the
licensee has not corrected, as well as
noncompliances identified after the date
of the above withdrawal letter, will be
dispositioned in accordance with
normal enforcement practices.
A. Noncompliances Identified During
the Licensee’s Transition Process
Under this interim enforcement
policy, enforcement action normally
will not be taken for a violation of 10
CFR 50.48(b) (or the requirements in a
fire protection license condition)
involving a problem such as in
engineering, design, implementing
procedures, or installation, if the
violation is documented in an
inspection report and it meets all of the
following criteria:
(1) It was licensee-identified, as a
result of its voluntary initiative to adopt
the risk-informed, performance-based
fire protection program included under
10 CFR 50.48(c) or, if the NRC identifies
the violation, it was likely in the NRC
staff’s view that the licensee would have
identified the violation in light of the
defined scope, thoroughness, and
schedule of the licensee’s transition to
10 CFR 50.48(c) provided the schedule
E:\FR\FM\10SEN1.SGM
10SEN1
Federal Register / Vol. 73, No. 176 / Wednesday, September 10, 2008 / Notices
pwalker on PROD1PC71 with NOTICES
reasonably provides for completion of
the transition within 3 years of the date
specified by the licensee in their letter
of intent to implement 10 CFR 50.48(c)
or other period granted by NRC;
(2) It was corrected or will be
corrected as a result of completing the
transition to 10 CFR 50.48(c). Also,
immediate corrective action and/or
compensatory measures are taken
within a reasonable time commensurate
with the risk significance of the issue
following identification (this action
should involve expanding the initiative,
as necessary, to identify other issues
caused by similar root causes);
(3) It was not likely to have been
previously identified by routine licensee
efforts such as normal surveillance or
quality assurance (QA) activities; and
(4) It was not willful.
The NRC may take enforcement action
when these conditions are not met or
when a violation that is associated with
a finding of high safety significance is
identified.
While the NRC may exercise
discretion for violations meeting the
required criteria where the licensee
failed to make a required report to the
NRC, a separate enforcement action will
normally be issued for the licensee’s
failure to make a required report.
B. Existing Identified Noncompliances
In addition, licensees may have
existing identified noncompliances that
could reasonably be corrected under 10
CFR 50.48(c). For these
noncompliances, the NRC is providing
enforcement discretion for the
implementation of corrective actions
until the licensee has transitioned to 10
CFR 50.48(c) provided that the
noncompliances meet all of the
following criteria:
(1) The licensee has entered the
noncompliance into their corrective
action program and implemented
appropriate compensatory measures;
(2) The noncompliance is not
associated with a finding that the
Reactor Oversight Process Significance
Determination Process would evaluate
as Red, or it would not be categorized
at Severity Level I;
(3) It was not willful; and
(4) The licensee submits a letter of
intent by December 31, 2005, stating its
intent to transition to 10 CFR 50.48(c).
After December 31, 2005, as
addressed in (4) above, this enforcement
discretion for implementation of
corrective actions for existing identified
noncompliances will not be available
and the requirements of 10 CFR 50.48(b)
(and any other requirements in fire
protection license conditions) will be
enforced in accordance with normal
VerDate Aug<31>2005
16:52 Sep 09, 2008
Jkt 214001
enforcement practices. However,
licensees that submit letters of intent to
transition to 10 CFR 50.48(c) with
existing noncompliances will have the
option to implement corrective actions
in accordance with the new
performance-based regulation. All other
elements of the assessment and
enforcement process will be exercised
even if the licensee submits its letter of
intent before the NRC issues its
enforcement action for existing
noncompliances.
Dated at Rockville, Maryland, this 4th day
of September, 2008.
For the Nuclear Regulatory Commission.
Annette L. Vietti-Cook,
Secretary of the Commission.
[FR Doc. E8–20972 Filed 9–9–08; 8:45 am]
BILLING CODE 7590–01–P
SECURITIES AND EXCHANGE
COMMISSION
[Investment Company Act Release No.
28375; 812–13526]
Phoenix Equity Trust, et al.; Notice of
Application
September 3, 2008.
Securities and Exchange
Commission (‘‘Commission’’).
ACTION: Notice of an application under
section 6(c) of the Investment Company
Act of 1940 (the ‘‘Act’’) for an
exemption from section 15(a) of the Act
and rule 18f–2 under the Act.
AGENCY:
The requested
order would permit certain registered
open-end management investment
companies to enter into and materially
amend subadvisory agreements without
shareholder approval.
APPLICANTS: Phoenix Equity Trust,
Phoenix Insight Funds Trust, Phoenix
Institutional Mutual Funds, Phoenix
Opportunities Trust (the ‘‘Companies’’)
and Phoenix Investment Counsel, Inc.
(the ‘‘Advisor’’) (collectively, with the
Companies, ‘‘Applicants’’).
FILING DATES: The application was filed
on April 23, 2008, and amended on
September 2, 2008.
HEARING OR NOTIFICATION OF HEARING:
An order granting the application will
be issued unless the Commission orders
a hearing. Interested persons may
request a hearing by writing to the
Commission’s Secretary and serving
applicants with a copy of the request,
personally or by mail. Hearing requests
should be received by the Commission
by 5:30 p.m. on September 26, 2008 and
should be accompanied by proof of
service on applicants, in the form of an
SUMMARY OF APPLICATION:
PO 00000
Frm 00068
Fmt 4703
Sfmt 4703
52707
affidavit or, for lawyers, a certificate of
service. Hearing requests should state
the nature of the writer’s interest, the
reasons for the request, and the issues
contested. Persons who wish to be
notified of a hearing may request
notification by writing to the
Commission’s Secretary.
Secretary, Commission, 100
F Street, NE., Washington, DC 20549–
1090. Applicants, One American Row,
P.O. Box 5056, Hartford, CT 06102–
5056.
ADDRESSES:
FOR FURTHER INFORMATION CONTACT:
Barbara T. Heussler, Senior Counsel at
(202) 551–6990, or Mary Kay Frech,
Branch Chief, at (202) 551–6821
(Division of Investment Management,
Office of Investment Company
Regulation).
The
following is a summary of the
application. The complete application
may be obtained for a fee from the
Commission’s Public Reference Room,
100 F Street, NE., Washington, DC
20549–1520 (telephone (202) 551–5850).
SUPPLEMENTARY INFORMATION:
Applicants’ Representations
1. The Companies are open-end
management investment companies
registered under the Act. The
Companies, except Phoenix Insight
Funds Trust, are organized as statutory
trusts under Delaware law. Phoenix
Insight Funds Trust is organized as a
Massachusetts business trust under
Massachusetts law. The Companies
presently are comprised of fifty-three
separate series (each, a ‘‘Fund’’ and
collectively, the ‘‘Funds’’) each of which
has its own investment objectives,
policies, and restrictions.1
2. The Advisor, a Massachusetts
corporation, is registered under the
Investment Advisers Act of 1940
(‘‘Advisers Act’’) and serves as
investment adviser to the Funds that use
1 Applicants also request relief with respect to
current or future series of the Companies and any
other registered open-end management investment
companies and their series that: (a) Are advised by
the Advisor or any entity controlling, controlled by
or under common control with the Advisor; (b) use
the management structure described in the
application; and (c) comply with the terms and
conditions of the application (‘‘Future Funds,’’
included in the term ‘‘Funds’’). Any existing entity
that currently intends to rely on the requested relief
is named as an Applicant. If a Fund has the name
of any Subadvisor (as defined below) in the Fund’s
name, the Fund’s name will be preceded by the
name of the Advisor (such as ‘‘Phoenix,’’ which is
the present identifying name the Advisor uses in
conducting its business) or the name of the entity
controlling, controlled by, or under common
control with the Advisor that serves as the primary
adviser to the Fund.
E:\FR\FM\10SEN1.SGM
10SEN1
Agencies
[Federal Register Volume 73, Number 176 (Wednesday, September 10, 2008)]
[Notices]
[Pages 52705-52707]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E8-20972]
=======================================================================
-----------------------------------------------------------------------
NUCLEAR REGULATORY COMMISSION
[NRC-2008-0486]
NRC Enforcement Policy: Extension of Discretion Period of Interim
Enforcement Policy
AGENCY: U.S. Nuclear Regulatory Commission.
ACTION: Policy statement: Revision.
-----------------------------------------------------------------------
SUMMARY: The U.S. Nuclear Regulatory Commission (NRC) is revising the
NRC ``Interim Enforcement Policy Regarding Enforcement Discretion for
Certain Fire Protection Issues'' (Title 10 of the Code of Federal
Regulations (10 CFR) 50.48 ``Fire Protection''), which will allow a
licensee the option to request an extended enforcement discretion
period if they are pursuing transition to 10 CFR 50.48(c), ``National
Fire Protection Association Standard NFPA 805.''
DATES: This revision is effective September 10, 2008. Please submit any
comments on this revision to the Enforcement Policy on or before
October 27, 2008.
ADDRESSES: You may submit comments by any one of the following methods.
Comments submitted in writing or in electronic form will be made
available for public inspection. Because your comments will not be
edited to remove any identifying or contact information, the NRC
cautions you against including any information in your submission that
you do not want to be publicly disclosed.
Federal e-Rulemaking Portal: Go to https://www.regulations.gov and
search for documents filed under Docket ID [NRC-2008-0486]. Address
questions about NRC dockets to Carol Gallagher, 301-415-5905; e-mail
Carol.Gallagher@nrc.gov.
Mail comments to: Michael T. Lesar, Chief, Rulemaking, Directives,
and Editing Branch, Division of Administrative Services, Office of
Administration, Mail Stop: T6D59, U.S. Nuclear Regulatory Commission,
Washington, DC 20555-0001.
Hand deliver comments to: 11555 Rockville Pike, Rockville, MD
20852, between 7:30 a.m. and 4:15 p.m., on Federal workdays.
You can access publicly available documents related to this
document using the following methods:
NRC's Public Document Room (PDR): The public may examine and have
copied for a fee publicly available documents at the NRC's PDR, Public
File Area O1 F21, One White Flint North, 11555 Rockville Pike,
Rockville, Maryland.
NRC's Agencywide Documents Access and Management System (ADAMS):
Publicly available documents created or received at the NRC are
available electronically at the NRC's Electronic Reading Room at http:/
/www.nrc.gov/reading-rm/adams.html. From this page, the public can gain
entry into ADAMS, which provides text and image files of NRC's public
documents. If you do not have access to ADAMS or if there are problems
in accessing the documents located in ADAMS, contact the NRC's PDR
reference staff at 1-800-397-4209, 301-415-4737, or by e-mail to
pdr.resource@nrc.gov.
The NRC maintains the current Enforcement Policy on its Web site at
https://www.nrc.gov. Mouse over ``Public Meetings and Involvement'' on
the far right, then select ``Enforcement'' from the drop-down menu.
Under the bolded ``Comments'' section select ``Enforcement Policy''.
FOR FURTHER INFORMATION CONTACT: Cynthia Carpenter, Director, Office of
Enforcement, U.S. Nuclear Regulatory Commission, Washington, DC 20555-
0001, 301-415-2741, e-mail Cynthia.Carpenter@nrc.gov.
SUPPLEMENTARY INFORMATION: On June 16, 2004 (69 FR 33536), the NRC
published a final rule in the Federal Register amending 10 CFR 50.48,
``Fire Protection.'' This rule became effective July 16, 2004 and
allows licensees to adopt 10 CFR 50.48(c), a risk-informed,
performance-based alternative to their current fire protection
requirements in 10 CFR 50.48(b). The NRC revised its Enforcement Policy
(June 16, 2004; 69 FR 33684) to provide interim enforcement discretion
during a ``transition'' period. The interim enforcement discretion
policy includes provisions to address the noncompliance identified
during the licensee's transition process and existing identified
noncompliances.
The discretion period would start when the licensee informs the NRC
of a transition start date in a Letter of Intent (LOI) to transition to
the National Fire Protection Association Standard 805 (NFPA 805). The
discretion period would remain in effect for up to two years for the
licensee to submit to the NRC a License Amendment Request (LAR) to
transition to NFPA 805, and the discretion period would continue until
the NRC dispositioned the LAR. Many licensees requested 3 or more years
for the transition period. The basis for the extended discretion
included the following: (1) The need for additional time to properly
evaluate existing fire analysis; (2) a lack of resources; (3) the need
for additional time to develop fire probabilistic risk assessments
(PRAs); and (4) the need for additional time to use lessons learned
from the pilot plants. On April 18, 2006 (71 FR 19905), the NRC revised
the Interim Enforcement Policy to extend the enforcement discretion
period from two to three years.
On February 2, 2007, the Nuclear Energy Institute (NEI) submitted a
request for additional discretion for sites transitioning to NFPA 805
(Agencywide Documents Access and Management System (ADAMS) Accession
No. ML070460550). NEI stated that the extension of the enforcement
discretion period would allow an orderly transition process.
NEI states transitioning licensees are compelled to complete
portions of the transition in advance of the pilot plants due to the
enforcement discretion deadline. This could result in creating
substantial risk of rework and inconsistency among the transitioning
licensees. The following issues formed the base for NEI's request that
the staff reexamine the Interim Enforcement Policy:
(1) Timing of the pilots schedule versus the nonpilot plant
discretion deadline.
(2) Delay of the industry fire PRA standard and the NEI peer review
guidance.
(3) Limited fire PRA expertise available.
(4) Burden on NRC staff to conduct timely reviews of concurrent
LARs.
The NRC is revising the Enforcement Policy to extend, on a case-by-
case basis, the current 3-year enforcement discretion period. The NRC
will grant additional time extensions depending on the progress the
licensee has made in the transition effort. The additional period of
discretion would end 6 months after the date of the safety evaluation
approving the second pilot plant LAR review.
Nuclear safety is the first consideration in any request for
additional enforcement discretion. NRC requires all transitioning
licensees to fully maintain their approved fire protection program.
Transitioning licensees must address all nonconforming conditions with
adequate compensatory measures to
[[Page 52706]]
assure adequate fire safety. The NRC will continue to apply normal
inspection and enforcement to all plants that are not actively
transitioning to 10 CFR 50.48(c).
Paperwork Reduction Act
This policy statement does not contain new or amended information
collection requirements subject to the Paperwork Reduction Act of 1995
(44 U.S.C. 3501, et seq.). Existing requirements were approved by the
Office of Management and Budget (OMB), approval number 3150-0136. The
approved information collection requirements contained in this policy
statement appear in section VII.C.
Public Protection Notification
The NRC may not conduct or sponsor, and a person is not required to
respond to, collection of information, unless it displays a currently
valid OMB control number.
Congressional Review Act
In accordance with the Congressional Review Act of 1996, the NRC
has determined that this action is not a major rule and has verified
this determination with the Office of Information and Regulatory
Affairs of OMB.
Accordingly, the NRC Enforcement Policy is amended to read as
follows:
NRC Enforcement Policy
* * * * *
Interim Enforcement Policies
* * * * *
Interim Enforcement Policy Regarding Enforcement Discretion for Certain
Fire Protection Issues (10 CFR 50.48)
This section sets forth the interim enforcement policy that the
U.S. Nuclear Regulatory Commission (NRC) will follow to exercise
enforcement discretion for certain noncompliances of requirements in 10
CFR 50.48, ``Fire protection,'' (or fire protection license conditions)
that are identified as a result of the transition to a new risk-
informed, performance-based fire protection approach included in
paragraph (c) of 10 CFR 50.48 and for certain existing identified
noncompliances that reasonably may be resolved by compliance with 10
CFR 50.48(c). Paragraph (c) allows reactor licensees to voluntarily
comply with the risk informed, performance-based fire protection
approaches in National Fire Protection Association Standard 805 (NFPA
805), ``Performance-Based Standard for Fire Protection for Light Water
Reactor Electric Generating Plants,'' 2001 Edition (with limited
exceptions stated in the rule language).
For those noncompliances that the NRC identifies during the
licensee's transition process, this enforcement discretion policy will
be in effect for up to 3 years from the date specified by the licensee
in their letter of intent to adopt the requirements in 10 CFR 50.48(c).
The enforcement discretion will continue to be in place, without
interruption, until NRC approval of the license amendment request to
transition to 10 CFR 50.48(c).
An additional period of enforcement discretion may be granted on a
case-by-case basis, if a licensee has made substantial progress in its
transition effort. This additional period of discretion, if granted,
would end 6 months after the date of the safety evaluation approving
the second pilot plant \1\ LAR review.
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\1\ The NRC accepted the request from both Duke Power
(ML051080005) and Progress Energy (ML052140391) to allow Oconee
Nuclear Power Station and Shearon Harris Nuclear Power Station
respectively, to become pilot NPFA 805 plants.
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The NRC will assess ``substantial progress'' based on
accomplishment of tasks that are not resource-limited with respect to
fire probabilistic risk assessment (PRA) technical expertise (e.g.,
classical fire protection transition, deterministic nuclear safety
performance criteria transition, non-power operational transition,
radioactive release transition, development of the NFPA 805 monitoring
program, operator manual action transition to NFPA 805 recovery
actions). In order for the NRC to adequately evaluate the transition
progress, licensees that request enforcement discretion beyond the
three years currently available should make their request to the NRC in
writing at least 3 months before the expiration of the 3-year
discretion period and compile or submit the following information:
Compile, for on-site NRC audit/inspection, a list of all
fire protection-related noncompliances and the related compensatory
measures for those noncompliances.
Document, for onsite NRC audit/inspection, that each
Operator Manual Action put in place as compensatory measures are
feasible and reliable, in accordance with staff provided guidance in
Regulatory Issue Summary 2005-07, ``Compensatory Measures to Satisfy
the Fire Protection Program Requirements.''
Submit a description of the physical modifications
performed, if any, to address existing risk-significant fire protection
issues.
Submit a status report of the transition, including a
schedule of milestones for completing the fire PRA. The status report
should be broken down into the following major areas:
[cir] Classical fire protection transition (in accordance with NFPA
805 Chapter 3).
[cir] Nuclear Safety Performance Criteria transition (in accordance
with NFPA 805 chapters 1, 2 and 4).
[cir] Nonpower operational transitions.
[cir] NFPA 805 monitoring program.
If the NRC determines that a licensee has not made sufficient
progress during the transition to NFPA 805, the NRC will deny the
request for an extension of enforcement discretion.
If, after submitting the letter of intent to comply with 10 CFR
50.48(c) and before submitting the license amendment request, the
licensee decides not to complete the transition to 10 CFR 50.48(c), the
licensee must submit a letter stating its intent to retain its existing
license basis and withdrawing its letter of intent to comply with 10
CFR 50.48(c). After the licensee's withdrawal from the transition
process, the staff, as a matter of practice, will not take enforcement
action against any noncompliance that the licensee corrected during the
transition process and will on a case-by-case basis, consider
refraining from taking action if reasonable and timely corrective
actions are in progress (e.g., an exemption has been submitted for NRC
review). Noncompliances that the licensee has not corrected, as well as
noncompliances identified after the date of the above withdrawal
letter, will be dispositioned in accordance with normal enforcement
practices.
A. Noncompliances Identified During the Licensee's Transition Process
Under this interim enforcement policy, enforcement action normally
will not be taken for a violation of 10 CFR 50.48(b) (or the
requirements in a fire protection license condition) involving a
problem such as in engineering, design, implementing procedures, or
installation, if the violation is documented in an inspection report
and it meets all of the following criteria:
(1) It was licensee-identified, as a result of its voluntary
initiative to adopt the risk-informed, performance-based fire
protection program included under 10 CFR 50.48(c) or, if the NRC
identifies the violation, it was likely in the NRC staff's view that
the licensee would have identified the violation in light of the
defined scope, thoroughness, and schedule of the licensee's transition
to 10 CFR 50.48(c) provided the schedule
[[Page 52707]]
reasonably provides for completion of the transition within 3 years of
the date specified by the licensee in their letter of intent to
implement 10 CFR 50.48(c) or other period granted by NRC;
(2) It was corrected or will be corrected as a result of completing
the transition to 10 CFR 50.48(c). Also, immediate corrective action
and/or compensatory measures are taken within a reasonable time
commensurate with the risk significance of the issue following
identification (this action should involve expanding the initiative, as
necessary, to identify other issues caused by similar root causes);
(3) It was not likely to have been previously identified by routine
licensee efforts such as normal surveillance or quality assurance (QA)
activities; and
(4) It was not willful.
The NRC may take enforcement action when these conditions are not
met or when a violation that is associated with a finding of high
safety significance is identified.
While the NRC may exercise discretion for violations meeting the
required criteria where the licensee failed to make a required report
to the NRC, a separate enforcement action will normally be issued for
the licensee's failure to make a required report.
B. Existing Identified Noncompliances
In addition, licensees may have existing identified noncompliances
that could reasonably be corrected under 10 CFR 50.48(c). For these
noncompliances, the NRC is providing enforcement discretion for the
implementation of corrective actions until the licensee has
transitioned to 10 CFR 50.48(c) provided that the noncompliances meet
all of the following criteria:
(1) The licensee has entered the noncompliance into their
corrective action program and implemented appropriate compensatory
measures;
(2) The noncompliance is not associated with a finding that the
Reactor Oversight Process Significance Determination Process would
evaluate as Red, or it would not be categorized at Severity Level I;
(3) It was not willful; and
(4) The licensee submits a letter of intent by December 31, 2005,
stating its intent to transition to 10 CFR 50.48(c).
After December 31, 2005, as addressed in (4) above, this
enforcement discretion for implementation of corrective actions for
existing identified noncompliances will not be available and the
requirements of 10 CFR 50.48(b) (and any other requirements in fire
protection license conditions) will be enforced in accordance with
normal enforcement practices. However, licensees that submit letters of
intent to transition to 10 CFR 50.48(c) with existing noncompliances
will have the option to implement corrective actions in accordance with
the new performance-based regulation. All other elements of the
assessment and enforcement process will be exercised even if the
licensee submits its letter of intent before the NRC issues its
enforcement action for existing noncompliances.
Dated at Rockville, Maryland, this 4th day of September, 2008.
For the Nuclear Regulatory Commission.
Annette L. Vietti-Cook,
Secretary of the Commission.
[FR Doc. E8-20972 Filed 9-9-08; 8:45 am]
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