Hazardous Materials: Enhancing Rail Transportation Safety and Security for Hazardous Materials Shipments, 72182-72194 [E8-27826]
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Federal Register / Vol. 73, No. 229 / Wednesday, November 26, 2008 / Rules and Regulations
DEPARTMENT OF TRANSPORTATION
Pipeline and Hazardous Materials
Safety Administration
49 CFR Parts 172 and 174
[Docket No. PHMSA–RSPA–2004–18730] 1
RIN 2137–AE02
Hazardous Materials: Enhancing Rail
Transportation Safety and Security for
Hazardous Materials Shipments
Pipeline and Hazardous
Materials Safety Administration
(PHMSA), Department of Transportation
(DOT).
ACTION: Final rule.
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AGENCY:
SUMMARY: The Pipeline and Hazardous
Materials Safety Administration, in
coordination with the Federal Railroad
Administration (FRA) and the
Transportation Security Administration
(TSA), is improving safety by revising
the current requirements in the
Hazardous Materials Regulations
applicable to the safe and secure
transportation of hazardous materials by
rail. We are requiring rail carriers to
compile annual data on certain
shipments of explosive, toxic by
inhalation, and radioactive materials;
use the data to analyze safety and
security risks along rail routes where
those materials are transported; assess
alternative routing options; and make
routing decisions based on those
assessments. We are also clarifying rail
carriers’ responsibility to address in
their security plans issues related to en
route storage and delays in transit. In
addition, we are adopting a new
requirement for rail carriers to inspect
placarded hazardous materials rail cars
for signs of tampering or the presence of
suspicious items, including improvised
explosive devices. We adopted these
requirements in an interim final rule
published April 16, 2008. This final rule
fulfills requirements in Section 1551 of
the Implementing Recommendations of
the 9/11 Commission Act of 2007. Also,
in today’s edition of the Federal
Register, both FRA and TSA are
publishing final rules adopting
requirements and procedures that
promote rail transportation security.
DATES: This final rule is effective
December 26, 2008.
FOR FURTHER INFORMATION CONTACT:
William Schoonover, (202) 493–6229,
1 This rulemaking was formerly designated as
HM–232E; however, with the transition to a new
government-wide regulations portal, docket number
nomenclature has since changed. Some references
to the old docket number are still present in this
document.
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Office of Safety Assurance and
Compliance, Federal Railroad
Administration; or Susan Gorsky or Ben
Supko, (202) 366–8553, Office of
Hazardous Materials Standards,
Pipeline and Hazardous Materials Safety
Administration.
SUPPLEMENTARY INFORMATION:
I. Background
On December 21, 2006, the Pipeline
and Hazardous Materials Safety
Administration (PHMSA) in
coordination with the Federal Railroad
Administration (FRA) and the
Transportation Security Administration
(TSA), published a notice of proposed
rulemaking (NPRM) under Docket
PHMSA–RSPA–2004–18730 (71 FR
76834) proposing to revise the current
requirements in the HMR applicable to
the safe and secure transportation of
hazardous materials by rail.
Specifically, we proposed to require rail
carriers to compile annual data on
specified shipments of hazardous
materials, use the data to analyze safety
and security risks along rail routes
where those materials are transported,
assess alternative routing options, and
make routing decisions based on those
assessments. We also proposed
clarifications of the current security
plan requirements to address en route
storage, delays in transit, delivery
notification, and additional security
inspection requirements for hazardous
materials shipments.
On April 16, 2008, PHMSA, once
again coordinating with FRA and TSA,
published an interim final rule (IFR)
under Docket PHMSA–RSPA–2004–
18730 (73 FR 20751) that amended the
Hazardous Materials Regulations (HMR;
49 CFR Parts 171–180) to establish
requirements that enhance the safe and
secure transportation of hazardous
materials by rail. The IFR requires rail
carriers to compile annual data on
certain shipments of explosive, toxic by
inhalation, and radioactive materials;
use the data to analyze safety and
security risks along rail routes where
those materials are transported; assess
alternative routing options; and make
routing decisions based on those
assessments. It also clarifies that each
rail carrier must address issues related
to en route storage and delays in transit
in its security plan. In addition, the IFR
establishes a new requirement for rail
carriers to inspect placarded hazardous
materials rail cars for signs of tampering
or suspicious items, including
improvised explosive devices (IEDs).
We published the rulemaking as an
IFR to account for changes mandated by
the Implementing Recommendations of
the 9/11 Commission Act of 2007 (9/11
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Commission Act or Act) (Pub. L. 110–
53; 121 Stat. 266). Congress enacted the
9/11 Commission Act, which the
President signed into law on August 3,
2007, as the final rule was being
developed for the Docket PHMSA–
RSPA–2004–18730 proceeding. The
9/11 Commission Act, among other
requirements, directed the Secretary of
Transportation, in consultation with the
Secretary of Homeland Security, to
publish a final rule by May 3, 2008,
based on a NPRM published under this
docket on December 21, 2006. We
elected to publish the rule as an IFR
rather than a final rule to provide
interested persons with an opportunity
to comment on changes made to the
NRPM that directly relate to the
mandates established by the 9/11
Commission Act.
In accordance with Section 1551(e) of
the Act, PHMSA’s final rule must
require rail carriers of ‘‘securitysensitive materials’’ to ‘‘select the safest
and most secure route to be used in
transporting’’ those materials, based on
the rail carrier’s analysis of the safety
and security risks on primary and
alternate transportation routes over
which the carrier has authority to
operate. Specifically, the final rule must
require such rail carriers to perform the
following tasks each calendar year:
(1) Collect and compile securitysensitive commodity data, by route, line
segment, or series of line segments, as
aggregated by the rail carrier and
identify the geographic location of the
route and the total number of shipments
by UN identification number;
(2) Identify practicable alternative
routes over which the carrier has
authority to operate as compared to the
current route for such shipments;
(3) Seek relevant information from
state, local, and tribal officials, as
appropriate, regarding security risks to
high-consequence targets along or in
proximity to a route used by a rail
carrier to transport security-sensitive
materials;
(4) Consider the use of interchange
agreements with other rail carriers when
determining practicable alternative
routes and the potential economic
effects of using an alternative route;
(5) Analyze for both the primary route
and each practicable alternative route
the safety and security risks for the
route, railroad facilities, railroad storage
facilities, and high-consequence targets
along or in proximity to the route; these
analyses must be in writing and
performed for each calendar year;
(6) Compare the safety and security
risks on the primary and alternative
routes, including the risk of a
catastrophic release from a shipment
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traveling along these routes, and
identify any remediation or mitigation
measures implemented on the primary
and alternative transportation routes;
and
(7) Use the analysis described above
to select the practicable route posing the
least overall safety and security risk.
In addition, the Act mandates that
PHMSA require a covered rail carrier, at
least once every three years, to analyze
its route selection determinations,
including a comprehensive, systemwide review of all operational changes,
infrastructure modifications, traffic
adjustments, changes in the nature of
high-consequence targets located along
or in proximity to the route, or other
changes affecting the safety and security
of the movements of security-sensitive
materials that were implemented since
the previous analysis was completed.
Finally, the Act mandates that PHMSA
require covered rail carriers to retain in
writing all route review and selection
decision documentation and restrict the
distribution, disclosure, and availability
of this information to appropriate
persons.
In this final rule, we are responding
to comments submitted on the IFR that
relate to our interpretation and
application of § 1551 of the 9/11
Commission Act. To review
rulemakings, regulatory evaluations,
environmental assessments, comments,
or public meeting and congressional
briefing transcripts for this docket go to
https://www.regulations.gov under
docket number PHMSA–RSPA–2004–
18730.
II. Summary of Interim Final Rule
Based on comments received in
response to the NPRM and the
provisions of the 9/11 Commission Act,
the April 16 IFR adopted the following
revisions to the HMR:
• Rail carriers transporting certain
explosives, poisonous by inhalation
(PIH), and radioactive materials must
compile information and data on the
commodities transported, including the
routes over which these commodities
are transported.
• Rail carriers transporting the
specified hazardous materials must use
the data they compile and relevant
information from state, local, and tribal
officials, as appropriate, regarding
security risks to high-consequence
targets along or in proximity to a route
to analyze the safety and security risks
for each route used and practicable
alternative routes to the route used.
• Using these analyses, rail carriers
must select the safest and most secure
practicable route for the specified
hazardous materials.
• In developing security plans
required under Subpart I of Part 172 of
the HMR, rail carriers must specifically
address the security risks associated
with shipments delayed in transit or
temporarily stored in transit.
• Rail carriers transporting the
covered hazardous materials must notify
consignees of any significant unplanned
delays affecting the delivery of the
hazardous material.
• Rail carriers must work with
shippers and consignees to minimize
the time a rail car containing one of the
specified hazardous materials is placed
on track awaiting pick-up, delivery, or
transfer.
• Rail carriers must conduct security
visual inspections at ground level of rail
cars containing hazardous materials to
check for signs of tampering or the
introduction of an IED.
The IFR became effective on June 1,
2008. Beginning January 1, 2009, rail
carriers must compile information on
the commodities they transport and the
routes they use for the six-month period
from July 1, 2008 to December 31, 2008.
Rail carriers must complete their data
collection by March 1, 2009. By
September 1, 2009, rail carriers must
complete the safety and security
analyses of routes currently utilized and
available alternatives, and select the
safest, most secure routes for
transporting the specified explosive,
PIH, and radioactive materials.
Beginning January 1, 2010, and for
subsequent years, rail carriers must
compile information on the
commodities they transport and the
routes used for the previous calendar
year and complete route assessments
and selections by the end of the
calendar year.
III. Comments in Response to the
Interim Final Rule
We received ten sets of comments in
response to the IFR. The majority of the
comments were submitted by
companies, but we also received
comments from a public interest group;
a state government agency; a county
government agency; a university; and an
industry association. Overall,
commenters are supportive of the
rulemaking and welcome enhanced
routing requirements that promote the
safe and secure transportation of
hazardous materials by rail. A major
concern for rail carriers is the
requirement for consultation with state,
local, and tribal officials, as appropriate.
Carriers suggest that it is impractical for
railroads to consult on a continuous
basis with all local governments along
railroad rights-of-way. Several
commenters also suggest that DOT
establish a process for evaluating
transportation safety and security risks
across the entire rail transportation
system, including facilitating the
analysis and selection of routes
involving more than one carrier. Some
commenters suggest that the Federal
government should mandate specific
routing for high-hazard materials rather
than provide rail carriers the discretion
to make routing decisions.
The comments in the docket for this
rulemaking may be reviewed at https://
www.regulations.gov under docket
number PHMSA–RSPA–2004–18730.
For your convenience, a listing of the
docket entries is provided below.
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Name/company
Docket No.
Contra Costa County Board of Supervisors ............................................................................................
Friends of the Earth .................................................................................................................................
The Dow Chemical Company (Dow) .......................................................................................................
California Public Utilities Commission (CalPUC) .....................................................................................
The Dow Chemical Company (Dow) .......................................................................................................
Theodore S. Glickman .............................................................................................................................
Norfolk Southern Railway Company (Norfolk Southern) .........................................................................
The Association of American Railroads (AAR) ........................................................................................
PPG Industries (PPG) ..............................................................................................................................
BNSF Railway Company (BNSF) ............................................................................................................
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PHMSA–RSPA–2004–18730–0203
PHMSA–RSPA–2004–18730–0204
PHMSA–RSPA–2004–18730–0205
PHMSA–RSPA–2004–18730–0206
PHMSA–RSPA–2004–18730–0207
PHMSA–RSPA–2004–18730–0208
PHMSA–RSPA–2004–18730–0211
PHMSA–RSPA–2004–18730–0212
PHMSA–RSPA–2004–18730–0213
PHMSA–RSPA–2004–18730–0215
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IV. Discussion of Comments and
Section-by-Section Analysis
In the following paragraphs, we
discuss the comments as they apply to
the 9/11 Commission Act and explain
the impact of the comments on the
regulatory text in this final rule.
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A. General (§ 172.820(a))
In accordance with the IFR, rail
carriers must implement enhanced
safety and security measures for
shipments of the following classes and
quantities of hazardous materials:
(1) More than 2,268 kg (5,000 lbs) in
a single carload of a Division 1.1, 1.2 or
1.3 explosive;
(2) A bulk quantity of a PIH material,
as defined in § 171.8 of the HMR; or,
(3) A highway route-controlled
quantity of a Class 7 (radioactive)
material, as defined in § 173.403 of the
HMR.
Two commenters focus on the need to
include additional hazardous materials.
CalPUC suggests that, while the rule
will improve the safety and security of
rail shipments of explosive, PIH, and
radioactive materials, it will not
adequately protect the public from
accidents or terrorist acts against other
types of hazardous materials. CalPUC
recommends that the route selection
requirements apply to flammable gases,
flammable liquids, hydrogen peroxide
over 60 percent, Class 5 materials
(ammonium nitrate), Class 6 materials
(poisons), Class 8 materials (corrosives),
and certain marine pollutants. Contra
Costa County raises similar concerns
regarding the inclusion of liquefied
petroleum gas tank cars.
As discussed in more detail in the
IFR, PHMSA, FRA, and TSA assessed
the safety and security vulnerabilities
associated with the transportation of
different types and classes of hazardous
materials. The list of materials to which
the proposed enhanced safety and
security requirements apply is based on
specific railroad transportation
scenarios. These scenarios depict how
hazardous materials could be
deliberately used to cause significant
casualties and property damage or
accident scenarios resulting in similar
catastrophic consequences. DOT and
TSA determined that the materials
specified in the IFR present the greatest
rail transportation safety and security
risks—because of the potential
consequences of an unintentional
release of these materials—and are the
most attractive targets for terrorists—
because of the potential for these
materials to be used as weapons of
opportunity or weapons of mass
destruction. While DOT and TSA agree
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that materials identified by CalPUC and
Contra Costa County pose certain safety
and security risks in rail transportation,
the risks are not as great as those posed
by the explosive, PIH, and radioactive
materials specified in the IFR, and we
are not persuaded that they warrant the
additional precautions required by the
IFR. We note that the hazardous
materials listed by both commenters are
currently subject to the security plan
requirements in Subpart I of Part 172 of
the HMR. Thus, shippers and carriers of
these materials must develop and
implement security plans based on an
assessment of the transportation
security risks posed by the materials.
Security plans must include measures to
address personnel security,
unauthorized access, and en route
security. DOT, in consultation with
TSA, will continue to evaluate the
transportation safety and security risks
posed by all types of hazardous
materials and the effectiveness of our
regulations in addressing those risks
and will consider revising specific
requirements as necessary.
The IFR applied the route analysis
and selection requirements to PIH
residue shipments in bulk quantities.
Several commenters request that we
exclude residue shipments from the list
of hazardous materials subject to the rail
routing provisions, noting that rail
security rules proposed by
Transportation Security Administration
apply only to full tank car loads of PIH
materials. In addition, Dow notes that
the term ‘‘bulk quantity’’ is not
currently defined in the HMR and
suggests that if PHMSA decides to
regulate residue quantities, we should
define the term in the final rule.
As discussed in the IFR, we believe
the safety risks posed by the rail
transportation of residue quantities of
PIH materials should be addressed
through enhanced safety requirements,
including route assessments. Although
target attractiveness from a security
standpoint is diminished for residue
shipments, significant safety risks
persist. We continue to believe that
these safety risks are reduced by a
requirement for residue quantities of
PIH materials remaining in tank cars to
travel on the ‘‘best’’ route available—the
route that considers factors such as
population density, emergency response
capabilities, environmentally-sensitive
and significant areas, and event venues.
Dow is correct that the term ‘‘bulk
quantity’’ is not currently defined in the
HMR. Our intention in the IFR was to
require residue shipments over 119
gallons to be subject to the route
analysis and selection criteria. In
attempting to develop a definition for
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the term ‘‘bulk quantity,’’ however, we
realized that applying such a definition
to shipments of compressed gases, such
as chlorine and anhydrous ammonia,
would be very difficult. Moreover, rail
carriers do not have the capability to
ascertain the precise amount of residue
that may remain in a rail tank car; thus,
attempting to distinguish residue
shipments that would be subject to the
routing requirements from residue
shipments that would not would be
virtually impossible. For these reasons,
in this final rule, we are clarifying that
the data collection, route analyses, and
route selection requirements apply to
shipments of PIH materials, including
residue shipments, in a bulk packaging.
We note that there will be few, if any,
rail routes over which only residue
quantities of PIH travel. It is likely that
the routes used to transport these
residue shipments also carry fully
loaded packages of PIH or one of the
other hazardous materials covered by
this rulemaking, and that the routes
would therefore be included in a route
analysis.
B. Commodity Data (§ 172.820(b))
The IFR requires rail carriers to begin
compiling commodity data by no later
than 90 days after the end of the
calendar year for the previous calendar
year for the covered hazardous
materials, including an identification of
the routes utilized and the total number
of shipments transported. The data are
to be used by the rail carriers to identify
the routes over which the specified
hazardous materials are transported and
the number of shipments utilizing each
route. Rail carriers are required to
analyze the safety and security risks of
the routes identified. This provision of
the IFR is consistent with the 9/11
Commission Act mandate that rail
carriers collect and compile securitysensitive commodity data, by route, line
segment, or series of line segments, as
aggregated by the rail carrier, and
identify the geographic location of the
route and the total number of shipments
by UN identification number. We did
not receive comments addressing this
aspect of the IFR. Therefore, in this final
rule, we are adopting the commodity
flow data collection requirements
without change.
AAR requests clarification of the
actual date by which the commodity
flow data must be compiled in 2009. In
addition, AAR seeks clarification of IFR
preamble language stating, ‘‘For the
initial route analysis, we anticipate rail
carriers will review the prior two-year
period when considering the criteria
contained in Appendix D.’’ (73 FR
20762).
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Section 172.820(b) requires
commodity data to be compiled no later
than 90 days after the end of the
calendar year; in 2009 the data must be
compiled by March 31. In addition, this
section requires the initial data to cover
six months, from July 1, 2008 to January
31, 2008. PHMSA’s preamble language
indicating that we anticipate that
carriers will review the data from the
prior two years when conducting route
analysis was our opinion based on
knowledge of the data that rail carriers
routinely collect. For their initial
analysis, rail carriers are only required
to collect data from the six-month
period described in this section,
additional data may be included, but is
not required by the IFR or this final rule.
As discussed in more detail below, in
this final rule we are providing rail
carriers the option to use data for all of
2008 in conducting their initial route
analyses. If a rail carrier elects to utilize
this option, its route analysis and
selection process must be completed by
March 31, 2010.
C. Rail Transportation Route Analysis
(§ 172.820(c))
The IFR requires rail carriers to use
the data collected in accordance with
§ 172.820(b) to analyze the rail routes
over which the specified materials are
transported. Carriers must analyze the
specific safety and security risks for
routes identified in the commodity data
and the railroad facilities along those
routes. Consistent with the 9/11
Commission Act, they are required to
seek relevant information from state,
local, and tribal officials regarding the
security risks to high-consequence
targets along or in proximity to the
route(s) utilized. If a rail carrier is
unable to acquire relevant information
from state, local, or tribal officials, then
it must document that in its analysis.
The route analyses must be in writing
and consider, at a minimum, a number
of factors specific to each individual
route. A non-inclusive list of factors is
provided in Appendix D to Subpart I of
Part 172.
Several commenters express concern
regarding the IFR requirement to seek
relevant information from state, local,
and tribal officials regarding the security
risks to high-consequence targets along
or in proximity to a rail transportation
route. Contra Costa County suggests that
state and local governments be given the
opportunity to consult with the
railroads and provide all relevant
information, rather than be limited to
providing specific data requested by the
railroads. According to Contra Costa
County, local governments should have
access to the person who is managing
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the route analysis so they may request
a consultation with the railroad or
provide information that goes beyond
the specific data requested by the
railroad. In addition, Contra Costa
County suggests that the final rule
specify the types of local agencies that
will be part of the consultation process.
By contrast, Norfolk Southern
indicates that emergency response
capability would be best served by
receiving communication from a single
state agency, preferably the state
homeland security agency. Norfolk
Southern also expresses concern
regarding the overwhelming amount of
state and local correspondence railroads
are likely to receive as a result of this
requirement. Norfolk Southern suggests
the creation of individual railroad Web
sites that allow state and local
governments to provide data and
information that rail carriers should
consider when they conduct route
evaluations. Similarly, AAR suggests
that the Department of Homeland
Security (DHS) designate highconsequence targets along railroad lines
and serve as the main source of
information on security risks to highconsequence targets. AAR also suggests
that communication between railroads
and state and local governments should,
for the most part, be led by a single state
agency that advises the railroads on
security matters concerning the state
and its local governments.
As we noted in the IFR, among the
factors to be considered by rail carriers
in conducting the safety and security
analysis are population density along
the route; environmentally-sensitive or
significant areas; venues along the route
(stations, events, places of
congregation); emergency response
capability along the route; measures and
countermeasures already in place to
address apparent safety and security
risks; proximity to iconic targets; and
areas of high consequence along the
route. State and local governments may
well be able to assist rail carriers in
identifying and assessing this type of
information. Moreover, state and local
government entities may also be able to
assist rail carriers in addressing any
safety or security vulnerabilities
identified along selected routes, in the
scheduling of public events, for
example, or enhancing emergency
response capabilities. For these reasons,
we agree with commenters that rail
carriers should seek the broadest
possible input from state and local
governments as they conduct route
analyses. We also agree with Contra
Costa County that designation of a
single point of contact for routing issues
at each railroad would help to facilitate
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communication and interaction between
rail carriers and state and local
governments.
At the same time, we recognize the
difficulties that rail carriers may
encounter in seeking information from
every community along a given route
and appreciate the need to simplify
such interactions to the greatest extent
practicable. We believe that rail carriers
should have the flexibility to establish
mechanisms to accomplish the required
consultations that are tailored to each
railroad’s specific circumstances, routes,
and operating environments. Web-based
systems for providing and assessing
state and local concerns, as suggested by
Norfolk Southern, are certainly options
that may prove to be very effective.
Alternatively, a railroad may wish to
work with state governments to
establish a state government focal point
for consolidating and communicating
local government concerns.
Since 2003, many states and larger
cities have created State and Local
fusion centers, and States have created
regional fusion centers to share security
and first responder information and
intelligence within their jurisdictions as
well as with the Federal government.
Fusion centers vary from State to State,
but most contain similar elements,
including members of State law
enforcement, public health, social
services, public safety, and public works
organizations. Increasingly, Federal
agencies such as the Department of
Homeland Security, Federal Bureau of
Investigation, Drug Enforcement
Administration, and Bureau of Alcohol
Tobacco, Firearms, and Explosives have
stationed representatives at State-level
fusion centers. Most centers operate as
‘‘all hazard’’ centers, addressing all
types of emergencies, and not just those
that might be related to homeland
security or terrorism. As of March 2008,
there were 58 fusion centers around the
country.
Railroads have been coordinating
with these fusion centers on railroad
police and security issues, and the
Federal government has officially
recognized the importance of these
centers in addressing security issues.
The 9/11 Commission Act recognized
the importance of fusion centers and
established a DHS State, Local, and
regional fusion center initiative to foster
partnerships between centers at all
levels of government. Specific language
provided at 6 U.S.C. 124(h) establishes:
(1) DHS responsibility to support and
coordinate with the fusion centers; (2)
authority and guidelines for assigning
DHS personnel to state fusion centers;
(3) uniform guidelines for fusion
centers; and (4) funding of $10 million
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per year for each of fiscal years 2008–
2012 to carry out the Fusion Center
Initiative. Since 2001, the Federal
government has provided some $380
million to help fund fusion centers that
meet guidelines jointly established by
DHS and the Department of Justice.
In this final rule, in response to
comments related to simplifying and
facilitating coordination on routing
issues between rail carriers and state
and local governments, PHSMA is
modifying the IFR to require rail carriers
to designate a single point of contact
(including the name, title, phone
number and e-mail address) on routing
issues, and to provide this information
to: (1) The State and regional fusion
centers located in the portion of the
country encompassed by their rail
systems; and (2) State, Local, and Tribal
officials in jurisdictions that may be
affected by a rail carrier’s routing
decisions who directly contact the
railroad to discuss these decisions.
States, Local Governments, and
Indian tribes may contact the State and
regional fusion centers to obtain rail
carriers’ point of contact information.
The Department of Homeland Security’s
National Operation Center is available
24 hours a day to facilitate public and
private entities locating and contacting
their State or regional fusions centers;
the Center’s contact number is (202)
282–8101. States, Local Governments,
and Indian tribes will have the
flexibility to directly consult with rail
carriers on matters affecting the
railroads’ routing decisions, or
channeling this information to the
railroads through the fusion centers.
PHMSA and FRA note that we are
working with DHS to provide railroads
with information regarding highconsequence targets, as specified in the
9/11 Commission Act.
The AAR reiterates its comment that
PHMSA should adopt a shipment
threshold to trigger the route analysis
requirement. Specifically, AAR suggests
that if there are no more than 15
shipments along a particular route then
the route analysis established by the IFR
should not be required. AAR comments
utilizing such a threshold eliminates
unnecessary analysis of routes used
only in emergencies and other unique
circumstances.
As we stated in the IFR, we are
declining to adopt such a threshold. We
understand that there may be times
when a route is used that would not
normally be used in the everyday course
of business, and we would expect the
analysis to demonstrate that the routing
was out of the ordinary. We believe
there is utility in doing such an analysis
even on a little-used route. Traffic
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densities and circumstances may
change, and natural disasters such as
floods and hurricanes may occur. There
is an advantage in knowing the
characteristics, risks and necessary
mitigating measures for a route that may
have to be used, even in temporary
emergency circumstances.
D. Alternative Route Analysis
(§ 172.820(d))
Consistent with 9/11 Commission Act
requirements, the IFR requires carriers
to analyze and assess the feasibility of
all available alternative routes over
which they have authority to operate in
addition to the routes normally and
regularly used for hazardous materials
movements. Practicable routes (or routes
that are feasible options, both logically
and commercially) must be identified
and analyzed using, at a minimum, the
Rail Risk Analysis Factors of Appendix
D to Part 172. Rail carriers must retain
a copy (or an electronic image thereof)
of all route review and selection
decision documentation used when
selecting the safest and most secure
practicable route available. This
documentation should include, but is
not limited to, comparative analyses,
charts, graphics, or rail system maps.
In accordance with § 1551 of the 9/11
Commission Act, alternative routes
must consider the use of interchange
agreements. For the purposes of route
selection, interchange agreements allow
railroads to exchange railcars at
specified junction point where rail lines
of two or more different railroads meet.
Interchange agreements may increase
the number of available routes for
certain shipments. Routes that utilize
interchange agreements may provide a
safer, more secure routing option than
would otherwise be available.
Overall, rail carriers must account for
safety and security risks; comparison of
safety and security risks to the primary
route, including the risk of catastrophic
release; any remediation or mitigation
measures taken; and potential economic
effects. The goal of the routing analysis
requirement is to require that each route
used for the transportation of the
specified hazardous materials is the one
presenting the fewest overall safety and
security risks. If the use of an alternative
route would significantly increase a
carrier’s operating costs, as well as the
costs to its customers, the carrier should
consider and document the cost in its
route analysis.
We received several comments on this
section of the IFR. One area of concern
for commenters is the role that
economic factors play in selecting
‘‘practicable’’ alternative routes. Friends
of the Earth asserts that these
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requirements will spare railroads from
any inconvenience or even minor
expense in having to re-route cargoes
onto available alternative routes and
suggests that we have put
‘‘practicability’’ on par with safety and
security. CalPUC contends that it is not
reasonable to make costs to railroads
and shippers the ultimate determinant
for routing decisions and suggests that
in doing so, we have excluded the
overall costs and damages to the nation
and its population in general. Contra
Costa County asserts that the IFR
provides too much opportunity for the
railroads to let economic concerns drive
the process. According to Contra Costa
County, the railroads should be required
to analyze all possible routes on safety
factors alone to determine the safest
route.
We do not agree that the
consideration of the ‘‘practicability’’ of
specific routes will result in routing
decisions that are driven solely by
economic considerations. Rail carriers
must assess available routes using the
27 factors listed in Appendix D to Part
172 to determine the safest, most secure
routes. The factors address both safety
and security issues, such as the
condition of the track and supporting
infrastructure; the presence or absence
of signals; past incidents; population
density along the route;
environmentally-sensitive or significant
areas; venues along the route (stations,
events, places of congregation);
emergency response capability along the
route; measures and countermeasures
already in place to address apparent
safety and security risks; and proximity
to iconic targets. However, when
carriers consider the ‘‘practicability’’ of
a specific route some consideration
must be given to economic factors. We
note in this regard that the Congress
recognized this by including in
§ 1551(d) of the 9/11 Commission Act a
requirement for the alternative route
analyses to include the potential
economic effects of using an alternative
route. In accordance with the IFR, rail
carriers must balance economic factors
with safety and security factors in
making route selections. If using a
possible alternative route would
significantly increase a carrier’s
operating costs, as well as the costs to
its customers, the carrier should
consider and document these facts in its
route analysis.
Several commenters address the use
of interchange agreements between rail
carriers when determining practicable
alternative routes. Friends of the Earth
asserts that the key flaw in the IFR is
that it does not force a railroad to
‘‘interchange’’ its most dangerous cargo
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over to another railroad to go around a
target city. Theodore Glickman suggests
that because we require railroads to
consider only routes over which they
have authority to operate, we are
missing an opportunity for identifying
routes that reduce time in transit and
pose fewer safety and security risks.
PPG states that carriers should be
required to work together to select the
safest, most secure routes. Dow and
AAR both suggest that we consider
mechanisms, including 49 U.S.C. 333,
that would assist a rail carrier in
analyzing the safety and security risks of
an alternative route over which it has no
authority to operate. AAR notes that the
§ 333 conference discussed in the IFR
appears to be the best way to conduct
discussions of rerouting through
interchanges.
The requirement in the IFR for
railroads to consider interchange
agreements as they identify and assess
alternative routes is consistent with the
9/11 Commission Act. The Act does not
mandate the use of interchange
agreements. However, we agree with
Dow and AAR that safety and security
would be further enhanced if rail
carriers could together evaluate the
safety and security of routes across the
entire rail transportation system. We
also agree that utilizing existing
statutory authority under 49 U.S.C. 333,
which provides relief for potential
antitrust concerns, provides a
mechanism to facilitate a systems
approach to evaluating and mitigating
safety and security risks. Section 333
authorizes the FRA Administrator, as
delegate of the Secretary of
Transportation, to convene conferences
at the request of one or more railroads
to address coordination of operations
and facilities of rail carriers in order to
achieve a more efficient, economical,
and viable rail system. Persons
attending a § 333 conference are
immune from antitrust liability for any
discussions at the conference, and can
also receive immunity for any resulting
agreements that receive FRA approval.
As discussed in the IFR, in 2005, FRA
convened a conference under this
authority to discuss ways to minimize
security and safety risks associated with
the transportation of PIH materials. FRA
plans to consider ways to expand this
conference to provide a forum for rail
carriers to evaluate the safety and
security of the covered hazardous
materials across the entire rail system,
and specifically to evaluate riskreducing arrangements on a national
scale. FRA will also consider including
shippers as part of the conference.
We continue to believe that the route
analyses and selection requirements in
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the IFR will reduce safety and security
risks associated with the rail
transportation of explosive, PIH, and
radioactive materials. We are not
convinced that mandating the use of
interchange agreements as part of this
process is the most effective way to
reduce risk across the entire rail
transportation system. Rather, we
believe that the next step should be the
joint shipper-carrier consultations
described above. Therefore, we are
adopting the alternative route analysis
requirements as established by the IFR.
E. Route Selection (§ 172.820(e))
Consistent with requirements in the
9/11 Commission Act, the IFR requires
a carrier to use the analysis, including
any remediation measures implemented
on a route, to select the route posing the
least overall safety and security risk. In
selecting a route, the carrier must
analyze the safety and security risk for
both the primary route and each
practicable alternative route including
railroad facilities, railroad storage
facilities, and high-consequence targets
along or in proximity to the route. The
analyses must be in writing and
performed for each calendar year.
Carriers must compare the safety and
security risks on the primary and
alternative routes, including the risk of
a catastrophic release from a shipment
traveling along these routes, and
identify any remediation or mitigation
measures implemented on the primary
and alternative transportation routes.
The route selection documentation and
underlying data will qualify as sensitive
security information (SSI), will be
handled in accordance with the SSI
regulations at 49 CFR Parts 15 and 1520,
and may be distributed only to ‘‘covered
persons’’ with a ‘‘need to know.’’ State
and local government officials generally
are considered to be ‘‘covered persons’’
with a ‘‘need to know’’ for purposes of
sharing data and information applicable
to a railroad’s route analysis.
One commenter, Contra Costa County,
suggests that the analysis and route
selection performed by the rail carriers
should be made available to local law
enforcement, fire, and public health/
hazardous materials officials. It also
suggests that a distribution chain be
established so these agencies can review
the route analysis methodology and
results of the railroads.
Similar comments were addressed
during the IFR stage of this rulemaking
proceeding. Specifically, in its
comments on the December 2006
NPRM, the City of Cleveland, Ohio,
suggested that we revise the proposal in
the NPRM to require rail carriers to
share the commodity data with local
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72187
governments responsible for the
geographic areas through which
hazardous materials are transported. In
the preamble to the IFR, we agreed that
state and local governments should have
access to such information, provided
access to the information is limited to
those with a ‘‘need to know’’ for
transportation safety and security
purposes, and further provided that
such information may not be publicly
disclosed pursuant to any state, local, or
tribal law. (73 FR 20759). Again, as part
of a vulnerability assessment, the
commodity data that will be collected
by the railroads will qualify as SSI and
will be handled in accordance with
those regulations. Because of the
security sensitivity of the data and route
selection information, it is not
appropriate for it to be broadly
disclosed to government or private
entities. State and local governments
may contact FRA to voice concerns and
request an inspection of a route plan,
security vulnerability, or, more
generally, a rail carrier.
Some of the comments raise issues
discussed in the IFR, including the
availability of rail routing tools and
accounting for persons that are more
susceptible to exposure from the listed
hazardous materials. Contra Costa
County asks that rail routing tools be
made available to local parties upon
request, along with an explanation of
how the tool functions and suggests that
local governments have an opportunity
to appeal the railroad’s finding, through
a process identified in the final rule for
resolving disputes.
Tools used by railroads to complete
the route analyses and selection process
mandated by this rule will include
sensitive information that should not be
broadly disseminated. However, we
agree that sharing information with state
or local government officials about how
a rail carrier performed its route
analysis and made its route selections
could be beneficial to both the carrier
and the affected government
jurisdictions. Such information will
qualify as SSI and must be handled in
accordance with SSI regulations, but
nothing in this final rule is intended to
prohibit sharing of this information
upon request to ‘‘covered persons’’ with
a ‘‘need to know.’’
We do not believe it is necessary to
provide a separate process for local
governments to appeal railroad route
selections to FRA. FRA has a process in
place under which state and local
governments may contact FRA to voice
concerns about route selections and
request an inspection of a route plan,
security vulnerability, or, more
generally, a rail carrier.
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In its comments, AAR suggests that
we clarify the meaning of the statement
‘‘subpopulations particularly
susceptible to such risk and/or more
highly exposed’’ as used in the
preamble of the IFR in regard to the
population included in the rail carrier’s
route selection analysis. (73 FR 20763).
When assessing the safety and security
risks along a specific route, carriers
must consider possible impacts to the
total population in proximity to that
route. In addition, carriers should
consider possible impacts on
subpopulations—such as children or the
elderly—if there are locations or
facilities such as schools, hospitals, or
assisted living facilities along the route
or if such subpopulations are a
disproportionate part of the population
as a whole.
Some commenters, including BNSF,
suggested that PHMSA should dictate to
the carriers the routes to be used for
transportation of the covered hazardous
materials. BNSF has also suggested that
once FRA has completed its review of
a rail carrier’s route selection, the route
selected by the carrier should be
classified as an approved route. The 9/
11 Commission Act does not direct the
Federal Government to mandate specific
rail routes for security-sensitive
materials; rather § 1551 of the Act
specifically directs the Secretary of
Transportation to, through this final
rule, require rail carriers to select the
safest and most secure routes for the
movement of these materials. We
continue to believe that rail carriers are
in the best position to select the safest
and most secure routes, taking into
consideration mitigation measures that
they may wish to implement to address
safety and security vulnerabilities they
identify.
As explained in the IFR, we are not
requiring rail carriers to submit their
route analyses and route selections to
DOT for approval. Federal review and
approval of these analyses would be
resource-intensive and time-consuming
and could result in shipment delays if
a rail carrier had to await approval from
DOT prior to transporting hazardous
materials along the routes it identified
as posing the fewest safety and security
risks. Moreover, the 9/11 Commission
Act does not provide for an approval
process for route selections made by rail
carriers. That being said, we intend to
aggressively oversee railroads’ route
analyses and route selection
determinations and will use all
available tools to enforce compliance
with the rule. As the agency with
primary responsibility for railroad safety
enforcement, FRA will incorporate
review and inspection of route analyses
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and selections into its inspection
programs. FRA inspectors may offer
suggestions for modifying or improving
the analysis or make changes to a route
if the route selection documentation or
underlying analysis is found to be
deficient. If an inspector’s
recommendations are not implemented,
FRA may compel a rail carrier to make
changes and/or assess a civil penalty.
Further, if the carrier’s chosen route is
found not to be the safest and most
secure practicable route available, FRA
may require the use of an alternative
route.
After consideration of comments
received, in this final rule, we are
adopting the requirements applicable to
route selection as established by the
IFR.
F. Completion of Route Analysis
(§ 172.820(f))
The IFR requires rail carriers to
conduct their initial rail transportation
route analysis, alternative route
analysis, and route selection by
September 1, 2009, based on routing
data for the six month period from July
1, 2008 to December 31, 2008. In
subsequent years, the rail transportation
route analysis, alternative route
analysis, and route selection, including
a comprehensive review of all
operational changes, infrastructure
modifications, traffic adjustments, or
other changes implemented, must be
conducted no later than the end of the
calendar year following the year to
which the analyses apply.
In its comments, AAR suggests that
the September 1, 2009, deadline for
completing an initial route analysis and
route selection may be difficult for rail
carriers to meet. AAR explains that the
first set of analyses will be resourceintensive and time-consuming and that
subsequent analyses will be less so
because they can build off previous
analyses. AAR suggests that its member
railroads would be willing to analyze
data for a full year in 2009 (data for all
of 2008) in return for elimination of the
special September 1 deadline for route
analyses in 2009.
We recognize that the IFR established
an aggressive timeline for completion of
an initial route analysis and route
selection process. The IFR provides over
16 months (from April 16, 2008 to
September 1, 2009) for completion of
this process. We believe that the safety
and security risks addressed in the IFR
warrant an aggressive approach.
However, we recognize that in some
cases the last six months of 2008 data
may not accurately reflect the
seasonality of the rail movement of
certain PIH materials (such as
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anhydrous ammonia) on some carriers,
and that an analysis of data for all of
2008 may help facilitate the review in
the subsequent year. In this final rule,
therefore, we are providing the
following options for completing the
initial route analysis, alternative route
analysis, and route section: (1) A rail
carrier may complete the process by
September 1, 2009, as established in the
IFR, using data for the six month period
from July 1, 2008 to December 31, 2008;
or (2) a rail carrier may complete the
process by March 31, 2010, using data
for all of 2008, so long as the rail carrier
notifies FRA in writing by September 1,
2009, that it has chosen this second
option.
Several commenters also addressed
our decision to require rail carriers to
conduct an annual comprehensive
review of the route analysis and
selection process rather than once every
three years. Section 1551(g) of the 9/11
Commission Act requires rail carriers to
perform a comprehensive review of its
route selection determinations at least
once every three years. The analysis is
to include a system-wide review of all
operational changes, infrastructure
modifications, traffic adjustments,
changes in the nature of highconsequence targets located along or in
proximity to the route, and any other
changes affecting the safety and security
of the movement of security-sensitive
materials that were implemented since
the previous analysis was completed.
Dow requests that we amend the IFR
to require the comprehensive review to
be completed once every three years.
Dow suggests that PHMSA lacks support
in the current administrative record to
impose an unduly burdensome annual
comprehensive review requirement. On
the other hand, CalPUC provided
comments in strong support of the
requirement to perform comprehensive
reviews on an annual basis.
As we indicated in the IFR, we
believe there is value in conducting an
annual review of the route analysis even
in the absence of changes to the way a
carrier operates. Conditions along the
selected routes may change, for
example, or there may be changes
affecting other factors utilized in the
analyses, such as incidents on the
selected route, the capabilities of local
emergency response agencies, or venues
located in proximity to the selected
route. Again, performance of the initial
data gathering and analysis will be the
most burdensome. We expect that the
subsequent yearly analyses will build
on the initial analysis and will be easier
to do. Therefore, we are adopting the
annual comprehensive review
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requirement as established by the IFR in
this final rule.
G. Storage, Delays in Transit, and
Notification (§ 172.820(g))
The IFR clarifies that rail carriers
must address delays in transit and en
route storage in their security plans.
Thus, rail carrier security plans must
include: (1) A procedure for consulting
with offerors and consignees to
minimize the time a material is stored
incidental to movement; (2) measures to
limit access to the materials during
storage and delays in transit; (3)
measures to mitigate risk to population
centers during storage incidental to
transportation; (4) measures to be taken
in the event of an escalating threat level
during storage incidental to
transportation; and (5) a procedure that
is acceptable by both the rail carrier and
consignee for notifying the consignee in
the event of transportation delays.
The IFR included language to the
effect that all affected parties should
agree upon measures to be implemented
by the rail carriers to minimize the time
that PIH, explosive, and radioactive
materials are stored in transit. In its
comments, AAR suggests that this
provision of the IFR unnecessarily
restricts rail carriers’ flexibility.
According to AAR, customers often lack
incentive to reduce storage on railroad
property because of their own lack of
storage capacity. AAR notes that
railroads welcome opportunities to
discuss with their customers ways of
minimizing the extent to which cars
may be delayed on railroad property
due to the inability of their customers to
receive cars. Norfolk Southern agrees
with AAR’s comments and adds that if
the parties cannot agree, then the
railroad carrier must have the final say
concerning storage occurring on the
railroad’s own property.
The intent of the requirement in
§ 172.820(g)(1) is to establish a
procedure that provides an opportunity
for offerors and consignees to work with
rail carriers to minimize incidental
storage of shipments. It was not our
intention to limit a carrier’s flexibility
concerning the storage of rail cars on
railroad property. We are aware that rail
carriers have worked closely with TSA
to voluntarily implement measures to
reduce the number of hours PIH cars are
held in high-threat urban areas.
Therefore, in this final rule, we are
removing the sentence in § 172.820(g)(1)
that suggests that all parties should
agree on measures to be implemented to
minimize the time that rail cars are
stored in transit.
AAR also requests clarification of the
phrase ‘‘formally consult,’’ as it applies
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Jkt 217001
to the rail carriers working with offerors
and consignees to minimize storage
incidental to transportation. The
requirement for a ‘‘formal’’ procedure
should not be read to imply that rail
carriers must develop an agenda for the
meeting or maintain documentation to
keep a record of the consultation. By
requiring that the process be formal, we
are simply indicating that rail carriers
must make offerors and consignees fully
aware of the process and how it will
work. The procedure should involve
offerors and consignees when storage
decisions are made that directly affect
their operations. The consultation
requirement may be met as part of the
normal course of communication
between the railroad and its customers.
H. Recordkeeping (§ 172.820(h))
Consistent with requirements in the
9/11 Commission Act, in the IFR, we
require each rail carrier to maintain an
accessible copy of the information and
analyses associated with the collection
of commodity data and route assessment
and selection processes. We further
require the distribution of such
information to be limited to ‘‘covered
persons’’ with a ‘‘need to know’’ in
accordance with SSI regulations in 49
CFR Parts 15 and 1520. There were no
comments in response to this paragraph;
therefore, we are adopting it as
established by the IFR.
I. Compliance and Enforcement
(§ 172.820(i))
In the IFR, we require carriers to
revise their analyses or make changes to
a route if the route selection
documentation or underlying analyses
is found to be deficient. In addition, if
the carrier’s chosen route is found not
to be the safest and most secure
practicable route available, the FRA
Associate Administrator for Safety, in
consultation with TSA, may require the
use of an alternative route until such
time as identified deficiencies are
satisfactorily addressed. FRA and TSA
will consult with the Surface
Transportation Board regarding whether
the contemplated alternative route(s)
would be economically practicable.
One commenter specifically
addressed the requirements in this
section. AAR asks if field inspectors
will have the capability to perform route
analyses. It suggests that the level of
detail involved in the route analysis
would make it difficult for inspectors to
have the capability to perform route
analyses during an inspection. AAR
recommends that Federal agencies
should designate the employees
requiring access to route analyses and
provide the railroads with a list of those
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employees to facilitate coordination
between the railroads and Federal
agencies.
FRA will continue to coordinate
closely with the railroads in its
inspection and enforcement activities,
including review of security plans and
route analyses. We note concerning the
AAR comments that FRA’s enforcement
role is to review the railroads’ analyses,
not to perform them. FRA employees
will be capable of reviewing a rail
carrier’s route analyses and route
selections to ensure compliance with
the requirements of this final rule.
Further, FRA and its employees will
comply with the existing SSI regulations
with regard to the handling of the route
analyses and the underlying commodity
data. Only FRA employees who are
‘‘covered persons’’ with a ‘‘need to
know’’ under the SSI regulations at 49
CFR Parts 15 and 1520 will access the
routing analyses and data. 9 CFR Part 1
outlines enforcement authority for the
modal administrations within DOT. In
the hazardous materials arena, modal
administrations share broad authority
over all modes regardless of agency. In
accordance with a DOT-wide
memorandum of understanding that
delineates normal areas of activity for
each modal administration, FRA expects
to utilize inspectors from various
disciplines as well as other modal
partners when evaluating rail carrier
compliance with these regulations.
In addition, FRA plans to work
closely with TSA to develop a
coordinated enforcement strategy to
include both FRA and TSA inspection
personnel. We note in this regard that
while TSA has broad responsibility and
authority under the Aviation and
Transportation Security Act for security
in all modes of transportation, TSA does
not have the authority to enforce safety
or security requirements established in
the HMR. If in the course of an
inspection of a railroad carrier or a rail
hazardous material shipper, TSA
identifies evidence of non-compliance
with a DOT security regulation, TSA
will provide the information to FRA and
PHMSA for appropriate action. TSA
will not directly enforce DOT security
rules and will not initiate safety
inspections. In accordance with the
PHMSA–TSA and FRA–TSA annexes to
the DOT–DHS MOU, all the involved
agencies will cooperate to ensure
coordinated, consistent, and effective
activities related to rail security issues.
Another commenter, PPG, fully
supports the intent of this rulemaking
and believes it will aid in the safe and
secure transportation of hazardous
materials. However, PPG questions
whether a risk assessment is necessary
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before a rail carrier can accept a
shipment for a new route The concern
is that the rail carrier will have the right
to refuse to accept a shipment until a
risk assessment can be done. According
to its comments, PPG does not believe
this is the intent of the rule but wants
some assurance that the rail carriers
cannot refuse a shipment based on this
rulemaking.
We do not intend for the provisions
of this rule to impede the everyday
commerce of hazardous materials, or to
change the common carrier obligation of
the railroads to handle securitysensitive materials that shippers tender
to them for shipment. In the event that
a railroad accepts a new shipment with
a new route, we would expect the
railroad to document this new data in
its annual data compilation, and to note
any new routes, risk factors, and
mitigation measures in its analysis.
Since new routes are often discussed
long before the initial shipment, if the
carrier has knowledge of the expected
shipments when it conducts its initial or
subsequent reviews it should include
this information as part of the decisionmaking process.
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J. Federal Preemption (§ 172.822)
We addressed the preemptive effect of
the IFR by clarifying that state and local
regulation of rail routes for shipments of
hazardous materials is preempted under
both the Federal Hazardous Materials
Transportation Law (Federal Hazmat
Law; 49 U.S.C. 5125) and the Federal
Rail Safety Act (49 U.S.C. 20106). All
comments that were addressed
supported the proposed language;
therefore, we are adopting it as
established by the IFR.
K. Rail Risk Analysis Factors (Appendix
D to Part 172)
The IFR adopts minimum criteria in
Appendix D to Part 172 to be used by
rail carriers when performing the safety
and security risk analyses required by
§ 172.820. We listed 27 factors in this
appendix for carriers to consider in the
analyses. The IFR adopted the 27 factors
as proposed in the NPRM, with
modifications for consistency with
requirements of the 9/11 Commission
Act. Specifically, the IFR added high
consequence targets, as defined in
§ 1551(h)(2), to the list of factors that
must be considered.
The comments submitted in response
to this section reiterate comments made
to the NPRM. BNSF expresses concern
that the IFR does not provide any
direction as to how the 27 factors are to
be prioritized and requests that PHMSA
provide guidance on the comparative
weight or prioritization that it assigns to
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each factor. Theodore Glickman
suggests that the 27 factors far exceed
the number that should be included and
recommends that emphasis should be
placed on the identification of the most
important factors and developing the
database required to evaluate those
factors. In its comments, Norfolk
Southern expresses support for the
factors and agrees with the agency’s
decision not to arbitrarily weight or rank
the factors and recognize that weighting
of the individual factors listed in
Appendix D may vary upon the
circumstances and/or the region in
which the rail carrier operates.
As we stated in the IFR, the weighting
of the factors is an extremely important
aspect of an overall safety and security
risk assessment methodology. However,
we do not believe that prioritizing or
limiting the number of factors will allow
rail carriers the flexibility necessary to
account for unique track conditions and
localized concerns. We expect carriers
to make conscientious efforts to develop
logical and defendable systems using
these factors. Tools to assist rail carriers
to use the factors to assess the safety and
security vulnerabilities of specific
routes, including how to weight the
factors in performing the analysis, are
available from a variety of sources. In
addition, DOT and DHS are finalizing a
route analysis tool under a grant from
the Federal Emergency Management
Agency (FEMA). This web-based,
interactive tool will assist rail carries to
identify route characteristics using the
27 factors and to weigh safety and
security impacts, thereby providing a
standardized, consistent approach to the
process of selecting safe and secure rail
routes for high-risk hazardous materials.
In addition, the tool provides a
methodology for assessment of
consequences for a specific commodity
released at a specific point on a rail line;
assessing natural hazard risks for a
specific rail asset; and for corridor
analysis entailing a review of all route
or asset analysis results for a given rail
corridor (i.e., geographic area). We
expect this analysis tool to be available
in 2008.
We addressed similar comments
regarding the rail risk analysis factors in
the IFR. After thoroughly reviewing the
comments submitted in response to the
IFR, we are confident that the list of rail
risk analysis factors is sufficient. The
flexibility provided is necessary to
allow rail carriers to fully assess the
potential routes. Therefore, this final
rule adopts Appendix D to Part 172 as
established by the IFR.
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L. Pre-Trip Security Inspections (§ 174.9)
The IFR increases the scope of the
currently required rail car safety
inspection to include a security
inspection of all rail cars carrying
placarded loads of hazardous materials.
The primary focus of the enhanced
inspection is to recognize an IED, which
is a device fabricated in an improvised
manner incorporating explosives or
destructive, lethal, noxious,
pyrotechnic, or incendiary chemicals in
its design, and generally including a
power supply, a switch or timer, and a
detonator or initiator. The IFR requires
the rail carriers’ pre-trip inspections of
placarded rail cars to include an
inspection for signs of tampering with
the rail car, including its seals and
closures, and an inspection for any item
that does not belong, is suspicious, or
may be an IED. When an indication of
tampering or a foreign object is found,
the rail carrier must take appropriate
actions before accepting the rail car for
further movement; the carrier will verify
that the rail car is secure and its
contents have not been compromised.
Instructional materials have been
developed by TSA that may be used by
rail carriers to train their employees on
detection of tampering and
identification of IEDs. The comments
submitted in response to the IFR do not
address the pre-trip security
inspections. Therefore, we are adopting
§ 174.9 as established by the IFR.
VII. Regulatory Analyses and Notices
A. Statutory/Legal Authority for This
Rulemaking
This final rule is published under
authority of the Federal Hazmat Law.
Section 5103(b) of Federal Hazmat Law
authorizes the Secretary of
Transportation to prescribe regulations
for the safe transportation, including
security, of hazardous materials in
intrastate, interstate, and foreign
commerce. In addition, this final rule is
published under authority of the 9/11
Commission Act. Section 1551 of the
9/11 Commission Act directs the
Secretary of Transportation, in
consultation with the Secretary of
Homeland Security, to publish a final
rule by May 3, 2008, based on the
NPRM published under this docket on
December 21, 2006. In accordance with
§ 1551(e) of the Act, PHMSA’s final rule
must require rail carriers of ‘‘securitysensitive materials’’ to ‘‘select the safest
and most secure route to be used in
transporting’’ those materials, based on
the rail carrier’s analysis of the safety
and security risks on primary and
alternate transportation routes over
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which the carrier has authority to
operate.
B. Executive Order 12866 and DOT
Regulatory Policies and Procedures
This final rule is a significant
regulatory action under § 3(f) Executive
Order 12866 and, therefore, was
reviewed by the Office of Management
and Budget (OMB). The final rule is a
significant rule under the Regulatory
Policies and Procedures order issued by
the DOT (44 FR 11034). We completed
a regulatory evaluation and placed it in
the docket for this rulemaking.
Generally, costs associated with the
provisions of this final rule include the
cost for collecting and retaining data
and performing the mandated route
safety and security analysis. We
estimate total 20-year costs to gather the
data and conduct the analyses
established by this final rule to be about
$20 million (discounted at 7%).
In addition, rail carriers and shippers
may incur costs associated with
rerouting shipments or mitigating safety
and security vulnerabilities identified as
a result of their route analyses. Because
the final rule builds on the current route
evaluation and routing practices already
in place for most, if not all, railroads
that haul the types of hazardous
materials covered, we do not expect rail
carriers to incur significant costs
associated with rerouting. The railroads
already conduct route analyses and rerouting—in line with what this rule
would require—in accordance with the
AAR comments and AAR Circular OT–
55–I. Moreover, the smaller carriers
(regionals and short lines) are unlikely
to have access to many alternative
routes, and where an alternative does
exist, it is not likely to be safer and more
secure than the route they are currently
using. If there is an alternative route the
carrier determines to be safer and more
secure than the one it is currently using,
the carrier could well switch routes,
even in the absence of a regulatory
requirement, because it reduces the
overall risk to its operations. Such
reduction in risk offers a significant
economic advantage in the long run.
Identifying and mitigating security
vulnerabilities along rail routes are
currently being done by the railroads.
We believe that readily available ‘‘hightech’’ and ‘‘low-tech’’ measures are
being quickly implemented. The
development, procurement, and widespread installation of the more
technology-driven alternatives could
take several years. However, PHMSA’s
previous security rule requires the
railroads to have a security plan that
includes en route security. This existing
regulatory requirement, coupled with
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industry efforts to address security
vulnerabilities, has caused railroads to
enhance their security posture. As with
routing decisions, such reduction in risk
offers a significant economic advantage
in the long run. Therefore, we expect
that the cost of mitigation attributed
solely to this final rule will not be
significant. We note in this regard that
safety and security measures are
intertwined and often complementary;
therefore, separating security costs from
safety costs is not feasible.
We do not expect this final rule to
result in a diversion from railroads to
trucks. For the movements subject to
this rule, transportation and distribution
patterns, with associated infrastructure,
tend to be well-established. For
example, the vast majority of PIH
offerors ship by rail; indeed, many do
not have the infrastructure (loading
racks, product transfer facilities)
necessary to utilize trucks for such
transportation. Moreover, the current
fleet of cargo tank motor vehicles is
insufficient to handle a significant shift
of PIH cargoes from rail to highway—for
example, there are only 85 cargo tank
motor vehicles used for the
transportation of chlorine. Because it
takes about four tank trucks to haul the
amount of product that can be moved in
a rail tank car, the industry would have
to build many more trucks to
accommodate a shift in transportation
from rail to highway, necessitating a
significant expansion in current tank
truck manufacturing capacity. In
addition, because it takes four trucks to
transport the same amount of product as
a single rail tank car, it generally is only
cost-effective to utilize trucks for
relatively limited distances. A farm
cooperative or agricultural products
distributor, for example, typically
receives large quantities of anhydrous
ammonia by rail car and offloads the
material into storage tanks for
subsequent truck movement to local
customers.
Changing these established
transportation patterns would require
substantial investment in new capacity
and infrastructure, vastly exceeding the
costs of complying with the final rule.
Under these circumstances, we do not
expect any shift in transportation mode
as a result of implementation of this
final rule. We note in this regard that no
commenters raised this issue in their
discussions of the potential impacts of
the proposals in the NPRM. Overall
transportation costs should not
substantially increase because of this
final rule.
Estimating the security benefits of the
new requirements is challenging.
Accident causation probabilities can be
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72191
estimated based on accident histories in
a way that the probability of a criminal
or terrorist act cannot. The threat of an
attack is virtually impossible to assess
from a quantitative standpoint. It is
undeniable that hazardous materials in
transportation are a possible target of
terrorism or sabotage. The probability
that hazardous materials will be targeted
is, at best, a guess. Similarly, the
projected outcome of a terrorist attack
cannot be precisely estimated. It is
assumed choices will be made to
maximize consequences and damages.
Scenarios can be envisioned in which
hazardous materials could be used to
inflict hundreds or even thousands of
fatalities. To date, there have been no
known or specific threats against freight
railroads, rail cars, or tank cars, which
makes all of these elements even more
difficult to quantify. Security plans
lower risk through the identification
and mitigation of vulnerabilities.
Therefore, rail carriers and the public
benefit from the development and
implementation of security plans.
However, forecasting the benefits likely
to result from plan implementation
requires the exercise of judgment and
necessarily includes subjective
elements.
The major benefits expected to result
from this final rule relate to enhanced
safety and security of rail shipments of
hazardous materials. The requirements
of the final rule are intended to reduce
the safety and security risks associated
with the transportation of the specified
hazardous materials. Accidents that
result in the release of hazardous
materials can be very costly. Given the
level of such costs, it is not
unreasonable to assume that the benefits
associated with assessing safety and
security risks and identifying
opportunities to reduce those risks will
also be significant.
C. Executive Order 13132
This final rule has been analyzed in
accordance with the principles and
criteria contained in Executive Orders
13132 (‘‘Federalism’’) and 13175
(‘‘Consultation and Coordination With
Indian Tribal Governments’’). This final
rule would not have any direct effect on
the states, their political subdivisions,
or Indian tribes; it would not impose
any compliance costs; and it would not
affect the relationships between the
national government and the states,
political subdivisions, or Indian tribes,
or the distribution of power and
responsibilities among the various
levels of government.
Section VII.K of the IFR (73 FR 20766)
includes a discussion of PHMSA’s
conclusion that the decision in the
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March 25, 2003, final rule in HM–232 to
leave to rail carriers the specifics of
routing rail shipments of hazardous
materials preempts all states, their
political subdivisions, and Indian tribes
from prescribing or restricting routes for
rail shipments of hazardous materials,
under Federal Hazmat Law (49 U.S.C.
5125) and the Federal Rail Safety Act
(49 U.S.C. 20106). In that section, we
also discuss the comments on the
proposed language in the NPRM
concerning the preemptive effect of
HM–232 and this final rule and explain
the reasons for adopting revised
language in 49 CFR 172.822.
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D. Executive Order 13175
We analyzed this final rule in
accordance with the principles and
criteria prescribed in Executive Order
13175 (‘‘Consultation and Coordination
With Indian Tribal Governments’’).
Because this final rule does not
significantly or uniquely affect tribes,
and does not impose substantial and
direct compliance costs on Indian tribal
governments, the funding and
consultation requirements of Executive
Order 13175 do not apply; thus, a tribal
summary impact statement is not
required.
E. Regulatory Flexibility Act, Executive
Order 13272, and DOT Procedures and
Policies
In consideration of the potential
impacts of rules on small entities, we
developed this final rule in accordance
with Executive Order 13272 (‘‘Proper
Consideration of Small Entities in
Agency Rulemaking’’) and DOT’s
procedures and policies to promote
compliance with the Regulatory
Flexibility Act (5 U.S.C. 601 et seq.).
The Regulatory Flexibility Act
requires an agency to review regulations
to assess their impact on small entities.
An agency must conduct a regulatory
flexibility analysis unless it determines
and certifies that a rule is not expected
to have a significant impact on a
substantial number of small entities.
The Small Business Administration
(SBA) permits agencies to alter the SBA
definitions for small businesses upon
consultation with SBA and in
conjunction with public comment.
Pursuant to this authority, FRA
published a final rule (68 FR 24891;
May 9, 2003) defining a ‘‘small entity’’
as a railroad meeting the line haulage
revenue requirements of a Class III
railroad. Currently, the revenue
requirements are $20 million or less in
annual operating revenue. This is the
definition used by PHMSA to determine
the potential impact of this final rule on
small entities.
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Not all small railroads will be
required to comply with the provisions
of this final rule. Most of the 510 small
railroads transport no hazardous
materials. PHMSA and FRA estimate
there are about 100 small railroads—or
20% of all small railroads—that could
potentially be affected by this final rule.
Cost impacts for small railroads will
result primarily from the costs for data
collection and analysis. PHMSA
estimates the cost to each small railroad
to be $2,776.70 per year over 20 years,
discounted at 7%. Based on small
railroads’ annual operating revenues,
these costs are not significant. Small
railroads’ annual operating revenues
range from $3 million to $20 million.
Thus, the costs imposed by the final
rule amount to between 0.01% and
0.09% of a small railroad’s annual
operating revenue.
This final rule will not have a
noticeable impact on the competitive
position of the affected small railroads
or on the small entity segment of the
railroad industry as a whole. The small
entity segment of the railroad industry
faces little in the way of intramodal
competition. Small railroads generally
serve as ‘‘feeders’’ to the larger railroads,
collecting carloads in smaller numbers
and at lower densities than would be
economical for the larger railroads. They
transport those cars over relatively short
distances and then turn them over to the
larger systems, which transport them
relatively long distances to their
ultimate destination or for handoff back
to a smaller railroad for final delivery.
Although their relative interests do not
always coincide, the relationship
between the large and small entity
segments of the railroad industry is
more supportive and co-dependent than
competitive.
It is also rare for small railroads to
compete with each other. As mentioned
above, small railroads generally serve
smaller, lower density markets and
customers. They tend to operate in
markets where there is not enough
traffic to attract or sustain rail
competition, large or small. Given the
significant capital investment required
(to acquire right-of-way, build track,
purchase fleet, etc.), new entry in the
railroad industry is especially rare.
Thus, even to the extent the final rule
may have an economic impact, it should
have no impact on the intramodal
competitive position of small railroads.
We did not receive any comments in
opposition to our conclusion that this
rulemaking will not have a significant
impact on a substantial number of small
entities. Based on the lack of opposing
comments, the foregoing discussion,
and more detailed analysis in the
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regulatory evaluation for this final rule,
PHMSA certifies that the provisions of
this final rule, if adopted, will not have
a significant impact on a substantial
number of small entities.
F. Paperwork Reduction Act
This final rule may result in an
increase in annual burden and costs
under OMB Control Number 2137–0612.
PHMSA currently has an approved
information collection under OMB
Control No. 2137–0612, ‘‘Hazardous
Materials Security Plans’’, expiring June
30, 2011.
Under the Paperwork Reduction Act
of 1995, no person is required to
respond to an information collection
unless it has been approved by OMB
and displays a valid OMB control
number. 5 CFR 1320.8(d) requires that
PHMSA provide interested members of
the public and affected agencies an
opportunity to comment on information
and recordkeeping requests.
This identifies a revised information
collection request that PHMSA
submitted to OMB for approval based on
the requirements in this rule. PHMSA
has developed burden estimates to
reflect changes in this proposed rule.
We estimate that the total information
collection and recordkeeping burden for
the current requirements and as
specified in this rule would be as
follows:
OMB No. 2137–0612, ‘‘Hazardous
Materials Security Plans’’
First Year Annual Burden
Total Annual Number of
Respondents: 139.
Total Annual Responses: 139.
Total Annual Burden Hours: 51,469.
Total Annual Burden cost:
$3,130,859.27.
Subsequent Year Burden
Total Annual Number of
Respondents: 139.
Total Annual Responses: 139.
Total Annual Burden Hours: 13,677.
Total Annual Burden Cost:
$831,971.91.
Direct your requests for a copy of the
information collection to Deborah
Boothe or T. Glenn Foster, U.S.
Department of Transportation, Pipeline
& Hazardous Materials Safety
Administration (PHMSA), East
Building, Office of Hazardous Materials
Standards (PHH–11), 1200 New Jersey
Avenue, SE., Washington, DC 20590;
telephone (202) 366–8553.
G. Regulation Identifier Number (RIN)
A regulation identifier number (RIN)
is assigned to each regulatory action
listed in the Unified Agenda of Federal
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Regulations. The Regulatory Information
Service Center publishes the Unified
Agenda in April and October of each
year. The RIN number contained in the
heading of this document can be used
to cross-reference this action with the
Unified Agenda.
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H. Unfunded Mandates Reform Act
This final rule does not impose
unfunded mandates under the
Unfunded Mandates Reform Act of
1995. It does not result in costs of
$120.7 million or more to either state,
local, or tribal governments, in the
aggregate, or to the private sector, and
is the least burdensome alternative to
achieve the objective of the rule.
List of Subjects
49 CFR Part 172
Hazardous materials transportation,
Hazardous waste, Labeling, Packaging
and containers, Reporting and
recordkeeping requirements.
I. Environmental Assessment
The National Environmental Policy
Act, 42 U.S.C. 4321–4375, requires that
Federal agencies analyze proposed
actions to determine whether the action
will have a significant impact on the
human environment. The Council on
Environmental Quality (CEQ)
regulations order Federal agencies to
conduct an environmental review
considering: (1) The need for the
proposed action; (2) alternatives to the
proposed action; (3) probable
environmental impacts of the proposed
action and alternatives; and (4) the
agencies and persons consulted during
the consideration process. 40 CFR
1508.9(b).
In accordance with the CEQ
regulations, we completed an
environmental assessment for this final
rule that considers the potential
environmental impacts of three
alternatives—(1) do nothing; (2) impose
enhanced safety and security
requirements for a broad list of
hazardous materials transported by rail;
or (3) impose enhanced safety and
security requirements for specified rail
shipments of highly hazardous
materials. The environmental
assessment is available for review in the
public docket for this rulemaking.
The provisions of this final rule build
on current regulatory requirements to
enhance the transportation safety and
security of shipments of hazardous
materials transported by rail, thereby
reducing the risks of an accidental or
intentional release of hazardous
materials and consequent
environmental damage. The net
environmental impact, therefore, will be
moderately positive. There are no
significant environmental impacts
associated with this final rule.
J. Privacy Act
Anyone is able to search the
electronic form of any written
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communications and comments
received into any of our dockets by the
name of the individual submitting the
document, or the name of the individual
signing the document if submitted on
behalf of an association, business, labor
union, etc. You may review DOT’s
complete Privacy Act Statement in the
Federal Register published on April 11,
2000, (65 FR 19477) or you may visit
https://www.regulations.gov.
49 CFR Part 174
Hazardous materials transportation,
Rail carriers, Reporting and
recordkeeping requirements.
■ In consideration of the foregoing, the
interim final rule published on April 16,
2008 (73 FR 20752), amending title 49
Chapter I, Subchapter C, Parts 172 and
174, is confirmed as final with the
following changes:
PART 172—HAZARDOUS MATERIALS
TABLE, SPECIAL PROVISIONS,
HAZARDOUS MATERIALS
COMMUNICATIONS, EMERGENCY
RESPONSE INFORMATION, AND
TRAINING REQUIREMENTS
1. The authority citation for part 172
continues to read as follows:
■
Authority: 49 U.S.C. 5101–5128, 44701; 49
CFR 1.53.
2. In § 172.820:
A. Revise paragraph (a)(2),
B. Redesignate paragraphs (g), (h), and
(i) as paragraphs (h), (i), and (j),
respectively,
■ C. Add new paragraph (g), and
■ D. Revise paragraphs (f) and newly
designated paragraph (h)(1), to read as
follows:
■
■
■
§ 172.820 Additional planning
requirements for transportation by rail.
(a) * * *
(2) A quantity of a material poisonous
by inhalation in a single bulk packaging;
or
*
*
*
*
*
(f) Completion of route analyses. (1)
Rail carriers have the following options
for completing the initial route analysis,
alternative route analysis, and route
selection process required under
paragraphs (c), (d), and (e) of this
section:
(i) A rail carrier may complete the
initial process by September 1, 2009,
using data for the six month period from
July 1, 2008 to December 31, 2008; or
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72193
(ii) A rail carrier may complete the
initial process by March 31, 2010, using
data for all of 2008, provided the rail
carrier notifies the FRA Associate
Administrator of Safety in writing by
September 1, 2009 that it has chosen
this second option.
(2) Beginning in 2010, the rail
transportation route analysis, alternative
route analysis, and route selection
process required under paragraphs (c),
(d), and (e) of this section must be
completed no later than the end of the
calendar year following the year to
which the analyses apply.
(3) The initial analysis and route
selection determinations required under
paragraphs (c), (d), and (e) of this
section must include a comprehensive
review of the entire system. Subsequent
analyses and route selection
determinations required under
paragraphs (c), (d), and (e) of this
section must include a comprehensive,
system-wide review of all operational
changes, infrastructure modifications,
traffic adjustments, changes in the
nature of high-consequence targets
located along, or in proximity to, the
route, and any other changes affecting
the safety or security of the movements
of the materials specified in paragraph
(a) of this section that were
implemented during the calendar year.
(4) A rail carrier need not perform a
rail transportation route analysis,
alternative route analysis, or route
selection process for any hazardous
material other than the materials
specified in paragraph (a) of this
section.
(g) Rail carrier point of contact on
routing issues. Each rail carrier must
identify a point of contact (including the
name, title, phone number and e-mail
address) on routing issues involving the
movement of materials covered by this
section in its security plan and provide
this information to:
(1) State and/or regional Fusion
Centers that have been established to
coordinate with state, local and tribal
officials on security issues and which
are located within the area encompassed
by the rail carrier’s rail system; and
(2) State, local, and tribal officials in
jurisdictions that may be affected by a
rail carrier’s routing decisions and who
directly contact the railroad to discuss
routing decisions.
(h) Storage, delays in transit, and
notification. * * *
(1) A procedure under which the rail
carrier must consult with offerors and
consignees in order to develop measures
for minimizing, to the extent
practicable, the duration of any storage
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of the material incidental to movement
(see § 171.8 of this subchapter).
*
*
*
*
*
Issued in Washington, DC, on November
18, 2008, under the authority delegated in 49
CFR Part 1.
Carl T. Johnson,
Administrator.
[FR Doc. E8–27826 Filed 11–25–08; 8:45 am]
BILLING CODE 4910–60–P
DEPARTMENT OF TRANSPORTATION
Federal Railroad Administration
49 CFR Part 209
[FRA–2007–28573]
RIN 2130–AB87
Railroad Safety Enforcement
Procedures; Enforcement, Appeal and
Hearing Procedures for Rail Routing
Decisions
Federal Railroad
Administration (FRA), Department of
Transportation (DOT).
ACTION: Final rule.
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AGENCY:
Summary: In this final rule, FRA is
establishing procedures to enable
railroad carriers to challenge rail routing
decisions made by FRA’s Associate
Administrator for Safety (Associate
Administrator) that carry out the
requirements adopted in a separate
rulemaking of the Pipeline and
Hazardous Materials Safety
Administration (PHMSA). In PHMSA’s
final rule published today, railroad
carriers are required to take the
following actions to enhance the safety
and security of certain shipments of
explosive, toxic by inhalation (TIH), and
radioactive materials: Compile annual
data on shipments of these materials;
use the data to analyze safety and
security risks along rail routes where
those materials are transported; assess
alternative routing options, including
interchanging the traffic with other
railroad carriers; seek information from
State, local and tribal officials regarding
security risks to high-consequence
targets along or in proximity to the
routes; consider mitigation measures to
reduce safety and security risks, and
select the practicable routes that pose
the least overall safety and security risk.
Under PHMSA’s final rule, FRA’s
Associate Administrator may require a
railroad carrier to use an alternative
route to the route selected by the
railroad carrier if the Associate
Administrator determines that the
carrier’s route selection documentation
and underlying analysis are deficient
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and fail to establish that the route
chosen by the carrier poses the least
overall safety and security risk based on
the information available.
DATES: This final rule is effective
November 26, 2008.
FOR FURTHER INFORMATION CONTACT:
Roberta Stewart, Office of Chief
Counsel, Federal Railroad
Administration, 202–493–6027.
SUPPLEMENTARY INFORMATION:
I. Background
In coordination with FRA and the
Transportation Security Administration
(TSA), PHMSA has amended the
Hazardous Materials Regulations (HMR;
49 CFR parts 171–180) to adopt
requirements to enhance the safe and
secure transportation of hazardous
materials by rail. See PHMSA’s interim
final rule (73 FR 20751 [Apr. 16, 2008])
and final rule. Railroad carriers are
required to: Compile annual data on
certain shipments of explosive, toxic by
inhalation, and radioactive materials;
use the data to analyze safety and
security risks along rail routes where
those materials are transported; assess
alternative routing options; seek
information from State, local and tribal
officials regarding security risks to highconsequence targets along or in
proximity to the routes; consider
mitigation measures to reduce safety
and security risks, and select the
practicable routes that pose the least
overall safety and security risk. In
addition, each railroad carrier must
address issues related to en route
storage and delays in transit in its
security plan and railroad inspect
placarded hazardous materials rail cars
for signs of tampering or suspicious
items, including improvised explosive
devices.
PHMSA initially adopted these
requirements in its April 16, 2008 IFR
to carry out the mandate in Section 1551
of the Implementing Recommendations
of the 9/11 Commission Act of 2007 (9/
11 Commission Act or Act) (Pub. L.
110–53; 121 Stat. 469). The 9/11
Commission Act required publication of
a final rule by May 3, 2008, based on
PHMSA’s December 21, 2006 notice of
proposed rulemaking (NPRM) and the
requirements of the Act. The Act
provides in § 1551(e) that DOT shall
‘‘ensure that the final rule requires each
railroad carrier transporting securitysensitive materials in commerce to
* * * select the safest and most secure
route to be used in transporting’’ those
materials, based on the railroad carrier’s
analysis of the safety and security risks
on primary and alternate transportation
routes over which the carrier has
PO 00000
Frm 00014
Fmt 4701
Sfmt 4700
authority to operate. Specifically, the
Act requires that railroad carriers
perform the following tasks each
calendar year:
(1) Collect and compile securitysensitive commodity data, by route, line
segment, or series of line segments, as
aggregated by the railroad carrier and
identify the geographic location of the
route and the total number of shipments
by UN identification number;
(2) Identify practicable alternative
routes over which the carrier has
authority to operate as compared to the
current route for such shipments;
(3) Consider the use of interchange
agreements with other railroad carriers
when determining practicable
alternative routes and the potential
economic effects of using an alternative
route;
(4) Seek relevant information from
State, local, and tribal officials, as
appropriate, regarding security risks to
high-consequence targets along or in
proximity to a route used by a railroad
carrier to transport security-sensitive
materials;
(5) Analyze for both the primary route
and each practicable alternative route
the safety and security risks for the
route, railroad facilities, railroad storage
facilities, and high-consequence targets
along or in proximity to the route; these
analyses must be in writing and
performed for each calendar year;
(6) Compare the safety and security
risks on the primary and alternative
routes, including the risk of a
catastrophic release from a shipment
traveling along these routes, and
identify any remediation or mitigation
measures implemented on the primary
and alternative transportation routes;
and
(7) Use the analysis described above
to select the practicable route posing the
least overall safety and security risk.
In its December 21, 2006 NPRM, April
16, 2008 IFR, and the final rule
published today, PHMSA has indicated
that FRA would provide a procedure for
administrative due process so that a
railroad carrier may seek redress of a
decision by the Associate Administrator
that the carrier’s routing analysis is
deficient and directing a carrier to use
an alternate route while the deficiencies
are corrected. Accordingly, FRA
published an NPRM on April 16, 2008
(73 FR 20774), proposing to adopt
procedures governing the review of rail
routing decisions, including appeal of
the Associate Administrator’s decisions
and solicited public comments on these
procedures. This final rule completes
FRA’s adoption of those procedural
provisions.
E:\FR\FM\26NOR3.SGM
26NOR3
Agencies
[Federal Register Volume 73, Number 229 (Wednesday, November 26, 2008)]
[Rules and Regulations]
[Pages 72182-72194]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E8-27826]
[[Page 72181]]
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Part III
Department of Transportation
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Pipeline and Hazardous Materials Safety Administration
Federal Railroad Administration
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49 CFR Parts 172, 174 and 209
Hazardous Materials: Enhancing Rail Transportation Safety and Security
for Hazardous Materials Shipments; Railroad Safety Enforcement
Procedures; Enforcement, Appeal and Hearing Procedures for Rail Routing
Decisions; Final Rules
Federal Register / Vol. 73, No. 229 / Wednesday, November 26, 2008 /
Rules and Regulations
[[Page 72182]]
-----------------------------------------------------------------------
DEPARTMENT OF TRANSPORTATION
Pipeline and Hazardous Materials Safety Administration
49 CFR Parts 172 and 174
[Docket No. PHMSA-RSPA-2004-18730] \1\
RIN 2137-AE02
Hazardous Materials: Enhancing Rail Transportation Safety and
Security for Hazardous Materials Shipments
AGENCY: Pipeline and Hazardous Materials Safety Administration (PHMSA),
Department of Transportation (DOT).
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: The Pipeline and Hazardous Materials Safety Administration, in
coordination with the Federal Railroad Administration (FRA) and the
Transportation Security Administration (TSA), is improving safety by
revising the current requirements in the Hazardous Materials
Regulations applicable to the safe and secure transportation of
hazardous materials by rail. We are requiring rail carriers to compile
annual data on certain shipments of explosive, toxic by inhalation, and
radioactive materials; use the data to analyze safety and security
risks along rail routes where those materials are transported; assess
alternative routing options; and make routing decisions based on those
assessments. We are also clarifying rail carriers' responsibility to
address in their security plans issues related to en route storage and
delays in transit. In addition, we are adopting a new requirement for
rail carriers to inspect placarded hazardous materials rail cars for
signs of tampering or the presence of suspicious items, including
improvised explosive devices. We adopted these requirements in an
interim final rule published April 16, 2008. This final rule fulfills
requirements in Section 1551 of the Implementing Recommendations of the
9/11 Commission Act of 2007. Also, in today's edition of the Federal
Register, both FRA and TSA are publishing final rules adopting
requirements and procedures that promote rail transportation security.
---------------------------------------------------------------------------
\1\ This rulemaking was formerly designated as HM-232E; however,
with the transition to a new government-wide regulations portal,
docket number nomenclature has since changed. Some references to the
old docket number are still present in this document.
---------------------------------------------------------------------------
DATES: This final rule is effective December 26, 2008.
FOR FURTHER INFORMATION CONTACT: William Schoonover, (202) 493-6229,
Office of Safety Assurance and Compliance, Federal Railroad
Administration; or Susan Gorsky or Ben Supko, (202) 366-8553, Office of
Hazardous Materials Standards, Pipeline and Hazardous Materials Safety
Administration.
SUPPLEMENTARY INFORMATION:
I. Background
On December 21, 2006, the Pipeline and Hazardous Materials Safety
Administration (PHMSA) in coordination with the Federal Railroad
Administration (FRA) and the Transportation Security Administration
(TSA), published a notice of proposed rulemaking (NPRM) under Docket
PHMSA-RSPA-2004-18730 (71 FR 76834) proposing to revise the current
requirements in the HMR applicable to the safe and secure
transportation of hazardous materials by rail. Specifically, we
proposed to require rail carriers to compile annual data on specified
shipments of hazardous materials, use the data to analyze safety and
security risks along rail routes where those materials are transported,
assess alternative routing options, and make routing decisions based on
those assessments. We also proposed clarifications of the current
security plan requirements to address en route storage, delays in
transit, delivery notification, and additional security inspection
requirements for hazardous materials shipments.
On April 16, 2008, PHMSA, once again coordinating with FRA and TSA,
published an interim final rule (IFR) under Docket PHMSA-RSPA-2004-
18730 (73 FR 20751) that amended the Hazardous Materials Regulations
(HMR; 49 CFR Parts 171-180) to establish requirements that enhance the
safe and secure transportation of hazardous materials by rail. The IFR
requires rail carriers to compile annual data on certain shipments of
explosive, toxic by inhalation, and radioactive materials; use the data
to analyze safety and security risks along rail routes where those
materials are transported; assess alternative routing options; and make
routing decisions based on those assessments. It also clarifies that
each rail carrier must address issues related to en route storage and
delays in transit in its security plan. In addition, the IFR
establishes a new requirement for rail carriers to inspect placarded
hazardous materials rail cars for signs of tampering or suspicious
items, including improvised explosive devices (IEDs).
We published the rulemaking as an IFR to account for changes
mandated by the Implementing Recommendations of the 9/11 Commission Act
of 2007 (9/11 Commission Act or Act) (Pub. L. 110-53; 121 Stat. 266).
Congress enacted the 9/11 Commission Act, which the President signed
into law on August 3, 2007, as the final rule was being developed for
the Docket PHMSA-RSPA-2004-18730 proceeding. The 9/11 Commission Act,
among other requirements, directed the Secretary of Transportation, in
consultation with the Secretary of Homeland Security, to publish a
final rule by May 3, 2008, based on a NPRM published under this docket
on December 21, 2006. We elected to publish the rule as an IFR rather
than a final rule to provide interested persons with an opportunity to
comment on changes made to the NRPM that directly relate to the
mandates established by the 9/11 Commission Act.
In accordance with Section 1551(e) of the Act, PHMSA's final rule
must require rail carriers of ``security-sensitive materials'' to
``select the safest and most secure route to be used in transporting''
those materials, based on the rail carrier's analysis of the safety and
security risks on primary and alternate transportation routes over
which the carrier has authority to operate. Specifically, the final
rule must require such rail carriers to perform the following tasks
each calendar year:
(1) Collect and compile security-sensitive commodity data, by
route, line segment, or series of line segments, as aggregated by the
rail carrier and identify the geographic location of the route and the
total number of shipments by UN identification number;
(2) Identify practicable alternative routes over which the carrier
has authority to operate as compared to the current route for such
shipments;
(3) Seek relevant information from state, local, and tribal
officials, as appropriate, regarding security risks to high-consequence
targets along or in proximity to a route used by a rail carrier to
transport security-sensitive materials;
(4) Consider the use of interchange agreements with other rail
carriers when determining practicable alternative routes and the
potential economic effects of using an alternative route;
(5) Analyze for both the primary route and each practicable
alternative route the safety and security risks for the route, railroad
facilities, railroad storage facilities, and high-consequence targets
along or in proximity to the route; these analyses must be in writing
and performed for each calendar year;
(6) Compare the safety and security risks on the primary and
alternative routes, including the risk of a catastrophic release from a
shipment
[[Page 72183]]
traveling along these routes, and identify any remediation or
mitigation measures implemented on the primary and alternative
transportation routes; and
(7) Use the analysis described above to select the practicable
route posing the least overall safety and security risk.
In addition, the Act mandates that PHMSA require a covered rail
carrier, at least once every three years, to analyze its route
selection determinations, including a comprehensive, system-wide review
of all operational changes, infrastructure modifications, traffic
adjustments, changes in the nature of high-consequence targets located
along or in proximity to the route, or other changes affecting the
safety and security of the movements of security-sensitive materials
that were implemented since the previous analysis was completed.
Finally, the Act mandates that PHMSA require covered rail carriers to
retain in writing all route review and selection decision documentation
and restrict the distribution, disclosure, and availability of this
information to appropriate persons.
In this final rule, we are responding to comments submitted on the
IFR that relate to our interpretation and application of Sec. 1551 of
the 9/11 Commission Act. To review rulemakings, regulatory evaluations,
environmental assessments, comments, or public meeting and
congressional briefing transcripts for this docket go to https://
www.regulations.gov under docket number PHMSA-RSPA-2004-18730.
II. Summary of Interim Final Rule
Based on comments received in response to the NPRM and the
provisions of the 9/11 Commission Act, the April 16 IFR adopted the
following revisions to the HMR:
Rail carriers transporting certain explosives, poisonous
by inhalation (PIH), and radioactive materials must compile information
and data on the commodities transported, including the routes over
which these commodities are transported.
Rail carriers transporting the specified hazardous
materials must use the data they compile and relevant information from
state, local, and tribal officials, as appropriate, regarding security
risks to high-consequence targets along or in proximity to a route to
analyze the safety and security risks for each route used and
practicable alternative routes to the route used.
Using these analyses, rail carriers must select the safest
and most secure practicable route for the specified hazardous
materials.
In developing security plans required under Subpart I of
Part 172 of the HMR, rail carriers must specifically address the
security risks associated with shipments delayed in transit or
temporarily stored in transit.
Rail carriers transporting the covered hazardous materials
must notify consignees of any significant unplanned delays affecting
the delivery of the hazardous material.
Rail carriers must work with shippers and consignees to
minimize the time a rail car containing one of the specified hazardous
materials is placed on track awaiting pick-up, delivery, or transfer.
Rail carriers must conduct security visual inspections at
ground level of rail cars containing hazardous materials to check for
signs of tampering or the introduction of an IED.
The IFR became effective on June 1, 2008. Beginning January 1,
2009, rail carriers must compile information on the commodities they
transport and the routes they use for the six-month period from July 1,
2008 to December 31, 2008. Rail carriers must complete their data
collection by March 1, 2009. By September 1, 2009, rail carriers must
complete the safety and security analyses of routes currently utilized
and available alternatives, and select the safest, most secure routes
for transporting the specified explosive, PIH, and radioactive
materials. Beginning January 1, 2010, and for subsequent years, rail
carriers must compile information on the commodities they transport and
the routes used for the previous calendar year and complete route
assessments and selections by the end of the calendar year.
III. Comments in Response to the Interim Final Rule
We received ten sets of comments in response to the IFR. The
majority of the comments were submitted by companies, but we also
received comments from a public interest group; a state government
agency; a county government agency; a university; and an industry
association. Overall, commenters are supportive of the rulemaking and
welcome enhanced routing requirements that promote the safe and secure
transportation of hazardous materials by rail. A major concern for rail
carriers is the requirement for consultation with state, local, and
tribal officials, as appropriate. Carriers suggest that it is
impractical for railroads to consult on a continuous basis with all
local governments along railroad rights-of-way. Several commenters also
suggest that DOT establish a process for evaluating transportation
safety and security risks across the entire rail transportation system,
including facilitating the analysis and selection of routes involving
more than one carrier. Some commenters suggest that the Federal
government should mandate specific routing for high-hazard materials
rather than provide rail carriers the discretion to make routing
decisions.
The comments in the docket for this rulemaking may be reviewed at
https://www.regulations.gov under docket number PHMSA-RSPA-2004-18730.
For your convenience, a listing of the docket entries is provided
below.
----------------------------------------------------------------------------------------------------------------
Name/company Docket No.
----------------------------------------------------------------------------------------------------------------
Contra Costa County Board of Supervisors.......... PHMSA-RSPA-2004-18730-0203
Friends of the Earth.............................. PHMSA-RSPA-2004-18730-0204
The Dow Chemical Company (Dow).................... PHMSA-RSPA-2004-18730-0205
California Public Utilities Commission (CalPUC)... PHMSA-RSPA-2004-18730-0206
The Dow Chemical Company (Dow).................... PHMSA-RSPA-2004-18730-0207
Theodore S. Glickman.............................. PHMSA-RSPA-2004-18730-0208
Norfolk Southern Railway Company (Norfolk PHMSA-RSPA-2004-18730-0211
Southern).
The Association of American Railroads (AAR)....... PHMSA-RSPA-2004-18730-0212
PPG Industries (PPG).............................. PHMSA-RSPA-2004-18730-0213
BNSF Railway Company (BNSF)....................... PHMSA-RSPA-2004-18730-0215
----------------------------------------------------------------------------------------------------------------
[[Page 72184]]
IV. Discussion of Comments and Section-by-Section Analysis
In the following paragraphs, we discuss the comments as they apply
to the 9/11 Commission Act and explain the impact of the comments on
the regulatory text in this final rule.
A. General (Sec. 172.820(a))
In accordance with the IFR, rail carriers must implement enhanced
safety and security measures for shipments of the following classes and
quantities of hazardous materials:
(1) More than 2,268 kg (5,000 lbs) in a single carload of a
Division 1.1, 1.2 or 1.3 explosive;
(2) A bulk quantity of a PIH material, as defined in Sec. 171.8 of
the HMR; or,
(3) A highway route-controlled quantity of a Class 7 (radioactive)
material, as defined in Sec. 173.403 of the HMR.
Two commenters focus on the need to include additional hazardous
materials. CalPUC suggests that, while the rule will improve the safety
and security of rail shipments of explosive, PIH, and radioactive
materials, it will not adequately protect the public from accidents or
terrorist acts against other types of hazardous materials. CalPUC
recommends that the route selection requirements apply to flammable
gases, flammable liquids, hydrogen peroxide over 60 percent, Class 5
materials (ammonium nitrate), Class 6 materials (poisons), Class 8
materials (corrosives), and certain marine pollutants. Contra Costa
County raises similar concerns regarding the inclusion of liquefied
petroleum gas tank cars.
As discussed in more detail in the IFR, PHMSA, FRA, and TSA
assessed the safety and security vulnerabilities associated with the
transportation of different types and classes of hazardous materials.
The list of materials to which the proposed enhanced safety and
security requirements apply is based on specific railroad
transportation scenarios. These scenarios depict how hazardous
materials could be deliberately used to cause significant casualties
and property damage or accident scenarios resulting in similar
catastrophic consequences. DOT and TSA determined that the materials
specified in the IFR present the greatest rail transportation safety
and security risks--because of the potential consequences of an
unintentional release of these materials--and are the most attractive
targets for terrorists--because of the potential for these materials to
be used as weapons of opportunity or weapons of mass destruction. While
DOT and TSA agree that materials identified by CalPUC and Contra Costa
County pose certain safety and security risks in rail transportation,
the risks are not as great as those posed by the explosive, PIH, and
radioactive materials specified in the IFR, and we are not persuaded
that they warrant the additional precautions required by the IFR. We
note that the hazardous materials listed by both commenters are
currently subject to the security plan requirements in Subpart I of
Part 172 of the HMR. Thus, shippers and carriers of these materials
must develop and implement security plans based on an assessment of the
transportation security risks posed by the materials. Security plans
must include measures to address personnel security, unauthorized
access, and en route security. DOT, in consultation with TSA, will
continue to evaluate the transportation safety and security risks posed
by all types of hazardous materials and the effectiveness of our
regulations in addressing those risks and will consider revising
specific requirements as necessary.
The IFR applied the route analysis and selection requirements to
PIH residue shipments in bulk quantities. Several commenters request
that we exclude residue shipments from the list of hazardous materials
subject to the rail routing provisions, noting that rail security rules
proposed by Transportation Security Administration apply only to full
tank car loads of PIH materials. In addition, Dow notes that the term
``bulk quantity'' is not currently defined in the HMR and suggests that
if PHMSA decides to regulate residue quantities, we should define the
term in the final rule.
As discussed in the IFR, we believe the safety risks posed by the
rail transportation of residue quantities of PIH materials should be
addressed through enhanced safety requirements, including route
assessments. Although target attractiveness from a security standpoint
is diminished for residue shipments, significant safety risks persist.
We continue to believe that these safety risks are reduced by a
requirement for residue quantities of PIH materials remaining in tank
cars to travel on the ``best'' route available--the route that
considers factors such as population density, emergency response
capabilities, environmentally-sensitive and significant areas, and
event venues. Dow is correct that the term ``bulk quantity'' is not
currently defined in the HMR. Our intention in the IFR was to require
residue shipments over 119 gallons to be subject to the route analysis
and selection criteria. In attempting to develop a definition for the
term ``bulk quantity,'' however, we realized that applying such a
definition to shipments of compressed gases, such as chlorine and
anhydrous ammonia, would be very difficult. Moreover, rail carriers do
not have the capability to ascertain the precise amount of residue that
may remain in a rail tank car; thus, attempting to distinguish residue
shipments that would be subject to the routing requirements from
residue shipments that would not would be virtually impossible. For
these reasons, in this final rule, we are clarifying that the data
collection, route analyses, and route selection requirements apply to
shipments of PIH materials, including residue shipments, in a bulk
packaging. We note that there will be few, if any, rail routes over
which only residue quantities of PIH travel. It is likely that the
routes used to transport these residue shipments also carry fully
loaded packages of PIH or one of the other hazardous materials covered
by this rulemaking, and that the routes would therefore be included in
a route analysis.
B. Commodity Data (Sec. 172.820(b))
The IFR requires rail carriers to begin compiling commodity data by
no later than 90 days after the end of the calendar year for the
previous calendar year for the covered hazardous materials, including
an identification of the routes utilized and the total number of
shipments transported. The data are to be used by the rail carriers to
identify the routes over which the specified hazardous materials are
transported and the number of shipments utilizing each route. Rail
carriers are required to analyze the safety and security risks of the
routes identified. This provision of the IFR is consistent with the 9/
11 Commission Act mandate that rail carriers collect and compile
security-sensitive commodity data, by route, line segment, or series of
line segments, as aggregated by the rail carrier, and identify the
geographic location of the route and the total number of shipments by
UN identification number. We did not receive comments addressing this
aspect of the IFR. Therefore, in this final rule, we are adopting the
commodity flow data collection requirements without change.
AAR requests clarification of the actual date by which the
commodity flow data must be compiled in 2009. In addition, AAR seeks
clarification of IFR preamble language stating, ``For the initial route
analysis, we anticipate rail carriers will review the prior two-year
period when considering the criteria contained in Appendix D.'' (73 FR
20762).
[[Page 72185]]
Section 172.820(b) requires commodity data to be compiled no later
than 90 days after the end of the calendar year; in 2009 the data must
be compiled by March 31. In addition, this section requires the initial
data to cover six months, from July 1, 2008 to January 31, 2008.
PHMSA's preamble language indicating that we anticipate that carriers
will review the data from the prior two years when conducting route
analysis was our opinion based on knowledge of the data that rail
carriers routinely collect. For their initial analysis, rail carriers
are only required to collect data from the six-month period described
in this section, additional data may be included, but is not required
by the IFR or this final rule. As discussed in more detail below, in
this final rule we are providing rail carriers the option to use data
for all of 2008 in conducting their initial route analyses. If a rail
carrier elects to utilize this option, its route analysis and selection
process must be completed by March 31, 2010.
C. Rail Transportation Route Analysis (Sec. 172.820(c))
The IFR requires rail carriers to use the data collected in
accordance with Sec. 172.820(b) to analyze the rail routes over which
the specified materials are transported. Carriers must analyze the
specific safety and security risks for routes identified in the
commodity data and the railroad facilities along those routes.
Consistent with the 9/11 Commission Act, they are required to seek
relevant information from state, local, and tribal officials regarding
the security risks to high-consequence targets along or in proximity to
the route(s) utilized. If a rail carrier is unable to acquire relevant
information from state, local, or tribal officials, then it must
document that in its analysis. The route analyses must be in writing
and consider, at a minimum, a number of factors specific to each
individual route. A non-inclusive list of factors is provided in
Appendix D to Subpart I of Part 172.
Several commenters express concern regarding the IFR requirement to
seek relevant information from state, local, and tribal officials
regarding the security risks to high-consequence targets along or in
proximity to a rail transportation route. Contra Costa County suggests
that state and local governments be given the opportunity to consult
with the railroads and provide all relevant information, rather than be
limited to providing specific data requested by the railroads.
According to Contra Costa County, local governments should have access
to the person who is managing the route analysis so they may request a
consultation with the railroad or provide information that goes beyond
the specific data requested by the railroad. In addition, Contra Costa
County suggests that the final rule specify the types of local agencies
that will be part of the consultation process.
By contrast, Norfolk Southern indicates that emergency response
capability would be best served by receiving communication from a
single state agency, preferably the state homeland security agency.
Norfolk Southern also expresses concern regarding the overwhelming
amount of state and local correspondence railroads are likely to
receive as a result of this requirement. Norfolk Southern suggests the
creation of individual railroad Web sites that allow state and local
governments to provide data and information that rail carriers should
consider when they conduct route evaluations. Similarly, AAR suggests
that the Department of Homeland Security (DHS) designate high-
consequence targets along railroad lines and serve as the main source
of information on security risks to high-consequence targets. AAR also
suggests that communication between railroads and state and local
governments should, for the most part, be led by a single state agency
that advises the railroads on security matters concerning the state and
its local governments.
As we noted in the IFR, among the factors to be considered by rail
carriers in conducting the safety and security analysis are population
density along the route; environmentally-sensitive or significant
areas; venues along the route (stations, events, places of
congregation); emergency response capability along the route; measures
and countermeasures already in place to address apparent safety and
security risks; proximity to iconic targets; and areas of high
consequence along the route. State and local governments may well be
able to assist rail carriers in identifying and assessing this type of
information. Moreover, state and local government entities may also be
able to assist rail carriers in addressing any safety or security
vulnerabilities identified along selected routes, in the scheduling of
public events, for example, or enhancing emergency response
capabilities. For these reasons, we agree with commenters that rail
carriers should seek the broadest possible input from state and local
governments as they conduct route analyses. We also agree with Contra
Costa County that designation of a single point of contact for routing
issues at each railroad would help to facilitate communication and
interaction between rail carriers and state and local governments.
At the same time, we recognize the difficulties that rail carriers
may encounter in seeking information from every community along a given
route and appreciate the need to simplify such interactions to the
greatest extent practicable. We believe that rail carriers should have
the flexibility to establish mechanisms to accomplish the required
consultations that are tailored to each railroad's specific
circumstances, routes, and operating environments. Web-based systems
for providing and assessing state and local concerns, as suggested by
Norfolk Southern, are certainly options that may prove to be very
effective. Alternatively, a railroad may wish to work with state
governments to establish a state government focal point for
consolidating and communicating local government concerns.
Since 2003, many states and larger cities have created State and
Local fusion centers, and States have created regional fusion centers
to share security and first responder information and intelligence
within their jurisdictions as well as with the Federal government.
Fusion centers vary from State to State, but most contain similar
elements, including members of State law enforcement, public health,
social services, public safety, and public works organizations.
Increasingly, Federal agencies such as the Department of Homeland
Security, Federal Bureau of Investigation, Drug Enforcement
Administration, and Bureau of Alcohol Tobacco, Firearms, and Explosives
have stationed representatives at State-level fusion centers. Most
centers operate as ``all hazard'' centers, addressing all types of
emergencies, and not just those that might be related to homeland
security or terrorism. As of March 2008, there were 58 fusion centers
around the country.
Railroads have been coordinating with these fusion centers on
railroad police and security issues, and the Federal government has
officially recognized the importance of these centers in addressing
security issues. The 9/11 Commission Act recognized the importance of
fusion centers and established a DHS State, Local, and regional fusion
center initiative to foster partnerships between centers at all levels
of government. Specific language provided at 6 U.S.C. 124(h)
establishes: (1) DHS responsibility to support and coordinate with the
fusion centers; (2) authority and guidelines for assigning DHS
personnel to state fusion centers; (3) uniform guidelines for fusion
centers; and (4) funding of $10 million
[[Page 72186]]
per year for each of fiscal years 2008-2012 to carry out the Fusion
Center Initiative. Since 2001, the Federal government has provided some
$380 million to help fund fusion centers that meet guidelines jointly
established by DHS and the Department of Justice.
In this final rule, in response to comments related to simplifying
and facilitating coordination on routing issues between rail carriers
and state and local governments, PHSMA is modifying the IFR to require
rail carriers to designate a single point of contact (including the
name, title, phone number and e-mail address) on routing issues, and to
provide this information to: (1) The State and regional fusion centers
located in the portion of the country encompassed by their rail
systems; and (2) State, Local, and Tribal officials in jurisdictions
that may be affected by a rail carrier's routing decisions who directly
contact the railroad to discuss these decisions.
States, Local Governments, and Indian tribes may contact the State
and regional fusion centers to obtain rail carriers' point of contact
information. The Department of Homeland Security's National Operation
Center is available 24 hours a day to facilitate public and private
entities locating and contacting their State or regional fusions
centers; the Center's contact number is (202) 282-8101. States, Local
Governments, and Indian tribes will have the flexibility to directly
consult with rail carriers on matters affecting the railroads' routing
decisions, or channeling this information to the railroads through the
fusion centers.
PHMSA and FRA note that we are working with DHS to provide
railroads with information regarding high-consequence targets, as
specified in the 9/11 Commission Act.
The AAR reiterates its comment that PHMSA should adopt a shipment
threshold to trigger the route analysis requirement. Specifically, AAR
suggests that if there are no more than 15 shipments along a particular
route then the route analysis established by the IFR should not be
required. AAR comments utilizing such a threshold eliminates
unnecessary analysis of routes used only in emergencies and other
unique circumstances.
As we stated in the IFR, we are declining to adopt such a
threshold. We understand that there may be times when a route is used
that would not normally be used in the everyday course of business, and
we would expect the analysis to demonstrate that the routing was out of
the ordinary. We believe there is utility in doing such an analysis
even on a little-used route. Traffic densities and circumstances may
change, and natural disasters such as floods and hurricanes may occur.
There is an advantage in knowing the characteristics, risks and
necessary mitigating measures for a route that may have to be used,
even in temporary emergency circumstances.
D. Alternative Route Analysis (Sec. 172.820(d))
Consistent with 9/11 Commission Act requirements, the IFR requires
carriers to analyze and assess the feasibility of all available
alternative routes over which they have authority to operate in
addition to the routes normally and regularly used for hazardous
materials movements. Practicable routes (or routes that are feasible
options, both logically and commercially) must be identified and
analyzed using, at a minimum, the Rail Risk Analysis Factors of
Appendix D to Part 172. Rail carriers must retain a copy (or an
electronic image thereof) of all route review and selection decision
documentation used when selecting the safest and most secure
practicable route available. This documentation should include, but is
not limited to, comparative analyses, charts, graphics, or rail system
maps.
In accordance with Sec. 1551 of the 9/11 Commission Act,
alternative routes must consider the use of interchange agreements. For
the purposes of route selection, interchange agreements allow railroads
to exchange railcars at specified junction point where rail lines of
two or more different railroads meet. Interchange agreements may
increase the number of available routes for certain shipments. Routes
that utilize interchange agreements may provide a safer, more secure
routing option than would otherwise be available.
Overall, rail carriers must account for safety and security risks;
comparison of safety and security risks to the primary route, including
the risk of catastrophic release; any remediation or mitigation
measures taken; and potential economic effects. The goal of the routing
analysis requirement is to require that each route used for the
transportation of the specified hazardous materials is the one
presenting the fewest overall safety and security risks. If the use of
an alternative route would significantly increase a carrier's operating
costs, as well as the costs to its customers, the carrier should
consider and document the cost in its route analysis.
We received several comments on this section of the IFR. One area
of concern for commenters is the role that economic factors play in
selecting ``practicable'' alternative routes. Friends of the Earth
asserts that these requirements will spare railroads from any
inconvenience or even minor expense in having to re-route cargoes onto
available alternative routes and suggests that we have put
``practicability'' on par with safety and security. CalPUC contends
that it is not reasonable to make costs to railroads and shippers the
ultimate determinant for routing decisions and suggests that in doing
so, we have excluded the overall costs and damages to the nation and
its population in general. Contra Costa County asserts that the IFR
provides too much opportunity for the railroads to let economic
concerns drive the process. According to Contra Costa County, the
railroads should be required to analyze all possible routes on safety
factors alone to determine the safest route.
We do not agree that the consideration of the ``practicability'' of
specific routes will result in routing decisions that are driven solely
by economic considerations. Rail carriers must assess available routes
using the 27 factors listed in Appendix D to Part 172 to determine the
safest, most secure routes. The factors address both safety and
security issues, such as the condition of the track and supporting
infrastructure; the presence or absence of signals; past incidents;
population density along the route; environmentally-sensitive or
significant areas; venues along the route (stations, events, places of
congregation); emergency response capability along the route; measures
and countermeasures already in place to address apparent safety and
security risks; and proximity to iconic targets. However, when carriers
consider the ``practicability'' of a specific route some consideration
must be given to economic factors. We note in this regard that the
Congress recognized this by including in Sec. 1551(d) of the 9/11
Commission Act a requirement for the alternative route analyses to
include the potential economic effects of using an alternative route.
In accordance with the IFR, rail carriers must balance economic factors
with safety and security factors in making route selections. If using a
possible alternative route would significantly increase a carrier's
operating costs, as well as the costs to its customers, the carrier
should consider and document these facts in its route analysis.
Several commenters address the use of interchange agreements
between rail carriers when determining practicable alternative routes.
Friends of the Earth asserts that the key flaw in the IFR is that it
does not force a railroad to ``interchange'' its most dangerous cargo
[[Page 72187]]
over to another railroad to go around a target city. Theodore Glickman
suggests that because we require railroads to consider only routes over
which they have authority to operate, we are missing an opportunity for
identifying routes that reduce time in transit and pose fewer safety
and security risks. PPG states that carriers should be required to work
together to select the safest, most secure routes. Dow and AAR both
suggest that we consider mechanisms, including 49 U.S.C. 333, that
would assist a rail carrier in analyzing the safety and security risks
of an alternative route over which it has no authority to operate. AAR
notes that the Sec. 333 conference discussed in the IFR appears to be
the best way to conduct discussions of rerouting through interchanges.
The requirement in the IFR for railroads to consider interchange
agreements as they identify and assess alternative routes is consistent
with the 9/11 Commission Act. The Act does not mandate the use of
interchange agreements. However, we agree with Dow and AAR that safety
and security would be further enhanced if rail carriers could together
evaluate the safety and security of routes across the entire rail
transportation system. We also agree that utilizing existing statutory
authority under 49 U.S.C. 333, which provides relief for potential
antitrust concerns, provides a mechanism to facilitate a systems
approach to evaluating and mitigating safety and security risks.
Section 333 authorizes the FRA Administrator, as delegate of the
Secretary of Transportation, to convene conferences at the request of
one or more railroads to address coordination of operations and
facilities of rail carriers in order to achieve a more efficient,
economical, and viable rail system. Persons attending a Sec. 333
conference are immune from antitrust liability for any discussions at
the conference, and can also receive immunity for any resulting
agreements that receive FRA approval. As discussed in the IFR, in 2005,
FRA convened a conference under this authority to discuss ways to
minimize security and safety risks associated with the transportation
of PIH materials. FRA plans to consider ways to expand this conference
to provide a forum for rail carriers to evaluate the safety and
security of the covered hazardous materials across the entire rail
system, and specifically to evaluate risk-reducing arrangements on a
national scale. FRA will also consider including shippers as part of
the conference.
We continue to believe that the route analyses and selection
requirements in the IFR will reduce safety and security risks
associated with the rail transportation of explosive, PIH, and
radioactive materials. We are not convinced that mandating the use of
interchange agreements as part of this process is the most effective
way to reduce risk across the entire rail transportation system.
Rather, we believe that the next step should be the joint shipper-
carrier consultations described above. Therefore, we are adopting the
alternative route analysis requirements as established by the IFR.
E. Route Selection (Sec. 172.820(e))
Consistent with requirements in the 9/11 Commission Act, the IFR
requires a carrier to use the analysis, including any remediation
measures implemented on a route, to select the route posing the least
overall safety and security risk. In selecting a route, the carrier
must analyze the safety and security risk for both the primary route
and each practicable alternative route including railroad facilities,
railroad storage facilities, and high-consequence targets along or in
proximity to the route. The analyses must be in writing and performed
for each calendar year. Carriers must compare the safety and security
risks on the primary and alternative routes, including the risk of a
catastrophic release from a shipment traveling along these routes, and
identify any remediation or mitigation measures implemented on the
primary and alternative transportation routes. The route selection
documentation and underlying data will qualify as sensitive security
information (SSI), will be handled in accordance with the SSI
regulations at 49 CFR Parts 15 and 1520, and may be distributed only to
``covered persons'' with a ``need to know.'' State and local government
officials generally are considered to be ``covered persons'' with a
``need to know'' for purposes of sharing data and information
applicable to a railroad's route analysis.
One commenter, Contra Costa County, suggests that the analysis and
route selection performed by the rail carriers should be made available
to local law enforcement, fire, and public health/hazardous materials
officials. It also suggests that a distribution chain be established so
these agencies can review the route analysis methodology and results of
the railroads.
Similar comments were addressed during the IFR stage of this
rulemaking proceeding. Specifically, in its comments on the December
2006 NPRM, the City of Cleveland, Ohio, suggested that we revise the
proposal in the NPRM to require rail carriers to share the commodity
data with local governments responsible for the geographic areas
through which hazardous materials are transported. In the preamble to
the IFR, we agreed that state and local governments should have access
to such information, provided access to the information is limited to
those with a ``need to know'' for transportation safety and security
purposes, and further provided that such information may not be
publicly disclosed pursuant to any state, local, or tribal law. (73 FR
20759). Again, as part of a vulnerability assessment, the commodity
data that will be collected by the railroads will qualify as SSI and
will be handled in accordance with those regulations. Because of the
security sensitivity of the data and route selection information, it is
not appropriate for it to be broadly disclosed to government or private
entities. State and local governments may contact FRA to voice concerns
and request an inspection of a route plan, security vulnerability, or,
more generally, a rail carrier.
Some of the comments raise issues discussed in the IFR, including
the availability of rail routing tools and accounting for persons that
are more susceptible to exposure from the listed hazardous materials.
Contra Costa County asks that rail routing tools be made available to
local parties upon request, along with an explanation of how the tool
functions and suggests that local governments have an opportunity to
appeal the railroad's finding, through a process identified in the
final rule for resolving disputes.
Tools used by railroads to complete the route analyses and
selection process mandated by this rule will include sensitive
information that should not be broadly disseminated. However, we agree
that sharing information with state or local government officials about
how a rail carrier performed its route analysis and made its route
selections could be beneficial to both the carrier and the affected
government jurisdictions. Such information will qualify as SSI and must
be handled in accordance with SSI regulations, but nothing in this
final rule is intended to prohibit sharing of this information upon
request to ``covered persons'' with a ``need to know.''
We do not believe it is necessary to provide a separate process for
local governments to appeal railroad route selections to FRA. FRA has a
process in place under which state and local governments may contact
FRA to voice concerns about route selections and request an inspection
of a route plan, security vulnerability, or, more generally, a rail
carrier.
[[Page 72188]]
In its comments, AAR suggests that we clarify the meaning of the
statement ``subpopulations particularly susceptible to such risk and/or
more highly exposed'' as used in the preamble of the IFR in regard to
the population included in the rail carrier's route selection analysis.
(73 FR 20763). When assessing the safety and security risks along a
specific route, carriers must consider possible impacts to the total
population in proximity to that route. In addition, carriers should
consider possible impacts on subpopulations--such as children or the
elderly--if there are locations or facilities such as schools,
hospitals, or assisted living facilities along the route or if such
subpopulations are a disproportionate part of the population as a
whole.
Some commenters, including BNSF, suggested that PHMSA should
dictate to the carriers the routes to be used for transportation of the
covered hazardous materials. BNSF has also suggested that once FRA has
completed its review of a rail carrier's route selection, the route
selected by the carrier should be classified as an approved route. The
9/11 Commission Act does not direct the Federal Government to mandate
specific rail routes for security-sensitive materials; rather Sec.
1551 of the Act specifically directs the Secretary of Transportation
to, through this final rule, require rail carriers to select the safest
and most secure routes for the movement of these materials. We continue
to believe that rail carriers are in the best position to select the
safest and most secure routes, taking into consideration mitigation
measures that they may wish to implement to address safety and security
vulnerabilities they identify.
As explained in the IFR, we are not requiring rail carriers to
submit their route analyses and route selections to DOT for approval.
Federal review and approval of these analyses would be resource-
intensive and time-consuming and could result in shipment delays if a
rail carrier had to await approval from DOT prior to transporting
hazardous materials along the routes it identified as posing the fewest
safety and security risks. Moreover, the 9/11 Commission Act does not
provide for an approval process for route selections made by rail
carriers. That being said, we intend to aggressively oversee railroads'
route analyses and route selection determinations and will use all
available tools to enforce compliance with the rule. As the agency with
primary responsibility for railroad safety enforcement, FRA will
incorporate review and inspection of route analyses and selections into
its inspection programs. FRA inspectors may offer suggestions for
modifying or improving the analysis or make changes to a route if the
route selection documentation or underlying analysis is found to be
deficient. If an inspector's recommendations are not implemented, FRA
may compel a rail carrier to make changes and/or assess a civil
penalty. Further, if the carrier's chosen route is found not to be the
safest and most secure practicable route available, FRA may require the
use of an alternative route.
After consideration of comments received, in this final rule, we
are adopting the requirements applicable to route selection as
established by the IFR.
F. Completion of Route Analysis (Sec. 172.820(f))
The IFR requires rail carriers to conduct their initial rail
transportation route analysis, alternative route analysis, and route
selection by September 1, 2009, based on routing data for the six month
period from July 1, 2008 to December 31, 2008. In subsequent years, the
rail transportation route analysis, alternative route analysis, and
route selection, including a comprehensive review of all operational
changes, infrastructure modifications, traffic adjustments, or other
changes implemented, must be conducted no later than the end of the
calendar year following the year to which the analyses apply.
In its comments, AAR suggests that the September 1, 2009, deadline
for completing an initial route analysis and route selection may be
difficult for rail carriers to meet. AAR explains that the first set of
analyses will be resource-intensive and time-consuming and that
subsequent analyses will be less so because they can build off previous
analyses. AAR suggests that its member railroads would be willing to
analyze data for a full year in 2009 (data for all of 2008) in return
for elimination of the special September 1 deadline for route analyses
in 2009.
We recognize that the IFR established an aggressive timeline for
completion of an initial route analysis and route selection process.
The IFR provides over 16 months (from April 16, 2008 to September 1,
2009) for completion of this process. We believe that the safety and
security risks addressed in the IFR warrant an aggressive approach.
However, we recognize that in some cases the last six months of 2008
data may not accurately reflect the seasonality of the rail movement of
certain PIH materials (such as anhydrous ammonia) on some carriers, and
that an analysis of data for all of 2008 may help facilitate the review
in the subsequent year. In this final rule, therefore, we are providing
the following options for completing the initial route analysis,
alternative route analysis, and route section: (1) A rail carrier may
complete the process by September 1, 2009, as established in the IFR,
using data for the six month period from July 1, 2008 to December 31,
2008; or (2) a rail carrier may complete the process by March 31, 2010,
using data for all of 2008, so long as the rail carrier notifies FRA in
writing by September 1, 2009, that it has chosen this second option.
Several commenters also addressed our decision to require rail
carriers to conduct an annual comprehensive review of the route
analysis and selection process rather than once every three years.
Section 1551(g) of the 9/11 Commission Act requires rail carriers to
perform a comprehensive review of its route selection determinations at
least once every three years. The analysis is to include a system-wide
review of all operational changes, infrastructure modifications,
traffic adjustments, changes in the nature of high-consequence targets
located along or in proximity to the route, and any other changes
affecting the safety and security of the movement of security-sensitive
materials that were implemented since the previous analysis was
completed.
Dow requests that we amend the IFR to require the comprehensive
review to be completed once every three years. Dow suggests that PHMSA
lacks support in the current administrative record to impose an unduly
burdensome annual comprehensive review requirement. On the other hand,
CalPUC provided comments in strong support of the requirement to
perform comprehensive reviews on an annual basis.
As we indicated in the IFR, we believe there is value in conducting
an annual review of the route analysis even in the absence of changes
to the way a carrier operates. Conditions along the selected routes may
change, for example, or there may be changes affecting other factors
utilized in the analyses, such as incidents on the selected route, the
capabilities of local emergency response agencies, or venues located in
proximity to the selected route. Again, performance of the initial data
gathering and analysis will be the most burdensome. We expect that the
subsequent yearly analyses will build on the initial analysis and will
be easier to do. Therefore, we are adopting the annual comprehensive
review
[[Page 72189]]
requirement as established by the IFR in this final rule.
G. Storage, Delays in Transit, and Notification (Sec. 172.820(g))
The IFR clarifies that rail carriers must address delays in transit
and en route storage in their security plans. Thus, rail carrier
security plans must include: (1) A procedure for consulting with
offerors and consignees to minimize the time a material is stored
incidental to movement; (2) measures to limit access to the materials
during storage and delays in transit; (3) measures to mitigate risk to
population centers during storage incidental to transportation; (4)
measures to be taken in the event of an escalating threat level during
storage incidental to transportation; and (5) a procedure that is
acceptable by both the rail carrier and consignee for notifying the
consignee in the event of transportation delays.
The IFR included language to the effect that all affected parties
should agree upon measures to be implemented by the rail carriers to
minimize the time that PIH, explosive, and radioactive materials are
stored in transit. In its comments, AAR suggests that this provision of
the IFR unnecessarily restricts rail carriers' flexibility. According
to AAR, customers often lack incentive to reduce storage on railroad
property because of their own lack of storage capacity. AAR notes that
railroads welcome opportunities to discuss with their customers ways of
minimizing the extent to which cars may be delayed on railroad property
due to the inability of their customers to receive cars. Norfolk
Southern agrees with AAR's comments and adds that if the parties cannot
agree, then the railroad carrier must have the final say concerning
storage occurring on the railroad's own property.
The intent of the requirement in Sec. 172.820(g)(1) is to
establish a procedure that provides an opportunity for offerors and
consignees to work with rail carriers to minimize incidental storage of
shipments. It was not our intention to limit a carrier's flexibility
concerning the storage of rail cars on railroad property. We are aware
that rail carriers have worked closely with TSA to voluntarily
implement measures to reduce the number of hours PIH cars are held in
high-threat urban areas. Therefore, in this final rule, we are removing
the sentence in Sec. 172.820(g)(1) that suggests that all parties
should agree on measures to be implemented to minimize the time that
rail cars are stored in transit.
AAR also requests clarification of the phrase ``formally consult,''
as it applies to the rail carriers working with offerors and consignees
to minimize storage incidental to transportation. The requirement for a
``formal'' procedure should not be read to imply that rail carriers
must develop an agenda for the meeting or maintain documentation to
keep a record of the consultation. By requiring that the process be
formal, we are simply indicating that rail carriers must make offerors
and consignees fully aware of the process and how it will work. The
procedure should involve offerors and consignees when storage decisions
are made that directly affect their operations. The consultation
requirement may be met as part of the normal course of communication
between the railroad and its customers.
H. Recordkeeping (Sec. 172.820(h))
Consistent with requirements in the 9/11 Commission Act, in the
IFR, we require each rail carrier to maintain an accessible copy of the
information and analyses associated with the collection of commodity
data and route assessment and selection processes. We further require
the distribution of such information to be limited to ``covered
persons'' with a ``need to know'' in accordance with SSI regulations in
49 CFR Parts 15 and 1520. There were no comments in response to this
paragraph; therefore, we are adopting it as established by the IFR.
I. Compliance and Enforcement (Sec. 172.820(i))
In the IFR, we require carriers to revise their analyses or make
changes to a route if the route selection documentation or underlying
analyses is found to be deficient. In addition, if the carrier's chosen
route is found not to be the safest and most secure practicable route
available, the FRA Associate Administrator for Safety, in consultation
with TSA, may require the use of an alternative route until such time
as identified deficiencies are satisfactorily addressed. FRA and TSA
will consult with the Surface Transportation Board regarding whether
the contemplated alternative route(s) would be economically
practicable.
One commenter specifically addressed the requirements in this
section. AAR asks if field inspectors will have the capability to
perform route analyses. It suggests that the level of detail involved
in the route analysis would make it difficult for inspectors to have
the capability to perform route analyses during an inspection. AAR
recommends that Federal agencies should designate the employees
requiring access to route analyses and provide the railroads with a
list of those employees to facilitate coordination between the
railroads and Federal agencies.
FRA will continue to coordinate closely with the railroads in its
inspection and enforcement activities, including review of security
plans and route analyses. We note concerning the AAR comments that
FRA's enforcement role is to review the railroads' analyses, not to
perform them. FRA employees will be capable of reviewing a rail
carrier's route analyses and route selections to ensure compliance with
the requirements of this final rule. Further, FRA and its employees
will comply with the existing SSI regulations with regard to the
handling of the route analyses and the underlying commodity data. Only
FRA employees who are ``covered persons'' with a ``need to know'' under
the SSI regulations at 49 CFR Parts 15 and 1520 will access the routing
analyses and data. 9 CFR Part 1 outlines enforcement authority for the
modal administrations within DOT. In the hazardous materials arena,
modal administrations share broad authority over all modes regardless
of agency. In accordance with a DOT-wide memorandum of understanding
that delineates normal areas of activity for each modal administration,
FRA expects to utilize inspectors from various disciplines as well as
other modal partners when evaluating rail carrier compliance with these
regulations.
In addition, FRA plans to work closely with TSA to develop a
coordinated enforcement strategy to include both FRA and TSA inspection
personnel. We note in this regard that while TSA has broad
responsibility and authority under the Aviation and Transportation
Security Act for security in all modes of transportation, TSA does not
have the authority to enforce safety or security requirements
established in the HMR. If in the course of an inspection of a railroad
carrier or a rail hazardous material shipper, TSA identifies evidence
of non-compliance with a DOT security regulation, TSA will provide the
information to FRA and PHMSA for appropriate action. TSA will not
directly enforce DOT security rules and will not initiate safety
inspections. In accordance with the PHMSA-TSA and FRA-TSA annexes to
the DOT-DHS MOU, all the involved agencies will cooperate to ensure
coordinated, consistent, and effective activities related to rail
security issues.
Another commenter, PPG, fully supports the intent of this
rulemaking and believes it will aid in the safe and secure
transportation of hazardous materials. However, PPG questions whether a
risk assessment is necessary
[[Page 72190]]
before a rail carrier can accept a shipment for a new route The concern
is that the rail carrier will have the right to refuse to accept a
shipment until a risk assessment can be done. According to its
comments, PPG does not believe this is the intent of the rule but wants
some assurance that the rail carriers cannot refuse a shipment based on
this rulemaking.
We do not intend for the provisions of this rule to impede the
everyday commerce of hazardous materials, or to change the common
carrier obligation of the railroads to handle security-sensitive
materials that shippers tender to them for shipment. In the event that
a railroad accepts a new shipment with a new route, we would expect the
railroad to document this new data in its annual data compilation, and
to note any new routes, risk factors, and mitigation measures in its
analysis. Since new routes are often discussed long before the initial
shipment, if the carrier has knowledge of the expected shipments when
it conducts its initial or subsequent reviews it should include this
information as part of the decision-making process.
J. Federal Preemption (Sec. 172.822)
We addressed the preemptive effect of the IFR by clarifying that
state and local regulation of rail routes for shipments of hazardous
materials is preempted under both the Federal Hazardous Materials
Transportation Law (Federal Hazmat Law; 49 U.S.C. 5125) and the Federal
Rail Safety Act (49 U.S.C. 20106). All comments that were addressed
supported the proposed language; therefore, we are adopting it as
established by the IFR.
K. Rail Risk Analysis Factors (Appendix D to Part 172)
The IFR adopts minimum criteria in Appendix D to Part 172 to be
used by rail carriers when performing the safety and security risk
analyses required by Sec. 172.820. We listed 27 factors in this
appendix for carriers to consider in the analyses. The IFR adopted the
27 factors as proposed in the NPRM, with modifications for consistency
with requirements of the 9/11 Commission Act. Specifically, the IFR
added high consequence targets, as defined in Sec. 1551(h)(2), to the
list of factors that must be considered.
The comments submitted in response to this section reiterate
comments made to the NPRM. BNSF expresses concern that the IFR does not
provide any direction as to how the 27 factors are to be prioritized
and requests that PHMSA provide guidance on the comparative weight or
prioritization that it assigns to each factor. Theodore Glickman
suggests that the 27 factors far exceed the number that should be
included and recommends that emphasis should be placed on the
identification of the most important factors and developing the
database required to evaluate those factors. In its comments, Norfolk
Southern expresses support for the factors and agrees with the agency's
decision not to arbitrarily weight or rank the factors and recognize
that weighting of the individual factors listed in Appendix D may vary
upon the circumstances and/or the region in which the rail carrier
operates.
As we stated in the IFR, the weighting of the factors is an
extremely important aspect of an overall safety and security risk
assessment methodology. However, we do not believe that prioritizing or
limiting the number of factors will allow rail carriers the flexibility
necessary to account for unique track conditions and localized
concerns. We expect carriers to make conscientious efforts to develop
logical and defe